UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                             Washington D.C. 20549

                                   Form 13F

                              Form 13F Cover Page

Report for Calendar Year or Quarter Ended: March 31, 2009

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:     State Street Corporation
Address:  One Lincoln Street
          Boston, Massachusetts 02111

Form 13F File Number:  28-00399

The institutional investment manager filing this report and the person by whom
it is signed hereby 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 the reporting manager:

Name:       James J. Malerba
Title       Executive Vice President and Corporate Controller
Telephone:  617-664-8697

Signature, Place, and Date of Signing:

/s/JAMES J. MALERBA    Boston, Massachusetts           May 6, 2009
-------------------  -------------------------  -------------------------
    [Signature]            [City, State]                 [Date]

Report Type (Check only one):

[ ] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager
    are reported in this report.)

[ ] 13F NOTICE. (Check here if no holdings reported are in this report and all
    holdings are reported by other reporting manager(s).)

[X] 13F COMBINATION REPORT. (Check here 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

List of Other Managers Reporting for this Manager:
(if there are no entries in this list, omit this section.)

  28-00096  Capital Guardian Trust Company

  28-10372  Philadelphia International Advisors, L.P.

  28-02924  Turner Investment Partners Inc. (Turner Investment Partners)

  28-03570  AXA (Alliance Capital Management L.P.)

  28-00115  T. Rowe Price Associates, Inc.

  28-00694  JP Morgan Chase & Co (JP Morgan Fleming Asset Management Limited)

  28-03459  Smith Asset Management Group L.P.

  28-04557  Wellington Management Company LLP

Report Summary:

Number of Other Included Managers:       11
Form 13F Information Table Entry Total:  3,776
Form 13F Information Table Value Total:  318,105,361 (thousands)

List of Other Included Managers:

Provide a numbered list of the names(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. [If there are no entries in this
list, state "NONE" and omit the column headings and list entries.]

     Form 13F
       File
No.   Number  Name
---  -------- -----------------------------------------------

  1  28-00733 State Street Bank and Trust Company

  2  28-11338 SSgA Funds Management, Inc.

  3  28-11339 Tuckerman Group, LLC

  4  28-11328 Rexiter Capital Management LTD

  5  28-11326 State Street Global Advisors LTD

  6  28-11327 State Street Global Advisors Ltd.

  7  28-11329 State Street Banque, SA

  8  28-11330 State Street Global Advisors, Australia

  10 28-11332 State Street Global Advisors (Japan) Co., Ltd.

  12 28-11331 State Street Global Advisors Asia LTD

  13 28-11334 State Street Global Advisors GmbH



                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF              VALUE   SHARES OR  SH/  PUT/ INVESTMENT                          VOTING AUTHORITY
   NAME OF ISSUER       CLASS      CUSIP    (x1000)   PRN AMT   PRN  CALL DISCRETION     OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ----------- -------- --------- ---------- ---  ---- ----------  -------------------- ---------- ------ ----
                                                                                            
1 800 FLOWERS COM     CL A        68243Q10       989    477,765 SH         DEFINED    1,2,5,6                 477,765
1ST SOURCE CORP       COM         33690110     7,261    402,247 SH         DEFINED    1,2,5                   402,247
3COM CORP             COM         88553510    44,324 14,344,298 SH         DEFINED    1,2,5                14,344,298
3-D SYS CORP DEL      COM NEW     88554D20     1,833    278,201 SH         DEFINED    1,2,6                   278,201
3M CO                 COM         88579Y10 2,630,752 52,911,337 SH         DEFINED    1,2,5,6,7,8,10,12,13 52,911,337
3PAR INC              COM         88580F10     3,310    503,880 SH         DEFINED    1,2,6                   503,880
4 KIDS ENTMT INC      COM         35086510        20     17,936 SH         DEFINED    1                        17,936
8X8 INC NEW           COM         28291410        24     41,863 SH         DEFINED    1                        41,863
99 CENTS ONLY STORES  COM         65440K10    12,038  1,302,821 SH         DEFINED    1,2,5,6               1,302,821
A C MOORE ARTS & CRA  COM         00086T10        36     19,251 SH         DEFINED    1                        19,251
A D C TELECOMMUNICAT  COM NEW     00088630     9,101  2,073,061 SH         DEFINED    1,2,5,6,10            2,073,061
A H BELO CORP         COM CL A    00128210       361    368,713 SH         DEFINED    1,2                     368,713
AAON INC              COM PAR $0  00036020     4,730    261,035 SH         DEFINED    1,2,5,6                 261,035
AAR CORP              COM         00036110    10,381    827,795 SH         DEFINED    1,2,5,6                 827,795
AARON RENTS INC       COM         00253520    55,541  2,083,293 SH         DEFINED    1,2,5,6               2,083,293
AASTROM BIOSCIENCES   COM         00253U10        52    137,207 SH         DEFINED    1                       137,207
ABAXIS INC            COM         00256710     7,081    410,715 SH         DEFINED    1,2,6                   410,715
ABB LTD               SPONSORED   00037520       689     49,434 SH         DEFINED    1                        49,434
ABBOTT LABS           COM         00282410 2,512,528 52,673,540 SH         DEFINED    1,2,5,6,7,8,10,12,13 52,673,540
ABERCROMBIE & FITCH   CL A        00289620    69,054  2,901,415 SH         DEFINED    1,2,5,6,7,8,10,12,13  2,901,415
ABINGTON BANCORP INC  COM         00350L10     3,475    419,745 SH         DEFINED    1,2                     419,745
ABIOMED INC           COM         00365410     2,862    583,995 SH         DEFINED    1,2,5,6                 583,995
ABITIBIBOWATER INC    COM         00368710       536    975,189 SH         DEFINED    1,2,5,6                 975,189
ABM INDS INC          COM         00095710    21,046  1,283,304 SH         DEFINED    1,2,5                 1,283,304
ABRAXAS PETE CORP     COM         00383010       612    594,615 SH         DEFINED    1,2,5                   594,615
ABRAXIS BIOSCIENCE I  COM         00383Y10     4,011     84,124 SH         DEFINED    1,2,5,10                 84,124
ACACIA RESH CORP      ACACIA TCH  00388130       141     34,633 SH         DEFINED    1,5                      34,633
ACADIA PHARMACEUTICA  COM         00422510       509    535,873 SH         DEFINED    1,2                     535,873
ACADIA RLTY TR        COM SH BEN  00423910    14,252  1,343,260 SH         DEFINED    1,2,3,5               1,343,260
ACCELRYS INC          COM         00430U10     1,277    320,822 SH         DEFINED    1,2                     320,822
ACCENTURE LTD BERMUD  CL A        G1150G11   259,428  9,437,190 SH         DEFINED    1,2,5,6,7,8,10,12,13  9,437,190
ACCESS INTEGRATED TE  CL A        00432910        19     30,202 SH         DEFINED    1                        30,202
ACCO BRANDS CORP      COM         00081T10       994  1,014,569 SH         DEFINED    1,2,5                 1,014,569
ACCURAY INC           COM         00439710     2,958    587,974 SH         DEFINED    1,2,5,6                 587,974
ACE LTD               SHS         H0023R10    95,167  2,355,616 SH         DEFINED    1,2,5,6,7,8,10,12,13  2,355,616
ACETO CORP            COM         00444610     2,463    413,292 SH         DEFINED    1,2                     413,292
ACI WORLDWIDE INC     COM         00449810    21,829  1,164,194 SH         DEFINED    1,2,5,6               1,164,194
ACME PACKET INC       COM         00476410     2,786    458,932 SH         DEFINED    1,2,5,6                 458,932
ACORDA THERAPEUTICS   COM         00484M10    27,834  1,405,069 SH         DEFINED    1,2,5,6               1,405,069
ACTEL CORP            COM         00493410     7,224    713,845 SH         DEFINED    1,2,5,6                 713,845
ACTIONS SEMICONDUCTO  ADR         00507E10       105     65,759 SH         DEFINED    2                        65,759
ACTIVE POWER INC      COM         00504W10        33     55,230 SH         DEFINED    1                        55,230
ACTIVIDENTITY CORP    COM         00506P10        93     45,355 SH         DEFINED    1                        45,355
ACTIVISION BLIZZARD   COM         00507V10   111,144 10,625,655 SH         DEFINED    1,2,5,6,7,8,10,12,13 10,625,655
ACTUANT CORP          CL A NEW    00508X20    12,863  1,245,220 SH         DEFINED    1,2,5,6               1,245,220




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
ACTUATE CORP          COM        00508B10   3,006    982,382 SH        DEFINED   1,2,5                   982,382
ACUITY BRANDS INC     COM        00508Y10  19,268    854,817 SH        DEFINED   1,2,5,6                 854,817
ACURA PHARMACEUTICAL  COM NEW    00509L70     690    107,520 SH        DEFINED   1,2                     107,520
ACXIOM CORP           COM        00512510  21,916  2,961,667 SH        DEFINED   1,2,5,6               2,961,667
ADAPTEC INC           COM        00651F10   6,800  2,833,455 SH        DEFINED   1,2,5                 2,833,455
ADMINISTAFF INC       COM        00709410  10,516    497,704 SH        DEFINED   1,2,5,6                 497,704
ADOBE SYS INC         COM        00724F10 369,741 17,285,689 SH        DEFINED   1,2,5,6,7,8,10,12,13 17,285,689
ADOLOR CORP           COM        00724X10   1,574    771,651 SH        DEFINED   1,2                     771,651
ADTRAN INC            COM        00738A10  29,070  1,793,340 SH        DEFINED   1,2,5,6,7,8           1,793,340
ADVANCE AMER CASH AD  COM        00739W10   1,729  1,022,953 SH        DEFINED   1,2,5                 1,022,953
ADVANCE AUTO PARTS I  COM        00751Y10 117,095  2,850,417 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,850,417
ADVANCED ANALOGIC TE  COM        00752J10   2,688    746,774 SH        DEFINED   1,2,5,6                 746,774
ADVANCED BATTERY TEC  COM        00752H10   1,377    643,340 SH        DEFINED   1,2                     643,340
ADVANCED ENERGY INDS  COM        00797310   4,850    644,037 SH        DEFINED   1,2,5,6                 644,037
ADVANCED MICRO DEVIC  NOTE 6.00  007903AL     374  1,000,000 SH        DEFINED   1                     1,000,000
ADVANCED MICRO DEVIC  COM        00790310  61,279 20,091,335 SH        DEFINED   1,2,5,6,7,8,10,12,13 20,091,335
ADVANCED SEMICONDUCT  SPONSORED  00756M40   1,068    425,385 SH        DEFINED   1,6,8                   425,385
ADVANTA CORP          CL B       00794220     456    691,180 SH        DEFINED   1,2,5                   691,180
ADVENT SOFTWARE INC   COM        00797410  15,477    464,629 SH        DEFINED   1,2,5,6                 464,629
ADVENTRX PHARMACEUTI  COM        00764X10      11     63,059 SH        DEFINED   1                        63,059
ADVISORY BRD CO       COM        00762W10   5,073    305,951 SH        DEFINED   1,2,5,6                 305,951
AECOM TECHNOLOGY COR  COM        00766T10  49,413  1,894,663 SH        DEFINED   1,2,5,7,10            1,894,663
AEGON N V             NY REGISTR 00792410     254     66,131 SH        DEFINED   1,2                      66,131
AEP INDS INC          COM        00103110   1,394     91,320 SH        DEFINED   1,2                      91,320
AERCAP HOLDINGS NV    SHS        N0098510      57     17,508 SH        DEFINED   1,5                      17,508
AEROPOSTALE           COM        00786510  62,027  2,335,346 SH        DEFINED   1,2,5,6,10            2,335,346
AEROVIRONMENT INC     COM        00807310   3,951    189,054 SH        DEFINED   1,2,5,6                 189,054
AES CORP              COM        00130H10 162,070 27,894,974 SH        DEFINED   1,2,5,6,7,8,10,12,13 27,894,974
AETNA INC NEW         COM        00817Y10 662,132 27,214,627 SH        DEFINED   1,2,5,6,7,8,10,12,13 27,214,627
AFC ENTERPRISES INC   COM        00104Q10   2,116    469,085 SH        DEFINED   1,2,5,6                 469,085
AFFILIATED COMPUTER   CL A       00819010 195,336  4,078,849 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,078,849
AFFILIATED MANAGERS   COM        00825210  36,443    873,730 SH        DEFINED   1,2,5,6,10              873,730
AFFYMAX INC           COM        00826A10   2,822    175,164 SH        DEFINED   1,2,6                   175,164
AFFYMETRIX INC        COM        00826T10   7,054  2,157,105 SH        DEFINED   1,2,5,6               2,157,105
AFLAC INC             COM        00105510 353,016 18,234,290 SH        DEFINED   1,2,5,6,7,8,10,12,13 18,234,290
AGCO CORP             COM        00108410  47,222  2,409,262 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,409,262
AGFEED INDUSTRIES IN  COM        00846L10     585    258,806 SH        DEFINED   1,2                     258,806
AGILENT TECHNOLOGIES  COM        00846U10 171,948 11,187,253 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,187,253
AGILYSYS INC          COM        00847J10   2,539    590,578 SH        DEFINED   1,2,5                   590,578
AGL RES INC           COM        00120410  41,764  1,574,228 SH        DEFINED   1,2,5,6,10            1,574,228
AGREE REALTY CORP     COM        00849210   2,891    184,260 SH        DEFINED   1,2,3                   184,260
AIR METHODS CORP      COM PAR $. 00912830   3,381    199,931 SH        DEFINED   1,2,6                   199,931
AIR PRODS & CHEMS IN  COM        00915810 412,308  7,329,917 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,329,917
AIR TRANSPORT SERVIC  COM        00922R10      29     38,433 SH        DEFINED   1                        38,433
AIRCASTLE LTD         COM        G0129K10   3,353    721,041 SH        DEFINED   1,2,5                   721,041




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
AIRGAS INC            COM        00936310  53,046  1,568,939 SH        DEFINED   1,2,5,6,10            1,568,939
AIRSPAN NETWORKS INC  COM        00950H10       3     17,069 SH        DEFINED   1                        17,069
AIRTRAN HLDGS INC     COM        00949P10  14,166  3,113,453 SH        DEFINED   1,2,5,6               3,113,453
AIRVANA INC           COM        00950V10   2,107    360,185 SH        DEFINED   1,2,6                   360,185
AK STL HLDG CORP      COM        00154710  39,330  5,523,811 SH        DEFINED   1,2,5,6,8,10,13       5,523,811
AKAMAI TECHNOLOGIES   COM        00971T10 106,392  5,484,131 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,484,131
AKEENA SOLAR INC DE   COM        00972010     301    268,851 SH        DEFINED   1,2                     268,851
AKORN INC             COM        00972810     744    865,095 SH        DEFINED   1,2,5,6                 865,095
ALAMO GROUP INC       COM        01131110     954     89,477 SH        DEFINED   1,2                      89,477
ALASKA AIR GROUP INC  COM        01165910  34,274  1,950,716 SH        DEFINED   1,2,5,6,7             1,950,716
ALASKA COMMUNICATION  COM        01167P10   5,400    805,942 SH        DEFINED   1,2,5                   805,942
ALBANY INTL CORP      CL A       01234810   5,827    643,879 SH        DEFINED   1,2,5                   643,879
ALBANY MOLECULAR RES  COM        01242310   6,860    727,430 SH        DEFINED   1,2,5,6                 727,430
ALBEMARLE CORP        COM        01265310  37,269  1,711,933 SH        DEFINED   1,2,5,6,10            1,711,933
ALBERTO CULVER CO NE  COM        01307810  40,876  1,807,868 SH        DEFINED   1,2,5,6,8,10,12       1,807,868
ALCATEL-LUCENT        SPONSORED  01390430     604    324,819 SH        DEFINED   1,5,8,12                324,819
ALCOA INC             COM        01381710 304,407 41,472,371 SH        DEFINED   1,2,5,6,7,8,10,12,13 41,472,371
ALCON INC             COM SHS    H0130110  12,026    132,283 SH        DEFINED   1,2,5,6,8,12            132,283
ALESCO FINL INC       COM        01448510      22     45,924 SH        DEFINED   1                        45,924
ALEXANDER & BALDWIN   COM        01448210  16,074    844,683 SH        DEFINED   1,2,5,6,10              844,683
ALEXANDERS INC        COM        01475210  13,608     79,870 SH        DEFINED   1,2,3,5,6                79,870
ALEXANDRIA REAL ESTA  COM        01527110  48,632  1,336,040 SH        DEFINED   1,2,3,5,6,10          1,336,040
ALEXION PHARMACEUTIC  COM        01535110  87,021  2,310,703 SH        DEFINED   1,2,5,6,7,8           2,310,703
ALEXZA PHARMACEUTICA  COM        01538410     798    361,243 SH        DEFINED   1,2                     361,243
ALICO INC             COM        01623010   1,489     62,041 SH        DEFINED   1,2,5                    62,041
ALIGN TECHNOLOGY INC  COM        01625510  10,257  1,293,485 SH        DEFINED   1,2,5,6               1,293,485
ALKERMES INC          COM        01642T10  44,088  3,634,617 SH        DEFINED   1,2,5,6               3,634,617
ALLEGHANY CORP DEL    COM        01717510  16,536     61,057 SH        DEFINED   1,2,5,8,10               61,057
ALLEGHENY ENERGY INC  COM        01736110 143,518  6,194,143 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,194,143
ALLEGHENY TECHNOLOGI  COM        01741R10  85,858  3,915,114 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,915,114
ALLEGIANT TRAVEL CO   COM        01748X10  11,064    243,368 SH        DEFINED   1,2,5,6                 243,368
ALLERGAN INC          COM        01849010 475,345  9,952,783 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,952,783
ALLETE INC            COM NEW    01852230  18,460    691,659 SH        DEFINED   1,2,5                   691,659
ALLIANCE DATA SYSTEM  COM        01858110 118,131  3,197,052 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,197,052
ALLIANCE FIBER OPTIC  COM        01868010       7     10,771 SH        DEFINED   1                        10,771
ALLIANCE HEALTHCARE   COM NEW    01860620   5,146    756,703 SH        DEFINED   1,2,5,6                 756,703
ALLIANCE HOLDINGS GP  COM UNITS  01861G10     248     15,426 SH        DEFINED   1,2                      15,426
ALLIANCE ONE INTL IN  COM        01877210   7,384  1,922,866 SH        DEFINED   1,2,5                 1,922,866
ALLIANCE RES PARTNER  UT LTD PAR 01877R10     796     27,356 SH        DEFINED   1,2                      27,356
ALLIANCEBERNSTEIN HO  UNIT LTD P 01881G10     669     45,439 SH        DEFINED   1,2                      45,439
ALLIANT ENERGY CORP   COM        01880210  70,664  2,862,046 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,862,046
ALLIANT TECHSYSTEMS   COM        01880410  52,557    784,671 SH        DEFINED   1,2,5,6,8,10,12         784,671
ALLIANZ SE            SP ADR 1/1 01880510   1,259    150,640 SH        DEFINED   1,2                     150,640
ALLIED CAP CORP NEW   COM        01903Q10   4,625  2,908,540 SH        DEFINED   1,2,5,6,7,8,10,12     2,908,540
ALLIED HEALTHCARE IN  COM        01923A10      35     27,326 SH        DEFINED   1                        27,326




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                           
ALLIED IRISH BKS P L  SPON ADR O 01922840        70     45,182 SH        DEFINED   1                          45,182
ALLIED NEVADA GOLD C  COM        01934410     4,269    729,695 SH        DEFINED   1,2                       729,695
ALLIED WRLD ASSUR CO  SHS        G0219G20    22,148    582,374 SH        DEFINED   1,2,5,7,10                582,374
ALLION HEALTHCARE IN  COM        01961510       177     38,445 SH        DEFINED   1,5                        38,445
ALLIS CHALMERS ENERG  COM PAR $. 01964550       917    475,305 SH        DEFINED   1,2,5                     475,305
ALLOS THERAPEUTICS I  COM        01977710     6,466  1,046,278 SH        DEFINED   1,2,5,6                 1,046,278
ALLOY INC             NEW COM    01985530        61     14,486 SH        DEFINED   1                          14,486
ALLSCRIPT MISYS HEAL  COM        01988P10    23,535  2,287,124 SH        DEFINED   1,2,5,6                 2,287,124
ALLSTATE CORP         COM        02000210   387,600 20,240,199 SH        DEFINED   1,2,5,6,7,8,10,12,13   20,240,199
ALMOST FAMILY INC     COM        02040910     2,025    106,053 SH        DEFINED   1,2,6                     106,053
ALNYLAM PHARMACEUTIC  COM        02043Q10    32,675  1,716,129 SH        DEFINED   1,2,5,6                 1,716,129
ALON USA ENERGY INC   COM        02052010     2,976    217,217 SH        DEFINED   1,2,5,6                   217,217
ALPHA NATURAL RESOUR  COM        02076X10    28,487  1,604,891 SH        DEFINED   1,2,5,6,7,8,10,12,13    1,604,891
ALPHATEC HOLDINGS IN  COM        02081G10       480    271,385 SH        DEFINED   1,2                       271,385
ALTAIR NANOTECHNOLOG  COM        02137310       116    109,119 SH        DEFINED   1,5                       109,119
ALTERA CORP           COM        02144110   173,730  9,899,125 SH        DEFINED   1,2,5,6,7,8,10,12,13    9,899,125
ALTRA HOLDINGS INC    COM        02208R10     2,290    590,115 SH        DEFINED   1,2                       590,115
ALTRIA GROUP INC      COM        02209S10 1,390,242 86,781,665 SH        DEFINED   1,2,5,6,7,8,10,12,13   86,781,665
ALTUS PHARMACEUTICAL  COM        02216N10         5     22,260 SH        DEFINED   1                          22,260
ALUMINA LTD           SPONSORED  02220510       157     42,452 SH        DEFINED   1                          42,452
ALVARION LTD          SHS        M0861T10       159     47,953 SH        DEFINED   1,2                        47,953
AMAG PHARMACEUTICALS  COM        00163U10    11,778    320,314 SH        DEFINED   1,2,5,6                   320,314
AMAZON COM INC        COM        02313510   769,592 10,479,196 SH        DEFINED   1,2,5,6,7,8,10,12,13   10,479,196
AMB PROPERTY CORP     COM        00163T10    68,435  4,752,460 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  4,752,460
AMBAC FINL GROUP INC  COM        02313910     4,581  5,873,600 SH        DEFINED   1,2,5,6                 5,873,600
AMBASSADORS GROUP IN  COM        02317710     2,630    323,929 SH        DEFINED   1,2,5,6                   323,929
AMCOL INTL CORP       COM        02341W10     7,281    490,658 SH        DEFINED   1,2,5,6                   490,658
AMCORE FINL INC       COM        02391210       611    381,967 SH        DEFINED   1,2,5                     381,967
AMDOCS LTD            ORD        G0260210    31,198  1,684,573 SH        DEFINED   1,5,6,8,10,12           1,684,573
AMEDISYS INC          COM        02343610    18,255    664,046 SH        DEFINED   1,2,5,6                   664,046
AMERCO                COM        02358610     6,603    196,930 SH        DEFINED   1,2,5,6                   196,930
AMEREN CORP           COM        02360810   185,062  7,980,236 SH        DEFINED   1,2,5,6,7,8,10,12,13    7,980,236
AMERICA MOVIL SAB DE  SPON ADR L 02364W10    91,865  3,392,372 SH        DEFINED   1,2,4,5,7,8             3,392,372
AMERICA SVC GROUP IN  COM        02364L10       178     13,673 SH        DEFINED   1,5                        13,673
AMERICAN APPAREL INC  COM        02385010     1,479    506,486 SH        DEFINED   1,2,5,6                   506,486
AMERICAN AXLE & MFG   COM        02406110     1,195    905,197 SH        DEFINED   1,2,5                     905,197
AMERICAN CAMPUS CMNT  COM        02483510    26,890  1,548,975 SH        DEFINED   1,2,3,5                 1,548,975
AMERICAN CAP LTD      COM        02503Y10     4,409  2,357,964 SH        DEFINED   1,2,5,6,8,10            2,357,964
AMERICAN CAPITAL AGE  COM        02503X10     3,504    204,801 SH        DEFINED   1,2                       204,801
AMERICAN COMMERCIAL   COM NEW    02519520     2,565    809,293 SH        DEFINED   1,2,5,6                   809,293
AMERICAN DAIRY INC    COM        02533410     1,771    103,675 SH        DEFINED   1,2                       103,675
AMERICAN EAGLE OUTFI  COM        02553E10    58,075  4,744,699 SH        DEFINED   1,2,5,6,7,8,10,12,13    4,744,699
AMERICAN ECOLOGY COR  COM NEW    02553340     4,104    294,429 SH        DEFINED   1,2,5,6                   294,429
AMERICAN ELEC PWR IN  COM        02553710   411,757 16,300,746 SH        DEFINED   1,2,5,6,7,8,10,12,13   16,300,746
AMERICAN EQTY INVT L  COM        02567620     5,983  1,438,134 SH        DEFINED   1,2,5                   1,438,134




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
AMERICAN EXPRESS CO   COM        02581610   657,846 48,264,569 SH        DEFINED   1,2,5,6,7,8,10,12,13 48,264,569
AMERICAN FINL GROUP   COM        02593210    30,801  1,919,079 SH        DEFINED   1,2,5,6,7,8,10        1,919,079
AMERICAN GREETINGS C  CL A       02637510     6,897  1,363,010 SH        DEFINED   1,2,5                 1,363,010
AMERICAN INTL GROUP   COM        02687410    99,792 99,792,327 SH        DEFINED   1,2,5,6,7,8,10,12,13 99,792,327
AMERICAN INTL GROUP   UNIT 99/99 02687411        72     13,350 SH        DEFINED   1                        13,350
AMERICAN ITALIAN PAS  CL A       02707010       940     27,013 SH        DEFINED   1,2                      27,013
AMERICAN MED SYS HLD  COM        02744M10    16,562  1,485,350 SH        DEFINED   1,2,5,6               1,485,350
AMERICAN NATL INS CO  COM        02859110     8,908    169,977 SH        DEFINED   1,2,5,6,10              169,977
AMERICAN OIL & GAS I  COM        02872310       442    574,468 SH        DEFINED   1,2                     574,468
AMERICAN ORIENTAL BI  COM        02873110     4,340  1,124,448 SH        DEFINED   1,2,5,6               1,124,448
AMERICAN PHYSICIANS   COM        02888410     9,456    231,076 SH        DEFINED   1,2                     231,076
AMERICAN PUBLIC EDUC  COM        02913V10     8,767    208,439 SH        DEFINED   1,2,5,6                 208,439
AMERICAN RAILCAR IND  COM        02916P10     1,393    182,533 SH        DEFINED   1,2,5,6                 182,533
AMERICAN REPROGRAPHI  COM        02926310     2,650    748,683 SH        DEFINED   1,2,5,6                 748,683
AMERICAN SAFETY INS   ORD        G0299510     1,587    137,852 SH        DEFINED   1                       137,852
AMERICAN SCIENCE & E  COM        02942910    11,457    205,319 SH        DEFINED   1,2,5,6                 205,319
AMERICAN SOFTWARE IN  CL A       02968310     1,919    364,133 SH        DEFINED   1,2                     364,133
AMERICAN STS WTR CO   COM        02989910    13,301    366,204 SH        DEFINED   1,2,5                   366,204
AMERICAN SUPERCONDUC  COM        03011110    13,439    776,398 SH        DEFINED   1,2,5,6                 776,398
AMERICAN TECHNOLOGY   COM NEW    03014520        21     28,203 SH        DEFINED   1                        28,203
AMERICAN TOWER CORP   CL A       02991220   388,025 12,751,412 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,751,412
AMERICAN VANGUARD CO  COM        03037110     4,426    343,111 SH        DEFINED   1,2,6                   343,111
AMERICAN WOODMARK CO  COM        03050610     5,426    308,980 SH        DEFINED   1,2,5                   308,980
AMERICAN WTR WKS CO   COM        03042010    14,639    760,872 SH        DEFINED   1,2,5,7,8,10            760,872
AMERICANWEST BANCORP  COM        03058P10        19     15,968 SH        DEFINED   1                        15,968
AMERICAS CAR MART IN  COM        03062T10     2,220    163,364 SH        DEFINED   1,2,5                   163,364
AMERICREDIT CORP      COM        03060R10    15,103  2,577,245 SH        DEFINED   1,2,5,6,10            2,577,245
AMERIGAS PARTNERS L   UNIT L P I 03097510     1,191     42,109 SH        DEFINED   1,2                      42,109
AMERIGON INC          COM        03070L30     1,301    351,573 SH        DEFINED   1,2,5                   351,573
AMERIGROUP CORP       COM        03073T10    40,277  1,462,495 SH        DEFINED   1,2,5                 1,462,495
AMERIPRISE FINL INC   COM        03076C10   192,297  9,384,937 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,384,937
AMERIS BANCORP        COM        03076K10     1,418    301,142 SH        DEFINED   1,2                     301,142
AMERISAFE INC         COM        03071H10     6,704    437,609 SH        DEFINED   1,2                     437,609
AMERISERV FINL INC    COM        03074A10        17     10,294 SH        DEFINED   1                        10,294
AMERISOURCEBERGEN CO  COM        03073E10   179,400  5,492,963 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,492,963
AMERISTAR CASINOS IN  COM        03070Q10     6,034    479,648 SH        DEFINED   1,2,5                   479,648
AMERITYRE CORP        COM        03073V10         3     12,400 SH        DEFINED   1                        12,400
AMERON INTL INC       COM        03071010     9,841    186,873 SH        DEFINED   1,2,5                   186,873
AMES NATL CORP        COM        03100110     1,770    103,590 SH        DEFINED   1,2                     103,590
AMETEK INC NEW        COM        03110010    77,815  2,488,502 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,488,502
AMGEN INC             NOTE 0.12  031162AN     1,863  2,000,000 SH        DEFINED   1                     2,000,000
AMGEN INC             COM        03116210 1,865,127 37,664,124 SH        DEFINED   1,2,5,6,7,8,10,12,13 37,664,124
AMICAS INC            COM        00171210        92     45,523 SH        DEFINED   1                        45,523
AMICUS THERAPEUTICS   COM        03152W10     1,641    179,693 SH        DEFINED   1,2,6                   179,693
AMKOR TECHNOLOGY INC  COM        03165210     6,211  2,308,889 SH        DEFINED   1,2,5,6,8             2,308,889




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
AMN HEALTHCARE SERVI  COM        00174410     4,211    825,605 SH        DEFINED   1,2,5,6                 825,605
AMPAL AMERN ISRAEL C  CL A       03201510       520    304,065 SH        DEFINED   1,2                     304,065
AMPCO-PITTSBURGH COR  COM        03203710     2,736    206,355 SH        DEFINED   1,2,6                   206,355
AMPHENOL CORP NEW     CL A       03209510   158,367  5,558,695 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,558,695
AMR CORP              COM        00176510    11,610  3,639,607 SH        DEFINED   1,2,5,8,10            3,639,607
AMREP CORP NEW        COM        03215910       532     33,899 SH        DEFINED   1,2                      33,899
AMSURG CORP           COM        03232P40    11,247    709,562 SH        DEFINED   1,2,5                   709,562
AMTRUST FINANCIAL SE  COM        03235930     5,776    604,859 SH        DEFINED   1,2,5,6                 604,859
AMYLIN PHARMACEUTICA  COM        03234610    42,433  3,611,311 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,611,311
ANADARKO PETE CORP    COM        03251110   664,937 17,097,881 SH        DEFINED   1,2,5,6,7,8,10,12,13 17,097,881
ANADIGICS INC         COM        03251510     2,177  1,051,508 SH        DEFINED   1,2,5,6               1,051,508
ANADYS PHARMACEUTICA  COM        03252Q40       203     29,829 SH        DEFINED   1                        29,829
ANALOG DEVICES INC    COM        03265410   183,250  9,509,612 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,509,612
ANALOGIC CORP         COM PAR $0 03265720     8,435    263,436 SH        DEFINED   1,2,5                   263,436
ANALYSTS INTL CORP    COM        03268110         7     17,048 SH        DEFINED   1                        17,048
ANAREN INC            COM        03274410     2,962    270,720 SH        DEFINED   1,2                     270,720
ANCHOR BANCORP WIS I  COM        03283910       632    467,850 SH        DEFINED   1,2                     467,850
ANDERSONS INC         COM        03416410     4,953    350,297 SH        DEFINED   1,2,5                   350,297
ANESIVA INC COM       COM        03460L10         3     10,685 SH        DEFINED   1                        10,685
ANGIODYNAMICS INC     COM        03475V10     5,556    494,311 SH        DEFINED   1,2,6                   494,311
ANGLOGOLD ASHANTI LT  SPONSORED  03512820    28,307    770,042 SH        DEFINED   1,2,7                   770,042
ANIKA THERAPEUTICS I  COM        03525510        51     11,120 SH        DEFINED   1,5                      11,120
ANIMAL HEALTH INTL I  COM        03525N10        18     13,800 SH        DEFINED   1                        13,800
ANIXTER INTL INC      COM        03529010    20,762    655,379 SH        DEFINED   1,2,5,6                 655,379
ANNALY CAP MGMT INC   COM        03571040   148,671 10,718,863 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,718,863
ANNTAYLOR STORES COR  COM        03611510     6,449  1,240,197 SH        DEFINED   1,2,5,6,10            1,240,197
ANSYS INC             COM        03662Q10    44,696  1,780,707 SH        DEFINED   1,2,5,6,10            1,780,707
ANTHRACITE CAP INC    COM        03702310       382  1,124,566 SH        DEFINED   1,2,5                 1,124,566
ANTIGENICS INC DEL    COM        03703210        12     24,522 SH        DEFINED   1                        24,522
ANWORTH MORTGAGE ASS  COM        03734710    15,154  2,472,147 SH        DEFINED   1,2,5                 2,472,147
AON CORP              COM        03738910   642,598 15,742,242 SH        DEFINED   1,2,5,6,7,8,10,12,13 15,742,242
APAC CUSTOMER SERVIC  COM        00185E10        71     20,995 SH        DEFINED   1                        20,995
APACHE CORP           COM        03741110   842,240 13,141,512 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,141,512
APARTMENT INVT & MGM  CL A       03748R10    34,247  6,249,498 SH        DEFINED   1,2,3,5,6,7,8,10,13   6,249,498
APCO ARGENTINA INC C  ORD        03748910       888     80,595 SH        DEFINED   1,2,6                    80,595
APOGEE ENTERPRISES I  COM        03759810    16,111  1,467,263 SH        DEFINED   1,2,5                 1,467,263
APOLLO GROUP INC      CL A       03760410   343,825  4,389,439 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,389,439
APOLLO INVT CORP      COM        03761U10    13,872  3,986,234 SH        DEFINED   1,2,5                 3,986,234
APPLE INC             COM        03783310 3,119,829 29,678,741 SH        DEFINED   1,2,5,6,7,8,10,12,13 29,678,741
APPLIED ENERGETICS I  COM        03819M10        11     46,638 SH        DEFINED   1                        46,638
APPLIED INDL TECHNOL  COM        03820C10    15,569    922,899 SH        DEFINED   1,2,5,6                 922,899
APPLIED MATLS INC     COM        03822210   468,451 43,576,817 SH        DEFINED   1,2,5,6,7,8,10,12,13 43,576,817
APPLIED MICRO CIRCUI  COM NEW    03822W40     7,928  1,631,320 SH        DEFINED   1,2,5,6               1,631,320
APPLIED SIGNAL TECHN  COM        03823710     6,276    310,234 SH        DEFINED   1,2                     310,234
APPROACH RESOURCES I  COM        03834A10       817    131,734 SH        DEFINED   1,2,6                   131,734




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
APTARGROUP INC        COM        03833610  42,164  1,354,008 SH        DEFINED   1,2,5,6,10            1,354,008
AQUA AMERICA INC      COM        03836W10  63,150  3,157,475 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,157,475
ARACRUZ CELULOSE S A  SPON ADR P 03849620     315     47,725 SH        DEFINED   1,2,6                    47,725
ARBITRON INC          COM        03875Q10   8,536    568,710 SH        DEFINED   1,2,5,6                 568,710
ARBOR RLTY TR INC     COM        03892310     178    247,251 SH        DEFINED   1,2                     247,251
ARCADIA RES INC       COM        03920910      11     25,500 SH        DEFINED   1                        25,500
ARCH CAP GROUP LTD    ORD        G0450A10  47,565    883,125 SH        DEFINED   1,2,5,6,7,8,10,12,13    883,125
ARCH CHEMICALS INC    COM        03937R10   9,278    489,364 SH        DEFINED   1,2,5                   489,364
ARCH COAL INC         COM        03938010  52,518  3,928,024 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,928,024
ARCHER DANIELS MIDLA  NOTE 0.87  039483AW     464    500,000 SH        DEFINED   1                       500,000
ARCHER DANIELS MIDLA  COM        03948310 666,449 23,990,240 SH        DEFINED   1,2,5,6,7,8,10,12,13 23,990,240
ARCSIGHT INC          COM        03966610   1,645    128,827 SH        DEFINED   1,2,6                   128,827
ARCTIC CAT INC        COM        03967010     187     48,748 SH        DEFINED   1                        48,748
ARDEA BIOSCIENCES IN  COM        03969P10   2,327    226,144 SH        DEFINED   1,2                     226,144
ARDEN GROUP INC       CL A       03976210   2,812     24,066 SH        DEFINED   1,2                      24,066
ARENA PHARMACEUTICAL  COM        04004710   4,012  1,332,919 SH        DEFINED   1,2,5,6               1,332,919
ARENA RESOURCES INC   COM        04004910  22,336    876,596 SH        DEFINED   1,2,5,6                 876,596
ARES CAP CORP         COM        04010L10   9,592  1,981,895 SH        DEFINED   1,2,5                 1,981,895
ARGO GROUP INTL HLDG  COM        G0464B10  17,764    589,567 SH        DEFINED   1,2,5                   589,567
ARGON ST INC          COM        04014910   5,143    271,132 SH        DEFINED   1,2,5                   271,132
ARIAD PHARMACEUTICAL  COM        04033A10   1,340  1,125,973 SH        DEFINED   1,2                   1,125,973
ARIBA INC             COM NEW    04033V20  14,817  1,697,245 SH        DEFINED   1,2,5,6               1,697,245
ARISTOTLE CORP        COM NEW    04044820      39     11,172 SH        DEFINED   1,2                      11,172
ARKANSAS BEST CORP D  COM        04079010  11,253    591,639 SH        DEFINED   1,2,5                   591,639
ARM HLDGS PLC         SPONSORED  04206810      85     19,129 SH        DEFINED   1                        19,129
ARMSTRONG WORLD INDS  COM        04247X10   3,221    292,550 SH        DEFINED   1,2,5,8,10              292,550
ARQULE INC            COM        04269E10   3,014    728,049 SH        DEFINED   1,2                     728,049
ARRAY BIOPHARMA INC   COM        04269X10   2,088    791,079 SH        DEFINED   1,2,6                   791,079
ARRIS GROUP INC       COM        04269Q10  29,200  3,962,011 SH        DEFINED   1,2,5,6               3,962,011
ARROW ELECTRS INC     COM        04273510  87,085  4,569,016 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,569,016
ARROW FINL CORP       COM        04274410   4,829    203,822 SH        DEFINED   1,2,5                   203,822
ARROWHEAD RESH CORP   COM        04279710       9     16,800 SH        DEFINED   1                        16,800
ART TECHNOLOGY GROUP  COM        04289L10   5,983  2,346,370 SH        DEFINED   1,2,5,6               2,346,370
ARTESIAN RESOURCES C  CL A       04311320     158     11,277 SH        DEFINED   1,2                      11,277
ARUBA NETWORKS INC    COM        04317610   2,635    839,264 SH        DEFINED   1,2,5,6                 839,264
ARVINMERITOR INC      COM        04335310   1,143  1,446,738 SH        DEFINED   1,2,5                 1,446,738
ASBURY AUTOMOTIVE GR  COM        04343610   2,592    601,447 SH        DEFINED   1,2,5                   601,447
ASCENT MEDIA CORP     COM SER A  04363210   3,605    144,183 SH        DEFINED   1,2,5,6,7,10            144,183
ASCENT SOLAR TECHNOL  COM        04363510     291     71,567 SH        DEFINED   1,2                      71,567
ASHFORD HOSPITALITY   COM SHS    04410310   5,599  3,635,423 SH        DEFINED   1,2,3,5               3,635,423
ASHLAND INC NEW       COM        04420910  16,191  1,567,424 SH        DEFINED   1,2,5,6,8,10,12       1,567,424
ASIAINFO HLDGS INC    COM        04518A10   9,997    593,267 SH        DEFINED   1,2,6                   593,267
ASPECT MED SYS INC    COM        04523510     105     25,067 SH        DEFINED   1                        25,067
ASPEN INSURANCE HOLD  SHS        G0538410  49,307  2,195,337 SH        DEFINED   1,2,5,7,8             2,195,337
ASPENBIO PHARMA INC   COM        04534610      24     14,678 SH        DEFINED   1                        14,678




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
  NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE     SHARED NONE
-------------------- ---------- -------- --------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                            
ASSET ACCEP CAP CORP COM        04543P10     1,350     254,189 SH        DEFINED   1,2,5                      254,189
ASSOCIATED BANC CORP COM        04548710    77,311   5,003,956 SH        DEFINED   1,2,5,6,7,8,10,12,13     5,003,956
ASSOCIATED ESTATES R COM        04560410     4,345     765,038 SH        DEFINED   1,2,3,5                    765,038
ASSURANT INC         COM        04621X10   103,016   4,729,855 SH        DEFINED   1,2,5,6,7,8,10,12,13     4,729,855
ASSURED GUARANTY LTD COM        G0585R10     7,043   1,040,361 SH        DEFINED   1,2,5                    1,040,361
ASTEC INDS INC       COM        04622410     9,737     371,209 SH        DEFINED   1,2,5,6                    371,209
ASTORIA FINL CORP    COM        04626510    15,722   1,710,808 SH        DEFINED   1,2,5,6,8,10,12          1,710,808
ASTRAZENECA PLC      SPONSORED  04635310     3,968     111,944 SH        DEFINED   1                          111,944
ASYST TECHNOLOGY COR COM        04648X10       212     756,866 SH        DEFINED   1,2                        756,866
AT&T INC             COM        00206R10 5,124,672 203,359,992 SH        DEFINED   1,2,5,6,7,8,10,12,13   203,359,992
ATC TECHNOLOGY CORP  COM        00211W10     6,995     624,575 SH        DEFINED   1,2,5,6                    624,575
ATHENAHEALTH INC     COM        04685W10     8,599     356,676 SH        DEFINED   1,2,5,6                    356,676
ATHEROS COMMUNICATIO COM        04743P10    16,698   1,139,034 SH        DEFINED   1,2,5,6                  1,139,034
ATLANTIC TELE NETWOR COM NEW    04907920     3,440     179,372 SH        DEFINED   1,2                        179,372
ATLAS AIR WORLDWIDE  COM NEW    04916420     4,575     263,677 SH        DEFINED   1,2,5,6                    263,677
ATLAS AMER INC       COM        04916710     5,882     672,218 SH        DEFINED   1,2,5,6                    672,218
ATLAS ENERGY RESOURC COM        04930310       352      33,334 SH        DEFINED   1,2                         33,334
ATLAS PIPELINE PARTN UNIT L P I 04939210       208      53,144 SH        DEFINED   1,2                         53,144
ATMEL CORP           COM        04951310    39,206  10,800,492 SH        DEFINED   1,2,5,6,7,8,10          10,800,492
ATMI INC             COM        00207R10     9,832     637,211 SH        DEFINED   1,2,5,6                    637,211
ATMOS ENERGY CORP    COM        04956010    31,726   1,372,233 SH        DEFINED   1,2,5,6,10               1,372,233
ATP OIL & GAS CORP   COM        00208J10     2,506     488,487 SH        DEFINED   1,2,5,6                    488,487
ATRION CORP          COM        04990410     2,109      23,897 SH        DEFINED   1,2                         23,897
ATS MED INC          COM        00208310       146      58,407 SH        DEFINED   1                           58,407
ATWOOD OCEANICS INC  COM        05009510    18,549   1,118,078 SH        DEFINED   1,2,5,6,10               1,118,078
AU OPTRONICS CORP    SPONSORED  00225510     4,365     520,268 SH        DEFINED   1,2,6                      520,268
AUDIOCODES LTD       ORD        M1534210        14      12,365 SH        DEFINED   1,2                         12,365
AUDIOVOX CORP        CL A       05075710     1,176     342,950 SH        DEFINED   1,2,5                      342,950
AURORA OIL & GAS COR COM        05203610         4      63,581 SH        DEFINED   1                           63,581
AUTHENTEC INC        COM        05266010       524     354,184 SH        DEFINED   1,2                        354,184
AUTHENTIDATE HLDG CO COM        05266610        12      30,017 SH        DEFINED   1                           30,017
AUTOBYTEL INC        COM        05275N10        14      50,400 SH        DEFINED   1                           50,400
AUTODESK INC         COM        05276910   119,659   7,118,338 SH        DEFINED   1,2,5,6,7,8,10,12,13     7,118,338
AUTOLIV INC          COM        05280010    14,297     769,907 SH        DEFINED   1,2,5,6,8,10,12            769,907
AUTOMATIC DATA PROCE COM        05301510   599,985  17,064,422 SH        DEFINED   1,2,5,6,7,8,10,12,13    17,064,422
AUTONATION INC       COM        05329W10    70,996   5,114,966 SH        DEFINED   1,2,5,6,7,8,10,12,13     5,114,966
AUTOZONE INC         COM        05333210   272,421   1,675,201 SH        DEFINED   1,2,5,6,7,8,10,12,13     1,675,201
AUXILIUM PHARMACEUTI COM        05334D10    25,484     919,319 SH        DEFINED   1,2,5,6                    919,319
AVALONBAY CMNTYS INC COM        05348410   195,143   4,146,684 SH        DEFINED   1,2,3,5,6,7,8,10,12,13   4,146,684
AVANEX CORP          COM NEW    05348W30       355     203,022 SH        DEFINED   1,2                        203,022
AVANIR PHARMACEUTICA CL A NEW   05348P40        14      28,103 SH        DEFINED   1                           28,103
AVATAR HLDGS INC     COM        05349410     1,739     116,057 SH        DEFINED   1,2,5                      116,057
AVENTINE RENEWABLE E COM        05356X40         2      25,233 SH        DEFINED   1                           25,233
AVERY DENNISON CORP  COM        05361110   111,553   4,993,405 SH        DEFINED   1,2,5,6,7,8,10,12,13     4,993,405
AVI BIOPHARMA INC    COM        00234610        49      73,683 SH        DEFINED   1,2,5                       73,683




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
AVID TECHNOLOGY INC   COM        05367P10     5,923     648,061 SH        DEFINED   1,2,5,6                  648,061
AVIGEN INC            COM        05369010        22      17,802 SH        DEFINED   1                         17,802
AVIS BUDGET GROUP     COM        05377410     2,716   2,984,497 SH        DEFINED   1,2,5,6,8,10           2,984,497
AVISTA CORP           COM        05379B10    22,369   1,623,293 SH        DEFINED   1,2,5                  1,623,293
AVNET INC             COM        05380710    87,454   4,994,536 SH        DEFINED   1,2,5,6,7,8,10,12,13   4,994,536
AVOCENT CORP          COM        05389310    21,265   1,751,631 SH        DEFINED   1,2,5,7                1,751,631
AVON PRODS INC        COM        05430310   267,615  13,916,515 SH        DEFINED   1,2,5,6,7,8,10,12,13  13,916,515
AVX CORP NEW          COM        00244410     8,683     956,301 SH        DEFINED   1,2,5,7,10               956,301
AWARE INC MASS        COM        05453N10        45      21,260 SH        DEFINED   1                         21,260
AXA                   SPONSORED  05453610       599      50,020 SH        DEFINED   1                         50,020
AXCELIS TECHNOLOGIES  COM        05454010       695   1,827,838 SH        DEFINED   1,2                    1,827,838
AXIS CAPITAL HOLDING  SHS        G0692U10    58,841   2,610,520 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,610,520
AXSYS TECHNOLOGIES I  COM        05461510     7,071     168,198 SH        DEFINED   1,2,5,6                  168,198
AXT INC               COM        00246W10        25      28,914 SH        DEFINED   1,2                       28,914
AZZ INC               COM        00247410     6,744     255,560 SH        DEFINED   1,2,5,6                  255,560
B & G FOODS INC NEW   CL A       05508R10     1,780     342,310 SH        DEFINED   1,2                      342,310
BADGER METER INC      COM        05652510     7,436     257,388 SH        DEFINED   1,2,5,6                  257,388
BAIDU INC             SPON ADR R 05675210     6,641      37,604 SH        DEFINED   1,2,5,6,7                 37,604
BAKER HUGHES INC      COM        05722410   325,361  11,396,177 SH        DEFINED   1,2,5,6,7,8,10,12,13  11,396,177
BAKER MICHAEL CORP    COM        05714910     3,621     139,266 SH        DEFINED   1,2                      139,266
BALCHEM CORP          COM        05766520     8,627     343,297 SH        DEFINED   1,2,6                    343,297
BALDOR ELEC CO        COM        05774110    14,192     979,410 SH        DEFINED   1,2,5                    979,410
BALDWIN & LYONS INC   CL B       05775520     3,307     174,815 SH        DEFINED   1,2,5                    174,815
BALL CORP             COM        05849810   160,327   3,694,175 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,694,175
BALLY TECHNOLOGIES I  COM        05874B10    21,170   1,149,313 SH        DEFINED   1,2,5,6                1,149,313
BANCFIRST CORP        COM        05945F10     5,338     146,645 SH        DEFINED   1,2,5,6                  146,645
BANCO BILBAO VIZCAYA  SPONSORED  05946K10     2,382     292,952 SH        DEFINED   1,2,5,7,8,12             292,952
BANCO BRADESCO S A    SP ADR PFD 05946030    79,904   8,071,101 SH        DEFINED   1,2,4,5,7              8,071,101
BANCO LATINOAMERICAN  CL E       P1699413     5,836     622,808 SH        DEFINED   1,2                      622,808
BANCO MACRO SA        SPON ADR B 05961W10     4,793     471,772 SH        DEFINED   1,2,5,8,10               471,772
BANCO SANTANDER CHIL  SP ADR REP 05965X10    16,942     493,230 SH        DEFINED   1,2,5,6,7                493,230
BANCO SANTANDER SA    ADR        05964H10     3,742     542,268 SH        DEFINED   1,2,5,7,8,12,13          542,268
BANCOLOMBIA S A       SPON ADR P 05968L10    18,043     926,716 SH        DEFINED   1,2,5,7,10               926,716
BANCORP INC DEL       COM        05969A10        50      11,775 SH        DEFINED   1                         11,775
BANCORPSOUTH INC      COM        05969210    43,036   2,065,078 SH        DEFINED   1,2,5,6,10             2,065,078
BANCTRUST FINANCIAL   COM        05978R10     2,115     334,073 SH        DEFINED   1,2                      334,073
BANK HAWAII CORP      COM        06254010    56,636   1,717,286 SH        DEFINED   1,2,5,6,7,10           1,717,286
BANK MUTUAL CORP NEW  COM        06375010     8,876     979,746 SH        DEFINED   1,2,5                    979,746
BANK NOVA SCOTIA HAL  COM        06414910     2,375      96,866 SH        DEFINED   1,7                       96,866
BANK OF AMERICA CORP  COM        06050510 2,121,764 311,109,138 SH        DEFINED   1,2,5,6,7,8,10,12,13 311,109,138
BANK OF GRANITE CORP  COM        06240110        30      17,731 SH        DEFINED   1                         17,731
BANK OF NEW YORK MEL  COM        06405810 1,288,521  45,611,357 SH        DEFINED   1,2,5,6,7,8,10,12,13  45,611,357
BANK OF THE OZARKS I  COM        06390410     6,491     281,220 SH        DEFINED   1,2,5,6                  281,220
BANKATLANTIC BANCORP  CL A NEW   06590860        21      10,588 SH        DEFINED   1                         10,588
BANKFINANCIAL CORP    COM        06643P10     4,389     440,235 SH        DEFINED   1,2                      440,235




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
BANKRATE INC          COM        06646V10     6,069    243,249 SH        DEFINED   1,2,5,6                 243,249
BANKUNITED FINL CORP  CL A       06652B10        11     48,578 SH        DEFINED   1                        48,578
BANNER CORP           COM        06652V10     1,007    346,067 SH        DEFINED   1,2,5                   346,067
BARCLAYS BK PLC       IPMS INDIA 06739F29    38,921  1,282,826 SH        DEFINED   4,5,10                1,282,826
BARCLAYS PLC          ADR        06738E20     1,437    169,019 SH        DEFINED   1,2                     169,019
BARD C R INC          COM        06738310   258,285  3,239,899 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,239,899
BARE ESCENTUALS INC   COM        06751110     2,289    558,354 SH        DEFINED   1,2,5,6,10              558,354
BARNES & NOBLE INC    COM        06777410    27,072  1,266,211 SH        DEFINED   1,2,5,6,8,10          1,266,211
BARNES GROUP INC      COM        06780610    10,223    956,348 SH        DEFINED   1,2,5                   956,348
BARNWELL INDS INC     COM        06822110        42     10,473 SH        DEFINED   1,2                      10,473
BARRETT BILL CORP     COM        06846N10    27,412  1,232,549 SH        DEFINED   1,2,5,6               1,232,549
BARRICK GOLD CORP     COM        06790110       640     19,756 SH        DEFINED   1                        19,756
BASIC ENERGY SVCS IN  COM        06985P10     5,311    820,842 SH        DEFINED   1,2,5                   820,842
BASIN WTR INC         COM        07011T30        11     12,156 SH        DEFINED   1                        12,156
BASSETT FURNITURE IN  COM        07020310        58     29,649 SH        DEFINED   1,2                      29,649
BAUER EDDIE HLDGS IN  COM        07162510        11     25,800 SH        DEFINED   1                        25,800
BAXTER INTL INC       COM        07181310 1,267,196 24,740,249 SH        DEFINED   1,2,5,6,7,8,10,12,13 24,740,249
BB&T CORP             COM        05493710   385,539 22,785,990 SH        DEFINED   1,2,5,6,7,8,10,12,13 22,785,990
BBVA BANCO FRANCES S  SPONSORED  07329M10       139     54,639 SH        DEFINED   1,2                      54,639
BE AEROSPACE INC      COM        07330210    17,604  2,030,443 SH        DEFINED   1,2,5,6,10            2,030,443
BEACON POWER CORP     COM        07367710       553  1,175,995 SH        DEFINED   1,2                   1,175,995
BEACON ROOFING SUPPL  COM        07368510    12,370    923,837 SH        DEFINED   1,2,5,6                 923,837
BEAZER HOMES USA INC  COM        07556Q10       744    736,921 SH        DEFINED   1,2,5,6                 736,921
BEBE STORES INC       COM        07557110     4,287    642,715 SH        DEFINED   1,2,5                   642,715
BECKMAN COULTER INC   COM        07581110    79,085  1,550,386 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,550,386
BECTON DICKINSON & C  COM        07588710   906,400 13,480,066 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,480,066
BED BATH & BEYOND IN  COM        07589610   226,447  9,149,375 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,149,375
BEL FUSE INC          CL B       07734730     3,171    235,966 SH        DEFINED   1,2,6                   235,966
BELDEN INC            COM        07745410    12,016    960,544 SH        DEFINED   1,2,5,6                 960,544
BELO CORP             COM SER A  08055510     1,532  2,512,044 SH        DEFINED   1,2,5                 2,512,044
BEMIS INC             COM        08143710    75,951  3,621,874 SH        DEFINED   1,2,5,6,8,10,12,13    3,621,874
BENCHMARK ELECTRS IN  COM        08160H10    22,674  2,024,488 SH        DEFINED   1,2,5                 2,024,488
BENEFICIAL MUTUAL BA  COM        08173R10     6,158    625,185 SH        DEFINED   1,2,5,6                 625,185
BENIHANA INC          CL A       08204720        27     10,415 SH        DEFINED   1                        10,415
BERKLEY W R CORP      COM        08442310    84,118  3,730,297 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,730,297
BERKSHIRE HATHAWAY I  CL B       08467020   549,384    194,817 SH        DEFINED   1,2,5,6,7,8,10,12,13    194,817
BERKSHIRE HILLS BANC  COM        08468010     7,338    320,140 SH        DEFINED   1,2,5                   320,140
BERRY PETE CO         CL A       08578910     9,070    827,521 SH        DEFINED   1,2,5,6                 827,521
BEST BUY INC          COM        08651610   457,857 12,061,575 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,061,575
BGC PARTNERS INC      CL A       05541T10     1,281    579,811 SH        DEFINED   1,2,5                   579,811
BHP BILLITON LTD      SPONSORED  08860610    40,733    913,294 SH        DEFINED   1,2,5                   913,294
BHP BILLITON PLC      SPONSORED  05545E20     1,741     44,023 SH        DEFINED   1                        44,023
BIDZ COM INC          COM        08883T20       244     60,744 SH        DEFINED   1,2                      60,744
BIG 5 SPORTING GOODS  COM        08915P10     2,556    435,496 SH        DEFINED   1,2,5                   435,496
BIG LOTS INC          COM        08930210    72,556  3,491,635 SH        DEFINED   1,2,5,6,8,10,13       3,491,635




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
BIGBAND NETWORKS INC  COM        08975050     3,786    578,052 SH        DEFINED   1,2,6                   578,052
BIO RAD LABS INC      CL A       09057220    36,481    553,588 SH        DEFINED   1,2,5,6                 553,588
BIOANALYTICAL SYS IN  COM        09058M10        19     14,300 SH        DEFINED   1                        14,300
BIOCRYST PHARMACEUTI  COM        09058V10        75     34,372 SH        DEFINED   1,5                      34,372
BIODEL INC            COM        09064M10       969    186,024 SH        DEFINED   1,2                     186,024
BIOFORM MEDICAL INC   COM        09065G10       300    245,684 SH        DEFINED   1,2                     245,684
BIOGEN IDEC INC       COM        09062X10   597,521 11,398,722 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,398,722
BIOLASE TECHNOLOGY I  COM        09091110        33     36,589 SH        DEFINED   1                        36,589
BIOMARIN PHARMACEUTI  COM        09061G10    34,501  2,793,641 SH        DEFINED   1,2,5,6,8,10          2,793,641
BIOMED REALTY TRUST   COM        09063H10    20,929  3,091,459 SH        DEFINED   1,2,3,5               3,091,459
BIOMIMETIC THERAPEUT  COM        09064X10     1,942    273,502 SH        DEFINED   1,2                     273,502
BIO-REFERENCE LABS I  COM $.01 N 09057G60     4,139    197,966 SH        DEFINED   1,2,6                   197,966
BIOSANTE PHARMACEUTI  COM NEW    09065V20        14     10,780 SH        DEFINED   1                        10,780
BIOSCRIP INC          COM        09069N10       100     42,715 SH        DEFINED   1                        42,715
BIOVAIL CORP          COM        09067J10       246     22,450 SH        DEFINED   1,2,13                   22,450
BJ SVCS CO            COM        05548210   125,796 12,642,778 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,642,778
BJS RESTAURANTS INC   COM        09180C10     4,536    326,088 SH        DEFINED   1,2,5,6                 326,088
BJS WHOLESALE CLUB I  COM        05548J10    41,292  1,290,769 SH        DEFINED   1,2,5,6,8,10          1,290,769
BLACK & DECKER CORP   COM        09179710    62,160  1,969,572 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,969,572
BLACK BOX CORP DEL    COM        09182610    11,267    477,194 SH        DEFINED   1,2,5                   477,194
BLACK HILLS CORP      COM        09211310    32,115  1,795,121 SH        DEFINED   1,2,5                 1,795,121
BLACKBAUD INC         COM        09227Q10    10,587    911,896 SH        DEFINED   1,2,5,6,8               911,896
BLACKBOARD INC        COM        09193550    17,581    553,910 SH        DEFINED   1,2,5,6                 553,910
BLACKROCK INC         COM        09247X10    22,989    176,785 SH        DEFINED   1,2,5,6,8,10            176,785
BLACKROCK KELSO CAPI  COM        09253310       966    230,442 SH        DEFINED   1,2,5                   230,442
BLACKSTONE GROUP L P  COM UNIT L 09253U10     1,443    199,044 SH        DEFINED   1,2,8                   199,044
BLOCK H & R INC       COM        09367110   213,591 11,742,241 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,742,241
BLOCKBUSTER INC       CL A       09367910     2,942  4,086,103 SH        DEFINED   1,2,5                 4,086,103
BLOCKBUSTER INC       CL B       09367920         9     19,890 SH        DEFINED   1                        19,890
BLOUNT INTL INC NEW   COM        09518010     3,323    719,185 SH        DEFINED   1,2,5,6                 719,185
BLUE COAT SYSTEMS IN  COM NEW    09534T50     7,873    655,556 SH        DEFINED   1,2,5,6                 655,556
BLUE DOLPHIN ENERGY   COM NEW    09539520         7     18,596 SH        DEFINED   1,2                      18,596
BLUE NILE INC         COM        09578R10     7,812    259,112 SH        DEFINED   1,2,5,6                 259,112
BLUEGREEN CORP        COM        09623110       460    264,259 SH        DEFINED   1,2,5                   264,259
BLUELINX HLDGS INC    COM        09624H10       132     50,550 SH        DEFINED   1                        50,550
BLYTH INC             COM NEW    09643P20     5,533    211,744 SH        DEFINED   1,2,5                   211,744
BMB MUNAI INC         COM        09656A10       434    749,047 SH        DEFINED   1,2,7                   749,047
BMC SOFTWARE INC      COM        05592110   256,527  7,773,547 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,773,547
BMP SUNSTONE CORP     COM        05569C10     1,004    310,870 SH        DEFINED   1,2                     310,870
BOARDWALK PIPELINE P  UT LTD PAR 09662710     1,293     57,712 SH        DEFINED   1,2                      57,712
BOB EVANS FARMS INC   COM        09676110    22,587  1,007,471 SH        DEFINED   1,2,5                 1,007,471
BOEING CO             COM        09702310 1,077,479 30,283,276 SH        DEFINED   1,2,5,6,7,8,10,12,13 30,283,276
BOISE INC             COM        09746Y10       378    619,534 SH        DEFINED   1,2                     619,534
BOK FINL CORP         COM NEW    05561Q20    21,448    621,695 SH        DEFINED   1,2,5,10                621,695
BOLT TECHNOLOGY CORP  COM        09769810       816    114,822 SH        DEFINED   1,2                     114,822




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                           
BON-TON STORES INC    COM        09776J10     2,641  1,509,387 SH        DEFINED   1                       1,509,387
BOOKHAM INC           COM        09856E10       576  1,340,293 SH        DEFINED   1,2                     1,340,293
BOOTS & COOTS/INTL W  COM NEW    09946950        58     46,100 SH        DEFINED   1                          46,100
BORDERS GROUP INC     COM        09970910       655  1,039,499 SH        DEFINED   1,2,5                   1,039,499
BORGWARNER INC        COM        09972410    52,782  2,600,080 SH        DEFINED   1,2,5,6,7,8,10,12,13    2,600,080
BORLAND SOFTWARE COR  COM        09984910        22     47,893 SH        DEFINED   1                          47,893
BOSTON BEER INC       CL A       10055710     3,668    175,854 SH        DEFINED   1,2,6                     175,854
BOSTON PPTYS LTD PAR  NOTE 2.87  10112RAK       195    250,000 SH        DEFINED   1                         250,000
BOSTON PRIVATE FINL   COM        10111910    10,646  3,033,171 SH        DEFINED   1,2,5                   3,033,171
BOSTON PROPERTIES IN  COM        10112110   216,878  6,191,196 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  6,191,196
BOSTON SCIENTIFIC CO  COM        10113710   418,419 52,631,307 SH        DEFINED   1,2,5,6,7,8,10,12,13   52,631,307
BOTTOMLINE TECH DEL   COM        10138810     2,500    380,003 SH        DEFINED   1,2                       380,003
BOVIE MEDICAL CORP    COM        10211F10       116     17,535 SH        DEFINED   1,2,5                      17,535
BOWNE & CO INC        COM        10304310     1,927    600,412 SH        DEFINED   1,2,5                     600,412
BOYD GAMING CORP      COM        10330410     4,248  1,138,886 SH        DEFINED   1,2,5,6,10              1,138,886
BP PLC                SPONSORED  05562210 1,853,992 46,234,207 SH        DEFINED   1,2                    46,234,207
BP PRUDHOE BAY RTY T  UNIT BEN I 05563010     1,744     26,791 SH        DEFINED   1,2                        26,791
BPZ RESOURCES INC     COM        05563910     3,858  1,042,668 SH        DEFINED   1,2,5,6                 1,042,668
BRADY CORP            CL A       10467410    20,807  1,180,221 SH        DEFINED   1,2,5                   1,180,221
BRANDYWINE RLTY TR    SH BEN INT 10536820     9,679  3,396,279 SH        DEFINED   1,2,3,5,6,7,10          3,396,279
BRASIL TELECOM PARTI  SPON ADR P 10553010     1,261     34,902 SH        DEFINED   1,2,6                      34,902
BRASKEM S A           SP ADR PFD 10553210       100     24,446 SH        DEFINED   1,2                        24,446
BRE PROPERTIES INC    CL A       05564E10    33,679  1,715,696 SH        DEFINED   1,2,3,5,6,10            1,715,696
BREITBURN ENERGY PAR  COM UT LTD 10677610       455     69,662 SH        DEFINED   1,2                        69,662
BRIGGS & STRATTON CO  COM        10904310    20,966  1,270,642 SH        DEFINED   1,2,5,6                 1,270,642
BRIGHAM EXPLORATION   COM        10917810     1,813    954,263 SH        DEFINED   1,2,5                     954,263
BRIGHTPOINT INC       COM NEW    10947340     5,233  1,222,734 SH        DEFINED   1,2,5                   1,222,734
BRINKER INTL INC      COM        10964110    33,225  2,200,307 SH        DEFINED   1,2,5,6,8,10,12         2,200,307
BRINKS CO             COM        10969610    37,672  1,423,744 SH        DEFINED   1,2,5,6,7,10            1,423,744
BRINKS HOME SEC HLDG  COM        10969910    23,796  1,052,935 SH        DEFINED   1,2,5,6,7,10            1,052,935
BRISTOL MYERS SQUIBB  COM        11012210 1,468,453 66,991,480 SH        DEFINED   1,2,5,6,7,8,10,12,13   66,991,480
BRISTOW GROUP INC     COM        11039410    11,445    534,057 SH        DEFINED   1,2,5                     534,057
BRITISH AMERN TOB PL  SPONSORED  11044810     1,162     25,263 SH        DEFINED   1                          25,263
BRITISH SKY BROADCAS  SPONSORED  11101310       299     12,037 SH        DEFINED   1                          12,037
BROADCOM CORP         CL A       11132010   291,402 14,584,696 SH        DEFINED   1,2,5,6,7,8,10,12,13   14,584,696
BROADPOINT SECURITIE  COM        11133V10     1,071    324,448 SH        DEFINED   1,2                       324,448
BROADRIDGE FINL SOLU  COM        11133T10    61,236  3,290,481 SH        DEFINED   1,2,5,6,8,10,12         3,290,481
BROCADE COMMUNICATIO  COM NEW    11162130    15,619  4,527,362 SH        DEFINED   1,2,5,6,8,10            4,527,362
BRONCO DRILLING CO I  COM        11221110     2,571    488,788 SH        DEFINED   1,2,5                     488,788
BROOKDALE SR LIVING   COM        11246310     1,917    379,602 SH        DEFINED   1,2,5,10                  379,602
BROOKFIELD HOMES COR  COM        11272310       701    203,287 SH        DEFINED   1,2,5                     203,287
BROOKFIELD INFRAST P  LP INT UNI G1625210       358     27,121 SH        DEFINED   1,2,7,8                    27,121
BROOKFIELD PPTYS COR  COM        11290010     1,793    312,429 SH        DEFINED   1,2,3                     312,429
BROOKLINE BANCORP IN  COM        11373M10    21,604  2,274,105 SH        DEFINED   1,2,5,10                2,274,105
BROOKLYN FEDERAL BAN  COM        11403910       465     42,126 SH        DEFINED   1,2                        42,126




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
BROOKS AUTOMATION IN  COM        11434010   7,088  1,537,565 SH        DEFINED   1,2,5,6               1,537,565
BROWN & BROWN INC     COM        11523610  50,344  2,662,291 SH        DEFINED   1,2,5,6,7,8,10,12     2,662,291
BROWN FORMAN CORP     CL A       11563710     467     11,638 SH        DEFINED   1,2,5                    11,638
BROWN FORMAN CORP     CL B       11563720 127,759  3,290,210 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,290,210
BROWN SHOE INC NEW    COM        11573610   3,671    978,873 SH        DEFINED   1,2,5                   978,873
BRUKER CORP           COM        11679410   6,451  1,047,297 SH        DEFINED   1,2,5,6               1,047,297
BRUNSWICK CORP        COM        11704310   7,000  2,028,922 SH        DEFINED   1,2,5,6,8             2,028,922
BRUSH ENGINEERED MAT  COM        11742110   6,118    441,127 SH        DEFINED   1,2,5,6                 441,127
BRYN MAWR BK CORP     COM        11766510   1,834    108,817 SH        DEFINED   1,2                     108,817
BUCKEYE GP HOLDINGS   COM UNITS  11816710     167     10,368 SH        DEFINED   1,2                      10,368
BUCKEYE PARTNERS L P  UNIT LTD P 11823010   1,906     53,457 SH        DEFINED   1,2                      53,457
BUCKEYE TECHNOLOGIES  COM        11825510   2,622  1,230,781 SH        DEFINED   1,2,5                 1,230,781
BUCKLE INC            COM        11844010  19,237    602,480 SH        DEFINED   1,2,5                   602,480
BUCYRUS INTL INC NEW  COM        11875910  22,129  1,457,781 SH        DEFINED   1,2,5,6,10            1,457,781
BUFFALO WILD WINGS I  COM        11984810  12,915    353,065 SH        DEFINED   1,2,5,6                 353,065
BUILD A BEAR WORKSHO  COM        12007610   1,817    299,372 SH        DEFINED   1,2                     299,372
BUILDERS FIRSTSOURCE  COM        12008R10     567    280,783 SH        DEFINED   1,2,5                   280,783
BUNGE LIMITED         COM        G1696210  97,627  1,723,329 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,723,329
BURGER KING HLDGS IN  COM        12120820  20,049    873,581 SH        DEFINED   1,2,5,10                873,581
BURLINGTON NORTHN SA  COM        12189T10 575,319  9,564,741 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,564,741
BWAY HOLDING COMPANY  COM        12429T10   1,205    152,714 SH        DEFINED   1,2                     152,714
C D I CORP            COM        12507110   2,952    303,697 SH        DEFINED   1,2,5                   303,697
C H ROBINSON WORLDWI  COM NEW    12541W20 243,807  5,345,472 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,345,472
C&D TECHNOLOGIES INC  COM        12466110     116     62,924 SH        DEFINED   1,5                      62,924
CA INC                COM        12673P10 258,747 14,693,184 SH        DEFINED   1,2,5,6,7,8,10,12,13 14,693,184
CABELAS INC           COM        12680430   6,845    751,365 SH        DEFINED   1,2,5                   751,365
CABLEVISION SYS CORP  CL A NY CA 12686C10  60,530  4,677,757 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,677,757
CABOT CORP            COM        12705510  57,496  5,470,560 SH        DEFINED   1,2,5,6,8,10,12       5,470,560
CABOT MICROELECTRONI  COM        12709P10  11,236    467,577 SH        DEFINED   1,2,5,6                 467,577
CABOT OIL & GAS CORP  COM        12709710 105,549  4,478,101 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,478,101
CACHE INC             COM NEW    12715030     472    163,849 SH        DEFINED   1,2                     163,849
CACI INTL INC         CL A       12719030  24,649    675,496 SH        DEFINED   1,2,5                   675,496
CADBURY PLC           SPONS ADR  12721E10     341     11,255 SH        DEFINED   1                        11,255
CADENCE DESIGN SYSTE  COM        12738710  22,189  5,283,103 SH        DEFINED   1,2,5,6,7,10          5,283,103
CADENCE FINL CORP     COM        12738A10      55     12,406 SH        DEFINED   1                        12,406
CADENCE PHARMACEUTIC  COM        12738T10   3,649    389,055 SH        DEFINED   1,2,6                   389,055
CADIZ INC             COM NEW    12753720   1,700    213,001 SH        DEFINED   1,2                     213,001
CAI INTERNATIONAL IN  COM        12477X10     255     90,278 SH        DEFINED   1,2                      90,278
CAL DIVE INTL INC DE  COM        12802T10   6,282    927,955 SH        DEFINED   1,2,5,6                 927,955
CAL MAINE FOODS INC   COM NEW    12803020   9,877    441,145 SH        DEFINED   1,2,5,6                 441,145
CALAMOS ASSET MGMT I  CL A       12811R10   2,409    500,804 SH        DEFINED   1,2,5,6                 500,804
CALAMP CORP           COM        12812610      10     18,691 SH        DEFINED   1                        18,691
CALAVO GROWERS INC    COM        12824610   1,614    134,295 SH        DEFINED   1,2                     134,295
CALGON CARBON CORP    COM        12960310  16,474  1,162,628 SH        DEFINED   1,2,5,6               1,162,628
CALIFORNIA MICRO DEV  COM        13043910      72     29,822 SH        DEFINED   1                        29,822




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                         
CALIFORNIA PIZZA KIT  COM        13054D10  10,050    768,370 SH        DEFINED   1,2,5,6                   768,370
CALIFORNIA WTR SVC G  COM        13078810  18,960    452,932 SH        DEFINED   1,2,5                     452,932
CALIPER LIFE SCIENCE  COM        13087210     593    599,139 SH        DEFINED   1,2                       599,139
CALLAWAY GOLF CO      COM        13119310  14,676  2,043,956 SH        DEFINED   1,2,5                   2,043,956
CALLIDUS SOFTWARE IN  COM        13123E50   1,006    347,020 SH        DEFINED   1,2                       347,020
CALLON PETE CO DEL    COM        13123X10     630    577,766 SH        DEFINED   1,2                       577,766
CALPINE CORP          COM NEW    13134730  28,487  4,183,098 SH        DEFINED   1,2,5,10                4,183,098
CALUMET SPECIALTY PR  UT LTD PAR 13147610     131     11,995 SH        DEFINED   1,2                        11,995
CAMBREX CORP          COM        13201110   1,187    520,819 SH        DEFINED   1,2                       520,819
CAMDEN NATL CORP      COM        13303410   3,342    146,273 SH        DEFINED   1,2,5                     146,273
CAMDEN PPTY TR        SH BEN INT 13313110  42,413  1,965,391 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  1,965,391
CAMERON INTERNATIONA  COM        13342B10 192,167  8,762,750 SH        DEFINED   1,2,5,6,7,8,10,12,13    8,762,750
CAMPBELL SOUP CO      COM        13442910 223,733  8,177,361 SH        DEFINED   1,2,5,6,7,8,10,12,13    8,177,361
CANADIAN NATL RY CO   COM        13637510     761     21,462 SH        DEFINED   1,2,5                      21,462
CANDELA CORP          COM        13690710       8     18,860 SH        DEFINED   1                          18,860
CANO PETE INC         COM        13780110     261    606,015 SH        DEFINED   1,2                       606,015
CANTEL MEDICAL CORP   COM        13809810   3,180    247,111 SH        DEFINED   1,2                       247,111
CAPELLA EDUCATION CO  COM        13959410  14,067    265,413 SH        DEFINED   1,2,5,6                   265,413
CAPITAL CITY BK GROU  COM        13967410   2,380    207,674 SH        DEFINED   1,2,5                     207,674
CAPITAL ONE FINL COR  COM        14040H10 188,611 15,409,421 SH        DEFINED   1,2,5,6,7,8,10,12,13   15,409,421
CAPITAL PRODUCT PART  COM UNIT L Y1108210      88     12,762 SH        DEFINED   1,2                        12,762
CAPITAL SOUTHWEST CO  COM        14050110   4,337     56,773 SH        DEFINED   1,2,5                      56,773
CAPITAL SR LIVING CO  COM        14047510     886    363,142 SH        DEFINED   1,2                       363,142
CAPITAL TRUST INC MD  CL A NEW   14052H50     337    306,469 SH        DEFINED   1,2,5                     306,469
CAPITALSOURCE INC     COM        14055X10   4,135  3,389,459 SH        DEFINED   1,2,5,10                3,389,459
CAPITOL BANCORP LTD   COM        14056D10   1,045    251,821 SH        DEFINED   1,2,5                     251,821
CAPITOL FED FINL      COM        14057C10   9,586    253,519 SH        DEFINED   1,2,5,10                  253,519
CAPLEASE INC          COM        14028810   2,311  1,172,905 SH        DEFINED   1,2,3                   1,172,905
CAPSTEAD MTG CORP     COM NO PAR 14067E50  15,877  1,478,320 SH        DEFINED   1,2,5                   1,478,320
CAPSTONE TURBINE COR  COM        14067D10   1,866  2,591,812 SH        DEFINED   1,2,5                   2,591,812
CARACO PHARMACEUTICA  COM        14075T10     619    175,826 SH        DEFINED   1,2,5                     175,826
CARAUSTAR INDS INC    COM        14090910       5     32,497 SH        DEFINED   1                          32,497
CARBO CERAMICS INC    COM        14078110  13,780    484,524 SH        DEFINED   1,2,5,6                   484,524
CARDIAC SCIENCE CORP  COM        14141A10   1,191    395,760 SH        DEFINED   1,2                       395,760
CARDICA INC           COM        14141R10      31     10,800 SH        DEFINED   1                          10,800
CARDINAL FINL CORP    COM        14149F10   2,266    394,828 SH        DEFINED   1,2                       394,828
CARDINAL HEALTH INC   COM        14149Y10 374,645 11,901,053 SH        DEFINED   1,2,5,6,7,8,10,12,13   11,901,053
CARDIONET INC         COM        14159L10   2,646     94,295 SH        DEFINED   1,2,5                      94,295
CARDIUM THERAPEUTICS  COM        14191610      26     16,900 SH        DEFINED   1                          16,900
CARDTRONICS INC       COM        14161H10     408    230,410 SH        DEFINED   1,2                       230,410
CARE INVESTMENT TRUS  COM        14165710     972    177,986 SH        DEFINED   1,2                       177,986
CAREER EDUCATION COR  COM        14166510  63,455  2,648,383 SH        DEFINED   1,2,5,6,7,10            2,648,383
CARLISLE COS INC      COM        14233910  26,972  1,374,003 SH        DEFINED   1,2,5,6,10              1,374,003
CARMAX INC            COM        14313010  63,765  5,125,791 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,125,791
CARMIKE CINEMAS INC   COM        14343640      38     14,529 SH        DEFINED   1                          14,529




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
CARNIVAL CORP         PAIRED CTF 14365830 294,436 13,631,299 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,631,299
CARPENTER TECHNOLOGY  COM        14428510  22,788  1,613,857 SH        DEFINED   1,2,5,6,10            1,613,857
CARRIAGE SVCS INC     COM        14390510      30     19,570 SH        DEFINED   1                        19,570
CARRIZO OIL & CO INC  COM        14457710   4,907    552,545 SH        DEFINED   1,2,5,6                 552,545
CARROLS RESTAURANT G  COM        14574X10      45     12,940 SH        DEFINED   1                        12,940
CARTER INC            COM        14622910  46,817  2,488,955 SH        DEFINED   1,2,5,7               2,488,955
CASCADE BANCORP       COM        14715410     762    467,630 SH        DEFINED   1,2,5                   467,630
CASCADE CORP          COM        14719510   3,660    207,591 SH        DEFINED   1,2,5                   207,591
CASELLA WASTE SYS IN  CL A       14744810     605    353,818 SH        DEFINED   1,2                     353,818
CASEYS GEN STORES IN  COM        14752810  38,711  1,452,034 SH        DEFINED   1,2,5,6               1,452,034
CASH AMER INTL INC    COM        14754D10  12,010    766,946 SH        DEFINED   1,2,5,6                 766,946
CASS INFORMATION SYS  COM        14808P10   3,604    111,139 SH        DEFINED   1,2,6                   111,139
CASTLE A M & CO       COM        14841110   2,942    329,776 SH        DEFINED   1,2,5                   329,776
CASUAL MALE RETAIL G  COM        14871110     282    576,298 SH        DEFINED   1,2                     576,298
CATALYST HEALTH SOLU  COM        14888B10  12,317    621,457 SH        DEFINED   1,2,5,6                 621,457
CATAPULT COMMUNICATI  COM        14901610     165     23,632 SH        DEFINED   1                        23,632
CATERPILLAR INC DEL   COM        14912310 745,074 26,647,866 SH        DEFINED   1,2,5,6,7,8,10,12,13 26,647,866
CATHAY GENERAL BANCO  COM        14915010  25,025  2,399,288 SH        DEFINED   1,2,5                 2,399,288
CATO CORP NEW         CL A       14920510  13,346    730,062 SH        DEFINED   1,2,5                   730,062
CAVCO INDS INC DEL    COM        14956810   2,256     95,582 SH        DEFINED   1,2,5                    95,582
CAVIUM NETWORKS INC   COM        14965A10   5,856    507,461 SH        DEFINED   1,2,5,6                 507,461
CB RICHARD ELLIS GRO  CL A       12497T10  28,624  7,102,682 SH        DEFINED   1,2,5,6,10,13         7,102,682
CBEYOND INC           COM        14984710   7,925    420,866 SH        DEFINED   1,2,5,6                 420,866
CBIZ INC              COM        12480510   6,968    999,643 SH        DEFINED   1,2,5,6                 999,643
CBL & ASSOC PPTYS IN  COM        12483010   4,499  1,906,380 SH        DEFINED   1,2,3,5,6,7,10        1,906,380
CBS CORP NEW          CL B       12485720  81,803 21,302,948 SH        DEFINED   1,2,5,6,7,8,10,12,13 21,302,948
CDC CORP              SHS A      G2022L10      39     35,305 SH        DEFINED   1,5,6                    35,305
CEC ENTMT INC         COM        12513710  15,859    612,808 SH        DEFINED   1,2,5,6                 612,808
CEDAR FAIR L P        DEPOSITRY  15018510     610     65,692 SH        DEFINED   1,2                      65,692
CEDAR SHOPPING CTRS   COM NEW    15060220   3,049  1,752,387 SH        DEFINED   1,2,3,5               1,752,387
CELADON GROUP INC     COM        15083810   3,282    591,412 SH        DEFINED   1,2                     591,412
CELANESE CORP DEL     COM SER A  15087010  64,214  4,802,865 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,802,865
CELERA CORP           COM        15100E10  28,921  3,790,462 SH        DEFINED   1,2,5,6               3,790,462
CELESTICA INC         SUB VTG SH 15101Q10      97     27,161 SH        DEFINED   1,2                      27,161
CELGENE CORP          COM        15102010 719,283 16,200,060 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,200,060
CELL GENESYS INC      COM        15092110     365  1,257,552 SH        DEFINED   1,2                   1,257,552
CELLCOM ISRAEL LTD    SHS        M2196U10   4,492    210,892 SH        DEFINED   1,2,5,7,10              210,892
CELLDEX THERAPEUTICS  COM        15117B10   2,827    434,242 SH        DEFINED   1,2                     434,242
CEL-SCI CORP          COM NEW    15083740       4     16,358 SH        DEFINED   1                        16,358
CEMEX SAB DE CV       SPON ADR N 15129088  13,365  2,138,385 SH        DEFINED   1,2,7,8               2,138,385
CENTENE CORP DEL      COM        15135B10  27,295  1,514,688 SH        DEFINED   1,2,5,7               1,514,688
CENTENNIAL COMMUNCTN  CL A NEW   15133V20  12,479  1,510,733 SH        DEFINED   1,2,5,6,7,8           1,510,733
CENTER FINL CORP CAL  COM        15146E10      28     10,013 SH        DEFINED   1                        10,013
CENTERPOINT ENERGY I  COM        15189T10 157,984 15,147,103 SH        DEFINED   1,2,5,6,7,8,10,12,13 15,147,103
CENTERSTATE BKS FLA   COM        15201P10   1,362    123,700 SH        DEFINED   1,2                     123,700




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
CENTEX CORP           COM        15231210  49,206  6,560,855 SH        DEFINED   1,2,5,6,8,10,12,13    6,560,855
CENTRAIS ELETRICAS B  SPONSORED  15234Q20   1,326    122,440 SH        DEFINED   1,2                     122,440
CENTRAL EUROPEAN DIS  COM        15343510   5,993    556,997 SH        DEFINED   1,2,5,6,7,10            556,997
CENTRAL EUROPEAN MED  CL A NEW   G2004520   2,925    255,198 SH        DEFINED   1,5,6,10                255,198
CENTRAL FED CORP      COM        15346Q10      90     30,900 SH        DEFINED   1                        30,900
CENTRAL GARDEN & PET  COM        15352710     284     37,349 SH        DEFINED   1,2,5                    37,349
CENTRAL GARDEN & PET  CL A NON-V 15352720  11,929  1,586,356 SH        DEFINED   1,2,5                 1,586,356
CENTRAL PAC FINL COR  COM        15476010   9,292  1,659,243 SH        DEFINED   1,2,5                 1,659,243
CENTRAL VT PUB SVC C  COM        15577110   5,254    303,708 SH        DEFINED   1,2,5                   303,708
CENTURY ALUM CO       COM        15643110     974    461,692 SH        DEFINED   1,2,5,10                461,692
CENTURY CASINOS INC   COM        15649210      52     33,762 SH        DEFINED   1                        33,762
CENTURYTEL INC        COM        15670010 145,494  5,174,053 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,174,053
CENVEO INC            COM        15670S10   2,840    873,760 SH        DEFINED   1,2,5,6                 873,760
CEPHALON INC          NOTE 2.00  156708AP     746    500,000 SH        DEFINED   1                       500,000
CEPHALON INC          COM        15670810 196,358  2,883,378 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,883,378
CEPHEID               COM        15670R10   9,806  1,421,219 SH        DEFINED   1,2,5,6,8             1,421,219
CERADYNE INC          COM        15671010  14,785    815,502 SH        DEFINED   1,2,5,6                 815,502
CERAGON NETWORKS LTD  ORD        M2201310     150     35,191 SH        DEFINED   1                        35,191
CERNER CORP           COM        15678210  57,664  1,311,444 SH        DEFINED   1,2,5,6,10            1,311,444
CERUS CORP            COM        15708510      20     29,697 SH        DEFINED   1                        29,697
CEVA INC              COM        15721010   2,458    337,694 SH        DEFINED   1,2                     337,694
CF INDS HLDGS INC     COM        12526910 164,969  2,319,261 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,319,261
CFS BANCORP INC       COM        12525D10      58     14,968 SH        DEFINED   1                        14,968
CGG VERITAS           SPONSORED  20438610     146     12,635 SH        DEFINED   1,2,6                    12,635
CH ENERGY GROUP INC   COM        12541M10  16,095    343,176 SH        DEFINED   1,2,5                   343,176
CHAMPION ENTERPRISES  COM        15849610     639  1,331,507 SH        DEFINED   1,2,5,6               1,331,507
CHARLES & COLVARD LT  COM        15976510       4     10,104 SH        DEFINED   1                        10,104
CHARLES RIV LABS INT  COM        15986410  41,689  1,532,127 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,532,127
CHARLOTTE RUSSE HLDG  COM        16104810   3,225    395,764 SH        DEFINED   1,2,5                   395,764
CHARMING SHOPPES INC  COM        16113310   3,328  2,377,308 SH        DEFINED   1,2,5,6               2,377,308
CHART INDS INC        COM PAR $0 16115Q30   6,898    875,420 SH        DEFINED   1,2,5,6                 875,420
CHARTER COMMUNICATIO  CL A       16117M10     144  6,851,400 SH        DEFINED   1,2,5                 6,851,400
CHATTEM INC           COM        16245610  22,950    409,462 SH        DEFINED   1,2,5,6,7               409,462
CHECK POINT SOFTWARE  ORD        M2246510  31,890  1,435,862 SH        DEFINED   1,2,5,6,7,8,10,12     1,435,862
CHECKPOINT SYS INC    COM        16282510   7,217    804,551 SH        DEFINED   1,2,5                   804,551
CHEESECAKE FACTORY I  COM        16307210  21,287  1,859,149 SH        DEFINED   1,2,5,6,8             1,859,149
CHELSEA THERAPEUTICS  COM        16342810      48     31,308 SH        DEFINED   1,2                      31,308
CHEMED CORP NEW       COM        16359R10  25,432    653,791 SH        DEFINED   1,2,5,6,7               653,791
CHEMICAL FINL CORP    COM        16373110  10,098    485,264 SH        DEFINED   1,2,5                   485,264
CHEMTURA CORP         COM        16389310      14    292,297 SH        DEFINED   1,2,5,8                 292,297
CHENIERE ENERGY INC   COM NEW    16411R20   3,884    911,795 SH        DEFINED   1,2,6                   911,795
CHENIERE ENERGY PART  COM UNIT   16411Q10      67     11,227 SH        DEFINED   1,2                      11,227
CHEROKEE INC DEL NEW  COM        16444H10   2,384    152,824 SH        DEFINED   1,2,5                   152,824
CHESAPEAKE ENERGY CO  NOTE 2.50  165167BZ     753    700,000 SH        DEFINED   1                       700,000
CHESAPEAKE ENERGY CO  COM        16516710 364,610 21,372,209 SH        DEFINED   1,2,5,6,7,8,10,12,13 21,372,209




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
CHESAPEAKE UTILS COR  COM        16530310     4,447     145,911 SH        DEFINED   1,2                      145,911
CHEVRON CORP NEW      COM        16676410 6,501,749  96,694,656 SH        DEFINED   1,2,5,6,7,8,10,12,13  96,694,656
CHICAGO BRIDGE & IRO  N Y REGIST 16725010       260      41,495 SH        DEFINED   1,2,5,6                   41,495
CHICOS FAS INC        COM        16861510    34,286   6,384,752 SH        DEFINED   1,2,5,6                6,384,752
CHILDRENS PL RETAIL   COM        16890510    16,485     753,079 SH        DEFINED   1,2,5,6                  753,079
CHILE FD INC          COM        16883410     1,284     116,300 SH        DEFINED   5                        116,300
CHIMERA INVT CORP     COM        16934Q10     7,945   2,364,621 SH        DEFINED   1,2                    2,364,621
CHINA ARCHITECTURAL   COM        16937S10       221     225,090 SH        DEFINED   1,2                      225,090
CHINA BAK BATTERY IN  COM        16936Y10       698     408,012 SH        DEFINED   1,2                      408,012
CHINA DIGITAL TV HLD  SPONSORED  16938G10       190      28,163 SH        DEFINED   1,2,6                     28,163
CHINA DIRECT INC      COM NEW    16938420        90      71,704 SH        DEFINED   1,2                       71,704
CHINA FD INC          COM        16937310       158      10,100 SH        DEFINED   1                         10,100
CHINA FIRE & SEC GRO  COM        16938R10     1,414     179,868 SH        DEFINED   1,2                      179,868
CHINA INFORMATION SE  COM        16944F10       894     282,810 SH        DEFINED   1,2,6                    282,810
CHINA MED TECHNOLOGI  SPONSORED  16948310       240      17,457 SH        DEFINED   1,2,6                     17,457
CHINA MOBILE LIMITED  SPONSORED  16941M10       610      14,006 SH        DEFINED   1,6                       14,006
CHINA PETE & CHEM CO  SPON ADR H 16941R10    13,855     215,916 SH        DEFINED   1,4,5,6                  215,916
CHINA PRECISION STEE  COM        16941J10       201     171,920 SH        DEFINED   1,2                      171,920
CHINA SEC & SURVE TE  COM        16942J10     1,533     399,277 SH        DEFINED   1,2                      399,277
CHINA SKY ONE MED IN  COM        16941P10     1,219     105,962 SH        DEFINED   1,2                      105,962
CHINA UNICOM (HONG K  SPONSORED  16945R10       104      10,020 SH        DEFINED   1,6                       10,020
CHINA YUCHAI INTL LT  COM        G2108210       494     104,463 SH        DEFINED   1,5,7,8                  104,463
CHINDEX INTERNATIONA  COM        16946710       799     160,717 SH        DEFINED   1,2,6                    160,717
CHIPOTLE MEXICAN GRI  CL A       16965610    41,811     629,871 SH        DEFINED   1,2,5,6,10               629,871
CHIPOTLE MEXICAN GRI  CL B       16965620     1,789      31,219 SH        DEFINED   1,2,5,6                   31,219
CHIQUITA BRANDS INTL  COM        17003280     6,620     998,452 SH        DEFINED   1,2,5                    998,452
CHOICE HOTELS INTL I  COM        16990510     9,445     365,804 SH        DEFINED   1,2,5,6,10               365,804
CHORDIANT SOFTWARE I  COM NEW    17040430     1,540     508,103 SH        DEFINED   1,2,5,6                  508,103
CHRISTOPHER & BANKS   COM        17104610     3,018     737,986 SH        DEFINED   1,2,5                    737,986
CHUBB CORP            COM        17123210   591,893  13,986,130 SH        DEFINED   1,2,5,6,7,8,10,12,13  13,986,130
CHUNGHWA TELECOM CO   SPONS ADR  17133Q40     3,470     190,325 SH        DEFINED   1,2,4,6,12               190,325
CHURCH & DWIGHT INC   COM        17134010    98,770   1,891,061 SH        DEFINED   1,2,5,6,7,8,10,12,13   1,891,061
CHURCHILL DOWNS INC   COM        17148410     5,561     185,005 SH        DEFINED   1,2,5                    185,005
CIBER INC             COM        17163B10     4,516   1,654,159 SH        DEFINED   1,2,5                  1,654,159
CIENA CORP            COM NEW    17177930    26,117   3,357,005 SH        DEFINED   1,2,5,6,7,10,13        3,357,005
CIGNA CORP            COM        12550910   195,284  11,102,002 SH        DEFINED   1,2,5,6,7,8,10,12,13  11,102,002
CIMAREX ENERGY CO     COM        17179810    63,692   3,465,285 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,465,285
CINCINNATI BELL INC   COM        17187110    15,464   6,723,681 SH        DEFINED   1,2,5                  6,723,681
CINCINNATI FINL CORP  COM        17206210   156,505   6,843,265 SH        DEFINED   1,2,5,6,7,8,10,12,13   6,843,265
CINEMARK HOLDINGS IN  COM        17243V10     5,382     573,146 SH        DEFINED   1,2,5                    573,146
CINTAS CORP           COM        17290810   106,472   4,307,139 SH        DEFINED   1,2,5,6,7,8,10,12,13   4,307,139
CIRCOR INTL INC       COM        17273K10     9,532     423,262 SH        DEFINED   1,2,5,6                  423,262
CIRRUS LOGIC INC      COM        17275510     6,423   1,708,194 SH        DEFINED   1,2,5,6                1,708,194
CISCO SYS INC         COM        17275R10 3,278,346 195,488,743 SH        DEFINED   1,2,5,6,7,8,10,12,13 195,488,743
CIT GROUP INC         COM        12558110    39,283  13,783,540 SH        DEFINED   1,2,5,6,8,10,12,13    13,783,540




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
CITI TRENDS INC       COM        17306X10     5,196     227,004 SH        DEFINED   1,2,6                    227,004
CITIGROUP INC         COM        17296710   559,402 221,107,342 SH        DEFINED   1,2,5,6,7,8,10,12,13 221,107,342
CITIZENS & NORTHN CO  COM        17292210     3,274     177,055 SH        DEFINED   1,2                      177,055
CITIZENS FIRST BANCO  COM        17461R10        20      19,125 SH        DEFINED   1                         19,125
CITIZENS INC          CL A       17474010     4,824     663,552 SH        DEFINED   1,2,5,6                  663,552
CITIZENS REPUBLIC BA  COM        17442010     8,158   5,263,379 SH        DEFINED   1,2,5                  5,263,379
CITRIX SYS INC        COM        17737610   131,467   5,806,868 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,806,868
CITY BK LYNNWOOD WAS  COM        17770A10       875     265,163 SH        DEFINED   1,2,5                    265,163
CITY HLDG CO          COM        17783510    10,905     399,591 SH        DEFINED   1,2,5                    399,591
CITY NATL CORP        COM        17856610    41,486   1,228,485 SH        DEFINED   1,2,5,6,8,10,12        1,228,485
CKE RESTAURANTS INC   COM        12561E10     9,988   1,189,107 SH        DEFINED   1,2,5,6                1,189,107
CKX INC               COM        12562M10     3,900     951,248 SH        DEFINED   1,2,5,6                  951,248
CLARCOR INC           COM        17989510    26,654   1,058,111 SH        DEFINED   1,2,5,6                1,058,111
CLARIENT INC          COM        18048910        39      17,370 SH        DEFINED   1                         17,370
CLEAN ENERGY FUELS C  COM        18449910     2,470     405,565 SH        DEFINED   1,2,5,6                  405,565
CLEAN HARBORS INC     COM        18449610    28,171     586,886 SH        DEFINED   1,2,5,6                  586,886
CLEAR CHANNEL OUTDOO  CL A       18451C10     1,608     438,222 SH        DEFINED   1,2,5,10                 438,222
CLEARWATER PAPER COR  COM        18538R10     1,661     206,837 SH        DEFINED   1,2,5                    206,837
CLEARWIRE CORP NEW    CL A       18538Q10     2,972     577,184 SH        DEFINED   1,2,5,10                 577,184
CLECO CORP NEW        COM        12561W10    30,329   1,398,297 SH        DEFINED   1,2,5                  1,398,297
CLIFFS NATURAL RESOU  COM        18683K10    75,902   4,179,604 SH        DEFINED   1,2,5,6,7,8,10,12,13   4,179,604
CLIFTON SVGS BANCORP  COM        18712Q10     2,277     227,688 SH        DEFINED   1,2                      227,688
CLINICAL DATA INC NE  COM        18725U10     1,758     162,750 SH        DEFINED   1,2                      162,750
CLOROX CO DEL         COM        18905410   251,080   4,877,232 SH        DEFINED   1,2,5,6,7,8,10,12,13   4,877,232
CME GROUP INC         COM        12572Q10   583,645   2,368,787 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,368,787
CMS ENERGY CORP       COM        12589610   143,114  12,087,321 SH        DEFINED   1,2,5,6,7,10,13       12,087,321
CNA FINL CORP         COM        12611710     3,404     371,577 SH        DEFINED   1,2,5,7,8,10,12          371,577
CNA SURETY CORP       COM        12612L10     6,990     379,091 SH        DEFINED   1,2,5                    379,091
CNH GLOBAL N V        SHS NEW    N2093520       145      13,978 SH        DEFINED   1,5,6                     13,978
CNOOC LTD             SPONSORED  12613210       315       3,133 SH        DEFINED   1,6                        3,133
CNX GAS CORP          COM        12618H30     8,923     376,358 SH        DEFINED   1,2,5,10                 376,358
COACH INC             COM        18975410   180,695  10,820,074 SH        DEFINED   1,2,5,6,7,8,10,12,13  10,820,074
COACHMEN INDS INC     COM        18987310         9      14,335 SH        DEFINED   1                         14,335
COBIZ FINANCIAL INC   COM        19089710     1,895     361,034 SH        DEFINED   1,2,5                    361,034
COBRA ELECTRS CORP    COM        19104210        10      10,846 SH        DEFINED   1                         10,846
COCA COLA BOTTLING C  COM        19109810     3,800      73,007 SH        DEFINED   1,2,6                     73,007
COCA COLA CO          COM        19121610 3,324,728  75,647,974 SH        DEFINED   1,2,5,6,7,8,10,12,13  75,647,974
COCA COLA ENTERPRISE  COM        19121910   177,886  13,486,446 SH        DEFINED   1,2,5,6,7,8,10,12,13  13,486,446
COCA COLA FEMSA S A   SPON ADR R 19124110     5,010     147,082 SH        DEFINED   1,2,7                    147,082
COEUR D ALENE MINES   COM        19210810    10,998  11,699,684 SH        DEFINED   1,2,5,6               11,699,684
COGDELL SPENCER INC   COM        19238U10     1,374     269,414 SH        DEFINED   1,2,3                    269,414
COGENT COMM GROUP IN  COM NEW    19239V30     6,075     843,736 SH        DEFINED   1,2,5,6                  843,736
COGENT INC            COM        19239Y10     9,856     828,252 SH        DEFINED   1,2,5,6                  828,252
COGNEX CORP           COM        19242210    12,863     964,280 SH        DEFINED   1,2,5,6                  964,280
COGNIZANT TECHNOLOGY  CL A       19244610   194,153   9,338,745 SH        DEFINED   1,2,5,6,7,8,10,12,13   9,338,745




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
COGO GROUP INC        COM        19244810     2,724    407,784 SH        DEFINED   1,2,5,6                 407,784
COHEN & STEERS INC    COM        19247A10     3,333    298,621 SH        DEFINED   1,2,5                   298,621
COHERENT INC          COM        19247910    11,432    662,717 SH        DEFINED   1,2,5,6                 662,717
COHU INC              COM        19257610     3,614    502,001 SH        DEFINED   1,2,5,6                 502,001
COINSTAR INC          COM        19259P30    20,889    638,024 SH        DEFINED   1,2,5,6                 638,024
COLDWATER CREEK INC   COM        19306810     3,372  1,343,545 SH        DEFINED   1,2,5,6               1,343,545
COLE KENNETH PRODTNS  CL A       19329410     1,024    160,271 SH        DEFINED   1,2                     160,271
COLEMAN CABLE INC     COM        19345930       220    103,277 SH        DEFINED   1,2                     103,277
COLFAX CORP           COM        19401410     2,450    356,569 SH        DEFINED   1,2,5                   356,569
COLGATE PALMOLIVE CO  COM        19416210 1,071,203 18,162,138 SH        DEFINED   1,2,5,6,7,8,10,12,13 18,162,138
COLLECTIVE BRANDS IN  COM        19421W10    24,396  2,504,734 SH        DEFINED   1,2,5                 2,504,734
COLONIAL BANCGROUP I  COM        19549330     4,869  5,409,486 SH        DEFINED   1,2,5,6,8             5,409,486
COLONIAL PPTYS TR     COM SH BEN 19587210     6,761  1,774,529 SH        DEFINED   1,2,3,5,6             1,774,529
COLUMBIA BKG SYS INC  COM        19723610     2,386    372,757 SH        DEFINED   1,2,5                   372,757
COLUMBIA LABS INC     COM        19777910       971    673,979 SH        DEFINED   1,2,5                   673,979
COLUMBIA SPORTSWEAR   COM        19851610     7,415    247,824 SH        DEFINED   1,2,5                   247,824
COLUMBUS MCKINNON CO  COM        19933310     3,136    359,617 SH        DEFINED   1,2,5,6                 359,617
COMARCO INC           COM        20008010        19     13,186 SH        DEFINED   1                        13,186
COMBINATORX INC       COM        20010A10        12     19,600 SH        DEFINED   1                        19,600
COMCAST CORP NEW      CL A       20030N10 1,232,611 90,367,371 SH        DEFINED   1,2,5,6,7,8,10,12,13 90,367,371
COMCAST CORP NEW      CL A SPL   20030N20    60,318  4,686,751 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,686,751
COMERICA INC          COM        20034010   123,229  6,730,165 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,730,165
COMFORT SYS USA INC   COM        19990810    10,716  1,033,329 SH        DEFINED   1,2,5,6               1,033,329
COMMERCE BANCSHARES   COM        20052510    63,210  1,741,326 SH        DEFINED   1,2,5,6,8,10,12       1,741,326
COMMERCIAL METALS CO  COM        20172310    39,607  3,429,211 SH        DEFINED   1,2,5,6,8,10          3,429,211
COMMERCIAL VEH GROUP  COM        20260810       217    393,731 SH        DEFINED   1,2                     393,731
COMMSCOPE INC         COM        20337210    18,362  1,616,409 SH        DEFINED   1,2,5,6,7,10          1,616,409
COMMUNITY BANCORP NE  COM        20343T10        27     13,600 SH        DEFINED   1                        13,600
COMMUNITY BK SYS INC  COM        20360710    22,625  1,350,740 SH        DEFINED   1,2,5,6               1,350,740
COMMUNITY HEALTH SYS  COM        20366810    29,710  1,936,791 SH        DEFINED   1,2,5,6,8,10,12       1,936,791
COMMUNITY TR BANCORP  COM        20414910     7,932    296,517 SH        DEFINED   1,2,5                   296,517
COMMVAULT SYSTEMS IN  COM        20416610     8,640    787,600 SH        DEFINED   1,2,5,6                 787,600
COMPANHIA BRASILEIRA  SPON ADR P 20440T20    15,419    569,382 SH        DEFINED   1,2,7                   569,382
COMPANHIA DE BEBIDAS  SPON ADR P 20441W20     4,623     96,818 SH        DEFINED   1,2                      96,818
COMPANHIA ENERGETICA  SP ADR N-V 20440960    27,891  1,887,089 SH        DEFINED   1,2,6,7               1,887,089
COMPANHIA PARANAENSE  SPON ADR P 20441B40    23,202  2,224,567 SH        DEFINED   1,2,7                 2,224,567
COMPANHIA SIDERURGIC  SPONSORED  20440W10    18,311  1,233,873 SH        DEFINED   1,2,7                 1,233,873
COMPANHIA VALE DO RI  SPON ADR P 20441210     7,507    665,554 SH        DEFINED   1,2,8                   665,554
COMPANHIA VALE DO RI  SPONSORED  20441220   171,558 12,899,101 SH        DEFINED   1,2,4,5,6,7          12,899,101
COMPANIA CERVECERIAS  SPONSORED  20442910     7,662    272,660 SH        DEFINED   1,2,5,6,7               272,660
COMPANIA DE MINAS BU  SPONSORED  20444810     2,371     98,869 SH        DEFINED   1,2,5,7,10               98,869
COMPASS DIVERSIFIED   SH BEN INT 20451Q10     6,047    677,934 SH        DEFINED   1,2                     677,934
COMPASS MINERALS INT  COM        20451N10    61,860  1,097,398 SH        DEFINED   1,2,5,6,7,10          1,097,398
COMPELLENT TECHNOLOG  COM        20452A10     2,859    263,525 SH        DEFINED   1,2,6                   263,525
COMPLETE PRODUCTION   COM        20453E10     3,850  1,250,044 SH        DEFINED   1,2,5                 1,250,044




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- --------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                        
COMPUCREDIT CORP      COM       20478N10       869    354,613 SH        DEFINED   1,2,5                   354,613
COMPUTER PROGRAMS &   COM       20530610     6,368    191,401 SH        DEFINED   1,2,5                   191,401
COMPUTER SCIENCES CO  COM       20536310   222,584  6,041,911 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,041,911
COMPUTER TASK GROUP   COM       20547710        99     28,714 SH        DEFINED   1                        28,714
COMPUWARE CORP        COM       20563810    54,549  8,277,594 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,277,594
COMSCORE INC          COM       20564W10     3,906    323,098 SH        DEFINED   1,2,6                   323,098
COMSTOCK RES INC      COM NEW   20576820    51,969  1,743,925 SH        DEFINED   1,2,5,6               1,743,925
COMSYS IT PARTNERS I  COM       20581E10       647    292,882 SH        DEFINED   1,2                     292,882
COMTECH TELECOMMUNIC  COM NEW   20582620    12,931    522,034 SH        DEFINED   1,2,5,6                 522,034
COMVERGE INC          COM       20585910     2,050    294,976 SH        DEFINED   1,2,6                   294,976
CONAGRA FOODS INC     COM       20588710   377,370 22,369,301 SH        DEFINED   1,2,5,6,7,8,10,12,13 22,369,301
CONCEPTUS INC         COM       20601610     6,227    529,974 SH        DEFINED   1,2,5,6                 529,974
CONCHO RES INC        COM       20605P10    26,304  1,027,910 SH        DEFINED   1,2,5,6               1,027,910
CONCUR TECHNOLOGIES   COM       20670810    17,093    890,707 SH        DEFINED   1,2,5,6                 890,707
CONEXANT SYSTEMS INC  COM NEW   20714230        37     56,949 SH        DEFINED   1,2,5                    56,949
CONMED CORP           COM       20741010    12,226    848,410 SH        DEFINED   1,2,5                   848,410
CONNECTICUT WTR SVC   COM       20779710     2,944    145,184 SH        DEFINED   1,2,5                   145,184
CONNS INC             COM       20824210     2,499    177,956 SH        DEFINED   1,2,5                   177,956
CONOCOPHILLIPS        COM       20825C10 2,154,011 55,005,391 SH        DEFINED   1,2,5,6,7,8,10,12,13 55,005,391
CONSECO INC           COM NEW   20846488     2,381  2,588,440 SH        DEFINED   1,2,5,6,7,8,10        2,588,440
CONSOL ENERGY INC     COM       20854P10   184,240  7,299,533 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,299,533
CONSOLIDATED COMM HL  COM       20903410     4,214    410,709 SH        DEFINED   1,2                     410,709
CONSOLIDATED EDISON   COM       20911510   450,285 11,367,957 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,367,957
CONSOLIDATED GRAPHIC  COM       20934110     3,241    254,828 SH        DEFINED   1,2,5                   254,828
CONSOLIDATED TOMOKA   COM       21022610     2,751     92,635 SH        DEFINED   1,2,6                    92,635
CONSOLIDATED WATER C  ORD       G2377310     1,980    182,461 SH        DEFINED   1                       182,461
CONSTANT CONTACT INC  COM       21031310     4,593    328,271 SH        DEFINED   1,2,6                   328,271
CONSTELLATION BRANDS  CL A      21036P10    81,390  6,839,514 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,839,514
CONSTELLATION ENERGY  COM       21037110   152,140  7,364,007 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,364,007
CONTANGO OIL & GAS C  COM NEW   21075N20     9,984    254,697 SH        DEFINED   1,2,5,6                 254,697
CONTINENTAL AIRLS IN  CL B      21079530    13,481  1,530,171 SH        DEFINED   1,2,5,6,8,10          1,530,171
CONTINENTAL RESOURCE  COM       21201510     9,892    466,387 SH        DEFINED   1,2,5,10,12             466,387
CONTINUCARE CORP      COM       21217210        33     17,700 SH        DEFINED   1                        17,700
CONVERA CORP          CL A      21191910         4     20,138 SH        DEFINED   1                        20,138
CONVERGYS CORP        COM       21248510    37,223  4,606,748 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,606,748
CON-WAY INC           COM       20594410    17,879    997,149 SH        DEFINED   1,2,5,6,7,10            997,149
COOPER COS INC        COM NEW   21664840    16,709    631,954 SH        DEFINED   1,2,5,6,10              631,954
COOPER INDS LTD       CL A      G2418210   137,461  5,315,584 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,315,584
COOPER TIRE & RUBR C  COM       21683110     4,992  1,235,706 SH        DEFINED   1,2,5,8               1,235,706
COPA HOLDINGS SA      CL A      P3107610    31,513  1,099,169 SH        DEFINED   1,4,5,10              1,099,169
COPANO ENERGY L L C   COM UNITS 21720210       694     52,101 SH        DEFINED   1,2                      52,101
COPART INC            COM       21720410    39,784  1,341,324 SH        DEFINED   1,2,5,10              1,341,324
CORE LABORATORIES N   COM       N2271710     3,368     46,036 SH        DEFINED   1,2,5,6                  46,036
CORE MARK HOLDING CO  COM       21868110     3,243    177,976 SH        DEFINED   1,2,6,8                 177,976
CORINTHIAN COLLEGES   COM       21886810    47,079  2,420,534 SH        DEFINED   1,2,5,6               2,420,534




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
CORN PRODS INTL INC   COM        21902310  29,982  1,414,229 SH        DEFINED   1,2,5,6,8,10          1,414,229
CORNELL COMPANIES IN  COM        21914110   3,280    200,342 SH        DEFINED   1,2,5,6                 200,342
CORNING INC           COM        21935010 691,645 52,120,963 SH        DEFINED   1,2,5,6,7,8,10,12,13 52,120,963
CORPBANCA             SP ADR REG 21987A20     745     35,899 SH        DEFINED   1,2,5                    35,899
CORPORATE EXECUTIVE   COM        21988R10  11,684    805,802 SH        DEFINED   1,2,5,6,10              805,802
CORPORATE OFFICE PPT  SH BEN INT 22002T10  45,369  1,827,193 SH        DEFINED   1,2,3,5               1,827,193
CORRECTIONS CORP AME  COM NEW    22025Y40  32,321  2,523,111 SH        DEFINED   1,2,3,5,6,7,10        2,523,111
CORUS BANKSHARES INC  COM        22087310     182    674,149 SH        DEFINED   1,2,5                   674,149
CORVEL CORP           COM        22100610   3,597    177,880 SH        DEFINED   1,2,5,6                 177,880
COSI INC              COM        22122P10       9     25,700 SH        DEFINED   1                        25,700
COST PLUS INC CALIF   COM        22148510      29     30,389 SH        DEFINED   1                        30,389
COSTAR GROUP INC      COM        22160N10  10,382    343,192 SH        DEFINED   1,2,5,6                 343,192
COSTCO WHSL CORP NEW  COM        22160K10 663,721 14,329,036 SH        DEFINED   1,2,5,6,7,8,10,12,13 14,329,036
COUGAR BIOTECHNOLOGY  COM        22208310   8,223    255,379 SH        DEFINED   1,2,6                   255,379
COURIER CORP          COM        22266010   3,733    246,051 SH        DEFINED   1,2,5                   246,051
COUSINS PPTYS INC     COM        22279510  12,152  1,887,017 SH        DEFINED   1,2,3,5               1,887,017
COVANCE INC           COM        22281610  53,511  1,501,850 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,501,850
COVANTA HLDG CORP     COM        22282E10  16,921  1,292,659 SH        DEFINED   1,2,5,6,10            1,292,659
COVENANT TRANSN GROU  CL A       22284P10      25     12,631 SH        DEFINED   1                        12,631
COVENTRY HEALTH CARE  COM        22286210  84,466  6,527,532 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,527,532
COVIDIEN LTD          COM        G2552X10 536,953 16,153,809 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,153,809
COWEN GROUP INC       COM        22362110      84     17,180 SH        DEFINED   1                        17,180
COX RADIO INC         CL A       22405110   1,927    470,101 SH        DEFINED   1,2,5                   470,101
CPFL ENERGIA S A      SPONSORED  12615310     251      6,195 SH        DEFINED   1,6                       6,195
CPI INTERNATIONAL IN  COM        12618M10   1,337    142,239 SH        DEFINED   1,2                     142,239
CRA INTL INC          COM        12618T10   4,203    222,638 SH        DEFINED   1,2,5,6                 222,638
CRACKER BARREL OLD C  COM        22410J10  13,774    480,938 SH        DEFINED   1,2,5                   480,938
CRANE CO              COM        22439910  18,571  1,100,193 SH        DEFINED   1,2,5,6,10            1,100,193
CRAWFORD & CO         CL B       22463310   3,067    456,331 SH        DEFINED   1,2,5,6                 456,331
CRAY INC              COM NEW    22522330   1,786    510,254 SH        DEFINED   1,2,5                   510,254
CREDICORP LTD         COM        G2519Y10  55,728  1,189,763 SH        DEFINED   1,2,4,5,7,10          1,189,763
CREDIT ACCEP CORP MI  COM        22531010   2,482    115,487 SH        DEFINED   1,2,5,6                 115,487
CREDIT SUISSE GROUP   SPONSORED  22540110     934     30,642 SH        DEFINED   1,2                      30,642
CREDO PETE CORP       COM PAR $0 22543920      81     10,857 SH        DEFINED   1,2                      10,857
CREE INC              COM        22544710  44,842  1,905,740 SH        DEFINED   1,2,5,6,10            1,905,740
CRESUD S A C I F Y A  SPONSORED  22640610     294     40,451 SH        DEFINED   1,2                      40,451
CROCS INC             COM        22704610   1,778  1,493,807 SH        DEFINED   1,2,5,6               1,493,807
CROSS CTRY HEALTHCAR  COM        22748310   4,144    632,636 SH        DEFINED   1,2,5                   632,636
CROSSTEX ENERGY INC   COM        22765Y10   1,144    697,761 SH        DEFINED   1,2,5                   697,761
CROSSTEX ENERGY L P   COM        22765U10      78     40,875 SH        DEFINED   1,2                      40,875
CROWN CASTLE INTL CO  COM        22822710  81,539  3,995,074 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,995,074
CROWN HOLDINGS INC    COM        22836810  67,283  2,960,109 SH        DEFINED   1,2,5,6,7,8,10        2,960,109
CROWN MEDIA HLDGS IN  CL A       22841110     557    271,833 SH        DEFINED   1,2,5                   271,833
CRUSADER ENERGY GROU  COM        22883410       0     20,800 SH        DEFINED   1                        20,800
CRYOLIFE INC          COM        22890310   2,619    505,551 SH        DEFINED   1,2,6                   505,551




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
CS'G SYS INTL INC     COM        12634910    14,992  1,049,888 SH        DEFINED   1,2,5,6               1,049,888
CSS INDS INC          COM        12590610     2,512    147,767 SH        DEFINED   1,2,5                   147,767
CSX CORP              COM        12640810   358,469 13,867,292 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,867,292
CTC MEDIA INC         COM        12642X10     2,248    492,897 SH        DEFINED   1,2,5,10                492,897
CTRIP COM INTL LTD    ADR        22943F10    11,400    416,062 SH        DEFINED   1,2,4,5,6               416,062
CTS CORP              COM        12650110     3,278    908,011 SH        DEFINED   1,2,5,6                 908,011
CUBIC CORP            COM        22966910     9,692    382,610 SH        DEFINED   1,2,5,6                 382,610
CUBIST PHARMACEUTICA  COM        22967810    40,126  2,452,673 SH        DEFINED   1,2,5,6               2,452,673
CULLEN FROST BANKERS  COM        22989910    69,640  1,483,592 SH        DEFINED   1,2,5,6,10            1,483,592
CULP INC              COM        23021510        35     11,213 SH        DEFINED   1                        11,213
CUMMINS INC           COM        23102110   443,527 17,427,386 SH        DEFINED   1,2,5,6,7,8,10,12,13 17,427,386
CUMULUS MEDIA INC     CL A       23108210       570    563,906 SH        DEFINED   1,2                     563,906
CURAGEN CORP          COM        23126R10       540    600,206 SH        DEFINED   1                       600,206
CURIS INC             COM        23126910        52     37,620 SH        DEFINED   1                        37,620
CURTISS WRIGHT CORP   COM        23156110    25,920    924,077 SH        DEFINED   1,2,5                   924,077
CUTERA INC            COM        23210910       171     26,696 SH        DEFINED   1                        26,696
CV THERAPEUTICS INC   COM        12666710    40,738  2,049,174 SH        DEFINED   1,2,5,6               2,049,174
CVB FINL CORP         COM        12660010    17,460  2,633,430 SH        DEFINED   1,2,5                 2,633,430
CVR ENERGY INC        COM        12662P10     2,506    452,345 SH        DEFINED   1,2,5,6                 452,345
CVS CAREMARK CORPORA  COM        12665010 1,343,505 48,872,507 SH        DEFINED   1,2,5,6,7,8,10,12,13 48,872,507
CYBERONICS INC        COM        23251P10     5,997    451,896 SH        DEFINED   1,2,5,6                 451,896
CYBERSOURCE CORP      COM        23251J10    21,681  1,463,975 SH        DEFINED   1,2,5,6               1,463,975
CYMER INC             COM        23257210    17,784    798,914 SH        DEFINED   1,2,5,6                 798,914
CYNOSURE INC          CL A       23257720     1,047    171,847 SH        DEFINED   1,2,6                   171,847
CYPRESS BIOSCIENCES   COM PAR $. 23267450     4,824    678,514 SH        DEFINED   1,2,5,6                 678,514
CYPRESS SEMICONDUCTO  COM        23280610    22,307  3,294,908 SH        DEFINED   1,2,5,6,10            3,294,908
CYTEC INDS INC        COM        23282010    14,426    960,464 SH        DEFINED   1,2,5,6,8,10            960,464
CYTOKINETICS INC      COM        23282W10       908    534,188 SH        DEFINED   1,2                     534,188
CYTORI THERAPEUTICS   COM        23283K10       507    294,630 SH        DEFINED   1,2                     294,630
CYTRX CORP            COM NEW    23282830        25     72,369 SH        DEFINED   1                        72,369
D & E COMMUNICATIONS  COM        23286010       122     22,803 SH        DEFINED   1                        22,803
D R HORTON INC        COM        23331A10   127,484 13,142,632 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,142,632
DAIMLER AG            REG SHS    D1668R12       906     35,489 SH        DEFINED   1                        35,489
DAKTRONICS INC        COM        23426410     4,369    666,976 SH        DEFINED   1,2,5,6                 666,976
DANA HOLDING CORP     COM        23582520       753  1,636,696 SH        DEFINED   1,2                   1,636,696
DANAHER CORP DEL      NOTE       235851AF       214    250,000 SH        DEFINED   1                       250,000
DANAHER CORP DEL      COM        23585110   433,609  7,997,221 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,997,221
DANVERS BANCORP INC   COM        23644210     3,568    258,369 SH        DEFINED   1,2,6                   258,369
DARDEN RESTAURANTS I  COM        23719410   163,093  4,760,443 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,760,443
DARLING INTL INC      COM        23726610     8,226  2,217,234 SH        DEFINED   1,2,5,6               2,217,234
DATA DOMAIN INC       COM        23767P10     6,966    554,169 SH        DEFINED   1,2,5,6                 554,169
DATARAM CORP          COM PAR $1 23810820        18     14,300 SH        DEFINED   1                        14,300
DATATRAK INTL INC     COM        23813410         3     15,197 SH        DEFINED   1                        15,197
DAVITA INC            COM        23918K10   153,674  3,496,574 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,496,574
DAWSON GEOPHYSICAL C  COM        23935910     1,977    146,449 SH        DEFINED   1,2,5,6                 146,449




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
DCP MIDSTREAM PARTNE  COM UT LTD 23311P10     316     22,437 SH        DEFINED   1,2                      22,437
DCT INDUSTRIAL TRUST  COM        23315310  19,181  6,050,807 SH        DEFINED   1,2,3,5               6,050,807
DEALERTRACK HLDGS IN  COM        24230910  10,964    836,921 SH        DEFINED   1,2,5,6                 836,921
DEAN FOODS CO NEW     COM        24237010 114,682  6,343,023 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,343,023
DEARBORN BANCORP INC  COM        24242R10      20     11,040 SH        DEFINED   1                        11,040
DECKERS OUTDOOR CORP  COM        24353710  14,124    266,291 SH        DEFINED   1,2,5,6                 266,291
DECORATOR INDS INC    COM PAR $0 24363120       8     11,400 SH        DEFINED   1                        11,400
DEERE & CO            COM        24419910 441,343 13,426,915 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,426,915
DEL MONTE FOODS CO    COM        24522P10  25,021  3,432,273 SH        DEFINED   1,2,5,6,10            3,432,273
DELEK US HLDGS INC    COM        24664710   2,683    258,994 SH        DEFINED   1,2,5                   258,994
DELIA'S INC NEW       COM        24691110      55     32,909 SH        DEFINED   1                        32,909
DELL INC              COM        24702R10 569,161 60,038,101 SH        DEFINED   1,2,5,6,7,8,10,12,13 60,038,101
DELPHI FINL GROUP IN  CL A       24713110  12,629    938,268 SH        DEFINED   1,2,5                   938,268
DELTA AIR LINES INC   COM NEW    24736170  45,817  8,138,044 SH        DEFINED   1,2,5,7,8,10,12       8,138,044
DELTA PETE CORP       COM NEW    24790720   1,300  1,083,654 SH        DEFINED   1,2,5,6               1,083,654
DELTEK INC            COM        24784L10     821    189,664 SH        DEFINED   1,2                     189,664
DELTIC TIMBER CORP    COM        24785010   7,921    200,995 SH        DEFINED   1,2,5,6                 200,995
DELUXE CORP           COM        24801910  16,304  1,693,039 SH        DEFINED   1,2,5                 1,693,039
DEMANDTEC INC         COM NEW    24802R50   2,771    316,697 SH        DEFINED   1,2                     316,697
DENBURY RES INC       COM NEW    24791620  90,528  6,092,063 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,092,063
DENDREON CORP         COM        24823Q10   7,229  1,721,235 SH        DEFINED   1,2,5,6               1,721,235
DENNYS CORP           COM        24869P10   2,947  1,764,887 SH        DEFINED   1,2,5,6               1,764,887
DENTSPLY INTL INC NE  COM        24903010 132,889  4,949,303 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,949,303
DEPOMED INC           COM        24990810   2,303    975,707 SH        DEFINED   1,2                     975,707
DESARROLLADORA HOMEX  SPONSORED  25030W10     293     22,104 SH        DEFINED   1                        22,104
DESIGN WITHIN REACH   COM        25055710       8     13,900 SH        DEFINED   1                        13,900
DEUTSCHE BANK AG      NAMEN AKT  D1819089     354      8,717 SH        DEFINED   1,2                       8,717
DEUTSCHE TELEKOM AG   SPONSORED  25156610   1,147     92,888 SH        DEFINED   1,2                      92,888
DEVELOPERS DIVERSIFI  COM        25159110   6,965  3,269,957 SH        DEFINED   1,2,3,5,6,8,10        3,269,957
DEVON ENERGY CORP NE  COM        25179M10 762,657 17,065,491 SH        DEFINED   1,2,5,6,7,8,10,12,13 17,065,491
DEVRY INC DEL         COM        25189310  66,502  1,380,284 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,380,284
DEXCOM INC            COM        25213110   2,462    594,666 SH        DEFINED   1,2                     594,666
DG FASTCHANNEL INC    COM        23326R10   5,926    315,732 SH        DEFINED   1,2,5,6                 315,732
DHT MARITIME INC      COM        Y2065G10   2,212    576,060 SH        DEFINED   1,2                     576,060
DIAGEO P L C          SPON ADR N 25243Q20     691     15,433 SH        DEFINED   1                        15,433
DIAMOND FOODS INC     COM        25260310   8,562    306,535 SH        DEFINED   1,2,6                   306,535
DIAMOND HILL INVESTM  COM NEW    25264R20   1,259     32,010 SH        DEFINED   1,2                      32,010
DIAMOND MGMT & TECHN  COM        25269L10     156     61,139 SH        DEFINED   1                        61,139
DIAMOND OFFSHORE DRI  COM        25271C10 172,827  2,749,389 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,749,389
DIAMONDROCK HOSPITAL  COM        25278430  14,516  3,619,852 SH        DEFINED   1,2,3,5               3,619,852
DIANA SHIPPING INC    COM        Y2066G10     236     20,044 SH        DEFINED   1,5,6                    20,044
DICE HLDGS INC        COM        25301710     629    226,226 SH        DEFINED   1,2,6                   226,226
DICKS SPORTING GOODS  COM        25339310  30,490  2,136,645 SH        DEFINED   1,2,5,6,10            2,136,645
DIEBOLD INC           COM        25365110  35,057  1,642,031 SH        DEFINED   1,2,5,6,8,10,12       1,642,031
DIGI INTL INC         COM        25379810   5,320    693,654 SH        DEFINED   1,2,5                   693,654




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
DIGIMARC CORP NEW     COM        25381B10       860     88,498 SH        DEFINED   1,2                      88,498
DIGITAL RIV INC       COM        25388B10    36,791  1,233,762 SH        DEFINED   1,2,5,6               1,233,762
DIGITAL RLTY TR INC   COM        25386810    77,571  2,337,893 SH        DEFINED   1,2,3,5,6,7,10        2,337,893
DILLARDS INC          CL A       25406710     6,980  1,224,640 SH        DEFINED   1,2,5,8               1,224,640
DIME CMNTY BANCSHARE  COM        25392210     6,518    694,895 SH        DEFINED   1,2,5                   694,895
DINEEQUITY INC        COM        25442310     3,784    319,015 SH        DEFINED   1,2,5                   319,015
DIODES INC            COM        25454310     5,804    546,997 SH        DEFINED   1,2,5,6                 546,997
DIONEX CORP           COM        25454610    18,078    382,611 SH        DEFINED   1,2,5,6                 382,611
DIRECTV GROUP INC     COM        25459L10   621,849 27,286,027 SH        DEFINED   1,2,5,6,7,8,10,12,13 27,286,027
DISCOVER FINL SVCS    COM        25470910   110,482 17,509,003 SH        DEFINED   1,2,5,6,7,8,10,12,13 17,509,003
DISCOVERY COMMUNICAT  COM SER A  25470F10    18,042  1,126,224 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,126,224
DISCOVERY COMMUNICAT  COM SER C  25470F30    41,519  2,834,062 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,834,062
DISCOVERY LABORATORI  COM        25466810     1,736  1,423,224 SH        DEFINED   1,2,5                 1,423,224
DISH NETWORK CORP     CL A       25470M10    42,146  3,793,499 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,793,499
DISNEY WALT CO        COM DISNEY 25468710 1,210,638 66,665,066 SH        DEFINED   1,2,5,6,7,8,10,12,13 66,665,066
DITECH NETWORKS INC   COM        25500T10        27     26,085 SH        DEFINED   1                        26,085
DIVX INC              COM        25541310     2,516    500,229 SH        DEFINED   1,2,5,6                 500,229
DIXIE GROUP INC       CL A       25551910        15     13,964 SH        DEFINED   1                        13,964
DOLAN MEDIA CO        COM        25659P40     3,086    392,137 SH        DEFINED   1,2,6                   392,137
DOLBY LABORATORIES I  COM        25659T10    26,470    776,021 SH        DEFINED   1,2,5,7,8,10,12,13      776,021
DOLLAR FINL CORP      COM        25666410     3,928    412,557 SH        DEFINED   1,2,5,6                 412,557
DOLLAR THRIFTY AUTOM  COM        25674310       429    370,219 SH        DEFINED   1,2                     370,219
DOLLAR TREE INC       COM        25674610   119,005  2,671,263 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,671,263
DOMINION RES INC VA   COM        25746U10   720,923 23,263,088 SH        DEFINED   1,2,5,6,7,8,10,12,13 23,263,088
DOMINOS PIZZA INC     COM        25754A20     4,794    731,861 SH        DEFINED   1,2,5                   731,861
DOMTAR CORP           COM        25755910     6,317  6,649,398 SH        DEFINED   1,2,5,6,8,10          6,649,398
DONALDSON INC         COM        25765110    41,595  1,549,749 SH        DEFINED   1,2,5,6,10            1,549,749
DONEGAL GROUP INC     CL A       25770120     3,508    228,260 SH        DEFINED   1,2                     228,260
DONNELLEY R R & SONS  COM        25786710    55,048  7,509,983 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,509,983
DORAL FINL CORP       COM NEW    25811P88       164     91,199 SH        DEFINED   1,2                      91,199
DORCHESTER MINERALS   COM UNIT   25820R10       543     33,227 SH        DEFINED   1,2                      33,227
DORMAN PRODUCTS INC   COM        25827810     1,413    151,480 SH        DEFINED   1,2                     151,480
DOT HILL SYS CORP     COM        25848T10        30     51,627 SH        DEFINED   1                        51,627
DOUBLE EAGLE PETE CO  COM PAR $0 25857020       658    127,333 SH        DEFINED   1,2,5                   127,333
DOUBLE-TAKE SOFTWARE  COM        25859810     1,806    267,163 SH        DEFINED   1,2                     267,163
DOUGLAS EMMETT INC    COM        25960P10    23,774  3,217,109 SH        DEFINED   1,2,3,5,7,10          3,217,109
DOVER CORP            COM        26000310   181,851  6,893,509 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,893,509
DOVER DOWNS GAMING &  COM        26009510     1,055    343,581 SH        DEFINED   1,2,5                   343,581
DOVER MOTORSPORTS IN  COM        26017410       310    167,320 SH        DEFINED   1,2                     167,320
DOW CHEM CO           COM        26054310   287,603 34,116,650 SH        DEFINED   1,2,5,6,7,8,10,12,13 34,116,650
DPL INC               COM        23329310    63,283  2,807,568 SH        DEFINED   1,2,5,6,7,8,10        2,807,568
DR PEPPER SNAPPLE GR  COM        26138E10   141,015  8,339,169 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,339,169
DR REDDYS LABS LTD    ADR        25613520     5,413    572,857 SH        DEFINED   1,2,4,5,6               572,857
DRDGOLD LIMITED       SPON ADR N 26152H30       138     16,328 SH        DEFINED   1                        16,328
DREAMWORKS ANIMATION  CL A       26153C10    32,257  1,490,606 SH        DEFINED   1,2,5,6,10            1,490,606




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                         
DRESS BARN INC        COM        26157010  19,492  1,585,982 SH        DEFINED   1,2,5,6                 1,585,982
DRESSER-RAND GROUP I  COM        26160810  26,082  1,180,192 SH        DEFINED   1,2,5,6,10              1,180,192
DREW INDS INC         COM NEW    26168L20   3,369    388,191 SH        DEFINED   1,2,5,6                   388,191
DRI CORPORATION       COM        23330F10      15     16,137 SH        DEFINED   1                          16,137
DRIL-QUIP INC         COM        26203710  20,092    654,456 SH        DEFINED   1,2,5,6                   654,456
DRUGSTORE COM INC     COM        26224110   1,266  1,082,081 SH        DEFINED   1,2                     1,082,081
DSP GROUP INC         COM        23332B10   3,034    702,297 SH        DEFINED   1,2,5                     702,297
DST SYS INC DEL       COM        23332610  35,215  1,017,190 SH        DEFINED   1,2,5,6,7,8,10,12,13    1,017,190
DSW INC               CL A       23334L10   2,311    248,780 SH        DEFINED   1,2,5,6                   248,780
DTE ENERGY CO         COM        23333110 178,345  6,438,433 SH        DEFINED   1,2,5,6,7,8,10,12,13    6,438,433
DTS INC               COM        23335C10   7,426    308,661 SH        DEFINED   1,2,5,6                   308,661
DU PONT E I DE NEMOU  COM        26353410 890,185 39,864,981 SH        DEFINED   1,2,5,6,7,8,10,12,13   39,864,981
DUCOMMUN INC DEL      COM        26414710   3,281    225,631 SH        DEFINED   1,2,5                     225,631
DUFF & PHELPS CORP N  CL A       26433B10   2,879    182,775 SH        DEFINED   1,2,6                     182,775
DUKE ENERGY CORP NEW  COM        26441C10 746,787 52,149,932 SH        DEFINED   1,2,5,6,7,8,10,12,13   52,149,932
DUKE REALTY CORP      COM NEW    26441150  34,969  6,357,930 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  6,357,930
DUN & BRADSTREET COR  COM        26483E10 137,671  1,787,932 SH        DEFINED   1,2,5,6,7,8,10,12,13    1,787,932
DUNCAN ENERGY PARTNE  COM UNITS  26502610     206     13,780 SH        DEFINED   1,2                        13,780
DUPONT FABROS TECHNO  COM        26613Q10   6,764    983,071 SH        DEFINED   1,2,3,5,6,8               983,071
DURECT CORP           COM        26660510   3,213  1,440,626 SH        DEFINED   1,2,5,6                 1,440,626
DXP ENTERPRISES INC   COM NEW    23337740   1,167    112,989 SH        DEFINED   1,2,5                     112,989
DYAX CORP             COM        26746E10   2,142    853,206 SH        DEFINED   1,2,5                     853,206
DYCOM INDS INC        COM        26747510   7,355  1,270,335 SH        DEFINED   1,2,5,6                 1,270,335
DYNAMEX INC           COM        26784F10   2,109    161,211 SH        DEFINED   1,2                       161,211
DYNAMIC MATLS CORP    COM        26788810   2,347    256,266 SH        DEFINED   1,2,5,6                   256,266
DYNAVAX TECHNOLOGIES  COM        26815810      22     33,691 SH        DEFINED   1                          33,691
DYNCORP INTL INC      CL A       26817C10   6,591    494,422 SH        DEFINED   1,2,5,6                   494,422
DYNEGY INC DEL        CL A       26817G10  28,134 19,953,461 SH        DEFINED   1,2,5,6,7,8,10,13      19,953,461
E HOUSE CHINA HLDGS   ADR        26852W10     349     44,878 SH        DEFINED   1,2,6                      44,878
E M C CORP MASS       NOTE 1.75  268648AM   1,220  1,250,000 SH        DEFINED   1                       1,250,000
E M C CORP MASS       COM        26864810 792,760 69,540,311 SH        DEFINED   1,2,5,6,7,8,10,12,13   69,540,311
E TRADE FINANCIAL CO  COM        26924610  22,211 17,912,071 SH        DEFINED   1,2,5,6,10,13          17,912,071
EAGLE BANCORP INC MD  COM        26894810      67     10,678 SH        DEFINED   1                          10,678
EAGLE BULK SHIPPING   COM        Y2187A10   2,891    680,333 SH        DEFINED   1,2,5                     680,333
EAGLE MATERIALS INC   COM        26969P10  13,898    573,130 SH        DEFINED   1,2,5,6,7,10              573,130
EAGLE ROCK ENERGY PA  UNIT       26985R10     162     31,626 SH        DEFINED   1,2                        31,626
EARTHLINK INC         COM        27032110  18,596  2,830,489 SH        DEFINED   1,2,5,6                 2,830,489
EAST WEST BANCORP IN  COM        27579R10  11,173  2,444,905 SH        DEFINED   1,2,5,6                 2,444,905
EASTERN INS HLDGS IN  COM        27653410      85     10,907 SH        DEFINED   1,2                        10,907
EASTGROUP PPTY INC    COM        27727610  24,039    856,397 SH        DEFINED   1,2,3,5                   856,397
EASTMAN CHEM CO       COM        27743210  79,257  2,957,353 SH        DEFINED   1,2,5,6,7,8,10,12,13    2,957,353
EASTMAN KODAK CO      NOTE 3.37  277461BE     116    150,000 SH        DEFINED   1                         150,000
EASTMAN KODAK CO      COM        27746110  35,666  9,385,780 SH        DEFINED   1,2,5,6,7,8,10,12,13    9,385,780
EATON CORP            COM        27805810 193,925  5,261,117 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,261,117
EATON VANCE CORP      COM NON VT 27826510  63,612  2,783,877 SH        DEFINED   1,2,5,6,10              2,783,877




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
EBAY INC              COM        27864210   461,023 36,705,685 SH        DEFINED   1,2,5,6,7,8,10,12,13 36,705,685
EBIX INC              COM NEW    27871520     3,346    134,628 SH        DEFINED   1,2                     134,628
ECHELON CORP          COM        27874N10     4,053    500,984 SH        DEFINED   1,2,5,6                 500,984
ECHOSTAR CORP         CL A       27876810     8,538    575,705 SH        DEFINED   1,2,5,6,8,10            575,705
ECLIPSYS CORP         COM        27885610    13,227  1,304,481 SH        DEFINED   1,2,5,6               1,304,481
ECOLAB INC            COM        27886510   218,579  6,293,662 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,293,662
ECOPETROL S A         SPONSORED  27915810     1,788    108,352 SH        DEFINED   1,5,7,10                108,352
EDGE PETE CORP DEL    COM        27986210         6     32,926 SH        DEFINED   1                        32,926
EDGEWATER TECHNOLOGY  COM        28035810        47     17,022 SH        DEFINED   1                        17,022
EDISON INTL           COM        28102010 1,073,832 37,272,882 SH        DEFINED   1,2,5,6,7,8,10,12,13 37,272,882
EDUCATION RLTY TR IN  COM        28140H10     4,505  1,290,723 SH        DEFINED   1,2,3,5               1,290,723
EDWARDS LIFESCIENCES  COM        28176E10   113,089  1,865,232 SH        DEFINED   1,2,5,6,10            1,865,232
EF JOHNSON TECHNOLOG  COM        26843B10        23     31,750 SH        DEFINED   1                        31,750
EHEALTH INC           COM        28238P10     6,871    429,150 SH        DEFINED   1,2,5,6                 429,150
EINSTEIN NOAH REST G  COM        28257U10       503     86,224 SH        DEFINED   1,2                      86,224
EL PASO CORP          COM        28336L10   184,063 29,450,055 SH        DEFINED   1,2,5,6,7,8,10,12,13 29,450,055
EL PASO ELEC CO       COM NEW    28367785    17,301  1,227,920 SH        DEFINED   1,2,5                 1,227,920
EL PASO PIPELINE PAR  COM UNIT L 28370210       592     34,425 SH        DEFINED   1,2                      34,425
ELECTRO OPTICAL SCIE  COM        28519210        47     10,900 SH        DEFINED   1                        10,900
ELECTRO RENT CORP     COM        28521810     3,801    394,292 SH        DEFINED   1,2,5                   394,292
ELECTRO SCIENTIFIC I  COM        28522910     3,130    528,770 SH        DEFINED   1,2,5                   528,770
ELECTROGLAS INC       COM        28532410         1     11,721 SH        DEFINED   1                        11,721
ELECTRONIC ARTS INC   COM        28551210   185,670 10,207,270 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,207,270
ELECTRONICS FOR IMAG  COM        28608210    10,962  1,118,526 SH        DEFINED   1,2,5                 1,118,526
ELIXIR GAMING TECHNO  COM        28661G10        95    860,515 SH        DEFINED   1,2                     860,515
ELIZABETH ARDEN INC   COM        28660G10     2,662    456,527 SH        DEFINED   1,2,5                   456,527
ELLIS PERRY INTL INC  COM        28885310       748    216,074 SH        DEFINED   1,2                     216,074
EMAGEON INC           COM        29076V10        44     24,126 SH        DEFINED   1                        24,126
EMBARQ CORP           COM        29078E10   176,227  4,655,942 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,655,942
EMBOTELLADORA ANDINA  SPON ADR A 29081P20       153     12,486 SH        DEFINED   1,2,6                    12,486
EMBOTELLADORA ANDINA  SPON ADR B 29081P30       887     62,453 SH        DEFINED   1,2,5,6                  62,453
EMBRAER-EMPRESA BRAS  SP ADR COM 29081M10       439     33,078 SH        DEFINED   1,2,6                    33,078
EMC INS GROUP INC     COM        26866410     2,195    104,175 SH        DEFINED   1,2                     104,175
EMCOR GROUP INC       COM        29084Q10    42,621  2,482,283 SH        DEFINED   1,2,5,6,8             2,482,283
EMCORE CORP           COM        29084610       833  1,096,373 SH        DEFINED   1,2,5,6               1,096,373
EMERGENCY MEDICAL SV  CL A       29100P10     5,456    173,807 SH        DEFINED   1,2,5,6                 173,807
EMERGENT BIOSOLUTION  COM        29089Q10     4,928    364,756 SH        DEFINED   1,2,6                   364,756
EMERITUS CORP         COM        29100510     2,145    326,965 SH        DEFINED   1,2,5,6                 326,965
EMERSON ELEC CO       COM        29101110   717,265 25,096,751 SH        DEFINED   1,2,5,6,7,8,10,12,13 25,096,751
EMERSON RADIO CORP    COM NEW    29108720         5     10,566 SH        DEFINED   1                        10,566
EMISPHERE TECHNOLOGI  COM        29134510        14     20,216 SH        DEFINED   1                        20,216
EMMIS COMMUNICATIONS  CL A       29152510        49    125,582 SH        DEFINED   1                       125,582
EMPIRE DIST ELEC CO   COM        29164110    10,183    705,221 SH        DEFINED   1,2,5                   705,221
EMPIRE RESORTS INC    COM        29205210        36     47,146 SH        DEFINED   1,5                      47,146
EMPLOYERS HOLDINGS I  COM        29221810    10,089  1,057,507 SH        DEFINED   1,2,5                 1,057,507




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR SH/ PUT/ INVESTMENT                        VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT  PRN CALL DISCRETION    OTHER MANAGERS      SOLE    SHARED NONE
--------------------- ---------- -------- ------- --------- --- ---- ---------- -------------------- --------- ------ ----
                                                                                     
EMPRESA NACIONAL DE   SPONSORED  29244T10  11,422   304,585 SH        DEFINED   1,2,5,6,7              304,585
EMS TECHNOLOGIES INC  COM        26873N10   5,221   299,016 SH        DEFINED   1,2,6                  299,016
EMULEX CORP           COM NEW    29247520   8,199 1,629,959 SH        DEFINED   1,2,5                1,629,959
ENBRIDGE ENERGY MANA  SHS UNITS  29250X10     565    19,492 SH        DEFINED   1,2,5                   19,492
ENBRIDGE ENERGY PART  COM        29250R10   2,158    72,091 SH        DEFINED   1,2                     72,091
ENCANA CORP           COM        29250510     539    13,275 SH        DEFINED   1,2                     13,275
ENCORE ACQUISITION C  COM        29255W10  32,038 1,376,797 SH        DEFINED   1,2,5,6,10           1,376,797
ENCORE BANCSHARES IN  COM        29255V20   1,128   127,208 SH        DEFINED   1,2                    127,208
ENCORE CAP GROUP INC  COM        29255410   1,829   403,763 SH        DEFINED   1,2,5                  403,763
ENCORE ENERGY PARTNE  COM UNIT   29257A10     327    22,916 SH        DEFINED   1,2                     22,916
ENCORE WIRE CORP      COM        29256210   8,309   387,712 SH        DEFINED   1,2,5,6                387,712
ENDEAVOUR INTL CORP   COM        29259G10   1,429 1,642,372 SH        DEFINED   1,2                  1,642,372
ENDO PHARMACEUTICALS  COM        29264F20  46,630 2,637,468 SH        DEFINED   1,2,5,6,10           2,637,468
ENDOLOGIX INC         COM        29266S10      67    31,475 SH        DEFINED   1                       31,475
ENDURANCE SPECIALTY   SHS        G3039710  13,456   539,519 SH        DEFINED   1,2,5,6,7,8,10         539,519
ENDWAVE CORP          COM NEW    29264A20      33    16,728 SH        DEFINED   1                       16,728
ENER1 INC             COM NEW    29267A20   3,481   673,401 SH        DEFINED   1,2,6                  673,401
ENERGEN CORP          COM        29265N10  47,536 1,631,871 SH        DEFINED   1,2,5,6,7,8,10,12,13 1,631,871
ENERGIZER HLDGS INC   COM        29266R10  76,646 1,542,483 SH        DEFINED   1,2,5,6,7,8,10,12,13 1,542,483
ENERGY CONVERSION DE  COM        29265910  12,188   918,480 SH        DEFINED   1,2,5,6                918,480
ENERGY PARTNERS LTD   COM        29270U10       5    54,699 SH        DEFINED   1,5                     54,699
ENERGY RECOVERY INC   COM        29270J10   1,691   222,483 SH        DEFINED   1,2,6                  222,483
ENERGY TRANSFER EQUI  COM UT LTD 29273V10   4,217   199,560 SH        DEFINED   1,2                    199,560
ENERGY TRANSFER PRTN  UNIT LTD P 29273R10   3,491    94,632 SH        DEFINED   1,2                     94,632
ENERGY XXI (BERMUDA)  COM SHS    G1008210     578 1,541,884 SH        DEFINED   1                    1,541,884
ENERGYSOLUTIONS INC   DEPOSITARY 29275620   5,335   616,804 SH        DEFINED   1,2,5                  616,804
ENERNOC INC           COM        29276410   2,236   153,789 SH        DEFINED   1,2,5,6                153,789
ENERPLUS RES FD       UNIT TR G  29274D60     185    11,305 SH        DEFINED   1,2                     11,305
ENERSIS S A           SPONSORED  29274F10  25,445 1,685,128 SH        DEFINED   1,2,5,6,7            1,685,128
ENERSYS               COM        29275Y10   7,023   579,464 SH        DEFINED   1,2,5                  579,464
ENGLOBAL CORP         COM        29330610   1,904   419,360 SH        DEFINED   1,2,5                  419,360
ENI S P A             SPONSORED  26874R10   1,444    37,687 SH        DEFINED   1,2                     37,687
ENNIS INC             COM        29338910   4,515   509,630 SH        DEFINED   1,2,5                  509,630
ENPRO INDS INC        COM        29355X10  12,036   703,865 SH        DEFINED   1,2,5                  703,865
ENSCO INTL INC        COM        26874Q10 171,360 6,490,908 SH        DEFINED   1,2,5,6,7,8,10,12,13 6,490,908
ENSIGN GROUP INC      COM        29358P10   2,286   147,897 SH        DEFINED   1,2,6                  147,897
ENSTAR GROUP LIMITED  SHS        G3075P10   4,975    88,336 SH        DEFINED   1,2,5                   88,336
ENTEGRIS INC          COM        29362U10   2,020 2,348,686 SH        DEFINED   1,2,5                2,348,686
ENTERCOM COMMUNICATI  CL A       29363910     577   524,904 SH        DEFINED   1,2                    524,904
ENTERGY CORP NEW      COM        29364G10 481,776 7,075,571 SH        DEFINED   1,2,5,6,7,8,10,12,13 7,075,571
ENTERPRISE FINL SVCS  COM        29371210   1,691   173,219 SH        DEFINED   1,2                    173,219
ENTERPRISE GP HLDGS   UNIT LP IN 29371610     872    38,541 SH        DEFINED   1,2,8                   38,541
ENTERPRISE PRODS PAR  COM        29379210   6,715   301,778 SH        DEFINED   1,2,8                  301,778
ENTERTAINMENT PPTYS   COM SH BEN 29380T10  12,990   824,226 SH        DEFINED   1,2,3,5                824,226
ENTORIAN TECHNOLOGIE  COM        29383P10       2    13,199 SH        DEFINED   1                       13,199




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                           
ENTRAVISION COMMUNIC  CL A       29382R10       267  1,028,049 SH        DEFINED   1,2,6                   1,028,049
ENTREMED INC          COM        29382F10        10     22,990 SH        DEFINED   1                          22,990
ENTROPIC COMMUNICATI  COM        29384R10       130    175,239 SH        DEFINED   1,2                       175,239
ENTRUST INC           COM        29384810     1,263    836,587 SH        DEFINED   1,2,5                     836,587
ENVIRONMENTAL TECTON  COM        29409210        12     13,800 SH        DEFINED   1                          13,800
ENZO BIOCHEM INC      COM        29410010     2,634    655,294 SH        DEFINED   1,2,5,6                   655,294
ENZON PHARMACEUTICAL  COM        29390410     8,157  1,343,847 SH        DEFINED   1,2,5                   1,343,847
EOG RES INC           COM        26875P10   497,169  9,079,049 SH        DEFINED   1,2,5,6,7,8,10,12,13    9,079,049
EPICOR SOFTWARE CORP  COM        29426L10     4,482  1,176,389 SH        DEFINED   1,2,5,6                 1,176,389
EPIQ SYS INC          COM        26882D10    12,182    675,647 SH        DEFINED   1,2,5,6                   675,647
EPIX PHARMACEUTICALS  COM NEW    26881Q30        13     22,484 SH        DEFINED   1                          22,484
EPOCH HOLDING CORP    COM        29428R10     1,191    173,400 SH        DEFINED   1,2                       173,400
EQT CORP              COM        26884L10   161,055  5,140,611 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,140,611
EQUIFAX INC           COM        29442910   104,957  4,292,732 SH        DEFINED   1,2,5,6,7,8,10,12,13    4,292,732
EQUINIX INC           COM NEW    29444U50    22,535    401,336 SH        DEFINED   1,2,5,6,8,10              401,336
EQUITY LIFESTYLE PPT  COM        29472R10    27,913    732,631 SH        DEFINED   1,2,3,5,6                 732,631
EQUITY ONE            COM        29475210    16,792  1,377,524 SH        DEFINED   1,2,3,5                 1,377,524
EQUITY RESIDENTIAL    SH BEN INT 29476L10   253,874 13,835,117 SH        DEFINED   1,2,3,5,6,7,8,10,12,13 13,835,117
ERESEARCHTECHNOLOGY   COM        29481V10     4,983    947,430 SH        DEFINED   1,2,5,6                   947,430
ERICSSON L M TEL CO   ADR B SEK  29482160     4,281    529,168 SH        DEFINED   1,2                       529,168
ERIE INDTY CO         CL A       29530P10    12,648    370,029 SH        DEFINED   1,2,5,6,8,10,12           370,029
ESCO TECHNOLOGIES IN  COM        29631510    20,092    519,179 SH        DEFINED   1,2,5,6                   519,179
ESSA BANCORP INC      COM        29667D10     3,855    289,612 SH        DEFINED   1,2                       289,612
ESSEX PPTY TR INC     COM        29717810    55,823    973,538 SH        DEFINED   1,2,3,5,6,10              973,538
ESTERLINE TECHNOLOGI  COM        29742510    12,362    612,269 SH        DEFINED   1,2,5,6                   612,269
ETHAN ALLEN INTERIOR  COM        29760210     6,146    545,807 SH        DEFINED   1,2,5                     545,807
EUROBANCSHARES INC    COM        29871610         7     10,800 SH        DEFINED   1                          10,800
EURONET WORLDWIDE IN  COM        29873610    12,847    983,699 SH        DEFINED   1,2,5,6                   983,699
EV ENERGY PARTNERS L  COM UNITS  26926V10       147     10,163 SH        DEFINED   1,2                        10,163
EV3 INC               COM        26928A20    10,118  1,425,097 SH        DEFINED   1,2,5,6                 1,425,097
EVANS & SUTHERLAND C  COM        29909610         4     16,128 SH        DEFINED   1                          16,128
EVERCORE PARTNERS IN  CLASS A    29977A10     2,962    191,721 SH        DEFINED   1,2                       191,721
EVEREST RE GROUP LTD  COM        G3223R10    89,304  1,261,352 SH        DEFINED   1,2,5,6,7,8,10,12,13    1,261,352
EVERGREEN ENERGY INC  COM        30024B10     2,705  1,942,949 SH        DEFINED   1,2                     1,942,949
EVERGREEN SOLAR INC   COM        30033R10     4,974  2,335,414 SH        DEFINED   1,2,5,6                 2,335,414
EVOLVING SYS INC      COM        30049R10        35     26,876 SH        DEFINED   1                          26,876
EXACT SCIENCES CORP   COM        30063P10        26     20,617 SH        DEFINED   1                          20,617
EXACTECH INC          COM        30064E10     1,118     97,265 SH        DEFINED   1,2                        97,265
EXAR CORP             COM        30064510     4,885    782,855 SH        DEFINED   1,2,5                     782,855
EXCEL MARITIME CARRI  COM        V3267N10       199     43,974 SH        DEFINED   1,2,5,6                    43,974
EXCO RESOURCES INC    COM        26927940    28,253  2,825,295 SH        DEFINED   1,2,5,6                 2,825,295
EXELIXIS INC          COM        30161Q10     9,092  1,976,457 SH        DEFINED   1,2,5,6                 1,976,457
EXELON CORP           COM        30161N10 1,133,830 24,979,735 SH        DEFINED   1,2,5,6,7,8,10,12,13   24,979,735
EXIDE TECHNOLOGIES    COM NEW    30205120     4,235  1,411,506 SH        DEFINED   1,2,5,8                 1,411,506
EXLSERVICE HOLDINGS   COM        30208110     2,255    261,548 SH        DEFINED   1,2,5,6                   261,548




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                     TITLE OF             VALUE     SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
  NAME OF ISSUER      CLASS     CUSIP    (x1000)     PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE     SHARED NONE
------------------- ---------- -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                            
EXPEDIA INC DEL     COM        30212P10     66,793   7,356,093 SH        DEFINED   1,2,5,6,7,8,10,12,13     7,356,093
EXPEDITORS INTL
  WASH              COM        30213010    189,656   6,704,010 SH        DEFINED   1,2,5,6,7,8,10,12,13     6,704,010
EXPONENT INC        COM        30214U10      6,645     262,351 SH        DEFINED   1,2,6                      262,351
EXPRESS SCRIPTS
  INC               COM        30218210    422,167   9,143,743 SH        DEFINED   1,2,5,6,7,8,10,12,13     9,143,743
EXTERRAN HLDGS
  INC               COM        30225X10     27,356   1,707,643 SH        DEFINED   1,2,5,6,8,10             1,707,643
EXTERRAN
  PARTNERS LP       COM UNITS  30225N10        131      11,037 SH        DEFINED   1,2                         11,037
EXTRA SPACE
  STORAGE           COM        30225T10     16,744   3,038,766 SH        DEFINED   1,2,3,5                  3,038,766
EXTREME
  NETWORKS INC      COM        30226D10      2,721   1,790,409 SH        DEFINED   1,2,5,6                  1,790,409
EXXON MOBIL CORP    COM        30231G10 12,378,501 181,769,470 SH        DEFINED   1,2,5,6,7,8,10,12,13   181,769,470
EZCORP INC          CL A NON V 30230110     18,609   1,608,419 SH        DEFINED   1,2,5,6,7,8              1,608,419
F M C CORP          COM NEW    30249130     70,408   1,632,082 SH        DEFINED   1,2,5,6,7,10             1,632,082
F5 NETWORKS INC     COM        31561610     34,797   1,660,955 SH        DEFINED   1,2,5,6,10               1,660,955
FACET BIOTECH
  CORP              SHS        30303Q10      4,671     491,687 SH        DEFINED   1,2,5,6                    491,687
FACTSET RESH SYS
  INC               COM        30307510     42,531     850,785 SH        DEFINED   1,2,5,6,10                 850,785
FAIR ISAAC CORP     COM        30325010     21,682   1,541,000 SH        DEFINED   1,2,5,6                  1,541,000
FAIRCHILD
  SEMICONDUC        COM        30372610      9,411   2,523,084 SH        DEFINED   1,2,5,6,10               2,523,084
FAIRPOINT
  COMMUNICAT        COM        30556010      1,447   1,855,532 SH        DEFINED   1,2,5,6                  1,855,532
FALCONSTOR
  SOFTWARE          COM        30613710      1,489     623,152 SH        DEFINED   1,2,5,6                    623,152
FAMILY DLR STORES
  IN                COM        30700010    203,071   6,085,451 SH        DEFINED   1,2,5,6,7,8,10,12,13     6,085,451
FAMOUS DAVES
  AMER IN           COM        30706810         37      11,790 SH        DEFINED   1                           11,790
FARMER BROS CO      COM        30767510      2,106     118,336 SH        DEFINED   1,2,5                      118,336
FARMERS CAP BK
  CORP              COM        30956210      1,701     108,560 SH        DEFINED   1,2                        108,560
FARO
  TECHNOLOGIES IN   COM        31164210      4,076     303,261 SH        DEFINED   1,2,5,6                    303,261
FASTENAL CO         COM        31190010    129,131   4,015,889 SH        DEFINED   1,2,5,6,7,8,10,12,13     4,015,889
FBL FINL GROUP INC  CL A       30239F10      1,066     256,838 SH        DEFINED   1,2,5                      256,838
FBR CAPITAL
  MARKETS           COM        30247C30      1,620     492,417 SH        DEFINED   1,2,5,6                    492,417
FCSTONE GROUP INC   COM        31308T10        815     357,388 SH        DEFINED   1,2,5,6                    357,388
FEDERAL AGRIC MTG
  CO                CL C       31314830        463     172,711 SH        DEFINED   1,2                        172,711
FEDERAL HOME LN
  MTG               COM        31340030      4,565   6,006,388 SH        DEFINED   1,2,5,6,10               6,006,388
FEDERAL MOGUL
  CORP              COM        31354940      1,689     252,906 SH        DEFINED   1,2,5,8,10                 252,906
FEDERAL NATL MTG
  ASS               COM        31358610      7,418  10,597,400 SH        DEFINED   1,2,5,6,10              10,597,400
FEDERAL REALTY
  INVT              SH BEN INT 31374720    105,187   2,286,681 SH        DEFINED   1,2,3,5,6,7,8,10,12,13   2,286,681
FEDERAL SIGNAL
  CORP              COM        31385510      7,654   1,452,288 SH        DEFINED   1,2,5                    1,452,288
FEDERATED INVS INC
  P                 CL B       31421110     72,866   3,273,390 SH        DEFINED   1,2,5,6,8,10,12,13       3,273,390
FEDEX CORP          COM        31428X10    464,362  10,437,440 SH        DEFINED   1,2,5,6,7,8,10,12,13    10,437,440
FEI CO              COM        30241L10     11,781     763,500 SH        DEFINED   1,2,5,6                    763,500
FELCOR LODGING TR
  IN                COM        31430F10      2,999   2,205,409 SH        DEFINED   1,2,3,5                  2,205,409
FEMALE HEALTH CO    COM        31446210         67      18,100 SH        DEFINED   1                           18,100
FERRELLGAS
  PARTNERS          UNIT LTD P 31529310        745      55,579 SH        DEFINED   1,2                         55,579
FERRO CORP          COM        31540510      1,235     863,712 SH        DEFINED   1,2,5                      863,712
FGX INTERNATIONAL
  HL                ORD SHS    G3396L10      2,708     233,010 SH        DEFINED   1,2                        233,010
FIBERTOWER CORP     COM        31567R10        373   1,914,856 SH        DEFINED   1,2,5,6                  1,914,856
FIDELITY NATIONAL
  FI                CL A       31620R10     99,640   5,107,121 SH        DEFINED   1,2,5,6,7,8,10,12,13     5,107,121
FIDELITY NATL
  INFORM            COM        31620M10    114,459   6,288,958 SH        DEFINED   1,2,5,6,7,8,10,12,13     6,288,958
FIFTH STREET
  FINANCE           COM        31678A10      1,349     174,345 SH        DEFINED   1,2                        174,345




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF           VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER      CLASS    CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- -------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                     
FIFTH THIRD BANCORP   COM      31677310  73,104 25,035,642 SH        DEFINED   1,2,5,6,7,8,10,12,13 25,035,642
FINANCIAL FED CORP    COM      31749210  10,849    512,229 SH        DEFINED   1,2,5                   512,229
FINANCIAL INSTNS INC  COM      31758540   1,320    173,168 SH        DEFINED   1,2                     173,168
FINISAR               COM      31787A10   3,078  6,995,809 SH        DEFINED   1,2,5,6               6,995,809
FINISH LINE INC       CL A     31792310   5,890    889,777 SH        DEFINED   1,2,5                   889,777
FIRST ACCEPTANCE COR  COM      31845710     756    312,481 SH        DEFINED   1,2                     312,481
FIRST ADVANTAGE CORP  CL A     31845F10   2,743    199,049 SH        DEFINED   1,2                     199,049
FIRST AMERN CORP CAL  COM      31852230  57,222  2,158,501 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,158,501
FIRST BANCORP INC ME  COM      31866P10   2,790    175,944 SH        DEFINED   1,2                     175,944
FIRST BANCORP N C     COM      31891010   3,354    280,167 SH        DEFINED   1,2,5                   280,167
FIRST BANCORP P R     COM      31867210   8,791  2,063,611 SH        DEFINED   1,2,5                 2,063,611
FIRST BUSEY CORP      COM      31938310   3,834    494,090 SH        DEFINED   1,2,5                   494,090
FIRST CASH FINL SVCS  COM      31942D10   6,443    431,861 SH        DEFINED   1,2,5,6                 431,861
FIRST CMNTY BANCSHAR  COM      31983A10   2,125    182,059 SH        DEFINED   1,2,5                   182,059
FIRST COMWLTH FINL C  COM      31982910  28,900  3,258,152 SH        DEFINED   1,2,5,6               3,258,152
FIRST CTZNS BANCSHAR  CL A     31946M10   8,958     67,965 SH        DEFINED   1,2,5,6,7,10             67,965
FIRST FINANCIAL NORT  COM      32022K10   5,597    671,160 SH        DEFINED   1,2                     671,160
FIRST FINL BANCORP O  COM      32020910   8,045    844,186 SH        DEFINED   1,2,5                   844,186
FIRST FINL BANKSHARE  COM      32020R10  19,751    410,026 SH        DEFINED   1,2,5,6                 410,026
FIRST FINL CORP IND   COM      32021810   8,642    234,187 SH        DEFINED   1,2,5,6                 234,187
FIRST FINL HLDGS INC  COM      32023910   1,746    228,174 SH        DEFINED   1,2,5                   228,174
FIRST HORIZON NATL C  COM      32051710  96,852  9,017,884 SH        DEFINED   1,2,5,6,8,10,12,13    9,017,884
FIRST INDUSTRIAL REA  COM      32054K10   4,200  1,714,125 SH        DEFINED   1,2,3,5               1,714,125
FIRST MARBLEHEAD COR  COM      32077110   1,545  1,197,463 SH        DEFINED   1,2,5                 1,197,463
FIRST MERCHANTS CORP  COM      32081710   4,981    461,638 SH        DEFINED   1,2,5                   461,638
FIRST MERCURY FINANC  COM      32084110   3,519    243,692 SH        DEFINED   1,2                     243,692
FIRST MIDWEST BANCOR  COM      32086710  16,933  1,971,213 SH        DEFINED   1,2,5                 1,971,213
FIRST NIAGARA FINL G  COM      33582V10  52,466  4,817,787 SH        DEFINED   1,2,5                 4,817,787
FIRST PL FINL CORP    COM      33610T10   1,490    443,540 SH        DEFINED   1,2                     443,540
FIRST POTOMAC RLTY T  COM      33610F10   9,053  1,231,666 SH        DEFINED   1,2,3                 1,231,666
FIRST SEC GROUP INC   COM      33631210      57     16,800 SH        DEFINED   1                        16,800
FIRST SOLAR INC       COM      33643310  84,662    637,995 SH        DEFINED   1,2,5,6,7,8,10,12,13    637,995
FIRST SOUTH BANCORP   COM      33646W10   1,645    154,881 SH        DEFINED   1,2                     154,881
FIRST ST BANCORPORAT  COM      33645310      16     11,662 SH        DEFINED   1                        11,662
FIRSTENERGY CORP      COM      33793210 843,507 21,852,501 SH        DEFINED   1,2,5,6,7,8,10,12,13 21,852,501
FIRSTMERIT CORP       COM      33791510  56,081  3,081,385 SH        DEFINED   1,2,5,6               3,081,385
FISERV INC            COM      33773810 189,179  5,188,675 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,188,675
FISHER COMMUNICATION  COM      33775620   1,218    124,838 SH        DEFINED   1,2,5,6                 124,838
FIVE STAR QUALITY CA  COM      33832D10     461    443,311 SH        DEFINED   1,2                     443,311
FLAGSTAR BANCORP INC  COM      33793010     825  1,099,993 SH        DEFINED   1,2,5                 1,099,993
FLAGSTONE REINSURANC  SHS      G3529T10   4,556    584,897 SH        DEFINED   1,2                     584,897
FLANDERS CORP         COM      33849410     786    194,655 SH        DEFINED   1,2                     194,655
FLEXSTEEL INDS INC    COM      33938210      97     18,861 SH        DEFINED   1                        18,861
FLEXTRONICS INTL LTD  ORD      Y2573F10  22,008  7,615,176 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,615,176
FLIR SYS INC          COM      30244510  93,835  4,581,785 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,581,785




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
FLORIDA PUB UTILS CO  COM        34113510     135     13,726 SH        DEFINED   1,2                      13,726
FLOTEK INDS INC DEL   COM        34338910     518    329,776 SH        DEFINED   1,2,5,6                 329,776
FLOW INTL CORP        COM        34346810     988    610,031 SH        DEFINED   1,2                     610,031
FLOWERS FOODS INC     COM        34349810  49,423  2,104,885 SH        DEFINED   1,2,5,6               2,104,885
FLOWSERVE CORP        COM        34354P10 112,071  1,996,994 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,996,994
FLUOR CORP NEW        COM        34341210 221,630  6,414,747 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,414,747
FLUSHING FINL CORP    COM        34387310   2,728    453,098 SH        DEFINED   1,2,5                   453,098
FMC TECHNOLOGIES INC  COM        30249U10  95,628  3,048,377 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,048,377
FNB CORP PA           COM        30252010  22,930  2,989,591 SH        DEFINED   1,2,5                 2,989,591
FOCUS MEDIA HLDG LTD  SPONSORED  34415V10     713    104,806 SH        DEFINED   1,2,6                   104,806
FOMENTO ECONOMICO ME  SPON ADR U 34441910  15,531    616,050 SH        DEFINED   1,2,7                   616,050
FOOT LOCKER INC       COM        34484910  42,077  4,014,992 SH        DEFINED   1,2,5,6,8,10,12       4,014,992
FORCE PROTECTION INC  COM NEW    34520320   7,862  1,637,985 SH        DEFINED   1,2,5,6               1,637,985
FORD MTR CO CAP TR I  PFD TR CV6 34539520      80     10,000 SH        DEFINED   1                        10,000
FORD MTR CO DEL       NOTE 4.25  345370CF     349  1,000,000 SH        DEFINED   1                     1,000,000
FORD MTR CO DEL       COM PAR $0 34537086 198,838 75,603,800 SH        DEFINED   1,2,5,6,7,8,10,12,13 75,603,800
FOREST CITY ENTERPRI  CL A       34555010   3,112    864,391 SH        DEFINED   1,2,3,5,6,8,10,12       864,391
FOREST LABS INC       COM        34583810 256,835 11,695,594 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,695,594
FOREST OIL CORP       COM PAR $0 34609170  39,211  2,981,822 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,981,822
FORESTAR GROUP INC    COM        34623310   5,678    742,182 SH        DEFINED   1,2,5,6                 742,182
FORGENT NETWORKS INC  COM        34629U10       2     12,271 SH        DEFINED   1                        12,271
FORMFACTOR INC        COM        34637510  16,790    931,751 SH        DEFINED   1,2,5,6                 931,751
FORRESTER RESH INC    COM        34656310   9,156    445,354 SH        DEFINED   1,2,5,6                 445,354
FORTRESS INVESTMENT   CL A       34958B10     134     53,544 SH        DEFINED   1,2                      53,544
FORTUNE BRANDS INC    COM        34963110 119,204  4,855,580 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,855,580
FORWARD AIR CORP      COM        34985310   9,960    613,675 SH        DEFINED   1,2,5,6,8               613,675
FORWARD INDS INC N Y  COM NEW    34986230      23     12,523 SH        DEFINED   1                        12,523
FOSSIL INC            COM        34988210  14,899    948,952 SH        DEFINED   1,2,5,6,8               948,952
FOSTER L B CO         COM        35006010   5,065    203,989 SH        DEFINED   1,2,5,6                 203,989
FOSTER WHEELER AG     COM        H2717810  20,215  1,157,131 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,157,131
FOUNDATION COAL HLDG  COM        35039W10  17,605  1,226,845 SH        DEFINED   1,2,5,6,10            1,226,845
FOX CHASE BANCORP     COM        35137P10   1,846    195,395 SH        DEFINED   1,2                     195,395
FPIC INS GROUP INC    COM        30256310   7,478    201,951 SH        DEFINED   1,2,5                   201,951
FPL GROUP INC         COM        30257110 781,026 15,395,742 SH        DEFINED   1,2,5,6,7,8,10,12,13 15,395,742
FRANCE TELECOM        SPONSORED  35177Q10   1,094     48,287 SH        DEFINED   1,2                      48,287
FRANKLIN ELEC INC     COM        35351410   9,174    414,539 SH        DEFINED   1,2,5                   414,539
FRANKLIN RES INC      COM        35461310 297,919  5,530,324 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,530,324
FRANKLIN STREET PPTY  COM        35471R10  15,906  1,293,206 SH        DEFINED   1,2,3,5               1,293,206
FREDS INC             CL A       35610810  10,216    905,694 SH        DEFINED   1,2,5                   905,694
FREEPORT-MCMORAN COP  PFD CONV   35671D78     417      6,500 SH        DEFINED   1                         6,500
FREEPORT-MCMORAN COP  COM        35671D85 537,184 14,095,605 SH        DEFINED   1,2,5,6,7,8,10,12,13 14,095,605
FREIGHTCAR AMER INC   COM        35702310   3,826    218,259 SH        DEFINED   1,2,5,6                 218,259
FRESENIUS KABI PHARM  RIGHT 06/3 35802M11      43    117,340 SH        DEFINED   1,2                     117,340
FRESENIUS MED CARE A  SPONSORED  35802910     428     11,050 SH        DEFINED   1                        11,050
FRESH DEL MONTE PROD  ORD        G3673810  18,185  1,107,469 SH        DEFINED   1,2,5                 1,107,469




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- --------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                          
FRIEDMAN BILLINGS RA  CL A      35843410       581   2,907,343 SH        DEFINED   1,2                    2,907,343
FRIEDMAN INDS INC     COM       35843510        56      11,440 SH        DEFINED   1                         11,440
FRONTIER COMMUNICATI  COM       35906A10    65,903   9,178,711 SH        DEFINED   1,2,5,6,8,10,12,13     9,178,711
FRONTIER FINL CORP W  COM       35907K10     1,045     949,721 SH        DEFINED   1,2,5                    949,721
FRONTIER OIL CORP     COM       35914P10    53,139   4,154,719 SH        DEFINED   1,2,5,6,7,10           4,154,719
FRONTLINE LTD         SHS       G3682E12     6,299     362,240 SH        DEFINED   1,5,7,8,10               362,240
FROZEN FOOD EXPRESS   COM       35936010        31      10,241 SH        DEFINED   1,5                       10,241
FSI INTL INC          COM       30263310        16      49,179 SH        DEFINED   1                         49,179
FTI CONSULTING INC    COM       30294110    57,904   1,170,247 SH        DEFINED   1,2,5,6,7,8,10,12,13   1,170,247
FUEL SYS SOLUTIONS I  COM       35952W10     3,206     237,802 SH        DEFINED   1,2,5,6                  237,802
FUEL TECH INC         COM       35952310     3,162     302,326 SH        DEFINED   1,2,5,6                  302,326
FUELCELL ENERGY INC   COM       35952H10     3,771   1,571,314 SH        DEFINED   1,2,5,6                1,571,314
FUJIFILM HLDGS CORP   ADR 2 ORD 35958N10       234      10,661 SH        DEFINED   1                         10,661
FULLER H B CO         COM       35969410    15,047   1,157,429 SH        DEFINED   1,2,5                  1,157,429
FULTON FINL CORP PA   COM       36027110    49,699   7,496,110 SH        DEFINED   1,2,5,6,8,10,12        7,496,110
FUQI INTERNATIONAL I  COM NEW   36102A20       549     116,791 SH        DEFINED   1,2                      116,791
FURMANITE CORPORATIO  COM       36108610     1,943     624,770 SH        DEFINED   1,2,5,6                  624,770
FURNITURE BRANDS INT  COM       36092110     1,167     793,825 SH        DEFINED   1,2,5                    793,825
FUSHI COPPERWELD INC  COM       36113E10       942     196,157 SH        DEFINED   1,2,6                    196,157
FX ENERGY INC         COM       30269510     1,718     618,107 SH        DEFINED   1,2,5                    618,107
FX REAL ESTATE & ENT  COM       30270910        21     132,971 SH        DEFINED   1,2                      132,971
G & K SVCS INC        CL A      36126810     7,908     418,203 SH        DEFINED   1,2,5                    418,203
GAIAM INC             CL A      36268Q10       865     263,626 SH        DEFINED   1,2,6                    263,626
GALLAGHER ARTHUR J &  COM       36357610    33,021   1,942,433 SH        DEFINED   1,2,5,6,8,10,12        1,942,433
GAMCO INVESTORS INC   COM       36143810     4,432     135,745 SH        DEFINED   1,2,5,6                  135,745
GAMESTOP CORP NEW     CL A      36467W10   143,563   5,123,596 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,123,596
GANNETT INC           COM       36473010    24,304  11,047,385 SH        DEFINED   1,2,5,6,7,8,10,12,13  11,047,385
GAP INC DEL           COM       36476010   260,586  20,060,515 SH        DEFINED   1,2,5,6,7,8,10,12,13  20,060,515
GARDNER DENVER INC    COM       36555810    23,389   1,075,855 SH        DEFINED   1,2,5,6,7,10           1,075,855
GARMIN LTD            ORD       G3726010    31,518   1,485,980 SH        DEFINED   1,2,5,6,7,8,10,12,13   1,485,980
GARTNER INC           COM       36665110    24,818   2,254,170 SH        DEFINED   1,2,5,6,7,8            2,254,170
GASCO ENERGY INC      COM       36722010       545   1,397,214 SH        DEFINED   1,2,5                  1,397,214
GASTAR EXPL LTD       COM       36729910        66     121,688 SH        DEFINED   1,2                      121,688
GATX CORP             COM       36144810    20,999   1,037,992 SH        DEFINED   1,2,5,6,10             1,037,992
GAYLORD ENTMT CO NEW  COM       36790510     7,456     895,090 SH        DEFINED   1,2,5,6                  895,090
GENAERA CORP          COM NEW   36867G20         3      10,523 SH        DEFINED   1                         10,523
GENCO SHIPPING & TRA  SHS       Y2685T10     5,700     461,927 SH        DEFINED   1,2,5                    461,927
GENCORP INC           COM       36868210     2,467   1,163,903 SH        DEFINED   1,2,6,8                1,163,903
GENENTECH INC         COM NEW   36871040    31,719     333,992 SH        DEFINED   1,5,7,10                 333,992
GENERAL CABLE CORP D  COM       36930010    15,168     765,275 SH        DEFINED   1,2,5,6,10               765,275
GENERAL COMMUNICATIO  CL A      36938510     8,868   1,327,489 SH        DEFINED   1,2,5,6                1,327,489
GENERAL DYNAMICS COR  COM       36955010   531,647  12,783,040 SH        DEFINED   1,2,5,6,7,8,10,12,13  12,783,040
GENERAL ELECTRIC CO   COM       36960410 3,617,339 357,798,096 SH        DEFINED   1,2,5,6,7,8,10,12,13 357,798,096
GENERAL GROWTH PPTYS  COM       37002110     1,742   2,453,578 SH        DEFINED   1,2,3,5,6,10           2,453,578
GENERAL MARITIME COR  SHS       Y2693R10     5,953     850,410 SH        DEFINED   1,2,5                    850,410




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
GENERAL MLS INC       COM        37033410   984,678 19,740,932 SH        DEFINED   1,2,5,6,7,8,10,12,13 19,740,932
GENERAL MOLY INC      COM        37037310     1,023    965,088 SH        DEFINED   1,2,6                   965,088
GENERAL MTRS CORP     COM        37044210   192,070 99,005,265 SH        DEFINED   1,2,5,6,7,8,10,12,13 99,005,265
GENERAL STEEL HOLDIN  COM        37085310       342    130,122 SH        DEFINED   1,2                     130,122
GENESCO INC           COM        37153210    11,331    601,738 SH        DEFINED   1,2,5                   601,738
GENESEE & WYO INC     CL A       37155910    13,497    635,163 SH        DEFINED   1,2,5,6                 635,163
GENESIS ENERGY L P    UNIT LTD P 37192710       345     33,700 SH        DEFINED   1,2                      33,700
GENOMIC HEALTH INC    COM        37244C10     6,356    260,724 SH        DEFINED   1,2,5,6                 260,724
GENOPTIX INC          COM        37243V10     3,972    145,617 SH        DEFINED   1,2,5,6                 145,617
GENPACT LIMITED       SHS        G3922B10     4,181    471,892 SH        DEFINED   1,2,5,10                471,892
GEN-PROBE INC NEW     COM        36866T10    49,390  1,083,595 SH        DEFINED   1,2,5,6,10            1,083,595
GENTEK INC            COM NEW    37245X20     2,587    147,922 SH        DEFINED   1,2                     147,922
GENTEX CORP           COM        37190110    28,694  2,880,898 SH        DEFINED   1,2,5,6,8,10,12       2,880,898
GENTIVA HEALTH SERVI  COM        37247A10     9,212    606,035 SH        DEFINED   1,2,5,6                 606,035
GENUINE PARTS CO      COM        37246010   154,778  5,183,452 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,183,452
GENVEC INC            COM        37246C10        31     70,855 SH        DEFINED   1,5                      70,855
GENWORTH FINL INC     COM CL A   37247D10    33,129 17,436,092 SH        DEFINED   1,2,5,6,8,10,12,13   17,436,092
GENZYME CORP          COM        37291710   553,909  9,326,639 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,326,639
GEO GROUP INC         COM        36159R10    14,160  1,068,658 SH        DEFINED   1,2,5,6               1,068,658
GEOEYE INC            COM        37250W10     7,049    356,887 SH        DEFINED   1,2,6                   356,887
GEOGLOBAL RESOURCES   COM        37249T10       345    479,439 SH        DEFINED   1,2,5,6                 479,439
GEOKINETICS INC       COM PAR $0 37291030       262     79,995 SH        DEFINED   1,2                      79,995
GEOMET INC DEL        COM        37250U20       162    280,062 SH        DEFINED   1,2                     280,062
GEORESOURCES INC      COM        37247610       618     91,896 SH        DEFINED   1,2                      91,896
GEORGIA GULF CORP     COM PAR $0 37320020        18     24,897 SH        DEFINED   1,2                      24,897
GERBER SCIENTIFIC IN  COM        37373010     1,056    441,666 SH        DEFINED   1,2                     441,666
GERDAU S A            SPONSORED  37373710     4,949    904,819 SH        DEFINED   1,2,6,7                 904,819
GERMAN AMERN BANCORP  COM        37386510       136     11,366 SH        DEFINED   1                        11,366
GERON CORP            COM        37416310     7,491  1,675,949 SH        DEFINED   1,2,5,6               1,675,949
GETTY RLTY CORP NEW   COM        37429710     8,611    469,247 SH        DEFINED   1,2,3,5                 469,247
GEVITY HR INC         COM        37439310     1,990    503,830 SH        DEFINED   1,2                     503,830
GFI GROUP INC         COM        36165220     3,594  1,119,592 SH        DEFINED   1,2,5                 1,119,592
GIANT INTERACTIVE GR  ADR        37451110       271     39,800 SH        DEFINED   1,2,6                    39,800
GIBRALTAR INDS INC    COM        37468910     3,858    817,478 SH        DEFINED   1,2,5                   817,478
G-III APPAREL GROUP   COM        36237H10     1,236    223,862 SH        DEFINED   1,2                     223,862
GILAT SATELLITE NETW  SHS NEW    M5147411       194     57,469 SH        DEFINED   1                        57,469
GILEAD SCIENCES INC   NOTE 0.62  375558AH       448    350,000 SH        DEFINED   1                       350,000
GILEAD SCIENCES INC   COM        37555810 1,459,723 31,513,888 SH        DEFINED   1,2,5,6,7,8,10,12,13 31,513,888
GLACIER BANCORP INC   COM        37637Q10    29,680  1,889,223 SH        DEFINED   1,2,5,6               1,889,223
GLADSTONE CAPITAL CO  COM        37653510     2,169    346,420 SH        DEFINED   1,2                     346,420
GLADSTONE COML CORP   COM        37653610       151     16,964 SH        DEFINED   1,3,5                    16,964
GLADSTONE INVT CORP   COM        37654610     1,264    330,978 SH        DEFINED   1,2                     330,978
GLATFELTER            COM        37731610     6,943  1,112,669 SH        DEFINED   1,2,5                 1,112,669
GLAXOSMITHKLINE PLC   SPONSORED  37733W10   481,154 15,486,141 SH        DEFINED   1,2                  15,486,141
GLG PARTNERS INC      COM        37929X10     7,746  2,727,339 SH        DEFINED   1,2,7,10              2,727,339




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
GLIMCHER RLTY TR      SH BEN INT 37930210     1,338    955,953 SH        DEFINED   1,2,3,5                 955,953
GLOBAL CASH ACCESS H  COM        37896710     3,778    988,931 SH        DEFINED   1,2,5,6                 988,931
GLOBAL CROSSING LTD   SHS NEW    G3921A17     3,338    476,851 SH        DEFINED   1,2,5                   476,851
GLOBAL INDS LTD       COM        37933610     4,761  1,239,807 SH        DEFINED   1,2,5,6,10            1,239,807
GLOBAL PMTS INC       COM        37940X10    52,066  1,558,392 SH        DEFINED   1,2,5,6,10            1,558,392
GLOBAL SOURCES LTD    ORD        G3930010       817    210,079 SH        DEFINED   1                       210,079
GLOBAL TRAFFIC NETWO  COM        37947B10       448    147,864 SH        DEFINED   1,2                     147,864
GLOBALSTAR INC        COM        37897340       237    678,312 SH        DEFINED   1,2                     678,312
GLOBECOMM SYSTEMS IN  COM        37956X10     1,711    295,577 SH        DEFINED   1,2                     295,577
GMX RES INC           COM        38011M10     1,954    300,547 SH        DEFINED   1,2,5,6                 300,547
GOL LINHAS AEREAS IN  SP ADR REP 38045R10        31     10,805 SH        DEFINED   1,6                      10,805
GOLAR LNG LTD BERMUD  SHS        G9456A10     1,581    460,827 SH        DEFINED   1                       460,827
GOLD FIELDS LTD NEW   SPONSORED  38059T10       320     28,184 SH        DEFINED   1                        28,184
GOLDCORP INC NEW      COM        38095640       255      7,658 SH        DEFINED   1                         7,658
GOLDMAN SACHS GROUP   COM        38141G10 1,849,469 17,444,529 SH        DEFINED   1,2,5,6,7,8,10,12,13 17,444,529
GOODRICH CORP         COM        38238810   157,076  4,145,590 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,145,590
GOODRICH PETE CORP    COM NEW    38241040     9,747    503,462 SH        DEFINED   1,2,5,6                 503,462
GOODYEAR TIRE & RUBR  COM        38255010    50,718  8,101,958 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,101,958
GOOGLE INC            CL A       38259P50 2,711,195  7,789,448 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,789,448
GORMAN RUPP CO        COM        38308210     4,758    240,300 SH        DEFINED   1,2,5,6                 240,300
GP STRATEGIES CORP    COM        36225V10        53     14,857 SH        DEFINED   1                        14,857
GRACE W R & CO DEL N  COM        38388F10     9,193  1,454,638 SH        DEFINED   1,2,5,6               1,454,638
GRACO INC             COM        38410910    20,772  1,216,884 SH        DEFINED   1,2,5,6,10            1,216,884
GRAFTECH INTL LTD     COM        38431310    16,194  2,628,957 SH        DEFINED   1,2,5,6               2,628,957
GRAHAM CORP           COM        38455610     1,675    186,680 SH        DEFINED   1,2                     186,680
GRAINGER W W INC      COM        38480210   150,511  2,144,639 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,144,639
GRAMERCY CAP CORP     COM        38487110       666    686,621 SH        DEFINED   1,2,3                   686,621
GRAN TIERRA ENERGY I  COM        38500T10     8,960  3,569,707 SH        DEFINED   1,2                   3,569,707
GRAND CANYON ED INC   COM        38526M10     2,611    151,267 SH        DEFINED   1,2                     151,267
GRANITE CONSTR INC    COM        38732810    49,787  1,328,371 SH        DEFINED   1,2,5,6,8             1,328,371
GRAPHIC PACKAGING HL  COM        38868910     1,900  2,184,007 SH        DEFINED   1,2,5,6               2,184,007
GRAY TELEVISION INC   COM        38937510       229    714,788 SH        DEFINED   1,2                     714,788
GREAT ATLANTIC & PAC  COM        39006410     3,951    744,059 SH        DEFINED   1,2,5,6,8               744,059
GREAT LAKES DREDGE &  COM        39060710     1,995    662,651 SH        DEFINED   1,2                     662,651
GREAT PLAINS ENERGY   COM        39116410    32,360  2,402,357 SH        DEFINED   1,2,5,6,8,10          2,402,357
GREAT SOUTHN BANCORP  COM        39090510       160     11,447 SH        DEFINED   1                        11,447
GREAT WOLF RESORTS I  COM        39152310     1,327    569,609 SH        DEFINED   1,2                     569,609
GREATBATCH INC        COM        39153L10    11,124    574,898 SH        DEFINED   1,2,5                   574,898
GREEN BANKSHARES INC  COM NEW    39436120     2,079    236,256 SH        DEFINED   1,2                     236,256
GREEN MTN COFFEE ROA  COM        39312210    16,473    343,186 SH        DEFINED   1,2,5,6                 343,186
GREENBRIER COS INC    COM        39365710     1,057    288,870 SH        DEFINED   1,2,5                   288,870
GREENHILL & CO INC    COM        39525910    26,407    357,577 SH        DEFINED   1,2,5,6                 357,577
GREENHUNTER ENERGY I  COM        39530A10        86     45,269 SH        DEFINED   1,2                      45,269
GREENLIGHT CAPITAL R  CLASS A    G4095J10    10,716    670,996 SH        DEFINED   1,2,6                   670,996
GREIF INC             CL A       39762410    21,039    631,996 SH        DEFINED   1,2,5,6,10              631,996




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
GRIFFIN LD & NURSERI  CL A       39823110   1,648     47,081 SH        DEFINED   1,2                      47,081
GRIFFON CORP          COM        39843310   8,288  1,105,120 SH        DEFINED   1,2,5,6               1,105,120
GROUP 1 AUTOMOTIVE I  COM        39890510   6,995    500,705 SH        DEFINED   1,2,5                   500,705
GROUPE CGI INC        CL A SUB V 39945C10     114     14,270 SH        DEFINED   1                        14,270
GRUBB & ELLIS CO      COM PAR $0 40009520     367    583,179 SH        DEFINED   1,2                     583,179
GRUPO FINANCIERO GAL  SP ADR 10  39990910      74     41,087 SH        DEFINED   1,2                      41,087
GRUPO TELEVISA SA DE  SP ADR REP 40049J20  50,406  3,695,474 SH        DEFINED   1,2,4,5,7             3,695,474
GSE SYS INC           COM        36227K10      64     10,748 SH        DEFINED   1                        10,748
GSI COMMERCE INC      COM        36238G10   5,556    424,134 SH        DEFINED   1,2,5,6                 424,134
GT SOLAR INTL INC     COM        3623E020   4,927    742,038 SH        DEFINED   1,2,5                   742,038
GTX INC DEL           COM        40052B10   3,336    315,351 SH        DEFINED   1,2,5,6                 315,351
GUARANTY BANCORP DEL  COM        40075T10   1,874  1,070,693 SH        DEFINED   1,2,5                 1,070,693
GUARANTY FINL GROUP   COM        40108N10   1,727  1,644,670 SH        DEFINED   1,2,6,13              1,644,670
GUESS INC             COM        40161710  30,469  1,445,383 SH        DEFINED   1,2,5,10              1,445,383
GUIDANCE SOFTWARE IN  COM        40169210     455    111,634 SH        DEFINED   1,2                     111,634
GULF ISLAND FABRICAT  COM        40230710   1,893    236,363 SH        DEFINED   1,2,5,6                 236,363
GULFMARK OFFSHORE IN  COM        40262910  10,798    452,564 SH        DEFINED   1,2,5,6                 452,564
GULFPORT ENERGY CORP  COM NEW    40263530   1,075    463,561 SH        DEFINED   1,2,5,6                 463,561
GYMBOREE CORP         COM        40377710  18,018    843,955 SH        DEFINED   1,2,5,6                 843,955
H & E EQUIPMENT SERV  COM        40403010   3,092    471,994 SH        DEFINED   1,2,5                   471,994
HACKETT GROUP INC     COM        40460910   1,360    673,127 SH        DEFINED   1,2,5                   673,127
HAEMONETICS CORP      COM        40502410  29,898    542,814 SH        DEFINED   1,2,5,6                 542,814
HAIN CELESTIAL GROUP  COM        40521710  11,350    797,027 SH        DEFINED   1,2,5                   797,027
HALLIBURTON CO        COM        40621610 612,644 39,602,063 SH        DEFINED   1,2,5,6,7,8,10,12,13 39,602,063
HALLMARK FINL SVCS I  COM NEW    40624Q20     634     91,533 SH        DEFINED   1,2                      91,533
HALOZYME THERAPEUTIC  COM        40637H10   5,902  1,080,947 SH        DEFINED   1,2,5,6               1,080,947
HAMPTON ROADS BANKSH  COM        40932110     153     19,692 SH        DEFINED   1,2                      19,692
HANA BIOSCIENCES INC  COM        40963P10       3     22,892 SH        DEFINED   1                        22,892
HANCOCK HLDG CO       COM        41012010  30,653    979,947 SH        DEFINED   1,2,5,6                 979,947
HANESBRANDS INC       COM        41034510  18,314  1,913,710 SH        DEFINED   1,2,5,6,8,10          1,913,710
HANGER ORTHOPEDIC GR  COM NEW    41043F20   7,779    587,095 SH        DEFINED   1,2,5,6                 587,095
HANMI FINL CORP       COM        41049510   1,218    936,942 SH        DEFINED   1,2,5                   936,942
HANOVER INS GROUP IN  COM        41086710  32,594  1,130,944 SH        DEFINED   1,2,5,6,7,10          1,130,944
HANSEN MEDICAL INC    COM        41130710     908    225,922 SH        DEFINED   1,2,5,6                 225,922
HANSEN NAT CORP       COM        41131010  62,664  1,740,654 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,740,654
HARBIN ELECTRIC INC   COM        41145W10     446     72,597 SH        DEFINED   1,2                      72,597
HARLEY DAVIDSON INC   COM        41282210 103,560  7,734,115 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,734,115
HARLEYSVILLE GROUP I  COM        41282410  10,611    333,583 SH        DEFINED   1,2,5                   333,583
HARLEYSVILLE NATL CO  COM        41285010   5,228    862,758 SH        DEFINED   1,2,5                   862,758
HARMAN INTL INDS INC  COM        41308610  23,941  1,769,466 SH        DEFINED   1,2,5,6,8,10,12,13    1,769,466
HARMONIC INC          COM        41316010  13,932  2,143,343 SH        DEFINED   1,2,5,6               2,143,343
HARMONY GOLD MNG LTD  SPONSORED  41321630     149     13,623 SH        DEFINED   1                        13,623
HARRIS & HARRIS GROU  COM        41383310   1,466    396,107 SH        DEFINED   1,2                     396,107
HARRIS CORP DEL       COM        41387510 134,333  4,641,784 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,641,784
HARRIS INTERACTIVE I  COM        41454910       6     25,764 SH        DEFINED   1                        25,764




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                         
HARRIS STRATEX NTWRK  CL A       41457P10   2,617    679,661 SH        DEFINED   1,2,5                     679,661
HARSCO CORP           COM        41586410  55,378  2,497,900 SH        DEFINED   1,2,5,6,7,8,10,12,13    2,497,900
HARTE-HANKS INC       COM        41619610   6,061  1,132,938 SH        DEFINED   1,2,5                   1,132,938
HARTFORD FINL SVCS G  COM        41651510 168,887 21,514,292 SH        DEFINED   1,2,5,6,7,8,10,12,13   21,514,292
HARVARD BIOSCIENCE I  COM        41690610      50     16,645 SH        DEFINED   1                          16,645
HARVEST NATURAL RESO  COM        41754V10   2,094    617,715 SH        DEFINED   1,2,5                     617,715
HASBRO INC            COM        41805610 117,802  4,698,915 SH        DEFINED   1,2,5,6,7,8,10,12,13    4,698,915
HATTERAS FINL CORP    COM        41902R10  10,275    411,170 SH        DEFINED   1,2,5                     411,170
HAVERTY FURNITURE IN  COM        41959610   3,660    347,560 SH        DEFINED   1,2                       347,560
HAWAIIAN ELEC INDUST  COM        41987010  25,741  1,873,423 SH        DEFINED   1,2,5,6,10              1,873,423
HAWAIIAN HOLDINGS IN  COM        41987910   4,191  1,123,700 SH        DEFINED   1,2,6                   1,123,700
HAYES LEMMERZ INTL I  COM NEW    42078130     365  1,973,943 SH        DEFINED   1,2                     1,973,943
HAYNES INTERNATIONAL  COM NEW    42087720   3,811    213,852 SH        DEFINED   1,2,5,6                   213,852
HCC INS HLDGS INC     COM        40413210  62,290  2,472,824 SH        DEFINED   1,2,5,6,7,8,10          2,472,824
HCP INC               COM        40414L10 252,501 14,145,722 SH        DEFINED   1,2,3,5,6,7,8,10,12,13 14,145,722
HDFC BANK LTD         ADR REPS 3 40415F10  12,415    203,756 SH        DEFINED   1,2,4,5,6,8               203,756
HEADWATERS INC        COM        42210P10   2,872    914,520 SH        DEFINED   1,2,5                     914,520
HEALTH CARE REIT INC  COM        42217K10 179,162  5,856,893 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  5,856,893
HEALTH GRADES INC     COM        42218Q10      90     44,295 SH        DEFINED   1,5                        44,295
HEALTH MGMT ASSOC IN  CL A       42193310  12,640  4,899,313 SH        DEFINED   1,2,5,6,8,10            4,899,313
HEALTH NET INC        COM        42222G10  37,550  2,593,226 SH        DEFINED   1,2,5,6,7,8,10,12,13    2,593,226
HEALTHCARE RLTY TR    COM        42194610  33,333  2,223,672 SH        DEFINED   1,2,3,5                 2,223,672
HEALTHCARE SVCS GRP   COM        42190610  12,096    808,046 SH        DEFINED   1,2,5,6                   808,046
HEALTHSOUTH CORP      COM NEW    42192430  15,724  1,770,767 SH        DEFINED   1,2,5,6                 1,770,767
HEALTHSPRING INC      COM        42224N10  13,150  1,571,028 SH        DEFINED   1,2,5                   1,571,028
HEALTHTRONICS INC     COM        42222L10      50     37,393 SH        DEFINED   1                          37,393
HEALTHWAYS INC        COM        42224510   6,514    742,704 SH        DEFINED   1,2,5,6                   742,704
HEARST-ARGYLE TELEVI  COM        42231710   1,126    270,654 SH        DEFINED   1,2,5,10                  270,654
HEARTLAND EXPRESS IN  COM        42234710  19,276  1,301,572 SH        DEFINED   1,2,5,6                 1,301,572
HEARTLAND FINL USA I  COM        42234Q10   3,016    222,716 SH        DEFINED   1,2,6                     222,716
HEARTLAND PMT SYS IN  COM        42235N10   3,059    462,830 SH        DEFINED   1,2,5,6                   462,830
HECKMANN CORP         COM        42268010      64     13,232 SH        DEFINED   5                          13,232
HECLA MNG CO          COM        42270410   7,907  3,953,519 SH        DEFINED   1,2,5,6                 3,953,519
HEELYS INC            COM        42279M10      30     17,400 SH        DEFINED   1                          17,400
HEICO CORP NEW        COM        42280610   9,161    376,988 SH        DEFINED   1,2,5,6                   376,988
HEICO CORP NEW        CL A       42280620     677     32,834 SH        DEFINED   1,2,5,6                    32,834
HEIDRICK & STRUGGLES  COM        42281910   7,810    440,226 SH        DEFINED   1,2,5,6                   440,226
HEINZ H J CO          COM        42307410 368,676 11,151,721 SH        DEFINED   1,2,5,6,7,8,10,12,13   11,151,721
HELEN OF TROY CORP L  COM        G4388N10   7,123    518,013 SH        DEFINED   1,2,5                     518,013
HELIX ENERGY SOLUTIO  COM        42330P10  11,629  2,262,471 SH        DEFINED   1,2,5,6,10              2,262,471
HELLENIC TELECOM ORG  SPONSORED  42332530     973    127,732 SH        DEFINED   1,2                       127,732
HELMERICH & PAYNE IN  COM        42345210  65,909  2,894,544 SH        DEFINED   1,2,5,6,7,8,10,12,13    2,894,544
HEMISPHERX BIOPHARMA  COM        42366C10      19     31,823 SH        DEFINED   1                          31,823
HENRY JACK & ASSOC I  COM        42628110  34,093  2,089,046 SH        DEFINED   1,2,5,6                 2,089,046
HERBALIFE LTD         COM USD SH G4412G10   9,110    608,172 SH        DEFINED   1,2,5,7,10                608,172




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
HERCULES OFFSHORE IN  COM        42709310     1,667   1,054,871 SH        DEFINED   1,2,5,6,10             1,054,871
HERCULES TECH GROWTH  COM        42709650     3,920     783,904 SH        DEFINED   1,2                      783,904
HERITAGE COMMERCE CO  COM        42692710     1,034     196,877 SH        DEFINED   1,2                      196,877
HERLEY INDS INC DEL   COM        42739810     2,717     227,177 SH        DEFINED   1,2                      227,177
HERSHA HOSPITALITY T  SH BEN INT 42782510     3,064   1,612,891 SH        DEFINED   1,2,3,5                1,612,891
HERSHEY CO            COM        42786610   195,239   5,618,390 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,618,390
HERTZ GLOBAL HOLDING  COM        42805T10    16,538   4,208,053 SH        DEFINED   1,2,5,6,7,8,10         4,208,053
HESS CORP             COM        42809H10   563,691  10,400,200 SH        DEFINED   1,2,5,6,7,8,10,12,13  10,400,200
HEWITT ASSOCS INC     COM        42822Q10    67,092   2,254,442 SH        DEFINED   1,2,5,6,7,8,10         2,254,442
HEWLETT PACKARD CO    COM        42823610 3,731,995 116,406,582 SH        DEFINED   1,2,5,6,7,8,10,12,13 116,406,582
HEXCEL CORP NEW       COM        42829110    15,714   2,391,846 SH        DEFINED   1,2,5,6                2,391,846
HFF INC               CL A       40418F10        24      12,100 SH        DEFINED   1                         12,100
HHGREGG INC           COM        42833L10     3,728     263,484 SH        DEFINED   1,2,6                    263,484
HI / FN INC           COM        42835810        89      22,412 SH        DEFINED   1                         22,412
HIBBETT SPORTS INC    COM        42856710    10,130     527,055 SH        DEFINED   1,2,5,6                  527,055
HICKORY TECH CORP     COM        42906010        76      14,057 SH        DEFINED   1                         14,057
HIGHWOODS PPTYS INC   COM        43128410    60,269   2,813,690 SH        DEFINED   1,2,3,5,6              2,813,690
HILL INTERNATIONAL I  COM        43146610     1,271     418,224 SH        DEFINED   1,2,5,6                  418,224
HILL ROM HLDGS INC    COM        43147510    22,250   2,249,712 SH        DEFINED   1,2,5,6,7,8,10,12      2,249,712
HILLENBRAND INC       COM        43157110    13,274     829,090 SH        DEFINED   1,2,5,6,7,10             829,090
HILLTOP HOLDINGS INC  COM        43274810    10,499     921,003 SH        DEFINED   1,2,3,5,6                921,003
HIMAX TECHNOLOGIES I  SPONSORED  43289P10        40      14,337 SH        DEFINED   2                         14,337
HITACHI LIMITED       ADR 10 COM 43357850       216       7,851 SH        DEFINED   1                          7,851
HITTITE MICROWAVE CO  COM        43365Y10    11,041     353,879 SH        DEFINED   1,2,5,6                  353,879
HLTH CORPORATION      COM        40422Y10    12,987   1,254,799 SH        DEFINED   1,2,5,6,8,10,12        1,254,799
HMS HLDGS CORP        COM        40425J10    16,428     499,329 SH        DEFINED   1,2,5,6                  499,329
HNI CORP              COM        40425110    13,997   1,345,891 SH        DEFINED   1,2,5,6                1,345,891
HOKU SCIENTIFIC INC   COM        43471210        42      16,600 SH        DEFINED   1                         16,600
HOLLIS-EDEN PHARMACE  COM        43590210        11      23,507 SH        DEFINED   1                         23,507
HOLLY CORP            COM PAR $0 43575830    19,566     922,908 SH        DEFINED   1,2,5,6,10               922,908
HOLLYWOOD MEDIA CORP  COM        43623310        10      11,519 SH        DEFINED   1                         11,519
HOLOGIC INC           FRNT 2.00  436440AA       853   1,250,000 SH        DEFINED   1                      1,250,000
HOLOGIC INC           COM        43644010    77,889   5,950,248 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,950,248
HOME BANCSHARES INC   COM        43689320     5,316     266,202 SH        DEFINED   1,2,5,6                  266,202
HOME DEPOT INC        COM        43707610 1,481,237  62,870,821 SH        DEFINED   1,2,5,6,7,8,10,12,13  62,870,821
HOME DIAGNOSTICS INC  COM        43708010        57      10,040 SH        DEFINED   1                         10,040
HOME FED BANCORP INC  COM        43710G10       810      92,751 SH        DEFINED   1,2                       92,751
HOME PROPERTIES INC   COM        43730610    40,306   1,315,042 SH        DEFINED   1,2,3,5                1,315,042
HONDA MOTOR LTD       AMERN SHS  43812830     1,319      55,653 SH        DEFINED   1,2                       55,653
HONEYWELL INTL INC    COM        43851610 2,249,938  80,758,737 SH        DEFINED   1,2,5,6,7,8,10,12,13  80,758,737
HOOKER FURNITURE COR  COM        43903810     1,801     213,439 SH        DEFINED   1,2                      213,439
HOOPER HOLMES INC     COM        43910410        31      68,456 SH        DEFINED   1                         68,456
HORACE MANN EDUCATOR  COM        44032710    10,447   1,248,194 SH        DEFINED   1,2,5                  1,248,194
HORIZON FINL CORP WA  COM        44041F10        19      10,677 SH        DEFINED   1,2                       10,677
HORIZON LINES INC     COM        44044K10     1,658     547,185 SH        DEFINED   1,2,5                    547,185




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                         
HORMEL FOODS CORP     COM        44045210  73,449  2,316,269 SH        DEFINED   1,2,5,6,7,8,10,12,13    2,316,269
HORNBECK OFFSHORE SV  COM        44054310   7,969    522,896 SH        DEFINED   1,2,5,6                   522,896
HORSEHEAD HLDG CORP   COM        44069430   3,710    674,593 SH        DEFINED   1,2                       674,593
HOSPIRA INC           COM        44106010 167,170  5,417,043 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,417,043
HOSPITALITY PPTYS TR  COM SH BEN 44106M10  42,893  3,574,410 SH        DEFINED   1,2,3,5,6,7,8,10        3,574,410
HOST HOTELS & RESORT  COM        44107P10 109,198 27,856,631 SH        DEFINED   1,2,3,5,6,7,8,10,12,13 27,856,631
HOT TOPIC INC         COM        44133910  11,452  1,023,378 SH        DEFINED   1,2,5                   1,023,378
HOUSTON AMERN ENERGY  COM        44183U10     379    203,880 SH        DEFINED   1,2                       203,880
HOUSTON WIRE & CABLE  COM        44244K10   3,752    484,165 SH        DEFINED   1,2,6                     484,165
HOVNANIAN ENTERPRISE  CL A       44248720   1,398    896,195 SH        DEFINED   1,2,5                     896,195
HQ SUSTAINABLE MARIT  COM NEW    40426A20     579     75,656 SH        DEFINED   1,2                        75,656
HRPT PPTYS TR         COM SH BEN 40426W10  25,606  8,027,028 SH        DEFINED   1,2,3,5,6,7,10          8,027,028
HSBC HLDGS PLC        SPON ADR N 40428040   2,890    102,393 SH        DEFINED   1,2                       102,393
HSN INC               COM        40430310   3,230    628,407 SH        DEFINED   1,2,5,6,7,10              628,407
HSW INTERNATIONAL IN  COM        40431N10      56    338,585 SH        DEFINED   1,2                       338,585
HUANENG PWR INTL INC  SPON ADR H 44330410     218      8,108 SH        DEFINED   1,6                         8,108
HUB GROUP INC         CL A       44332010  13,028    766,368 SH        DEFINED   1,2,5,6                   766,368
HUBBELL INC           CL B       44351020  29,850  1,107,181 SH        DEFINED   1,2,5,6,7,10            1,107,181
HUDSON CITY BANCORP   COM        44368310 255,460 21,852,825 SH        DEFINED   1,2,5,6,7,8,10,12,13   21,852,825
HUDSON HIGHLAND GROU  COM        44379210   1,104    994,486 SH        DEFINED   1,2,6                     994,486
HUGHES COMMUNICATION  COM        44439810   1,448    120,326 SH        DEFINED   1,2,5,6                   120,326
HUGOTON RTY TR TEX    UNIT BEN I 44471710     470     49,183 SH        DEFINED   1,2,5                      49,183
HUMAN GENOME SCIENCE  COM        44490310   2,388  2,877,242 SH        DEFINED   1,2,5,6                 2,877,242
HUMANA INC            COM        44485910 155,968  5,980,363 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,980,363
HUNT J B TRANS SVCS   COM        44565810  50,856  2,109,343 SH        DEFINED   1,2,5,6,7,8,10,12,13    2,109,343
HUNTINGTON BANCSHARE  COM        44615010  30,306 18,256,752 SH        DEFINED   1,2,5,6,7,8,10,12,13   18,256,752
HUNTSMAN CORP         COM        44701110   6,291  2,009,833 SH        DEFINED   1,2,5,8,10              2,009,833
HURCO COMPANIES INC   COM        44732410   1,231    115,819 SH        DEFINED   1,2                       115,819
HURON CONSULTING GRO  COM        44746210  16,187    381,488 SH        DEFINED   1,2,5,6                   381,488
HUTCHINSON TECHNOLOG  COM        44840710   1,579    607,477 SH        DEFINED   1,2,5                     607,477
HYPERCOM CORP         COM        44913M10     834    868,812 SH        DEFINED   1,2                       868,812
HYTHIAM INC           COM        44919F10       8     26,772 SH        DEFINED   1                          26,772
I2 TECHNOLOGIES INC   COM NEW    46575420   2,144    271,352 SH        DEFINED   1,2,5                     271,352
IAC INTERACTIVECORP   COM PAR $. 44919P50  40,860  2,682,887 SH        DEFINED   1,2,5,6,7,8,10,12       2,682,887
IBASIS INC            COM NEW    45073220     328    488,926 SH        DEFINED   1,2                       488,926
IBERIABANK CORP       COM        45082810  23,063    502,017 SH        DEFINED   1,2,5                     502,017
ICAD INC              COM        44934S10      38     41,210 SH        DEFINED   1,2                        41,210
ICF INTL INC          COM        44925C10   2,273     98,956 SH        DEFINED   1,2,6                      98,956
ICICI BK LTD          ADR        45104G10  14,368  1,081,121 SH        DEFINED   1,2,5,6,7,8,12          1,081,121
ICO GLOBAL COMM HLDG  CL A       44930K10     582  1,663,748 SH        DEFINED   1,2,6                   1,663,748
ICO INC NEW           COM        44929310     890    431,987 SH        DEFINED   1,2                       431,987
ICON PUB LTD CO       SPONSORED  45103T10     749     46,408 SH        DEFINED   5                          46,408
ICONIX BRAND GROUP I  COM        45105510  11,167  1,261,773 SH        DEFINED   1,2,5,6                 1,261,773
ICT GROUP INC         COM        44929Y10     773    138,793 SH        DEFINED   1,2                       138,793
ICU MED INC           COM        44930G10   8,191    255,006 SH        DEFINED   1,2,5,6                   255,006




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
ICX TECHNOLOGIES INC  COM        44934T10     797    196,786 SH        DEFINED   1,2,6                   196,786
IDACORP INC           COM        45110710  37,142  1,589,964 SH        DEFINED   1,2,5                 1,589,964
IDENIX PHARMACEUTICA  COM        45166R20   1,529    496,515 SH        DEFINED   1,2,6                   496,515
IDERA PHARMACEUTICAL  COM NEW    45168K30   2,024    312,752 SH        DEFINED   1,2                     312,752
IDEX CORP             COM        45167R10  35,626  1,628,967 SH        DEFINED   1,2,5,6,10            1,628,967
IDEXX LABS INC        COM        45168D10  45,736  1,322,615 SH        DEFINED   1,2,5,6,10            1,322,615
IDT CORP              CL B NEW   44894750     294    253,335 SH        DEFINED   1                       253,335
I-FLOW CORP           COM NEW    44952030   1,347    369,087 SH        DEFINED   1,2                     369,087
IGATE CORP            COM        45169U10   1,653    510,166 SH        DEFINED   1,2,6                   510,166
IGO INC               COM        44959310      15     26,437 SH        DEFINED   1                        26,437
IHS INC               CL A       45173410  26,269    637,911 SH        DEFINED   1,2,5,10                637,911
II VI INC             COM        90210410   8,438    491,169 SH        DEFINED   1,2,5,6                 491,169
IKANOS COMMUNICATION  COM        45173E10      17     12,200 SH        DEFINED   1                        12,200
ILLINOIS TOOL WKS IN  COM        45230810 398,795 12,926,894 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,926,894
ILLUMINA INC          COM        45232710  69,963  1,878,696 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,878,696
I-MANY INC            COM        44973Q10       6     25,061 SH        DEFINED   1                        25,061
IMATION CORP          COM        45245A10   8,480  1,108,483 SH        DEFINED   1,2,5                 1,108,483
IMERGENT INC          COM        45247Q10      53     11,746 SH        DEFINED   1,5                      11,746
IMMERSION CORP        COM        45252110   1,398    477,195 SH        DEFINED   1,2,5                   477,195
IMMTECH PHARMACEUTIC  COM        45251910       3     12,014 SH        DEFINED   1                        12,014
IMMUCOR INC           COM        45252610  49,546  1,970,016 SH        DEFINED   1,2,5,6               1,970,016
IMMUNOGEN INC         COM        45253H10   5,944    837,125 SH        DEFINED   1,2,5                   837,125
IMMUNOMEDICS INC      COM        45290710     902    939,149 SH        DEFINED   1,2,5                   939,149
IMPERIAL OIL LTD      COM NEW    45303840   1,039     28,819 SH        DEFINED   1                        28,819
IMPERIAL SUGAR CO NE  COM NEW    45309620   1,360    189,143 SH        DEFINED   1,2                     189,143
IMS HEALTH INC        COM        44993410  79,402  6,367,424 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,367,424
INCYTE CORP           COM        45337C10   3,457  1,477,270 SH        DEFINED   1,2,5,6               1,477,270
INDEPENDENCE HLDG CO  COM NEW    45344030     487     97,297 SH        DEFINED   1,2                      97,297
INDEPENDENT BANK COR  COM        45383610   4,956    336,002 SH        DEFINED   1,2,5                   336,002
INDEPENDENT BANK COR  COM        45383810     106     45,158 SH        DEFINED   1                        45,158
INERGY HLDGS L P      COM        45661Q10     308     10,130 SH        DEFINED   1,2                      10,130
INERGY L P            UNIT LTD P 45661510   1,241     56,594 SH        DEFINED   1,2                      56,594
INFINEON TECHNOLOGIE  SPONSORED  45662N10      26     22,670 SH        DEFINED   1                        22,670
INFINERA CORPORATION  COM        45667G10  13,195  1,783,086 SH        DEFINED   1,2,5,6               1,783,086
INFINITY PHARMACEUTI  COM        45665G30      85     10,332 SH        DEFINED   1                        10,332
INFINITY PPTY & CAS   COM        45665Q10  10,876    320,546 SH        DEFINED   1,2,5                   320,546
INFOCUS CORP          COM        45665B10      22     37,478 SH        DEFINED   1                        37,478
INFOGROUP INC         COM        45670G10   4,777  1,148,202 SH        DEFINED   1,2,5                 1,148,202
INFORMATICA CORP      COM        45666Q10  24,314  1,833,609 SH        DEFINED   1,2,5,6               1,833,609
INFOSPACE INC         COM NEW    45678T20   4,741    911,663 SH        DEFINED   1,2,5,6                 911,663
INFOSYS TECHNOLOGIES  SPONSORED  45678810  39,278  1,474,944 SH        DEFINED   1,2,4,5,6,8           1,474,944
ING GROEP N V         SPONSORED  45683710     334     61,337 SH        DEFINED   1                        61,337
INGERSOLL-RAND COMPA  CL A       G4776G10 126,885  9,194,574 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,194,574
INGLES MKTS INC       CL A       45703010   3,871    259,268 SH        DEFINED   1,2,5                   259,268
INGRAM MICRO INC      CL A       45715310  64,312  5,087,963 SH        DEFINED   1,2,5,6,7,8,10        5,087,963




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
INLAND REAL ESTATE C  COM NEW    45746120    14,847   2,094,092 SH        DEFINED   1,2,3,5                2,094,092
INNERWORKINGS INC     COM        45773Y10     2,247     525,018 SH        DEFINED   1,2,5,6                  525,018
INNODATA ISOGEN INC   COM NEW    45764220        47      13,422 SH        DEFINED   1                         13,422
INNOPHOS HOLDINGS IN  COM        45774N10     4,200     372,300 SH        DEFINED   1,2,5                    372,300
INNOSPEC INC          COM        45768S10     1,426     378,325 SH        DEFINED   1,2,5                    378,325
INNOTRAC CORP         COM        45767M10        10      10,328 SH        DEFINED   1                         10,328
INNOVATIVE SOLUTIONS  COM        45769N10       104      24,845 SH        DEFINED   1                         24,845
INSIGHT ENTERPRISES   COM        45765U10     3,312   1,082,432 SH        DEFINED   1,2,5                  1,082,432
INSITE VISION INC     COM        45766010         6      29,451 SH        DEFINED   1                         29,451
INSITUFORM TECHNOLOG  CL A       45766710    12,536     801,524 SH        DEFINED   1,2,5                    801,524
INSMED INC            COM NEW    45766920       159     159,074 SH        DEFINED   1,5                      159,074
INSPIRE PHARMACEUTIC  COM        45773310     2,943     724,805 SH        DEFINED   1,2,5                    724,805
INSTEEL INDUSTRIES I  COM        45774W10     3,212     461,504 SH        DEFINED   1,2,5                    461,504
INSULET CORP          COM        45784P10     1,315     320,685 SH        DEFINED   1,2,5,6                  320,685
INTEGRA BK CORP       COM        45814P10       803     424,996 SH        DEFINED   1,2                      424,996
INTEGRA LIFESCIENCES  COM NEW    45798520     8,847     357,906 SH        DEFINED   1,2,5,6                  357,906
INTEGRAL SYS INC MD   COM        45810H10     2,576     299,535 SH        DEFINED   1,2,6                    299,535
INTEGRATED DEVICE TE  COM        45811810    15,730   3,457,045 SH        DEFINED   1,2,5,6,10             3,457,045
INTEGRATED ELECTRICA  COM        45811E30     1,392     152,606 SH        DEFINED   1,2,5                    152,606
INTEGRATED SILICON S  COM        45812P10        30      19,649 SH        DEFINED   1                         19,649
INTEGRYS ENERGY GROU  COM        45822P10    99,534   3,822,363 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,822,363
INTEL CORP            SDCV 2.95  458140AD       408     500,000 SH        DEFINED   1                        500,000
INTEL CORP            COM        45814010 2,968,624 197,513,256 SH        DEFINED   1,2,5,6,7,8,10,12,13 197,513,256
INTELLON CORP         COM        45816W50        50      22,900 SH        DEFINED   1                         22,900
INTER PARFUMS INC     COM        45833410     1,419     243,341 SH        DEFINED   1,2,6                    243,341
INTERACTIVE BROKERS   COM        45841N10    14,158     877,720 SH        DEFINED   1,2,5,6                  877,720
INTERACTIVE DATA COR  COM        45840J10    17,043     685,553 SH        DEFINED   1,2,5                    685,553
INTERACTIVE INTELLIG  COM        45839M10     1,809     199,714 SH        DEFINED   1,2,5                    199,714
INTERCONTINENTAL HTL  SPONS ADR  45857P30       124      16,384 SH        DEFINED   1                         16,384
INTERCONTINENTALEXCH  COM        45865V10   185,778   2,494,666 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,494,666
INTERDIGITAL INC      COM        45867G10    27,906   1,080,772 SH        DEFINED   1,2,5,6                1,080,772
INTERFACE INC         CL A       45866510     3,168   1,059,516 SH        DEFINED   1,2,5,6                1,059,516
INTERLEUKIN GENETICS  COM        45873810         3      12,342 SH        DEFINED   1                         12,342
INTERLINE BRANDS INC  COM        45874310     5,031     596,742 SH        DEFINED   1,2,5                    596,742
INTERMEC INC          COM        45878610    11,804   1,134,999 SH        DEFINED   1,2,5,6                1,134,999
INTERMUNE INC         COM        45884X10    11,058     672,627 SH        DEFINED   1,2,5,6                  672,627
INTERNAP NETWORK SVC  COM PAR $. 45885A30     3,306   1,229,142 SH        DEFINED   1,2,5                  1,229,142
INTERNATIONAL ASSETS  COM        45902810     1,184     116,187 SH        DEFINED   1,2                      116,187
INTERNATIONAL BANCSH  COM        45904410    13,849   1,775,569 SH        DEFINED   1,2,5,6                1,775,569
INTERNATIONAL BUSINE  COM        45920010 6,700,709  69,157,905 SH        DEFINED   1,2,5,6,7,8,10,12,13  69,157,905
INTERNATIONAL COAL G  COM        45928H10     3,711   2,305,244 SH        DEFINED   1,2,5,6                2,305,244
INTERNATIONAL FLAVOR  COM        45950610    84,774   2,783,114 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,783,114
INTERNATIONAL GAME T  DBCV 2.60  459902AP       242     250,000 SH        DEFINED   1                        250,000
INTERNATIONAL GAME T  COM        45990210    86,374   9,368,167 SH        DEFINED   1,2,5,6,7,8,10,12,13   9,368,167
INTERNATIONAL RECTIF  COM        46025410    20,669   1,529,918 SH        DEFINED   1,2,5,6,10             1,529,918




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
INTERNATIONAL SHIPHO  COM NEW    46032120   1,645     83,654 SH        DEFINED   1,2                      83,654
INTERNATIONAL SPEEDW  CL A       46033520  13,202    598,443 SH        DEFINED   1,2,5,7,10              598,443
INTERNET BRANDS INC   COM CLASS  46060810   1,973    336,064 SH        DEFINED   1,2,6                   336,064
INTERNET CAP GROUP I  COM NEW    46059C20   2,779    689,587 SH        DEFINED   1,2,6                   689,587
INTERPUBLIC GROUP CO  COM        46069010  69,104 16,772,728 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,772,728
INTERSIL CORP         CL A       46069S10  30,192  2,625,382 SH        DEFINED   1,2,5,6,10            2,625,382
INTERVAL LEISURE GRO  COM        46113M10   3,329    628,105 SH        DEFINED   1,2,5,6,7,10            628,105
INTEVAC INC           COM        46114810   2,135    409,724 SH        DEFINED   1,2,5                   409,724
INTL PAPER CO         COM        46014610 259,488 36,859,067 SH        DEFINED   1,2,5,6,7,8,10,12,13 36,859,067
INTREPID POTASH INC   COM        46121Y10   7,385    400,260 SH        DEFINED   1,2,5,6,10              400,260
INTUIT                COM        46120210 290,133 10,745,679 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,745,679
INTUITIVE SURGICAL I  COM NEW    46120E60 121,554  1,274,681 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,274,681
INVACARE CORP         COM        46120310  16,822  1,049,399 SH        DEFINED   1,2,5                 1,049,399
INVENTIV HEALTH INC   COM        46122E10   5,077    622,167 SH        DEFINED   1,2,5,6                 622,167
INVERNESS MED INNOVA  COM        46126P10  24,161    907,288 SH        DEFINED   1,2,5,6,10              907,288
INVESCO LTD           SHS        G491BT10 215,180 15,525,224 SH        DEFINED   1,2,5,6,7,8,10,12,13 15,525,224
INVESTMENT TECHNOLOG  COM        46145F10  16,436    644,058 SH        DEFINED   1,2,5,6,10              644,058
INVESTORS BANCORP IN  COM        46146P10   7,149    844,094 SH        DEFINED   1,2,5,6                 844,094
INVESTORS REAL ESTAT  SH BEN INT 46173010  11,238  1,139,746 SH        DEFINED   1,2,3,5               1,139,746
ION GEOPHYSICAL CORP  COM        46204410   2,718  1,742,473 SH        DEFINED   1,2,5,6               1,742,473
IOWA TELECOMM SERVIC  COM        46259420   7,025    612,981 SH        DEFINED   1,2,5                   612,981
IPASS INC             COM        46261V10      52     51,808 SH        DEFINED   1                        51,808
IPC HLDGS LTD         ORD        G4933P10  28,705  1,061,580 SH        DEFINED   1,2,5                 1,061,580
IPC THE HOSPITALIST   COM        44984A10   2,206    115,852 SH        DEFINED   1,2,6                   115,852
IPCS INC              COM NEW    44980Y30   2,994    308,382 SH        DEFINED   1,2,5,6                 308,382
IPG PHOTONICS CORP    COM        44980X10   2,697    320,281 SH        DEFINED   1,2,5,6                 320,281
IRELAND BK            SPONSORED  46267Q10      66     24,960 SH        DEFINED   1                        24,960
IRIS INTL INC         COM        46270W10   3,713    322,043 SH        DEFINED   1,2,6                   322,043
IROBOT CORP           COM        46272610   2,156    283,628 SH        DEFINED   1,2,6                   283,628
IRON MTN INC          COM        46284610 132,520  5,977,430 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,977,430
IRSA INVERSIONES Y R  GLOBL DEP  45004720      56     14,224 SH        DEFINED   1,2                      14,224
IRWIN FINL CORP       COM        46411910      80     41,214 SH        DEFINED   1                        41,214
ISHARES INC           MSCI BRAZI 46428640   2,391     63,411 SH        DEFINED   7                        63,411
ISHARES INC           MSCI CDA I 46428650   4,447    270,200 SH        DEFINED   2                       270,200
ISHARES INC           MSCI UTD K 46428669   4,178    398,697 SH        DEFINED   1                       398,697
ISHARES INC           MSCI TAIWA 46428673   7,096    879,318 SH        DEFINED   1,6,10                  879,318
ISHARES INC           MSCI S KOR 46428677  16,367    575,095 SH        DEFINED   1,5,6,10                575,095
ISHARES INC           MSCI MALAY 46428683     317     45,301 SH        DEFINED   6                        45,301
ISHARES TR            BARCLYS TI 46428717  15,084    146,800 SH        DEFINED   2                       146,800
ISHARES TR            S&P 500 IN 46428720  50,239    630,984 SH        DEFINED   2,6                     630,984
ISHARES TR            MSCI EMERG 46428723   7,985    321,865 SH        DEFINED   1,10                    321,865
ISHARES TR            IBOXX INV  46428724   5,798     61,600 SH        DEFINED   2                        61,600
ISHARES TR            S&P/TOPIX  46428738     338      9,900 SH        DEFINED   1                         9,900
ISHARES TR            MSCI EAFE  46428746  51,562  1,371,696 SH        DEFINED   1,2,6                 1,371,696
ISHARES TR            S&P MIDCAP 46428750   3,806     78,200 SH        DEFINED   2                        78,200




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
ISHARES TR            RUSSELL100 46428759     8,647     212,193 SH        DEFINED   2                        212,193
ISHARES TR            RUSSELL 20 46428765       479      11,381 SH        DEFINED   1                         11,381
ISHARES TR            S&P SMLCAP 46428780    19,691     541,100 SH        DEFINED   1,2                      541,100
ISHARES TR            BARCLYS 1- 46428864     5,489      55,500 SH        DEFINED   2                         55,500
ISILON SYS INC        COM        46432L10       758     344,741 SH        DEFINED   1,2,6                    344,741
ISIS PHARMACEUTICALS  COM        46433010    50,143   3,340,658 SH        DEFINED   1,2,5,6                3,340,658
ISLE OF CAPRI CASINO  COM        46459210     1,734     327,845 SH        DEFINED   1,2,5,6                  327,845
ISOLAGEN INC          COM        46488N10         6      34,474 SH        DEFINED   1,2                       34,474
ISTA PHARMACEUTICALS  COM NEW    45031X20        42      23,832 SH        DEFINED   1                         23,832
ISTAR FINL INC        COM        45031U10     4,565   1,624,575 SH        DEFINED   1,2,5,10               1,624,575
ITC HLDGS CORP        COM        46568510    40,001     917,023 SH        DEFINED   1,2,5,6                  917,023
ITRON INC             COM        46574110    33,266     702,563 SH        DEFINED   1,2,5,6,10               702,563
ITT CORP NEW          COM        45091110   230,009   5,978,922 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,978,922
ITT EDUCATIONAL SERV  COM        45068B10   111,950     922,005 SH        DEFINED   1,2,5,6,7,8,10,12,13     922,005
ITURAN LOCATION AND   SHS        M6158M10       127      16,667 SH        DEFINED   1                         16,667
IXIA                  COM        45071R10     3,941     762,366 SH        DEFINED   1,2,5,6                  762,366
IXYS CORP             COM        46600W10     3,823     474,334 SH        DEFINED   1,2,5                    474,334
J & J SNACK FOODS CO  COM        46603210    12,897     371,769 SH        DEFINED   1,2,5                    371,769
J CREW GROUP INC      COM        46612H40    22,845   1,733,273 SH        DEFINED   1,2,5,6                1,733,273
J2 GLOBAL COMMUNICAT  COM NEW    46626E20    22,184   1,013,415 SH        DEFINED   1,2,5,6                1,013,415
JABIL CIRCUIT INC     COM        46631310    54,514   9,804,705 SH        DEFINED   1,2,5,6,8,10,12,13     9,804,705
JACK IN THE BOX INC   COM        46636710    30,072   1,291,212 SH        DEFINED   1,2,5,6                1,291,212
JACKSON HEWITT TAX S  COM        46820210     3,794     726,875 SH        DEFINED   1,2,5                    726,875
JACO ELECTRS INC      COM        46978310         8      19,600 SH        DEFINED   1                         19,600
JACOBS ENGR GROUP IN  COM        46981410   150,875   3,902,608 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,902,608
JAKKS PAC INC         COM        47012E10     9,648     781,227 SH        DEFINED   1,2,5                    781,227
JAMBA INC             COM        47023A10         5      11,201 SH        DEFINED   1                         11,201
JAMES RIVER COAL CO   COM NEW    47035520     5,680     460,300 SH        DEFINED   1,2,5,6                  460,300
JANUS CAP GROUP INC   COM        47102X10    39,070   5,875,189 SH        DEFINED   1,2,5,6,8,10,12,13     5,875,189
JARDEN CORP           COM        47110910    11,400     899,744 SH        DEFINED   1,2,5,6,7,10             899,744
JAVELIN PHARMACEUTIC  COM        47189410       906     629,433 SH        DEFINED   1,2                      629,433
JAZZ PHARMACEUTICALS  COM        47214710        78      88,176 SH        DEFINED   1,2                       88,176
JDA SOFTWARE GROUP I  COM        46612K10     8,450     731,570 SH        DEFINED   1,2,5                    731,570
JDS UNIPHASE CORP     COM PAR $0 46612J50    23,500   7,230,900 SH        DEFINED   1,2,5,6,8,10,12,13     7,230,900
JEFFERIES GROUP INC   COM        47231910    34,687   2,513,577 SH        DEFINED   1,2,5,6,10             2,513,577
JER INVT TR INC       COM NEW    46614H40        38      58,078 SH        DEFINED   1,2                       58,078
JETBLUE AIRWAYS CORP  COM        47714310    18,913   5,181,570 SH        DEFINED   1,2,5,6                5,181,570
JMP GROUP INC         COM        46629U10        70      14,500 SH        DEFINED   1                         14,500
JO-ANN STORES INC     COM        47758P30    11,478     702,471 SH        DEFINED   1,2,5                    702,471
JOES JEANS INC        COM        47777N10        18      51,239 SH        DEFINED   1                         51,239
JOHN BEAN TECHNOLOGI  COM        47783910    11,386   1,088,512 SH        DEFINED   1,2,5,6,7,10           1,088,512
JOHNSON & JOHNSON     COM        47816010 7,190,211 136,696,030 SH        DEFINED   1,2,5,6,7,8,10,12,13 136,696,030
JOHNSON CTLS INC      COM        47836610   232,335  19,361,226 SH        DEFINED   1,2,5,6,7,8,10,12,13  19,361,226
JONES APPAREL GROUP   COM        48007410     5,071   1,201,689 SH        DEFINED   1,2,5,6,7,8,10         1,201,689
JONES LANG LASALLE I  COM        48020Q10    17,442     749,857 SH        DEFINED   1,2,5,6,10               749,857




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
  NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE     SHARED NONE
-------------------- ---------- -------- --------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                            
JONES SODA CO        COM        48023P10        25      27,800 SH        DEFINED   1                           27,800
JOS A BANK CLOTHIERS COM        48083810    10,461     376,154 SH        DEFINED   1,2,5,6                    376,154
JOURNAL COMMUNICATIO CL A       48113010       643     857,865 SH        DEFINED   1,2,5                      857,865
JOY GLOBAL INC       COM        48116510    77,547   3,640,684 SH        DEFINED   1,2,5,6,7,8,10,12,13     3,640,684
JPMORGAN CHASE & CO  COM        46625H10 4,001,075 150,529,527 SH        DEFINED   1,2,5,6,7,8,10,12,13   150,529,527
JUNIPER NETWORKS INC COM        48203R10   253,985  16,876,095 SH        DEFINED   1,2,5,6,7,8,10,12,13    16,876,095
K FED BANCORP        COM        48246S10        98      12,400 SH        DEFINED   1                           12,400
K SEA TRANSN PARTNER COM        48268Y10       236      13,337 SH        DEFINED   1,2                         13,337
K TRON INTL INC      COM        48273010     2,521      41,555 SH        DEFINED   1,2,5                       41,555
K V PHARMACEUTICAL C CL A       48274020       955     578,552 SH        DEFINED   1,2,5,6                    578,552
K12 INC              COM        48273U10     1,464     105,327 SH        DEFINED   1,2,6                      105,327
KADANT INC           COM        48282T10     4,204     364,896 SH        DEFINED   1,2                        364,896
KAISER ALUMINUM CORP COM PAR $0 48300770     7,562     327,097 SH        DEFINED   1,2,5                      327,097
KAMAN CORP           COM        48354810     7,149     570,063 SH        DEFINED   1,2,5                      570,063
KANSAS CITY LIFE INS COM        48483610     3,975     110,868 SH        DEFINED   1,2,5                      110,868
KANSAS CITY SOUTHERN COM NEW    48517030    22,480   1,768,710 SH        DEFINED   1,2,5,6,10               1,768,710
KAPSTONE PAPER & PAC COM        48562P10       589     239,326 SH        DEFINED   1,2                        239,326
KAYDON CORP          COM        48658710    20,583     753,117 SH        DEFINED   1,2,5                      753,117
KAYNE ANDERSON ENERG COM        48660Q10     1,800     192,746 SH        DEFINED   1,2                        192,746
KB FINANCIAL GROUP I SPONSORED  48241A10     2,575     106,202 SH        DEFINED   1,2,6                      106,202
KB HOME              COM        48666K10    56,249   4,267,749 SH        DEFINED   1,2,5,6,10,13            4,267,749
KBR INC              COM        48242W10    52,411   3,795,118 SH        DEFINED   1,2,5,6,7,8,10,12,13     3,795,118
KBW INC              COM        48242310    10,439     512,951 SH        DEFINED   1,2,5,6                    512,951
KEARNY FINL CORP     COM        48716910     4,611     440,010 SH        DEFINED   1,2,5                      440,010
KEITHLEY INSTRS INC  COM        48758410       106      31,186 SH        DEFINED   1                           31,186
KELLOGG CO           COM        48783610   308,008   8,408,626 SH        DEFINED   1,2,5,6,7,8,10,12,13     8,408,626
KELLY SVCS INC       CL A       48815220     6,926     860,412 SH        DEFINED   1,2,5                      860,412
KENDLE INTERNATIONAL COM        48880L10     5,105     243,565 SH        DEFINED   1,2,5,6                    243,565
KENEXA CORP          COM        48887910     2,480     460,189 SH        DEFINED   1,2,5,6                    460,189
KENNAMETAL INC       COM        48917010    22,893   1,412,276 SH        DEFINED   1,2,5,6,10               1,412,276
KENSEY NASH CORP     COM        49005710     4,013     188,746 SH        DEFINED   1,2,6                      188,746
KERYX BIOPHARMACEUTI COM        49251510         6      46,674 SH        DEFINED   1                           46,674
KEY ENERGY SVCS INC  COM        49291410     4,097   1,422,498 SH        DEFINED   1,2,5,6,7,10             1,422,498
KEY TECHNOLOGY INC   COM        49314310       602      68,386 SH        DEFINED   1,2                         68,386
KEYCORP NEW          COM        49326710   165,232  20,995,173 SH        DEFINED   1,2,5,6,7,8,10,12,13    20,995,173
KEYNOTE SYS INC      COM        49330810     1,922     242,358 SH        DEFINED   1,2                        242,358
KFORCE INC           COM        49373210     5,152     732,824 SH        DEFINED   1,2,5,6                    732,824
KILROY RLTY CORP     COM        49427F10    16,001     930,822 SH        DEFINED   1,2,3,5,6,10               930,822
KIMBALL INTL INC     CL B       49427410     4,485     683,719 SH        DEFINED   1,2,5                      683,719
KIMBERLY CLARK CORP  COM        49436810   673,359  14,603,317 SH        DEFINED   1,2,5,6,7,8,10,12,13    14,603,317
KIMCO REALTY CORP    COM        49446R10    92,323  12,115,847 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  12,115,847
KINDER MORGAN ENERGY UT LTD PAR 49455010     8,627     184,663 SH        DEFINED   1,2,8                      184,663
KINDER MORGAN MANAGE SHS        49455U10    16,216     397,834 SH        DEFINED   1,2,5,6,7,8,10,12,13       397,834
KINDRED HEALTHCARE I COM        49458010    14,793     989,507 SH        DEFINED   1,2,5                      989,507
KINETIC CONCEPTS INC COM NEW    49460W20    29,221   1,383,563 SH        DEFINED   1,2,5,6,7,8,10,12        1,383,563




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
KING PHARMACEUTICALS  COM        49558210    78,518 11,105,809 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,105,809
KINROSS GOLD CORP     COM NO PAR 49690240       862     48,262 SH        DEFINED   1,5,13                   48,262
KIRBY CORP            COM        49726610    19,772    742,197 SH        DEFINED   1,2,5,6,10              742,197
KIRKLANDS INC         COM        49749810       111     22,809 SH        DEFINED   1                        22,809
KITE RLTY GROUP TR    COM        49803T10     2,586  1,055,680 SH        DEFINED   1,2,3                 1,055,680
KKR FINANCIAL HLDGS   COM        48248A30       192    217,736 SH        DEFINED   1,2                     217,736
KLA-TENCOR CORP       COM        48248010   108,357  5,417,836 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,417,836
KNIGHT CAPITAL GROUP  CL A       49900510    67,512  4,580,171 SH        DEFINED   1,2,5,7,8,13          4,580,171
KNIGHT TRANSN INC     COM        49906410    16,415  1,082,761 SH        DEFINED   1,2,5,6               1,082,761
KNIGHTSBRIDGE TANKER  ORD        G5299G10     4,358    299,510 SH        DEFINED   1,2,5                   299,510
KNOLL INC             COM NEW    49890420     6,228  1,016,006 SH        DEFINED   1,2,5                 1,016,006
KNOLOGY INC           COM        49918380     2,336    567,005 SH        DEFINED   1,2,5,6                 567,005
KNOT INC              COM        49918410     4,319    526,738 SH        DEFINED   1,2,5,6                 526,738
KODIAK OIL & GAS COR  COM        50015Q10        20     56,500 SH        DEFINED   1                        56,500
KOHLBERG CAPITAL COR  COM        50023310       898    293,460 SH        DEFINED   1,2                     293,460
KOHLS CORP            COM        50025510   418,101  9,879,524 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,879,524
KONINKLIJKE PHILIPS   NY REG SH  50047230       883     59,398 SH        DEFINED   1,2                      59,398
KOPIN CORP            COM        50060010     2,897  1,248,598 SH        DEFINED   1,2,5                 1,248,598
KOPPERS HOLDINGS INC  COM        50060P10     5,757    396,464 SH        DEFINED   1,2,5,6                 396,464
KOREA ELECTRIC PWR    SPONSORED  50063110     2,740    299,406 SH        DEFINED   1,2,6                   299,406
KORN FERRY INTL       COM NEW    50064320    12,843  1,417,578 SH        DEFINED   1,2,5,6               1,417,578
KOWABUNGA INC         COM        50074710        12     65,900 SH        DEFINED   1                        65,900
KRAFT FOODS INC       CL A       50075N10 1,614,562 72,434,345 SH        DEFINED   1,2,5,6,7,8,10,12,13 72,434,345
KRATOS DEFENSE & SEC  COM        50077B10        42     53,592 SH        DEFINED   1                        53,592
KRISPY KREME DOUGHNU  COM        50101410     1,513    945,662 SH        DEFINED   1,2,6                   945,662
KROGER CO             COM        50104410   514,759 24,258,181 SH        DEFINED   1,2,5,6,7,8,10,12,13 24,258,181
KRONOS WORLDWIDE INC  COM        50105F10       113     14,674 SH        DEFINED   1,2                      14,674
K-SWISS INC           CL A       48268610     4,362    510,748 SH        DEFINED   1,2,5                   510,748
KT CORP               SPONSORED  48268K10       718     52,101 SH        DEFINED   1,2,5                    52,101
KUBOTA CORP           ADR        50117320       341     12,275 SH        DEFINED   1                        12,275
KULICKE & SOFFA INDS  COM        50124210     3,156  1,204,538 SH        DEFINED   1,2,6                 1,204,538
KVH INDS INC          COM        48273810        77     15,405 SH        DEFINED   1                        15,405
KYOCERA CORP          ADR        50155620       475      7,094 SH        DEFINED   1,2                       7,094
L-1 IDENTITY SOLUTIO  COM        50212A10     7,185  1,406,112 SH        DEFINED   1,2,5,6               1,406,112
L-3 COMMUNICATIONS C  DEBT 3.00  502413AW       193    200,000 SH        DEFINED   1                       200,000
L-3 COMMUNICATIONS H  COM        50242410   251,962  3,716,254 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,716,254
LA BARGE INC          COM        50247010     1,347    160,894 SH        DEFINED   1,2                     160,894
LA JOLLA PHARMACEUTI  COM NEW    50345930         9     47,641 SH        DEFINED   1                        47,641
LA Z BOY INC          COM        50533610     1,193    954,720 SH        DEFINED   1,2,5                   954,720
LABORATORY CORP AMER  COM NEW    50540R40   218,874  3,742,084 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,742,084
LABRANCHE & CO INC    COM        50544710     5,866  1,568,486 SH        DEFINED   1,2,5,6               1,568,486
LACLEDE GROUP INC     COM        50559710    21,433    549,848 SH        DEFINED   1,2,5                   549,848
LADENBURG THALMAN FI  COM        50575Q10       795  1,499,888 SH        DEFINED   1,2                   1,499,888
LADISH INC            COM NEW    50575420     2,042    281,272 SH        DEFINED   1,2,5                   281,272
LAKELAND BANCORP INC  COM        51163710     3,387    421,767 SH        DEFINED   1,2,5                   421,767




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
LAKELAND FINL CORP    COM        51165610   4,876    254,103 SH        DEFINED   1,2                     254,103
LAKES ENTMNT INC      COM        51206P10     127     59,397 SH        DEFINED   1,5                      59,397
LAM RESEARCH CORP     COM        51280710  73,874  3,244,335 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,244,335
LAMAR ADVERTISING CO  CL A       51281510  15,762  1,616,593 SH        DEFINED   1,2,5,6,8,10,12       1,616,593
LAN AIRLINES S A      SPONSORED  50172310  15,403  1,842,495 SH        DEFINED   1,2,5,6,7             1,842,495
LANCASTER COLONY COR  COM        51384710  23,478    565,998 SH        DEFINED   1,2,5                   565,998
LANCE INC             COM        51460610  12,222    587,009 SH        DEFINED   1,2,5,6                 587,009
LANDAUER INC          COM        51476K10  11,037    217,788 SH        DEFINED   1,2,5,6                 217,788
LANDEC CORP           COM        51476610   1,974    354,317 SH        DEFINED   1,2                     354,317
LANDRYS RESTAURANTS   COM        51508L10   1,275    244,334 SH        DEFINED   1,2,5                   244,334
LANDSTAR SYS INC      COM        51509810  36,175  1,080,820 SH        DEFINED   1,2,5,6,10            1,080,820
LAS VEGAS SANDS CORP  COM        51783410   9,090  3,019,938 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,019,938
LASALLE HOTEL PPTYS   COM SH BEN 51794210   8,726  1,494,180 SH        DEFINED   1,2,3,5               1,494,180
LASERCARD CORP        COM        51807U10      26     10,671 SH        DEFINED   1                        10,671
LATTICE SEMICONDUCTO  COM        51841510   2,960  2,145,165 SH        DEFINED   1,2,5,6               2,145,165
LAUDER ESTEE COS INC  CL A       51843910  91,548  3,713,913 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,713,913
LAWSON PRODS INC      COM        52077610   1,210     99,416 SH        DEFINED   1,2,5                    99,416
LAWSON SOFTWARE INC   COM        52078P10  10,273  2,417,188 SH        DEFINED   1,2,5                 2,417,188
LAYNE CHRISTENSEN CO  COM        52105010   6,716    417,893 SH        DEFINED   1,2,5,6                 417,893
LAZARD LTD            SHS A      G5405010  21,708    738,372 SH        DEFINED   1,2,5,10                738,372
LCA-VISION INC        COM PAR $. 50180330     111     38,193 SH        DEFINED   1                        38,193
LEAP WIRELESS INTL I  COM NEW    52186330  20,677    592,979 SH        DEFINED   1,2,5,6,8,10            592,979
LEAPFROG ENTERPRISES  CL A       52186N10     740    536,005 SH        DEFINED   1,2,5,6                 536,005
LEAR CORP             COM        52186510   1,293  1,724,497 SH        DEFINED   1,2,5,6,8             1,724,497
LEARNING TREE INTL I  COM        52201510     909    107,269 SH        DEFINED   1,2                     107,269
LECG CORP             COM        52323410   1,132    445,654 SH        DEFINED   1,2,5                   445,654
LECROY CORP           COM        52324W10      63     19,918 SH        DEFINED   1                        19,918
LEE ENTERPRISES INC   COM        52376810     222    792,556 SH        DEFINED   1,2                     792,556
LEGACY RESERVES LP    UNIT LP IN 52470730     139     15,174 SH        DEFINED   1,2                      15,174
LEGG MASON INC        COM        52490110  99,474  6,256,213 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,256,213
LEGGETT & PLATT INC   COM        52466010 116,398  8,960,572 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,960,572
LENDER PROCESSING SV  COM        52602E10  75,562  2,468,550 SH        DEFINED   1,2,5,6,7,8,10,12     2,468,550
LENNAR CORP           CL A       52605710  50,143  6,676,794 SH        DEFINED   1,2,5,6,8,10,12,13    6,676,794
LENNOX INTL INC       COM        52610710  44,731  1,690,498 SH        DEFINED   1,2,5,10              1,690,498
LEUCADIA NATL CORP    COM        52728810  95,853  6,437,441 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,437,441
LEVEL 3 COMMUNICATIO  COM        52729N10  19,787 21,508,040 SH        DEFINED   1,2,5,6,7,8,10,12,13 21,508,040
LEXICON PHARMACEUTIC  COM        52887210   1,282  1,176,550 SH        DEFINED   1,2,5,6               1,176,550
LEXINGTON REALTY TRU  COM        52904310   6,414  2,694,789 SH        DEFINED   1,2,3,5               2,694,789
LEXMARK INTL NEW      CL A       52977110  70,877  4,201,372 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,201,372
LG DISPLAY CO LTD     SPONS ADR  50186V10     466     45,616 SH        DEFINED   1,2,6                    45,616
LHC GROUP INC         COM        50187A10   6,356    285,276 SH        DEFINED   1,2,5,6                 285,276
LIBBEY INC            COM        52989810     233    253,293 SH        DEFINED   1,2                     253,293
LIBERTY GLOBAL INC    COM SER A  53055510  50,832  3,491,242 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,491,242
LIBERTY GLOBAL INC    COM SER C  53055530  12,197    863,182 SH        DEFINED   1,2,5,6,7,8,10,12,13    863,182
LIBERTY MEDIA CORP N  INT COM SE 53071M10  29,608 10,209,619 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,209,619




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                           
LIBERTY MEDIA CORP N  CAP COM SE 53071M30     7,811  1,119,090 SH        DEFINED   1,2,5,6,7,8,10          1,119,090
LIBERTY MEDIA CORP N  ENT COM SE 53071M50   193,611  9,704,802 SH        DEFINED   1,2,5,6,7,8,10,12,13    9,704,802
LIBERTY MEDIA CORP N  DEB 3.12   530718AF       582    750,000 SH        DEFINED   1                         750,000
LIBERTY PPTY TR       SH BEN INT 53117210    73,346  3,872,545 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  3,872,545
LIFE PARTNERS HOLDIN  COM        53215T10     2,713    159,049 SH        DEFINED   1,2,6                     159,049
LIFE SCIENCES RESH I  COM        53216910       889    125,210 SH        DEFINED   1,2                       125,210
LIFE TECHNOLOGIES CO  COM        53217V10   191,564  5,897,896 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,897,896
LIFE TIME FITNESS IN  COM        53217R20    11,156    888,239 SH        DEFINED   1,2,5,6                   888,239
LIFEPOINT HOSPITALS   NOTE 3.50  53219LAH       355    500,000 SH        DEFINED   1                         500,000
LIFEPOINT HOSPITALS   COM        53219L10    26,192  1,255,612 SH        DEFINED   1,2,5,6,7,10            1,255,612
LIFEWAY FOODS INC     COM        53191410       448     55,943 SH        DEFINED   1,2                        55,943
LIGAND PHARMACEUTICA  CL B       53220K20     5,154  1,729,596 SH        DEFINED   1,2,5,6                 1,729,596
LIGHTPATH TECHNOLOGI  CL A NEW   53225780         6     10,072 SH        DEFINED   1,2                        10,072
LILLY ELI & CO        COM        53245710 1,236,835 37,019,915 SH        DEFINED   1,2,5,6,7,8,10,12,13   37,019,915
LIME ENERGY CO        COM NEW    53261U20        71     18,800 SH        DEFINED   1                          18,800
LIMELIGHT NETWORKS I  COM        53261M10     1,565    467,132 SH        DEFINED   1,2,6                     467,132
LIMITED BRANDS INC    COM        53271610    86,407  9,931,839 SH        DEFINED   1,2,5,6,7,8,10,12,13    9,931,839
LIN TV CORP           CL A       53277410       743    663,579 SH        DEFINED   1,2                       663,579
LINCARE HLDGS INC     COM        53279110    35,359  1,621,981 SH        DEFINED   1,2,5,6,7,8,10,12       1,621,981
LINCOLN EDL SVCS COR  COM        53353510     1,703     92,969 SH        DEFINED   1,2,6                      92,969
LINCOLN ELEC HLDGS I  COM        53390010    27,028    852,886 SH        DEFINED   1,2,5,6,10                852,886
LINCOLN NATL CORP IN  COM        53418710    65,339  9,766,690 SH        DEFINED   1,2,5,6,7,8,10,12,13    9,766,690
LINDSAY CORP          COM        53555510     6,008    222,512 SH        DEFINED   1,2,5,6                   222,512
LINEAR TECHNOLOGY CO  NOTE 3.00  535678AC       414    500,000 SH        DEFINED   1                         500,000
LINEAR TECHNOLOGY CO  COM        53567810   169,356  7,369,701 SH        DEFINED   1,2,5,6,7,8,10,12,13    7,369,701
LINN ENERGY LLC       UNIT LTD L 53602010     2,204    147,896 SH        DEFINED   1,2                       147,896
LIONBRIDGE TECHNOLOG  COM        53625210        48     48,648 SH        DEFINED   1,2                        48,648
LIONS GATE ENTMNT CO  COM NEW    53591920       179     35,466 SH        DEFINED   1,2,6                      35,466
LIQUIDITY SERVICES I  COM        53635B10     1,678    240,070 SH        DEFINED   1,2,6                     240,070
LITHIA MTRS INC       CL A       53679710       140     62,394 SH        DEFINED   1                          62,394
LITTELFUSE INC        COM        53700810     5,850    532,296 SH        DEFINED   1,2,5,6                   532,296
LIVE NATION INC       COM        53803410     4,086  1,530,287 SH        DEFINED   1,2,5,6                 1,530,287
LIVEPERSON INC        COM        53814610        81     35,828 SH        DEFINED   1                          35,828
LIVEWIRE MOBILE INC   COM        53837P10         7     51,117 SH        DEFINED   1                          51,117
LIZ CLAIBORNE INC     COM        53932010     3,311  1,340,594 SH        DEFINED   1,2,5,6,10              1,340,594
LKQ CORP              COM        50188920    39,640  2,777,830 SH        DEFINED   1,2,5,6,10              2,777,830
LLOYDS BANKING GROUP  SPONSORED  53943910       275     68,268 SH        DEFINED   1,2                        68,268
LMI AEROSPACE INC     COM        50207910       942    130,164 SH        DEFINED   1,2,5                     130,164
LOCKHEED MARTIN CORP  COM        53983010 5,167,699 74,861,642 SH        DEFINED   1,2,5,6,7,8,10,12,13   74,861,642
LODGENET INTERACTIVE  COM        54021110        37     23,074 SH        DEFINED   1                          23,074
LODGIAN INC           COM PAR $. 54021P40       644    306,779 SH        DEFINED   1,2                       306,779
LOEWS CORP            COM        54042410   298,489 13,506,279 SH        DEFINED   1,2,5,6,7,8,10,12,13   13,506,279
LOGITECH INTL S A     SHS        H5043023       151     14,714 SH        DEFINED   1                          14,714
LO-JACK CORP          COM        53945110       174     38,398 SH        DEFINED   1                          38,398
LOOPNET INC           COM        54352430     3,610    593,792 SH        DEFINED   1,2,6                     593,792




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
LORAL SPACE & COMMUN  COM        54388110     4,619     216,233 SH        DEFINED   1,2,5                    216,233
LORILLARD INC         COM        54414710   340,341   5,512,486 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,512,486
LOUISIANA PAC CORP    COM        54634710     6,642   2,978,569 SH        DEFINED   1,2,5,6                2,978,569
LOWES COS INC         COM        54866110 2,056,103 112,663,177 SH        DEFINED   1,2,5,6,7,8,10,12,13 112,663,177
LSB INDS INC          COM        50216010     3,137     317,156 SH        DEFINED   1,2                      317,156
LSI CORPORATION       COM        50216110    70,794  23,287,578 SH        DEFINED   1,2,5,6,7,8,10,12,13  23,287,578
LSI INDS INC          COM        50216C10     1,744     337,258 SH        DEFINED   1,2                      337,258
LTC PPTYS INC         COM        50217510     9,242     526,905 SH        DEFINED   1,2,3,5                  526,905
LTX-CREDENCE CORP     COM        50240310       533   1,904,500 SH        DEFINED   1,2                    1,904,500
LUBRIZOL CORP         COM        54927110   116,244   3,417,932 SH        DEFINED   1,2,5,6,10             3,417,932
LUBYS INC             COM        54928210     1,495     304,435 SH        DEFINED   1,2                      304,435
LUCENT TECHNOLOGIES   DBCV 2.87  549463AH       350     750,000 SH        DEFINED   1                        750,000
LUFKIN INDS INC       COM        54976410    11,976     316,148 SH        DEFINED   1,2,5,6                  316,148
LULULEMON ATHLETICA   COM        55002110     2,696     311,301 SH        DEFINED   1,2,5,6                  311,301
LUMBER LIQUIDATORS I  COM        55003Q10     1,524     119,564 SH        DEFINED   1,2,6                    119,564
LUMINEX CORP DEL      COM        55027E10    13,470     743,358 SH        DEFINED   1,2,5,6                  743,358
LUXOTTICA GROUP S P   SPONSORED  55068R20       218      14,128 SH        DEFINED   1                         14,128
LYDALL INC DEL        COM        55081910     2,240     754,180 SH        DEFINED   1,2                      754,180
M & F WORLDWIDE CORP  COM        55254110     3,459     295,373 SH        DEFINED   1,2,5,6                  295,373
M & T BK CORP         COM        55261F10   167,694   3,706,762 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,706,762
M D C HLDGS INC       COM        55267610    47,430   1,523,121 SH        DEFINED   1,2,5,6,7,10           1,523,121
M/I HOMES INC         COM        55305B10     2,373     339,468 SH        DEFINED   1,2                      339,468
MACATAWA BK CORP      COM        55422510        54      14,695 SH        DEFINED   1                         14,695
MACERICH CO           COM        55438210    17,845   2,850,642 SH        DEFINED   1,2,3,5,6,7,8,10,13    2,850,642
MAC-GRAY CORP         COM        55415310        61      11,600 SH        DEFINED   1                         11,600
MACK CALI RLTY CORP   COM        55448910    49,886   2,518,230 SH        DEFINED   1,2,3,5,6,7,10         2,518,230
MACQUARIE INFRASTR C  MEMBERSHIP 55608B10        88      63,477 SH        DEFINED   1,2                       63,477
MACROVISION SOLUTION  COM        55611C10    40,963   2,302,587 SH        DEFINED   1,2,5,6,7              2,302,587
MACYS INC             COM        55616P10   137,537  15,453,642 SH        DEFINED   1,2,5,6,7,8,10,12,13  15,453,642
MADDEN STEVEN LTD     COM        55626910     6,487     345,407 SH        DEFINED   1,2,5                    345,407
MADECO SA             SPONS ADR  55630420       104      21,605 SH        DEFINED   1                         21,605
MAGELLAN HEALTH SVCS  COM NEW    55907920    34,527     947,512 SH        DEFINED   1,2,5,6,8                947,512
MAGELLAN MIDSTREAM H  COM LP INT 55907R10     1,163      66,443 SH        DEFINED   1,2                       66,443
MAGELLAN MIDSTREAM P  COM UNIT R 55908010     2,285      77,805 SH        DEFINED   1,2                       77,805
MAGMA DESIGN AUTOMAT  COM        55918110       486     648,127 SH        DEFINED   1,2                      648,127
MAGNETEK INC          COM        55942410       145      80,710 SH        DEFINED   1,5                       80,710
MAGUIRE PPTYS INC     COM        55977510       558     775,264 SH        DEFINED   1,2,3,5                  775,264
MAGYAR TELEKOM TELEC  SPONSORED  55977610       190      16,695 SH        DEFINED   1                         16,695
MAHANAGAR TEL NIGAM   SPONS ADR  55977840       301     110,392 SH        DEFINED   5,8                      110,392
MAIDEN HOLDINGS LTD   SHS        G5753U11     3,260     729,264 SH        DEFINED   1,2                      729,264
MAIDENFORM BRANDS IN  COM        56030510     5,213     569,061 SH        DEFINED   1,2                      569,061
MAINSOURCE FINANCIAL  COM        56062Y10     3,665     455,816 SH        DEFINED   1,2                      455,816
MAJESCO ENTERTAINMEN  COM NEW    56069020        25      16,900 SH        DEFINED   1                         16,900
MAKO SURGICAL CORP    COM        56087910       133      17,198 SH        DEFINED   1,2                       17,198
MANHATTAN ASSOCS INC  COM        56275010    10,738     619,989 SH        DEFINED   1,2,5,6                  619,989




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
MANITOWOC INC         COM        56357110  12,659  3,871,305 SH        DEFINED   1,2,5,6,10,13         3,871,305
MANNATECH INC         COM        56377110     913    274,276 SH        DEFINED   1,2                     274,276
MANNKIND CORP         COM        56400P20   3,115    895,189 SH        DEFINED   1,2,5,6                 895,189
MANPOWER INC          COM        56418H10  61,570  1,952,742 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,952,742
MANTECH INTL CORP     CL A       56456310  24,563    586,230 SH        DEFINED   1,2,5,6                 586,230
MANULIFE FINL CORP    COM        56501R10   1,554    138,709 SH        DEFINED   1,5,13                  138,709
MAP PHARMACEUTICALS   COM        56509R10     246    117,271 SH        DEFINED   1,2,6                   117,271
MARATHON OIL CORP     COM        56584910 684,624 26,041,223 SH        DEFINED   1,2,5,6,7,8,10,12,13 26,041,223
MARCHEX INC           CL B       56624R10   1,584    460,570 SH        DEFINED   1,2,6                   460,570
MARCUS CORP           COM        56633010   3,913    460,304 SH        DEFINED   1,2,5                   460,304
MARINE PRODS CORP     COM        56842710     824    194,261 SH        DEFINED   1,2,5                   194,261
MARINEMAX INC         COM        56790810     597    304,789 SH        DEFINED   1,2                     304,789
MARINER ENERGY INC    COM        56845T30  13,875  1,790,334 SH        DEFINED   1,2,5,6,10            1,790,334
MARKEL CORP           COM        57053510  34,280    120,757 SH        DEFINED   1,2,5,6,8,10,12         120,757
MARKET LEADER INC     COM        57056R10      21     14,200 SH        DEFINED   1                        14,200
MARKETAXESS HLDGS IN  COM        57060D10   4,460    583,758 SH        DEFINED   1,2,6                   583,758
MARKWEST ENERGY PART  UNIT LTD P 57075910     725     62,554 SH        DEFINED   1,2                      62,554
MARRIOTT INTL INC NE  CL A       57190320 174,007 10,636,113 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,636,113
MARSH & MCLENNAN COS  COM        57174810 378,709 18,701,657 SH        DEFINED   1,2,5,6,7,8,10,12,13 18,701,657
MARSHALL & ILSLEY CO  COM        57183710  64,691 11,490,320 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,490,320
MARSHALL EDWARDS INC  COM        57232230      64    161,058 SH        DEFINED   1,2                     161,058
MARTEK BIOSCIENCES C  COM        57290110  41,057  2,249,723 SH        DEFINED   1,2,5,6,7,8           2,249,723
MARTEN TRANS LTD      COM        57307510   6,792    363,624 SH        DEFINED   1,2,6                   363,624
MARTHA STEWART LIVIN  CL A       57308310   1,023    410,858 SH        DEFINED   1,2,5,6                 410,858
MARTIN MARIETTA MATL  COM        57328410  73,706    929,457 SH        DEFINED   1,2,5,6,7,8,10,12,13    929,457
MARVEL ENTERTAINMENT  COM        57383T10  39,031  1,470,076 SH        DEFINED   1,2,5,6               1,470,076
MARVELL TECHNOLOGY G  ORD        G5876H10  58,009  6,332,871 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,332,871
MASCO CORP            COM        57459910 111,509 15,975,440 SH        DEFINED   1,2,5,6,7,8,10,12,13 15,975,440
MASIMO CORP           COM        57479510  36,803  1,269,928 SH        DEFINED   1,2,5,6               1,269,928
MASSEY ENERGY CORP    COM        57620610  54,193  5,355,015 SH        DEFINED   1,2,5,6,7,8,10,13     5,355,015
MASTEC INC            COM        57632310  10,040    830,430 SH        DEFINED   1,2,5                   830,430
MASTECH HOLDINGS INC  COM        57633B10      23     11,665 SH        DEFINED   1,6                      11,665
MASTERCARD INC        CL A       57636Q10 408,928  2,441,652 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,441,652
MATERIAL SCIENCES CO  COM        57667410       9     16,618 SH        DEFINED   1                        16,618
MATRIX SVC CO         COM        57685310   4,223    513,748 SH        DEFINED   1,2,5,6                 513,748
MATRIXX INITIATIVES   COM        57685L10     272     16,595 SH        DEFINED   1,2                      16,595
MATTEL INC            COM        57708110 131,741 11,425,889 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,425,889
MATTHEWS INTL CORP    CL A       57712810  25,487    884,665 SH        DEFINED   1,2,5,6                 884,665
MATTSON TECHNOLOGY I  COM        57722310     749    890,349 SH        DEFINED   1,2,6                   890,349
MAUI LD & PINEAPPLE   COM        57734510     635     74,814 SH        DEFINED   1,2                      74,814
MAX CAPITAL GROUP LT  SHS        G6052F10  17,525  1,016,558 SH        DEFINED   1,2,5                 1,016,558
MAXIM INTEGRATED PRO  COM        57772K10   8,531    645,830 SH        DEFINED   1,2,5                   645,830
MAXIMUS INC           COM        57793310  18,524    464,738 SH        DEFINED   1,2,5,7,8               464,738
MAXWELL TECHNOLOGIES  COM        57776710   1,986    285,806 SH        DEFINED   1,2                     285,806
MAXYGEN INC           COM        57777610   4,550    669,159 SH        DEFINED   1,2                     669,159




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
MB FINANCIAL INC NEW  COM        55264U10    19,108  1,404,970 SH        DEFINED   1,2,5                 1,404,970
MBIA INC              COM        55262C10    33,713  7,360,843 SH        DEFINED   1,2,5,6,8,10,12,13    7,360,843
MBT FINL CORP         COM        57887710        30     15,967 SH        DEFINED   1                        15,967
MCAFEE INC            COM        57906410   168,790  5,038,498 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,038,498
MCCLATCHY CO          CL A       57948910       526  1,072,929 SH        DEFINED   1,2,5,6,13            1,072,929
MCCORMICK & CO INC    COM NON VT 57978020   122,940  4,157,594 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,157,594
MCCORMICK & SCHMICKS  COM        57979310        56     14,300 SH        DEFINED   1                        14,300
MCDERMOTT INTL INC    COM        58003710    51,838  3,871,368 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,871,368
MCDONALDS CORP        COM        58013510 2,460,407 45,087,171 SH        DEFINED   1,2,5,6,7,8,10,12,13 45,087,171
MCG CAPITAL CORP      COM        58047P10     1,880  1,468,661 SH        DEFINED   1,2,5                 1,468,661
MCGRATH RENTCORP      COM        58058910     7,767    492,808 SH        DEFINED   1,2,5,6                 492,808
MCGRAW HILL COS INC   COM        58064510   241,680 10,567,562 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,567,562
MCKESSON CORP         COM        58155Q10   350,900 10,014,262 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,014,262
MCMORAN EXPLORATION   COM        58241110     7,159  1,523,288 SH        DEFINED   1,2,5,6               1,523,288
MDRNA INC             COM        55276N10        15     24,173 SH        DEFINED   1                        24,173
MDS INC               COM        55269P30        64     13,465 SH        DEFINED   1,2                      13,465
MDU RES GROUP INC     COM        55269010    72,924  4,518,201 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,518,201
MEAD JOHNSON NUTRITI  COM CL A   58283910     1,536     53,209 SH        DEFINED   1,2,10                   53,209
MEADOWBROOK INS GROU  COM        58319P10     6,062    993,826 SH        DEFINED   1,2                     993,826
MEADWESTVACO CORP     COM        58333410   106,630  8,893,205 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,893,205
MEASUREMENT SPECIALT  COM        58342110     1,146    280,123 SH        DEFINED   1,2                     280,123
MECHEL OAO            SPONSORED  58384010     2,297    550,859 SH        DEFINED   1,2,4,5,6,7,10          550,859
MEDALLION FINL CORP   COM        58392810     1,734    234,069 SH        DEFINED   1,2                     234,069
MEDAREX INC           COM        58391610    13,936  2,716,627 SH        DEFINED   1,2,5,6,8             2,716,627
MEDASSETS INC         COM        58404510     5,193    364,396 SH        DEFINED   1,2,5,6                 364,396
MEDCATH CORP          COM        58404W10     2,726    374,904 SH        DEFINED   1,2,5,6                 374,904
MEDCO HEALTH SOLUTIO  COM        58405U10   679,554 16,438,181 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,438,181
MEDIA GEN INC         CL A       58440410       752    391,803 SH        DEFINED   1,2,5                   391,803
MEDIACOM COMMUNICATI  CL A       58446K10     5,548  1,376,641 SH        DEFINED   1,2,5,6               1,376,641
MEDICAL ACTION INDS   COM        58449L10     2,171    261,884 SH        DEFINED   1,2                     261,884
MEDICAL PPTYS TRUST   COM        58463J30     7,132  1,954,015 SH        DEFINED   1,2,3,5               1,954,015
MEDICINES CO          COM        58468810    12,515  1,154,561 SH        DEFINED   1,2,5,6               1,154,561
MEDICIS PHARMACEUTIC  CL A NEW   58469030    22,762  1,840,127 SH        DEFINED   1,2,5,6               1,840,127
MEDIS TECHNOLOGIES L  COM        58500P10       177    401,762 SH        DEFINED   1,2                     401,762
MEDIVATION INC        COM        58501N10     8,488    464,570 SH        DEFINED   1,2,5,6                 464,570
MEDNAX INC            COM        58502B10    18,691    634,234 SH        DEFINED   1,2,5,6,10              634,234
MEDTRONIC INC         NOTE 1.50  585055AL       941  1,000,000 SH        DEFINED   1                     1,000,000
MEDTRONIC INC         NOTE 1.62  585055AM       663    750,000 SH        DEFINED   1                       750,000
MEDTRONIC INC         COM        58505510 1,104,819 37,489,632 SH        DEFINED   1,2,5,6,7,8,10,12,13 37,489,632
MELCO CROWN ENTMT LT  ADR        58546410       215     65,473 SH        DEFINED   1,5,6                    65,473
MELLANOX TECHNOLOGIE  SHS        M5136311       231     27,694 SH        DEFINED   2                        27,694
MEMC ELECTR MATLS IN  COM        55271510   118,470  7,184,371 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,184,371
MENS WEARHOUSE INC    COM        58711810    23,647  1,561,858 SH        DEFINED   1,2,5,6               1,561,858
MENTOR GRAPHICS CORP  COM        58720010    11,462  2,581,536 SH        DEFINED   1,2,5                 2,581,536
MERCADOLIBRE INC      COM        58733R10     7,733    416,890 SH        DEFINED   1,2,5,6,8               416,890




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
MERCER INTL INC       COM        58805610       320     484,603 SH        DEFINED   1,2                      484,603
MERCK & CO INC        COM        58933110 2,159,645  80,734,386 SH        DEFINED   1,2,5,6,7,8,10,12,13  80,734,386
MERCURY COMPUTER SYS  COM        58937810     2,419     437,442 SH        DEFINED   1,2                      437,442
MERCURY GENL CORP NE  COM        58940010    30,632   1,031,382 SH        DEFINED   1,2,5,6,8,10,12        1,031,382
MEREDITH CORP         COM        58943310    18,416   1,106,720 SH        DEFINED   1,2,5,6,10,13          1,106,720
MERGE HEALTHCARE INC  COM        58949910        54      39,357 SH        DEFINED   1                         39,357
MERIDIAN BIOSCIENCE   COM        58958410    15,075     831,957 SH        DEFINED   1,2,5,6                  831,957
MERIDIAN INTERSTAT B  COM        58964Q10     1,149     136,501 SH        DEFINED   1,2,6                    136,501
MERIDIAN RESOURCE CO  COM        58977Q10       325   1,548,479 SH        DEFINED   1,2                    1,548,479
MERIT MED SYS INC     COM        58988910     7,148     585,396 SH        DEFINED   1,2,5,6                  585,396
MERITAGE HOMES CORP   COM        59001A10     8,816     771,983 SH        DEFINED   1,2,5,6                  771,983
MERIX CORP            COM        59004910         9      32,009 SH        DEFINED   1                         32,009
MERUELO MADDUX PROPE  COM        59047310        51     703,975 SH        DEFINED   1,2                      703,975
MESA AIR GROUP INC    COM        59047910         3      25,218 SH        DEFINED   1                         25,218
MET PRO CORP          COM        59087630     1,773     217,592 SH        DEFINED   1,2                      217,592
METABOLIX INC         COM        59101880     2,122     311,201 SH        DEFINED   1,2                      311,201
METALICO INC          COM        59117610       617     362,685 SH        DEFINED   1,2,6                    362,685
METAVANTE TECHNOLOGI  COM        59140710    39,746   1,991,262 SH        DEFINED   1,2,5,6,8,10,12        1,991,262
METHODE ELECTRS INC   COM        59152020     5,882   1,643,142 SH        DEFINED   1,2,5                  1,643,142
METLIFE INC           COM        59156R10   675,293  29,657,136 SH        DEFINED   1,2,5,6,7,8,10,12,13  29,657,136
METROCORP BANCSHARES  COM        59165010        28      10,154 SH        DEFINED   1                         10,154
METROPCS COMMUNICATI  COM        59170810    55,331   3,239,518 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,239,518
METROPOLITAN HEALTH   COM        59214210        62      42,208 SH        DEFINED   1,5                       42,208
METTLER TOLEDO INTER  COM        59268810    36,977     720,373 SH        DEFINED   1,2,5,6,10               720,373
MF GLOBAL LTD         SHS        G6064210     4,398   1,039,689 SH        DEFINED   1,2,5,7,10             1,039,689
MFA FINANCIAL INC     COM        55272X10    29,055   4,941,335 SH        DEFINED   1,2,5                  4,941,335
MGE ENERGY INC        COM        55277P10    14,372     458,146 SH        DEFINED   1,2,5                    458,146
MGIC INVT CORP WIS    COM        55284810     3,233   2,276,763 SH        DEFINED   1,2,5,6,10             2,276,763
MGM MIRAGE            COM        55295310     4,364   1,873,008 SH        DEFINED   1,2,5,6,7,8,10,12,13   1,873,008
MICREL INC            COM        59479310    10,906   1,549,095 SH        DEFINED   1,2,5,6                1,549,095
MICROCHIP TECHNOLOGY  COM        59501710   125,648   5,929,573 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,929,573
MICROMET INC          COM        59509C10       131      41,459 SH        DEFINED   1,2                       41,459
MICRON TECHNOLOGY IN  NOTE 1.87  595112AH       228     500,000 SH        DEFINED   1                        500,000
MICRON TECHNOLOGY IN  COM        59511210   120,457  29,669,175 SH        DEFINED   1,2,5,6,7,8,10,12,13  29,669,175
MICRONETICS INC DEL   COM        59512510        24      10,033 SH        DEFINED   1                         10,033
MICROS SYS INC        COM        59490110    33,205   1,770,926 SH        DEFINED   1,2,5,6                1,770,926
MICROSEMI CORP        COM        59513710    22,974   1,980,475 SH        DEFINED   1,2,5,6                1,980,475
MICROSOFT CORP        COM        59491810 4,925,536 268,129,319 SH        DEFINED   1,2,5,6,7,8,10,12,13 268,129,319
MICROSTRATEGY INC     CL A NEW   59497240     7,430     217,319 SH        DEFINED   1,2,5,6                  217,319
MICROTUNE INC DEL     COM        59514P10     1,603     881,013 SH        DEFINED   1,2,5                    881,013
MICROVISION INC DEL   COM        59496010     1,188     921,176 SH        DEFINED   1,2                      921,176
MICRUS ENDOVASCULAR   COM        59518V10     1,334     223,376 SH        DEFINED   1,2,5                    223,376
MID-AMER APT CMNTYS   COM        59522J10    33,964   1,101,641 SH        DEFINED   1,2,3,5                1,101,641
MIDAS GROUP INC       COM        59562610     2,423     305,895 SH        DEFINED   1,2                      305,895
MIDCAP SPDR TR        UNIT SER 1 59563510       974      11,000 SH        DEFINED   2                         11,000




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- --------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                          
MIDDLEBROOK PHARMACE  COM       59608710       696     511,834 SH        DEFINED   1,2                      511,834
MIDDLEBY CORP         COM       59627810    10,344     318,977 SH        DEFINED   1,2,5,6                  318,977
MIDDLESEX WATER CO    COM       59668010     3,458     240,140 SH        DEFINED   1,2,5                    240,140
MIDWEST BANC HOLDING  COM       59825110       396     392,572 SH        DEFINED   1,2                      392,572
MILLER HERMAN INC     COM       60054410    20,901   1,960,704 SH        DEFINED   1,2,5,6,8              1,960,704
MILLICOM INTL CELLUL  SHS NEW   L6388F11     5,359     144,673 SH        DEFINED   1,2,5,6,8,12             144,673
MILLIPORE CORP        COM       60107310   105,158   1,831,697 SH        DEFINED   1,2,5,6,7,8,10,12,13   1,831,697
MINDRAY MEDICAL INTL  SPON ADR  60267510       405      21,868 SH        DEFINED   1,2,6                     21,868
MINDSPEED TECHNOLOGI  COM NEW   60268220        24      19,416 SH        DEFINED   1                         19,416
MINE SAFETY APPLIANC  COM       60272010    18,948     946,457 SH        DEFINED   1,2,5,6                  946,457
MINERALS TECHNOLOGIE  COM       60315810    21,902     683,362 SH        DEFINED   1,2,5                    683,362
MIPS TECHNOLOGIES IN  COM       60456710     2,324     793,311 SH        DEFINED   1,2                      793,311
MIRANT CORP NEW       COM       60467R10    29,509   2,588,466 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,588,466
MISSION WEST PPTYS I  COM       60520310     2,484     388,147 SH        DEFINED   1,2,3,5                  388,147
MITCHAM INDS INC      COM       60650110       428     112,387 SH        DEFINED   1,2                      112,387
MITSUBISHI UFJ FINL   SPONSORED 60682210     1,872     380,459 SH        DEFINED   1,2                      380,459
MITSUI & CO LTD       ADR       60682720       766       3,786 SH        DEFINED   1,2                        3,786
MIVA INC              COM       55311R10         7      29,129 SH        DEFINED   1                         29,129
MIZUHO FINL GROUP IN  SPONSORED 60687Y10       156      39,770 SH        DEFINED   1                         39,770
MKS INSTRUMENT INC    COM       55306N10    19,357   1,319,481 SH        DEFINED   1,2,5                  1,319,481
MOBILE MINI INC       COM       60740F10     7,692     667,683 SH        DEFINED   1,2,5,6                  667,683
MOBILE TELESYSTEMS O  SPONSORED 60740910    51,244   1,712,712 SH        DEFINED   1,2,4,5,6,7,8,10       1,712,712
MODINE MFG CO         COM       60782810     1,527     610,956 SH        DEFINED   1,2,5                    610,956
MODUSLINK GLOBAL SOL  COM       60786L10     2,152     830,897 SH        DEFINED   1,2,5                    830,897
MOHAWK INDS INC       COM       60819010    64,872   2,171,798 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,171,798
MOLECULAR INSIGHT PH  COM       60852M10       818     229,889 SH        DEFINED   1,2                      229,889
MOLEX INC             COM       60855410    55,166   4,014,966 SH        DEFINED   1,2,5,6,8,10,12,13     4,014,966
MOLEX INC             CL A      60855420     1,620     128,142 SH        DEFINED   1,2,5,6,8,12             128,142
MOLINA HEALTHCARE IN  COM       60855R10     6,577     345,781 SH        DEFINED   1,2,5                    345,781
MOLSON COORS BREWING  NOTE 2.50 60871RAA       305     300,000 SH        DEFINED   1                        300,000
MOLSON COORS BREWING  CL B      60871R20   164,752   4,806,068 SH        DEFINED   1,2,5,6,7,8,10,12,13   4,806,068
MOMENTA PHARMACEUTIC  COM       60877T10     6,375     578,984 SH        DEFINED   1,2,5,6                  578,984
MONARCH CASINO & RES  COM       60902710     1,086     210,414 SH        DEFINED   1,2,6                    210,414
MONEYGRAM INTL INC    COM       60935Y10       187     158,207 SH        DEFINED   1,2,6                    158,207
MONMOUTH REAL ESTATE  CL A      60972010     2,256     341,275 SH        DEFINED   1,2,3                    341,275
MONOGRAM BIOSCIENCES  COM NEW   60975U20        79      31,261 SH        DEFINED   1                         31,261
MONOLITHIC PWR SYS I  COM       60983910     6,832     440,761 SH        DEFINED   1,2,5,6                  440,761
MONOTYPE IMAGING HOL  COM       61022P10     1,896     506,865 SH        DEFINED   1,2,6                    506,865
MONRO MUFFLER BRAKE   COM       61023610     8,829     323,046 SH        DEFINED   1,2,5                    323,046
MONSANTO CO NEW       COM       61166W10 1,605,464  19,319,669 SH        DEFINED   1,2,5,6,7,8,10,12,13  19,319,669
MONSTER WORLDWIDE IN  COM       61174210    30,507   3,743,249 SH        DEFINED   1,2,5,6,8,10,13        3,743,249
MONTPELIER RE HOLDIN  SHS       G6218510    25,023   1,930,758 SH        DEFINED   1,2,5                  1,930,758
MOODYS CORP           COM       61536910   168,255   7,340,958 SH        DEFINED   1,2,5,6,7,8,10,12,13   7,340,958
MOOG INC              CL A      61539420    20,560     898,976 SH        DEFINED   1,2,5                    898,976
MORGAN STANLEY        COM NEW   61744644 3,199,830 140,528,326 SH        DEFINED   1,2,5,6,7,8,10,12,13 140,528,326




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
MORGANS HOTEL GROUP   COM        61748W10   1,328    426,978 SH        DEFINED   1,2,5,6                 426,978
MORNINGSTAR INC       COM        61770010   5,213    152,657 SH        DEFINED   1,2,5,6,10              152,657
MORTONS RESTAURANT G  COM        61943010      32     12,014 SH        DEFINED   1                        12,014
MOSAIC CO             COM        61945A10 109,428  2,606,661 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,606,661
MOSYS INC             COM        61971810      57     31,222 SH        DEFINED   1                        31,222
MOTOROLA INC          COM        62007610 310,943 73,509,035 SH        DEFINED   1,2,5,6,7,8,10,12,13 73,509,035
MOVADO GROUP INC      COM        62458010   2,625    348,184 SH        DEFINED   1,2,5                   348,184
MOVE INC COM          COM        62458M10   3,639  2,509,393 SH        DEFINED   1,2,5,6               2,509,393
MPS GROUP INC         COM        55340910  17,746  2,982,517 SH        DEFINED   1,2,5                 2,982,517
MRV COMMUNICATIONS I  COM        55347710     788  2,540,591 SH        DEFINED   1,2,5                 2,540,591
MSC INDL DIRECT INC   CL A       55353010  27,869    896,973 SH        DEFINED   1,2,5,6,10              896,973
MSC SOFTWARE CORP     COM        55353110   4,622    819,459 SH        DEFINED   1,2,5,6                 819,459
MSCI INC              CL A       55354G10   9,311    550,626 SH        DEFINED   1,2,5,6,10              550,626
MTR GAMING GROUP INC  COM        55376910      14     15,468 SH        DEFINED   1,6                      15,468
MTS SYS CORP          COM        55377710   8,726    383,564 SH        DEFINED   1,2,5,6                 383,564
MUELLER INDS INC      COM        62475610  18,748    864,370 SH        DEFINED   1,2,5                   864,370
MUELLER WTR PRODS IN  COM SER A  62475810   8,316  2,520,004 SH        DEFINED   1,2,5,6               2,520,004
MULTI COLOR CORP      COM        62538310   2,103    171,974 SH        DEFINED   1,2                     171,974
MULTI FINELINE ELECT  COM        62541B10   3,799    225,619 SH        DEFINED   1,2,5,6                 225,619
MULTIMEDIA GAMES INC  COM        62545310     277    128,995 SH        DEFINED   1                       128,995
MURPHY OIL CORP       COM        62671710 318,690  7,118,381 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,118,381
MVC CAPITAL INC       COM        55382910   3,558    423,059 SH        DEFINED   1,2                     423,059
MWI VETERINARY SUPPL  COM        55402X10   5,270    185,050 SH        DEFINED   1,2,6                   185,050
MYERS INDS INC        COM        62846410   3,542    576,798 SH        DEFINED   1,2,5,6                 576,798
MYLAN INC             NOTE 1.25  628530AG   2,755    500,000 SH        DEFINED   1                       500,000
MYLAN INC             COM        62853010 143,332 10,688,464 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,688,464
MYLAN INC             PFD CONV   62853020     345        400 SH        DEFINED   1                           400
MYR GROUP INC DEL     COM        55405W10     282     18,460 SH        DEFINED   1,2                      18,460
MYRIAD GENETICS INC   COM        62855J10 129,926  2,857,398 SH        DEFINED   1,2,5,6,7             2,857,398
NABI BIOPHARMACEUTIC  COM        62951910   4,116  1,112,504 SH        DEFINED   1,2,5                 1,112,504
NABORS INDS INC       NOTE 0.94  629568AP     885  1,000,000 SH        DEFINED   1                     1,000,000
NABORS INDUSTRIES LT  SHS        G6359F10 115,551 11,566,707 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,566,707
NACCO INDS INC        CL A       62957910   3,112    114,497 SH        DEFINED   1,2,5                   114,497
NALCO HOLDING COMPAN  COM        62985Q10  20,852  1,595,378 SH        DEFINED   1,2,5,6,8,10          1,595,378
NAM TAI ELECTRS INC   COM PAR $0 62986520     318     85,519 SH        DEFINED   1,5,6                    85,519
NANOGEN INC           COM        63007510       3     45,403 SH        DEFINED   1                        45,403
NANOPHASE TCHNOLOGIE  COM        63007910      14     15,558 SH        DEFINED   1                        15,558
NANOSPHERE INC        COM        63009F10     985    198,140 SH        DEFINED   1,2                     198,140
NAPCO SEC TECHNOLOGI  COM        63040210      16     14,409 SH        DEFINED   1                        14,409
NARA BANCORP INC      COM        63080P10   1,344    457,244 SH        DEFINED   1,2,5                   457,244
NASB FINL INC         COM        62896810   1,743     69,970 SH        DEFINED   1,2                      69,970
NASDAQ OMX GROUP INC  COM        63110310  98,471  5,029,173 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,029,173
NASH FINCH CO         COM        63115810  14,386    512,151 SH        DEFINED   1,2,5,7,8               512,151
NATCO GROUP INC       CL A       63227W20   6,967    368,040 SH        DEFINED   1,2,5,6                 368,040
NATIONAL BEVERAGE CO  COM        63501710   1,824    198,926 SH        DEFINED   1,2                     198,926




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
NATIONAL BK GREECE S  SPONSORED  63364340   1,526    495,563 SH        DEFINED                    1,2    495,563
NATIONAL CINEMEDIA I  COM        63530910   9,782    742,212 SH        DEFINED                1,2,5,6    742,212
NATIONAL CITY CORP    NOTE 4.00  635405AW     456    500,000 SH        DEFINED                      1    500,000
NATIONAL COAL CORP    COM NEW    63238120     480    352,988 SH        DEFINED                    1,2    352,988
NATIONAL FINL PARTNE  COM        63607P20   2,792    872,463 SH        DEFINED                  1,2,5    872,463
NATIONAL FUEL GAS CO  COM        63618010  53,124  1,732,108 SH        DEFINED             1,2,5,6,10  1,732,108
NATIONAL GRID PLC     SPON ADR N 63627430     492     12,724 SH        DEFINED                      1     12,724
NATIONAL HEALTH INVS  COM        63633D10  12,342    459,334 SH        DEFINED                1,2,3,5    459,334
NATIONAL HEALTHCARE   COM        63590610   6,027    150,101 SH        DEFINED              1,2,3,5,6    150,101
NATIONAL INSTRS CORP  COM        63651810  21,981  1,178,612 SH        DEFINED             1,2,5,6,10  1,178,612
NATIONAL INTERSTATE   COM        63654U10   2,087    123,395 SH        DEFINED                  1,2,5    123,395
NATIONAL OILWELL VAR  COM        63707110 467,971 16,299,942 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,299,942
NATIONAL PENN BANCSH  COM        63713810  39,241  4,727,817 SH        DEFINED                  1,2,5  4,727,817
NATIONAL PRESTO INDS  COM        63721510   7,699    126,190 SH        DEFINED                  1,2,5    126,190
NATIONAL RESEARCH CO  COM        63737210     455     18,324 SH        DEFINED                    1,2     18,324
NATIONAL RETAIL PROP  COM        63741710  32,159  2,030,234 SH        DEFINED              1,2,3,5,6  2,030,234
NATIONAL SEMICONDUCT  COM        63764010  84,735  8,250,749 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,250,749
NATIONAL WESTN LIFE   CL A       63852210   4,913     43,476 SH        DEFINED                    1,2     43,476
NATIONWIDE HEALTH PP  COM        63862010  76,471  3,446,185 SH        DEFINED           1,2,3,5,6,10  3,446,185
NATURAL GAS SERVICES  COM        63886Q10   1,759    195,487 SH        DEFINED                    1,2    195,487
NATURAL RESOURCE PAR  COM UNIT L 63900P10     919     41,164 SH        DEFINED                    1,2     41,164
NATUS MEDICAL INC DE  COM        63905010   4,355    511,727 SH        DEFINED                1,2,5,6    511,727
NAUTILUS INC          COM        63910B10     309    491,025 SH        DEFINED                    1,2    491,025
NAVARRE CORP          COM        63920810      13     30,537 SH        DEFINED                      1     30,537
NAVIGANT CONSULTING   COM        63935N10  19,697  1,507,012 SH        DEFINED                1,2,5,6  1,507,012
NAVIGATORS GROUP INC  COM        63890410  12,836    272,057 SH        DEFINED                1,2,5,6    272,057
NAVIOS MARITIME PART  UNIT LPI   Y6226710      85     10,100 SH        DEFINED                      1     10,100
NAVISITE INC          COM NEW    63935M20      23     58,020 SH        DEFINED                      1     58,020
NAVISTAR INTL CORP N  COM        63934E10  15,028    449,135 SH        DEFINED         1,2,5,6,7,8,10    449,135
NBT BANCORP INC       COM        62877810  16,687    771,101 SH        DEFINED                  1,2,5    771,101
NBTY INC              COM        62878210  15,208  1,080,125 SH        DEFINED             1,2,5,6,10  1,080,125
NCI BUILDING SYS INC  COM        62885210   1,104    497,168 SH        DEFINED                  1,2,5    497,168
NCI INC               CL A       62886K10   2,893    111,253 SH        DEFINED                  1,2,6    111,253
NCR CORP NEW          COM        62886E10  28,871  3,631,626 SH        DEFINED        1,2,5,6,8,10,12  3,631,626
NEENAH PAPER INC      COM        64007910   1,210    333,437 SH        DEFINED                  1,2,5    333,437
NEKTAR THERAPEUTICS   COM        64026810   9,941  1,844,373 SH        DEFINED                1,2,5,6  1,844,373
NELNET INC            CL A       64031N10   4,297    486,032 SH        DEFINED                  1,2,5    486,032
NEOGEN CORP           COM        64049110   5,872    268,970 SH        DEFINED                  1,2,6    268,970
NESS TECHNOLOGIES IN  COM        64104X10   1,963    665,443 SH        DEFINED                  1,2,6    665,443
NET 1 UEPS TECHNOLOG  COM NEW    64107N20  13,291    873,843 SH        DEFINED                1,2,5,6    873,843
NET SERVICOS DE COMU  SPONSD ADR 64109T20     342     47,146 SH        DEFINED                    1,6     47,146
NETAPP INC            COM        64110D10 159,612 10,755,517 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,755,517
NETEASE COM INC       SPONSORED  64110W10   3,883    144,620 SH        DEFINED                  1,2,6    144,620
NETEZZA CORP          COM        64111N10   4,516    662,215 SH        DEFINED                  1,2,6    662,215
NETFLIX INC           COM        64110L10  67,997  1,584,284 SH        DEFINED            1,2,5,6,7,8  1,584,284




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
NETGEAR INC           COM        64111Q10   9,204    763,813 SH        DEFINED   1,2,5,6                 763,813
NETLOGIC MICROSYSTEM  COM        64118B10   8,224    299,256 SH        DEFINED   1,2,5,6                 299,256
NETSCOUT SYS INC      COM        64115T10   3,997    558,298 SH        DEFINED   1,2,6                   558,298
NETSUITE INC          COM        64118Q10   1,342    119,157 SH        DEFINED   1,2,5,6                 119,157
NETWORK ENGINES INC   COM        64121A10       9     17,657 SH        DEFINED   1                        17,657
NETWORK EQUIP TECHNO  COM        64120810     206     58,138 SH        DEFINED   1,5                      58,138
NEUROCRINE BIOSCIENC  COM        64125C10   2,805    790,083 SH        DEFINED   1,2,6                   790,083
NEUROGEN CORP         COM        64124E10       5     20,334 SH        DEFINED   1                        20,334
NEUSTAR INC           CL A       64126X20  25,895  1,545,950 SH        DEFINED   1,2,5,6,10            1,545,950
NEUTRAL TANDEM INC    COM        64128B10   7,703    312,994 SH        DEFINED   1,2,5,6                 312,994
NEVADA GOLD & CASINO  COM NEW    64126Q20      27     34,000 SH        DEFINED   1                        34,000
NEW FRONTIER MEDIA I  COM        64439810      42     25,324 SH        DEFINED   1                        25,324
NEW JERSEY RES        COM        64602510  32,169    946,709 SH        DEFINED   1,2,5                   946,709
NEW MOTION INC        COM        64754V10      13     10,587 SH        DEFINED   1                        10,587
NEW ORIENTAL ED & TE  SPON ADR   64758110   8,161    162,407 SH        DEFINED   1,2,6,7                 162,407
NEW YORK & CO INC     COM        64929510   2,964    834,890 SH        DEFINED   1,2,5                   834,890
NEW YORK CMNTY BANCO  COM        64944510 111,689  9,999,007 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,999,007
NEW YORK TIMES CO     CL A       65011110  17,164  3,797,318 SH        DEFINED   1,2,5,6,8,10,12,13    3,797,318
NEWALLIANCE BANCSHAR  COM        65020310  39,778  3,388,272 SH        DEFINED   1,2,5,6               3,388,272
NEWBRIDGE BANCORP     COM        65080T10      43     20,558 SH        DEFINED   1                        20,558
NEWCASTLE INVT CORP   COM        65105M10     625    960,978 SH        DEFINED   1,2,5                   960,978
NEWELL RUBBERMAID IN  COM        65122910  57,928  9,079,696 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,079,696
NEWFIELD EXPL CO      COM        65129010  78,157  3,443,021 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,443,021
NEWMARKET CORP        COM        65158710  11,300    255,077 SH        DEFINED   1,2,5,6                 255,077
NEWMONT MINING CORP   COM        65163910 754,492 16,856,392 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,856,392
NEWPARK RES INC       COM PAR $. 65171850   4,545  1,796,332 SH        DEFINED   1,2,5,6               1,796,332
NEWPORT CORP          COM        65182410   3,349    757,770 SH        DEFINED   1,2,5,6                 757,770
NEWS CORP             CL A       65248E10 473,903 71,586,617 SH        DEFINED   1,2,5,6,7,8,10,12,13 71,586,617
NEWS CORP             CL B       65248E20  18,330  2,380,475 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,380,475
NEWSTAR FINANCIAL IN  COM        65251F10   1,041    448,817 SH        DEFINED   1,2                     448,817
NEXSTAR BROADCASTING  CL A       65336K10       7     10,746 SH        DEFINED   1                        10,746
NEXTEL COMMUNICATION  NOTE 5.25  65332VAY     482    500,000 SH        DEFINED   1                       500,000
NEXTWAVE WIRELESS IN  COM        65337Y10      89    553,561 SH        DEFINED   1,2                     553,561
NGAS RESOURCES INC    COM        62912T10      39     32,360 SH        DEFINED   1,5                      32,360
NGP CAP RES CO        COM        62912R10   1,886    379,474 SH        DEFINED   1,2                     379,474
NIC INC               COM        62914B10   3,937    757,140 SH        DEFINED   1,2,6                   757,140
NICOR INC             COM        65408610  65,324  1,965,826 SH        DEFINED   1,2,5,6,8,10,13       1,965,826
NIGHTHAWK RADIOLOGY   COM        65411N10   1,548    573,380 SH        DEFINED   1,2,5                   573,380
NII HLDGS INC         NOTE 3.12  62913FAJ     139    200,000 SH        DEFINED   1                       200,000
NII HLDGS INC         CL B NEW   62913F20  38,438  2,562,551 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,562,551
NIKE INC              CL B       65410610 564,391 12,036,484 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,036,484
NIPPON TELEG & TEL C  SPONSORED  65462410     285     14,988 SH        DEFINED   1                        14,988
NISOURCE INC          COM        65473P10 112,942 11,524,644 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,524,644
NISSAN MOTORS         SPONSORED  65474440     521     71,876 SH        DEFINED   1,2                      71,876
NITROMED INC          COM        65479850      13     17,419 SH        DEFINED   1                        17,419




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
NL INDS INC           COM NEW    62915640     1,328    132,760 SH        DEFINED   1,2,5                   132,760
NMT MED INC           COM        62929410        12     15,242 SH        DEFINED   1                        15,242
NN INC                COM        62933710       814    646,007 SH        DEFINED   1,2                     646,007
NOBLE CORPORATION     SHS        G6542210     1,243     51,616 SH        DEFINED   1,5,8                    51,616
NOBLE ENERGY INC      COM        65504410   357,601  6,636,983 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,636,983
NOKIA CORP            SPONSORED  65490220     4,048    346,850 SH        DEFINED   1,2                     346,850
NOMURA HLDGS INC      SPONSORED  65535H20       384     76,250 SH        DEFINED   1,2                      76,250
NORDIC AMERICAN TANK  COM        G6577310    15,828    540,196 SH        DEFINED   1,5                     540,196
NORDSON CORP          COM        65566310    28,369    997,838 SH        DEFINED   1,2,5,6                 997,838
NORDSTROM INC         COM        65566410    94,073  5,616,289 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,616,289
NORFOLK SOUTHERN COR  COM        65584410   410,035 12,149,177 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,149,177
NORTHEAST UTILS       COM        66439710   140,799  6,521,498 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,521,498
NORTHERN OIL & GAS I  COM        66553110     1,010    280,663 SH        DEFINED   1,2                     280,663
NORTHERN TR CORP      COM        66585910   528,876  8,841,120 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,841,120
NORTHFIELD BANCORP I  COM        66611L10     3,689    337,527 SH        DEFINED   1,2                     337,527
NORTHFIELD LABS INC   COM        66613510        14     30,870 SH        DEFINED   1                        30,870
NORTHROP GRUMMAN COR  COM        66680710 1,471,151 33,711,074 SH        DEFINED   1,2,5,6,7,8,10,12,13 33,711,074
NORTHSTAR NEUROSCIEN  COM        66704V10        55     29,013 SH        DEFINED   1                        29,013
NORTHSTAR RLTY FIN C  COM        66704R10     3,251  1,401,198 SH        DEFINED   1,2,5                 1,401,198
NORTHWEST BANCORP IN  COM        66732810     5,490    324,863 SH        DEFINED   1,2,5                   324,863
NORTHWEST NAT GAS CO  COM        66765510    35,611    820,149 SH        DEFINED   1,2,5                   820,149
NORTHWEST PIPE CO     COM        66774610     4,784    168,037 SH        DEFINED   1,2,5,6                 168,037
NORTHWESTERN CORP     COM NEW    66807430    18,844    877,299 SH        DEFINED   1,2,5                   877,299
NOVAMED INC DEL       COM        66986W10        43     18,903 SH        DEFINED   1                        18,903
NOVARTIS A G          SPONSORED  66987V10     3,282     86,744 SH        DEFINED   1,2                      86,744
NOVATEL WIRELESS INC  COM NEW    66987M60     4,539    807,597 SH        DEFINED   1,2,5,6                 807,597
NOVAVAX INC           COM        67000210       833    816,546 SH        DEFINED   1,2                     816,546
NOVELL INC            COM        67000610    42,363  9,944,355 SH        DEFINED   1,2,5,6,10,13         9,944,355
NOVELLUS SYS INC      COM        67000810    49,982  3,005,516 SH        DEFINED   1,2,5,6,8,10,12,13    3,005,516
NOVEN PHARMACEUTICAL  COM        67000910     4,604    485,692 SH        DEFINED   1,2,5,6                 485,692
NOVO-NORDISK A S      ADR        67010020       559     11,645 SH        DEFINED   1                        11,645
NPS PHARMACEUTICALS   COM        62936P10     4,570  1,087,984 SH        DEFINED   1,2,6                 1,087,984
NRG ENERGY INC        COM NEW    62937750    61,922  3,518,277 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,518,277
NSTAR                 COM        67019E10    82,196  2,578,292 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,578,292
NTELOS HLDGS CORP     COM        67020Q10    10,999    606,325 SH        DEFINED   1,2,5                   606,325
NTT DOCOMO INC        SPONS ADR  62942M20     1,338     98,029 SH        DEFINED   1,2                      98,029
NU HORIZONS ELECTRS   COM        66990810        44     22,148 SH        DEFINED   1                        22,148
NU SKIN ENTERPRISES   CL A       67018T10    11,045  1,052,875 SH        DEFINED   1,2,5                 1,052,875
NUANCE COMMUNICATION  COM        67020Y10    23,707  2,187,008 SH        DEFINED   1,2,5,6,10            2,187,008
NUCOR CORP            COM        67034610   447,103 11,713,467 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,713,467
NUSTAR ENERGY LP      UNIT COM   67058H10     2,125     46,085 SH        DEFINED   1,2                      46,085
NUSTAR GP HOLDINGS L  UNIT RESTG 67059L10       652     31,644 SH        DEFINED   1,2                      31,644
NUTRACEUTICAL INTL C  COM        67060Y10        91     13,535 SH        DEFINED   1                        13,535
NUTRI SYS INC NEW     COM        67069D10    10,304    722,053 SH        DEFINED   1,2,5,6                 722,053
NUVASIVE INC          COM        67070410    23,217    739,875 SH        DEFINED   1,2,5,6,8               739,875




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- --------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                        
NV ENERGY INC         COM       67073Y10    49,104  5,229,430 SH        DEFINED   1,2,5,6,7,10          5,229,430
NVE CORP              COM NEW   62944520     1,940     67,350 SH        DEFINED   1,2                      67,350
NVIDIA CORP           COM       67066G10   179,321 18,186,751 SH        DEFINED   1,2,5,6,7,8,10,12,13 18,186,751
NVR INC               COM       62944T10   103,893    242,883 SH        DEFINED   1,2,5,6,7,8,10,12       242,883
NXSTAGE MEDICAL INC   COM       67072V10     1,329    514,948 SH        DEFINED   1,2                     514,948
NYFIX INC             COM       67071210        16     14,472 SH        DEFINED   1                        14,472
NYMAGIC INC           COM       62948410     1,224    100,300 SH        DEFINED   1,2                     100,300
NYSE EURONEXT         COM       62949110   161,922  9,045,907 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,045,907
O CHARLEYS INC        COM       67082310     1,805    599,521 SH        DEFINED   1,2,5                   599,521
O REILLY AUTOMOTIVE   COM       68609110   152,105  4,344,624 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,344,624
OBAGI MEDICAL PRODUC  COM       67423R10     1,770    328,945 SH        DEFINED   1,2                     328,945
OCCAM NETWORKS INC    COM NEW   67457P30        42     15,798 SH        DEFINED   1                        15,798
OCCIDENTAL PETE CORP  COM       67459910 1,668,353 29,979,393 SH        DEFINED   1,2,5,6,7,8,10,12,13 29,979,393
OCEAN SHORE HLDG CO   COM       67501P10        85     12,500 SH        DEFINED   1                        12,500
OCEANEERING INTL INC  COM       67523210    45,808  1,242,422 SH        DEFINED   1,2,5,6,10            1,242,422
OCEANFIRST FINL CORP  COM       67523410     2,072    202,777 SH        DEFINED   1,2                     202,777
OCEANFREIGHT INC      SHS       Y6420210        15     10,951 SH        DEFINED   1                        10,951
OCH ZIFF CAP MGMT GR  CL A      67551U10       266     43,870 SH        DEFINED   1,2                      43,870
OCWEN FINL CORP       COM NEW   67574630     8,829    772,448 SH        DEFINED   1,2,5                   772,448
ODYSSEY HEALTHCARE I  COM       67611V10     7,562    779,610 SH        DEFINED   1,2,5,6                 779,610
ODYSSEY MARINE EXPLO  COM       67611810     3,040    896,842 SH        DEFINED   1,2,5                   896,842
ODYSSEY RE HLDGS COR  COM       67612W10    17,252    454,838 SH        DEFINED   1,2,5,8                 454,838
OFFICE DEPOT INC      COM       67622010    11,781  8,993,329 SH        DEFINED   1,2,5,6,8,10,13       8,993,329
OFFICEMAX INC DEL     COM       67622P10     3,623  1,161,220 SH        DEFINED   1,2,5,6,8,10          1,161,220
OGE ENERGY CORP       COM       67083710    44,932  1,886,313 SH        DEFINED   1,2,5,6,8,10          1,886,313
OIL STS INTL INC      COM       67802610     8,608    641,465 SH        DEFINED   1,2,5,7,10              641,465
OILSANDS QUEST INC    COM       67804610     2,151  2,987,644 SH        DEFINED   1,2,5                 2,987,644
OLD DOMINION FGHT LI  COM       67958010    14,224    605,547 SH        DEFINED   1,2,5,6                 605,547
OLD NATL BANCORP IND  COM       68003310    28,141  2,519,382 SH        DEFINED   1,2,5                 2,519,382
OLD REP INTL CORP     COM       68022310    59,371  5,487,164 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,487,164
OLD SECOND BANCORP I  COM       68027710     1,827    287,775 SH        DEFINED   1,2,5                   287,775
OLIN CORP             CM PAR $1 68066520    99,627  6,981,592 SH        DEFINED   1,2,5                 6,981,592
OLYMPIC STEEL INC     COM       68162K10     2,775    182,956 SH        DEFINED   1,2,5                   182,956
OM GROUP INC          COM       67087210    15,844    820,057 SH        DEFINED   1,2,5                   820,057
OMEGA FLEX INC        COM       68209510       558     34,606 SH        DEFINED   1,2                      34,606
OMEGA HEALTHCARE INV  COM       68193610    32,560  2,312,476 SH        DEFINED   1,2,3,5               2,312,476
OMEGA PROTEIN CORP    COM       68210P10       759    287,658 SH        DEFINED   1,2,5                   287,658
OMNI ENERGY SERVICES  COM NEW   68210T20        36     27,851 SH        DEFINED   1,2                      27,851
OMNICARE INC          COM       68190410    90,333  3,688,560 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,688,560
OMNICELL INC          COM       68213N10     4,640    593,352 SH        DEFINED   1,2,5,6                 593,352
OMNICOM GROUP INC     COM       68191910   231,615  9,898,083 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,898,083
OMNITURE INC          COM       68212S10    16,855  1,277,835 SH        DEFINED   1,2,5,6,8             1,277,835
OMNIVISION TECHNOLOG  COM       68212810     6,902  1,027,059 SH        DEFINED   1,2,5,6               1,027,059
OMNOVA SOLUTIONS INC  COM       68212910        72     41,172 SH        DEFINED   1                        41,172
ON ASSIGNMENT INC     COM       68215910     2,237    825,642 SH        DEFINED   1,2                     825,642




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009



                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
ON SEMICONDUCTOR COR  COM        68218910    18,113   4,644,434 SH        DEFINED   1,2,5,6,10             4,644,434
ON2 TECHNOLOGIES INC  COM        68338A10        34     114,945 SH        DEFINED   1                        114,945
ONE LIBERTY PPTYS IN  COM        68240610       426     121,162 SH        DEFINED   1,2                      121,162
ONEBEACON INSURANCE   CL A       G6774210     2,003     207,320 SH        DEFINED   1,2,5,8,10               207,320
ONEOK INC NEW         COM        68268010    53,670   2,371,646 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,371,646
ONEOK PARTNERS LP     UNIT LTD P 68268N10     2,158      53,094 SH        DEFINED   1,2                       53,094
ONLINE RES CORP       COM        68273G10     1,825     433,475 SH        DEFINED   1,2                      433,475
ONYX PHARMACEUTICALS  COM        68339910    51,074   1,788,924 SH        DEFINED   1,2,5,6                1,788,924
OPEN JT STK CO-VIMPE  SPONSORED  68370R10     7,282   1,113,495 SH        DEFINED   1,2,5,6,7,10           1,113,495
OPEN TEXT CORP        COM        68371510       231       6,700 SH        DEFINED   2                          6,700
OPENTV CORP           CL A       G6754310     1,911   1,265,770 SH        DEFINED   1,2                    1,265,770
OPENWAVE SYS INC      COM NEW    68371830       141     145,335 SH        DEFINED   1,2                      145,335
OPKO HEALTH INC       COM        68375N10       565     576,595 SH        DEFINED   1,2,6                    576,595
OPLINK COMMUNICATION  COM NEW    68375Q40     2,688     349,098 SH        DEFINED   1,2                      349,098
OPNET TECHNOLOGIES I  COM        68375710     1,629     187,865 SH        DEFINED   1,2,5                    187,865
OPNEXT INC            COM        68375V10       666     389,653 SH        DEFINED   1,2,5,6                  389,653
OPTIMER PHARMACEUTIC  COM        68401H10     5,811     440,206 SH        DEFINED   1,2                      440,206
OPTIONSXPRESS HLDGS   COM        68401010    13,580   1,191,265 SH        DEFINED   1,2,5,6                1,191,265
ORACLE CORP           COM        68389X10 2,378,611 131,633,164 SH        DEFINED   1,2,5,6,7,8,10,12,13 131,633,164
ORASURE TECHNOLOGIES  COM        68554V10     2,382     941,446 SH        DEFINED   1,2,6                    941,446
ORBCOMM INC           COM        68555P10       585     398,060 SH        DEFINED   1,2,6                    398,060
ORBITAL SCIENCES COR  COM        68556410    14,670   1,233,781 SH        DEFINED   1,2,5,6                1,233,781
ORBITZ WORLDWIDE INC  COM        68557K10       782     605,939 SH        DEFINED   1,2,5                    605,939
ORBOTECH LTD          ORD        M7525310       180      47,591 SH        DEFINED   1,2,5,6,7                 47,591
ORCHID CELLMARK INC   COM        68573C10        12      18,796 SH        DEFINED   1                         18,796
OREXIGEN THERAPEUTIC  COM        68616410       734     281,345 SH        DEFINED   1,2,6                    281,345
ORIENTAL FINL GROUP   COM        68618W10     2,260     463,080 SH        DEFINED   1,2,5                    463,080
ORIENT-EXPRESS HOTEL  CL A       G6774310     1,568     382,491 SH        DEFINED   1,2,3,5,6,10             382,491
ORION ENERGY SYSTEMS  COM        68627510       626     142,021 SH        DEFINED   1,2,6                    142,021
ORION MARINE GROUP I  COM        68628V30     4,385     334,739 SH        DEFINED   1,2                      334,739
ORITANI FINL CORP     COM        68632310     2,744     195,971 SH        DEFINED   1,2,5,6                  195,971
ORIX CORP             SPONSORED  68633010       259      15,703 SH        DEFINED   1,2                       15,703
ORMAT TECHNOLOGIES I  COM        68668810     9,047     329,463 SH        DEFINED   1,2,5,6                  329,463
ORTHOFIX INTL N V     COM        N6748L10     5,742     310,066 SH        DEFINED   1,2,5,6                  310,066
ORTHOLOGIC CORP       COM        68750J10        24      43,076 SH        DEFINED   1                         43,076
ORTHOVITA INC         COM        68750U10     2,703   1,008,681 SH        DEFINED   1,2                    1,008,681
OSHKOSH CORP          COM        68823920    11,886   1,763,485 SH        DEFINED   1,2,5,6,10             1,763,485
OSI PHARMACEUTICALS   COM        67104010    82,208   2,148,661 SH        DEFINED   1,2,5,6,7              2,148,661
OSI SYSTEMS INC       COM        67104410     4,631     303,467 SH        DEFINED   1,2,5,6                  303,467
OSIRIS THERAPEUTICS   COM        68827R10     4,275     309,794 SH        DEFINED   1,2,6                    309,794
OSTEOTECH INC         COM        68858210       158      45,129 SH        DEFINED   1                         45,129
OTTER TAIL CORP       COM        68964810    14,274     647,329 SH        DEFINED   1,2,5                    647,329
OUTDOOR CHANNEL HLDG  COM NEW    69002720     1,633     239,411 SH        DEFINED   1,2                      239,411
OVERHILL FARMS INC    COM        69021210        44      11,400 SH        DEFINED   1                         11,400
OVERLAND STORAGE INC  COM        69031010         5      17,450 SH        DEFINED   1                         17,450




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- --------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                      
OVERSEAS SHIPHOLDING  COM       69036810  11,943    526,806 SH        DEFINED   1,2,5,7,10              526,806
OVERSTOCK COM INC DE  COM       69037010   2,605    284,749 SH        DEFINED   1,2,5,6                 284,749
OWENS & MINOR INC NE  COM       69073210  40,564  1,224,402 SH        DEFINED   1,2,5                 1,224,402
OWENS CORNING NEW     COM       69074210  30,586  3,383,383 SH        DEFINED   1,2,5,6,8,10          3,383,383
OWENS ILL INC         COM NEW   69076840  93,439  6,470,874 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,470,874
OXFORD INDS INC       COM       69149730   1,602    259,663 SH        DEFINED   1,2,5                   259,663
OXIGENE INC           COM       69182810      16     23,149 SH        DEFINED   1                        23,149
OYO GEOSPACE CORP     COM       67107410     909     69,630 SH        DEFINED   1,2,6                    69,630
P C CONNECTION        COM       69318J10     519    136,659 SH        DEFINED   1,2                     136,659
P F CHANGS CHINA BIS  COM       69333Y10  16,746    731,909 SH        DEFINED   1,2,5,6                 731,909
P T TELEKOMUNIKASI I  SPONSORED 71568410   1,054     41,017 SH        DEFINED   1,2,6                    41,017
PACCAR INC            COM       69371810 294,142 11,418,546 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,418,546
PACER INTL INC TENN   COM       69373H10   3,646  1,041,839 SH        DEFINED   1,2,5                 1,041,839
PACIFIC CAP BANCORP   COM       69404P10  13,495  1,993,363 SH        DEFINED   1,2,5                 1,993,363
PACIFIC CONTINENTAL   COM       69412V10   1,855    159,353 SH        DEFINED   1,2                     159,353
PACIFIC ETHANOL INC   COM       69423U10     215    650,999 SH        DEFINED   1,2                     650,999
PACIFIC MERCANTILE B  COM       69455210      48     13,518 SH        DEFINED   1                        13,518
PACIFIC PREMIER BANC  COM       69478X10      43     10,000 SH        DEFINED   1                        10,000
PACIFIC SUNWEAR CALI  COM       69487310   2,189  1,318,795 SH        DEFINED   1,2,5,6               1,318,795
PACKAGING CORP AMER   COM       69515610  26,756  2,054,983 SH        DEFINED   1,2,5,10              2,054,983
PACTIV CORP           COM       69525710  93,914  6,436,851 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,436,851
PACWEST BANCORP DEL   COM       69526310  21,613  1,508,241 SH        DEFINED   1,2,5                 1,508,241
PAETEC HOLDING CORP   COM       69545910   2,854  1,981,724 SH        DEFINED   1,2,5,6               1,981,724
PAIN THERAPEUTICS IN  COM       69562K10   3,109    740,299 SH        DEFINED   1,2,6                   740,299
PALATIN TECHNOLOGIES  COM NEW   69607730       5     42,006 SH        DEFINED   1                        42,006
PALL CORP             COM       69642930  82,093  4,018,262 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,018,262
PALM HARBOR HOMES     COM       69663910     420    188,128 SH        DEFINED   1,2                     188,128
PALM INC NEW          COM       69664310  28,538  3,322,201 SH        DEFINED   1,2,5,6               3,322,201
PALOMAR MED TECHNOLO  COM NEW   69752930   2,490    343,034 SH        DEFINED   1,2,5,6                 343,034
PANACOS PHARMACEUTIC  COM       69811Q10       1     49,643 SH        DEFINED   1                        49,643
PANASONIC CORP        ADR       69832A20   1,250    113,296 SH        DEFINED   1                       113,296
PANERA BREAD CO       CL A      69840W10  40,825    730,314 SH        DEFINED   1,2,5,6,7,10            730,314
PANHANDLE OIL AND GA  CL A      69847710   2,058    120,226 SH        DEFINED   1,2                     120,226
PANTRY INC            COM       69865710  10,497    596,090 SH        DEFINED   1,2,5                   596,090
PAPA JOHNS INTL INC   COM       69881310  11,800    515,980 SH        DEFINED   1,2,5,6                 515,980
PAR PHARMACEUTICAL C  COM       69888P10   9,077    958,484 SH        DEFINED   1,2,5                   958,484
PARALLEL PETE CORP D  COM       69915710     845    659,788 SH        DEFINED   1,2,5                   659,788
PARAMETRIC TECHNOLOG  COM NEW   69917320  33,569  3,363,671 SH        DEFINED   1,2,5,6               3,363,671
PAREXEL INTL CORP     COM       69946210  13,526  1,390,135 SH        DEFINED   1,2,5,6               1,390,135
PARK ELECTROCHEMICAL  COM       70041620   6,888    398,614 SH        DEFINED   1,2,5,6                 398,614
PARK NATL CORP        COM       70065810  13,441    241,100 SH        DEFINED   1,2,5                   241,100
PARK OHIO HLDGS CORP  COM       70066610     427    130,931 SH        DEFINED   1,2,5                   130,931
PARKER DRILLING CO    COM       70108110   3,949  2,146,168 SH        DEFINED   1,2,5                 2,146,168
PARKER HANNIFIN CORP  COM       70109410 188,002  5,532,722 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,532,722
PARKERVISION INC      COM       70135410     524    310,136 SH        DEFINED   1,2,5                   310,136




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
PARKWAY PPTYS INC     COM        70159Q10     6,523    633,308 SH        DEFINED   1,2,3,5                 633,308
PARLUX FRAGRANCES IN  COM        70164510        12     13,631 SH        DEFINED   1                        13,631
PARTNERRE LTD         COM        G6852T10    52,782    850,356 SH        DEFINED   1,2,5,6,7,8,10,12,13    850,356
PATRIOT CAPITAL FUND  COM        70335Y10       619    338,142 SH        DEFINED   1,2                     338,142
PATRIOT COAL CORP     COM        70336T10     5,094  1,372,954 SH        DEFINED   1,2,5,6,8,10,12       1,372,954
PATRIOT TRANSN HLDG   COM        70337B10     1,721     27,608 SH        DEFINED   1,2                      27,608
PATTERSON COMPANIES   COM        70339510    60,952  3,231,805 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,231,805
PATTERSON UTI ENERGY  COM        70348110    43,372  4,840,574 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,840,574
PAYCHEX INC           COM        70432610   259,254 10,099,491 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,099,491
PC MALL INC           COM        69323K10       659    145,088 SH        DEFINED   1,2                     145,088
PC-TEL INC            COM        69325Q10     2,437    566,787 SH        DEFINED   1,2                     566,787
PDF SOLUTIONS INC     COM        69328210        36     23,083 SH        DEFINED   1                        23,083
PDL BIOPHARMA INC     COM        69329Y10    18,692  2,640,045 SH        DEFINED   1,2,5,6               2,640,045
PEABODY ENERGY CORP   SDCV 4.75  704549AG       457    650,000 SH        DEFINED   1                       650,000
PEABODY ENERGY CORP   COM        70454910   271,184 10,830,041 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,830,041
PEAPACK-GLADSTONE FI  COM        70469910     2,496    138,430 SH        DEFINED   1,2                     138,430
PEARSON PLC           SPONSORED  70501510       532     53,129 SH        DEFINED   1                        53,129
PEETS COFFEE & TEA I  COM        70556010     5,379    248,800 SH        DEFINED   1,2,6                   248,800
PEGASYSTEMS INC       COM        70557310     7,045    379,383 SH        DEFINED   1,2,6                   379,383
PENFORD CORP          COM        70705110       642    176,798 SH        DEFINED   1,2                     176,798
PENN NATL GAMING INC  COM        70756910    17,093    707,805 SH        DEFINED   1,2,5,6,10              707,805
PENN VA CORP          COM        70788210    11,358  1,034,437 SH        DEFINED   1,2,5,6               1,034,437
PENN VA GP HLDGS L P  COM UNIT R 70788P10       201     16,926 SH        DEFINED   1,2                      16,926
PENN VA RESOURCES PA  COM        70788410       359     31,500 SH        DEFINED   1,2                      31,500
PENN WEST ENERGY TR   TR UNIT    70788510       214     22,558 SH        DEFINED   1,2,7                    22,558
PENNANTPARK INVT COR  COM        70806210     1,472    392,616 SH        DEFINED   1,2                     392,616
PENNEY J C INC        COM        70816010   489,068 24,368,095 SH        DEFINED   1,2,5,6,7,8,10,12,13 24,368,095
PENNSYLVANIA COMM BA  COM        70867710     1,398     75,970 SH        DEFINED   1,2                      75,970
PENNSYLVANIA RL ESTA  SH BEN INT 70910210     5,355  1,508,330 SH        DEFINED   1,2,3,5               1,508,330
PENSKE AUTOMOTIVE GR  COM        70959W10     4,733    507,303 SH        DEFINED   1,2,5,8,10              507,303
PENSON WORLDWIDE INC  COM        70960010     2,560    398,119 SH        DEFINED   1,2                     398,119
PENTAIR INC           COM        70963110    50,503  2,330,560 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,330,560
PENWEST PHARMACEUTIC  COM        70975410        59     35,681 SH        DEFINED   1                        35,681
PEOPLES BANCORP INC   COM        70978910     3,498    269,483 SH        DEFINED   1,2,5                   269,483
PEOPLES UNITED FINAN  COM        71270410   246,308 13,706,612 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,706,612
PEP BOYS MANNY MOE &  COM        71327810     4,148    940,682 SH        DEFINED   1,2,5                   940,682
PEPCO HOLDINGS INC    COM        71329110   114,109  9,143,312 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,143,312
PEPSI BOTTLING GROUP  COM        71340910   130,065  5,874,677 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,874,677
PEPSIAMERICAS INC     COM        71343P20    21,777  1,262,439 SH        DEFINED   1,2,5,8,10,12         1,262,439
PEPSICO INC           COM        71344810 2,616,328 50,822,220 SH        DEFINED   1,2,5,6,7,8,10,12,13 50,822,220
PERDIGAO S A          SPONSORED  71361V30    17,685    712,798 SH        DEFINED   1,2,7                   712,798
PEREGRINE PHARMACEUT  COM        71366110       121    326,215 SH        DEFINED   1,5                     326,215
PERFICIENT INC        COM        71375U10     3,800    703,785 SH        DEFINED   1,2,5,6                 703,785
PERFORMANCE TECHNOLO  COM        71376K10        43     16,379 SH        DEFINED   1                        16,379
PERICOM SEMICONDUCTO  COM        71383110     4,476    612,302 SH        DEFINED   1,2,5                   612,302




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
PERINI CORP           COM        71383910    12,354   1,004,395 SH        DEFINED   1,2,5,7,8              1,004,395
PERKINELMER INC       COM        71404610    44,302   3,469,197 SH        DEFINED   1,2,5,6,10,13          3,469,197
PERMA-FIX ENVIRONMEN  COM        71415710        64      32,649 SH        DEFINED   1                         32,649
PEROT SYS CORP        CL A       71426510    24,029   1,865,587 SH        DEFINED   1,2,5,6                1,865,587
PERRIGO CO            COM        71429010    47,745   1,922,871 SH        DEFINED   1,2,5,6,7,8,10,12,13   1,922,871
PERVASIVE SOFTWARE I  COM        71571010        41      10,400 SH        DEFINED   1                         10,400
PETMED EXPRESS INC    COM        71638210     7,088     430,070 SH        DEFINED   1,2,5,6                  430,070
PETROBRAS ENERGIA PA  SP ADR B S 71646M10     5,069     890,825 SH        DEFINED   1,2,5,7,8,10             890,825
PETRO-CDA             COM        71644E10       531      19,967 SH        DEFINED   1                         19,967
PETROCHINA CO LTD     SPONSORED  71646E10       230       2,883 SH        DEFINED   1,6                        2,883
PETROHAWK ENERGY COR  COM        71649510    76,337   3,969,704 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,969,704
PETROLEO BRASILEIRO   SP ADR NON 71654V10   113,165   4,618,984 SH        DEFINED   1,2,4,5,6,7,8          4,618,984
PETROLEO BRASILEIRO   SPONSORED  71654V40   150,877   4,951,651 SH        DEFINED   1,2,4,5,6,7            4,951,651
PETROLEUM DEV CORP    COM        71657810     4,072     344,808 SH        DEFINED   1,2,5                    344,808
PETROQUEST ENERGY IN  COM        71674810     2,039     849,658 SH        DEFINED   1,2,5,6                  849,658
PETSMART INC          COM        71676810    65,809   3,139,740 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,139,740
PFIZER INC            COM        71708110 3,349,341 245,913,417 SH        DEFINED   1,2,5,6,7,8,10,12,13 245,913,417
PG&E CORP             COM        69331C10   534,276  13,978,968 SH        DEFINED   1,2,5,6,7,8,10,12,13  13,978,968
PGT INC               COM        69336V10        21      15,057 SH        DEFINED   1                         15,057
PHARMACEUTICAL PROD   COM        71712410    62,938   2,653,356 SH        DEFINED   1,2,5,6,7,8,10,12,13   2,653,356
PHARMACYCLICS INC     COM        71693310        23      18,770 SH        DEFINED   1                         18,770
PHARMASSET INC        COM        71715N10     3,211     327,358 SH        DEFINED   1,2,6                    327,358
PHARMERICA CORP       COM        71714F10    11,346     681,870 SH        DEFINED   1,2,5,6                  681,870
PHASE FORWARD INC     COM        71721R40    10,694     836,099 SH        DEFINED   1,2,5,6                  836,099
PHH CORP              COM NEW    69332020    19,628   1,396,980 SH        DEFINED   1,2,5,8                1,396,980
PHI INC               COM NON VT 69336T20     2,524     252,950 SH        DEFINED   1,2,5,6                  252,950
PHILIP MORRIS INTL I  COM        71817210 2,843,918  79,930,230 SH        DEFINED   1,2,5,6,7,8,10,12,13  79,930,230
PHILIPPINE LONG DIST  SPONSORED  71825260    56,938   1,290,244 SH        DEFINED   1,2,4,5,6,7            1,290,244
PHILLIPS VAN HEUSEN   COM        71859210    22,869   1,008,324 SH        DEFINED   1,2,5,6,8,10           1,008,324
PHOENIX COS INC NEW   COM        71902E10     2,973   2,540,842 SH        DEFINED   1,2,5                  2,540,842
PHOENIX TECHNOLOGY L  COM        71915310       720     444,284 SH        DEFINED   1,2                      444,284
PHOTRONICS INC        COM        71940510       739     770,001 SH        DEFINED   1,2                      770,001
PICO HLDGS INC        COM NEW    69336620    11,203     372,559 SH        DEFINED   1,2,5,6                  372,559
PIEDMONT NAT GAS INC  COM        72018610    45,850   1,770,936 SH        DEFINED   1,2,5                  1,770,936
PIER 1 IMPORTS INC    COM        72027910       861   1,538,024 SH        DEFINED   1,2,5                  1,538,024
PIKE ELEC CORP        COM        72128310     3,107     335,929 SH        DEFINED   1,2,5,6                  335,929
PINNACLE AIRL CORP    COM        72344310        26      18,587 SH        DEFINED   1                         18,587
PINNACLE ENTMT INC    COM        72345610    10,052   1,427,875 SH        DEFINED   1,2,5,6                1,427,875
PINNACLE FINL PARTNE  COM        72346Q10    21,427     903,718 SH        DEFINED   1,2,5,6                  903,718
PINNACLE WEST CAP CO  COM        72348410   190,444   7,170,335 SH        DEFINED   1,2,5,6,7,8,10,12,13   7,170,335
PIONEER DRILLING CO   COM        72365510     4,623   1,409,574 SH        DEFINED   1,2,5                  1,409,574
PIONEER NAT RES CO    NOTE 2.87  723787AH       370     500,000 SH        DEFINED   1                        500,000
PIONEER NAT RES CO    COM        72378710    90,211   5,477,277 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,477,277
PIPER JAFFRAY COS     COM        72407810    10,717     415,545 SH        DEFINED   1,2,5                    415,545
PITNEY BOWES INC      COM        72447910   178,007   7,623,421 SH        DEFINED   1,2,5,6,7,8,10,12,13   7,623,421




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
  NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
-------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                      
PITTSBURGH & W VA RR SH BEN INT 72481910     140     12,998 SH        DEFINED   1,2                      12,998
PIXELWORKS INC       COM NEW    72581M30      12     18,943 SH        DEFINED   1                        18,943
PLAINS ALL AMERN PIP UNIT LTD P 72650310   4,078    110,940 SH        DEFINED   1,2,8                   110,940
PLAINS EXPL& PRODTN  COM        72650510  51,217  2,972,566 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,972,566
PLANAR SYS INC       COM        72690010      12     18,135 SH        DEFINED   1                        18,135
PLANTRONICS INC NEW  COM        72749310  28,087  2,327,012 SH        DEFINED   1,2,5,7               2,327,012
PLATINUM UNDERWRITER COM        G7127P10  33,695  1,188,104 SH        DEFINED   1,2,5,7,8,13          1,188,104
PLATO LEARNING INC   COM        72764Y10      41     23,061 SH        DEFINED   1                        23,061
PLAYBOY ENTERPRISES  CL B       72811730     661    335,465 SH        DEFINED   1,2                     335,465
PLEXUS CORP          COM        72913210  12,138    878,260 SH        DEFINED   1,2,5,6                 878,260
PLUG POWER INC       COM        72919P10   1,293  1,486,603 SH        DEFINED   1,2                   1,486,603
PLUM CREEK TIMBER CO COM        72925110 178,301  6,133,493 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,133,493
PLX TECHNOLOGY INC   COM        69341710     894    412,044 SH        DEFINED   1,2,5                   412,044
PMA CAP CORP         CL A       69341920   3,169    760,023 SH        DEFINED   1,2,5                   760,023
PMC COML TR          SH BEN INT 69343410      71     12,785 SH        DEFINED   1                        12,785
PMC-SIERRA INC       COM        69344F10  32,284  5,068,061 SH        DEFINED   1,2,5,6               5,068,061
PMFG INC             COM        69345P10   1,571    199,373 SH        DEFINED   1,2                     199,373
PMI GROUP INC        COM        69344M10   1,008  1,625,421 SH        DEFINED   1,2,5,6               1,625,421
PNC FINL SVCS GROUP  COM        69347510 483,029 16,491,269 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,491,269
PNM RES INC          COM        69349H10  21,654  2,621,589 SH        DEFINED   1,2,5                 2,621,589
POLARIS INDS INC     COM        73106810  19,583    913,368 SH        DEFINED   1,2,5,6,10              913,368
POLO RALPH LAUREN CO CL A       73157210  88,359  2,091,330 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,091,330
POLYCOM INC          COM        73172K10  39,196  2,546,837 SH        DEFINED   1,2,5,6               2,546,837
POLYONE CORP         COM        73179P10   4,520  1,956,540 SH        DEFINED   1,2,5                 1,956,540
POLYPORE INTL INC    COM        73179V10   1,035    257,491 SH        DEFINED   1,2,5,6                 257,491
POMEROY IT SOLUTIONS COM        73182210      58     15,587 SH        DEFINED   1                        15,587
PONIARD PHARMACEUTIC COM NEW    73244930      43     20,171 SH        DEFINED   1                        20,171
POOL CORPORATION     COM        73278L10  13,925  1,039,213 SH        DEFINED   1,2,5,6,8             1,039,213
POPULAR INC          COM        73317410   7,114  3,293,645 SH        DEFINED   1,2,5,6,8,10,12       3,293,645
PORTFOLIO RECOVERY A COM        73640Q10   8,541    318,210 SH        DEFINED   1,2,5,6                 318,210
PORTLAND GEN ELEC CO COM NEW    73650884  30,181  1,715,794 SH        DEFINED   1,2,5                 1,715,794
PORTUGAL TELECOM SGP SPONSORED  73727310     386     50,173 SH        DEFINED   1                        50,173
POSCO                SPONSORED  69348310   7,240    108,341 SH        DEFINED   1,2,6                   108,341
POST PPTYS INC       COM        73746410  18,737  1,847,858 SH        DEFINED   1,2,3,5,6             1,847,858
POTLATCH CORP NEW    COM        73763010  25,535  1,101,111 SH        DEFINED   1,2,5                 1,101,111
POWELL INDS INC      COM        73912810   4,520    127,998 SH        DEFINED   1,2,5,6                 127,998
POWER INTEGRATIONS I COM        73927610   8,059    468,539 SH        DEFINED   1,2,5                   468,539
POWER-ONE INC        COM        73930810   1,129  1,283,184 SH        DEFINED   1,2,6                 1,283,184
POWERSECURE INTL INC COM        73936N10     784    229,326 SH        DEFINED   1,2,5                   229,326
POWERWAVE TECHNOLOGI COM        73936310   1,369  2,304,241 SH        DEFINED   1,2,5                 2,304,241
POZEN INC            COM        73941U10   2,729    445,869 SH        DEFINED   1,2,5,6                 445,869
PPG INDS INC         COM        69350610 224,427  6,082,024 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,082,024
PPL CORP             COM        69351T10 397,770 13,854,747 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,854,747
PRAXAIR INC          COM        74005P10 715,880 10,638,725 SH        DEFINED   1,2,5,6,7,8,10,12,13 10,638,725
PRE PAID LEGAL SVCS  COM        74006510   8,287    285,466 SH        DEFINED   1,2,5,6                 285,466




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
  NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE     SHARED NONE
-------------------- ---------- -------- --------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                            
PRECISION CASTPARTS  COM        74018910   260,315   4,345,822 SH        DEFINED   1,2,5,6,7,8,10,12,13     4,345,822
PRECISION DRILLING T TR UNIT    74021510       252      94,199 SH        DEFINED   1,5                         94,199
PREFORMED LINE PRODS COM        74044410     1,660      44,097 SH        DEFINED   1,2                         44,097
PREMIER EXIBITIONS I COM        74051E10        11      14,700 SH        DEFINED   1                           14,700
PREMIERE GLOBAL SVCS COM        74058510    13,104   1,485,689 SH        DEFINED   1,2,5,6                  1,485,689
PREMIERWEST BANCORP  COM        74092110     1,049     261,045 SH        DEFINED   1,2                        261,045
PRESIDENTIAL LIFE CO COM        74088410     3,419     438,833 SH        DEFINED   1,2,5                      438,833
PRESSTEK INC         COM        74111310       761     367,564 SH        DEFINED   1,2,5                      367,564
PRESTIGE BRANDS HLDG COM        74112D10     4,501     868,833 SH        DEFINED   1,2,5                      868,833
PRG-SCHULTZ INTERNAT COM NEW    69357C50     1,112     391,523 SH        DEFINED   1,2                        391,523
PRICE T ROWE GROUP I COM        74144T10   264,926   9,179,681 SH        DEFINED   1,2,5,6,7,8,10,12,13     9,179,681
PRICELINE COM INC    COM NEW    74150340    76,534     971,496 SH        DEFINED   1,2,5,6,7,8,10,12,13       971,496
PRICESMART INC       COM        74151110     4,337     240,811 SH        DEFINED   1,2,5,6                    240,811
PRIDE INTL INC DEL   COM        74153Q10    89,257   4,964,235 SH        DEFINED   1,2,5,6,7,8,10,12,13     4,964,235
PRIMEDIA INC         COM NEW    74157K84     1,174     475,132 SH        DEFINED   1,2                        475,132
PRIMEENERGY CORP     COM        74158E10       478       9,578 SH        DEFINED   1,2                          9,578
PRIMUS GUARANTY LTD  SHS        G7245710       663     422,605 SH        DEFINED   1                          422,605
PRINCETON REVIEW INC COM        74235210       733     168,434 SH        DEFINED   1,2,5                      168,434
PRINCIPAL FINANCIAL  COM        74251V10    83,953  10,263,144 SH        DEFINED   1,2,5,6,7,8,10,12,13    10,263,144
PRIVATEBANCORP INC   COM        74296210    13,455     930,518 SH        DEFINED   1,2,5,6                    930,518
PROASSURANCE CORP    COM        74267C10    34,734     745,044 SH        DEFINED   1,2,5                      745,044
PROCERA NETWORKS INC COM        74269U10        19      29,700 SH        DEFINED   1                           29,700
PROCTER & GAMBLE CO  COM        74271810 5,075,969 107,792,923 SH        DEFINED   1,2,5,6,7,8,10,12,13   107,792,923
PROGENICS PHARMACEUT COM        74318710     3,029     459,691 SH        DEFINED   1,2,5,6                    459,691
PROGRESS ENERGY INC  COM        74326310   892,443  24,612,325 SH        DEFINED   1,2,5,6,7,8,10,12,13    24,612,325
PROGRESS SOFTWARE CO COM        74331210    17,975   1,035,445 SH        DEFINED   1,2,5,6                  1,035,445
PROGRESSIVE CORP OHI COM        74331510   325,101  24,189,055 SH        DEFINED   1,2,5,6,7,8,10,12,13    24,189,055
PROLIANCE INTL INC   COM        74340R10         4      23,030 SH        DEFINED   1                           23,030
PROLOGIS             SH BEN INT 74341010   101,989  15,690,653 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  15,690,653
PROS HOLDINGS INC    COM        74346Y10     1,004     215,950 SH        DEFINED   1,2                        215,950
PROSPECT CAPITAL COR COM        74348T10     5,477     642,885 SH        DEFINED   1,2                        642,885
PROSPERITY BANCSHARE COM        74360610    44,426   1,624,337 SH        DEFINED   1,2,5,7                  1,624,337
PROTALIX BIOTHERAPEU COM        74365A10       363     181,415 SH        DEFINED   1,2                        181,415
PROTECTION ONE INC   COM NEW    74366340       273      85,454 SH        DEFINED   1,2                         85,454
PROTECTIVE LIFE CORP COM        74367410     8,529   1,624,556 SH        DEFINED   1,2,5,6,8,10,12          1,624,556
PROVIDENCE SVC CORP  COM        74381510     1,308     190,160 SH        DEFINED   1,2                        190,160
PROVIDENT BANKSHARES COM        74385910     6,531     926,345 SH        DEFINED   1,2,5                      926,345
PROVIDENT FINL HLDGS COM        74386810        64      12,204 SH        DEFINED   1                           12,204
PROVIDENT FINL SVCS  COM        74386T10    28,187   2,607,523 SH        DEFINED   1,2,5                    2,607,523
PROVIDENT NEW YORK B COM        74402810     6,474     757,174 SH        DEFINED   1,2,5                      757,174
PRUDENTIAL FINL INC  FRNT       744320AJ       985   1,000,000 SH        DEFINED   1                        1,000,000
PRUDENTIAL FINL INC  COM        74432010   297,416  15,637,030 SH        DEFINED   1,2,5,6,7,8,10,12,13    15,637,030
PRUDENTIAL PLC       ADR        74435K20       311      31,511 SH        DEFINED   1                           31,511
PS BUSINESS PKS INC  COM        69360J10    22,746     617,248 SH        DEFINED   1,2,3,5,6                  617,248
PSS WORLD MED INC    COM        69366A10    20,040   1,396,481 SH        DEFINED   1,2,5,6                  1,396,481




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                           
PSYCHIATRIC SOLUTION  COM        74439H10    24,148  1,535,140 SH        DEFINED   1,2,5,6                 1,535,140
PUBLIC STORAGE        COM        74460D10   360,696  6,528,432 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  6,528,432
PUBLIC SVC ENTERPRIS  COM        74457310   608,999 20,665,060 SH        DEFINED   1,2,5,6,7,8,10,12,13   20,665,060
PULTE HOMES INC       COM        74586710   108,738  9,948,606 SH        DEFINED   1,2,5,6,7,8,10,12,13    9,948,606
PURE BIOSCIENCE       COM        74621810        71     36,616 SH        DEFINED   1,2                        36,616
PVF CAPITAL CORP      COM        69365410        24     10,112 SH        DEFINED   1                          10,112
PZENA INVESTMENT MGM  CLASS A    74731Q10       175     91,394 SH        DEFINED   1,2                        91,394
QAD INC               COM        74727D10       502    198,445 SH        DEFINED   1,2                       198,445
QIAGEN N V            ORD        N7248210       269     16,844 SH        DEFINED   1,5                        16,844
QLOGIC CORP           COM        74727710    54,411  4,893,091 SH        DEFINED   1,2,5,6,7,8,10,13       4,893,091
QUAKER CHEM CORP      COM        74731610     1,502    189,114 SH        DEFINED   1,2                       189,114
QUALCOMM INC          COM        74752510 2,088,601 53,677,751 SH        DEFINED   1,2,5,6,7,8,10,12,13   53,677,751
QUALITY SYS INC       COM        74758210    15,659    346,053 SH        DEFINED   1,2,5,6                   346,053
QUANEX BUILDING PROD  COM        74761910     6,086    800,793 SH        DEFINED   1,2,5                     800,793
QUANTA SVCS INC       COM        74762E10    95,399  4,447,503 SH        DEFINED   1,2,5,6,7,8,10,12,13    4,447,503
QUANTUM CORP          COM DSSG   74790620     2,359  3,520,462 SH        DEFINED   1,2                     3,520,462
QUANTUM FUEL SYS TEC  COM        74765E10       984  1,230,276 SH        DEFINED   1,2,5                   1,230,276
QUEST DIAGNOSTICS IN  COM        74834L10   253,010  5,328,774 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,328,774
QUEST RESOURCE CORP   COM NEW    74834930        97    311,436 SH        DEFINED   1,2                       311,436
QUEST SOFTWARE INC    COM        74834T10    22,675  1,788,283 SH        DEFINED   1,2,5,6                 1,788,283
QUESTAR CORP          COM        74835610   194,443  6,606,949 SH        DEFINED   1,2,5,6,7,8,10,12,13    6,606,949
QUESTCOR PHARMACEUTI  COM        74835Y10     5,928  1,204,941 SH        DEFINED   1,2,5,6                 1,204,941
QUICKLOGIC CORP       COM        74837P10        25     14,273 SH        DEFINED   1                          14,273
QUICKSILVER RESOURCE  COM        74837R10    14,113  2,547,504 SH        DEFINED   1,2,5,6,8,10            2,547,504
QUIDEL CORP           COM        74838J10     5,262    570,666 SH        DEFINED   1,2,5,6                   570,666
QUIKSILVER INC        COM        74838C10     3,411  2,664,561 SH        DEFINED   1,2,5                   2,664,561
QWEST COMMUNICATIONS  NOTE 3.50  749121BY       231    250,000 SH        DEFINED   1                         250,000
QWEST COMMUNICATIONS  COM        74912110   333,639 97,555,220 SH        DEFINED   1,2,5,6,7,8,10,12,13   97,555,220
RACKABLE SYS INC      COM        75007710     2,918    718,771 SH        DEFINED   1,2,5,6                   718,771
RACKSPACE HOSTING IN  COM        75008610     2,271    303,241 SH        DEFINED   1,2                       303,241
RADIAN GROUP INC      COM        75023610     3,431  1,885,396 SH        DEFINED   1,2,5,6                 1,885,396
RADIANT SYSTEMS INC   COM        75025N10     2,195    497,736 SH        DEFINED   1,2,6                     497,736
RADIO ONE INC         CL A       75040P10         7     13,476 SH        DEFINED   1                          13,476
RADIO ONE INC         CL D NON V 75040P40        44     98,563 SH        DEFINED   1                          98,563
RADIOSHACK CORP       COM        75043810    59,262  6,915,089 SH        DEFINED   1,2,5,6,7,8,10,12,13    6,915,089
RADISYS CORP          COM        75045910     2,760    455,385 SH        DEFINED   1,2,5                     455,385
RADNET INC            COM        75049110       367    296,331 SH        DEFINED   1,2                       296,331
RADVISION LTD         ORD        M8186910        78     15,556 SH        DEFINED   1,2                        15,556
RAIT FINANCIAL TRUST  COM        74922710     2,143  1,756,208 SH        DEFINED   1,2,5                   1,756,208
RALCORP HLDGS INC NE  COM        75102810   100,657  1,868,168 SH        DEFINED   1,2,5,6,7,8,10,12,13    1,868,168
RAM ENERGY RESOURCES  COM        75130P10       423    579,759 SH        DEFINED   1,2                       579,759
RAMBUS INC DEL        COM        75091710    13,207  1,397,604 SH        DEFINED   1,2,5,6,10              1,397,604
RAMCO-GERSHENSON PPT  COM SH BEN 75145220     3,964    614,524 SH        DEFINED   1,2,3,5                   614,524
RAMTRON INTL CORP     COM NEW    75190730        21     21,213 SH        DEFINED   1                          21,213
RANGE RES CORP        COM        75281A10   244,457  5,939,197 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,939,197




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- --------- -------- ------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                        
RASER TECHNOLOGIES I  COM       75405510   3,375    805,518 SH        DEFINED   1,2,6                     805,518
RAVEN INDS INC        COM       75421210   5,756    276,990 SH        DEFINED   1,2,5,6                   276,990
RAYMOND JAMES FINANC  COM       75473010  52,926  2,686,602 SH        DEFINED   1,2,5,6,10              2,686,602
RAYONIER INC          COM       75490710  45,336  1,500,203 SH        DEFINED   1,2,5,6,10              1,500,203
RAYTHEON CO           COM NEW   75511150 519,792 13,348,534 SH        DEFINED   1,2,5,6,7,8,10,12,13   13,348,534
RBC BEARINGS INC      COM       75524B10   5,727    374,805 SH        DEFINED   1,2,5,6                   374,805
RC2 CORP              COM       74938810   2,368    449,327 SH        DEFINED   1,2,5                     449,327
RCN CORP              COM NEW   74936120   3,582    968,177 SH        DEFINED   1,2,5,6                   968,177
READING INTERNATIONA  CL A      75540810      65     18,600 SH        DEFINED   1                          18,600
REALNETWORKS INC      COM       75605L10   4,229  1,815,019 SH        DEFINED   1,2,5,6                 1,815,019
REALTY INCOME CORP    COM       75610910  59,129  3,141,825 SH        DEFINED   1,2,3,5,6               3,141,825
RED HAT INC           COM       75657710  38,949  2,183,257 SH        DEFINED   1,2,5,6,7,8,10          2,183,257
RED LION HOTELS CORP  COM       75676410      53     18,043 SH        DEFINED   1                          18,043
RED ROBIN GOURMET BU  COM       75689M10   7,394    419,406 SH        DEFINED   1,2,5,6                   419,406
REDDY ICE HLDGS INC   COM       75734R10     473    321,791 SH        DEFINED   1,2                       321,791
REDWOOD TR INC        COM       75807540  17,986  1,171,734 SH        DEFINED   1,2,5                   1,171,734
REED ELSEVIER N V     SPONS ADR 75820420     514     23,992 SH        DEFINED   1                          23,992
REED ELSEVIER P L C   SPONS ADR 75820520     394     13,814 SH        DEFINED   1                          13,814
REGAL BELOIT CORP     COM       75875010  21,746    709,716 SH        DEFINED   1,2,5                     709,716
REGAL ENTMT GROUP     CL A      75876610  13,796  1,028,808 SH        DEFINED   1,2,5,8,10              1,028,808
REGENCY CTRS CORP     COM       75884910  72,910  2,744,054 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  2,744,054
REGENCY ENERGY PARTN  COM UNITS 75885Y10     392     31,434 SH        DEFINED   1,2                        31,434
REGENERON PHARMACEUT  COM       75886F10  37,229  2,686,063 SH        DEFINED   1,2,5,6                 2,686,063
REGENT COMMUNICATION  COM       75886510       5     40,485 SH        DEFINED   1                          40,485
REGIONS FINANCIAL CO  COM       7591EP10 126,197 29,623,805 SH        DEFINED   1,2,5,6,7,8,10,12,13   29,623,805
REGIS CORP MINN       COM       75893210  18,660  1,291,338 SH        DEFINED   1,2,5                   1,291,338
REHABCARE GROUP INC   COM       75914810   8,644    495,614 SH        DEFINED   1,2,5                     495,614
REINSURANCE GROUP AM  COM NEW   75935160  44,769  1,382,171 SH        DEFINED   1,2,5,8,10,13           1,382,171
RELIANCE STEEL & ALU  COM       75950910  47,440  1,801,741 SH        DEFINED   1,2,5,6,7,10            1,801,741
RELIANT ENERGY INC    COM       75952B10  18,573  5,822,212 SH        DEFINED   1,2,5,6,7,8,10,12,13    5,822,212
RENAISSANCE LEARNING  COM       75968L10   1,338    149,146 SH        DEFINED   1,2,5                     149,146
RENAISSANCERE HOLDIN  COM       G7496G10  41,578    840,986 SH        DEFINED   1,2,5,6,7,8,10,12,13      840,986
RENASANT CORP         COM       75970E10   5,045    401,706 SH        DEFINED   1,2,5                     401,706
RENT A CTR INC NEW    COM       76009N10  75,700  3,908,100 SH        DEFINED   1,2,5,6,7,8,10          3,908,100
RENTECH INC           COM       76011210   1,451  2,639,072 SH        DEFINED   1,2,5,6                 2,639,072
RENTRAK CORP          COM       76017410     164     18,177 SH        DEFINED   1,5                        18,177
REPLIGEN CORP         COM       75991610   2,317    483,777 SH        DEFINED   1,2,5                     483,777
REPROS THERAPEUTICS   COM       76028H10      78     13,105 SH        DEFINED   1,2                        13,105
REPSOL YPF S A        SPONSORED 76026T20     634     37,094 SH        DEFINED   1                          37,094
REPUBLIC AWYS HLDGS   COM       76027610   5,193    801,334 SH        DEFINED   1,2,5                     801,334
REPUBLIC BANCORP KY   CL A      76028120   5,312    284,512 SH        DEFINED   1,2,5                     284,512
REPUBLIC FIRST BANCO  COM       76041610      76     10,649 SH        DEFINED   1                          10,649
REPUBLIC SVCS INC     COM       76075910 173,416 10,111,722 SH        DEFINED   1,2,5,6,7,8,10,12,13   10,111,722
RES-CARE INC          COM       76094310   8,640    593,396 SH        DEFINED   1,2,5                     593,396
RESEARCH FRONTIERS I  COM       76091110      73     16,343 SH        DEFINED   1                          16,343




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF            VALUE  SHARES OR SH/ PUT/ INVESTMENT                        VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP   (x1000)  PRN AMT  PRN CALL DISCRETION    OTHER MANAGERS      SOLE    SHARED NONE
--------------------- --------- -------- ------- --------- --- ---- ---------- -------------------- --------- ------ ----
                                                                                    
RESEARCH IN MOTION L  COM       76097510  10,461   242,658 SH        DEFINED   1,2,5                  242,658
RESMED INC            COM       76115210  52,680 1,490,654 SH        DEFINED   1,2,5,6,10           1,490,654
RESOURCE AMERICA INC  CL A      76119520     829   207,160 SH        DEFINED   1,2                    207,160
RESOURCE CAP CORP     COM       76120W30   1,588   522,249 SH        DEFINED   1,2                    522,249
RESOURCES CONNECTION  COM       76122Q10  13,842   917,908 SH        DEFINED   1,2,5,6                917,908
RETAIL VENTURES INC   COM       76128Y10     940   618,448 SH        DEFINED   1,2,6                  618,448
RETRACTABLE TECHNOLO  COM       76129W10      14    20,339 SH        DEFINED   1                       20,339
REVLON INC            CL A NEW  76152560      66    26,481 SH        DEFINED   1,2,6                   26,481
REWARDS NETWORK INC   COM       76155710     848   242,215 SH        DEFINED   1                      242,215
REX ENERGY CORPORATI  COM       76156510     739   257,584 SH        DEFINED   1,2,5,6                257,584
REX STORES CORP       COM       76162410   1,607   149,867 SH        DEFINED   1,2                    149,867
REXAHN PHARMACEUTICA  COM       76164010     214   305,712 SH        DEFINED   1,2                    305,712
REYNOLDS AMERICAN IN  COM       76171310 195,900 5,465,952 SH        DEFINED   1,2,5,6,7,8,10,12,13 5,465,952
RF MICRODEVICES INC   COM       74994110  10,138 7,622,416 SH        DEFINED   1,2,5                7,622,416
RHI ENTMT INC DEL     COM       74957T10     367   241,380 SH        DEFINED   1,2,6                  241,380
RICHARDSON ELECTRS L  COM       76316510      40    11,844 SH        DEFINED   1                       11,844
RICKS CABARET INTL I  COM NEW   76564130     295    64,922 SH        DEFINED   1,2                     64,922
RIGEL PHARMACEUTICAL  COM NEW   76655960   3,873   630,759 SH        DEFINED   1,2,5,6                630,759
RIGHTNOW TECHNOLOGIE  COM       76657R10   3,525   465,713 SH        DEFINED   1,2,6                  465,713
RIMAGE CORP           COM       76672110   2,126   159,276 SH        DEFINED   1,2                    159,276
RIO TINTO PLC         SPONSORED 76720410     787     5,870 SH        DEFINED   1,2                      5,870
RISKMETRICS GROUP IN  COM       76773510   5,260   368,070 SH        DEFINED   1,2,5,6                368,070
RITCHIE BROS AUCTION  COM       76774410     264    14,200 SH        DEFINED   1                       14,200
RITE AID CORP         COM       76775410   2,262 6,282,300 SH        DEFINED   1,2,5,6,10           6,282,300
RIVERBED TECHNOLOGY   COM       76857310  15,965 1,220,540 SH        DEFINED   1,2,5,6              1,220,540
RIVERVIEW BANCORP IN  COM       76939710      54    13,992 SH        DEFINED   1                       13,992
RIVIERA HLDGS CORP    COM       76962710     160   156,602 SH        DEFINED   1,2,5                  156,602
RLI CORP              COM       74960710  98,991 1,971,925 SH        DEFINED   1,2,5,6              1,971,925
ROBBINS & MYERS INC   COM       77019610  11,012   725,892 SH        DEFINED   1,2,5,6                725,892
ROBERT HALF INTL INC  COM       77032310  90,049 5,050,420 SH        DEFINED   1,2,5,6,7,8,10,12,13 5,050,420
ROCK OF AGES CORP     CL A      77263210      20    11,698 SH        DEFINED   1                       11,698
ROCK-TENN CO          CL A      77273920  32,626 1,206,142 SH        DEFINED   1,2,5                1,206,142
ROCKVILLE FINL INC    COM       77418610   1,524   167,504 SH        DEFINED   1,2                    167,504
ROCKWELL AUTOMATION   COM       77390310  99,153 4,539,964 SH        DEFINED   1,2,5,6,7,8,10,12,13 4,539,964
ROCKWELL COLLINS INC  COM       77434110 165,226 5,062,070 SH        DEFINED   1,2,5,6,7,8,10,12,13 5,062,070
ROCKWOOD HLDGS INC    COM       77441510   6,604   831,740 SH        DEFINED   1,2,5,8                831,740
ROFIN SINAR TECHNOLO  COM       77504310  10,765   667,801 SH        DEFINED   1,2,5,6                667,801
ROGERS COMMUNICATION  CL B      77510920     836    36,609 SH        DEFINED   1,2                     36,609
ROGERS CORP           COM       77513310  10,133   536,718 SH        DEFINED   1,2,5,6                536,718
ROHM & HAAS CO        COM       77537110 340,714 4,321,591 SH        DEFINED   1,2,5,6,7,8,10,12,13 4,321,591
ROLLINS INC           COM       77571110  19,590 1,142,247 SH        DEFINED   1,2,5,6              1,142,247
ROMA FINANCIAL CORP   COM       77581P10   1,767   136,463 SH        DEFINED   1,2,6                  136,463
ROPER INDS INC NEW    COM       77669610  85,563 2,015,626 SH        DEFINED   1,2,5,6,7,8,10,12,13 2,015,626
ROSETTA RESOURCES IN  COM       77777930   6,448 1,302,637 SH        DEFINED   1,2,5                1,302,637
ROSS STORES INC       COM       77829610 142,045 3,958,877 SH        DEFINED   1,2,5,6,7,8,10,12,13 3,958,877




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
ROSTELECOM OPEN JT S  SPONSORED  77852910   8,463    164,148 SH        DEFINED   1,2,5,6,7,10            164,148
ROWAN COS INC         COM        77938210  72,193  6,031,182 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,031,182
ROYAL BK CDA MONTREA  COM        78008710   1,093     37,794 SH        DEFINED   1,2                      37,794
ROYAL CARIBBEAN CRUI  COM        V7780T10  14,217  1,774,936 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,774,936
ROYAL DUTCH SHELL PL  SPON ADR B 78025910   2,707     62,082 SH        DEFINED   1                        62,082
ROYAL DUTCH SHELL PL  SPONS ADR  78025920   2,229     50,309 SH        DEFINED   1,2                      50,309
ROYAL GOLD INC        COM        78028710  40,121    858,023 SH        DEFINED   1,2,5,6                 858,023
RPC INC               COM        74966010   4,206    634,397 SH        DEFINED   1,2,5,6                 634,397
RPM INTL INC          COM        74968510  47,046  3,695,703 SH        DEFINED   1,2,5,6,8,10          3,695,703
RRSAT GLOBAL COMM NT  SHS        M8183P10     132     11,000 SH        DEFINED   1                        11,000
RSC HOLDINGS INC      COM        74972L10   4,829    918,144 SH        DEFINED   1,2,5,6                 918,144
RTI BIOLOGICS INC     COM        74975N10   2,377    834,130 SH        DEFINED   1,2,5,6                 834,130
RTI INTL METALS INC   COM        74973W10   6,784    579,835 SH        DEFINED   1,2,5                   579,835
RUBICON TECHNOLOGY I  COM        78112T10   1,297    244,271 SH        DEFINED   1,2,6                   244,271
RUBY TUESDAY INC      COM        78118210   3,468  1,187,571 SH        DEFINED   1,2,5                 1,187,571
RUDDICK CORP          COM        78125810  25,506  1,136,124 SH        DEFINED   1,2,5                 1,136,124
RUDOLPH TECHNOLOGIES  COM        78127010   1,769    583,774 SH        DEFINED   1,2,5                   583,774
RURAL / METRO CORP    COM        78174810      23     26,539 SH        DEFINED   1                        26,539
RUSH ENTERPRISES INC  CL A       78184620   5,592    626,895 SH        DEFINED   1,2,5                   626,895
RUSS BERRIE & CO      COM        78223310     392    297,097 SH        DEFINED   1,2                     297,097
RUTHS HOSPITALITY GR  COM        78333210     389    321,665 SH        DEFINED   1,2                     321,665
RYANAIR HLDGS PLC     SPONSORED  78351310   5,486    237,391 SH        DEFINED   1,2,5,6                 237,391
RYDER SYS INC         COM        78354910  58,319  2,060,002 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,060,002
RYLAND GROUP INC      COM        78376410  48,002  2,881,271 SH        DEFINED   1,2,5,6               2,881,271
S & T BANCORP INC     COM        78385910  19,481    918,490 SH        DEFINED   1,2,5                   918,490
S Y BANCORP INC       COM        78506010   6,151    253,117 SH        DEFINED   1,2,5,6                 253,117
S1 CORPORATION        COM        78463B10   5,431  1,054,615 SH        DEFINED   1,2,5,6               1,054,615
SABA SOFTWARE INC     COM NEW    78493260      64     37,758 SH        DEFINED   1                        37,758
SAFEGUARD SCIENTIFIC  COM        78644910   1,103  2,004,892 SH        DEFINED   1,2                   2,004,892
SAFETY INS GROUP INC  COM        78648T10  11,160    359,073 SH        DEFINED   1,2,5                   359,073
SAFEWAY INC           COM NEW    78651420 324,178 16,056,387 SH        DEFINED   1,2,5,6,7,8,10,12,13 16,056,387
SAIA INC              COM        78709Y10   4,728    395,686 SH        DEFINED   1,2,5                   395,686
SAIC INC              COM        78390X10  94,882  5,082,073 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,082,073
SAKS INC              COM        79377W10   5,479  2,929,787 SH        DEFINED   1,2,5,6,10            2,929,787
SALARY COM INC        COM        79400610      14     10,171 SH        DEFINED   1                        10,171
SALESFORCE COM INC    COM        79466L30 113,505  3,467,924 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,467,924
SALIX PHARMACEUTICAL  COM        79543510   9,940  1,046,325 SH        DEFINED   1,2,5,6               1,046,325
SALLY BEAUTY HLDGS I  COM        79546E10  10,048  1,769,081 SH        DEFINED   1,2,5,6               1,769,081
SANDERS MORRIS HARRI  COM        80000Q10   1,286    329,719 SH        DEFINED   1,2                     329,719
SANDERSON FARMS INC   COM        80001310  14,971    398,704 SH        DEFINED   1,2,5                   398,704
SANDISK CORP          NOTE 1.00  80004CAC     180    300,000 SH        DEFINED   1                       300,000
SANDISK CORP          COM        80004C10  92,117  7,282,012 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,282,012
SANDRIDGE ENERGY INC  COM        80007P30   8,818  1,338,052 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,338,052
SANDY SPRING BANCORP  COM        80036310   3,359    301,014 SH        DEFINED   1,2,5                   301,014
SANFILIPPO JOHN B &   COM        80042210      61     11,261 SH        DEFINED   1                        11,261




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
SANGAMO BIOSCIENCES   COM        80067710     2,582    610,496 SH        DEFINED   1,2,5,6                 610,496
SANMINA SCI CORP      COM        80090710     3,536 11,594,030 SH        DEFINED   1,2,5,6,7,8          11,594,030
SANOFI AVENTIS        SPONSORED  80105N10     1,652     59,132 SH        DEFINED   1,2                      59,132
SANTANDER BANCORP     COM        80280910     1,558    197,742 SH        DEFINED   1,2,5                   197,742
SANTARUS INC          COM        80281730        70     43,635 SH        DEFINED   1                        43,635
SANTOS LIMITED        SPONSORED  80302160       503     10,357 SH        DEFINED   1                        10,357
SAP AKTIENGESELLSCHA  SPONSORED  80305420     4,114    116,565 SH        DEFINED   1,2                     116,565
SAPIENT CORP          COM        80306210     8,187  1,831,615 SH        DEFINED   1,2,5,6               1,831,615
SARA LEE CORP         COM        80311110   197,655 24,462,287 SH        DEFINED   1,2,5,6,7,8,10,12,13 24,462,287
SATCON TECHNOLOGY CO  COM        80389310        59     35,370 SH        DEFINED   1                        35,370
SATYAM COMPUTER SERV  ADR        80409810       367    233,605 SH        DEFINED   1,2,5                   233,605
SAUER-DANFOSS INC     COM        80413710     1,004    411,479 SH        DEFINED   1,2,5                   411,479
SAUL CTRS INC         COM        80439510     8,908    387,802 SH        DEFINED   1,2,3,5,6               387,802
SAVIENT PHARMACEUTIC  COM        80517Q10     5,304  1,071,459 SH        DEFINED   1,2,5,6               1,071,459
SAVVIS INC            COM NEW    80542330     4,912    793,573 SH        DEFINED   1,2,5,6                 793,573
SBA COMMUNICATIONS C  COM        78388J10    28,368  1,217,494 SH        DEFINED   1,2,5,6,10            1,217,494
SCANA CORP NEW        COM        80589M10   144,487  4,677,466 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,677,466
SCANSOURCE INC        COM        80603710    10,085    542,783 SH        DEFINED   1,2,5,6                 542,783
SCBT FINANCIAL CORP   COM        78401V10     4,397    210,384 SH        DEFINED   1,2,5                   210,384
SCHAWK INC            CL A       80637310     1,703    281,918 SH        DEFINED   1,2,5                   281,918
SCHEIN HENRY INC      COM        80640710    88,565  2,214,667 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,214,667
SCHERING PLOUGH CORP  COM        80660510 1,293,246 54,914,897 SH        DEFINED   1,2,5,6,7,8,10,12,13 54,914,897
SCHERING PLOUGH CORP  PFD CONV M 80660570       421      2,000 SH        DEFINED   1                         2,000
SCHIFF NUTRITION INT  COM        80669310       547    121,555 SH        DEFINED   1,2                     121,555
SCHLUMBERGER LTD      COM        80685710 1,653,854 40,715,254 SH        DEFINED   1,2,5,6,7,8,10,12,13 40,715,254
SCHNITZER STL INDS    CL A       80688210    20,535    654,175 SH        DEFINED   1,2,5,6,10              654,175
SCHOLASTIC CORP       COM        80706610    13,865    920,068 SH        DEFINED   1,2,5,7,8               920,068
SCHOOL SPECIALTY INC  COM        80786310     6,544    372,033 SH        DEFINED   1,2,5                   372,033
SCHULMAN A INC        COM        80819410    10,490    774,183 SH        DEFINED   1,2,5                   774,183
SCHWAB CHARLES CORP   COM        80851310   548,128 35,363,126 SH        DEFINED   1,2,5,6,7,8,10,12,13 35,363,126
SCHWEITZER-MAUDUIT I  COM        80854110     5,665    306,872 SH        DEFINED   1,2,5                   306,872
SCICLONE PHARMACEUTI  COM        80862K10        45     36,610 SH        DEFINED   1                        36,610
SCIENTIFIC GAMES COR  CL A       80874P10    14,962  1,235,472 SH        DEFINED   1,2,5,6,10            1,235,472
SCM MICROSYSTEMS INC  COM        78401810        36     14,231 SH        DEFINED   1                        14,231
SCOLR PHARMA INC      COM        78402X10         5     18,140 SH        DEFINED   1                        18,140
SCOTTS MIRACLE GRO C  CL A       81018610    33,099    953,858 SH        DEFINED   1,2,5,6,7,8,10          953,858
SCRIPPS E W CO OHIO   CL A NEW   81105440       559    414,044 SH        DEFINED   1,2,5,6,8,10            414,044
SCRIPPS NETWORKS INT  CL A COM   81106510    65,895  2,927,375 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,927,375
SEABOARD CORP         COM        81154310     8,148      8,067 SH        DEFINED   1,2,5,6                   8,067
SEABRIGHT INSURANCE   COM        81165610     5,686    543,626 SH        DEFINED   1,2                     543,626
SEACHANGE INTL INC    COM        81169910     3,249    567,996 SH        DEFINED   1,2,5                   567,996
SEACOAST BKG CORP FL  COM        81170730       867    285,998 SH        DEFINED   1,2                     285,998
SEACOR HOLDINGS INC   COM        81190410    41,358    709,272 SH        DEFINED   1,2,5,6,7,10            709,272
SEAGATE TECHNOLOGY    SHS        G7945J10    39,239  6,529,002 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,529,002
SEALED AIR CORP NEW   COM        81211K10    82,559  5,982,502 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,982,502




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR SH/ PUT/ INVESTMENT                        VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT  PRN CALL DISCRETION    OTHER MANAGERS      SOLE    SHARED NONE
--------------------- ---------- -------- ------- --------- --- ---- ---------- -------------------- --------- ------ ----
                                                                                     
SEALY CORP            COM        81213930   1,130   758,556 SH        DEFINED   1,2,5                  758,556
SEARS HLDGS CORP      COM        81235010 196,220 4,292,708 SH        DEFINED   1,2,5,6,7,8,10,12,13 4,292,708
SEASPAN CORP          SHS        Y7563810     137    16,658 SH        DEFINED   1,5                     16,658
SEATTLE GENETICS INC  COM        81257810  12,633 1,281,266 SH        DEFINED   1,2,5,6              1,281,266
SECURITY BANK CORP    COM        81404710      15    37,915 SH        DEFINED   1                       37,915
SEI INVESTMENTS CO    COM        78411710  40,891 3,348,938 SH        DEFINED   1,2,5,6,7,8,10,12,13 3,348,938
SELECT COMFORT CORP   COM        81616X10      49    67,842 SH        DEFINED   1                       67,842
SELECT SECTOR SPDR T  SBI INT-EN 81369Y50     279     6,572 SH        DEFINED   1                        6,572
SELECT SECTOR SPDR T  SBI INT-UT 81369Y88   2,536    99,268 SH        DEFINED   1                       99,268
SELECTICA INC         COM        81628810      27    66,920 SH        DEFINED   1                       66,920
SELECTIVE INS GROUP   COM        81630010  14,652 1,204,942 SH        DEFINED   1,2,5                1,204,942
SEMITOOL INC          COM        81690910   1,079   387,981 SH        DEFINED   1,2,5                  387,981
SEMPRA ENERGY         COM        81685110 443,944 9,600,860 SH        DEFINED   1,2,5,6,7,8,10,12,13 9,600,860
SEMTECH CORP          COM        81685010  30,345 2,273,069 SH        DEFINED   1,2,5,6,7,8          2,273,069
SENIOR HSG PPTYS TR   SH BEN INT 81721M10  65,539 4,674,646 SH        DEFINED   1,2,3,5,6            4,674,646
SENOMYX INC           COM        81724Q10      59    37,218 SH        DEFINED   1,6                     37,218
SENSIENT TECHNOLOGIE  COM        81725T10  36,181 1,539,617 SH        DEFINED   1,2,5                1,539,617
SEPRACOR INC          COM        81731510  40,719 2,777,542 SH        DEFINED   1,2,5,6,8,10,12      2,777,542
SEQUENOM INC          COM NEW    81733740  18,351 1,290,497 SH        DEFINED   1,2,5,6,8            1,290,497
SERVICE CORP INTL     COM        81756510  18,638 5,340,402 SH        DEFINED   1,2,5,6,10           5,340,402
SEVERN BANCORP ANNA   COM        81811M10      43    13,689 SH        DEFINED   1                       13,689
SHANDA INTERACTIVE E  SPONSORED  81941Q20     720    18,211 SH        DEFINED   1,2,6                   18,211
SHAW COMMUNICATIONS   CL B CONV  82028K20     534    35,216 SH        DEFINED   1                       35,216
SHAW GROUP INC        COM        82028010  63,893 2,330,994 SH        DEFINED   1,2,5,6,7,8,10       2,330,994
SHENANDOAH TELECOMMU  COM        82312B10   9,972   437,370 SH        DEFINED   1,2,5,6                437,370
SHENGDA TECH INC      COM        82321310   1,320   425,719 SH        DEFINED   1,2                    425,719
SHERWIN WILLIAMS CO   COM        82434810 194,711 3,746,596 SH        DEFINED   1,2,5,6,7,8,10,12,13 3,746,596
SHINHAN FINANCIAL GR  SPN ADR RE 82459610   1,486    41,271 SH        DEFINED   1,6                     41,271
SHIP FINANCE INTERNA  SHS        G8107510   3,881   591,629 SH        DEFINED   1,2,5,6,7              591,629
SHOE CARNIVAL INC     COM        82488910   2,138   206,598 SH        DEFINED   1,2,5                  206,598
SHORE BANCSHARES INC  COM        82510710   2,347   140,127 SH        DEFINED   1,2,5                  140,127
SHORETEL INC          COM        82521110   3,039   705,095 SH        DEFINED   1,2                    705,095
SHUFFLE MASTER INC    COM        82554910   3,353 1,168,322 SH        DEFINED   1,2,5,6              1,168,322
SHUTTERFLY INC        COM        82568P30   3,238   345,602 SH        DEFINED   1,2,5,6                345,602
SIEMENS A G           SPONSORED  82619750   1,365    23,959 SH        DEFINED   1,2                     23,959
SIERRA BANCORP        COM        82620P10   1,183   121,564 SH        DEFINED   1,2                    121,564
SIGA TECHNOLOGIES IN  COM        82691710     251    49,587 SH        DEFINED   1,2                     49,587
SIGMA ALDRICH CORP    COM        82655210 163,991 4,339,543 SH        DEFINED   1,2,5,6,7,8,10,12,13 4,339,543
SIGMA DESIGNS INC     COM        82656510   7,322   588,559 SH        DEFINED   1,2,5,6                588,559
SIGMATRON INTL INC    COM        82661L10      20    12,713 SH        DEFINED   1                       12,713
SIGNATURE BK NEW YOR  COM        82669G10  29,208 1,034,633 SH        DEFINED   1,2,5,6              1,034,633
SIGNET JEWELERS LIMI  SHS        G8127610   9,872   862,209 SH        DEFINED   1,2,5,10               862,209
SILGAN HOLDINGS INC   COM        82704810  32,731   622,975 SH        DEFINED   1,2,5,6                622,975
SILICON IMAGE INC     COM        82705T10   4,658 1,940,960 SH        DEFINED   1,2,5,6              1,940,960
SILICON LABORATORIES  COM        82691910  27,360 1,036,375 SH        DEFINED   1,2,5,6,10           1,036,375




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                         
SILICON STORAGE TECH  COM        82705710   4,517  2,737,743 SH        DEFINED   1,2,5,6                 2,737,743
SILICONWARE PRECISIO  SPONSD ADR 82708486     566     97,522 SH        DEFINED   1,6                        97,522
SILVERCORP METALS IN  COM        82835P10      81     35,759 SH        DEFINED   1                          35,759
SIMMONS 1ST NATL COR  CL A $1 PA 82873020   7,859    311,971 SH        DEFINED   1,2,5                     311,971
SIMON PPTY GROUP INC  COM        82880610 441,688 12,750,796 SH        DEFINED   1,2,3,5,6,7,8,10,12,13 12,750,796
SIMPSON MANUFACTURIN  COM        82907310  34,093  1,891,953 SH        DEFINED   1,2,5,6                 1,891,953
SIMS METAL MANAGEMEN  SPONS ADR  82916010     195     16,365 SH        DEFINED   1                          16,365
SINA CORP             ORD        G8147710   1,576     67,789 SH        DEFINED   1,2,5,6                    67,789
SINCLAIR BROADCAST G  CL A       82922610   1,210  1,175,220 SH        DEFINED   1,2,5                   1,175,220
SIRF TECHNOLOGY HLDG  COM        82967H10   2,438  1,059,796 SH        DEFINED   1,2                     1,059,796
SIRIUS XM RADIO INC   COM        82967N10  13,697 39,135,354 SH        DEFINED   1,2,5,6,7,10,12        39,135,354
SIRONA DENTAL SYSTEM  COM        82966C10   4,135    288,751 SH        DEFINED   1,2,5,6                   288,751
SIX FLAGS INC         COM        83001P10     344  1,273,800 SH        DEFINED   1,2                     1,273,800
SJW CORP              COM        78430510   6,375    250,705 SH        DEFINED   1,2,5                     250,705
SK TELECOM LTD        SPONSORED  78440P10   3,610    233,658 SH        DEFINED   1,2,6,12                  233,658
SKECHERS U S A INC    CL A       83056610   4,324    648,332 SH        DEFINED   1,2,5,6                   648,332
SKILLED HEALTHCARE G  CL A       83066R10   3,019    367,720 SH        DEFINED   1,2                       367,720
SKILLSOFT PLC         SPONSORED  83092810     387     57,843 SH        DEFINED   1,5,6                      57,843
SKYLINE CORP          COM        83083010   2,573    135,353 SH        DEFINED   1,2,5                     135,353
SKYWEST INC           COM        83087910  21,888  1,759,508 SH        DEFINED   1,2,5,8                 1,759,508
SKYWORKS SOLUTIONS I  COM        83088M10  34,467  4,276,321 SH        DEFINED   1,2,5                   4,276,321
SL GREEN RLTY CORP    COM        78440X10  24,346  2,254,292 SH        DEFINED   1,2,3,5,6,7,10          2,254,292
SLM CORP              COM        78442P10  92,888 18,765,330 SH        DEFINED   1,2,5,6,7,8,10,12,13   18,765,330
SMART BALANCE INC     COM        83169Y10   6,489  1,074,404 SH        DEFINED   1,2,6                   1,074,404
SMART MODULAR TECHNO  ORD SHS    G8224510     935    677,713 SH        DEFINED   1,2,5                     677,713
SMITH & NEPHEW PLC    SPDN ADR N 83175M20     249      7,982 SH        DEFINED   1                           7,982
SMITH & WESSON HLDG   COM        83175610   3,696    613,945 SH        DEFINED   1,2,5,6                   613,945
SMITH A O             COM        83186520  14,593    579,543 SH        DEFINED   1,2,5                     579,543
SMITH INTL INC        COM        83211010 182,937  8,516,624 SH        DEFINED   1,2,5,6,7,8,10,12,13    8,516,624
SMITH MICRO SOFTWARE  COM        83215410   2,729    521,719 SH        DEFINED   1,2,5                     521,719
SMITHFIELD FOODS INC  COM        83224810  23,960  2,532,760 SH        DEFINED   1,2,5,6,8,10,12         2,532,760
SMITHTOWN BANCORP IN  COM        83244910   1,516    134,397 SH        DEFINED   1,2                       134,397
SMUCKER J M CO        COM NEW    83269640 140,556  3,771,279 SH        DEFINED   1,2,5,6,7,8,10,12,13    3,771,279
SNAP ON INC           COM        83303410  51,370  2,046,624 SH        DEFINED   1,2,5,6,10,13           2,046,624
SOAPSTONE NETWORKS I  COM        83357010      58     16,207 SH        DEFINED   1,2                        16,207
SOCIEDAD QUIMICA MIN  SPON ADR S 83363510  24,275    913,976 SH        DEFINED   1,2,5,6,7                 913,976
SOHU COM INC          COM        83408W10  14,814    358,600 SH        DEFINED   1,2,5,6,7,10              358,600
SOLERA HOLDINGS INC   COM        83421A10  31,546  1,273,025 SH        DEFINED   1,2,5,6,7,8             1,273,025
SOLUTIA INC           COM NEW    83437650   3,222  1,722,866 SH        DEFINED   1,2,6                   1,722,866
SOMANETICS CORP       COM NEW    83444540   4,887    321,933 SH        DEFINED   1,2,5                     321,933
SONIC AUTOMOTIVE INC  CL A       83545G10     875    547,112 SH        DEFINED   1,2,5                     547,112
SONIC CORP            COM        83545110  11,470  1,144,685 SH        DEFINED   1,2,5,6                 1,144,685
SONIC INNOVATIONS IN  COM        83545M10      21     19,474 SH        DEFINED   1                          19,474
SONIC SOLUTIONS       COM        83546010     446    371,657 SH        DEFINED   1,2                       371,657
SONICWALL INC         COM        83547010   6,854  1,536,823 SH        DEFINED   1,2,5,6                 1,536,823




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
SONOCO PRODS CO       COM        83549510 100,588  4,794,487 SH        DEFINED   1,2,5,6,7,8,10        4,794,487
SONOSITE INC          COM        83568G10   5,518    308,625 SH        DEFINED   1,2,5,6                 308,625
SONUS NETWORKS INC    COM        83591610   6,486  4,130,902 SH        DEFINED   1,2,5,6               4,130,902
SONY CORP             ADR NEW    83569930     935     45,342 SH        DEFINED   1                        45,342
SOTHEBYS              COM        83589810  21,568  2,396,481 SH        DEFINED   1,2,5,6               2,396,481
SOURCE INTERLINK COS  COM NEW    83615120       7     35,786 SH        DEFINED   1                        35,786
SOURCEFIRE INC        COM        83616T10   2,164    297,258 SH        DEFINED   1,2                     297,258
SOURCEFORGE INC       COM        83616W10      57     68,413 SH        DEFINED   1,5                      68,413
SOUTH FINL GROUP INC  COM        83784110   2,054  1,867,480 SH        DEFINED   1,2,5,6               1,867,480
SOUTH JERSEY INDS IN  COM        83851810  23,593    674,090 SH        DEFINED   1,2,5                   674,090
SOUTHERN CMNTY FINL   COM        84263210     128     35,900 SH        DEFINED   1                        35,900
SOUTHERN CO           COM        84258710 889,060 29,035,272 SH        DEFINED   1,2,5,6,7,8,10,12,13 29,035,272
SOUTHERN COPPER CORP  COM        84265V10  65,494  3,759,676 SH        DEFINED   1,2,5,7,8,10,12       3,759,676
SOUTHERN UN CO NEW    COM        84403010  42,374  2,784,119 SH        DEFINED   1,2,5,6,10            2,784,119
SOUTHSIDE BANCSHARES  COM        84470P10   5,421    286,802 SH        DEFINED   1,2                     286,802
SOUTHWEST AIRLS CO    COM        84474110 150,192 23,727,091 SH        DEFINED   1,2,5,6,7,8,10,12,13 23,727,091
SOUTHWEST BANCORP IN  COM        84476710   3,038    323,834 SH        DEFINED   1,2                     323,834
SOUTHWEST GAS CORP    COM        84489510  26,482  1,256,849 SH        DEFINED   1,2,5,8               1,256,849
SOUTHWEST WTR CO      COM        84533110   1,843    428,616 SH        DEFINED   1,2                     428,616
SOUTHWESTERN ENERGY   COM        84546710 381,021 12,833,295 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,833,295
SOVRAN SELF STORAGE   COM        84610H10  15,546    774,182 SH        DEFINED   1,2,3,5                 774,182
SPANISH BROADCASTING  CL A       84642588       4     28,508 SH        DEFINED   1                        28,508
SPANSION INC          COM CL A   84649R10     246  1,895,206 SH        DEFINED   1,2                   1,895,206
SPARTAN MTRS INC      COM        84681910   2,402    597,500 SH        DEFINED   1,2                     597,500
SPARTAN STORES INC    COM        84682210   8,257    535,823 SH        DEFINED   1,2,5,6                 535,823
SPARTECH CORP         COM NEW    84722020   2,170    882,301 SH        DEFINED   1,2,5                   882,301
SPDR INDEX SHS FDS    SPDR DJ EU 78463X20   1,273     46,875 SH        DEFINED   10                       46,875
SPDR INDEX SHS FDS    DJWS INTL  78463X86   3,598    163,100 SH        DEFINED   2                       163,100
SPDR INDEX SHS FDS    S&P INTL S 78463X87   8,528    530,700 SH        DEFINED   2                       530,700
SPDR SERIES TRUST     BRCLYS YLD 78464A41  36,358  1,234,982 SH        DEFINED   1,2,5                 1,234,982
SPDR SERIES TRUST     DJWS LGCAP 78464A50     945     22,213 SH        DEFINED   1                        22,213
SPDR SERIES TRUST     DJ WLSH RE 78464A60     639     24,203 SH        DEFINED   8                        24,203
SPDR SERIES TRUST     BRCLYS AGG 78464A64  10,846    198,359 SH        DEFINED   2                       198,359
SPDR SERIES TRUST     BRCLYS 1-3 78464A68   6,381    139,135 SH        DEFINED   1                       139,135
SPDR TR               UNIT SER 1 78462F10 140,516  1,767,053 SH        DEFINED   1,2,5,10              1,767,053
SPECTRA ENERGY CORP   COM        84756010 332,305 23,501,032 SH        DEFINED   1,2,5,6,7,8,10,12,13 23,501,032
SPECTRA ENERGY PARTN  COM        84756N10     327     14,957 SH        DEFINED   1,2                      14,957
SPECTRANETICS CORP    COM        84760C10   1,300    513,695 SH        DEFINED   1,2                     513,695
SPECTRUM CTL INC      COM        84761510      84     11,899 SH        DEFINED   1                        11,899
SPECTRUM PHARMACEUTI  COM        84763A10      64     36,469 SH        DEFINED   1,2                      36,469
SPEEDWAY MOTORSPORTS  COM        84778810   2,990    252,951 SH        DEFINED   1,2,5                   252,951
SPHERION CORP         COM        84842010   3,511  1,687,926 SH        DEFINED   1,2,5                 1,687,926
SPHERIX INC           COM        84842R10      15     16,667 SH        DEFINED   1                        16,667
SPIRIT AEROSYSTEMS H  COM CL A   84857410  12,092  1,212,851 SH        DEFINED   1,2,5,8,10            1,212,851
SPORT CHALET INC      CL A       84916320       3     13,343 SH        DEFINED   1                        13,343




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
SPRINT NEXTEL CORP    COM SER 1  85206110 342,039 95,809,213 SH        DEFINED   1,2,5,6,7,8,10,12,13 95,809,213
SPSS INC              COM        78462K10  14,421    507,252 SH        DEFINED   1,2,5,6                 507,252
SPX CORP              COM        78463510  63,726  1,355,587 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,355,587
SRA INTL INC          CL A       78464R10  17,276  1,175,266 SH        DEFINED   1,2,5,6,8             1,175,266
SRS LABS INC          COM        78464M10      69     14,008 SH        DEFINED   1                        14,008
ST JOE CO             COM        79014810  18,832  1,124,996 SH        DEFINED   1,2,5,6,8,10,12       1,124,996
ST JUDE MED INC       COM        79084910 415,908 11,448,062 SH        DEFINED   1,2,5,6,7,8,10,12,13 11,448,062
ST MARY LD & EXPL CO  COM        79222810  11,228    848,707 SH        DEFINED   1,2,5,6,7,10            848,707
STAAR SURGICAL CO     COM PAR $0 85231230      25     24,655 SH        DEFINED   1                        24,655
STAGE STORES INC      COM NEW    85254C30   8,144    807,986 SH        DEFINED   1,2,5                   807,986
STAMPS COM INC        COM NEW    85285720   2,817    290,453 SH        DEFINED   1,2,5,6                 290,453
STANCORP FINL GROUP   COM        85289110  25,896  1,136,788 SH        DEFINED   1,2,5,6,7,10          1,136,788
STANDARD MICROSYSTEM  COM        85362610   9,249    497,254 SH        DEFINED   1,2,5,6                 497,254
STANDARD MTR PRODS I  COM        85366610      71     25,995 SH        DEFINED   1                        25,995
STANDARD PAC CORP NE  COM        85375C10   2,007  2,280,812 SH        DEFINED   1,2,5,6               2,280,812
STANDARD PARKING COR  COM        85379010   4,235    258,242 SH        DEFINED   1,2,6                   258,242
STANDARD REGISTER CO  COM        85388710   2,231    487,161 SH        DEFINED   1,2,5                   487,161
STANDEX INTL CORP     COM        85423110   2,671    290,317 SH        DEFINED   1,2,5                   290,317
STANLEY INC           COM        85453210   4,604    181,341 SH        DEFINED   1,2,5,6                 181,341
STANLEY WKS           COM        85461610  84,570  2,904,190 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,904,190
STAPLES INC           COM        85503010 414,061 22,863,670 SH        DEFINED   1,2,5,6,7,8,10,12,13 22,863,670
STAR GAS PARTNERS L   UNIT LTD P 85512C10     129     49,597 SH        DEFINED   1,2                      49,597
STAR SCIENTIFIC INC   COM        85517P10   4,031    941,840 SH        DEFINED   1,2                     941,840
STARBUCKS CORP        COM        85524410 255,169 22,967,486 SH        DEFINED   1,2,5,6,7,8,10,12,13 22,967,486
STARENT NETWORKS COR  COM        85528P10   8,117    513,759 SH        DEFINED   1,2,5,6                 513,759
STARTEK INC           COM        85569C10     103     33,203 SH        DEFINED   1                        33,203
STARWOOD HOTELS&RESO  COM        85590A40  97,273  7,659,285 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,659,285
STATE AUTO FINL CORP  COM        85570710   4,611    261,989 SH        DEFINED   1,2,5                   261,989
STATE BANCORP INC N.  COM        85571610   1,798    233,566 SH        DEFINED   1,2                     233,566
STATE STR CORP        COM        85747710 653,103 21,218,408 SH        DEFINED   1,2,5,6,7,8,10,12,13 21,218,408
STATOILHYDRO ASA      SPONSORED  85771P10     212     12,164 SH        DEFINED   1                        12,164
STEAK N SHAKE CO      COM        85787310   4,254    561,916 SH        DEFINED   1,2,5                   561,916
STEC INC              COM        78477410   3,548    482,059 SH        DEFINED   1,2,6                   482,059
STEEL DYNAMICS INC    COM        85811910  43,726  4,963,177 SH        DEFINED   1,2,5,6,8,10          4,963,177
STEELCASE INC         CL A       85815520   4,566    911,385 SH        DEFINED   1,2,5,10                911,385
STEIN MART INC        COM        85837510   1,454    502,949 SH        DEFINED   1,2                     502,949
STEINER LEISURE LTD   ORD        P8744Y10   6,928    283,834 SH        DEFINED   1,2,5                   283,834
STEINWAY MUSICAL INS  COM        85849510   1,663    138,924 SH        DEFINED   1,2                     138,924
STELLARONE CORP       COM        85856G10   4,925    413,549 SH        DEFINED   1,2                     413,549
STEMCELLS INC         COM        85857R10     179    107,076 SH        DEFINED   1,2,5                   107,076
STEPAN CO             COM        85858610   5,225    191,398 SH        DEFINED   1,2,5,6                 191,398
STEREOTAXIS INC       COM        85916J10   2,660    666,732 SH        DEFINED   1,2,6                   666,732
STERICYCLE INC        COM        85891210 128,819  2,698,912 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,698,912
STERIS CORP           COM        85915210  50,720  2,178,683 SH        DEFINED   1,2,5,6               2,178,683
STERLING BANCORP      COM        85915810   3,843    388,151 SH        DEFINED   1,2,5                   388,151




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
STERLING BANCSHARES   COM        85890710  25,447  3,890,979 SH        DEFINED   1,2,5                 3,890,979
STERLING CONSTRUCTIO  COM        85924110   3,360    188,360 SH        DEFINED   1,2,5                   188,360
STERLING FINL CORP W  COM        85931910   2,136  1,032,016 SH        DEFINED   1,2,5                 1,032,016
STERLITE INDS INDIA   ADS        85973720   1,278    180,695 SH        DEFINED   1,6,8                   180,695
STEWART ENTERPRISES   CL A       86037010   6,616  2,042,042 SH        DEFINED   1,2,5                 2,042,042
STEWART INFORMATION   COM        86037210   6,785    347,956 SH        DEFINED   1,2,5                   347,956
STIFEL FINL CORP      COM        86063010  26,626    614,773 SH        DEFINED   1,2,5,6                 614,773
STILLWATER MNG CO     COM        86074Q10   4,460  1,205,477 SH        DEFINED   1,2,5,6               1,205,477
STONE ENERGY CORP     COM        86164210   2,346    704,576 SH        DEFINED   1,2,5                   704,576
STONERIDGE INC        COM        86183P10     830    393,400 SH        DEFINED   1,2                     393,400
STRATASYS INC         COM        86268510   3,129    378,367 SH        DEFINED   1,2,5,6                 378,367
STRATEGIC HOTELS & R  COM        86272T10   1,279  1,853,564 SH        DEFINED   1,2,3,5               1,853,564
STRATUS PPTYS INC     COM NEW    86316720     586     96,837 SH        DEFINED   1,2                      96,837
STRAYER ED INC        COM        86323610  50,834    282,618 SH        DEFINED   1,2,5,6,10              282,618
STRYKER CORP          COM        86366710 286,611  8,419,830 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,419,830
STUDENT LN CORP       COM        86390210   2,709     62,351 SH        DEFINED   1,2,5,8,10,12            62,351
STURM RUGER & CO INC  COM        86415910     607     49,247 SH        DEFINED   1                        49,247
SUBURBAN PROPANE PAR  UNIT LTD P 86448210   1,546     42,280 SH        DEFINED   1,2                      42,280
SUCAMPO PHARMACEUTIC  CL A       86490910     791    129,012 SH        DEFINED   1,2                     129,012
SUCCESSFACTORS INC    COM        86459610   4,848    635,345 SH        DEFINED   1,2,5,6                 635,345
SUFFOLK BANCORP       COM        86473910   6,531    251,282 SH        DEFINED   1,2,5,6                 251,282
SULPHCO INC           COM        86537810     808    755,030 SH        DEFINED   1,2,6                   755,030
SUMTOTAL SYS INC      COM        86661510      50     29,575 SH        DEFINED   1                        29,575
SUN BANCORP INC       COM        86663B10   1,735    334,271 SH        DEFINED   1,2,5                   334,271
SUN COMMUNITIES INC   COM        86667410   9,041    764,228 SH        DEFINED   1,2,3,5                 764,228
SUN HEALTHCARE GROUP  COM NEW    86693340   6,931    821,171 SH        DEFINED   1,2,5,6                 821,171
SUN HYDRAULICS CORP   COM        86694210   2,848    194,937 SH        DEFINED   1,2,6                   194,937
SUN LIFE FINL INC     COM        86679610   4,833    270,589 SH        DEFINED   1                       270,589
SUN MICROSYSTEMS INC  COM NEW    86681020 197,371 26,963,235 SH        DEFINED   1,2,5,6,7,8,10,12,13 26,963,235
SUNAIR SERVICES CORP  COM        86701710      19     11,100 SH        DEFINED   1                        11,100
SUNCOR ENERGY INC     COM        86722910     213      9,594 SH        DEFINED   1,2                       9,594
SUNLINK HEALTH SYSTE  COM        86737U10      14     13,400 SH        DEFINED   1                        13,400
SUNOCO INC            COM        86764P10 237,999  8,987,874 SH        DEFINED   1,2,5,6,7,8,10,12,13  8,987,874
SUNOCO LOGISTICS PRT  COM UNITS  86764L10   1,253     24,291 SH        DEFINED   1,2,8                    24,291
SUNPOWER CORP         COM CL A   86765210  20,216    850,137 SH        DEFINED   1,2,5,7,8,10,12,13      850,137
SUNPOWER CORP         COM CL B   86765230   5,907    298,315 SH        DEFINED   1,2,5,6,7,8,10,12,13    298,315
SUNRISE SENIOR LIVIN  COM        86768K10     513    754,043 SH        DEFINED   1,2,5,6                 754,043
SUNSTONE HOTEL INVS   COM        86789210   6,888  2,619,165 SH        DEFINED   1,2,3,5               2,619,165
SUNTECH PWR HLDGS CO  NOTE 0.25  86800CAC     449    500,000 SH        DEFINED   1                       500,000
SUNTECH PWR HLDGS CO  ADR        86800C10   1,419    121,361 SH        DEFINED   1,2,6                   121,361
SUNTRUST BKS INC      COM        86791410 165,345 14,083,925 SH        DEFINED   1,2,5,6,7,8,10,12,13 14,083,925
SUPER MICRO COMPUTER  COM        86800U10   1,744    354,509 SH        DEFINED   1,2                     354,509
SUPERGEN INC          COM        86805910      73     40,129 SH        DEFINED   1                        40,129
SUPERIOR BANCORP      COM NEW    86806M20      48     12,049 SH        DEFINED   1                        12,049
SUPERIOR ENERGY SVCS  COM        86815710  25,308  1,963,368 SH        DEFINED   1,2,5,6,10            1,963,368




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
SUPERIOR INDS INTL I  COM        86816810   5,663    477,920 SH        DEFINED   1,2,5                   477,920
SUPERIOR UNIFORM GP   COM        86835810     171     23,702 SH        DEFINED   1                        23,702
SUPERIOR WELL SVCS I  COM        86837X10   1,774    345,830 SH        DEFINED   1,2,5,6                 345,830
SUPERTEL HOSPITALITY  COM        86852610      21     25,177 SH        DEFINED   1                        25,177
SUPERTEX INC          COM        86853210   4,981    215,615 SH        DEFINED   1,2,5,6                 215,615
SUPERVALU INC         COM        86853610 184,837 12,943,796 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,943,796
SUPPORTSOFT INC       COM        86858710   1,315    684,809 SH        DEFINED   1,2,5                   684,809
SUPREME INDS INC      CL A       86860710      19     20,930 SH        DEFINED   1                        20,930
SUREWEST COMMUNICATI  COM        86873310     147     18,910 SH        DEFINED   1,2                      18,910
SURMODICS INC         COM        86887310   6,404    350,917 SH        DEFINED   1,2,5,6                 350,917
SUSQUEHANNA BANCSHAR  COM        86909910  31,591  3,386,012 SH        DEFINED   1,2,5,7               3,386,012
SUSSER HLDGS CORP     COM        86923310   1,670    124,281 SH        DEFINED   1,2                     124,281
SUTOR TECH GROUP LTD  COM        86936210      98     70,246 SH        DEFINED   1,2                      70,246
SVB FINL GROUP        COM        78486Q10  24,752  1,236,993 SH        DEFINED   1,2,5,6               1,236,993
SWIFT ENERGY CO       COM        87073810   4,765    652,759 SH        DEFINED   1,2,5                   652,759
SWITCH & DATA FACILI  COM        87104310   3,253    370,870 SH        DEFINED   1,2,6                   370,870
SWS GROUP INC         COM        78503N10   8,548    550,439 SH        DEFINED   1,2,5,6                 550,439
SYBASE INC            COM        87113010  84,843  2,801,022 SH        DEFINED   1,2,5,6,7,8           2,801,022
SYCAMORE NETWORKS IN  COM        87120610  10,632  3,981,965 SH        DEFINED   1,2,5,6               3,981,965
SYKES ENTERPRISES IN  COM        87123710  12,976    780,257 SH        DEFINED   1,2,5,6                 780,257
SYMANTEC CORP         NOTE 0.75  871503AD     492    500,000 SH        DEFINED   1                       500,000
SYMANTEC CORP         COM        87150310 471,397 31,552,671 SH        DEFINED   1,2,5,6,7,8,10,12,13 31,552,671
SYMMETRICOM INC       COM        87154310   4,076  1,164,464 SH        DEFINED   1,2,5                 1,164,464
SYMMETRY MED INC      COM        87154620   4,478    709,591 SH        DEFINED   1,2,5,6                 709,591
SYMS CORP             COM        87155110     495     80,863 SH        DEFINED   1,2                      80,863
SYMYX TECHNOLOGIES    COM        87155S10   2,637    592,479 SH        DEFINED   1,2,5,6                 592,479
SYNAPTICS INC         COM        87157D10  21,200    792,236 SH        DEFINED   1,2,5,6                 792,236
SYNCHRONOSS TECHNOLO  COM        87157B10   4,905    400,105 SH        DEFINED   1,2,5,6                 400,105
SYNERON MEDICAL LTD   ORD SHS    M8724510     131     22,137 SH        DEFINED   1,2,5                    22,137
SYNGENTA AG           SPONSORED  87160A10   1,214     30,270 SH        DEFINED   1                        30,270
SYNIVERSE HLDGS INC   COM        87163F10  27,495  1,744,597 SH        DEFINED   1,2,5,6               1,744,597
SYNNEX CORP           COM        87162W10   6,762    343,785 SH        DEFINED   1,2,5                   343,785
SYNOPSYS INC          COM        87160710 103,909  5,012,517 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,012,517
SYNOVIS LIFE TECHNOL  COM        87162G10   2,642    190,900 SH        DEFINED   1,2                     190,900
SYNOVUS FINL CORP     COM        87161C10  39,186 12,057,306 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,057,306
SYNTA PHARMACEUTICAL  COM        87162T20     519    242,751 SH        DEFINED   1,2                     242,751
SYNTEL INC            COM        87162H10   4,718    229,251 SH        DEFINED   1,2,5,6                 229,251
SYNTHESIS ENERGY SYS  COM        87162810     196    296,807 SH        DEFINED   1,2,6                   296,807
SYNTROLEUM CORP       COM        87163010     125     85,664 SH        DEFINED   1,5                      85,664
SYNUTRA INTL INC      COM        87164C10   1,172    142,799 SH        DEFINED   1,2                     142,799
SYSCO CORP            COM        87182910 464,136 20,356,851 SH        DEFINED   1,2,5,6,7,8,10,12,13 20,356,851
SYSTEMAX INC          COM        87185110   2,535    196,191 SH        DEFINED   1,2,5,6                 196,191
T-3 ENERGY SRVCS INC  COM        87306E10   2,557    217,026 SH        DEFINED   1,2,6                   217,026
TAIWAN GREATER CHINA  SH BEN INT 87403710     115     30,000 SH        DEFINED   7                        30,000
TAIWAN SEMICONDUCTOR  SPONSORED  87403910 110,763 12,375,772 SH        DEFINED   1,2,4,5,6,7,8        12,375,772




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
TAKE-TWO INTERACTIVE  COM        87405410    13,047  1,562,490 SH        DEFINED   1,2,5                 1,562,490
TAL INTL GROUP INC    COM        87408310     2,460    336,003 SH        DEFINED   1,2,5                   336,003
TALBOTS INC           COM        87416110     1,605    457,347 SH        DEFINED   1,2,5                   457,347
TALEO CORP            CL A       87424N10     5,710    483,460 SH        DEFINED   1,2,5,6                 483,460
TALISMAN ENERGY INC   COM        87425E10       232     22,070 SH        DEFINED   1,2                      22,070
TAM SA                SP ADR REP 87484D10       276     50,200 SH        DEFINED   1,2,6                    50,200
TANGER FACTORY OUTLE  COM        87546510    37,839  1,226,147 SH        DEFINED   1,2,3,5,6             1,226,147
TARGA RESOURCES PART  COM UNIT   87611X10       286     31,875 SH        DEFINED   1,2                      31,875
TARGACEPT INC         COM        87611R30       568    212,012 SH        DEFINED   1,2                     212,012
TARGET CORP           COM        87612E10 2,231,780 64,896,188 SH        DEFINED   1,2,5,6,7,8,10,12,13 64,896,188
TASER INTL INC        COM        87651B10     5,851  1,250,228 SH        DEFINED   1,2,5,6               1,250,228
TATA COMMUNICATIONS   SPONS ADR  87656410     2,270    106,203 SH        DEFINED   1,2,5,6,7,8             106,203
TATA MTRS LTD         SPONSORED  87656850     2,030    411,742 SH        DEFINED   1,2,5,6,8               411,742
TAUBMAN CTRS INC      COM        87666410    25,629  1,504,066 SH        DEFINED   1,2,3,5,6,10          1,504,066
TBS INTERNATIONAL LI  COM CL A   G8697515     1,207    164,176 SH        DEFINED   1,2,5                   164,176
TC PIPELINES LP       UT COM LTD 87233Q10       455     15,298 SH        DEFINED   1,2                      15,298
TCF FINL CORP         COM        87227510    43,934  3,735,877 SH        DEFINED   1,2,5,6,8,10,12       3,735,877
TD AMERITRADE HLDG C  COM        87236Y10    74,889  5,422,789 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,422,789
TDK CORP              AMERN DEP  87235140       224      5,922 SH        DEFINED   1                         5,922
TEAM INC              COM        87815510     3,744    319,465 SH        DEFINED   1,2,5,6                 319,465
TECH DATA CORP        COM        87823710    24,439  1,122,065 SH        DEFINED   1,2,5,6,8,10          1,122,065
TECH OPS SEVCON INC   COM        87829310        16     12,400 SH        DEFINED   1                        12,400
TECHNE CORP           COM        87837710    43,367    792,672 SH        DEFINED   1,2,5,6,10              792,672
TECHNITROL INC        COM        87855510     1,347    787,680 SH        DEFINED   1,2,5                   787,680
TECHNOLOGY RESH CORP  COM NEW    87872730        20     12,137 SH        DEFINED   1                        12,137
TECHTARGET INC        COM        87874R10       413    172,244 SH        DEFINED   1,2,5                   172,244
TECHWELL INC          COM        87874D10     1,509    239,071 SH        DEFINED   1,2                     239,071
TECK COMINCO LTD      CL B       87874220       362     65,265 SH        DEFINED   1,2,7                    65,265
TECO ENERGY INC       COM        87237510    88,232  7,913,224 SH        DEFINED   1,2,5,6,8,10,12,13    7,913,224
TECUMSEH PRODS CO     CL A       87889520     2,028    448,594 SH        DEFINED   1,2,5                   448,594
TEEKAY CORPORATION    COM        Y8564W10     6,509    457,395 SH        DEFINED   1,2,5,6,8,10,12         457,395
TEEKAY LNG PARTNERS   PRTNRSP UN Y8564M10       238     14,170 SH        DEFINED   1,2                      14,170
TEEKAY OFFSHORE PART  PARTNERSHI Y8565J10       165     14,400 SH        DEFINED   1,2                      14,400
TEEKAY TANKERS LTD    CL A       Y8565N10     1,702    178,966 SH        DEFINED   1                       178,966
TEJON RANCH CO DEL    COM        87908010     4,035    195,207 SH        DEFINED   1,2,5,6                 195,207
TEKELEC               COM        87910110    24,632  1,861,797 SH        DEFINED   1,2,5,6,7,8           1,861,797
TELE NORTE LESTE PAR  SPON ADR P 87924610     2,812    203,199 SH        DEFINED   1,2                     203,199
TELECOM ARGENTINA S   SPON ADR R 87927320     5,305    684,553 SH        DEFINED   1,2,5,8,10              684,553
TELECOM CORP NEW ZEA  SPONSORED  87927820        67     10,238 SH        DEFINED   1                        10,238
TELECOM ITALIA S P A  SPON ADR O 87927Y10       135     10,520 SH        DEFINED   1                        10,520
TELECOMMUNICATION SY  CL A       87929J10     5,697    621,278 SH        DEFINED   1,2,6                   621,278
TELEDYNE TECHNOLOGIE  COM        87936010    19,076    714,978 SH        DEFINED   1,2,5,6                 714,978
TELEFLEX INC          COM        87936910    35,859    917,353 SH        DEFINED   1,2,5,6,10              917,353
TELEFONICA S A        SPONSORED  87938220     3,606     60,480 SH        DEFINED   1,2,8                    60,480
TELEFONOS DE MEXICO   SPON ADR O 87940378    12,626    839,476 SH        DEFINED   1,2,7                   839,476




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
TELEPHONE & DATA SYS  COM        87943310  73,699  2,780,038 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,780,038
TELEPHONE & DATA SYS  SPL COM    87943386     888     37,552 SH        DEFINED   1,2,5,6                  37,552
TELETECH HOLDINGS IN  COM        87993910   9,207    845,496 SH        DEFINED   1,2,5,6                 845,496
TELIK INC             COM        87959M10      23     54,557 SH        DEFINED   1                        54,557
TELKONET INC          COM        87960410       3     24,759 SH        DEFINED   1                        24,759
TELLABS INC           COM        87966410  61,008 13,320,606 SH        DEFINED   1,2,5,6,7,10,13      13,320,606
TELMEX INTERNACIONAL  SPONS ADR  87969010     732     79,877 SH        DEFINED   1,8                      79,877
TELULAR CORP          COM NEW    87970T20      38     21,573 SH        DEFINED   1                        21,573
TEMPLE INLAND INC     COM        87986810  12,146  2,261,778 SH        DEFINED   1,2,5,6,10            2,261,778
TEMPUR PEDIC INTL IN  COM        88023U10  13,418  1,838,141 SH        DEFINED   1,2,5                 1,838,141
TENARIS S A           SPONSORED  88031M10  38,068  1,887,376 SH        DEFINED   1,2,4,5,8             1,887,376
TENET HEALTHCARE COR  COM        88033G10  16,908 14,575,591 SH        DEFINED   1,2,5,6,8,10,13      14,575,591
TENNANT CO            COM        88034510   2,888    308,191 SH        DEFINED   1,2,5                   308,191
TENNECO INC           COM        88034910   1,473    903,463 SH        DEFINED   1,2,5                   903,463
TEPPCO PARTNERS L P   UT LTD PAR 87238410   2,264     99,947 SH        DEFINED   1,2,8                    99,947
TERADATA CORP DEL     COM        88076W10  95,968  5,916,653 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,916,653
TERADYNE INC          COM        88077010  23,658  5,401,265 SH        DEFINED   1,2,5,6,8,10,13       5,401,265
TEREX CORP NEW        COM        88077910  30,204  3,265,339 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,265,339
TERRA INDS INC        COM        88091510  67,554  2,404,897 SH        DEFINED   1,2,5,6,7,10          2,404,897
TERRA NITROGEN CO L   COM UNIT   88100520   1,215      8,499 SH        DEFINED   1,2                       8,499
TERREMARK WORLDWIDE   COM NEW    88144820   2,396    890,881 SH        DEFINED   1,2,5,6                 890,881
TERRESTAR CORP        COM        88145110     473    844,523 SH        DEFINED   1,2,6                   844,523
TESCO CORP            COM        88157K10     324     41,431 SH        DEFINED   1,2,5,6                  41,431
TESORO CORP           COM        88160910  96,124  7,136,153 SH        DEFINED   1,2,5,6,8,10,13       7,136,153
TESSERA TECHNOLOGIES  COM        88164L10  13,385  1,001,145 SH        DEFINED   1,2,5,6               1,001,145
TETRA TECH INC NEW    COM        88162G10  25,591  1,255,677 SH        DEFINED   1,2,5,6               1,255,677
TETRA TECHNOLOGIES I  COM        88162F10   2,810    864,617 SH        DEFINED   1,2,5,6,10              864,617
TEVA PHARMACEUTICAL   ADR        88162420 157,593  3,498,176 SH        DEFINED   1,2,5,6,7,8           3,498,176
TEVA PHARMACEUTICAL   NOTE 1.75  88165FAA     543    500,000 SH        DEFINED   1                       500,000
TEXAS CAPITAL BANCSH  COM        88224Q10   5,649    501,656 SH        DEFINED   1,2,5,6                 501,656
TEXAS INDS INC        COM        88249110  11,660    466,412 SH        DEFINED   1,2,5,6                 466,412
TEXAS INSTRS INC      COM        88250810 724,714 43,895,487 SH        DEFINED   1,2,5,6,7,8,10,12,13 43,895,487
TEXAS ROADHOUSE INC   CL A       88268110   9,117    956,611 SH        DEFINED   1,2,5,6                 956,611
TEXTAINER GROUP HOLD  SHS        G8766E10     819    121,331 SH        DEFINED   1,2                     121,331
TEXTRON INC           COM        88320310  45,532  7,932,400 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,932,400
TFS FINL CORP         COM        87240R10  15,890  1,309,995 SH        DEFINED   1,2,5,7,8,10,12,13    1,309,995
TGC INDS INC          COM NEW    87241730      55     24,890 SH        DEFINED   1,2,5                    24,890
THERAGENICS CORP      COM        88337510     125    102,099 SH        DEFINED   1                       102,099
THERAVANCE INC        COM        88338T10  38,059  2,238,738 SH        DEFINED   1,2,5,6               2,238,738
THERMADYNE HLDGS COR  COM PAR $0 88343530     426    200,830 SH        DEFINED   1,2                     200,830
THERMO FISHER SCIENT  COM        88355610 490,629 13,754,665 SH        DEFINED   1,2,5,6,7,8,10,12,13 13,754,665
THERMOGENESIS CORP    COM NEW    88362320      40     64,298 SH        DEFINED   1                        64,298
THESTREET COM         COM        88368Q10     594    301,354 SH        DEFINED   1,2                     301,354
THINKORSWIM GROUP IN  COM        88409C10   7,684    889,404 SH        DEFINED   1,2,5,6                 889,404
THOMAS & BETTS CORP   COM        88431510  37,848  1,512,690 SH        DEFINED   1,2,5,6,7,8,10        1,512,690




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
THOMAS PPTYS GROUP I  COM        88445310     433    367,177 SH        DEFINED   1,2                     367,177
THOMAS WEISEL PARTNE  COM        88448110   1,158    323,422 SH        DEFINED   1,2                     323,422
THOMSON               SPONSORED  88511810      62     68,680 SH        DEFINED   1                        68,680
THOMSON REUTERS PLC   SPONSORED  88514110     342      2,558 SH        DEFINED   1,2                       2,558
THOR INDS INC         COM        88516010  12,364    791,574 SH        DEFINED   1,2,5,6,10              791,574
THORATEC CORP         COM NEW    88517530  40,554  1,578,593 SH        DEFINED   1,2,5,6               1,578,593
THQ INC               COM NEW    87244340   4,261  1,401,629 SH        DEFINED   1,2,5,6               1,401,629
TIBCO SOFTWARE INC    COM        88632Q10  30,253  5,153,892 SH        DEFINED   1,2,5,6,7,8           5,153,892
TICKETMASTER ENTMT I  COM        88633P30   2,802    759,439 SH        DEFINED   1,2,5,6,7,10            759,439
TIDEWATER INC         COM        88642310  47,905  1,290,208 SH        DEFINED   1,2,5,6,7,10          1,290,208
TIER TECHNOLOGIES IN  CL B       88650Q10      85     18,400 SH        DEFINED   1                        18,400
TIERONE CORP          COM        88650R10      31     14,534 SH        DEFINED   1                        14,534
TIFFANY & CO NEW      COM        88654710  88,374  4,098,985 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,098,985
TIM HORTONS INC       COM        88706M10  55,288  2,179,251 SH        DEFINED   1,2,5,7,8,10,12,13    2,179,251
TIM PARTICIPACOES S   SPONS ADR  88706P10     445     35,845 SH        DEFINED   1,2,6                    35,845
TIMBERLAND BANCORP I  COM        88709810      53     10,283 SH        DEFINED   1                        10,283
TIMBERLAND CO         CL A       88710010  20,212  1,692,798 SH        DEFINED   1,2,5,6               1,692,798
TIME WARNER CABLE IN  COM        88732J20 299,171 12,063,347 SH        DEFINED   1,2,5,6,7,8,10,12,13 12,063,347
TIME WARNER INC       COM        88731710 484,285 25,092,490 SH        DEFINED   1,7                  25,092,490
TIMKEN CO             COM        88738910  24,747  1,772,697 SH        DEFINED   1,2,5,6,7,8,10        1,772,697
TITAN INTL INC ILL    COM        88830M10   3,393    674,456 SH        DEFINED   1,2,5,6                 674,456
TITAN MACHY INC       COM        88830R10   1,147    127,726 SH        DEFINED   1,2,6                   127,726
TITANIUM METALS CORP  COM NEW    88833920  27,080  4,950,570 SH        DEFINED   1,2,5,6,10,13         4,950,570
TIVO INC              COM        88870610  13,822  1,963,296 SH        DEFINED   1,2,5,6               1,963,296
TJX COS INC NEW       COM        87254010 382,742 14,927,531 SH        DEFINED   1,2,5,6,7,8,10,12,13 14,927,531
TNS INC               COM        87296010   3,840    469,397 SH        DEFINED   1,2,5,6                 469,397
TOLL BROTHERS INC     COM        88947810  78,867  4,342,902 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,342,902
TOLLGRADE COMMUNICAT  COM        88954210     292     50,309 SH        DEFINED   1                        50,309
TOMKINS PLC           SPONSORED  89003020     122     17,850 SH        DEFINED   1                        17,850
TOMOTHERAPY INC       COM        89008810   1,806    681,338 SH        DEFINED   1,2,5,6                 681,338
TOMPKINS FINANCIAL C  COM        89011010   5,576    129,678 SH        DEFINED   1,2,5                   129,678
TOOTSIE ROLL INDS IN  COM        89051610  15,013    691,208 SH        DEFINED   1,2,5,6                 691,208
TORCHMARK CORP        COM        89102710  85,700  3,267,257 SH        DEFINED   1,2,5,6,7,8,10,12,13  3,267,257
TOREADOR RES CORP     COM        89105010     714    284,295 SH        DEFINED   1,2                     284,295
TORO CO               COM        89109210  14,419    596,302 SH        DEFINED   1,2,5,6,7,10            596,302
TORONTO DOMINION BK   COM NEW    89116050   2,869     82,968 SH        DEFINED   1,5,7,10,13              82,968
TOTAL S A             SPONSORED  89151E10   3,895     79,399 SH        DEFINED   1,2                      79,399
TOTAL SYS SVCS INC    COM        89190610  87,258  6,318,487 SH        DEFINED   1,2,5,6,7,8,10,12,13  6,318,487
TOWER GROUP INC       COM        89177710  19,770    802,672 SH        DEFINED   1,2,5,6                 802,672
TOWN SPORTS INTL HLD  COM        89214A10   1,036    346,520 SH        DEFINED   1,2,6                   346,520
TOWNEBANK PORTSMOUTH  COM        89214P10   7,361    450,772 SH        DEFINED   1,2                     450,772
TOYOTA MOTOR CORP     SP ADR REP 89233130   3,311     52,312 SH        DEFINED   1,2                      52,312
TRACTOR SUPPLY CO     COM        89235610  39,152  1,085,733 SH        DEFINED   1,2,5,6               1,085,733
TRADESTATION GROUP I  COM        89267P10   4,117    623,760 SH        DEFINED   1,2,5,6                 623,760
TRANS WORLD ENTMT CO  COM        89336Q10      22     37,348 SH        DEFINED   1                        37,348




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                         TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
    NAME OF ISSUER        CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
----------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                         
TRANS1 INC              COM        89385X10   1,039    170,528 SH        DEFINED   1,2                     170,528
TRANSACT TECHNOLOGIE    COM        89291810      29     11,469 SH        DEFINED   1                        11,469
TRANSATLANTIC HLDGS     COM        89352110  12,886    361,255 SH        DEFINED   1,2,5,6,7,8,10,12       361,255
TRANSDIGM GROUP INC     COM        89364110  20,276    617,428 SH        DEFINED   1,2,5,6                 617,428
TRANSMONTAIGNE PARTN    COM UNIT L 89376V10     250     14,912 SH        DEFINED   1,2                      14,912
TRANSOCEAN INC          NOTE 1.50  893830AV   1,929  2,250,000 SH        DEFINED   1                     2,250,000
TRANSOCEAN LTD          REG SHS    H8817H10 105,903  1,799,850 SH        DEFINED   1,2,5,6,7,8,10,12,13  1,799,850
TRANSPORTADORA DE GA    SPON ADR B 89387020      20     10,120 SH        DEFINED   1,2                      10,120
TRANSWITCH CORP         COM        89406510      30    101,210 SH        DEFINED   1                       101,210
TRAVELCENTERS OF AME    COM        89417410      51     27,625 SH        DEFINED   1,2                      27,625
TRAVELERS COMPANIES     COM        89417E10 914,330 22,498,281 SH        DEFINED   1,2,5,6,7,8,10,12,13 22,498,281
TRC COS INC             COM        87262510      35     14,676 SH        DEFINED   1                        14,676
TREDEGAR CORP           COM        89465010  11,844    725,273 SH        DEFINED   1,2,5                   725,273
TREE COM INC            COM        89467510     314     67,881 SH        DEFINED   1,2,8,10                 67,881
TREEHOUSE FOODS INC     COM        89469A10  21,055    731,317 SH        DEFINED   1,2,5,6                 731,317
TREX INC                COM        89531P10   2,063    270,365 SH        DEFINED   1,2                     270,365
TRI VY CORP             COM        89573510     332    291,065 SH        DEFINED   1,2,5                   291,065
TRIAD GTY INC           COM        89592510       2     14,889 SH        DEFINED   1                        14,889
TRICO BANCSHARES        COM        89609510   4,286    256,052 SH        DEFINED   1,2                     256,052
TRICO MARINE SERVICE    COM NEW    89610620     471    224,430 SH        DEFINED   1,2                     224,430
TRIDENT MICROSYSTEMS    COM        89591910   1,552  1,063,087 SH        DEFINED   1,2,6                 1,063,087
TRIMAS CORP             COM NEW    89621520     416    237,522 SH        DEFINED   1,2                     237,522
TRIMBLE NAVIGATION L    COM        89623910  36,235  2,371,415 SH        DEFINED   1,2,5,6,10            2,371,415
TRIMERIS INC            COM        89626310      41     23,528 SH        DEFINED   1                        23,528
TRINITY INDS INC        COM        89652210  18,345  2,007,075 SH        DEFINED   1,2,5,6,7,10          2,007,075
TRIPLE-S MGMT CORP      CL B       89674910   3,189    258,809 SH        DEFINED   1,2                     258,809
TRIQUINT SEMICONDUCT    COM        89674K10   8,409  3,404,464 SH        DEFINED   1,2,5,6               3,404,464
TRIUMPH GROUP INC NE    COM        89681810  13,929    364,629 SH        DEFINED   1,2,5                   364,629
TRUE RELIGION APPARE    COM        89784N10   4,242    359,221 SH        DEFINED   1,2,5,6                 359,221
TRUEBLUE INC            COM        89785X10   9,664  1,171,419 SH        DEFINED   1,2,5,6               1,171,419
TRUSTCO BK CORP N Y     COM        89834910  10,820  1,797,355 SH        DEFINED   1,2,5                 1,797,355
TRUSTMARK CORP          COM        89840210  37,811  2,057,187 SH        DEFINED   1,2,5                 2,057,187
TRW AUTOMOTIVE HLDGS    COM        87264S10   2,895    899,055 SH        DEFINED   1,2,5,8,10              899,055
TSAKOS ENERGY NAVIGA    SHS        G9108L10     185     13,139 SH        DEFINED   1,5,6                    13,139
TTM TECHNOLOGIES IN     COM        87305R10   6,986  1,204,509 SH        DEFINED   1,2,6                 1,204,509
TUESDAY MORNING CORP    COM NEW    89903550     700    551,138 SH        DEFINED   1,2                     551,138
TUPPERWARE BRANDS CO    COM        89989610  29,218  1,719,712 SH        DEFINED   1,2,5                 1,719,712
TURKCELL ILETISIM HI    SPON ADR N 90011120     727     59,146 SH        DEFINED   2,6,8                    59,146
TW TELECOM INC          COM        87311L10  29,085  3,323,993 SH        DEFINED   1,2,5,6               3,323,993
TWEEN BRANDS INC        COM        90116610     994    464,403 SH        DEFINED   1,2,5                   464,403
TWIN DISC INC           COM        90147610   1,831    264,556 SH        DEFINED   1,2                     264,556
TXCO RES INC            COM        87311M10     332    806,689 SH        DEFINED   1,2,5                   806,689
TYCO ELECTRONICS LTD    COM NEW    G9144P10 155,942 14,125,192 SH        DEFINED   1,2,5,6,7,8,10,12,13 14,125,192
TYCO INTERNATIONAL LTD  COM        H8912819  75,157  3,842,365 SH        DEFINED   1,2,5,7,8,10,12,13    3,842,365
TYLER TECHNOLOGIES I    COM        90225210  10,752    734,901 SH        DEFINED   1,2,5,6                 734,901




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                         
TYSON FOODS INC       CL A       90249410  96,842 10,313,361 SH        DEFINED   1,2,5,6,7,8,10,12,13   10,313,361
U M H PROPERTIES INC  COM        90300210     111     20,583 SH        DEFINED   1                          20,583
U S AIRWAYS GROUP IN  COM        90341W10   5,784  2,286,161 SH        DEFINED   1,2,5,6,8               2,286,161
U S CONCRETE INC      COM        90333L10   1,295    647,470 SH        DEFINED   1,2,5                     647,470
U S G CORP            COM NEW    90329340   8,740  1,148,508 SH        DEFINED   1,2,5,6,8,10            1,148,508
U S GEOTHERMAL INC    COM        90338S10     599    843,217 SH        DEFINED   1,2                       843,217
U S GLOBAL INVS INC   CL A       90295210     854    175,413 SH        DEFINED   1,2                       175,413
U S PHYSICAL THERAPY  COM        90337L10   1,804    186,411 SH        DEFINED   1,2,5                     186,411
U STORE IT TR         COM        91274F10   3,974  1,967,175 SH        DEFINED   1,2,3,5                 1,967,175
UAL CORP              NOTE 4.50  902549AH      33    100,000 SH        DEFINED   1                         100,000
UAL CORP              COM NEW    90254980  11,842  2,643,364 SH        DEFINED   1,2,5,6,8               2,643,364
UBS AG                SHS NEW    H8923133  29,797  3,159,807 SH        DEFINED   1                       3,159,807
UCBH HOLDINGS INC     COM        90262T30   7,765  5,142,328 SH        DEFINED   1,2,5                   5,142,328
UDR INC               COM        90265310  45,298  5,261,064 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  5,261,064
UGI CORP NEW          COM        90268110  53,948  2,284,976 SH        DEFINED   1,2,5,6,8,10            2,284,976
UIL HLDG CORP         COM        90274810  12,626    565,672 SH        DEFINED   1,2,5                     565,672
ULTA SALON COSMETCS   COM        90384S30   2,514    379,800 SH        DEFINED   1,2,5,6                   379,800
ULTIMATE SOFTWARE GR  COM        90385D10   8,265    478,867 SH        DEFINED   1,2,5,6,8                 478,867
ULTRA CLEAN HLDGS IN  COM        90385V10     302    281,820 SH        DEFINED   1,2                       281,820
ULTRA PETROLEUM CORP  COM        90391410  39,685  1,105,736 SH        DEFINED   1,2,5,6,7,8,10,12,13    1,105,736
ULTRALIFE CORP        COM        90389910   1,431    185,110 SH        DEFINED   1,2                       185,110
ULTRAPETROL BAHAMAS   COM        P9439810     798    295,498 SH        DEFINED   1                         295,498
ULTRATECH INC         COM        90403410   5,403    432,615 SH        DEFINED   1,2,6                     432,615
ULURU INC             COM        90403T10       4     24,385 SH        DEFINED   1                          24,385
UMB FINL CORP         COM        90278810  44,847  1,055,482 SH        DEFINED   1,2,5,6                 1,055,482
UMPQUA HLDGS CORP     COM        90421410  23,532  2,597,391 SH        DEFINED   1,2,5                   2,597,391
UNDER ARMOUR INC      CL A       90431110  15,949    970,704 SH        DEFINED   1,2,5,6                   970,704
UNICA CORP            COM        90458310     838    173,556 SH        DEFINED   1,2                       173,556
UNICO AMERN CORP      COM        90460710      95     12,626 SH        DEFINED   1,2                        12,626
UNIFI INC             COM        90467710     610    952,916 SH        DEFINED   1,2,5,6                   952,916
UNIFIRST CORP MASS    COM        90470810  10,591    380,425 SH        DEFINED   1,2,5                     380,425
UNILEVER N V          N Y SHS NE 90478470     727     37,070 SH        DEFINED   1                          37,070
UNILEVER PLC          SPON ADR N 90476770     640     33,828 SH        DEFINED   1                          33,828
UNION BANKSHARES COR  COM        90539910   3,561    257,112 SH        DEFINED   1,2                       257,112
UNION DRILLING INC    COM        90653P10   1,166    306,879 SH        DEFINED   1,2                       306,879
UNION PAC CORP        COM        90781810 692,373 16,841,970 SH        DEFINED   1,2,5,6,7,8,10,12,13   16,841,970
UNISOURCE ENERGY COR  COM        90920510  32,206  1,142,456 SH        DEFINED   1,2,5,7                 1,142,456
UNISYS CORP           COM        90921410   2,294  4,328,496 SH        DEFINED   1,2,5,6,10              4,328,496
UNIT CORP             COM        90921810  25,765  1,231,611 SH        DEFINED   1,2,5,6,7,10            1,231,611
UNITED AMER INDEMNIT  CL A       90933T10   1,437    357,466 SH        DEFINED   1,2,5                     357,466
UNITED BANKSHARES IN  COM        90990710  23,875  1,384,837 SH        DEFINED   1,2,5                   1,384,837
UNITED CAPITAL CORP   COM        90991210     375     21,749 SH        DEFINED   1,2                        21,749
UNITED CMNTY BKS BLA  CAP STK    90984P10   3,828    920,147 SH        DEFINED   1,2,5                     920,147
UNITED CMNTY FINL CO  COM        90983910     623    515,128 SH        DEFINED   1,2                       515,128
UNITED FINANCIAL BAN  COM        91030T10   3,753    286,692 SH        DEFINED   1,2                       286,692




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
UNITED FIRE & CAS CO  COM        91033110    10,342     470,945 SH        DEFINED   1,2,5                    470,945
UNITED MICROELECTRON  SPON ADR N 91087340     5,953   2,353,153 SH        DEFINED   1,2,6,8                2,353,153
UNITED NAT FOODS INC  COM        91116310    16,527     871,212 SH        DEFINED   1,2,5,6                  871,212
UNITED ONLINE INC     COM        91126810     8,392   1,881,623 SH        DEFINED   1,2,5                  1,881,623
UNITED PANAM FINANCI  COM        91130110        20      13,475 SH        DEFINED   1                         13,475
UNITED PARCEL SERVIC  CL B       91131210 1,381,706  28,072,047 SH        DEFINED   1,2,5,6,7,8,10,12,13  28,072,047
UNITED RENTALS INC    COM        91136310     6,339   1,505,702 SH        DEFINED   1,2,5,6,8,10           1,505,702
UNITED SECURITY BANC  COM        91146010     1,003     136,211 SH        DEFINED   1,2                      136,211
UNITED STATES CELLUL  COM        91168410     6,158     184,707 SH        DEFINED   1,2,5,8,10               184,707
UNITED STATES LIME &  COM        91192210       617      22,561 SH        DEFINED   1,2                       22,561
UNITED STATES STL CO  COM        91290910   103,843   4,914,470 SH        DEFINED   1,2,5,6,7,8,10,12,13   4,914,470
UNITED STATIONERS IN  COM        91300410    17,700     630,349 SH        DEFINED   1,2,5,8                  630,349
UNITED TECHNOLOGIES   COM        91301710 4,343,284 101,053,607 SH        DEFINED   1,2,5,6,7,8,10,12,13 101,053,607
UNITED THERAPEUTICS   COM        91307C10    64,518     976,208 SH        DEFINED   1,2,5,6                  976,208
UNITEDHEALTH GROUP I  COM        91324P10   899,699  42,986,074 SH        DEFINED   1,2,5,6,7,8,10,12,13  42,986,074
UNITRIN INC           COM        91327510    13,943     997,348 SH        DEFINED   1,2,5,6,10               997,348
UNIVERSAL AMERICAN C  COM        91337710     8,289     978,664 SH        DEFINED   1,2,5                    978,664
UNIVERSAL CORP VA     COM        91345610    19,944     666,592 SH        DEFINED   1,2,5,8                  666,592
UNIVERSAL DISPLAY CO  COM        91347P10     4,557     496,906 SH        DEFINED   1,2,5,6                  496,906
UNIVERSAL ELECTRS IN  COM        91348310     4,666     257,787 SH        DEFINED   1,2,5,6                  257,787
UNIVERSAL FST PRODS   COM        91354310     9,373     352,231 SH        DEFINED   1,2,5                    352,231
UNIVERSAL HEALTH RLT  SH BEN INT 91359E10    11,260     385,205 SH        DEFINED   1,2,3,5                  385,205
UNIVERSAL HLTH SVCS   CL B       91390310    41,932   1,093,701 SH        DEFINED   1,2,5,6,8,10,12        1,093,701
UNIVERSAL STAINLESS   COM        91383710     1,204     124,520 SH        DEFINED   1,2,5                    124,520
UNIVERSAL TECHNICAL   COM        91391510     5,274     439,483 SH        DEFINED   1,2,5,6                  439,483
UNIVERSAL TRUCKLOAD   COM        91388P10     1,544     107,689 SH        DEFINED   1,2,6                    107,689
UNIVEST CORP PA       COM        91527110     4,415     252,282 SH        DEFINED   1,2                      252,282
UNUM GROUP            COM        91529Y10   174,633  13,970,669 SH        DEFINED   1,2,5,6,7,8,10,12,13  13,970,669
UQM TECHNOLOGIES INC  COM        90321310        26      15,719 SH        DEFINED   1                         15,719
URANIUM RES INC       COM PAR $0 91690150       349     743,315 SH        DEFINED   1,2                      743,315
URBAN OUTFITTERS INC  COM        91704710    50,043   3,057,014 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,057,014
UROLOGIX INC          COM        91727310         6      14,851 SH        DEFINED   1                         14,851
URS CORP NEW          COM        90323610    69,795   1,727,160 SH        DEFINED   1,2,5,6,10             1,727,160
URSTADT BIDDLE PPTYS  CL A       91728620     5,803     432,406 SH        DEFINED   1,2,3,5                  432,406
US BANCORP DEL        COM NEW    90297330   999,432  68,407,376 SH        DEFINED   1,2,5,6,7,8,10,12,13  68,407,376
US GOLD CORPORATION   COM PAR $0 91202320        98      48,163 SH        DEFINED   1,2                       48,163
USA MOBILITY INC      COM        90341G10     6,535     709,561 SH        DEFINED   1,2,5                    709,561
USANA HEALTH SCIENCE  COM        90328M10     3,180     142,200 SH        DEFINED   1,2,5,6                  142,200
USEC INC              COM        90333E10    20,756   4,324,229 SH        DEFINED   1,2,5                  4,324,229
UTI WORLDWIDE INC     ORD        G8721010     9,908     829,147 SH        DEFINED   1,2,5,10                 829,147
UTSTARCOM INC         COM        91807610     1,689   2,138,126 SH        DEFINED   1,2,5                  2,138,126
V F CORP              COM        91820410   173,216   3,033,023 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,033,023
VAALCO ENERGY INC     COM NEW    91851C20     8,871   1,676,942 SH        DEFINED   1,2                    1,676,942
VAIL RESORTS INC      COM        91879Q10    13,072     639,823 SH        DEFINED   1,2,5,6                  639,823
VALASSIS COMMUNICATI  COM        91886610     1,508     960,193 SH        DEFINED   1,2,5                    960,193




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                    TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
 NAME OF ISSUER      CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE     SHARED NONE
------------------ ---------- -------- --------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                          
VALEANT
  PHARMACEUTIC     COM        91911X10    43,635   2,452,808 SH        DEFINED   1,2,5,6                  2,452,808
VALENCE
  TECHNOLOGY I     COM        91891410     1,617     758,947 SH        DEFINED   1,2,6                      758,947
VALERO ENERGY
  CORP N           COM        91913Y10   382,430  21,364,809 SH        DEFINED   1,2,5,6,7,8,10,12,13    21,364,809
VALHI INC NEW      COM        91890510       639      68,142 SH        DEFINED   1,2,5,10                    68,142
VALIDUS HOLDINGS
  LTD              COM SHS    G9319H10    23,431     989,477 SH        DEFINED   1,2                        989,477
VALLEY NATL
  BANCORP          COM        91979410    43,363   3,505,524 SH        DEFINED   1,2,5,6,8,10,12          3,505,524
VALMONT INDS INC   COM        92025310    10,889     216,864 SH        DEFINED   1,2,5,6,10                 216,864
VALSPAR CORP       COM        92035510    40,609   2,033,495 SH        DEFINED   1,2,5,6,8,10             2,033,495
VALUE LINE INC     COM        92043710       495      18,106 SH        DEFINED   1,2                         18,106
VALUECLICK INC     COM        92046N10    20,968   2,463,947 SH        DEFINED   1,2,5,6                  2,463,947
VALUEVISION MEDIA
  IN               CL A       92047K10        40      57,282 SH        DEFINED   1                           57,282
VANDA
  PHARMACEUTICAL   COM        92165910        14      15,536 SH        DEFINED   1                           15,536
VANGUARD BD
  INDEX FD         TOTAL BND  92193783    45,804     593,700 SH        DEFINED   2                          593,700
VANGUARD INDEX
  FDS              REIT ETF   92290855     3,878     159,700 SH        DEFINED   2                          159,700
VANGUARD INTL
  EQUITY           EMR MKT ET 92204285    30,367   1,288,912 SH        DEFINED   1,2                      1,288,912
VARIAN INC         COM        92220610    21,112     889,294 SH        DEFINED   1,2,5,6                    889,294
VARIAN MED SYS
  INC              COM        92220P10   140,871   4,627,827 SH        DEFINED   1,2,5,6,7,8,10,12,13     4,627,827
VARIAN
  SEMICONDUCTOR    COM        92220710    21,568     995,745 SH        DEFINED   1,2,5,6,10                 995,745
VASCO DATA SEC
  INTL             COM        92230Y10     2,712     469,938 SH        DEFINED   1,2,5,6                    469,938
VCA ANTECH INC     COM        91819410    41,052   1,820,472 SH        DEFINED   1,2,5,6,10               1,820,472
VECTOR GROUP LTD   COM        92240M10     6,693     515,240 SH        DEFINED   1,2,5                      515,240
VECTREN CORP       COM        92240G10    44,816   2,124,989 SH        DEFINED   1,2,5,6,10               2,124,989
VEECO INSTRS INC
  DEL              COM        92241710     3,876     581,128 SH        DEFINED   1,2,5,6                    581,128
VENOCO INC         COM        92275P30     1,059     322,806 SH        DEFINED   1,2,5,6                    322,806
VENTAS INC         COM        92276F10   169,433   7,493,733 SH        DEFINED   1,2,3,5,6,7,8,10,12,13   7,493,733
VERENIUM
  CORPORATION      COM        92340P10        13      46,063 SH        DEFINED   1                           46,063
VERIFONE HLDGS
  INC              COM        92342Y10     8,402   1,235,526 SH        DEFINED   1,2,5,6                  1,235,526
VERIGY LTD         SHS        Y9369110       717      86,894 SH        DEFINED   1,2,5,6                     86,894
VERISIGN INC       COM        92343E10   116,978   6,199,173 SH        DEFINED   1,2,5,6,7,8,10,12,13     6,199,173
VERIZON
  COMMUNICATIO     COM        92343V10 3,127,139 103,547,644 SH        DEFINED   1,2,5,6,7,8,10,12,13   103,547,644
VERSO PAPER CORP   COM        92531L10       109     170,685 SH        DEFINED   1,2                        170,685
VERTEX
  PHARMACEUTICA    COM        92532F10   140,698   4,897,245 SH        DEFINED   1,2,5,6,7,8,10,12,13     4,897,245
VIACOM INC NEW     CL A       92553P10       245      13,111 SH        DEFINED   1,5,6                       13,111
VIACOM INC NEW     CL B       92553P20   324,056  18,645,322 SH        DEFINED   1,2,5,6,7,8,10,12,13    18,645,322
VIAD CORP          COM NEW    92552R40     8,154     577,482 SH        DEFINED   1,2,5                      577,482
VIASAT INC         COM        92552V10    12,358     593,572 SH        DEFINED   1,2,5,6                    593,572
VICAL INC          COM        92560210        44      22,704 SH        DEFINED   1                           22,704
VICOR CORP         COM        92581510     1,747     357,227 SH        DEFINED   1,2,5,6                    357,227
VIEWPOINT FINL
  GROUP            COM        92672710     1,932     160,564 SH        DEFINED   1,2,6                      160,564
VIGNETTE CORP      COM NEW    92673440     4,093     612,762 SH        DEFINED   1,2,5,6                    612,762
VILLAGE SUPER MKT
  IN               CL A NEW   92710740     4,132     132,571 SH        DEFINED   1,2                        132,571
VINA CONCHA Y
  TORO S           SPONSORED  92719110       518      15,613 SH        DEFINED   1,2,6                       15,613
VIRAGE LOGIC CORP  COM        92763R10        40      11,999 SH        DEFINED   1                           11,999
VIRCO MFG CO       COM        92765110        37      12,730 SH        DEFINED   1                           12,730
VIRGIN MEDIA INC   COM        92769L10    34,264   7,138,237 SH        DEFINED   1,2,5,6,7,8,10,12,13     7,138,237




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE   SHARES OR  SH/ PUT/ INVESTMENT                           VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)   PRN AMT   PRN CALL DISCRETION     OTHER MANAGERS        SOLE    SHARED NONE
--------------------- ---------- -------- --------- ---------- --- ---- ---------- ---------------------- ---------- ------ ----
                                                                                           
VIRGIN MOBILE USA IN  CL A       92769R10       587    454,917 SH        DEFINED   1,2                       454,917
VIRGINIA COMM BANCOR  COM        92778Q10       114     30,185 SH        DEFINED   1                          30,185
VIROPHARMA INC        COM        92824110    11,002  2,095,621 SH        DEFINED   1,2,5,6                 2,095,621
VIRTUAL RADIOLOGIC C  COM        92826B10       673     96,306 SH        DEFINED   1,2                        96,306
VIRTUS INVT PARTNERS  COM        92828Q10       731    112,348 SH        DEFINED   1,2,5                     112,348
VIRTUSA CORP          COM        92827P10       837    135,079 SH        DEFINED   1,2                       135,079
VISA INC              COM CL A   92826C83   365,154  6,567,518 SH        DEFINED   1,2,5,6,7,8,10,12,13    6,567,518
VISHAY INTERTECHNOLO  COM        92829810    18,337  5,269,157 SH        DEFINED   1,2,5,6,7,8,10          5,269,157
VISION-SCIENCES INC   COM        92791210       199    155,277 SH        DEFINED   1,2                       155,277
VISTA GOLD CORP       COM NEW    92792630        33     16,100 SH        DEFINED   1                          16,100
VISTAPRINT LIMITED    SHS        G9376220    20,607    749,609 SH        DEFINED   1,2,5                     749,609
VITAL IMAGES INC      COM        92846N10     3,085    273,774 SH        DEFINED   1,2,5,6                   273,774
VIVUS INC             COM        92855110     6,714  1,554,070 SH        DEFINED   1,2,5,6                 1,554,070
VMWARE INC            CL A COM   92856340    16,325    691,172 SH        DEFINED   1,2,5,6,7,8,10,12,13      691,172
VNUS MED TECHNOLOGIE  COM        92856610     4,522    212,596 SH        DEFINED   1,2,6                     212,596
VOCUS INC             COM        92858J10     3,709    279,107 SH        DEFINED   1,2,5,6                   279,107
VODAFONE GROUP PLC N  SPONS ADR  92857W20     6,158    353,506 SH        DEFINED   1,2                       353,506
VOLCANO CORPORATION   COM        92864510    12,630    868,030 SH        DEFINED   1,2,5,6                   868,030
VOLCOM INC            COM        92864N10     3,176    327,396 SH        DEFINED   1,2,5,6                   327,396
VOLT INFORMATION SCI  COM        92870310     1,884    283,342 SH        DEFINED   1,2,5,8                   283,342
VOLTERRA SEMICONDUCT  COM        92870810     4,337    513,823 SH        DEFINED   1,2                       513,823
VONAGE HLDGS CORP     COM        92886T20       329    823,495 SH        DEFINED   1,2,6                     823,495
VORNADO RLTY TR       DBCV 2.85  929042AC       750  1,000,000 SH        DEFINED   1                       1,000,000
VORNADO RLTY TR       SH BEN INT 92904210   248,535  7,476,982 SH        DEFINED   1,2,3,5,6,7,8,10,12,13  7,476,982
VOTORANTIM CELULOSE   SPONSORED  92906P10       382     87,327 SH        DEFINED   1,2,7                      87,327
VSE CORP              COM        91828410     1,839     68,866 SH        DEFINED   1,2                        68,866
VULCAN MATLS CO       COM        92916010   167,504  3,781,980 SH        DEFINED   1,2,5,6,7,8,10,12,13    3,781,980
W & T OFFSHORE INC    COM        92922P10     2,164    351,872 SH        DEFINED   1,2,5,6,10                351,872
W HLDG CO INC         COM NEW    92925187       340     37,390 SH        DEFINED   1,2                        37,390
W P CAREY & CO LLC    COM        92930Y10       805     36,281 SH        DEFINED   1,2                        36,281
WABASH NATL CORP      COM        92956610       917    745,338 SH        DEFINED   1,2,5                     745,338
WABCO HLDGS INC       COM        92927K10    10,720    870,873 SH        DEFINED   1,2,5,6,8,10,12           870,873
WABTEC CORP           COM        92974010    36,847  1,396,775 SH        DEFINED   1,2,5,6                 1,396,775
WACOAL HOLDINGS CORP  ADR        93000420       390      6,655 SH        DEFINED   1                           6,655
WADDELL & REED FINL   CL A       93005910    29,369  1,625,305 SH        DEFINED   1,2,5,6,10              1,625,305
WAL MART STORES INC   COM        93114210 4,424,599 84,925,123 SH        DEFINED   1,2,5,6,7,8,10,12,13   84,925,123
WALGREEN CO           COM        93142210   840,923 32,393,044 SH        DEFINED   1,2,5,6,7,8,10,12,13   32,393,044
WALTER INDS INC       COM        93317Q10    16,802    734,665 SH        DEFINED   1,2,5,6,10                734,665
WARNACO GROUP INC     COM NEW    93439040    31,602  1,316,744 SH        DEFINED   1,2,5,6                 1,316,744
WARNER CHILCOTT LIMI  COM CL A   G9435N10    16,084  1,528,934 SH        DEFINED   1,2,5,7,8,10,12         1,528,934
WARNER MUSIC GROUP C  COM        93455010     2,601  1,106,881 SH        DEFINED   1,2,5,7,10              1,106,881
WARREN RES INC        COM        93564A10       934    982,982 SH        DEFINED   1,2,5,6                   982,982
WASHINGTON FED INC    COM        93882410    24,773  1,864,055 SH        DEFINED   1,2,5,6,10              1,864,055
WASHINGTON POST CO    CL B       93964010    67,743    189,704 SH        DEFINED   1,2,5,6,7,8,10,12,13      189,704
WASHINGTON REAL ESTA  SH BEN INT 93965310    31,641  1,828,957 SH        DEFINED   1,2,3,5                 1,828,957




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF             VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP    (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE     SHARED NONE
--------------------- ---------- -------- --------- ----------- --- ---- ---------- -------------------- ----------- ------ ----
                                                                                           
WASHINGTON TR BANCOR  COM        94061010     4,182     257,360 SH        DEFINED   1,2,5                    257,360
WASTE CONNECTIONS IN  COM        94105310    63,265   2,461,673 SH        DEFINED   1,2,5,6                2,461,673
WASTE MGMT INC DEL    COM        94106L10   537,178  20,983,517 SH        DEFINED   1,2,5,6,7,8,10,12,13  20,983,517
WASTE SERVICES INC D  COM NEW    94107520     2,474     578,059 SH        DEFINED   1,2,6                    578,059
WATERS CORP           COM        94184810   126,342   3,419,268 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,419,268
WATERSTONE FINANCIAL  COM        94188810       280     137,085 SH        DEFINED   1,2,5,6                  137,085
WATSCO INC            COM        94262220    17,019     500,113 SH        DEFINED   1,2,5                    500,113
WATSON PHARMACEUTICA  DBCV 1.75  942683AC       241     250,000 SH        DEFINED   1                        250,000
WATSON PHARMACEUTICA  COM        94268310   103,998   3,342,928 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,342,928
WATSON WYATT WORLDWI  CL A       94271210    71,997   1,458,306 SH        DEFINED   1,2,5,6,7              1,458,306
WATTS WATER TECHNOLO  CL A       94274910    13,462     688,255 SH        DEFINED   1,2,5                    688,255
WAUSAU PAPER CORP     COM        94331510     5,739   1,091,153 SH        DEFINED   1,2,5                  1,091,153
WAVE SYSTEMS CORP     COM NEW    94352630         7      12,338 SH        DEFINED   1                         12,338
WCA WASTE CORP        COM        92926K10        20      12,600 SH        DEFINED   1                         12,600
WD-40 CO              COM        92923610     7,984     330,755 SH        DEFINED   1,2,5                    330,755
WEATHERFORD INTERNAT  REG        H2701310    40,810   3,686,541 SH        DEFINED   1,2,5,6,7,8,10,12,13   3,686,541
WEB COM GROUP INC     COM        94733A10     1,334     401,847 SH        DEFINED   1,2                      401,847
WEBMD HEALTH CORP     CL A       94770V10     1,674      75,062 SH        DEFINED   1,2,6,10                  75,062
WEBMEDIABRANDS INC    COM        94770W10        11      28,172 SH        DEFINED   1                         28,172
WEBSENSE INC          COM        94768410    12,374   1,031,172 SH        DEFINED   1,2,5,6,8              1,031,172
WEBSTER FINL CORP CO  COM        94789010     7,921   1,863,836 SH        DEFINED   1,2,5,6,10             1,863,836
WEIGHT WATCHERS INTL  COM        94862610     7,371     397,357 SH        DEFINED   1,2,5,6,8,10,12          397,357
WEINGARTEN RLTY INVS  SH BEN INT 94874110    26,357   2,768,637 SH        DEFINED   1,2,3,5,6,8,10         2,768,637
WEIS MKTS INC         COM        94884910     6,556     211,214 SH        DEFINED   1,2,5                    211,214
WELLCARE HEALTH PLAN  COM        94946T10     9,084     807,472 SH        DEFINED   1,2,5,6,7,10             807,472
WELLPOINT INC         COM        94973V10   655,824  17,272,157 SH        DEFINED   1,2,5,6,7,8,10,12,13  17,272,157
WELLS FARGO & CO NEW  COM        94974610 2,292,656 161,001,098 SH        DEFINED   1,2,5,6,7,8,10,12,13 161,001,098
WELLS FARGO & CO NEW  PERP PFD C 94974680       479       1,000 SH        DEFINED   1                          1,000
WENDYS ARBYS GROUP I  COM        95058710    58,139  11,558,441 SH        DEFINED   1,2,5,6,8,12          11,558,441
WERNER ENTERPRISES I  COM        95075510    25,272   1,671,435 SH        DEFINED   1,2,5,6,8              1,671,435
WESBANCO INC          COM        95081010    14,567     638,057 SH        DEFINED   1,2,5                    638,057
WESCO FINL CORP       COM        95081710     4,473      16,206 SH        DEFINED   1,2,5,10,12               16,206
WESCO INTL INC        COM        95082P10    12,028     663,796 SH        DEFINED   1,2,5,6,8,10             663,796
WEST BANCORPORATION   CAP STK    95123P10     2,228     299,120 SH        DEFINED   1,2                      299,120
WEST COAST BANCORP O  COM        95214510       809     364,204 SH        DEFINED   1,2,5                    364,204
WEST MARINE INC       COM        95423510        76      14,137 SH        DEFINED   1                         14,137
WEST PHARMACEUTICAL   COM        95530610    21,673     660,563 SH        DEFINED   1,2,5,6                  660,563
WESTAMERICA BANCORPO  COM        95709010    50,017   1,097,833 SH        DEFINED   1,2,5,6                1,097,833
WESTAR ENERGY INC     COM        95709T10    55,878   3,187,562 SH        DEFINED   1,2,5,6                3,187,562
WESTELL TECHNOLOGIES  CL A       95754110        14      51,412 SH        DEFINED   1                         51,412
WESTERN ALLIANCE BAN  COM        95763810     1,777     389,620 SH        DEFINED   1,2,5                    389,620
WESTERN DIGITAL CORP  COM        95810210   111,443   5,762,296 SH        DEFINED   1,2,5,6,7,8,10,12,13   5,762,296
WESTERN GAS PARTNERS  COM UNIT L 95825410       253      16,973 SH        DEFINED   1,2                       16,973
WESTERN REFNG INC     COM        95931910     6,712     562,128 SH        DEFINED   1,2,5                    562,128
WESTERN UN CO         COM        95980210   300,148  23,878,135 SH        DEFINED   1,2,5,6,7,8,10,12,13  23,878,135




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                       TITLE OF            VALUE  SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER       CLASS     CUSIP   (x1000)  PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- ---------- -------- ------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                       
WESTFIELD FINANCIAL   COM        96008P10   5,023    570,765 SH        DEFINED   1,2                     570,765
WESTLAKE CHEM CORP    COM        96041310   5,153    352,227 SH        DEFINED   1,2,5                   352,227
WESTMORELAND COAL CO  COM        96087810   1,460    203,610 SH        DEFINED   1,2,5                   203,610
WESTPAC BKG CORP      SPONSORED  96121430   2,210     33,128 SH        DEFINED   1                        33,128
WESTWOOD HLDGS GROUP  COM        96176510   4,792    122,577 SH        DEFINED   1,2,6                   122,577
WET SEAL INC          CL A       96184010   6,108  1,817,720 SH        DEFINED   1,2,6                 1,817,720
WEYCO GROUP INC       COM        96214910   3,157    121,786 SH        DEFINED   1,2                     121,786
WEYERHAEUSER CO       COM        96216610 202,152  7,332,326 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,332,326
WGL HLDGS INC         COM        92924F10  77,522  2,363,474 SH        DEFINED   1,2,5                 2,363,474
WHIRLPOOL CORP        COM        96332010  71,832  2,427,584 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,427,584
WHITE ELECTR DESIGNS  COM        96380110     117     29,060 SH        DEFINED   1,5                      29,060
WHITE MTNS INS GROUP  COM        G9618E10  18,523    107,749 SH        DEFINED   1,2,5,6,7,8,10,12,13    107,749
WHITING PETE CORP NE  COM        96638710  21,202    820,197 SH        DEFINED   1,2,5,6,7,10            820,197
WHITNEY HLDG CORP     COM        96661210  21,036  1,837,198 SH        DEFINED   1,2,5,6,10            1,837,198
WHOLE FOODS MKT INC   COM        96683710  80,329  4,781,460 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,781,460
WILEY JOHN & SONS IN  CL A       96822320  27,218    913,964 SH        DEFINED   1,2,5,6,7,8,10          913,964
WILLBROS GROUP INC D  COM        96920310   7,198    742,039 SH        DEFINED   1,2,5                   742,039
WILLIAMS CLAYTON ENE  COM        96949010   4,477    153,122 SH        DEFINED   1,2,5                   153,122
WILLIAMS COS INC DEL  COM        96945710 264,128 23,209,813 SH        DEFINED   1,2,5,6,7,8,10,12,13 23,209,813
WILLIAMS PARTNERS L   COM UNIT L 96950F10     568     50,899 SH        DEFINED   1,2                      50,899
WILLIAMS PIPELINE PA  COM UNIT L 96950K10     222     13,499 SH        DEFINED   1,2                      13,499
WILLIAMS SONOMA INC   COM        96990410  39,282  3,897,004 SH        DEFINED   1,2,5,6,10            3,897,004
WILLIS GROUP HOLDING  SHS        G9665510  18,669    848,578 SH        DEFINED   1,2,5,6,7,8,10,12,13    848,578
WILMINGTON TRUST COR  COM        97180710  31,336  3,233,866 SH        DEFINED   1,2,5,6,10            3,233,866
WILSHIRE BANCORP INC  COM        97186T10   2,974    576,328 SH        DEFINED   1,2,5                   576,328
WILSHIRE ENTERPRISES  COM        97188910      22     17,686 SH        DEFINED   1                        17,686
WIMM BILL DANN FOODS  SPONSORED  97263M10     866     27,237 SH        DEFINED   1,2,5,6,7,8,10           27,237
WIND RIVER SYSTEMS I  COM        97314910  12,059  1,884,192 SH        DEFINED   1,2,5,6               1,884,192
WINDSTREAM CORP       COM        97381W10 120,115 14,902,587 SH        DEFINED   1,2,5,6,7,8,10,12,13 14,902,587
WINN DIXIE STORES IN  COM NEW    97428030  10,104  1,056,936 SH        DEFINED   1,2,5,6,8             1,056,936
WINNEBAGO INDS INC    COM        97463710   2,880    542,459 SH        DEFINED   1,2,5                   542,459
WINTHROP RLTY TR      SH BEN INT 97639130   1,400    202,628 SH        DEFINED   1,2,3,5                 202,628
WINTRUST FINANCIAL C  COM        97650W10  14,121  1,148,019 SH        DEFINED   1,2,5                 1,148,019
WIPRO LTD             SPON ADR 1 97651M10   4,424    622,169 SH        DEFINED   1,2,5,6,8               622,169
WIRELESS TELECOM GRO  COM        97652410       4     10,100 SH        DEFINED   1                        10,100
WISCONSIN ENERGY COR  COM        97665710 180,480  4,383,776 SH        DEFINED   1,2,5,6,7,8,10,12,13  4,383,776
WMS INDS INC          COM        92929710  31,425  1,502,851 SH        DEFINED   1,2,5,6,7             1,502,851
WOLVERINE WORLD WIDE  COM        97809710  15,039    965,274 SH        DEFINED   1,2,5                   965,274
WONDER AUTO TECHNOLO  COM        97816610     564    157,602 SH        DEFINED   1,2                     157,602
WOODWARD GOVERNOR CO  COM        98074510  18,985  1,698,150 SH        DEFINED   1,2,5,6               1,698,150
WOORI FIN HLDGS CO L  ADR        98106310     225     14,430 SH        DEFINED   1,6                      14,430
WORLD ACCEP CORP DEL  COM        98141910   6,065    354,703 SH        DEFINED   1,2,5,6                 354,703
WORLD FUEL SVCS CORP  COM        98147510  53,419  1,688,857 SH        DEFINED   1,2,5,6,7,8           1,688,857
WORLD WRESTLING ENTM  CL A       98156Q10   4,106    355,848 SH        DEFINED   1,2                     355,848
WORTHINGTON INDS INC  COM        98181110  29,284  3,362,104 SH        DEFINED   1,2,5                 3,362,104




                        STATE STREET CORPORATION (STT)
                FORM 13F INFORMATION TABLE AS OF MARCH 31, 2009




                      TITLE OF              VALUE    SHARES OR  SH/ PUT/ INVESTMENT                         VOTING AUTHORITY
   NAME OF ISSUER      CLASS     CUSIP     (x1000)    PRN AMT   PRN CALL DISCRETION    OTHER MANAGERS       SOLE    SHARED NONE
--------------------- --------- -------- ----------- ---------- --- ---- ---------- -------------------- ---------- ------ ----
                                                                                          
WPP PLC               ADR       92933H10         309     11,054 SH        DEFINED   1                        11,054
WPT ENTERPRISES INC   COM       98211W10          14     25,391 SH        DEFINED   1                        25,391
WRIGHT EXPRESS CORP   COM       98233Q10      14,734    808,674 SH        DEFINED   1,2,5,6                 808,674
WRIGHT MED GROUP INC  COM       98235T10       8,443    647,989 SH        DEFINED   1,2,5,6                 647,989
WSFS FINL CORP        COM       92932810       3,112    139,159 SH        DEFINED   1,2,5                   139,159
WYETH                 DBCV      983024AD         248    250,000 SH        DEFINED   1                       250,000
WYETH                 COM       98302410   1,941,918 45,118,921 SH        DEFINED   1,2,5,6,7,8,10,12,13 45,118,921
WYNDHAM WORLDWIDE CO  COM       98310W10      23,484  5,591,419 SH        DEFINED   1,2,5,6,8,10,12,13    5,591,419
WYNN RESORTS LTD      COM       98313410      40,972  2,051,661 SH        DEFINED   1,2,5,6,7,8,10,12,13  2,051,661
XCEL ENERGY INC       COM       98389B10     326,993 17,551,982 SH        DEFINED   1,2,5,6,7,8,10,12,13 17,551,982
XENOPORT INC          COM       98411C10      11,071    571,868 SH        DEFINED   1,2,5,6                 571,868
XERIUM TECHNOLOGIES   COM       98416J10         379    565,994 SH        DEFINED   1,2                     565,994
XEROX CORP            COM       98412110     281,742 61,921,305 SH        DEFINED   1,2,5,6,7,8,10,12,13 61,921,305
XILINX INC            DBCV 3.12 983919AD         185    250,000 SH        DEFINED   1                       250,000
XILINX INC            COM       98391910     172,606  9,008,662 SH        DEFINED   1,2,5,6,7,8,10,12,13  9,008,662
XL CAP LTD            CL A      G9825510      61,935 11,343,338 SH        DEFINED   1,2,5,6,8,10,12,13   11,343,338
XOMA LTD              ORD       G9825R10         876  1,653,114 SH        DEFINED   1                     1,653,114
X-RITE INC            COM       98385710          35     33,880 SH        DEFINED   1                        33,880
XTO ENERGY INC        COM       98385X10     634,294 20,715,011 SH        DEFINED   1,2,5,6,7,8,10,12,13 20,715,011
YADKIN VALLEY FINANC  COM       98431410       1,385    185,868 SH        DEFINED   1,2                     185,868
YAHOO INC             COM       98433210     575,483 44,924,513 SH        DEFINED   1,2,5,6,7,8,10,12,13 44,924,513
YORK WTR CO           COM       98718410         264     21,376 SH        DEFINED   1,2                      21,376
YOUBET COM INC        COM       98741310          47     27,710 SH        DEFINED   1                        27,710
YRC WORLDWIDE INC     COM       98424910       8,831  1,966,782 SH        DEFINED   1,2,5,6,8             1,966,782
YUM BRANDS INC        COM       98849810     583,545 21,235,255 SH        DEFINED   1,2,5,6,7,8,10,12,13 21,235,255
ZALE CORP NEW         COM       98885810       1,505    771,562 SH        DEFINED   1,2,5,6                 771,562
ZAREBA SYSTEMS INC    COM       98913110          24     16,900 SH        DEFINED   1                        16,900
ZEBRA TECHNOLOGIES C  CL A      98920710      24,607  1,293,721 SH        DEFINED   1,2,5,6,8,10,12       1,293,721
ZENITH NATL INS CORP  COM       98939010      20,301    842,007 SH        DEFINED   1,2,5,8                 842,007
ZEP INC               COM       98944B10       4,198    410,359 SH        DEFINED   1,2,5,6                 410,359
ZHONE TECHNOLOGIES I  COM       98950P10          19     99,984 SH        DEFINED   1                        99,984
ZHONGPIN INC          COM       98952K10       2,325    261,810 SH        DEFINED   1,2                     261,810
ZIMMER HLDGS INC      COM       98956P10     271,215  7,430,539 SH        DEFINED   1,2,5,6,7,8,10,12,13  7,430,539
ZIONS BANCORPORATION  COM       98970110      54,373  5,531,295 SH        DEFINED   1,2,5,6,7,8,10,12,13  5,531,295
ZIX CORP              COM       98974P10          40     39,163 SH        DEFINED   1                        39,163
ZOLL MED CORP         COM       98992210       5,925    412,607 SH        DEFINED   1,2,5,6                 412,607
ZOLTEK COS INC        COM       98975W10       3,173    465,964 SH        DEFINED   1,2,5,6                 465,964
ZORAN CORP            COM       98975F10       8,974  1,019,825 SH        DEFINED   1,2,5                 1,019,825
ZUMIEZ INC            COM       98981710       3,518    362,669 SH        DEFINED   1,2,5,6                 362,669
ZYGO CORP             COM       98985510       1,221    266,035 SH        DEFINED   1,2                     266,035
ZYMOGENETICS INC      COM       98985T10       2,631    659,300 SH        DEFINED   1,2,5,6                 659,300
                      TOTAL MARKET VALUE 318,105,361