UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: June 30, 2007 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries Institutional Investment Manager Filing this Report: Name: AMERICAN INTERNATIONAL GROUP, INC. Address: 70 Pine Street New York, New York 10270 Form 13F File Number: 28-219 The Institutional Investment Manager filing this report and the person by whom it is signed represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Win J. Neuger Title: Executive Vice President and Chief Investment Officer Phone: (212) 770-7000 Signature, Place, and Date of Signing: /s/ Win J. Neuger New York, New York August 10, 2007 ------------------------------- ------------------------ ----------------- (Signature) (City, State) (Date) Report Type (Check only one.): [X] 13F HOLDINGS REPORT. (Check if all holdings of this reporting manager are reported in this report.) [ ] 13F NOTICE. (Check if no holdings reported are in this report, and all holdings are reported in this report and a portion are reported by other reporting manager(s).) [ ] 13F COMBINATION REPORT. (Check if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).) FORM 13F SUMMARY PAGE REPORT SUMMARY: Number of Other Included Managers: 4 Form 13F Information Table Entry Total: 4,758 Form 13F Information Table Value Total: $25,709,582 (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No. Form 13F File Number Name -- -------------------- ------------------------------------------- 1 28-4637 AIG GLOBAL INVESTMENT CORP. 2 28-2725 AIG SUNAMERICA ASSET MANAGEMENT CORP. 3 28-3463 JOHN MCSTAY INVESTMENT COUNSEL, L.P. 4 28-11910 FSC SECURITIES CORPORATION 13F SECURITIES - 2Q 2007 ISSUER NAME TITLE OF CUSIP VALUE SHARES/ SH/ PUT/INVESTMENT OTHER VOTING AUTHORITY CLASS NUMBER X $1000 PRINCIPAL PRN CALL DISCRETION MGRS SOLE (A) SHARED (B) NONE (C) ------------------------------------------------------------------------------------------------------------------------------------ 1-800 CONTACTS INC EQUITY 681977104 146 6,236 SH SOLE 1 6,236 - - 1-800-FLOWERS.COM INC EQUITY 68243Q106 190 20,121 SH SOLE 1 20,121 - - 1ST SOURCE CORP EQUITY 336901103 264 10,582 SH SOLE 1 10,582 - - 21ST CENTURY INSURANCE GROUP EQUITY 90130N103 627 28,691 SH SOLE 1 28,691 - - 21ST CENTURY INSURANCE GROUP EQUITY 90130N103 1168321 53,445,620 SH SOLE 1 53,445,620 - - 24/7 REAL MEDIA INC EQUITY 901314203 1996 170,161 SH SOLE 1 170,161 - - 3COM CORP EQUITY 885535104 5348 1,294,815 SH SOLE 1 1,294,815 - - 3D SYSTEMS CORP EQUITY 88554D205 315 12,663 SH SOLE 1 12,663 - - 3M CO EQUITY 88579Y101 699 8,053 SH DEFINED 4 - - 8,053 3M CO EQUITY 88579Y101 18047 207,933 SH SOLE 2 207,933 - - 3M CO EQUITY 88579Y101 35370 407,532 SH SOLE 1 407,532 - - 3M COMPANY FIXED INCOME 88579YAB7 4 4,000 PRN DEFINED 4 - - 4,000 3M COMPANY FIXED INCOME 88579YAB7 631 700,000 PRN SOLE 1 700,000 - - 40/86 STRATEGIC INCOME FUND EQUITY 349739102 17 1,730 SH DEFINED 4 - - 1,730 99 CENTS ONLY STORES EQUITY 65440K106 2009 153,212 SH SOLE 1 153,212 - - AAON INC EQUITY 000360206 244 7,676 SH SOLE 1 7,676 - - AAR CORP EQUITY 000361105 1024 31,031 SH SOLE 1 31,031 - - AARON RENTS INC EQUITY 002535201 1123 38,457 SH SOLE 1 38,457 - - ABAXIS INC EQUITY 002567105 363 17,388 SH SOLE 1 17,388 - - ABB LTD EQUITY 000375204 644 28,500 SH SOLE 2 28,500 - - ABBEY NATIONAL PLC EQUITY 002920809 10 400 SH DEFINED 4 - - 400 ABBEY NATIONAL PLC FIXED INCOME 002920809 22020 876,600 PRN SOLE 1 876,600 - - ABBOTT LABORATORIES EQUITY 002824100 42 781 SH DEFINED 4 - - 781 ABBOTT LABORATORIES EQUITY 002824100 8235 153,779 SH SOLE 2 153,779 - - ABBOTT LABORATORIES EQUITY 002824100 38219 713,714 SH SOLE 1 713,714 - - ABER DIAMOND CORP EQUITY 002893105 35 920 SH OTHER 1 - 920 - ABERCROMBIE & FITCH CO EQUITY 002896207 8 114 SH SOLE 2 114 - - ABERCROMBIE & FITCH CO EQUITY 002896207 3160 43,300 SH SOLE 3 43,300 - - ABERCROMBIE & FITCH CO EQUITY 002896207 3593 49,238 SH SOLE 1 49,238 - - ABERDEEN ASIA-PACIFIC INCOME F EQUITY 003009107 29 4,580 SH DEFINED 4 - - 4,580 ABERDEEN AUSTRALIA EQUITY FUND EQUITY 003011103 3000 173,387 SH DEFINED 4 - - 173,387 ABIOMED INC EQUITY 003654100 259 24,047 SH SOLE 1 24,047 - - ABITIBI-CONSOLIDATED INC EQUITY 003924107 24 8,278 SH OTHER 1 - 8,278 - ABM INDUSTRIES INC EQUITY 000957100 17 675 SH DEFINED 4 - - 675 ABM INDUSTRIES INC EQUITY 000957100 2196 85,068 SH SOLE 1 85,068 - - ABRAXIS BIOSCIENCE INC EQUITY 00383E106 834 37,535 SH SOLE 1 37,535 - - ABX AIR INC EQUITY 00080S101 394 48,825 SH SOLE 1 48,825 - - AC MOORE ARTS & CRAFTS INC EQUITY 00086T103 330 16,835 SH SOLE 1 16,835 - - ACA CAPITAL HOLDINGS INC EQUITY 000833103 81 6,817 SH SOLE 1 6,817 - - ACACIA RESEARCH - ACACIA TECHN EQUITY 003881307 383 23,689 SH SOLE 1 23,689 - - ACADIA PHARMACEUTICALS INC EQUITY 004225108 352 25,771 SH SOLE 1 25,771 - - ACADIA REALTY TRUST EQUITY 004239109 694 26,736 SH SOLE 1 26,736 - - ACCENTURE LTD EQUITY G1150G111 9 200 SH DEFINED 4 - - 200 ACCO BRANDS CORP EQUITY 00081T108 1035 44,902 SH SOLE 1 44,902 - - ACCREDITED HOME LENDERS HOLDIN EQUITY 00437P107 243 17,802 SH SOLE 1 17,802 - - ACCURAY INC EQUITY 004397105 304 13,692 SH SOLE 1 13,692 - - ACCURIDE CORP EQUITY 004398103 302 19,597 SH SOLE 1 19,597 - - ACE LTD EQUITY G0070K103 26 419 SH SOLE 2 419 - - ACI WORLDWIDE INC EQUITY 893416107 4087 121,421 SH SOLE 1 121,421 - - ACI WORLDWIDE INC EQUITY 893416107 4268 126,800 SH SOLE 2 126,800 - - ACME PACKET INC EQUITY 004764106 565 49,166 SH SOLE 1 49,166 - - ACORDA THERAPEUTICS INC EQUITY 00484M106 301 17,666 SH SOLE 1 17,666 - - ACORN INTERNATIONAL INC EQUITY 004854105 8033 332,090 SH SOLE 1 332,090 - - ACTEL CORP EQUITY 004934105 620 44,608 SH SOLE 1 44,608 - - ACTIVISION INC EQUITY 004930202 19 1,000 SH DEFINED 4 - - 1,000 ACTIVISION INC EQUITY 004930202 1926 103,161 SH SOLE 2 103,161 - - ACTIVISION INC EQUITY 004930202 6557 351,200 SH SOLE 3 351,200 - - ACTIVISION INC EQUITY 004930202 12246 655,894 SH SOLE 1 655,894 - - ACTUANT CORP EQUITY 00508X203 1438 22,807 SH SOLE 1 22,807 - - ACTUATE CORP EQUITY 00508B102 342 50,386 SH SOLE 1 50,386 - - ACUITY BRANDS INC EQUITY 00508Y102 3023 50,145 SH SOLE 1 50,145 - - ACXIOM CORP EQUITY 005125109 4477 169,247 SH SOLE 1 169,247 - - ADAMS RESPIRATORY THERAPEUTICS EQUITY 00635P107 548 13,900 SH SOLE 2 13,900 - - ADAMS RESPIRATORY THERAPEUTICS EQUITY 00635P107 1225 31,100 SH SOLE 3 31,100 - - ADAMS RESPIRATORY THERAPEUTICS EQUITY 00635P107 1806 45,839 SH SOLE 1 45,839 - - ADAPTEC INC EQUITY 00651F108 375 98,471 SH SOLE 1 98,471 - - ADC TELECOMMUNICATIONS INC EQUITY 000886309 3 151 SH SOLE 2 151 - - ADC TELECOMMUNICATIONS INC EQUITY 000886309 6729 367,127 SH SOLE 1 367,127 - - ADMINISTAFF INC EQUITY 007094105 652 19,458 SH SOLE 1 19,458 - - ADOBE SYSTEMS INC EQUITY 00724F101 30 757 SH SOLE 2 757 - - ADOBE SYSTEMS INC EQUITY 00724F101 23718 590,743 SH SOLE 1 590,743 - - ADOLOR CORP EQUITY 00724X102 29 7,757 SH SOLE 1 7,757 - - ADTRAN INC EQUITY 00738A106 5160 198,708 SH SOLE 1 198,708 - - ADVANCE AMERICA CASH ADVANCE C EQUITY 00739W107 987 55,631 SH SOLE 1 55,631 - - ADVANCE AUTO PARTS INC EQUITY 00751Y106 314 7,755 SH DEFINED 4 - - 7,755 ADVANCE AUTO PARTS INC EQUITY 00751Y106 12132 299,332 SH SOLE 1 299,332 - - ADVANCED ANALOGIC TECHNOLOGIES EQUITY 00752J108 308 31,746 SH SOLE 1 31,746 - - ADVANCED ENERGY INDUSTRIES INC EQUITY 007973100 1448 63,904 SH SOLE 1 63,904 - - ADVANCED MAGNETICS INC EQUITY 00753P103 689 11,852 SH SOLE 1 11,852 - - ADVANCED MEDICAL OPTICS INC EQUITY 00763M108 6320 181,183 SH SOLE 1 181,183 - - ADVANCED MICRO DEVICES INC EQUITY 007903107 232 16,237 SH SOLE 2 16,237 - - ADVANCED MICRO DEVICES INC EQUITY 007903107 3649 255,173 SH SOLE 1 255,173 - - ADVANCED SEMICONDUCTOR ENGINEE EQUITY 00756M404 10930 1,600,330 SH SOLE 1 1,600,330 - - ADVANTA CORP EQUITY 007942204 570 18,300 SH SOLE 2 18,300 - - ADVANTA CORP EQUITY 007942204 640 20,563 SH SOLE 1 20,563 - - ADVANTAGE ENERGY INCOME FUND EQUITY 00762L101 48 3,409 SH DEFINED 4 - - 3,409 ADVENT SOFTWARE INC EQUITY 007974108 553 17,000 SH SOLE 2 17,000 - - ADVENT SOFTWARE INC EQUITY 007974108 2049 62,964 SH SOLE 1 62,964 - - ADVISORY BOARD CO/THE EQUITY 00762W107 835 15,030 SH SOLE 1 15,030 - - AECOM TECHNOLOGY CORP EQUITY 00766T100 831 33,497 SH SOLE 1 33,497 - - AEP INDUSTRIES INC EQUITY 001031103 244 5,421 SH SOLE 1 5,421 - - AERCAP HOLDINGS NV EQUITY N00985106 3990 124,700 SH SOLE 2 124,700 - - AEROFLEX INC EQUITY 007768104 882 62,229 SH SOLE 1 62,229 - - AEROPOSTALE INC EQUITY 007865108 563 13,500 SH SOLE 2 13,500 - - AEROPOSTALE INC EQUITY 007865108 7036 168,804 SH SOLE 1 168,804 - - AEROVIRONMENT INC EQUITY 008073108 119 5,795 SH SOLE 1 5,795 - - AES CORP/THE EQUITY 00130H105 11 500 SH DEFINED 4 - - 500 AES CORP/THE EQUITY 00130H105 19 860 SH SOLE 2 860 - - AES CORP/THE EQUITY 00130H105 6570 300,252 SH SOLE 1 300,252 - - AETNA INC EQUITY 00817Y108 33 665 SH SOLE 2 665 - - AETNA INC EQUITY 00817Y108 22707 459,659 SH SOLE 1 459,659 - - AFC ENTERPRISES EQUITY 00104Q107 422 24,420 SH SOLE 1 24,420 - - AFFILIATED COMPUTER SERVICES I EQUITY 008190100 3 50 SH DEFINED 4 - - 50 AFFILIATED COMPUTER SERVICES I EQUITY 008190100 7 128 SH SOLE 2 128 - - AFFILIATED COMPUTER SERVICES I EQUITY 008190100 2575 45,398 SH SOLE 1 45,398 - - AFFILIATED MANAGERS GROUP INC EQUITY 008252108 1 9 SH DEFINED 4 - - 9 AFFILIATED MANAGERS GROUP INC EQUITY 008252108 105 813 SH SOLE 1 813 - - AFFILIATED MANAGERS GROUP INC EQUITY 008252108 592 4,600 SH SOLE 2 4,600 - - AFFILIATED MANAGERS GROUP INC EQUITY 008252108 4442 34,500 SH SOLE 3 34,500 - - AFFYMAX INC EQUITY 00826A109 96 3,546 SH SOLE 1 3,546 - - AFFYMETRIX INC EQUITY 00826T108 553 22,200 SH SOLE 2 22,200 - - AFFYMETRIX INC EQUITY 00826T108 5580 224,188 SH SOLE 1 224,188 - - AFLAC INC EQUITY 001055102 6 110 SH DEFINED 4 - - 110 AFLAC INC EQUITY 001055102 32 630 SH SOLE 2 630 - - AFLAC INC EQUITY 001055102 13999 272,348 SH SOLE 1 272,348 - - AFTERMARKET TECHNOLOGY CORP EQUITY 008318107 540 18,178 SH SOLE 1 18,178 - - AG EDWARDS INC EQUITY 281760108 19665 232,580 SH SOLE 1 232,580 - - AGCO CORP EQUITY 001084102 8422 194,000 SH SOLE 3 194,000 - - AGCO CORP EQUITY 001084102 12303 283,403 SH SOLE 1 283,403 - - AGILE SOFTWARE CORP EQUITY 00846X105 398 49,334 SH SOLE 1 49,334 - - AGILENT TECHNOLOGIES INC EQUITY 00846U101 6120 159,210 SH SOLE 2 159,210 - - AGILENT TECHNOLOGIES INC EQUITY 00846U101 8907 231,715 SH SOLE 1 231,715 - - AGILYSYS INC EQUITY 00847J105 1412 62,763 SH SOLE 1 62,763 - - AGL RESOURCES INC EQUITY 001204106 12 301 SH DEFINED 4 - - 301 AGL RESOURCES INC EQUITY 001204106 8236 203,470 SH SOLE 1 203,470 - - AGNICO-EAGLE MINES LTD EQUITY 008474108 6823 187,397 SH OTHER 1 - 187,397 - AGREE REALTY CORP EQUITY 008492100 202 6,448 SH SOLE 1 6,448 - - AGRIUM INC EQUITY 008916108 6696 152,497 SH OTHER 1 - 152,497 - AIR METHODS CORP EQUITY 009128307 318 8,683 SH SOLE 1 8,683 - - AIR PRODUCTS & CHEMICALS INC EQUITY 009158106 263 3,269 SH DEFINED 4 - - 3,269 AIR PRODUCTS & CHEMICALS INC EQUITY 009158106 2618 32,579 SH SOLE 2 32,579 - - AIR PRODUCTS & CHEMICALS INC EQUITY 009158106 71649 891,565 SH SOLE 1 891,565 - - AIRGAS INC EQUITY 009363102 9168 191,390 SH SOLE 1 191,390 - - AIRSPAN NETWORKS INC EQUITY 00950H102 13 3,500 SH DEFINED 4 - - 3,500 AIRTRAN HOLDINGS INC EQUITY 00949P108 3264 298,931 SH SOLE 1 298,931 - - AK STEEL HOLDING CORP EQUITY 001547108 88 2,365 SH SOLE 1 2,365 - - AKAMAI TECHNOLOGIES INC EQUITY 00971T101 24 500 SH DEFINED 4 - - 500 AKAMAI TECHNOLOGIES INC EQUITY 00971T101 546 11,223 SH SOLE 1 11,223 - - AKAMAI TECHNOLOGIES INC EQUITY 00971T101 5326 109,500 SH SOLE 3 109,500 - - AKORN INC EQUITY 009728106 320 45,808 SH SOLE 1 45,808 - - ALABAMA NATIONAL BANCORPORATIO EQUITY 010317105 876 14,161 SH SOLE 1 14,161 - - ALADDIN KNOWLEDGE SYSTEMS LTD EQUITY M0392N101 3553 171,300 SH SOLE 3 171,300 - - ALASKA AIR GROUP INC EQUITY 011659109 3732 133,960 SH SOLE 1 133,960 - - ALASKA AIR GROUP INC EQUITY 011659109 8327 298,900 SH SOLE 2 298,900 - - ALASKA COMMUNICATIONS SYSTEMS EQUITY 01167P101 563 35,542 SH SOLE 1 35,542 - - ALBANY INTERNATIONAL CORP EQUITY 012348108 987 24,404 SH SOLE 1 24,404 - - ALBANY MOLECULAR RESEARCH INC EQUITY 012423109 320 21,565 SH SOLE 1 21,565 - - ALBEMARLE CORP EQUITY 012653101 389 10,100 SH DEFINED 4 - - 10,100 ALBEMARLE CORP EQUITY 012653101 7591 197,015 SH SOLE 1 197,015 - - ALBERTO-CULVER CO EQUITY 013078100 4771 201,125 SH SOLE 1 201,125 - - ALCAN INC EQUITY 013716105 654 8,002 SH OTHER 1 - 8,002 - ALCATEL-LUCENT EQUITY 013904305 24 1,729 SH DEFINED 4 - - 1,729 ALCOA INC EQUITY 013817101 27 665 SH DEFINED 4 - - 665 ALCOA INC EQUITY 013817101 4666 115,120 SH SOLE 2 115,120 - - ALCOA INC EQUITY 013817101 17528 432,480 SH SOLE 1 432,480 - - ALCON INC EQUITY H01301102 4 30 SH DEFINED 4 - - 30 ALESCO FINANCIAL INC EQUITY 014485106 375 46,146 SH SOLE 1 46,146 - - ALEXANDER & BALDWIN INC EQUITY 014482103 5636 106,116 SH SOLE 1 106,116 - - ALEXANDRIA REAL ESTATE EQUITIE EQUITY 015271109 484 5,000 SH SOLE 2 5,000 - - ALEXANDRIA REAL ESTATE EQUITIE EQUITY 015271109 2374 24,524 SH SOLE 1 24,524 - - ALEXION PHARMACEUTICALS INC EQUITY 015351109 1365 30,301 SH SOLE 1 30,301 - - ALEXZA PHARMACEUTICALS INC EQUITY 015384100 140 16,885 SH SOLE 1 16,885 - - ALFA CORP EQUITY 015385107 425 27,268 SH SOLE 1 27,268 - - ALICO INC EQUITY 016230104 183 3,000 SH SOLE 1 3,000 - - ALIGN TECHNOLOGY INC EQUITY 016255101 1190 49,245 SH SOLE 1 49,245 - - ALKERMES INC EQUITY 01642T108 1222 83,672 SH SOLE 1 83,672 - - ALLEGHENY ENERGY INC EQUITY 017361106 11 213 SH SOLE 2 213 - - ALLEGHENY ENERGY INC EQUITY 017361106 3884 75,063 SH SOLE 1 75,063 - - ALLEGHENY TECHNOLOGIES INC EQUITY 01741R102 9 82 SH DEFINED 4 - - 82 ALLEGHENY TECHNOLOGIES INC EQUITY 01741R102 726 675,132 SH SOLE 2 675,132 - - ALLEGHENY TECHNOLOGIES INC EQUITY 01741R102 4823 45,982 SH SOLE 1 45,982 - - ALLEGIANT TRAVEL CO EQUITY 01748X102 135 4,393 SH SOLE 1 4,393 - - ALLERGAN INC/UNITED STATES EQUITY 018490102 57 992 SH DEFINED 4 - - 992 ALLERGAN INC/UNITED STATES EQUITY 018490102 1787 30,996 SH SOLE 2 30,996 - - ALLERGAN INC/UNITED STATES EQUITY 018490102 39304 681,736 SH SOLE 1 681,736 - - ALLETE INC EQUITY 018522300 43 920 SH DEFINED 4 - - 920 ALLETE INC EQUITY 018522300 1004 21,336 SH SOLE 1 21,336 - - ALLIANCE ALL-MARKET ADVANTAGE EQUITY 01852M108 158 11,405 SH DEFINED 4 - - 11,405 ALLIANCE DATA SYSTEMS CORP EQUITY 018581108 27731 358,842 SH SOLE 1 358,842 - - ALLIANCE IMAGING INC EQUITY 018606202 199 21,228 SH SOLE 1 21,228 - - ALLIANCE ONE INTERNATIONAL INC EQUITY 018772103 3684 366,602 SH SOLE 1 366,602 - - ALLIANCEBERNSTEIN GLOBAL HIGH EQUITY 01879R106 4 300 SH DEFINED 4 - - 300 ALLIANCEBERNSTEIN HOLDING LP EQUITY 01881G106 109 1,255 SH DEFINED 4 - - 1,255 ALLIANCEBERNSTEIN INCOME FUND EQUITY 01881E101 362 44,196 SH DEFINED 4 - - 44,196 ALLIANT ENERGY CORP EQUITY 018802108 11206 288,455 SH SOLE 1 288,455 - - ALLIANT TECHSYSTEMS INC EQUITY 018804104 8 85 SH DEFINED 4 - - 85 ALLIANT TECHSYSTEMS INC EQUITY 018804104 2042 20,600 SH SOLE 2 20,600 - - ALLIANT TECHSYSTEMS INC EQUITY 018804104 8064 81,329 SH SOLE 1 81,329 - - ALLIED CAPITAL CORP EQUITY 01903Q108 3 100 SH DEFINED 4 - - 100 ALLIED CAPITAL CORP EQUITY 01903Q108 178 5,736 SH SOLE 1 5,736 - - ALLIED HEALTHCARE INTERNATIONA EQUITY 01923A109 1395 498,044 SH SOLE 1 498,044 - - ALLIED WASTE INDUSTRIES INC EQUITY 019589308 4 329 SH SOLE 2 329 - - ALLIED WASTE INDUSTRIES INC EQUITY 019589308 7 500 SH DEFINED 4 - - 500 ALLIED WASTE INDUSTRIES INC EQUITY 019589308 1621 120,398 SH SOLE 1 120,398 - - ALLIED WORLD ASSURANCE HOLDING EQUITY G0219G203 599283 11,693,333 SH SOLE 1 11,693,333 - - ALLIS-CHALMERS ENERGY INC EQUITY 019645506 480 20,899 SH SOLE 1 20,899 - - ALLOS THERAPEUTICS INC EQUITY 019777101 190 43,051 SH SOLE 1 43,051 - - ALLSCRIPTS HEALTHCARE SOLUTION EQUITY 01988P108 968 38,000 SH SOLE 3 38,000 - - ALLSCRIPTS HEALTHCARE SOLUTION EQUITY 01988P108 1673 65,661 SH SOLE 1 65,661 - - ALLSTATE CORP/THE EQUITY 020002101 58 942 SH DEFINED 4 - - 942 ALLSTATE CORP/THE EQUITY 020002101 2422 39,382 SH SOLE 2 39,382 - - ALLSTATE CORP/THE EQUITY 020002101 54086 879,302 SH SOLE 1 879,302 - - ALLTEL CORP EQUITY 020039103 7 100 SH DEFINED 4 - - 100 ALLTEL CORP EQUITY 020039103 30 445 SH SOLE 2 445 - - ALLTEL CORP EQUITY 020039103 44082 652,582 SH SOLE 1 652,582 - - ALNYLAM PHARMACEUTICALS INC EQUITY 02043Q107 408 26,863 SH SOLE 1 26,863 - - ALON USA ENERGY INC EQUITY 020520102 475 10,788 SH SOLE 1 10,788 - - ALON USA ENERGY INC EQUITY 020520102 563 12,800 SH SOLE 2 12,800 - - ALPHA NATURAL RESOURCES INC EQUITY 02076X102 1134 54,535 SH SOLE 1 54,535 - - ALPHARMA INC EQUITY 020813101 938 36,074 SH SOLE 1 36,074 - - ALTERA CORP EQUITY 021441100 10 457 SH SOLE 2 457 - - ALTERA CORP EQUITY 021441100 7243 327,284 SH SOLE 1 327,284 - - ALTRA HOLDINGS INC EQUITY 02208R106 144 8,318 SH SOLE 1 8,318 - - ALTRIA GROUP INC EQUITY 02209S103 1128 16,079 SH DEFINED 4 - - 16,079 ALTRIA GROUP INC EQUITY 02209S103 15928 227,089 SH SOLE 2 227,089 - - ALTRIA GROUP INC EQUITY 02209S103 74146 1,057,113 SH SOLE 1 1,057,113 - - ALTUS PHARMACEUTICALS INC EQUITY 02216N105 204 17,661 SH SOLE 1 17,661 - - ALUMINUM CORP OF CHINA LTD EQUITY 022276109 41 970 SH DEFINED 4 - - 970 ALZA CORP EQUITY 02261WAB5 3 3,000 SH DEFINED 4 - - 3,000 AM CASTLE & CO EQUITY 148411101 1367 38,078 SH SOLE 1 38,078 - - AMAZON.COM INC EQUITY 023135106 4 55 SH DEFINED 4 - - 55 AMAZON.COM INC EQUITY 023135106 27 401 SH SOLE 2 401 - - AMAZON.COM INC EQUITY 023135106 10026 146,559 SH SOLE 1 146,559 - - AMB PROPERTY CORP EQUITY 00163T109 15297 287,433 SH SOLE 1 287,433 - - AMBAC FINANCIAL GROUP INC EQUITY 023139108 20 228 SH DEFINED 4 - - 228 AMBAC FINANCIAL GROUP INC EQUITY 023139108 596 6,831 SH SOLE 2 6,831 - - AMBAC FINANCIAL GROUP INC EQUITY 023139108 8606 98,701 SH SOLE 1 98,701 - - AMBASSADORS GROUP INC EQUITY 023177108 465 13,077 SH SOLE 1 13,077 - - AMBASSADORS INTERNATIONAL INC EQUITY 023178106 247 7,430 SH SOLE 1 7,430 - - AMCOL INTERNATIONAL CORP EQUITY 02341W103 583 21,348 SH SOLE 1 21,348 - 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- 11,413 ISHARES DOW JONES US HEALTH CA EQUITY 464288828 1352 23,160 SH DEFINED 4 - - 23,160 ISHARES DOW JONES US HEALTHCAR EQUITY 464287762 1475 21,206 SH DEFINED 4 - - 21,206 ISHARES DOW JONES US INDUSTRIA EQUITY 464287754 1312 17,857 SH DEFINED 4 - - 17,857 ISHARES DOW JONES US OIL & GAS EQUITY 464288851 586 10,015 SH DEFINED 4 - - 10,015 ISHARES DOW JONES US OIL EQUIP EQUITY 464288844 104 1,810 SH DEFINED 4 - - 1,810 ISHARES DOW JONES US PHARMACEU EQUITY 464288836 1266 22,610 SH DEFINED 4 - - 22,610 ISHARES DOW JONES US REAL ESTA EQUITY 464287739 857 11,070 SH DEFINED 4 - - 11,070 ISHARES DOW JONES US TECHNOLOG EQUITY 464287721 528 8,864 SH DEFINED 4 - - 8,864 ISHARES DOW JONES US UTILITIES EQUITY 464287697 1013 10,516 SH DEFINED 4 - - 10,516 ISHARES FTSE/XINHUA CHINA 25 I EQUITY 464287184 163 1,262 SH DEFINED 4 - - 1,262 ISHARES IBOXX $ HIGH YIELD COR EQUITY 464288513 7 67 SH DEFINED 4 - - 67 ISHARES IBOXX $ INVESTMT EQUITY 464287242 43 407 SH DEFINED 4 - - 407 ISHARES LEHMAN 1-3 YEAR TREASU EQUITY 464287457 1527 19,053 SH DEFINED 4 - - 19,053 ISHARES LEHMAN 20+ YEAR TREASU EQUITY 464287432 1582 18,570 SH DEFINED 4 - - 18,570 ISHARES LEHMAN 7-10 YEAR TREAS EQUITY 464287440 451 5,563 SH DEFINED 4 - - 5,563 ISHARES LEHMAN AGGREGATE BOND EQUITY 464287226 1382 14,050 SH DEFINED 4 - - 14,050 ISHARES LEHMAN TREASURY INFLAT EQUITY 464287176 1395 14,090 SH DEFINED 4 - - 14,090 ISHARES MORNINGSTAR LARGE GROW EQUITY 464287119 34 489 SH DEFINED 4 - - 489 ISHARES MORNINGSTAR LARGE VALU EQUITY 464288109 1543 17,623 SH DEFINED 4 - - 17,623 ISHARES MORNINGSTAR MID CORE I EQUITY 464288208 13 140 SH DEFINED 4 - - 140 ISHARES MORNINGSTAR MID GROWTH EQUITY 464288307 42 443 SH DEFINED 4 - - 443 ISHARES MORNINGSTAR MID VALUE EQUITY 464288406 40 438 SH DEFINED 4 - - 438 ISHARES MORNINGSTAR SMALL CORE EQUITY 464288505 339 3,655 SH DEFINED 4 - - 3,655 ISHARES MORNINGSTAR SMALL GROW EQUITY 464288604 27 328 SH DEFINED 4 - - 328 ISHARES MORNINGSTAR SMALL VALU EQUITY 464288703 1296 15,303 SH DEFINED 4 - - 15,303 ISHARES MSCI AUSTRALIA INDEX F EQUITY 464286103 24 834 SH DEFINED 4 - - 834 ISHARES MSCI AUSTRIA INDEX FUN EQUITY 464286202 1798 44,940 SH DEFINED 4 - - 44,940 ISHARES MSCI BELGIUM INDEX FUN EQUITY 464286301 8 305 SH DEFINED 4 - - 305 ISHARES MSCI BRAZIL INDEX FUND EQUITY 464286400 51 835 SH DEFINED 4 - - 835 ISHARES MSCI EAFE GROWTH INDEX EQUITY 464288885 738 9,728 SH DEFINED 4 - - 9,728 ISHARES MSCI EAFE INDEX FUND EQUITY 464287465 2839 35,212 SH DEFINED 4 - - 35,212 ISHARES MSCI EAFE INDEX FUND EQUITY 464287465 63065 780,800 SH SOLE 1 780,800 - - ISHARES MSCI EAFE VALUE INDEX EQUITY 464288877 57 729 SH DEFINED 4 - - 729 ISHARES MSCI EMERGING MARKETS EQUITY 464287234 3499 26,620 SH DEFINED 4 - - 26,620 ISHARES MSCI EMU INDEX FUND EQUITY 464286608 188 1,595 SH DEFINED 4 - - 1,595 ISHARES MSCI FRANCE INDEX FUND EQUITY 464286707 8 200 SH DEFINED 4 - - 200 ISHARES MSCI GERMANY INDEX FUN EQUITY 464286806 46 1,400 SH DEFINED 4 - - 1,400 ISHARES MSCI HONG KONG INDEX F EQUITY 464286871 102 6,018 SH DEFINED 4 - - 6,018 ISHARES MSCI HONG KONG INDEX F EQUITY 464286871 2851 167,500 SH SOLE 1 167,500 - - ISHARES MSCI JAPAN INDEX FUND EQUITY 464286848 52 3,601 SH DEFINED 4 - - 3,601 ISHARES MSCI JAPAN INDEX FUND EQUITY 464286848 21081 1,453,050 SH SOLE 1 1,453,050 - - ISHARES MSCI MALAYSIA INDEX FU EQUITY 464286830 42 3,543 SH DEFINED 4 - - 3,543 ISHARES MSCI MEXICO INDEX FUND EQUITY 464286822 98 1,590 SH DEFINED 4 - - 1,590 ISHARES MSCI NETHERLANDS INDEX EQUITY 464286814 6 200 SH DEFINED 4 - - 200 ISHARES MSCI PACIFIC EX-JAPAN EQUITY 464286665 114 780 SH DEFINED 4 - - 780 ISHARES MSCI SOUTH AFRICA INDE EQUITY 464286780 15 120 SH DEFINED 4 - - 120 ISHARES MSCI SOUTH KOREA INDEX EQUITY 464286772 2017 33,424 SH DEFINED 4 - - 33,424 ISHARES MSCI SPAIN INDEX FUND EQUITY 464286764 20 340 SH DEFINED 4 - - 340 ISHARES MSCI SWEDEN INDEX FUND EQUITY 464286756 1805 50,030 SH DEFINED 4 - - 50,030 ISHARES MSCI SWITZERLAND INDEX EQUITY 464286749 5 200 SH DEFINED 4 - - 200 ISHARES MSCI UNITED KINGDOM IN EQUITY 464286699 10 400 SH DEFINED 4 - - 400 ISHARES NASDAQ BIOTECHNOLOGY I EQUITY 464287556 631 8,074 SH DEFINED 4 - - 8,074 ISHARES RUSSELL 1000 GROWTH IN EQUITY 464287614 1541 26,026 SH DEFINED 4 - - 26,026 ISHARES RUSSELL 1000 VALUE IND EQUITY 464287598 3131 36,096 SH DEFINED 4 - - 36,096 ISHARES RUSSELL 2000 GROWTH IN EQUITY 464287648 60 700 SH DEFINED 4 - - 700 ISHARES RUSSELL 2000 INDEX FUN EQUITY 464287655 362 4,364 SH DEFINED 4 - - 4,364 ISHARES RUSSELL 2000 INDEX FUN EQUITY 464287655 5803 70,000 SH SOLE 1 70,000 - - ISHARES RUSSELL 2000 VALUE IND EQUITY 464287630 1450 17,604 SH DEFINED 4 - - 17,604 ISHARES RUSSELL 3000 GROWTH IN EQUITY 464287671 9 177 SH DEFINED 4 - - 177 ISHARES RUSSELL 3000 VALUE IND EQUITY 464287663 144 1,279 SH DEFINED 4 - - 1,279 ISHARES RUSSELL MICROCAP INDEX EQUITY 464288869 47 770 SH DEFINED 4 - - 770 ISHARES RUSSELL MIDCAP GROWTH EQUITY 464287481 629 5,522 SH DEFINED 4 - - 5,522 ISHARES RUSSELL MIDCAP INDEX F EQUITY 464287499 72 661 SH DEFINED 4 - - 661 ISHARES RUSSELL MIDCAP VALUE I EQUITY 464287473 1395 8,860 SH DEFINED 4 - - 8,860 ISHARES S&P 100 INDEX FUND EQUITY 464287101 384 5,550 SH DEFINED 4 - - 5,550 ISHARES S&P 500 GROWTH INDEX F EQUITY 464287309 1638 23,852 SH DEFINED 4 - - 23,852 ISHARES S&P 500 INDEX FUND/US EQUITY 464287200 563 3,743 SH DEFINED 4 - - 3,743 ISHARES S&P 500 VALUE INDEX FU EQUITY 464287408 1751 21,432 SH DEFINED 4 - - 21,432 ISHARES S&P GLOBAL 100 INDEX F EQUITY 464287572 47 585 SH DEFINED 4 - - 585 ISHARES S&P GLOBAL 100 INDEX F EQUITY 464287572 281 3,500 SH SOLE 1 3,500 - - ISHARES S&P GLOBAL ENERGY SECT EQUITY 464287341 1447 11,190 SH DEFINED 4 - - 11,190 ISHARES S&P GLOBAL FINANCIALS EQUITY 464287333 872 9,515 SH DEFINED 4 - - 9,515 ISHARES S&P GLOBAL HEALTHCARE EQUITY 464287325 866 14,640 SH DEFINED 4 - - 14,640 ISHARES S&P GLOBAL MATERIALS S EQUITY 464288695 7 100 SH DEFINED 4 - - 100 ISHARES S&P GLOBAL TECHNOLOGY EQUITY 464287291 115 1,835 SH DEFINED 4 - - 1,835 ISHARES S&P GLOBAL TELECOMMUNI EQUITY 464287275 1137 15,825 SH DEFINED 4 - - 15,825 ISHARES S&P GLOBAL UTILITIES S EQUITY 464288711 1422 22,545 SH DEFINED 4 - - 22,545 ISHARES S&P GSCI COMMODITY IND EQUITY 46428R107 3 81 SH DEFINED 4 - - 81 ISHARES S&P GSSI NATURAL RESOU EQUITY 464287374 1064 8,877 SH DEFINED 4 - - 8,877 ISHARES S&P GSTI NETWORKING IN EQUITY 464287531 557 15,612 SH DEFINED 4 - - 15,612 ISHARES S&P GSTI SEMICONDUCTOR EQUITY 464287523 533 8,093 SH DEFINED 4 - - 8,093 ISHARES S&P GSTI SOFTWARE INDE EQUITY 464287515 426 8,955 SH DEFINED 4 - - 8,955 ISHARES S&P GSTI TECHNOLOGY IN EQUITY 464287549 556 9,824 SH DEFINED 4 - - 9,824 ISHARES S&P LATIN AMERICA 40 I EQUITY 464287390 2227 10,463 SH DEFINED 4 - - 10,463 ISHARES S&P MIDCAP 400 GROWTH EQUITY 464287606 39 430 SH DEFINED 4 - - 430 ISHARES S&P MIDCAP 400 INDEX F EQUITY 464287507 9 100 SH DEFINED 4 - - 100 ISHARES S&P MIDCAP 400/BARRA V EQUITY 464287705 94 1,080 SH DEFINED 4 - - 1,080 ISHARES S&P SMALLCAP 600 INDEX EQUITY 464287804 762 10,717 SH DEFINED 4 - - 10,717 ISHARES S&P SMALLCAP 600 VALUE EQUITY 464287879 1739 21,898 SH DEFINED 4 - - 21,898 ISHARES S&P SMALLCAP 600/BARRA EQUITY 464287887 1749 12,368 SH DEFINED 4 - - 12,368 ISHARES S&P/TOPIX 150 INDEX FU EQUITY 464287382 7 54 SH DEFINED 4 - - 54 ISHARES SILVER TRUST EQUITY 46428Q109 51 414 SH DEFINED 4 - - 414 ISILON SYSTEMS INC EQUITY 46432L104 109 7,085 SH SOLE 1 7,085 - - ISILON SYSTEMS INC EQUITY 46432L104 2418 156,800 SH SOLE 2 156,800 - - ISIS PHARMACEUTICALS INC EQUITY 464330109 15 1,600 SH DEFINED 4 - - 1,600 ISIS PHARMACEUTICALS INC EQUITY 464330109 665 68,675 SH SOLE 1 68,675 - - ISLE OF CAPRI CASINOS INC EQUITY 464592104 320 13,371 SH SOLE 1 13,371 - - ISOLAGEN INC EQUITY 46488N103 5 1,225 SH DEFINED 4 - - 1,225 ISTAR FINANCIAL INC EQUITY 45031U101 218 4,928 SH SOLE 1 4,928 - - ITC HOLDINGS CORP EQUITY 465685105 1437 35,364 SH SOLE 1 35,364 - - ITLA CAP CORP EQUITY 450565106 238 4,573 SH SOLE 1 4,573 - - ITRON INC EQUITY 465741106 1013 13,000 SH SOLE 2 13,000 - - ITRON INC EQUITY 465741106 1946 24,974 SH SOLE 1 24,974 - - ITT CORP EQUITY 450911102 16 234 SH SOLE 2 234 - - ITT CORP EQUITY 450911102 35 518 SH DEFINED 4 - - 518 ITT CORP EQUITY 450911102 21774 318,937 SH SOLE 1 318,937 - - ITT EDUCATIONAL SERVICES INC EQUITY 45068B109 563 4,800 SH SOLE 2 4,800 - - ITT EDUCATIONAL SERVICES INC EQUITY 45068B109 1085 9,241 SH DEFINED 4 - - 9,241 ITT EDUCATIONAL SERVICES INC EQUITY 45068B109 10674 90,935 SH SOLE 1 90,935 - - IVANHOE ENERGY INC EQUITY 465790103 19 10,000 SH DEFINED 4 - - 10,000 IVANHOE MINES LTD/CA EQUITY 46579N103 9078 639,297 SH OTHER 1 - 639,297 - IXIA EQUITY 45071R109 338 36,460 SH SOLE 1 36,460 - - IXYS CORP EQUITY 46600W106 180 21,540 SH SOLE 1 21,540 - - J CREW GROUP INC EQUITY 46612H402 1753 32,412 SH SOLE 1 32,412 - - J&J SNACK FOODS CORP EQUITY 466032109 440 11,653 SH SOLE 1 11,653 - - J2 GLOBAL COMMUNICATIONS INC EQUITY 46626E205 1434 41,076 SH SOLE 1 41,076 - - JA SOLAR HOLDINGS CO LTD EQUITY 466090107 1278 37,900 SH SOLE 1 37,900 - - JABIL CIRCUIT INC EQUITY 466313103 5 231 SH SOLE 2 231 - - JABIL CIRCUIT INC EQUITY 466313103 1806 81,819 SH SOLE 1 81,819 - - JACK HENRY & ASSOCIATES INC EQUITY 426281101 6523 253,306 SH SOLE 1 253,306 - - JACK IN THE BOX INC EQUITY 466367109 30 424 SH DEFINED 4 - - 424 JACK IN THE BOX INC EQUITY 466367109 362 5,100 SH SOLE 2 5,100 - - JACK IN THE BOX INC EQUITY 466367109 2603 36,692 SH SOLE 1 36,692 - - JACKSON HEWITT TAX SERVICE INC EQUITY 468202106 756 26,889 SH SOLE 1 26,889 - - JACKSON HEWITT TAX SERVICE INC EQUITY 468202106 11716 416,800 SH SOLE 2 416,800 - - JACOBS ENGINEERING GROUP INC EQUITY 469814107 721 12,531 SH DEFINED 4 - - 12,531 JACOBS ENGINEERING GROUP INC EQUITY 469814107 16714 290,633 SH SOLE 1 290,633 - - JAKKS PACIFIC INC EQUITY 47012E106 659 23,418 SH SOLE 1 23,418 - - JAMBA INC EQUITY 47023A101 396 43,284 SH SOLE 1 43,284 - - JAMES RIVER GROUP INC EQUITY 470359100 161 4,849 SH SOLE 1 4,849 - - JANUS CAPITAL GROUP INC EQUITY 47102X105 2354 84,543 SH SOLE 1 84,543 - - JARDEN CORP EQUITY 471109108 77 1,801 SH SOLE 1 1,801 - - JAVELIN PHARMACEUTICALS INC EQUITY 471894105 219 35,371 SH SOLE 1 35,371 - - JB HUNT TRANSPORT SERVICES INC EQUITY 445658107 7283 248,389 SH SOLE 1 248,389 - - JC PENNEY CO INC EQUITY 708160106 21 290 SH SOLE 2 290 - - JC PENNEY CO INC EQUITY 708160106 7794 107,687 SH SOLE 1 107,687 - - JDA SOFTWARE GROUP INC EQUITY 46612K108 419 21,364 SH SOLE 1 21,364 - - JDS UNIPHASE CORP EQUITY 46612J507 4 272 SH SOLE 2 272 - - JDS UNIPHASE CORP EQUITY 46612J507 1257 93,624 SH SOLE 1 93,624 - - JEFFERIES GROUP INC EQUITY 472319102 7097 263,065 SH SOLE 1 263,065 - - JER INVESTORS TRUST INC EQUITY 46614H301 323 21,534 SH SOLE 1 21,534 - - JETBLUE AIRWAYS CORP EQUITY 477143101 6855 583,370 SH SOLE 1 583,370 - - JM SMUCKER CO/THE EQUITY 832696405 7 112 SH DEFINED 4 - - 112 JM SMUCKER CO/THE EQUITY 832696405 8915 140,033 SH SOLE 1 140,033 - - JO-ANN STORES INC EQUITY 47758P307 1361 47,861 SH SOLE 1 47,861 - - JOHN HANCOCK PATRIOT PREMIUM D EQUITY 41013T105 69 6,296 SH DEFINED 4 - - 6,296 JOHN HANCOCK PREFERRED INCOME EQUITY 41013X106 530 22,280 SH DEFINED 4 - - 22,280 JOHN HANCOCK TAX-ADVANTAGED DI EQUITY 41013V100 20 1,041 SH DEFINED 4 - - 1,041 JOHN WILEY & SONS INC EQUITY 968223206 5253 108,778 SH SOLE 1 108,778 - - JOHNSON & JOHNSON EQUITY 478160104 577 9,366 SH DEFINED 4 - - 9,366 JOHNSON & JOHNSON EQUITY 478160104 67603 1,097,092 SH SOLE 2 1,097,092 - - JOHNSON & JOHNSON EQUITY 478160104 144982 2,352,845 SH SOLE 1 2,352,845 - - JOHNSON CONTROLS INC EQUITY 478366107 5 42 SH DEFINED 4 - - 42 JOHNSON CONTROLS INC EQUITY 478366107 29 254 SH SOLE 2 254 - - JOHNSON CONTROLS INC EQUITY 478366107 9901 85,524 SH SOLE 1 85,524 - - JONES APPAREL GROUP INC EQUITY 480074103 4 140 SH SOLE 2 140 - - JONES APPAREL GROUP INC EQUITY 480074103 1405 49,722 SH SOLE 1 49,722 - - JONES LANG LASALLE INC EQUITY 48020Q107 38 334 SH DEFINED 4 - - 334 JONES LANG LASALLE INC EQUITY 48020Q107 89 782 SH SOLE 1 782 - - JONES SODA CO EQUITY 48023P106 302 21,519 SH SOLE 1 21,519 - - JOS A BANK CLOTHIERS INC EQUITY 480838101 624 15,046 SH SOLE 1 15,046 - - JOURNAL COMMUNICATIONS INC EQUITY 481130102 510 39,190 SH SOLE 1 39,190 - - JOY GLOBAL INC EQUITY 481165108 15829 271,378 SH SOLE 1 271,378 - - JPMORGAN CHASE & CO EQUITY 46625H100 1246 25,720 SH DEFINED 4 - - 25,720 JPMORGAN CHASE & CO EQUITY 46625H100 17544 362,109 SH SOLE 2 362,109 - - JPMORGAN CHASE & CO EQUITY 46625H100 212082 4,377,075 SH SOLE 1 4,377,075 - - JUNIPER NETWORKS INC EQUITY 48203R104 18 730 SH SOLE 2 730 - - JUNIPER NETWORKS INC EQUITY 48203R104 18901 750,920 SH SOLE 1 750,920 - - K2 INC EQUITY 482732104 625 41,156 SH SOLE 1 41,156 - - KADANT INC EQUITY 48282T104 362 11,595 SH SOLE 1 11,595 - - KAISER ALUMINUM CORP EQUITY 483007704 916 12,566 SH SOLE 1 12,566 - - KAMAN CORP EQUITY 483548103 632 20,258 SH SOLE 1 20,258 - - KANSAS CITY LIFE INSURANCE CO EQUITY 484836101 180 3,868 SH SOLE 1 3,868 - - KANSAS CITY SOUTHERN EQUITY 485170302 80 2,135 SH SOLE 1 2,135 - - KAYDON CORP EQUITY 486587108 1227 23,535 SH SOLE 1 23,535 - - KAYNE ANDERSON ENERGY DEVELOPM EQUITY 48660Q102 210 8,321 SH SOLE 1 8,321 - - KB HOME EQUITY 48666K109 1416 35,969 SH SOLE 1 35,969 - - KB HOME EQUITY 48666K109 2866 72,799 SH SOLE 2 72,799 - - KBR INC EQUITY 48242W106 10874 414,558 SH SOLE 1 414,558 - - KBW INC EQUITY 482423100 715 24,352 SH SOLE 1 24,352 - - KEARNY FINANCIAL CORP EQUITY 487169104 240 17,814 SH SOLE 1 17,814 - - KELLOGG CO EQUITY 487836108 713 13,761 SH SOLE 2 13,761 - - KELLOGG CO EQUITY 487836108 31479 607,817 SH SOLE 1 607,817 - - KELLWOOD CO EQUITY 488044108 1542 54,825 SH SOLE 1 54,825 - - KELLY SERVICES INC EQUITY 488152208 1977 71,983 SH SOLE 1 71,983 - - KEMET CORP EQUITY 488360108 1930 273,762 SH SOLE 1 273,762 - - KENDLE INTERNATIONAL INC EQUITY 48880L107 388 10,563 SH SOLE 1 10,563 - - KENEXA CORP EQUITY 488879107 793 21,025 SH SOLE 1 21,025 - - KENNAMETAL INC EQUITY 489170100 8015 97,704 SH SOLE 1 97,704 - - KENNETH COLE PRODUCTIONS INC EQUITY 193294105 204 8,269 SH SOLE 1 8,269 - - KENSEY NASH CORP EQUITY 490057106 266 9,924 SH SOLE 1 9,924 - - KERYX BIOPHARMACEUTICALS INC EQUITY 492515101 354 36,250 SH SOLE 1 36,250 - - KEYCORP EQUITY 493267108 17 505 SH SOLE 2 505 - - KEYCORP EQUITY 493267108 18040 525,494 SH SOLE 1 525,494 - - KEYNOTE SYSTEMS INC EQUITY 493308100 214 13,055 SH SOLE 1 13,055 - - KEYSPAN CORP EQUITY 49337W100 1 25 SH DEFINED 4 - - 25 KEYSPAN CORP EQUITY 49337W100 9 226 SH SOLE 2 226 - - KEYSPAN CORP EQUITY 49337W100 33947 808,655 SH SOLE 1 808,655 - - KEYSTONE AUTOMOTIVE INDUSTRIES EQUITY 49338N109 563 13,610 SH SOLE 1 13,610 - - K-FED BANCORP EQUITY 48246S101 64 4,080 SH SOLE 1 4,080 - - KFORCE INC EQUITY 493732101 431 26,952 SH SOLE 1 26,952 - - KIMBALL INTERNATIONAL INC EQUITY 494274103 308 21,987 SH SOLE 1 21,987 - - KIMBERLY-CLARK CORP EQUITY 494368103 14 211 SH DEFINED 4 - - 211 KIMBERLY-CLARK CORP EQUITY 494368103 3335 49,856 SH SOLE 2 49,856 - - KIMBERLY-CLARK CORP EQUITY 494368103 13424 200,693 SH SOLE 1 200,693 - - KIMCO REALTY CORP EQUITY 49446R109 11 292 SH SOLE 2 292 - - KIMCO REALTY CORP EQUITY 49446R109 9680 254,280 SH SOLE 1 254,280 - - KINDER MORGAN ENERGY PARTNERS EQUITY 494550106 86 1,558 SH DEFINED 4 - - 1,558 KINDER MORGAN MANAGEMENT LLC EQUITY 49455U100 363 6,988 SH DEFINED 4 - - 6,988 KINDRED HEALTHCARE INC EQUITY 494580103 3907 127,167 SH SOLE 1 127,167 - - KINETIC CONCEPTS INC EQUITY 49460W208 67 1,291 SH SOLE 1 1,291 - - KING PHARMACEUTICALS INC EQUITY 495582108 6 314 SH SOLE 2 314 - - KING PHARMACEUTICALS INC EQUITY 495582108 14680 717,513 SH SOLE 1 717,513 - 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