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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for Calendar Year or Quarter Ended: JUNE 30, 2012

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    August 13, 2012
------------------------------------   ---------------------   -----------------
             [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

REPORT SUMMARY:

Number of Other Included Managers:        12
Form 13F Information Table Entry Total:   3,658
Form 13F Information Table Value Total:   621,848,371 (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.
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
18    28-13812        State Street Global Advisors France, S.A.
19    28-14459        State Street Global Advisors Ireland Limited



FORM 13F INFORMATION TABLE AS OF 6/29/2012



                                                    SHS/PRN  SH/ PUT/ DISCRE-                            SOLE    SHARED     NO
ISSUER                CLASS       CUSIP    VALUE      VAL    PRN CALL    TION         MANAGERS          VOTING   VOTING   VOTING
---------------------------------------------------------------------------------------------------------------------------------
                                                                                        
ADOBE SYSTEMS      Common
 INC               equity
                   shares       00724F101   613953  18966493 SH       DEFINED 1,2,5,6,8,10,12,18        18966493
AGILENT            Common
 TECHNOLOGIES      equity
 INC               shares       00846U101   517316  13183486 SH       DEFINED 1,2,5,6,8,10,12,18        13183486
ANALOG DEVICES     Common
                   equity
                   shares       032654105   435950  11572728 SH       DEFINED 1,2,5,6,8,10,12,17,18     11572728
AON PLC            Common
                   equity
                   shares       G0408V102   697490  14909990 SH       DEFINED 1,2,5,6,8,10,12,18        11768228          3141762
APOLLO GROUP INC   Common
 -CL A             equity
                   shares       037604105   164467   4544342 SH       DEFINED 1,2,5,6,8,10,12,18         4544342
BB&T CORP          Common
                   equity
                   shares       054937107   861038  27910398 SH       DEFINED 1,2,5,6,8,10,12,18        27910398
CARDINAL HEALTH    Common
 INC               equity
                   shares       14149Y108   592398  14104700 SH       DEFINED 1,2,5,6,8,10,12,17,18     14104700
CARMAX INC         Common
                   equity
                   shares       143130102   213443   8228255 SH       DEFINED 1,2,5,6,8,10,12,18         8228255
CATERPILLAR INC    Common
                   equity
                   shares       149123101  6130305  72197731 SH       DEFINED 1,2,5,6,8,10,12,18        30033890         42163841
CHUBB CORP         Common
                   equity
                   shares       171232101   880338  12089126 SH       DEFINED 1,2,5,6,8,10,12,17,18     12089126
CIENA CORP         Common
                   equity
                   shares       171779309    50418   3080212 SH       DEFINED 1,2,5,6,8,12               3080212
COMPUWARE CORP     Common
                   equity
                   shares       205638109    43053   4634146 SH       DEFINED 1,2,5,6,8,12               4634146
COMVERSE           Common
 TECHNOLOGY INC    Stock        205862402    22546   3873099 SH       DEFINED 1,2,6                      3873099
CONAGRA FOODS      Common
 INC               equity
                   shares       205887102   586039  22600938 SH       DEFINED 1,2,5,6,8,10,12,17,18     22600938
DANAHER CORP       Common
                   equity
                   shares       235851102  1105641  21229737 SH       DEFINED 1,2,5,6,8,10,12,18        21229737
DARDEN             Common
 RESTAURANTS       equity
 INC               shares       237194105   254747   5031627 SH       DEFINED 1,2,5,6,8,10,12,18         5031627
DEAN FOODS CO      Common
                   equity
                   shares       242370104   116794   6858484 SH       DEFINED 1,2,5,6,8,10,12,18         6858484
DELL INC           Common
                   equity
                   shares       24702R101   827679  66108075 SH       DEFINED 1,2,5,6,8,10,12,17,18     66108075
DONNELLEY (R R) &  Common
 SONS CO           Stock        257867101    78811   6696766 SH       DEFINED 1,2,5,6,8,10,12            6696766
EATON CORP         Common
                   equity
                   shares       278058102   519939  13119773 SH       DEFINED 1,2,5,6,8,10,12,18        13119773
DISH NETWORK       Common
 CORP              equity
                   shares       25470M109    98985   3466880 SH       DEFINED 1,2,5,6,8,10,12,17,18      3466880
ECOLAB INC         Common
                   equity
                   shares       278865100   787813  11496000 SH       DEFINED 1,2,5,6,8,10,12,18,19     11496000
FIRSTENERGY CORP   Common
                   equity
                   shares       337932107  1629566  33127890 SH       DEFINED 1,2,5,6,8,10,12,18,19     33127890
FOOT LOCKER INC    Common
                   equity
                   shares       344849104   113278   3704294 SH       DEFINED 1,2,5,6,8,12,18            3704294
FORD MOTOR CO      Common
                   equity
                   shares       345370860  1303179 135889214 SH       DEFINED 1,2,5,6,8,10,12,18       135889214
INTEL CORP         Common
                   equity
                   shares       458140100  5265554 197581613 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 197573768             7845
LIFE TECHNOLOGIES  Common
 CORP              equity
                   shares       53217V109   321425   7144836 SH       DEFINED 1,2,5,6,8,10,12,18         7144836
KELLOGG CO         Common
                   equity
                   shares       487836108   468164   9490150 SH       DEFINED 1,2,5,6,8,10,12,17,18      9490150
KROGER CO          Common
                   equity
                   shares       501044101   546259  23556055 SH       DEFINED 1,2,5,6,8,10,12,17,18     23556055
LEGG MASON INC     Common
                   equity
                   shares       524901105   138579   5255018 SH       DEFINED 1,2,5,6,8,10,12,18         5255018
LINEAR             Common
 TECHNOLOGY        equity
 CORP              shares       535678106   279988   8936533 SH       DEFINED 1,2,5,6,8,10,12,18         8936533
LOWE`S COMPANIES   Common
 INC               equity
                   shares       548661107  1424713  50095298 SH       DEFINED 1,2,5,6,8,10,12,18,19     50095298
MANPOWERGROUP      Common
                   equity
                   shares       56418H100    81985   2237079 SH       DEFINED 1,2,5,6,8,10,12,18         2237079
MARATHON OIL       Common
 CORP              equity
                   shares       565849106   806544  31542525 SH       DEFINED 1,2,5,6,8,10,12,17,18     31542525
MARVELL            Common
 TECHNOLOGY        equity
 GROUP LTD         shares       G5876H105    91120   8078952 SH       DEFINED 1,2,5,6,8,10,12,18         8078952
MAXIM              Common
 INTEGRATED        Stock
 PRODUCTS                       57772K101   135895   5300264 SH       DEFINED 1,2,5,6,8,10,12,18         5300264
MCDONALD`S CORP    Common
                   equity
                   shares       580135101  4180360  47219748 SH       DEFINED 1,2,5,6,8,10,12,17,18     47219748
MEDTRONIC INC      Common
                   equity
                   shares       585055106  1688871  43606008 SH       DEFINED 1,2,5,6,8,10,12,18        43606008
MICROCHIP          Common
 TECHNOLOGY INC    equity
                   shares       595017104   248554   7514039 SH       DEFINED 1,2,5,6,8,10,12,17,18      7514039
MONSANTO CO        Common
                   equity
                   shares       61166W101  1797174  21710276 SH       DEFINED 1,2,5,6,8,10,12,17,18     21707194             3082
MOTOROLA           Common
 SOLUTIONS INC     equity
                   shares       620076307   535057  11121504 SH       DEFINED 1,2,5,6,8,10,12,18        11121504
NEW YORK CMNTY     Common
 BANCORP INC       equity
                   shares       649445103   189470  15121418 SH       DEFINED 1,2,5,6,8,10,12,18        15121418
NEW YORK TIMES     Common
 CO -CL A          equity
                   shares       650111107    32170   4124128 SH       DEFINED 1,2,5,6,8,12               4124128
NORTHROP           Common
 GRUMMAN CORP      equity
                   shares       666807102  1808087  28344431 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  28344431
NVIDIA CORP        Common
                   equity
                   shares       67066G104   321144  23237370 SH       DEFINED 1,2,5,6,8,10,12,18        23237370
OLD REPUBLIC INTL  Common
 CORP              equity
                   shares       680223104   255835  30860868 SH       DEFINED 1,2,5,6,8,10,12           30860868
OMNICARE INC       Common
                   equity
                   shares       681904108   103284   3307069 SH       DEFINED 1,2,5,6,8,10,12,18         3307069
PATTERSON          Common
 COMPANIES INC     equity
                   shares       703395103   123125   3571992 SH       DEFINED 1,2,5,6,8,10,12,17,18      3566942             5050
PEPCO HOLDINGS     Common
 INC               equity
                   shares       713291102   234619  11988345 SH       DEFINED 1,2,5,6,8,10,12,17,18     11988345
PETSMART INC       Common
                   equity
                   shares       716768106   214471   3145584 SH       DEFINED 1,2,5,6,8,10,12,18         3145584
PIONEER NATURAL    Common
 RESOURCES CO      equity
                   shares       723787107   503868   5712151 SH       DEFINED 1,2,5,6,8,10,12,18         5712151
RADIAN GROUP INC   Common
                   equity
                   shares       750236101     8767   2663948 SH       DEFINED 1,2,5,6,8                  2663948
RENAISSANCERE      Common
 HOLDINGS LTD      equity
                   shares       G7496G103    81664   1074325 SH       DEFINED 1,2,5,6,8,10,12,17,18      1074325
REPUBLIC SERVICES  Common
 INC               equity
                   shares       760759100   321064  12133530 SH       DEFINED 1,2,5,6,8,10,12,17,18     12133530
ROSS STORES INC    Common
                   equity
                   shares       778296103   550077   8805709 SH       DEFINED 1,2,5,6,8,10,12,18         8805709
SANDISK CORP       Common
                   equity
                   shares       80004C101   339240   9299421 SH       DEFINED 1,2,5,6,8,10,12,17,18      9296564             2857
SCANA CORP         Common
                   equity
                   shares       80589M102   282791   5911083 SH       DEFINED 1,2,5,6,8,10,12,17,18      5911083
SPX CORP           Common
                   equity
                   shares       784635104    87017   1332073 SH       DEFINED 1,2,5,6,8,10,12,18         1332073
SYNOPSYS INC       Common
                   equity
                   shares       871607107   131668   4473969 SH       DEFINED 1,2,5,6,8,10,12,17,18      4473969
TCF FINANCIAL      Common
 CORP              equity
                   shares       872275102   102911   8964464 SH       DEFINED 1,2,5,6,8,12               8964464
TELEPHONE & DATA   Common
 SYSTEMS INC       equity
                   shares       879433829    55059   2585992 SH       DEFINED 1,2,5,6,8,10,12,17         2585992
3M CO              Common
                   equity
                   shares       88579Y101  4725280  52737495 SH       DEFINED 1,2,5,6,8,10,12,18        52186768           550727
ABBOTT             Common
 LABORATORIES      equity
                   shares       002824100  3988634  61867978 SH       DEFINED 1,2,5,6,8,10,12,17,18     61866668             1310
ACCENTURE PLC      Common
                   equity
                   shares       G1151C101  1441583  23990600 SH       DEFINED 1,2,5,6,8,10,12,18        23990600
AES CORP           Common
                   equity
                   shares       00130H105   417628  32551441 SH       DEFINED 1,2,5,6,8,10,12,18        32551441
AMERICAN           Common
 INTERNATIONAL     equity
 GROUP             shares       026874784   847186  26400406 SH       DEFINED 1,2,5,6,8,10,12,18        26400406
ANADARKO           Common
 PETROLEUM CORP    equity
                   shares       032511107  1330231  20093889 SH       DEFINED 1,2,5,6,8,10,12,18        20093889
ARCHER-DANIELS-    Common
 MIDLAND CO        equity
                   shares       039483102   880206  29817275 SH       DEFINED 1,2,5,6,8,10,12,17,18     29817275
AUTOZONE INC       Common
                   equity
                   shares       053332102   441465   1202353 SH       DEFINED 1,2,5,6,8,10,12,18         1202353
BALL CORP          Common
                   equity
                   shares       058498106   267904   6526285 SH       DEFINED 1,2,5,6,8,10,12,18         6526285
BANK OF AMERICA    Common
 CORP              equity
                   shares       060505104  3437960 420288095 SH       DEFINED 1,2,5,6,8,10,12,18       420288095
BANK OF NEW YORK   Common
 MELLON CORP       equity
                   shares       064058100  1019146  46430262 SH       DEFINED 1,2,5,6,8,10,12,18        46430262
BED BATH &         Common
 BEYOND INC        equity
                   shares       075896100   583755   9445899 SH       DEFINED 1,2,5,6,8,10,12,18         9445899
BOEING CO          Common
                   equity
                   shares       097023105  2420247  32574089 SH       DEFINED 1,2,5,6,8,10,12,18        32574089
BOSTON             Real Estate
 PROPERTIES INC    Investment
                   Trust        101121101   805266   7430662 SH       DEFINED 1,2,3,5,6,8,10,12,18       7430662
CABLEVISION SYS    Common
 CORP -CL A        equity
                   shares       12686C109   117685   8854985 SH       DEFINED 1,2,5,6,8,10,12,18         8854985
CAREER             Common
 EDUCATION CORP    equity
                   shares       141665109     7768   1161397 SH       DEFINED 1,2,5,6,8                  1161397
CINCINNATI         Common
 FINANCIAL CORP    equity
                   shares       172062101   486048  12767069 SH       DEFINED 1,2,5,6,8,10,12,18        12767069
CITIGROUP INC      Common
                   equity
                   shares       172967424  3041181 110951974 SH       DEFINED 1,2,5,6,8,10,12,18       110951974
CLOROX CO/DE       Common
                   equity
                   shares       189054109   600554   8288140 SH       DEFINED 1,2,5,6,8,10,12,17,18      8288140
COACH INC          Common
                   equity
                   shares       189754104   633744  10836991 SH       DEFINED 1,2,5,6,8,10,12,18        10836991
COMPUTER           Common
 SCIENCES CORP     equity
                   shares       205363104   152894   6159903 SH       DEFINED 1,2,5,6,8,10,12,18,19      6159903
CONVERGYS CORP     Common
                   equity
                   shares       212485106    54549   3693181 SH       DEFINED 1,2,5,6,8,12               3693181
DISNEY (WALT) CO   Common
                   equity
                   shares       254687106  3586565  73949630 SH       DEFINED 1,2,5,6,8,10,12,18        73949630
DST SYSTEMS INC    Common
                   equity
                   shares       233326107    45741    842271 SH       DEFINED 1,2,5,6,8,10,12,17,18       842271
DTE ENERGY CO      Common
                   equity
                   shares       233331107   523909   8830379 SH       DEFINED 1,2,5,6,8,10,12,17,18      8830379
DUN & BRADSTREET   Common
 CORP              equity
                   shares       26483E100   143101   2010757 SH       DEFINED 1,2,5,6,8,10,12,17,18      2010757
EVEREST RE GROUP   Common
 LTD               equity
                   shares       G3223R108   162281   1568123 SH       DEFINED 1,2,5,6,8,10,12,17,18      1568123
EXPRESS SCRIPTS    Common
 HOLDING CO        equity
                   shares       30219G108  1679302  30078760 SH       DEFINED 1,2,5,6,8,10,12,17,18     30077350             1410
FIRST HORIZON      Common
 NATIONAL CORP     equity
                   shares       320517105   140025  16187608 SH       DEFINED 1,2,5,6,8,10,12           16187608
FLEXTRONICS        Common
 INTERNATIONAL     equity
                   shares       Y2573F102    49825   8037145 SH       DEFINED 1,2,5,8,10,12,18           8037145
FLUOR CORP         Common
                   equity
                   shares       343412102   318901   6463272 SH       DEFINED 1,2,5,6,8,10,12,18         6463272
BEAM INC           Common
                   Stock        073730103   369931   5920008 SH       DEFINED 1,2,5,6,8,10,12,18         5920008
GENUINE PARTS CO   Common
                   equity
                   shares       372460105   515444   8555188 SH       DEFINED 1,2,5,6,8,10,12,18         8555188
GOLDMAN SACHS      Common
 GROUP INC         equity
                   shares       38141G104  1823419  19021613 SH       DEFINED 1,2,5,6,8,10,12,18        19021613
HARTFORD           Common
 FINANCIAL         equity
 SERVICES          shares       416515104   447138  25362165 SH       DEFINED 1,2,5,6,8,10,12,18,19     25362165
HEALTH             Common
 MANAGEMENT        equity
 ASSOC             shares       421933102    47578   6061010 SH       DEFINED 1,2,5,6,8,12               6061010
HERSHEY CO         Common
                   equity
                   shares       427866108   437395   6072461 SH       DEFINED 1,2,5,6,8,10,12,17,18      6072461
HOME DEPOT INC     Common
                   equity
                   shares       437076102  3337490  62983436 SH       DEFINED 1,2,5,6,8,10,12,18        62983436
HOST HOTELS &      Real Estate
 RESORTS INC       Investment
                   Trust        44107P104   564492  35682313 SH       DEFINED 1,2,3,5,6,8,10,12,18      35682313
ILLINOIS TOOL      Common
 WORKS             equity
                   shares       452308109  1035594  19579994 SH       DEFINED 1,2,5,6,8,10,12,18        19579994
INTL FLAVORS &     Common
 FRAGRANCES        equity
                   shares       459506101   190648   3479138 SH       DEFINED 1,2,5,6,8,10,12,18,19      3479138
INTUIT INC         Common
                   equity
                   shares       461202103   671258  11310367 SH       DEFINED 1,2,5,6,8,10,12,17,18     11310367
ISTAR FINANCIAL    Real Estate
 INC               Investment
                   Trust        45031U101    11057   1714232 SH       DEFINED 1,2,5,6,8                  1714232
JABIL CIRCUIT INC  Common
                   equity
                   shares       466313103   134246   6603522 SH       DEFINED 1,2,5,6,8,10,12,17,18      6603522
JOHNSON            Common
 CONTROLS INC      equity
                   shares       478366107   681271  24585655 SH       DEFINED 1,2,5,6,8,10,12,17,18     24580962             4693
JONES GROUP INC    Common
                   equity
                   shares       48020T101    17924   1875007 SH       DEFINED 1,2,5,6,8,17               1875007
JPMORGAN CHASE &   Common
 CO                equity
                   shares       46625H100  5514913 154349409 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 154349409
LABORATORY CP OF   Common
 AMER HLDGS        equity
                   shares       50540R409   346500   3741451 SH       DEFINED 1,2,5,6,8,10,12,18         3741451
LAUDER (ESTEE)     Common
 COS INC -CL A     equity
                   shares       518439104   472353   8727926 SH       DEFINED 1,2,5,6,8,10,12,18         8727926
LILLY (ELI) & CO   Common
                   equity
                   shares       532457108  1754888  40897027 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  40897027
LIMITED BRANDS     Common
 INC               equity
                   shares       532716107   398160   9361753 SH       DEFINED 1,2,5,6,8,10,12,18         9361753
MCCORMICK & CO     Common
 INC               equity
                   shares       579780206   445576   7346787 SH       DEFINED 1,2,5,6,8,10,12,17,18      7346787
MOODY`S CORP       Common
                   equity
                   shares       615369105   270645   7404775 SH       DEFINED 1,2,5,6,8,10,12,17,18      7404775
AFLAC INC          Common
                   equity
                   shares       001055102   945388  22197272 SH       DEFINED 1,2,5,6,8,10,12,17,18     22197272
AIR PRODUCTS &     Common
 CHEMICALS INC     equity
                   shares       009158106   865993  10726971 SH       DEFINED 1,2,5,6,8,10,12,18        10726971
AMERICAN EXPRESS   Common
 CO                equity
                   shares       025816109  2548985  43789497 SH       DEFINED 1,2,5,6,8,10,12,18        43789497
AMERISOURCEBERGEN  Common
 CORP              equity
                   shares       03073E105   392676   9979117 SH       DEFINED 1,2,5,6,8,10,12,17,18      9979117
AMGEN INC          Common
                   equity
                   shares       031162100  2218561  30374742 SH       DEFINED 1,2,5,6,8,10,12,18,19     30374742
APACHE CORP        Common
                   equity
                   shares       037411105  1432469  16298441 SH       DEFINED 1,2,5,6,8,10,12,18        16298441
APARTMENT          Real Estate
 INVST & MGMT CO   Investment
                   Trust        03748R101   164720   6094169 SH       DEFINED 1,2,3,5,6,8,10,12,18       6094169
AVERY DENNISON     Common
 CORP              equity
                   shares       053611109   117012   4280083 SH       DEFINED 1,2,5,6,8,10,12,18         4280083
AVON PRODUCTS      Common
                   equity
                   shares       054303102   275285  16982308 SH       DEFINED 1,2,5,6,8,10,12,18        16982308
BIOGEN IDEC INC    Common
                   equity
                   shares       09062X103  1309475   9069698 SH       DEFINED 1,2,5,6,8,10,12,18         9069698
BLOCK H & R INC    Common
                   equity
                   shares       093671105   175657  10991593 SH       DEFINED 1,2,5,6,8,10,12,18        10991593
BMC SOFTWARE INC   Common
                   Stock        055921100   267485   6267121 SH       DEFINED 1,2,5,6,8,10,12,18         6267121
BRINKER INTL INC   Common
                   equity
                   shares       109641100    58941   1849258 SH       DEFINED 1,2,5,6,8,12,17            1849258
AVIS BUDGET        Common
 GROUP INC         Stock        053774105    30835   2028629 SH       DEFINED 1,2,5,6,8,12,17            2028629
CA INC             Common
                   equity
                   shares       12673P105   410331  15146564 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  15146564
CAMERON            Common
 INTERNATIONAL     equity
 CORP              shares       13342B105   455046  10654325 SH       DEFINED 1,2,5,6,8,10,12,18        10654325
CSX CORP           Common
                   equity
                   shares       126408103   894217  39991839 SH       DEFINED 1,2,5,6,8,10,12,18        39991839
D R HORTON INC     Common
                   equity
                   shares       23331A109   239776  13045357 SH       DEFINED 1,2,5,6,8,10,12,18        13045357
DOVER CORP         Common
                   equity
                   shares       260003108   495202   9237094 SH       DEFINED 1,2,5,6,8,10,12,18         9237094
DOW CHEMICAL       Common
                   equity
                   shares       260543103  1490614  47320853 SH       DEFINED 1,2,5,6,8,10,12,18        47320853
DUKE REALTY CORP   Real Estate
                   Investment
                   Trust        264411505   162449  11096427 SH       DEFINED 1,2,3,5,6,8,10,12,18      11096427
EMERSON ELECTRIC   Common
 CO                equity
                   shares       291011104  1451879  31169696 SH       DEFINED 1,2,5,6,8,10,12,18        31169696
EQUITY             Real Estate
 RESIDENTIAL       Investment
                   Trust        29476L107   933710  14972896 SH       DEFINED 1,2,3,5,6,8,10,12,18      14972896
EXPEDITORS INTL    Common
 WASH INC          equity
                   shares       302130109   305321   7879274 SH       DEFINED 1,2,5,6,8,10,12,18         7879274
FRANKLIN           Common
 RESOURCES INC     equity
                   shares       354613101   610940   5504511 SH       DEFINED 1,2,5,6,8,10,12,18         5504511
GENERAL ELECTRIC   Common
 CO                equity
                   shares       369604103  8066726 387079582 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 387074352             5230
GENERAL MILLS INC  Common
                   equity
                   shares       370334104  1567130  40662784 SH       DEFINED 1,2,5,6,8,10,12,17,18     40662784
HASBRO INC         Common
                   Stock        418056107   148448   4382632 SH       DEFINED 1,2,5,6,8,10,12,18         4382632
HONEYWELL          Common
 INTERNATIONAL     equity
 INC               shares       438516106  4282044  76684214 SH       DEFINED 1,2,5,6,8,10,12,18        76684214
INTERPUBLIC        Common
 GROUP OF COS      equity
                   shares       460690100   188802  17400953 SH       DEFINED 1,2,5,6,8,10,12,18        17400953
LENNAR CORP        Common
                   equity
                   shares       526057104   217932   7050383 SH       DEFINED 1,2,5,6,8,10,12            7050383
LEVEL 3            Common
 COMMUNICATIONS    Stock
 INC                            52729N308    54749   2471635 SH       DEFINED 1,2,5,6,8,10,12,18         2471635
LSI CORP           Common
                   equity
                   shares       502161102   179911  28244794 SH       DEFINED 1,2,5,6,8,10,12,18        28244794
MERCK & CO         Common
                   equity
                   shares       58933Y105  5224019 125125952 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 125125952
MOHAWK             Common
 INDUSTRIES INC    equity
                   shares       608190104   152445   2182870 SH       DEFINED 1,2,5,6,8,10,12,18         2182870
MORGAN STANLEY     Common
                   equity
                   shares       617446448  2711752 185863574 SH       DEFINED 1,2,5,6,8,10,12,18       185300308           563266
ADVANCED MICRO     Common
 DEVICES           equity
                   shares       007903107   185450  32364848 SH       DEFINED 1,2,5,6,8,10,12,18,19     32364848
AMAZON.COM INC     Common
                   equity
                   shares       023135106  2997888  13128451 SH       DEFINED 1,2,5,6,8,10,12,18        13128451
AMEREN CORP        Common
                   equity
                   shares       023608102   420118  12525844 SH       DEFINED 1,2,5,6,8,10,12,17,18     12525844
AVALONBAY          Real Estate
 COMMUNITIES       Investment
 INC               Trust        053484101   669728   4733750 SH       DEFINED 1,2,3,5,6,8,10,12,18       4733750
BARD (C.R.) INC    Common
                   equity
                   shares       067383109   346001   3220418 SH       DEFINED 1,2,5,6,8,10,12,18         3220418
BECTON             Common
 DICKINSON & CO    equity
                   shares       075887109   988392  13222645 SH       DEFINED 1,2,5,6,8,10,12,17,18     13100841           121804
BOSTON SCIENTIFIC  Common
 CORP              equity
                   shares       101137107   317066  55919064 SH       DEFINED 1,2,5,6,8,10,12,18        55919064
BRUNSWICK CORP     Common
                   equity
                   shares       117043109    44926   2021913 SH       DEFINED 1,2,5,6,8                  2021913
CAMPBELL SOUP CO   Common
                   equity
                   shares       134429109   241608   7238235 SH       DEFINED 1,2,5,6,8,10,12,17,18      7238235
CARNIVAL CORP/     Composition
 PLC (USA)         of more than
                   1 security   143658300   614049  17917991 SH       DEFINED 1,2,5,6,8,10,12,18,19     17917991
CHEVRON CORP       Common
                   equity
                   shares       166764100 10605658 100527536 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 100527536
CHICOS FAS INC     Common
                   equity
                   shares       168615102    67004   4514620 SH       DEFINED 1,2,5,6,8,12               4514620
COMCAST CORP       Common
                   equity
                   shares       20030N101  3015987  94338209 SH       DEFINED 1,2,5,6,8,10,12,18        94338209
CONSOLIDATED       Common
 EDISON INC        equity
                   shares       209115104  1136288  18271203 SH       DEFINED 1,2,5,6,8,10,12,17,18     18271203
DEERE & CO         Common
                   equity
                   shares       244199105  1167010  14430862 SH       DEFINED 1,2,5,6,8,10,12,18        14430862
DU PONT (E I) DE   Common
 NEMOURS           equity
                   shares       263534109  2185846  43224235 SH       DEFINED 1,2,5,6,8,10,12,18        43224235
EDISON             Common
 INTERNATIONAL     equity
                   shares       281020107  1512666  32741813 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  32741813
FIFTH THIRD        Common
 BANCORP           equity
                   shares       316773100   534445  39884299 SH       DEFINED 1,2,5,6,8,10,12,17,18     39884299
NEXTERA ENERGY     Common
 INC               equity
                   shares       65339F101  1379440  20047177 SH       DEFINED 1,2,5,6,8,10,12,17,18     20047177
FREEPORT-          Common
 MCMORAN           equity
 COP&GOLD          shares       35671D857  1441718  42316540 SH       DEFINED 1,2,5,6,8,10,12,18,19     42316540
GANNETT CO         Common
                   equity
                   shares       364730101   121836   8271485 SH       DEFINED 1,2,5,6,8,10,12            8271485
GENERAL            Common
 DYNAMICS CORP     equity
                   shares       369550108   853660  12942085 SH       DEFINED 1,2,5,6,8,10,12,18        12942085
GENERAL GROWTH     Real Estate
 PPTYS INC         Investment
                   Trust        370023103   226835  12539366 SH       DEFINED 1,2,3,5,8,10,12,18        12539366
HARLEY-DAVIDSON    Common
 INC               equity
                   shares       412822108   386399   8449861 SH       DEFINED 1,2,5,6,8,10,12,18         8449861
HEALTH NET INC     Common
                   equity
                   shares       42222G108    46342   1909500 SH       DEFINED 1,2,5,6,8,10,12            1909500
HOSPIRA INC        Common
                   equity
                   shares       441060100   235073   6720813 SH       DEFINED 1,2,5,6,8,10,12,18         6720813
INTL BUSINESS      Common
 MACHINES CORP     equity
                   shares       459200101 12242661  62596699 SH       DEFINED 1,2,5,6,8,10,12,18        62596699
JDS UNIPHASE CORP  Common
                   equity
                   shares       46612J507    82927   7537936 SH       DEFINED 1,2,5,6,8,10,12            7537936
JUNIPER NETWORKS   Common
 INC               Stock        48203R104   318355  19518216 SH       DEFINED 1,2,5,6,8,10,12,18        19518216
KIMCO REALTY       Real Estate
 CORP              Investment
                   Trust        49446R109   395826  20800148 SH       DEFINED 1,2,3,5,6,8,10,12,18      20800148
KLA-TENCOR CORP    Common
                   equity
                   shares       482480100   324465   6588021 SH       DEFINED 1,2,5,6,8,10,12,17,18      6585921             2100
LEGGETT & PLATT    Common
 INC               equity
                   shares       524660107   459780  21759701 SH       DEFINED 1,2,5,6,8,10,12,18        21759701
LEXMARK INTL INC   Common
 -CL A             equity
                   shares       529771107    69504   2615067 SH       DEFINED 1,2,5,6,8,10,12            2615067
LIBERTY PROPERTY   Real Estate
 TRUST             Investment
                   Trust        531172104   169021   4588012 SH       DEFINED 1,2,3,5,6,8,10,12,18       4588012
MICRON             Common
 TECHNOLOGY INC    Stock        595112103   234564  37172447 SH       DEFINED 1,2,5,6,8,10,12,18        37172447
PUBLIC STORAGE     Real Estate
                   Investment
                   Trust        74460D109  1039436   7197726 SH       DEFINED 1,2,3,5,6,8,10,12,18       7197726
TYSON FOODS INC    Common
 -CL A             equity
                   shares       902494103   232437  12343976 SH       DEFINED 1,2,5,6,8,10,12,17,18     12343976
VARIAN MEDICAL     Common
 SYSTEMS INC       equity
                   shares       92220P105   263415   4334694 SH       DEFINED 1,2,5,6,8,10,12,18         4334694
VERISIGN INC       Common
                   equity
                   shares       92343E102   267884   6148484 SH       DEFINED 1,2,5,6,8,10,12,18         6148484
VORNADO REALTY     Real Estate
 TRUST             Investment
                   Trust        929042109   771826   9190614 SH       DEFINED 1,2,3,5,6,8,10,12,18       9190614
WASHINGTON POST    Common
 -CL B             equity
                   shares       939640108    71053    190067 SH       DEFINED 1,2,5,6,8,10,12,18          190067
WEATHERFORD        Common
 INTERNATIONAL     equity
                   shares       H27013103    74371   5888640 SH       DEFINED 1,2,5,6,8,10,12,18         5888640
WHOLE FOODS        Common
 MARKET INC        equity
                   shares       966837106   617350   6476542 SH       DEFINED 1,2,5,6,8,10,12,17,18      6475972              570
WISCONSIN ENERGY   Common
 CORP              equity
                   shares       976657106   450237  11378083 SH       DEFINED 1,2,5,6,8,10,12,17,18     11378083
ALTERA CORP        Common
                   equity
                   shares       021441100   405685  11988417 SH       DEFINED 1,2,5,6,8,10,12,18        11988417
ALTRIA GROUP INC   Common
                   equity
                   shares       02209S103  2886213  83537360 SH       DEFINED 1,2,5,6,8,10,12,17,18     83537360
HESS CORP          Common
                   equity
                   shares       42809H107   616472  14188161 SH       DEFINED 1,2,5,6,8,10,12,18        14188161
AMERICAN AXLE &    Common
 MFG HOLDINGS      equity
                   shares       024061103    12777   1217773 SH       DEFINED 1,2,6,8                    1217773
AMERN EAGLE        Common
 OUTFITTERS INC    equity
                   shares       02553E106    95330   4831903 SH       DEFINED 1,2,5,6,8,10,12            4831903
WELLPOINT INC      Common
                   equity
                   shares       94973V107   886212  13892653 SH       DEFINED 1,2,5,6,8,10,12,18        13892653
AVNET INC          Common
                   equity
                   shares       053807103   133097   4312798 SH       DEFINED 1,2,5,6,8,10,12,17,18      4312798
BARNES & NOBLE     Common
 INC               equity
                   shares       067774109    24159   1467591 SH       DEFINED 1,2,5,6,8,12               1467591
CAPITAL ONE        Common
 FINANCIAL CORP    equity
                   shares       14040H105  1149275  21025926 SH       DEFINED 1,2,5,6,8,10,12,18        21025926
CHARLES RIVER      Common
 LABS INTL INC     equity
                   shares       159864107    34123   1041888 SH       DEFINED 1,2,5,6,8,10,12,17         1041888
CIGNA CORP         Common
                   equity
                   shares       125509109   520381  11826851 SH       DEFINED 1,2,5,6,8,10,12,18,19     11826851
CON-WAY INC        Common
                   equity
                   shares       205944101    46593   1290499 SH       DEFINED 1,2,5,6,8,12               1290499
COVENTRY HEALTH    Common
 CARE INC          equity
                   shares       222862104   178306   5608726 SH       DEFINED 1,2,5,6,8,10,12,18         5608726
DORAL FINANCIAL    Common
 CORP              equity
                   shares       25811P886     2892   1927718 SH       DEFINED 1,2,6                      1927718
EXELON CORP        Common
                   equity
                   shares       30161N101  1983070  52713220 SH       DEFINED 1,2,5,6,8,10,12,17,18     52713220
KIMBERLY-CLARK     Common
 CORP              equity
                   shares       494368103  1501416  17922988 SH       DEFINED 1,2,5,6,8,10,12,17,18     17922988
TORONTO            Common
 DOMINION BANK     equity
                   shares       891160509     1577     20134 SH       DEFINED 1,10                         20134
AETNA INC          Common
                   equity
                   shares       00817Y108   849046  21899365 SH       DEFINED 1,2,5,6,8,10,12,18        21899365
ALLSTATE CORP      Common
                   equity
                   shares       020002101   670316  19102728 SH       DEFINED 1,2,5,6,8,10,12,18        19102728
APPLIED            Common
 MATERIALS INC     equity
                   shares       038222105   597266  52117165 SH       DEFINED 1,2,5,6,8,10,12,18        52117165
BAKER HUGHES INC   Common
                   equity
                   shares       057224107   741152  18033028 SH       DEFINED 1,2,5,6,8,10,12,18        18033028
CADENCE DESIGN     Common
 SYSTEMS INC       equity
                   shares       127387108    72426   6590379 SH       DEFINED 1,2,5,6,8,10,12,17,18      6590379
CORNING INC        Common
                   equity
                   shares       219350105   840536  65006402 SH       DEFINED 1,2,5,6,8,10,12,18        65006402
CVS CAREMARK       Common
 CORP              equity
                   shares       126650100  2378257  50893521 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  50890361             3160
DIRECTV            Common
                   equity
                   shares       25490A101  1469081  30091643 SH       DEFINED 1,2,5,6,8,10,12,17,18     30091643
ENERGIZER          Common
 HOLDINGS INC      equity
                   shares       29266R108   137440   1826332 SH       DEFINED 1,2,5,6,8,10,12,18         1826332
EQUIFAX INC        Common
                   equity
                   shares       294429105   244479   5246350 SH       DEFINED 1,2,5,6,8,10,12,17,18      5242880             3470
FISERV INC         Common
                   equity
                   shares       337738108   425676   5894154 SH       DEFINED 1,2,5,6,8,10,12,18         5894154
HALLIBURTON CO     Common
                   equity
                   shares       406216101  1072651  37782571 SH       DEFINED 1,2,5,6,8,10,12,18        37782571
HUNTINGTON         Common
 BANCSHARES        equity
                   shares       446150104   250939  39209189 SH       DEFINED 1,2,5,6,8,10,12,18        39209189
INTL GAME          Common
 TECHNOLOGY        equity
                   shares       459902102   178505  11333575 SH       DEFINED 1,2,5,6,8,10,12,18        11333575
ITT CORP           Common
                   equity
                   shares       450911201    60303   3425987 SH       DEFINED 1,2,5,6,8,12,19            3425987
LIBERTY GLOBAL     Common
 INC               equity
                   shares       530555101   255500   5148121 SH       DEFINED 1,2,5,8,10,12,18           5148121
FIFTH & PACIFIC    Common
 COS INC           equity
                   shares       316645100    21686   2021150 SH       DEFINED 1,2,5,6,8                  2021150
MICROSOFT CORP     Common
                   equity
                   shares       594918104  9292164 303764530 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 303750008            14522
ALCOA INC          Common
                   equity
                   shares       013817101   456497  52170564 SH       DEFINED 1,2,5,6,8,10,12,18        52170564
FIDELITY NATIONAL  Common
 INFO SVCS         equity
                   shares       31620M106   327880   9620940 SH       DEFINED 1,2,5,6,8,10,12,18         9620940
COSTCO             Common
 WHOLESALE CORP    equity
                   shares       22160K105  1594918  16788247 SH       DEFINED 1,2,5,6,8,10,12,18        16788247
DOMINION           Common
 RESOURCES INC     equity
                   shares       25746U109  1488427  27563453 SH       DEFINED 1,2,5,6,8,10,12,18        27563453
ELECTRONIC ARTS    Common
 INC               equity
                   shares       285512109   146502  11862127 SH       DEFINED 1,2,5,6,8,10,12,18        11862127






                                                   SHS/PRN  SH/ PUT/ DISCRE-                            SOLE    SHARED     NO
ISSUER                CLASS      CUSIP    VALUE      VAL    PRN CALL    TION         MANAGERS          VOTING   VOTING   VOTING
--------------------------------------------------------------------------------------------------------------------------------
                                                                                       
FEDEX CORP          Common
                    equity
                    shares     31428X106  1074899  11733392 SH       DEFINED 1,2,5,6,8,10,12,18        11733392
HARMAN              Common
 INTERNATIONAL      equity
 INDS               shares     413086109    96319   2432079 SH       DEFINED 1,2,5,6,8,10,12,17         2432079
HEWLETT-PACKARD     Common
 CO                 equity
                    shares     428236103  2046891 101784449 SH       DEFINED 1,2,5,6,8,10,12,18       101784449
HILL-ROM            Common
 HOLDINGS INC       equity
                    shares     431475102    41041   1330389 SH       DEFINED 1,2,5,6,8,12,17            1330389
INTL PAPER CO       Common
                    equity
                    shares     460146103   964911  33376465 SH       DEFINED 1,2,5,6,8,10,12,17,18     33335715            40750
KRAFT FOODS INC     Common
                    Stock      50075N104  3501746  90671972 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  90671972
LINCARE HOLDINGS    Common
 INC                equity
                    shares     532791100    71996   2116208 SH       DEFINED 1,2,5,6,8,12               2116208
LINCOLN NATIONAL    Common
 CORP               equity
                    shares     534187109   245790  11238619 SH       DEFINED 1,2,5,6,8,10,12,18        11238619
MARSH &             Common
 MCLENNAN COS       equity
                    shares     571748102   667410  20708046 SH       DEFINED 1,2,5,6,8,10,12,18        20708046
METLIFE INC         Common
                    equity
                    shares     59156R108  1327631  43034672 SH       DEFINED 1,2,5,6,8,10,12,18,19     43034672
ALLEGHENY           Common
 TECHNOLOGIES       equity
 INC                shares     01741R102   163946   5140922 SH       DEFINED 1,2,5,6,8,10,12,18         5140922
ALLERGAN INC        Common
                    equity
                    shares     018490102  1069501  11553429 SH       DEFINED 1,2,5,6,8,10,12,18        11553429
AMERICAN            Common
 ELECTRIC POWER     equity
 CO                 shares     025537101   961542  24098595 SH       DEFINED 1,2,5,6,8,10,12,17,18     24098595
APPLE INC           Common
                    equity
                    shares     037833100 20818401  35647959 SH       DEFINED 1,2,5,6,8,10,12,17,18     35647313              646
ASHLAND INC         Common
                    equity
                    shares     044209104   124326   1793744 SH       DEFINED 1,2,5,6,8,12,18            1793744
AUTODESK INC        Common
                    equity
                    shares     052769106   372358  10642473 SH       DEFINED 1,2,5,6,8,10,12,17,18     10642473
AUTOMATIC DATA      Common
 PROCESSING         equity
                    shares     053015103  1209942  21738155 SH       DEFINED 1,2,5,6,8,10,12,18        21738155
AUTONATION INC      Common
                    equity
                    shares     05329W102    60565   1716594 SH       DEFINED 1,2,5,6,8,10,12,18         1716594
BEMIS CO INC        Common
                    equity
                    shares     081437105   378100  12064512 SH       DEFINED 1,2,5,6,8,10,12           12064512
BEST BUY CO INC     Common
                    equity
                    shares     086516101   238135  11361107 SH       DEFINED 1,2,5,6,8,10,12,17,18     11361107
BIG LOTS INC        Common
                    equity
                    shares     089302103    99683   2443918 SH       DEFINED 1,2,5,6,8,10,12            2443918
OFFICEMAX INC       Common
                    equity
                    shares     67622P101    17084   3376531 SH       DEFINED 1,2,5,6,8                  3376531
BRISTOL-MYERS       Common
 SQUIBB CO          equity
                    shares     110122108  2282567  63492847 SH       DEFINED 1,2,5,6,8,10,12,17,18     63492847
BROADCOM CORP       Common
                    equity
                    shares     111320107   647910  19168866 SH       DEFINED 1,2,5,6,8,10,12,18        19168866
BROWN-FORMAN        Common
 -CL B              equity
                    shares     115637209   365615   3775153 SH       DEFINED 1,2,5,6,8,10,12,18         3775153
CENTERPOINT         Common
 ENERGY INC         equity
                    shares     15189T107   452705  21901319 SH       DEFINED 1,2,5,6,8,10,12,18        21901319
CENTURYLINK INC     Common
                    equity
                    shares     156700106  1337105  33859248 SH       DEFINED 1,2,5,6,8,10,12,17,18     23444220         10415028
CINTAS CORP         Common
                    equity
                    shares     172908105   168281   4358300 SH       DEFINED 1,2,5,6,8,10,12,18         4358300
CISCO SYSTEMS INC   Common
                    equity
                    shares     17275R102  3650061 212583805 SH       DEFINED 1,2,5,6,8,10,12,18,19    212583805
FRONTIER
 COMMUNICATIONS     Common
 CORP               Stock      35906A108   151448  39543349 SH       DEFINED 1,2,5,6,8,10,12,17,18     39543349
CITRIX SYSTEMS      Common
 INC                equity
                    shares     177376100   599068   7136941 SH       DEFINED 1,2,5,6,8,10,12,18         7136941
CMS ENERGY CORP     Common
                    equity
                    shares     125896100   296843  12631399 SH       DEFINED 1,2,5,6,8,10,12,18        12631399
COCA-COLA CO        Common
                    equity
                    shares     191216100  7263576  92896442 SH       DEFINED 1,2,5,6,8,10,12,17,18     92896442
COLGATE-            Common
 PALMOLIVE CO       equity
                    shares     194162103  3780530  36316226 SH       DEFINED 1,2,5,6,8,10,12,17,18     36316226
COMERICA INC        Common
                    equity
                    shares     200340107   272204   8863958 SH       DEFINED 1,2,5,6,8,10,12,18         8863958
CONOCOPHILLIPS      Common
                    equity
                    shares     20825C104  2816710  50406316 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  50406316
COOPER              Common
 INDUSTRIES PLC     equity
                    shares     G24140108   401159   5883743 SH       DEFINED 1,2,5,6,8,10,12,18         5883743
COOPER TIRE &       Common
 RUBBER CO          equity
                    shares     216831107    26613   1517364 SH       DEFINED 1,2,5,6,8                  1517364
MOLSON COORS        Common
 BREWING CO         equity
                    shares     60871R209   255273   6134819 SH       DEFINED 1,2,5,6,8,10,12,18         6134819
CRANE CO            Common
                    equity
                    shares     224399105    42422   1166145 SH       DEFINED 1,2,5,6,8,12               1166145
CUMMINS INC         Common
                    equity
                    shares     231021106  1320582  13626842 SH       DEFINED 1,2,5,6,8,10,12,18        13626842
DELUXE CORP         Common
                    equity
                    shares     248019101    41091   1647763 SH       DEFINED 1,2,5,6,8,12,17            1647763
DEVON ENERGY        Common
 CORP               equity
                    shares     25179M103   970229  16730786 SH       DEFINED 1,2,5,6,8,10,12,18        16730786
DILLARDS INC -CL A  Common
                    equity
                    shares     254067101    30483    478730 SH       DEFINED 1,2,5,6,8,17                478730
DUKE ENERGY CORP    Common
                    equity
                    shares     26441C204  1463370  63459254 SH       DEFINED 1,2,5,6,8,10,12,17,18     63459254
DYNEGY INC          Common
                    Stock      26817G300      217    376108 SH       DEFINED 1,2,5                       376108
E TRADE FINANCIAL   Common
 CORP               equity
                    shares     269246401    96516  12005580 SH       DEFINED 1,2,5,6,8,10,12           12005580
EASTMAN             Common
 CHEMICAL CO        equity
                    shares     277432100   285832   5674674 SH       DEFINED 1,2,5,6,8,10,12,17,18      5674674
EBAY INC            Common
                    equity
                    shares     278642103  1813908  43177920 SH       DEFINED 1,2,5,6,8,10,12,18        43177920
EMC CORP/MA         Common
                    equity
                    shares     268648102  2059794  80366849 SH       DEFINED 1,2,5,6,8,10,12,17,18     80361669             5180
ENTERGY CORP        Common
                    equity
                    shares     29364G103   597597   8802253 SH       DEFINED 1,2,5,6,8,10,12,17,18      8802253
EOG RESOURCES       Common
 INC                equity
                    shares     26875P101   994261  11034024 SH       DEFINED 1,2,5,6,8,10,12,18        11034024
EXXON MOBIL CORP    Common
                    equity
                    shares     30231G102 16086675 187994321 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 187994321
FAMILY DOLLAR       Common
 STORES             equity
                    shares     307000109   337076   5070494 SH       DEFINED 1,2,5,6,8,10,12,18         5070494
MACY`S INC          Common
                    equity
                    shares     55616P104   552317  16079213 SH       DEFINED 1,2,5,6,8,10,12,17,18     16079213
FEDERATED           Common
 INVESTORS INC      equity
                    shares     314211103    70215   3213799 SH       DEFINED 1,2,5,6,8,10,12            3213799
FOREST              Common
 LABORATORIES       equity
 -CL A              shares     345838106   375162  10722588 SH       DEFINED 1,2,5,6,8,10,12,18        10722588
GAP INC             Common
                    equity
                    shares     364760108   347505  12701014 SH       DEFINED 1,2,5,6,8,10,12,17,18     12701014
GILEAD SCIENCES     Common
 INC                equity
                    shares     375558103  1444029  28159672 SH       DEFINED 1,2,5,6,8,10,12,18        28159672
GOODRICH CORP       Common
                    equity
                    shares     382388106   601128   4737033 SH       DEFINED 1,2,5,6,8,10,12,18         4737033
GOODYEAR TIRE &     Common
 RUBBER CO          equity
                    shares     382550101   109694   9288007 SH       DEFINED 1,2,5,6,8,10,12,18         9288007
GRAINGER (W W)      Common
 INC                equity
                    shares     384802104   432254   2260274 SH       DEFINED 1,2,5,6,8,10,12,18         2260274
HEINZ (H J) CO      Common
                    equity
                    shares     423074103   665589  12239692 SH       DEFINED 1,2,5,6,8,10,12,17,18     12239692
HUMANA INC          Common
                    equity
                    shares     444859102   483581   6244605 SH       DEFINED 1,2,5,6,8,10,12,17,18      6244605
INGERSOLL-RAND      Common
 PLC                equity
                    shares     G47791101   460184  10910095 SH       DEFINED 1,2,5,6,8,10,12,17,18     10910095
JANUS CAPITAL       Common
 GROUP INC          equity
                    shares     47102X105    36268   4637353 SH       DEFINED 1,2,5,6,8,10,12,17         4637353
JOHNSON &           Common
 JOHNSON            equity
                    shares     478160104  9750586 144324908 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 143969416           355492
KB HOME             Common
                    equity
                    shares     48666K109    21887   2233328 SH       DEFINED 1,2,5,6,8,12,17            2148328            85000
KEYCORP             Common
                    equity
                    shares     493267108   366033  47291705 SH       DEFINED 1,2,5,6,8,10,12,17,18     47291705
KOHL`S CORP         Common
                    equity
                    shares     500255104   481224  10578679 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  10578679
LOCKHEED MARTIN     Common
 CORP               equity
                    shares     539830109  5519107  63379784 SH       DEFINED 1,2,5,6,8,10,12,17,18     63379784
LOEWS CORP          Common
                    equity
                    shares     540424108   496167  12128211 SH       DEFINED 1,2,5,6,8,10,12,18        12128211
LOUISIANA-PACIFIC   Common
 CORP               equity
                    shares     546347105    45493   4181446 SH       DEFINED 1,2,5,6,8,12               4181446
M & T BANK CORP     Common
                    equity
                    shares     55261F104   454568   5505212 SH       DEFINED 1,2,5,6,8,10,12,18         5505212
MARRIOTT INTL INC   Common
                    equity
                    shares     571903202   427577  10907685 SH       DEFINED 1,2,5,6,8,10,12,18        10907685
MASCO CORP          Common
                    equity
                    shares     574599106   226167  16306036 SH       DEFINED 1,2,5,6,8,10,12,18        16306036
MATTEL INC          Common
                    Stock      577081102   417827  12880255 SH       DEFINED 1,2,5,6,8,10,12,18        12880255
MBIA INC            Common
                    equity
                    shares     55262C100    17975   1662744 SH       DEFINED 1,2,5,6,8                  1662744
MCGRAW-HILL         Common
 COMPANIES          equity
                    shares     580645109   596124  13246345 SH       DEFINED 1,2,5,6,8,10,12,18        13246345
MCKESSON CORP       Common
                    equity
                    shares     58155Q103   874273   9325392 SH       DEFINED 1,2,5,6,8,10,12,17,18      9325392
MEADWESTVACO        Common
 CORP               equity
                    shares     583334107   249612   8682107 SH       DEFINED 1,2,5,6,8,10,12,18         8682107
MEREDITH CORP       Common
                    equity
                    shares     589433101    36932   1156229 SH       DEFINED 1,2,5,6,8,12               1156229
MGIC INVESTMENT     Common
 CORP/WI            equity
                    shares     552848103    10270   3566027 SH       DEFINED 1,2,5,6,8                  3566027
MOLEX INC           Common
                    equity
                    shares     608554101   110612   4620215 SH       DEFINED 1,2,5,6,8,10,12            4620215
MONSTER             Common
 WORLDWIDE INC      Stock      611742107    30785   3621304 SH       DEFINED 1,2,5,6,8,10,12            3621304
MYLAN INC           Common
                    Stock      628530107   358080  16756447 SH       DEFINED 1,2,5,6,8,10,12,18        16756447
NABORS              Common
 INDUSTRIES LTD     equity
                    shares     G6359F103   208584  14484628 SH       DEFINED 1,2,5,6,8,10,12,18        14484628
NAVISTAR
 INTERNATIONAL      Common
 CORP               Stock      63934E108    21043    741764 SH       DEFINED 1,2,5,6,8,12                741764
NCR CORP            Common
                    equity
                    shares     62886E108    84157   3702267 SH       DEFINED 1,2,5,6,8,12,17            3694827             7440
NETAPP INC          Common
                    equity
                    shares     64110D104   430875  13540779 SH       DEFINED 1,2,5,6,8,10,12,18        13540779
NEWELL              Common
 RUBBERMAID INC     equity
                    shares     651229106   206663  11392420 SH       DEFINED 1,2,5,6,8,10,12,18        11392420
NEWMONT MINING      Common
 CORP               equity
                    shares     651639106  1048182  21607433 SH       DEFINED 1,2,5,6,8,10,12,17,18     21607433
NIKE INC            Common
                    equity
                    shares     654106103  1193932  13601382 SH       DEFINED 1,2,5,6,8,10,12,18        13601382
NISOURCE INC        Common
                    equity
                    shares     65473P105   360200  14553221 SH       DEFINED 1,2,5,6,8,10,12,17,18     14553221
NOBLE CORP          Common
                    equity
                    shares     H5833N103   279038   8577555 SH       DEFINED 1,2,5,6,8,10,12,18         8577555
NORDSTROM INC       Common
                    equity
                    shares     655664100   306571   6169625 SH       DEFINED 1,2,5,6,8,10,12,18         6169625
NORFOLK             Common
 SOUTHERN CORP      equity
                    shares     655844108   908552  12659294 SH       DEFINED 1,2,5,6,8,10,12,18        12659294
NORTHERN TRUST      Common
 CORP               equity
                    shares     665859104   459880   9993001 SH       DEFINED 1,2,5,6,8,10,12,18,19      9993001
NUCOR CORP          Common
                    equity
                    shares     670346105   738514  19485665 SH       DEFINED 1,2,5,6,8,10,12,18        19485665
OCCIDENTAL          Common
 PETROLEUM CORP     equity
                    shares     674599105  2824075  32926098 SH       DEFINED 1,2,5,6,8,10,12,18,19     32926098
OFFICE DEPOT INC    Common
                    equity
                    shares     676220106    29451  13635457 SH       DEFINED 1,2,5,6,8,12              13635457
OMNICOM GROUP       Common
                    equity
                    shares     681919106   484253   9964012 SH       DEFINED 1,2,5,6,8,10,12,18         9964012
ORACLE CORP         Common
                    equity
                    shares     68389X105  4434946 149325085 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 149321569             3516
PACCAR INC          Common
                    equity
                    shares     693718108   508251  12968821 SH       DEFINED 1,2,5,6,8,10,12,18        12968821
PALL CORP           Common
                    equity
                    shares     696429307   235139   4290339 SH       DEFINED 1,2,5,6,8,10,12,18         4290339
PARAMETRIC          Common
 TECHNOLOGY         equity
 CORP               shares     699173209    73983   3529678 SH       DEFINED 1,2,5,6,8,12               3529678
PARKER-HANNIFIN     Common
 CORP               equity
                    shares     701094104   453840   5903108 SH       DEFINED 1,2,5,6,8,10,12,18         5903108
PAYCHEX INC         Common
                    equity
                    shares     704326107   394838  12570488 SH       DEFINED 1,2,5,6,8,10,12,17,18     12570488
PENNEY (J C) CO     Common
                    equity
                    shares     708160106   433375  18591498 SH       DEFINED 1,2,5,6,8,10,12,18        18591498
PEPSICO INC         Common
                    equity
                    shares     713448108  4337980  61392334 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  61392334
PERKINELMER INC     Common
                    equity
                    shares     714046109   102425   3969791 SH       DEFINED 1,2,5,6,8,10,12,18         3969791
PFIZER INC          Common
                    equity
                    shares     717081103  6689853 290863099 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 290863099
PG&E CORP           Common
                    equity
                    shares     69331C108   962957  21271380 SH       DEFINED 1,2,5,6,8,10,12,17,18     21271380
PINNACLE WEST       Common
 CAPITAL CORP       equity
                    shares     723484101   411540   7954094 SH       DEFINED 1,2,5,6,8,10,12,17,18      7954094
PITNEY BOWES INC    Common
                    equity
                    shares     724479100   500636  33443602 SH       DEFINED 1,2,5,6,8,10,12,18        33443602
PLUM CREEK          Real
 TIMBER CO INC      Estate
                    Investment
                    Trust      729251108   240652   6061626 SH       DEFINED 1,2,5,6,8,10,12,18         6061626
PMC-SIERRA INC      Common
                    equity
                    shares     69344F106    19636   3198406 SH       DEFINED 1,2,5,6,8                  3198406
PNC FINANCIAL       Common
 SVCS GROUP INC     equity
                    shares     693475105  1342491  21968237 SH       DEFINED 1,2,5,6,8,10,12,18,19     21968237
POWER-ONE INC       Common
                    Stock      73930R102     6388   1414496 SH       DEFINED 1,2,6,8                    1414496
PPG INDUSTRIES INC  Common
                    equity
                    shares     693506107   800787   7546008 SH       DEFINED 1,2,5,6,8,10,12,17,18,19   7546008
PPL CORP            Common
                    equity
                    shares     69351T106   781012  28084070 SH       DEFINED 1,2,5,6,8,10,12,17,18     28084070
PRAXAIR INC         Common
                    equity
                    shares     74005P104  1272194  11700536 SH       DEFINED 1,2,5,6,8,10,12,18        11700536
PRICE (T. ROWE)     Common
 GROUP              equity
                    shares     74144T108   733867  11656094 SH       DEFINED 1,2,5,6,8,10,12,18        11656094
PRINCIPAL           Common
 FINANCIAL GRP      equity
 INC                shares     74251V102   308422  11758641 SH       DEFINED 1,2,5,6,8,10,12,18        11758641
PROCTER &           Common
 GAMBLE CO          equity
                    shares     742718109  7146247 116673179 SH       DEFINED 1,2,5,6,8,10,12,17,18    116673179
PROGRESS ENERGY     Common
 INC                equity
                    shares     743263105  1481062  24614647 SH       DEFINED 1,2,5,6,8,10,12,18        14254818         10359829
PROGRESSIVE CORP-   Common
 OHIO               equity
                    shares     743315103   465324  22339417 SH       DEFINED 1,2,5,6,8,10,12,18        22339417
PRUDENTIAL          Common
 FINANCIAL INC      equity
                    shares     744320102   864129  17842849 SH       DEFINED 1,2,5,6,8,10,12,17,18     17842849
PUBLIC SERVICE      Common
 ENTRP GRP INC      equity
                    shares     744573106   805391  24780610 SH       DEFINED 1,2,5,6,8,10,12,17,18     24780610
PULTEGROUP INC      Common
                    equity
                    shares     745867101   163802  15308643 SH       DEFINED 1,2,5,6,8,10,12           15308643
QLOGIC CORP         Common
                    equity
                    shares     747277101    42594   3111705 SH       DEFINED 1,2,5,6,8,12               3111705
QUALCOMM INC        Common
                    equity
                    shares     747525103  3551014  63775373 SH       DEFINED 1,2,5,6,8,10,12,17,18     63771820             3553
QUEST               Common
 DIAGNOSTICS INC    equity
                    shares     74834L100   344093   5744118 SH       DEFINED 1,2,5,6,8,10,12,18         5744118
RADIOSHACK CORP     Common
                    equity
                    shares     750438103    19387   5047911 SH       DEFINED 1,2,5,6,8,12               5047911
RAYTHEON CO         Common
                    equity
                    shares     755111507   737017  13023681 SH       DEFINED 1,2,5,6,8,10,12,17,18     13023681
REGIONS FINANCIAL   Common
 CORP               equity
                    shares     7591EP100   424059  62823449 SH       DEFINED 1,2,5,6,8,10,12,18        62823449
REYNOLDS            Common
 AMERICAN INC       equity
                    shares     761713106   559189  12462294 SH       DEFINED 1,2,5,6,8,10,12,17,18     12462294
ROBERT HALF INTL    Common
 INC                equity
                    shares     770323103   160028   5601012 SH       DEFINED 1,2,5,6,8,10,12,18         5601012
ROCKWELL            Common
 AUTOMATION         equity
                    shares     773903109   349377   5288729 SH       DEFINED 1,2,5,6,8,10,12,17,18      5287639             1090
ROCKWELL            Common
 COLLINS INC        equity
                    shares     774341101   276992   5612674 SH       DEFINED 1,2,5,6,8,10,12,18         5612674
ROWAN COMPANIES     Common
 PLC                Stock      G7665A101   204624   6329466 SH       DEFINED 1,2,5,6,8,10,12,18         6329466
RYDER SYSTEM INC    Common
                    equity
                    shares     783549108    68392   1899107 SH       DEFINED 1,2,5,6,8,10,12            1899107
SAFEWAY INC         Common
                    equity
                    shares     786514208   210756  11612288 SH       DEFINED 1,2,5,6,8,10,12,17,18     11612288
SANMINA-SCI CORP    Common
                    equity
                    shares     800907206    12403   1514267 SH       DEFINED 1,2,5,6,8,12               1514267
HILLSHIRE BRANDS    Common
 CO                 equity
                    shares     432589109    67238   2319772 SH       DEFINED 1,2,5,6,8,10,12,18         2319772
AT&T INC            Common
                    equity
                    shares     00206R102  8461327 237278062 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 237278062
SCHLUMBERGER        Common
 LTD                equity
                    shares     806857108  3420449  52695361 SH       DEFINED 1,2,5,6,8,10,12,17,18     52694003             1358
SCHWAB (CHARLES)    Common
 CORP               equity
                    shares     808513105   509165  39379325 SH       DEFINED 1,2,5,6,8,10,12,18        39379325
SEALED AIR CORP     Common
                    equity
                    shares     81211K100   120994   7836644 SH       DEFINED 1,2,5,6,8,10,12,18         7836644
SEMPRA ENERGY       Common
                    equity
                    shares     816851109   806867  11714085 SH       DEFINED 1,2,5,6,8,10,12,18        11714085
SHERWIN-WILLIAMS    Common
 CO                 equity
                    shares     824348106   469685   3548866 SH       DEFINED 1,2,5,6,8,10,12,17,18      3548866
SIGMA-ALDRICH       Common
 CORP               equity
                    shares     826552101   355090   4803114 SH       DEFINED 1,2,5,6,8,10,12,18         4803114
SIMON PROPERTY      Real
 GROUP INC          Estate
                    Investment
                    Trust      828806109  2348837  15089501 SH       DEFINED 1,2,3,5,6,8,10,12,17,18   15089501
SLM CORP            Common
                    Stock      78442P106   316474  20144969 SH       DEFINED 1,2,5,6,8,10,12,18        20144969
SNAP-ON INC         Common
                    equity
                    shares     833034101   123549   1984746 SH       DEFINED 1,2,5,6,8,10,12            1984746
SOUTHERN CO         Common
                    equity
                    shares     842587107  1941592  41935060 SH       DEFINED 1,2,5,6,8,10,12,17,18     41935060
SOUTHWEST           Common
 AIRLINES           equity
                    shares     844741108   234134  25394273 SH       DEFINED 1,2,5,6,8,10,12,18        25394273
SPRINT NEXTEL       Common
 CORP               equity
                    shares     852061100   394996 121164260 SH       DEFINED 1,2,5,6,8,10,12,18       121164260
ST JUDE MEDICAL     Common
 INC                equity
                    shares     790849103   487499  12214728 SH       DEFINED 1,2,5,6,8,10,12,18        12214728
TRAVELERS COS INC   Common
                    equity
                    shares     89417E109  1377685  21580404 SH       DEFINED 1,2,5,6,8,10,12,17,18     21580404
STANLEY BLACK &     Common
 DECKER INC         equity
                    shares     854502101   534197   8300293 SH       DEFINED 1,2,5,6,8,10,12,18         8300293
STAPLES INC         Common
                    equity
                    shares     855030102   397187  30435448 SH       DEFINED 1,2,5,6,8,10,12,18,19     30435448
STARBUCKS CORP      Common
                    equity
                    shares     855244109  1447463  27146870 SH       DEFINED 1,2,5,6,8,10,12,18        27146870
STARWOOD            Common
 HOTELS&RESORTS     equity
 WRLD               shares     85590A401   449542   8475494 SH       DEFINED 1,2,5,6,8,10,12,18         8475494
STATE STREET CORP   Common
                    equity
                    shares     857477103   977812  21904361 SH       DEFINED 1,2,5,6,8,10,12,18        21904361
STRYKER CORP        Common
                    equity
                    shares     863667101   698616  12679022 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  12674792             4230
SUNOCO INC          Common
                    equity
                    shares     86764P109   325339   6848742 SH       DEFINED 1,2,5,6,8,10,12,18         5324748          1523994
SUNTRUST BANKS      Common
 INC                equity
                    shares     867914103   582402  24036568 SH       DEFINED 1,2,5,6,8,10,12,18,19     24036568
SUPERVALU INC       Common
                    equity
                    shares     868536103    73771  14240980 SH       DEFINED 1,2,5,6,8,12              14240980
SYMANTEC CORP       Common
                    equity
                    shares     871503108   505478  34597900 SH       DEFINED 1,2,5,6,8,10,12,18        34597900
SYNOVUS             Common
 FINANCIAL CORP     equity
                    shares     87161C105    59109  29854423 SH       DEFINED 1,2,5,6,8,12              29854423
SYSCO CORP          Common
                    equity
                    shares     871829107   905435  30373646 SH       DEFINED 1,2,5,6,8,10,12,17,18     30373646
TARGET CORP         Common
                    equity
                    shares     87612E106  3548987  60989642 SH       DEFINED 1,2,5,6,8,10,12,17,18     60989642
TECO ENERGY INC     Common
                    equity
                    shares     872375100   175935   9741903 SH       DEFINED 1,2,5,6,8,10,12,18         9741903
TELLABS INC         Common
                    equity
                    shares     879664100    37813  11354906 SH       DEFINED 1,2,5,6,8,12              11354906
TENET               Common
 HEALTHCARE         equity
 CORP               shares     88033G100    78105  14905869 SH       DEFINED 1,2,5,6,8,10,12           14905869
TERADYNE INC        Common
                    equity
                    shares     880770102    93090   6620912 SH       DEFINED 1,2,5,6,8,10,12,17         6615292             5620
TEXAS               Common
 INSTRUMENTS INC    Stock      882508104  1227753  42793909 SH       DEFINED 1,2,5,6,8,10,12,17,18     42793909
TEXTRON INC         Common
                    equity
                    shares     883203101   260080  10457933 SH       DEFINED 1,2,5,6,8,10,12,17,18     10457933
THERMO FISHER       Common
 SCIENTIFIC INC     equity
                    shares     883556102   699019  13465964 SH       DEFINED 1,2,5,6,8,10,12,18        13465964
TIFFANY & CO        Common
                    equity
                    shares     886547108   252765   4773660 SH       DEFINED 1,2,5,6,8,10,12,18         4773660
TIME WARNER INC     Common
                    equity
                    shares     887317303  1395617  36249705 SH       DEFINED 1,2,5,6,8,10,12,17,18     36249705
TJX COMPANIES INC   Common
                    equity
                    shares     872540109  1201243  27981345 SH       DEFINED 1,2,5,6,8,10,12,18        27981345
TORCHMARK CORP      Common
                    equity
                    shares     891027104   204470   4045074 SH       DEFINED 1,2,5,6,8,10,12,17,18      4045074
TRANSOCEAN LTD      Common
                    equity
                    shares     H8817H100    30508    682094 SH       DEFINED 1,2,5,6,8,12,18             682094
TYCO                Common
 INTERNATIONAL      equity
 LTD                shares     H89128104   977729  18499967 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  18499967
U S BANCORP         Common
                    equity
                    shares     902973304  2364737  73530257 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  73523677             6580
UNION PACIFIC       Common
 CORP               equity
                    shares     907818108  2091242  17527809 SH       DEFINED 1,2,5,6,8,10,12,17,18     17526879              930
UNISYS CORP         Common
                    equity
                    shares     909214306    19033    973510 SH       DEFINED 1,2,5,6,8,17                973510
UNITED PARCEL       Common
 SERVICE INC        equity
                    shares     911312106  2537342  32216147 SH       DEFINED 1,2,5,6,8,10,12,18        32216147
UNITED STATES       Common
 STEEL CORP         equity
                    shares     912909108   146575   7115313 SH       DEFINED 1,2,5,6,8,10,12,18         7115313
UNITED              Common
 TECHNOLOGIES       equity
 CORP               shares     913017109  8397336 111178728 SH       DEFINED 1,2,5,6,8,10,12,18       111178728
UNITEDHEALTH        Common
 GROUP INC          equity
                    shares     91324P102  2335906  39929992 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  39929992
UNUM GROUP          Common
                    equity
                    shares     91529Y106   215776  11279662 SH       DEFINED 1,2,5,6,8,10,12,18        11279662
VALERO ENERGY       Common
 CORP               equity
                    shares     91913Y100   644516  26687841 SH       DEFINED 1,2,5,6,8,10,12,18,19     26687841
VERIZON             Common
 COMMUNICATIONS     equity
 INC                shares     92343V104  5071087 114111034 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 114111034
VF CORP             Common
                    equity
                    shares     918204108   526834   3947829 SH       DEFINED 1,2,5,6,8,10,12,18         3947829
CBS CORP            Common
                    equity
                    shares     124857202   777775  23727249 SH       DEFINED 1,2,5,6,8,10,12,18        23727249
VULCAN              Common
 MATERIALS CO       equity
                    shares     929160109   203207   5117098 SH       DEFINED 1,2,5,6,8,10,12,17,18      5115368             1730
WAL-MART STORES     Common
 INC                equity
                    shares     931142103  5306435  76110661 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  76110661
WALGREEN CO         Common
                    equity
                    shares     931422109  1166120  39422436 SH       DEFINED 1,2,5,6,8,10,12,18        39422436
WASTE               Common
 MANAGEMENT         equity
 INC                shares     94106L109   673239  20156761 SH       DEFINED 1,2,5,6,8,10,12,17,18     20156761
WATERS CORP         Common
                    equity
                    shares     941848103   272658   3430865 SH       DEFINED 1,2,5,6,8,10,12,18         3430865
WATSON              Common
 PHARMACEUTICALS    equity
 INC                shares     942683103   383220   5179380 SH       DEFINED 1,2,5,6,8,10,12,18         5179380
WELLS FARGO & CO    Common
                    equity
                    shares     949746101  6612762 197750079 SH       DEFINED 1,2,5,6,8,10,12,18,19    197750079
WEYERHAEUSER CO     Common
                    equity
                    shares     962166104   443116  19817701 SH       DEFINED 1,2,5,6,8,10,12,18        19817701
WHIRLPOOL CORP      Common
                    equity
                    shares     963320106   221243   3617677 SH       DEFINED 1,2,5,6,8,10,12,17,18      3617677
WILLIAMS COS INC    Common
                    equity
                    shares     969457100   780074  27067116 SH       DEFINED 1,2,5,6,8,10,12,18        27067116
WORTHINGTON         Common
 INDUSTRIES         equity
                    shares     981811102    57814   2824406 SH       DEFINED 1,2,5,6,8,12               2824406
XCEL ENERGY INC     Common
                    equity
                    shares     98389B100   672323  23665123 SH       DEFINED 1,2,5,6,8,10,12,18        23665123
XEROX CORP          Common
                    equity
                    shares     984121103   612359  77809587 SH       DEFINED 1,2,5,6,8,10,12,18        77809587
XILINX INC          Common
                    equity
                    shares     983919101   345005  10277015 SH       DEFINED 1,2,5,6,8,10,12,18        10277015
XL GROUP PLC        Common
                    equity
                    shares     G98290102   254293  12086075 SH       DEFINED 1,2,5,6,8,10,12,18        12086075
YAHOO INC           Common
                    equity
                    shares     984332106   746691  47169533 SH       DEFINED 1,2,5,6,8,10,12,18        47169533
YUM BRANDS INC      Common
                    equity
                    shares     988498101  1333039  20692957 SH       DEFINED 1,2,5,6,8,10,12,18        16853701          3839256
ZIMMER HOLDINGS     Common
 INC                equity
                    shares     98956P102   441994   6867542 SH       DEFINED 1,2,5,6,8,10,12,17,18      6867542
ZIONS               Common
 BANCORPORATION     equity
                    shares     989701107   178603   9197123 SH       DEFINED 1,2,5,6,8,10,12            9197123
NEWS CORP           Common
                    Stock      65248E104  1667306  74800856 SH       DEFINED 1,2,5,6,8,10,12,18        74800856
SHIP FINANCE INTL   Common
 LTD                equity
                    shares     G81075106    13682    875398 SH       DEFINED 1,2,5,6                     875398
CNO FINANCIAL       Common
 GROUP INC          equity
                    shares     12621E103    37782   4844412 SH       DEFINED 1,2,5,6,8,12               4844412
HARRIS CORP         Common
                    equity
                    shares     413875105   185808   4439723 SH       DEFINED 1,2,5,6,8,10,12,18         4439723
SEARS HOLDINGS      Common
 CORP               equity
                    shares     812350106   196481   3290925 SH       DEFINED 1,2,5,6,8,10,12,18         3290925
MEMC ELECTRONIC     Common
 MATRIALS INC       equity
                    shares     552715104    16110   7423253 SH       DEFINED 1,2,5,6,8,12               7423253
YRC WORLDWIDE       Common
 INC                equity
                    shares     984249607      133     18891 SH       DEFINED 1,5                          18891
CREE INC            Common
                    equity
                    shares     225447101    79672   3103669 SH       DEFINED 1,2,5,6,8,10,12,17,18      3096839             6830
CHESAPEAKE          Common
 ENERGY CORP        equity
                    shares     165167107   515411  27710103 SH       DEFINED 1,2,5,6,8,10,12,18        27710103
ALLIANT             Common
 TECHSYSTEMS        equity
 INC                shares     018804104    41507    820845 SH       DEFINED 1,2,5,6,12                  820845
ABERCROMBIE &       Common
 FITCH -CL A        equity
                    shares     002896207   118552   3472622 SH       DEFINED 1,2,5,6,8,10,12,18         3472622
ACXIOM CORP         Common
                    equity
                    shares     005125109    38228   2530047 SH       DEFINED 1,2,5,6,8,12               2530047
AFFYMETRIX INC      Common
                    equity
                    shares     00826T108     6725   1434822 SH       DEFINED 1,2,6,8                    1434822
HUBBELL INC -CL B   Common
                    equity
                    shares     443510201   102772   1318587 SH       DEFINED 1,2,5,6,8,12               1318587
LANCASTER           Common
 COLONY CORP        equity
                    shares     513847103    43561    611727 SH       DEFINED 1,2,5,6,8,12,17             611727
PENTAIR INC         Common
                    equity
                    shares     709631105   213357   5573583 SH       DEFINED 1,2,5,6,8,10,12,18         5573583
TOTAL SYSTEM        Common
 SERVICES INC       equity
                    shares     891906109   169782   7094949 SH       DEFINED 1,2,5,6,8,10,12,18         7094949
KEY ENERGY          Common
 SERVICES INC       equity
                    shares     492914106    27786   3656033 SH       DEFINED 1,2,5,6,8                  3656033
EAGLE MATERIALS     Common
 INC                equity
                    shares     26969P108    37848   1013548 SH       DEFINED 1,2,5,6,8,17               1011708             1840
NORTHEAST           Common
 UTILITIES          equity
                    shares     664397106   616716  15890795 SH       DEFINED 1,2,5,6,8,10,12,18        15890795
PIPER JAFFRAY COS   Common
 INC                equity
                    shares     724078100     8468    361440 SH       DEFINED 1,2,5,6,8                   361440






                                                      SHS/PRN  SH/ PUT/ DISCRE-                            SOLE   SHARED    NO
ISSUER                    CLASS       CUSIP    VALUE    VAL    PRN CALL    TION         MANAGERS          VOTING  VOTING  VOTING
--------------------------------------------------------------------------------------------------------------------------------
                                                                                         
L-3 COMMUNICATIONS     Common
 HLDGS INC             equity
                       shares       502424104  283653  3832638 SH       DEFINED 1,2,5,6,8,10,12,18        3832638
WILEY (JOHN) &         Common
 SONS -CL A            equity
                       shares       968223206   54370  1109745 SH       DEFINED 1,2,5,6,8,12              1109745
ATMEL CORP             Common
                       equity
                       shares       049513104   65614  9793841 SH       DEFINED 1,2,5,6,8,12              9793841
SEI INVESTMENTS CO     Common
                       equity
                       shares       784117103   89400  4494276 SH       DEFINED 1,2,5,6,8,10,12,18        4494276
ADTRAN INC             Common
                       equity
                       shares       00738A106   60302  1997516 SH       DEFINED 1,2,5,6,8,12              1997516
ADVANCE AUTO PARTS     Common
 INC                   equity
                       shares       00751Y106  153797  2254400 SH       DEFINED 1,2,5,6,8,10,12,17,18     2254400
CONSTELLATION          Common
 BRANDS                equity
                       shares       21036P108  191495  7076667 SH       DEFINED 1,2,5,6,8,10,12,18        7076667
CYTEC INDUSTRIES INC   Common
                       equity
                       shares       232820100   62799  1070918 SH       DEFINED 1,2,5,6,8,12              1070918
DOLLAR TREE INC        Common
                       equity
                       shares       256746108  495562  9211211 SH       DEFINED 1,2,5,6,8,10,12,18        9211211
HARTE HANKS INC        Common
                       equity
                       shares       416196103    8758   958204 SH       DEFINED 1,2,5,6,8                  958204
ITT EDUCATIONAL        Common
 SERVICES INC          equity
                       shares       45068B109   31484   518287 SH       DEFINED 1,2,5,6,8,10,12            518287
JEFFERIES GROUP INC    Common
                       equity
                       shares       472319102   41060  3160765 SH       DEFINED 1,2,5,6,8,10,12           3160765
NVR INC                Common
                       equity
                       shares       62944T105  152662   179598 SH       DEFINED 1,2,5,6,8,12               179598
PACKAGING CORP OF      Common
 AMERICA               equity
                       shares       695156109   62968  2229591 SH       DEFINED 1,2,5,6,8,12              2229591
POPULAR INC            Common
                       equity
                       shares       733174700   83907  5051839 SH       DEFINED 1,2,5,6,8,12              5051839
PRECISION CASTPARTS    Common
 CORP                  equity
                       shares       740189105  859930  5227885 SH       DEFINED 1,2,5,6,8,10,12,18        5227885
RAYONIER INC           Real Estate
                       Investment
                       Trust        754907103  148829  3314752 SH       DEFINED 1,2,5,6,8,10,12,18        3314752
RENT-A-CENTER INC      Common
                       equity
                       shares       76009N100   73310  2172873 SH       DEFINED 1,2,5,6,8,12              2172873
RYLAND GROUP INC       Common
                       equity
                       shares       783764103   75535  2952803 SH       DEFINED 1,2,5,6,8                 2952803
SAKS INC               Common
                       equity
                       shares       79377W108   50541  4745629 SH       DEFINED 1,2,5,6,8,12              4745629
SPDR S&P 500 ETF       USA:
                       Common
                       Stock        78462F103 1537687 11284106 SH       DEFINED 1,2,5,10,17              11274846           9260
UTSTARCOM HOLDINGS     Common
 CORP                  equity
                       shares       G9310A106      18    15168 SH       DEFINED 1                           15168
PATTERSON-UTI ENERGY   Common
 INC                   equity
                       shares       703481101   57898  3976703 SH       DEFINED 1,2,5,6,8,12              3976703
NABI                   Common
 BIOPHARMACEUTICALS    Stock        629519109      52    32717 SH       DEFINED 1                           32717
WMS INDUSTRIES INC     Common
                       equity
                       shares       929297109   31158  1561702 SH       DEFINED 1,2,5,6,8                 1561702
PANERA BREAD CO        Common
                       equity
                       shares       69840W108   93704   672013 SH       DEFINED 1,2,5,6,8,12               672013
AFFILIATED MANAGERS    Common
 GRP INC               equity
                       shares       008252108  156512  1429909 SH       DEFINED 1,2,5,6,8,10,12,17,18     1429909
ANSYS INC              Common
                       equity
                       shares       03662Q105  153910  2438885 SH       DEFINED 1,2,5,6,8,10,12,17,18     2436845           2040
APTARGROUP INC         Common
                       equity
                       shares       038336103   80675  1580295 SH       DEFINED 1,2,5,6,8,12              1580295
AXCELIS TECHNOLOGIES   Common
 INC                   equity
                       shares       054540109    2090  1740171 SH       DEFINED 1,2                       1740171
BENCHMARK              Common
 ELECTRONICS INC       equity
                       shares       08160H101   18742  1343612 SH       DEFINED 1,2,5,6,8                 1343612
BROCADE                Common
 COMMUNICATIONS SYS    equity
                       shares       111621306   26505  5375452 SH       DEFINED 1,2,5,6,8,17              5375452
BROOKS AUTOMATION      Common
 INC                   equity
                       shares       114340102   13372  1416783 SH       DEFINED 1,2,5,6,8                 1416783
CARTER`S INC           Common
                       equity
                       shares       146229109   62511  1188368 SH       DEFINED 1,2,5,6,8,12              1188368
CUMULUS MEDIA INC      Common
                       equity
                       shares       231082108    2282   757591 SH       DEFINED 1,2,6                      757591
EMULEX CORP            Common
                       equity
                       shares       292475209   13818  1918602 SH       DEFINED 1,2,5,6,8                 1918602
ENTEGRIS INC           Common
                       equity
                       shares       29362U104   22881  2679040 SH       DEFINED 1,2,5,6,8,17              2679040
EXTREME NETWORKS       Common
 INC                   Stock        30226D106    5846  1698478 SH       DEFINED 1,2,5,6,8                 1698478
FORWARD AIR CORP       Common
                       equity
                       shares       349853101   18590   576168 SH       DEFINED 1,2,5,6,8                  576168
GATX CORP              Common
                       equity
                       shares       361448103   43795  1137476 SH       DEFINED 1,2,5,6,8,12              1137476
GENTEX CORP            Common
                       equity
                       shares       371901109   70707  3388103 SH       DEFINED 1,2,5,6,8,12              3388103
IDEX CORP              Common
                       equity
                       shares       45167R104   76114  1952710 SH       DEFINED 1,2,5,6,8,12              1952710
LTX-CREDENCE CORP      Common
                       Stock        502403207    5696   850015 SH       DEFINED 1,2,6,8                    850015
MANHATTAN              Common
 ASSOCIATES INC        equity
                       shares       562750109   20454   447575 SH       DEFINED 1,2,6,8,17                 447575
MICROS SYSTEMS INC     Common
                       equity
                       shares       594901100   92749  1811527 SH       DEFINED 1,2,5,6,8,12              1811527
MYRIAD GENETICS INC    Common
                       equity
                       shares       62855J104   42364  1782105 SH       DEFINED 1,2,5,6,8,10,17           1779995           2110
NATIONAL               Common
 INSTRUMENTS CORP      equity
                       shares       636518102   52642  1959872 SH       DEFINED 1,2,5,6,8,12              1959872
NPS PHARMACEUTICALS    Common
 INC                   equity
                       shares       62936P103   18482  2146598 SH       DEFINED 1,2,6,8                   2146598
OSHKOSH CORP           Common
                       equity
                       shares       688239201   43446  2073950 SH       DEFINED 1,2,5,6,8,12,17           2073950
PLEXUS CORP            Common
                       equity
                       shares       729132100   22702   805292 SH       DEFINED 1,2,5,6,8                  805292
ROPER INDUSTRIES INC/  Common
 DE                    equity
                       shares       776696106  366380  3716523 SH       DEFINED 1,2,5,6,8,10,12,18        3716523
RUBY TUESDAY INC       Common
                       equity
                       shares       781182100    8780  1289348 SH       DEFINED 1,2,6,8                   1289348
SPARTECH CORP          Common
                       equity
                       shares       847220209    2939   568661 SH       DEFINED 1,2                        568661
TEEKAY CORP            Common
                       equity
                       shares       Y8564W103   15369   524890 SH       DEFINED 1,2,5,6                    524890
VISHAY                 Common
 INTERTECHNOLOGY       equity
 INC                   shares       928298108   33947  3599960 SH       DEFINED 1,2,5,6,8,12              3599960
GREATBATCH INC         Common
                       equity
                       shares       39153L106   10813   476009 SH       DEFINED 1,2,5,6,8                  476009
WINTRUST FINANCIAL     Common
 CORP                  equity
                       shares       97650W108   45051  1268979 SH       DEFINED 1,2,6,8                   1268979
ST JOE CO              Common
                       equity
                       shares       790148100   10832   685327 SH       DEFINED 1,2,5,6,8                  685327
MACERICH CO            Real Estate
                       Investment
                       Trust        554382101  309660  5244049 SH       DEFINED 1,2,3,5,6,8,10,12,18      5244049
ACADIA REALTY TRUST    Real Estate
                       Investment
                       Trust        004239109   33269  1435198 SH       DEFINED 1,2,3,5,6,8               1435198
BROOKFIELD OFFICE      Common
 PPTYS INC             equity
                       shares       112900105    9877   566921 SH       DEFINED 1,2,3                      566921
CAMDEN PROPERTY        Real Estate
 TRUST                 Investment
                       Trust        133131102  190346  2812781 SH       DEFINED 1,2,3,5,6,8,10,12         2812781
CORP OFFICE PPTYS TR   Real Estate
 INC                   Investment
                       Trust        22002T108   59592  2534705 SH       DEFINED 1,2,3,5,6,8,12            2534705
DDR CORP               Real Estate
                       Investment
                       Trust        23317H102   84520  5772910 SH       DEFINED 1,2,3,5,6,8,12            5772910
EASTGROUP PROPERTIES   Real Estate
                       Investment
                       Trust        277276101   50541   948177 SH       DEFINED 1,2,3,5,6,8                948177
ESSEX PROPERTY TRUST   Real Estate
                       Investment
                       Trust        297178105  192958  1253623 SH       DEFINED 1,2,3,5,6,8,12            1253623
HOSPITALITY            Real Estate
 PROPERTIES TRUST      Investment
                       Trust        44106M102  116140  4688709 SH       DEFINED 1,2,3,5,6,8,12            4688709
LASALLE HOTEL          Real Estate
 PROPERTIES            Investment
                       Trust        517942108   81215  2786944 SH       DEFINED 1,2,3,5,6,8               2786944
RAMCO-GERSHENSON       Real Estate
 PROPERTIES            Investment
                       Trust        751452202   16716  1329856 SH       DEFINED 1,2,3,6,8                 1329856
REGENCY CENTERS CORP   Real Estate
                       Investment
                       Trust        758849103  171378  3602407 SH       DEFINED 1,2,3,5,6,8,10,12,18      3602407
TANGER FACTORY         Real Estate
 OUTLET CTRS           Investment
                       Trust        875465106   73453  2291872 SH       DEFINED 1,2,3,5,6,8,17            2286932           4940
MECHEL OAO             American
                       Depository
                       Receipt      583840103   10085  1563622 SH       DEFINED 1,2,5,8,10,12,18          1563622
MOBILE TELESYSTEMS     American
 OJSC                  Depository
                       Receipt      607409109  133927  7786543 SH       DEFINED 1,2,5,8,10,12,18          7786543
LAM RESEARCH CORP      Common
                       equity
                       shares       512807108  272224  7213367 SH       DEFINED 1,2,5,6,8,10,12,18        7213367
RAMBUS INC             Common
                       equity
                       shares       750917106   11641  2028325 SH       DEFINED 1,2,5,6,8                 2028325
METTLER-TOLEDO INTL    Common
 INC                   equity
                       shares       592688105  117478   753775 SH       DEFINED 1,2,5,6,8,12               753775
NEENAH PAPER INC       Common
                       equity
                       shares       640079109    9368   351104 SH       DEFINED 1,2,6,8                    351104
EW SCRIPPS -CL A       Common
                       equity
                       shares       811054402    6298   655380 SH       DEFINED 1,2,8                      655380
FMC TECHNOLOGIES INC   Common
                       equity
                       shares       30249U101  420688 10723741 SH       DEFINED 1,2,5,6,8,10,12,18       10723741
AMPHENOL CORP          Common
                       equity
                       shares       032095101  340592  6201731 SH       DEFINED 1,2,5,6,8,10,12,18        6201731
CME GROUP INC          Common
                       equity
                       shares       12572Q105  680239  2537208 SH       DEFINED 1,2,5,6,8,10,12,17,18     2537008            200
COMMUNITY HEALTH       Common
 SYSTEMS INC           equity
                       shares       203668108   60061  2142615 SH       DEFINED 1,2,5,6,8,12,17           2142615
COVANCE INC            Common
                       equity
                       shares       222816100   60293  1260101 SH       DEFINED 1,2,5,6,8,10,12,18        1260101
GEN-PROBE INC          Common
                       equity
                       shares       36866T103  110548  1344838 SH       DEFINED 1,2,5,6,8,12              1344838
REGIS CORP/MN          Common
                       equity
                       shares       758932107   32149  1790079 SH       DEFINED 1,2,5,6,8,12              1790079
SL GREEN REALTY CORP   Real Estate
                       Investment
                       Trust        78440X101  277366  3456774 SH       DEFINED 1,2,3,5,6,8,10,12,18      3456774
STANCORP FINANCIAL     Common
 GROUP INC             equity
                       shares       852891100   40209  1081891 SH       DEFINED 1,2,5,6,8,12,17           1081891
TELEFLEX INC           Common
                       equity
                       shares       879369106   58857   966313 SH       DEFINED 1,2,5,6,8,12               966313
URBAN OUTFITTERS INC   Common
                       equity
                       shares       917047102  125293  4541120 SH       DEFINED 1,2,5,6,8,10,12,18        4541120
AGCO CORP              Common
                       equity
                       shares       001084102  173428  3792456 SH       DEFINED 1,2,5,6,8,10,12,17,18,19  3792456
EDWARDS LIFESCIENCES   Common
 CORP                  equity
                       shares       28176E108  469795  4547739 SH       DEFINED 1,2,5,6,8,10,12,17,18     4547179            560
AAON INC               Common
                       equity
                       shares       000360206    6580   349107 SH       DEFINED 1,2,6,8                    349107
AAR CORP               Common
                       equity
                       shares       000361105   11705   868383 SH       DEFINED 1,2,5,6,8                  868383
AMERIS BANCORP         Common
                       equity
                       shares       03076K108    5056   401203 SH       DEFINED 1,2                        401203
ABM INDUSTRIES INC     Common
                       equity
                       shares       000957100   80352  4107794 SH       DEFINED 1,2,5,6,8                 4107794
AEP INDUSTRIES INC     Common
                       equity
                       shares       001031103    3639    83649 SH       DEFINED 1,2                         83649
AGL RESOURCES INC      Common
                       equity
                       shares       001204106  207175  5346322 SH       DEFINED 1,2,5,6,8,10,12,17,18     5346322
AK STEEL HOLDING CORP  Common
                       equity
                       shares       001547108   39017  6646472 SH       DEFINED 1,2,5,6,8,10,17           6486472         160000
PROLOGIS INC           Real Estate
                       Investment
                       Trust        74340W103  765605 23039738 SH       DEFINED 1,2,3,5,6,8,10,12,18     23039738
ATMI INC               Common
                       equity
                       shares       00207R101   14264   693564 SH       DEFINED 1,2,5,6,8                  693564
ATP OIL & GAS CORP     Common
                       equity
                       shares       00208J108    2827   837213 SH       DEFINED 1,2,6,8                    837213
SAREPTA THERAPEUTICS   Common
 INC                   equity
                       shares       803607100      81   129470 SH       DEFINED 1,2,5                      129470
AVX CORP               Common
                       equity
                       shares       002444107    6559   613817 SH       DEFINED 1,2,5,6,8                  613817
AXT INC                Common
                       Stock        00246W103    2115   535763 SH       DEFINED 1,2,6                      535763
AZZ INC                Common
                       equity
                       shares       002474104   15181   247744 SH       DEFINED 1,2,5,6,8                  247744
AARON`S INC            Common
                       equity
                       shares       002535300   78569  2775479 SH       DEFINED 1,2,5,6,8,12              2775479
AASTROM BIOSCIENCES    Common
 INC                   equity
                       shares       00253U305      43    19746 SH       DEFINED 1                           19746
ABAXIS INC             Common
                       equity
                       shares       002567105   15923   430330 SH       DEFINED 1,2,6,8                    430330
ABIOMED INC            Common
                       Stock        003654100   13521   592503 SH       DEFINED 1,2,6,8                    592503
ABRAXAS PETROLEUM      Common
 CORP/NV               equity
                       shares       003830106    4381  1372924 SH       DEFINED 1,2,6,8                   1372924
ACETO CORP             Common
                       equity
                       shares       004446100    4793   530710 SH       DEFINED 1,2,8                      530710
ACTIVE POWER INC       Common
                       Stock        00504W100      36    44854 SH       DEFINED 1                           44854
ACTUATE CORP           Common
                       equity
                       shares       00508B102    6894   994670 SH       DEFINED 1,2,5,6,8                  994670
ACTUANT CORP -CL A     Common
                       equity
                       shares       00508X203   39185  1442754 SH       DEFINED 1,2,5,6,8                 1442754
ADAMS RESOURCES &      Common
 ENERGY INC            equity
                       shares       006351308    1199    28610 SH       DEFINED 1,2                         28610
INSPERITY INC          Common
                       equity
                       shares       45778Q107   12234   452174 SH       DEFINED 1,2,5,6,8                  452174
AMAG
 PHARMACEUTICALS       Common
 INC                   Stock        00163U106    6102   396120 SH       DEFINED 1,2,5,6,8                  396120
ADVANCED PHOTONIX      Common
 INC -CL A             equity
                       shares       00754E107       6    11300 SH       DEFINED 1                           11300
ADVANCED SEMICON       American
 ENGINEERING           Depository
                       Receipt      00756M404    3927   964911 SH       DEFINED 1,2,5,6,8                  964911
DENNYS CORP            Common
                       equity
                       shares       24869P104   10518  2368478 SH       DEFINED 1,2,5,6,8                 2368478
AEGON NV               Similar to
                       ADR
                       Certificates
                       representing
                       ordinary
                       shares       007924103      58    12531 SH       DEFINED 1,2                         12531
ADVANCED ENERGY        Common
 INDS INC              equity
                       shares       007973100   10514   783088 SH       DEFINED 1,2,6,8                    783088
ADVENT SOFTWARE INC    Common
                       equity
                       shares       007974108   27800  1025512 SH       DEFINED 1,2,5,6,8,12              1025512
AGREE REALTY CORP      Real Estate
                       Investment
                       Trust        008492100    4827   218251 SH       DEFINED 1,2,3,8                    218251
AIR METHODS CORP       Common
                       equity
                       shares       009128307   23142   235541 SH       DEFINED 1,2,6,8                    235541
AIRGAS INC             Common
                       equity
                       shares       009363102  235137  2798952 SH       DEFINED 1,2,5,6,8,10,12,18        2798952
AKAMAI TECHNOLOGIES    Common
 INC                   equity
                       shares       00971T101  228794  7206049 SH       DEFINED 1,2,5,6,8,10,12,18        7206049
AKORN INC              Common
                       Stock        009728106   30217  1915961 SH       DEFINED 1,2,6,8                   1915961
ALAMO GROUP INC        Common
                       equity
                       shares       011311107    4937   157475 SH       DEFINED 1,2                        157475
ALASKA AIR GROUP INC   Common
                       equity
                       shares       011659109   80919  2254003 SH       DEFINED 1,2,5,6,8,12,17           2254003
ALASKA                 Common
 COMMUNICATIONS SYS    equity
 GP                    shares       01167P101      74    34993 SH       DEFINED 1                           34993
ALBANY INTL CORP -CL   Common
 A                     equity
                       shares       012348108    9744   520757 SH       DEFINED 1,2,6,8                    520757
ALBANY MOLECULAR       Common
 RESH INC              Stock        012423109      45    17999 SH       DEFINED 1                           17999
ALBEMARLE CORP         Common
                       equity
                       shares       012653101  133308  2235106 SH       DEFINED 1,2,5,6,8,10,12,18        2235106
ALCATEL-LUCENT         American
                       Depository
                       Receipt      013904305     245   150802 SH       DEFINED 1,5,8,12                   150802
MATSON INC             Common
                       Stock        57686G105   52929   993963 SH       DEFINED 1,2,5,6,8,12               993963
ALEXANDER`S INC        Real Estate
                       Investment
                       Trust        014752109   19563    45381 SH       DEFINED 1,2,3,5,6,8                 45381
ALEXANDRIA R E         Real Estate
 EQUITIES INC          Investment
                       Trust        015271109  157789  2169791 SH       DEFINED 1,2,3,5,6,8,12            2169791
ALEXION
 PHARMACEUTICALS       Common
 INC                   Stock        015351109  709812  7148155 SH       DEFINED 1,2,5,6,8,10,12,18        7148155
ALICO INC              Common
                       equity
                       shares       016230104    1853    60591 SH       DEFINED 1,2                         60591
ALIGN TECHNOLOGY INC   Common
                       equity
                       shares       016255101   44979  1344222 SH       DEFINED 1,2,5,6,8                 1344222
ALKERMES PLC           Common
                       equity
                       shares       G01767105   58121  3424803 SH       DEFINED 1,2,5,6,8                 3424803
ALLEGHANY CORP         Common
                       equity
                       shares       017175100  140731   414215 SH       DEFINED 1,2,5,6,8,10,12,18         414215
ALLETE INC             Common
                       equity
                       shares       018522300   35103   839730 SH       DEFINED 1,2,5,6,8                  839730
BALLY TECHNOLOGIES     Common
 INC                   equity
                       shares       05874B107   45785   981260 SH       DEFINED 1,2,5,6,8                  981260
ALLIANCE RESOURCE      Limited
 PTNRS -LP             Partnership  01877R108    1541    27473 SH       DEFINED 1                           27473
ALLIANT ENERGY CORP    Common
                       equity
                       shares       018802108  144660  3174477 SH       DEFINED 1,2,5,6,8,10,12,18        3174477
ALLIANCE FINANCIAL     Common
 CORP/NY               equity
                       shares       019205103    2772    80740 SH       DEFINED 1,2                         80740
HANOVER INSURANCE      Common
 GROUP INC             equity
                       shares       410867105   46077  1177531 SH       DEFINED 1,2,5,6,8,12              1177531
ALLOS THERAPEUTICS     Common
 INC                   Stock        019777101    2514  1405800 SH       DEFINED 1,2,5,6,8                 1405800
ALLSCRIPTS             Common
 HEALTHCARE SOLTNS     equity
                       shares       01988P108   44880  4106067 SH       DEFINED 1,2,5,6,8,12              4106067
JARDEN CORP            Common
                       equity
                       shares       471109108   38055   905719 SH       DEFINED 1,2,5,6,8,12,17,18         905719
ALMOST FAMILY INC      Common
                       Stock        020409108    4320   193328 SH       DEFINED 1,2,8                      193328
SKYWORKS SOLUTIONS     Common
 INC                   equity
                       shares       83088M102  108916  3979406 SH       DEFINED 1,2,5,6,8,12              3979406
ALTAIR                 Common
 NANOTECHNOLOGIES      equity
 INC                   shares       021373204      12    25102 SH       DEFINED 1,5                         25102
AMBIENT CORP           Common
                       Stock        02318N201     166    30300 SH       DEFINED 1,2                         30300
AMCOL INTERNATIONAL    Common
 CORP                  equity
                       shares       02341W103   18593   656782 SH       DEFINED 1,2,6,8                    656782
AMEDISYS INC           Common
                       equity
                       shares       023436108    7224   580534 SH       DEFINED 1,2,6,8                    580534
AMERCO                 Common
                       equity
                       shares       023586100   15016   166884 SH       DEFINED 1,2,6,8                    166884
AMERICA MOVIL SA DE    American
 CV                    Depository
                       Receipt      02364W105   69799  2678392 SH       DEFINED 1,2,6,8,10,18             2678392
US AIRWAYS GROUP INC   Common
                       equity
                       shares       90341W108   48176  3614386 SH       DEFINED 1,2,6,8                   3614386
MFA FINANCIAL INC      Real Estate
                       Investment
                       Trust        55272X102   36985  4687770 SH       DEFINED 1,2,5,6,8                 4687770
AMERICAN CAPITAL LTD.  Common
                       equity
                       shares       02503Y103   33636  3340515 SH       DEFINED 1,2,5,6,8                 3340515
US ECOLOGY INC         Common
                       equity
                       shares       91732J102    5843   329462 SH       DEFINED 1,2,8                      329462
AMERICAN FINANCIAL     Common
 GROUP INC             equity
                       shares       025932104   75707  1929848 SH       DEFINED 1,2,5,6,8,12,17           1929848
AMERICAN GREETINGS     Common
 -CL A                 equity
                       shares       026375105   12623   863877 SH       DEFINED 1,2,5,6,8                  863877
HEALTHWAYS INC         Common
                       equity
                       shares       422245100    5191   650591 SH       DEFINED 1,2,6,8                    650591
AMERICAN NATL          Common
 BANKSHARES            equity
                       shares       027745108    2336    99200 SH       DEFINED 1,2                         99200
AMERICAN NATIONAL      Common
 INSURANCE             equity
                       shares       028591105    8230   115496 SH       DEFINED 1,2,5,6,8,17               115496
AMERICAN SCIENCE       Common
 ENGINEERING           equity
                       shares       029429107   10216   180957 SH       DEFINED 1,2,6,8                    180957
AMERICAN SOFTWARE      Common
 -CL A                 equity
                       shares       029683109    2954   371306 SH       DEFINED 1,2                        371306
AMERICAN STATES        Common
 WATER CO              equity
                       shares       029899101   15688   396361 SH       DEFINED 1,2,5,6,8                  396361
AMERICAN TOWER CORP    Common
                       equity
                       shares       03027X100 1049153 15006976 SH       DEFINED 1,2,5,6,8,10,12,18       15006976
AMERICAN               Common
 SUPERCONDUCTOR CP     Stock        030111108    3771   802591 SH       DEFINED 1,2,5,6,8                  802591
LRAD CORP              Common
                       equity
                       shares       50213V109      21    17497 SH       DEFINED 1                           17497
AMERICAN VANGUARD      Common
 CORP                  equity
                       shares       030371108   13077   491741 SH       DEFINED 1,2,6,8                    491741
AMERICAN WOODMARK      Common
 CORP                  equity
                       shares       030506109    3142   183861 SH       DEFINED 1,2,8                      183861
AMERIGON INC           Common
                       Stock        03070L300    5566   484641 SH       DEFINED 1,2,5,6,8                  484641
AMERISTAR CASINOS INC  Common
                       equity
                       shares       03070Q101   10701   602154 SH       DEFINED 1,2,5,6,8                  602154
TD AMERITRADE          Common
 HOLDING CORP          Stock        87236Y108   59274  3486700 SH       DEFINED 1,2,5,8,10,12,18          3486700
AMERIGAS PARTNERS -LP  Limited
                       Partnership  030975106    1715    42088 SH       DEFINED 1                           42088
AMES NATIONAL CORP     Common
                       equity
                       shares       031001100    2751   119632 SH       DEFINED 1,2                        119632
AMETEK INC             Common
                       equity
                       shares       031100100  222043  4448820 SH       DEFINED 1,2,5,6,8,10,12,18        4448820
AMKOR TECHNOLOGY       Common
 INC                   equity
                       shares       031652100    9564  1959670 SH       DEFINED 1,2,5,6,8                 1959670
AMPCO-PITTSBURGH       Common
 CORP                  equity
                       shares       032037103    3648   199109 SH       DEFINED 1,2,8                      199109
CALIF FIRST NATIONAL   Common
 BANCORP               equity
                       shares       130222102     571    36339 SH       DEFINED 1,2,17                      36339
AMSURG CORP            Common
                       equity
                       shares       03232P405   19066   635974 SH       DEFINED 1,2,6,8,17                 628024           7950
AMYLIN                 Common
 PHARMACEUTICALS       equity
 INC                   shares       032346108   66149  2343413 SH       DEFINED 1,2,5,6,8,17              2343413
ANADIGICS INC          Common
                       Stock        032515108    2167  1196980 SH       DEFINED 1,2,6,8                   1196980
ANALOGIC CORP          Common
                       equity
                       shares       032657207   15682   252931 SH       DEFINED 1,2,6,8                    252931
ANAREN INC             Common
                       equity
                       shares       032744104    5512   280983 SH       DEFINED 1,2,6,8                    280983
ANDERSONS INC          Common
                       equity
                       shares       034164103   16285   381744 SH       DEFINED 1,2,6,8                    381744
ANGLOGOLD ASHANTI      American
 LTD                   Depository
                       Receipt      035128206   13332   388222 SH       DEFINED 1,2,6                      388222
ANIKA THERAPEUTICS     Common
 INC                   equity
                       shares       035255108    2280   167712 SH       DEFINED 1,2                        167712
ANIXTER INTL INC       Common
                       equity
                       shares       035290105   34552   651276 SH       DEFINED 1,2,5,6,8,12               651276
ANNALY CAPITAL         Real Estate
 MANAGEMENT            Investment
                       Trust        035710409  260817 15543211 SH       DEFINED 1,2,5,6,8,10,12,18       15543211
ANN INC                Common
                       equity
                       shares       035623107   46814  1836539 SH       DEFINED 1,2,5,6,8,12,17           1836539
ANTARES PHARMA INC     Common
                       Stock        036642106    4953  1360254 SH       DEFINED 1,2,6                     1360254
ARRIS GROUP INC        Common
                       equity
                       shares       04269Q100   37411  2689823 SH       DEFINED 1,2,5,6,8                 2689823
HACKETT GROUP INC      Common
                       equity
                       shares       404609109    2280   409347 SH       DEFINED 1,2,5                      409347
AGENUS INC             Common
                       Stock        00847G705    1842   351490 SH       DEFINED 1,2                        351490
ANWORTH MTG ASSET      Real Estate
 CORP                  Investment
                       Trust        037347101   21150  3000501 SH       DEFINED 1,2,6,8                   3000501
APCO OIL AND GAS INTL  Common
 INC                   equity
                       shares       G0471F109    2889   160086 SH       DEFINED 1,2,6                      160086
APOGEE ENTERPRISES     Common
 INC                   equity
                       shares       037598109   18958  1179625 SH       DEFINED 1,2,8                      554931         624694
APPLIED INDUSTRIAL     Common
 TECH INC              equity
                       shares       03820C105   31105   844094 SH       DEFINED 1,2,6,8                    844094
ARABIAN AMERICAN       Common
 DEVELOPMENT           Stock        038465100    2517   259700 SH       DEFINED 1,2,6                      259700
ARCH COAL INC          Common
                       equity
                       shares       039380100   67769  9835792 SH       DEFINED 1,2,5,6,8,10,12,18        9835792
ARCTIC CAT INC         Common
                       Stock        039670104    8870   242707 SH       DEFINED 1,2,6,8                    242707
ARDEN GROUP INC -CL A  Common
                       equity
                       shares       039762109    2031    23281 SH       DEFINED 1,2,6,17                    23281
ARENA
 PHARMACEUTICALS       Common
 INC                   Stock        040047102   58860  5897618 SH       DEFINED 1,2,5,6,8                 5897618
ARIAD
 PHARMACEUTICALS       Common
 INC                   Stock        04033A100   51573  2996798 SH       DEFINED 1,2,5,6,8                 2996798
ARIBA INC              Common
                       Stock        04033V203   57232  1278685 SH       DEFINED 1,2,5,6,8                 1278685
CARDIUM THERAPEUTICS   Common
 INC                   equity
                       shares       141916106       9    38600 SH       DEFINED 1                           38600
ARKANSAS BEST CORP     Common
                       equity
                       shares       040790107    6026   478396 SH       DEFINED 1,2,6,8                    478396
ARM HOLDINGS PLC       American
                       Depository
                       Receipt      042068106     479    20131 SH       DEFINED 1,17                         6340          13791
ARQULE INC             Common
                       equity
                       shares       04269E107    6798  1146064 SH       DEFINED 1,2,6,8                   1146064
ARRAY BIOPHARMA INC    Common
                       equity
                       shares       04269X105    5471  1576600 SH       DEFINED 1,2,6                     1576600
ARROW ELECTRONICS      Common
 INC                   equity
                       shares       042735100  103657  3159189 SH       DEFINED 1,2,5,6,8,10,12,18        3159189
ARROW FINANCIAL CORP   Common
                       equity
                       shares       042744102    4227   174836 SH       DEFINED 1,2,5,6,8                  174836
ARTESIAN RESOURCES     Common
 -CL A                 Stock        043113208    2569   119358 SH       DEFINED 1,2,5,6                    119358
ARTHROCARE CORP        Common
                       Stock        043136100   15264   521458 SH       DEFINED 1,2,6,8                    521458
MERITOR INC            Common
                       equity
                       shares       59001K100   10133  1940966 SH       DEFINED 1,2,5,6,8                 1940966
ASIAINFO-LINKAGE INC   Common
                       Stock        04518A104    2115   179349 SH       DEFINED 1,2                        179349
ASPEN TECHNOLOGY INC   Common
                       Stock        045327103   40228  1737754 SH       DEFINED 1,2,5,6,8,17              1734374           3380
ASSOCIATED BANC-CORP   Common
                       equity
                       shares       045487105  119159  9033938 SH       DEFINED 1,2,5,6,8,10,12           9033938
ASSOCIATED ESTATES     Real Estate
 RLTY CORP             Investment
                       Trust        045604105   13919   931105 SH       DEFINED 1,2,3,5,6,8                931105
ASTA FUNDING INC       Common
                       equity
                       shares       046220109    1225   130814 SH       DEFINED 1,2                        130814
ASTEC INDUSTRIES INC   Common
                       equity
                       shares       046224101   13075   426160 SH       DEFINED 1,2,5,6,8                  426160
ASTORIA FINANCIAL      Common
 CORP                  equity
                       shares       046265104   27913  2848003 SH       DEFINED 1,2,5,6,8,12              2848003
ASTRONICS CORP         Common
                       Stock        046433108    4919   174356 SH       DEFINED 1,2,6                      174356
ATLANTIC TELE-         Common
 NETWORK INC           equity
                       shares       049079205    6552   194342 SH       DEFINED 1,2,6,8                    194342
ATLAS PIPELINE         Limited
 PARTNER LP            Partnership  049392103    1728    55406 SH       DEFINED 1                           55406
ATMOS ENERGY CORP      Common
                       equity
                       shares       049560105   78074  2226094 SH       DEFINED 1,2,5,6,8,12,17           2226094
ATRION CORP            Common
                       equity
                       shares       049904105    6246    30487 SH       DEFINED 1,2,6,17                    30487
ATWOOD OCEANICS        Common
                       equity
                       shares       050095108   55346  1462578 SH       DEFINED 1,2,5,6,8,12              1462578
VOXX INTERNATIONAL     Common
 CORP                  Stock        91829F104    4155   445729 SH       DEFINED 1,2                        445729
AUTOBYTEL INC          Common
                       Stock        05275N205      21    26954 SH       DEFINED 1                           26954
AUTOLIV INC            Common
                       equity
                       shares       052800109   37058   677967 SH       DEFINED 1,2,5,8,10,12,18           677967






                                                        SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                       CLASS      CUSIP    VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
-------------------------------------------------------------------------------------------------------------------------------
                                                                                        
SCIENTIFIC GAMES CORP     Common
                          equity
                          shares      80874P109   16213  1896523 SH       DEFINED 1,2,5,6,8              1896523
AVANIR                    Common
 PHARMACEUTICALS INC      Stock       05348P401    8357  2131650 SH       DEFINED 1,2,6,8                2131650
CELLDEX THERAPEUTICS      Common
 INC                      equity
                          shares      15117B103    4716   908758 SH       DEFINED 1,2                     908758
A V HOMES INC             Common
                          equity
                          shares      00234P102    2864   196607 SH       DEFINED 1,2,5                   196607
AVID TECHNOLOGY INC       Common
                          equity
                          shares      05367P100    4349   586100 SH       DEFINED 1,2,5,6,8               586100
AVISTA CORP               Common
                          equity
                          shares      05379B107   36693  1374288 SH       DEFINED 1,2,5,6,8              1374288
AWARE INC                 Common
                          equity
                          shares      05453N100     839   130192 SH       DEFINED 1,2                     130192
BCE INC                   Common
                          Stock       05534B760     276     6705 SH       DEFINED 1,2                       6705
BOK FINANCIAL CORP        Common
                          equity
                          shares      05561Q201   27907   479409 SH       DEFINED 1,2,5,6,8               479409
BP PLC                    American
                          Depository
                          Receipt     055622104 1671629 41234088 SH       DEFINED 1,2                   41234088
BRE PROPERTIES INC        Real Estate
                          Investment
                          Trust       05564E106  139439  2787805 SH       DEFINED 1,2,3,5,6,8,12         2787805
BADGER METER INC          Common
                          equity
                          shares      056525108   10978   292215 SH       DEFINED 1,2,6,8                 292215
BAKER (MICHAEL) CORP      Common
                          equity
                          shares      057149106    4101   157168 SH       DEFINED 1,2,8                   157168
BALCHEM CORP -CL B        Common
                          equity
                          shares      057665200   18833   577607 SH       DEFINED 1,2,6,8                 577607
BALDWIN & LYONS -CL B     Common
                          equity
                          shares      057755209    3523   151611 SH       DEFINED 1,2,6                   151611
DIAMOND HILL              Common
 INVESTMENT GRP           Stock       25264R207    3356    42830 SH       DEFINED 1,2                      42830
BANCFIRST CORP/OK         Common
                          equity
                          shares      05945F103    4864   116015 SH       DEFINED 1,2,8,17                116015
BRADESCO BANCO            American
                          Depository
                          Receipt     059460303   93074  6259047 SH       DEFINED 1,2,5,6,8,10,18        6259047
BANCO BILBAO VIZCAYA      American
 ARGENTA                  Depository
                          Receipt     05946K101     510    72228 SH       DEFINED 1,5,8,12                 72228
BANCO SANTANDER SA        American
                          Depository
                          Receipt     05964H105    3006   458280 SH       DEFINED 1,2,5,8,12              458280
BANCO SANTANDER-CHILE     American
                          Depository
                          Receipt     05965X109   21534   277891 SH       DEFINED 1,2,5,6                 277891
BANCOLOMBIA SA            American
                          Depository
                          Receipt     05968L102   42045   679916 SH       DEFINED 1,2,5,6,10,18           679916
BANCORPSOUTH INC          Common
                          equity
                          shares      059692103   61638  4245031 SH       DEFINED 1,2,5,6,8,12           4245031
HAMPTON ROADS             Common
 BANKSHARES INC           equity
                          shares      409321502      19    16563 SH       DEFINED 1                        16563
BANK KY FINANCIAL CORP    Common
                          Stock       062896105    2123    79743 SH       DEFINED 1,2                      79743
BANK OF MARIN BANCORP     Common
                          equity
                          shares      063425102    3107    84050 SH       DEFINED 1,2,6                    84050
BANK OF MONTREAL          Common
                          equity
                          shares      063671101    3739    67670 SH       DEFINED 1,5,8,12,18              67670
BANK MUTUAL CORP          Common
                          equity
                          shares      063750103    3795   860326 SH       DEFINED 1,2,5,8                 860326
BANK OF THE OZARKS INC    Common
                          equity
                          shares      063904106   30915  1027906 SH       DEFINED 1,2,6,8                1027906
SIERRA BANCORP/CA         Common
                          equity
                          shares      82620P102    1761   177867 SH       DEFINED 1,2                     177867
MITSUBISHI UFJ FINANCIAL  American
 GRP                      Depository
                          Receipt     606822104      48    10190 SH       DEFINED 1,2                      10190
BAR HARBOR                Common
 BANKSHARES               equity
                          shares      066849100    1767    49100 SH       DEFINED 1,2                      49100
BARNES GROUP INC          Common
                          equity
                          shares      067806109   24750  1019046 SH       DEFINED 1,2,6,8                1019046
BARRICK GOLD CORP         Common
                          equity
                          shares      067901108    6229   165788 SH       DEFINED 1,2,5                   165788
BARRETT BUSINESS SVCS     Common
 INC                      equity
                          shares      068463108    2982   141119 SH       DEFINED 1,2                     141119
BARRY (R G) CORP          Common
                          equity
                          shares      068798107    2108   155185 SH       DEFINED 1,2                     155185
BASSETT FURNITURE INDS    Common
                          equity
                          shares      070203104    1356   131548 SH       DEFINED 1,2                     131548
BE AEROSPACE INC          Common
                          equity
                          shares      073302101   96389  2207701 SH       DEFINED 1,2,5,6,8,12           2207701
BEASLEY BROADCAST         Common
 GROUP INC                equity
                          shares      074014101     291    49400 SH       DEFINED 1,2                      49400
BEAZER HOMES USA INC      Common
                          equity
                          shares      07556Q105    5957  1832981 SH       DEFINED 1,2,8,17               1582981         250000
BEBE STORES INC           Common
                          equity
                          shares      075571109    3849   656136 SH       DEFINED 1,2,6,8                 656136
BEL FUSE INC              Common
                          equity
                          shares      077347300    3831   217598 SH       DEFINED 1,2                     217598
BELO CORP -SER A COM      Common
                          equity
                          shares      080555105   11550  1793361 SH       DEFINED 1,2,6,8                1793361
BENIHANA INC              Common
                          equity
                          shares      082047101    3336   207033 SH       DEFINED 1,2                     207033
HARVEST NATURAL           Common
 RESOURCES                equity
                          shares      41754V103    5352   625910 SH       DEFINED 1,2,6,8                 625910
BERKLEY (W R) CORP        Common
                          equity
                          shares      084423102  123100  3162788 SH       DEFINED 1,2,5,6,8,10,12,18     3162788
BERKSHIRE BANCORP INC     Common
                          equity
                          shares      084597202     423    48220 SH       DEFINED 1,2                      48220
BERKSHIRE HATHAWAY        Common
 INC DEL                  equity
                          shares      084670108  108830      871 SH       DEFINED 1,5,8,12                   871
BERKSHIRE HATHAWAY        Common
                          equity
                          shares      084670702 5505609 66070031 SH       DEFINED 1,2,5,6,8,10,12,18    66070031
BERKSHIRE HILLS           Common
 BANCORP INC              equity
                          shares      084680107    8600   390889 SH       DEFINED 1,2,5,8                 390889
BERRY PETROLEUM -CL A     Common
                          equity
                          shares      085789105   55363  1395965 SH       DEFINED 1,2,6,8                1395965
BHP BILLITON GROUP        American
 (AUS)                    Depository
                          Receipt     088606108    1358    20800 SH       DEFINED 1,5                      20800
CAMAC ENERGY INC          Common
                          equity
                          shares      131745101      15    22900 SH       DEFINED 1                        22900
BIO-RAD LABORATORIES      Common
 INC                      equity
                          shares      090572207   47769   477617 SH       DEFINED 1,2,5,6,8,12            477617
SAVIENT                   Common
 PHARMACEUTICALS INC      equity
                          shares      80517Q100      74   137842 SH       DEFINED 1,2,5,6,8               137842
BIO REFERENCE LABS        Common
                          equity
                          shares      09057G602   12333   469221 SH       DEFINED 1,2,6,8                 469221
BIOANALYTICAL SYSTEMS     Common
 INC                      Stock       09058M103      10    11400 SH       DEFINED 1                        11400
BIOCRYST                  Common
 PHARMACEUTICALS INC      Stock       09058V103    2679   672866 SH       DEFINED 1,2,5                   672866
ADVENTRX                  Common
 PHARMACEUTICALS INC      equity
                          shares      00764X202       7    14624 SH       DEFINED 1                        14624
BIOMARIN                  Common
 PHARMACEUTICAL INC       Stock       09061G101   70371  1777934 SH       DEFINED 1,2,5,6,8              1777934
BIOTIME INC               Common
                          equity
                          shares      09066L105    2044   444077 SH       DEFINED 1,2,6                   444077
VALEANT                   Common
 PHARMACEUTICALS INTL     equity
                          shares      91911K102    1928    42998 SH       DEFINED 1,5                      42998
SYNUTRA INTERNATIONAL     Common
 INC                      equity
                          shares      87164C102    1496   276778 SH       DEFINED 1,2                     276778
BIOLASE INC               Common
                          Stock       090911108      39    20287 SH       DEFINED 1,2,6                    20287
BIOSPECIFICS              Common
 TECHNOLOGIES CP          Stock       090931106    1244    66218 SH       DEFINED 1,2                      66218
ONCOTHYREON INC           Common
                          equity
                          shares      682324108    4027   860539 SH       DEFINED 1,2,6                   860539
AUTHENTIDATE HOLDING      Common
 CORP                     equity
                          shares      052666104      15    23900 SH       DEFINED 1                        23900
BLACK BOX CORP            Common
                          equity
                          shares      091826107   10699   372692 SH       DEFINED 1,2,5,6,8               372692
BLACK HILLS CORP          Common
                          equity
                          shares      092113109  125172  3890929 SH       DEFINED 1,2,5,6,8,12           3890929
BLACKROCK INC             Common
                          equity
                          shares      09247X101  801162  4717668 SH       DEFINED 1,2,5,6,8,10,12,18     4717668
BLOUNT INTL INC           Common
                          equity
                          shares      095180105   12996   886874 SH       DEFINED 1,2,6,8                 886874
BLUEGREEN CORP            Common
                          equity
                          shares      096231105     843   170032 SH       DEFINED 1,2                     170032
BLYTH INC                 Common
                          equity
                          shares      09643P207    7792   225478 SH       DEFINED 1,2,5,6,8               225478
BOB EVANS FARMS           Common
                          equity
                          shares      096761101   34745   864454 SH       DEFINED 1,2,5,6,8,12,17         864454
BOLT TECHNOLOGY CORP      Common
                          equity
                          shares      097698104    1522   101200 SH       DEFINED 1,2                     101200
BON-TON STORES INC        Common
                          equity
                          shares      09776J101    1480   189335 SH       DEFINED 1,2                     189335
OCLARO INC                Common
                          Stock       67555N206    2841   935457 SH       DEFINED 1,2,6,8                 935457
BORGWARNER INC            Common
                          equity
                          shares      099724106  275290  4197201 SH       DEFINED 1,2,5,6,8,10,12,17,18  4195608           1593
BOSTON BEER INC -CL A     Common
                          equity
                          shares      100557107   19886   164346 SH       DEFINED 1,2,6,8,17              162456           1890
BOSTON PRIVATE FINL       Common
 HOLDINGS                 equity
                          shares      101119105   23040  2580368 SH       DEFINED 1,2,6,8                2580368
BOTTOMLINE                Common
 TECHNOLOGIES INC         Stock       101388106   12390   686651 SH       DEFINED 1,2,6,8                 686651
BOYD GAMING CORP          Common
                          equity
                          shares      103304101    7855  1090900 SH       DEFINED 1,2,5,6,8              1090900
BRADY CORP                Common
                          equity
                          shares      104674106  116272  4226351 SH       DEFINED 1,2,5,6,8              4226351
BRANDYWINE REALTY         Real Estate
 TRUST                    Investment
                          Trust       105368203   45228  3665133 SH       DEFINED 1,2,3,5,6,8            3665133
BRIDGE BANCORP INC        Common
                          equity
                          shares      108035106    3017   127822 SH       DEFINED 1,2                     127822
BRIGGS & STRATTON         Common
                          equity
                          shares      109043109   19770  1130647 SH       DEFINED 1,2,5,6,8              1130647
BRIGHTPOINT INC           Common
                          equity
                          shares      109473405    8123  1500629 SH       DEFINED 1,2,5,6,8              1500629
CINCINNATI BELL INC       Common
                          equity
                          shares      171871106   17750  4772182 SH       DEFINED 1,2,5,6,8              4772182
BROOKLINE BANCORP INC     Common
                          equity
                          shares      11373M107   11907  1345505 SH       DEFINED 1,2,5,6,8,17           1345505
BROWN & BROWN INC         Common
                          equity
                          shares      115236101   75219  2758212 SH       DEFINED 1,2,5,6,8,12           2758212
BROWN FORMAN CORP         Common
                          equity
                          shares      115637100    1785    18802 SH       DEFINED 1,2                      18802
BROWN SHOE CO INC         Common
                          equity
                          shares      115736100   18899  1463832 SH       DEFINED 1,2,6,8                1463832
BRUKER CORP               Common
                          equity
                          shares      116794108   11329   851247 SH       DEFINED 1,2,6,8                 851247
MATERION CORP             Common
                          equity
                          shares      576690101   16004   694902 SH       DEFINED 1,2,5,6,8               694902
BRYN MAWR BANK CORP       Common
                          equity
                          shares      117665109    3863   183536 SH       DEFINED 1,2                     183536
BUCKEYE PARTNERS LP       Limited
                          Partnership 118230101    6075   116439 SH       DEFINED 1                       116439
BUCKEYE TECHNOLOGIES      Common
 INC                      equity
                          shares      118255108   22826   801099 SH       DEFINED 1,2,6,8                 801099
BUCKLE INC                Common
                          equity
                          shares      118440106   29462   744474 SH       DEFINED 1,2,5,6,8               744474
INCONTACT INC             Common
                          equity
                          shares      45336E109    2151   428191 SH       DEFINED 1,2,6                   428191
C&F FINANCIAL CORP        Common
                          equity
                          shares      12466Q104    1621    40400 SH       DEFINED 1,2                      40400
CBL & ASSOCIATES PPTYS    Real Estate
 INC                      Investment
                          Trust       124830100   76148  3896881 SH       DEFINED 1,2,3,5,6,8,17,18      3896881
CDI CORP                  Common
                          equity
                          shares      125071100    4146   252717 SH       DEFINED 1,2                     252717
CEC ENTERTAINMENT INC     Common
                          equity
                          shares      125137109   15910   437514 SH       DEFINED 1,2,5,6,8               437514
CECO ENVIRONMENTAL        Common
 CORP                     equity
                          shares      125141101     698    88408 SH       DEFINED 1,2                      88408
INUVO INC                 Common
                          equity
                          shares      46122W204       8    11927 SH       DEFINED 1                        11927
CH ENERGY GROUP INC       Common
                          equity
                          shares      12541M102   22689   345372 SH       DEFINED 1,2,5,6,8               345372
C H ROBINSON              Common
 WORLDWIDE INC            equity
                          shares      12541W209  347798  5942129 SH       DEFINED 1,2,5,6,8,10,12,18     5942129
CLECO CORP                Common
                          equity
                          shares      12561W105   82230  1965734 SH       DEFINED 1,2,5,6,8,12           1965734
CENTRAL PACIFIC           Common
 FINANCIAL CP             equity
                          shares      154760409    4120   292006 SH       DEFINED 1,2,6,8                 292006
CSS INDUSTRIES INC        Common
                          equity
                          shares      125906107    3938   191554 SH       DEFINED 1,2                     191554
CPI AEROSTRUCTURES INC    Common
                          equity
                          shares      125919308     730    66366 SH       DEFINED 1,2                      66366
CNA FINANCIAL CORP        Common
                          equity
                          shares      126117100   13427   484470 SH       DEFINED 1,2,5,12                484470
CNB FINANCIAL CORP/PA     Common
                          equity
                          shares      126128107    3107   190423 SH       DEFINED 1,2,6                   190423
CNOOC LTD                 American
                          Depository
                          Receipt     126132109    1198     5954 SH       DEFINED 1,6                       5954
CSG SYSTEMS INTL INC      Common
                          equity
                          shares      126349109   13785   797885 SH       DEFINED 1,2,5,6,8               797885
CTS CORP                  Common
                          equity
                          shares      126501105    6870   729271 SH       DEFINED 1,2,5,6,8               729271
CVB FINANCIAL CORP        Common
                          equity
                          shares      126600105   41068  3525061 SH       DEFINED 1,2,5,6,8              3525061
BELDEN INC                Common
                          equity
                          shares      077454106   33570  1006773 SH       DEFINED 1,2,6,8                1006773
CABOT CORP                Common
                          equity
                          shares      127055101  164197  4034298 SH       DEFINED 1,2,5,6,8,12           4034298
CABOT OIL & GAS CORP      Common
                          equity
                          shares      127097103  392594  9964136 SH       DEFINED 1,2,5,6,8,10,12,18     9964136
CABOT                     Common
 MICROELECTRONICS         equity
 CORP                     shares      12709P103   15545   532203 SH       DEFINED 1,2,5,6,8               532203
CACHE INC                 Common
                          equity
                          shares      127150308      52    11240 SH       DEFINED 1                        11240
CADIZ INC                 Common
                          equity
                          shares      127537207    1640   226945 SH       DEFINED 1,2                     226945
HELIX ENERGY SOLUTIONS    Common
 GROUP                    equity
                          shares      42330P107   63356  3860856 SH       DEFINED 1,2,5,6,8,12           3860856
CAL-MAINE FOODS INC       Common
                          Stock       128030202   11628   297411 SH       DEFINED 1,2,8,17                297411
CALGON CARBON CORP        Common
                          equity
                          shares      129603106   15813  1111900 SH       DEFINED 1,2,5,6,8              1111900
CALAMP CORP               Common
                          equity
                          shares      128126109    2867   391187 SH       DEFINED 1,2                     391187
CALIFORNIA WATER          Common
 SERVICE GP               equity
                          shares      130788102   17180   930175 SH       DEFINED 1,2,5,6,8               930175
CALLAWAY GOLF CO          Common
                          equity
                          shares      131193104    7201  1218875 SH       DEFINED 1,2,5,8                1218875
CALLON PETROLEUM CO/      Common
 DE                       equity
                          shares      13123X102    2812   660102 SH       DEFINED 1,2                     660102
CAMBREX CORP              Common
                          equity
                          shares      132011107    6478   689046 SH       DEFINED 1,2,6                   689046
CAMDEN NATIONAL CORP      Common
                          equity
                          shares      133034108    5195   141757 SH       DEFINED 1,2,5,8                 141757
ICONIX BRAND GROUP INC    Common
                          equity
                          shares      451055107   28694  1642578 SH       DEFINED 1,2,5,6,8              1642578
CANTEL MEDICAL CORP       Common
                          equity
                          shares      138098108   12130   445099 SH       DEFINED 1,2,6,8                 445099
CAPITAL CITY BK GROUP     Common
 INC                      equity
                          shares      139674105    1434   194756 SH       DEFINED 1,2,6,17                194756
CAPITAL BANK CORP/NC      Common
                          equity
                          shares      139793103     373   162718 SH       DEFINED 1,2                     162718
CAPITAL SENIOR LIVING     Common
 CORP                     equity
                          shares      140475104    4750   448212 SH       DEFINED 1,2                     448212
CAPITAL SOUTHWEST         Common
 CORP.                    Stock       140501107    4849    47148 SH       DEFINED 1,2,6,8                  47148
CAPITAL TRUST INC/MD      Real Estate
                          Investment
                          Trust       14052H506      46    15933 SH       DEFINED 1                        15933
CAPITOL FEDERAL FINL      Common
 INC                      equity
                          shares      14057J101   24648  2074799 SH       DEFINED 1,2,5,6,8              2074799
CAPSTONE TURBINE CORP     Common
                          equity
                          shares      14067D102    4773  4724023 SH       DEFINED 1,2,6,8                4724023
CAPSTEAD MORTGAGE         Real Estate
 CORP                     Investment
                          Trust       14067E506   26485  1903822 SH       DEFINED 1,2,6,8,17             1903822
CARBO CERAMICS INC        Common
                          equity
                          shares      140781105   40892   532947 SH       DEFINED 1,2,5,6,8,12            532947
CARDINAL FINANCIAL        Common
 CORP                     equity
                          shares      14149F109    6313   513925 SH       DEFINED 1,2,6,8                 513925
CARLISLE COS INC          Common
                          equity
                          shares      142339100   67598  1274929 SH       DEFINED 1,2,5,6,8,12           1274929
CARRIAGE SERVICES INC     Common
                          equity
                          shares      143905107    1671   201100 SH       DEFINED 1,2                     201100
CARPENTER TECHNOLOGY      Common
 CORP                     equity
                          shares      144285103   73125  1528629 SH       DEFINED 1,2,5,6,8,12           1528629
CARRIZO OIL & GAS INC     Common
                          equity
                          shares      144577103   31880  1355958 SH       DEFINED 1,2,6,8                1355958
CASCADE BANCORP           Common
                          equity
                          shares      147154207     477    80412 SH       DEFINED 1,2                      80412
CASCADE CORP              Common
                          equity
                          shares      147195101    9128   193962 SH       DEFINED 1,2,8                   193962
CASELLA WASTE SYS INC     Common
 -CL A                    equity
                          shares      147448104    2235   381937 SH       DEFINED 1,2                     381937
CASEYS GENERAL STORES     Common
 INC                      equity
                          shares      147528103   58037   983848 SH       DEFINED 1,2,5,6,8,17            983848
CASH AMERICA INTL INC     Common
                          equity
                          shares      14754D100   28348   643719 SH       DEFINED 1,2,6,8                 643719
CASS INFORMATION          Common
 SYSTEMS INC              equity
                          shares      14808P109    6598   163998 SH       DEFINED 1,2,8,17                163998
CASTLE (A M) & CO         Common
                          equity
                          shares      148411101    3316   312419 SH       DEFINED 1,2,8                   312419
CATHAY GENERAL            Common
 BANCORP                  equity
                          shares      149150104   56792  3439769 SH       DEFINED 1,2,5,6,8,12           3439769
CATO CORP -CL A           Common
                          equity
                          shares      149205106   27016   886896 SH       DEFINED 1,2,5,6,8               886896
CEDAR FAIR -LP            Limited
                          Partnership 150185106     201     6692 SH       DEFINED 1                         6692
CEDAR REALTY TRUST INC    Real Estate
                          Investment
                          Trust       150602209    9055  1793026 SH       DEFINED 1,2,3,8                1793026
CEL-SCI CORP              Common
                          equity
                          shares      150837409      41   104456 SH       DEFINED 1                       104456
CELADON GROUP INC         Common
                          Stock       150838100    7340   448177 SH       DEFINED 1,2,6,8                 448177
CELL THERAPEUTICS INC     Common
                          Stock       150934602     109   186916 SH       DEFINED 1,5,6,8                 186916
CELESTICA INC             Common
                          equity
                          shares      15101Q108     124    17061 SH       DEFINED 1,2                      17061
CELGENE CORP              Common
                          equity
                          shares      151020104 1080329 16837993 SH       DEFINED 1,2,5,6,8,10,12,18    16837993
CELSION CORP              Common
                          Stock       15117N305      32    10444 SH       DEFINED 1                        10444
CEMEX SAB DE CV           American
                          Depository
                          Receipt     151290889    6503   966288 SH       DEFINED 1,6,8,10                966288
CENTER BANCORP INC        Common
                          equity
                          shares      151408101    1716   152225 SH       DEFINED 1,2                     152225
CENTERSTATE BANKS INC     Common
                          equity
                          shares      15201P109    3485   487330 SH       DEFINED 1,2,6                   487330
CENTRAIS ELETRICAS        American
 BRASILEIR                Depository
                          Receipt     15234Q108    1840   191882 SH       DEFINED 1,2,5,10                191882
ELETROBRAS-CENTR          Depository
 ELETR BRAS               Receipt     15234Q207    5139   731245 SH       DEFINED 1,2,5,6,10              731245
CENTRAL EUROPEAN DIST     Common
 CORP                     equity
                          shares      153435102    3767  1317511 SH       DEFINED 1,2,5,6,8              1317511
CENTURY ALUMINUM CO       Common
                          equity
                          shares      156431108   25055  3418168 SH       DEFINED 1,2,5,6,8              3418168
CENTURY BANCORP INC/      Common
 MA                       equity
                          shares      156432106    2049    69001 SH       DEFINED 1,2                      69001
CBIZ INC                  Common
                          equity
                          shares      124805102    4590   772368 SH       DEFINED 1,2,6,8                 772368
CENTURY CASINOS INC       Common
                          equity
                          shares      156492100      28    10400 SH       DEFINED 1                        10400
CEPHEID INC               Common
                          Stock       15670R107   79460  1775615 SH       DEFINED 1,2,5,6,8              1775615
CERADYNE INC              Common
                          equity
                          shares      156710105   16085   627006 SH       DEFINED 1,2,6,8                 627006
ARBITRON INC              Common
                          equity
                          shares      03875Q108   20930   597816 SH       DEFINED 1,2,5,6,8               597816
CERNER CORP               Common
                          equity
                          shares      156782104  458743  5549717 SH       DEFINED 1,2,5,6,8,10,12,18     5549717
COCA-COLA ENTERPRISES     Common
 INC                      equity
                          shares      19122T109  356112 12700273 SH       DEFINED 1,2,5,6,8,10,12,18    12700273
CERUS CORP                Common
                          equity
                          shares      157085101    2595   781734 SH       DEFINED 1,2                     781734
CHARLES & COLVARD LTD     Common
                          equity
                          shares      159765106      38    10104 SH       DEFINED 1                        10104
CRA INTERNATIONAL INC     Common
                          equity
                          shares      12618T105    2906   197904 SH       DEFINED 1,2,6,8                 197904
CHASE CORP                Common
                          equity
                          shares      16150R104    1481   112084 SH       DEFINED 1,2                     112084
CHECKPOINT SYSTEMS INC    Common
                          equity
                          shares      162825103    6548   752021 SH       DEFINED 1,2,6,8,18              752021
CHEESECAKE FACTORY        Common
 INC                      equity
                          shares      163072101   49844  1559450 SH       DEFINED 1,2,5,6,8,12           1559450
CHEMED CORP               Common
                          equity
                          shares      16359R103   27553   455949 SH       DEFINED 1,2,5,6,8               455949
CHEMICAL FINANCIAL        Common
 CORP                     equity
                          shares      163731102   13604   632807 SH       DEFINED 1,2,5,8                 632807
CHENIERE ENERGY INC       Common
                          equity
                          shares      16411R208   29193  1980552 SH       DEFINED 1,2,5,6,8              1980552
CHEROKEE INC/DE           Common
                          equity
                          shares      16444H102    1928   138354 SH       DEFINED 1,2,5                   138354
CHESAPEAKE UTILITIES      Common
 CORP                     equity
                          shares      165303108    7981   182636 SH       DEFINED 1,2,5,6,8,17            182636
BJ`S RESTAURANTS INC      Common
                          equity
                          shares      09180C106   17698   465648 SH       DEFINED 1,2,6,8                 465648
CHILDRENS PLACE RETAIL    Common
 STRS                     equity
                          shares      168905107   35465   711571 SH       DEFINED 1,2,5,6,8               711571
CHINA MOBILE LTD          American
                          Depository
                          Receipt     16941M109    2323    42511 SH       DEFINED 1,6                      42511
CHINA PETROLEUM &         American
 CHEM CORP                Depository
                          Receipt     16941R108    1121    12556 SH       DEFINED 1,6                      12556
CHINA UNICOM (HONG        American
 KONG) LTD                Depository
                          Receipt     16945R104     313    24927 SH       DEFINED 1,6                      24927
CHOICE HOTELS INTL INC    Common
                          equity
                          shares      169905106   11929   298612 SH       DEFINED 1,2,5,6,8               298612
ECHO THERAPEUTICS INC     Common
                          Stock       27876L107      30    18200 SH       DEFINED 1                        18200
CHRISTOPHER & BANKS       Common
 CORP                     equity
                          shares      171046105      72    60321 SH       DEFINED 1,2,5                    60321
CHURCH & DWIGHT INC       Common
                          equity
                          shares      171340102  217924  3928779 SH       DEFINED 1,2,5,6,8,10,12,17,18  3926239           2540
CHURCHILL DOWNS INC       Common
                          equity
                          shares      171484108   13881   236093 SH       DEFINED 1,2,8                   236093
CIBER INC                 Common
                          equity
                          shares      17163B102    5896  1368226 SH       DEFINED 1,2,6,8                1368226
CIRCOR INTL INC           Common
                          equity
                          shares      17273K109   11322   332110 SH       DEFINED 1,2,6,8                 332110
CIRRUS LOGIC INC          Common
                          equity
                          shares      172755100   39112  1308867 SH       DEFINED 1,2,5,6,8              1308867
READING INTL INC -CL A    Common
                          Stock       755408101    1087   201300 SH       DEFINED 1,2                     201300
CITIZENS & NORTHERN       Common
 CORP                     equity
                          shares      172922106    3645   191170 SH       DEFINED 1,2                     191170
CITIZENS REPUBLIC         Common
 BANCORP                  Stock       174420307   22415  1308701 SH       DEFINED 1,2,6,8                1308701
CITIZENS INC              Common
                          equity
                          shares      174740100    5948   610140 SH       DEFINED 1,2,6,8                 610140
CITY HOLDING CO           Common
                          equity
                          shares      177835105   14983   444717 SH       DEFINED 1,2,6,8,17              444717
CITY NATIONAL CORP        Common
                          equity
                          shares      178566105  110484  2274315 SH       DEFINED 1,2,5,6,8,12           2274315
CLARCOR INC               Common
                          equity
                          shares      179895107   76508  1588664 SH       DEFINED 1,2,5,6,8,12           1588664
BLACK DIAMOND INC         Common
                          Stock       09202G101    2648   280187 SH       DEFINED 1,2                     280187
CLEAN HARBORS INC         Common
                          Stock       184496107   62095  1100582 SH       DEFINED 1,2,5,6,8,12           1100582
CLIFFS NATURAL            Common
 RESOURCES INC            equity
                          shares      18683K101  310276  6294742 SH       DEFINED 1,2,5,6,8,10,12,17,18  6294742
COCA-COLA BTLNG CONS      Common
                          equity
                          shares      191098102    5922    92192 SH       DEFINED 1,2,6,8                  92192
COCA-COLA FEMSA SAB DE    American
 CV                       Depository
                          Receipt     191241108   13877   106034 SH       DEFINED 1,6                     106034
COEUR D`ALENE MINES       Common
 CORP                     equity
                          shares      192108504   56319  3206965 SH       DEFINED 1,2,5,6,8              3206965
COGNEX CORP               Common
                          equity
                          shares      192422103   28948   914722 SH       DEFINED 1,2,5,6,8,17            912532           2190
COGNIZANT TECH            Common
 SOLUTIONS                equity
                          shares      192446102  678309 11305092 SH       DEFINED 1,2,5,6,8,10,12,18    11305092
COHERENT INC              Common
                          Stock       192479103   20024   462423 SH       DEFINED 1,2,6,8                 462423
COHU INC                  Common
                          equity
                          shares      192576106    5493   541091 SH       DEFINED 1,2,5,8                 541091
COINSTAR INC              Common
                          equity
                          shares      19259P300   48023   699469 SH       DEFINED 1,2,6,8                 699469
COLDWATER CREEK INC       Common
                          equity
                          shares      193068103      73   133186 SH       DEFINED 1,2,5                   133186
COLE KENNETH PROD INC     Common
 -CL A                    equity
                          shares      193294105    2333   154639 SH       DEFINED 1,2                     154639
COLLECTORS UNIVERSE       Common
 INC                      equity
                          shares      19421R200     917    62348 SH       DEFINED 1,2                      62348
COLONIAL PROPERTIES       Real Estate
 TRUST                    Investment
                          Trust       195872106   70577  3187781 SH       DEFINED 1,2,3,5,6,8            3187781
COBIZ FINANCIAL INC       Common
                          equity
                          shares      190897108    3602   575404 SH       DEFINED 1,2                     575404
COLUMBIA BANKING          Common
 SYSTEM INC               equity
                          shares      197236102   25335  1346112 SH       DEFINED 1,2,6,8                1346112
KODIAK OIL & GAS CORP     Common
                          Stock       50015Q100   44421  5410455 SH       DEFINED 1,2,6,8                5410455
COLUMBIA LABORATORIES     Common
 INC                      equity
                          shares      197779101      37    51280 SH       DEFINED 1                        51280
COLUMBIA SPORTSWEAR       Common
 CO                       equity
                          shares      198516106   12428   231836 SH       DEFINED 1,2,5,6,8               231836
COLUMBUS MCKINNON         Common
 CORP                     equity
                          shares      199333105    5114   338842 SH       DEFINED 1,2,8                   338842
COMFORT SYSTEMS USA       Common
 INC                      equity
                          shares      199908104    8210   819412 SH       DEFINED 1,2,5,6,8               819412
COMCAST CORP NEW          Common
                          equity
                          shares      20030N200  136408  4344149 SH       DEFINED 1,2,5,6,8,10,12,18     4344149
COMMERCE BANCSHARES       Common
 INC                      equity
                          shares      200525103  253697  6693880 SH       DEFINED 1,2,5,6,8,12           6693880
COMMERCIAL METALS         Common
                          equity
                          shares      201723103   59117  4676652 SH       DEFINED 1,2,5,6,8,12           4676652
NATIONAL RETAIL           Real Estate
 PROPERTIES               Investment
                          Trust       637417106   79668  2816086 SH       DEFINED 1,2,3,5,6,8,12         2816086
COMMUNITY BANK            Common
 SYSTEM INC               equity
                          shares      203607106   34042  1255282 SH       DEFINED 1,2,6,8                1255282






                                                     SHS/PRN  SH/ PUT/ DISCRE-                        SOLE   SHARED    NO
ISSUER                    CLASS       CUSIP   VALUE    VAL    PRN CALL    TION       MANAGERS        VOTING  VOTING  VOTING
---------------------------------------------------------------------------------------------------------------------------
                                                                                    
COMMUNITY TRUST        Common
 BANCORP INC           equity
                       shares       204149108   7958   237618 SH       DEFINED 1,2,8                  237618
CIA ENERGETICA DE      American
 MINAS                 Depository
                       Receipt      204409601  23240  1261747 SH       DEFINED 1,2,4,5,6,10          1261747
CIA BRASILEIRA DE      American
 DISTRIB               Depository
                       Receipt      20440T201   5232   130863 SH       DEFINED 1,2,5,6,10             130863
COMPANHIA              American
 SIDERURGICA           Depository
 NACION                Receipt      20440W105   8398  1481170 SH       DEFINED 1,2,5,6,8,10          1481170
VALE S A               American
                       Depository
                       Receipt      91912E204  97553  5000138 SH       DEFINED 1,2,4,5,6,8,10        5000138
COPEL-CIA              American
 PARANAENSE            Depository
 ENERGIA               Receipt      20441B407   3960   182661 SH       DEFINED 1,5,6,10               182661
CIA DE BEBIDAS DAS     American
 AMERICAS              Depository
                       Receipt      20441W203 149982  3912857 SH       DEFINED 1,2,5,6,8,10,18       3912857
COMPANIA               American
 CERVECERIAS           Depository
 UNIDAS                Receipt      204429104   9316   149426 SH       DEFINED 1,2,5,6,10             149426
COMPUCREDIT            Common
 HOLDINGS CORP         equity
                       shares       20478T107     42    11605 SH       DEFINED 1                       11605
COMPUTER TASK          Common
 GROUP INC             Stock        205477102   4008   267640 SH       DEFINED 1,2                    267640
COMPX                  Common
 INTERNATIONAL INC     Stock        20563P101    151    11980 SH       DEFINED 1,2                     11980
COMSTOCK               Common
 RESOURCES INC         equity
                       shares       205768203  30624  1864821 SH       DEFINED 1,2,5,6,8             1864821
COMTECH                Common
 TELECOMMUN            equity
                       shares       205826209  14746   516011 SH       DEFINED 1,2,5,6,8,17           516011
CONCEPTUS INC          Common
                       Stock        206016107  10985   554011 SH       DEFINED 1,2,6,8                554011
CONCUR                 Common
 TECHNOLOGIES INC      equity
                       shares       206708109  74230  1090063 SH       DEFINED 1,2,5,6,8,12          1090063
CONMED CORP            Common
                       equity
                       shares       207410101  17304   625425 SH       DEFINED 1,2,6,8                625425
CONNECTICUT WATER      Common
 SVC INC               equity
                       shares       207797101   4620   159336 SH       DEFINED 1,2,5,17               159336
MAJESCO                Common
 ENTERTAINMENT CO      equity
                       shares       560690208     47    23557 SH       DEFINED 1                       23557
CONSOL ENERGY INC      Common
                       equity
                       shares       20854P109 308264 10194025 SH       DEFINED 1,2,5,6,8,10,12,18   10194025
CONSOLIDATED           Common
 GRAPHICS INC          equity
                       shares       209341106   5509   189629 SH       DEFINED 1,2,6,8                189629
CONSOLIDATED           Common
 TOMOKA LAND CO        equity
                       shares       210226106   2614    90785 SH       DEFINED 1,2,5                   90785
CONTANGO OIL & GAS     Common
 CO                    equity
                       shares       21075N204  24583   415260 SH       DEFINED 1,2,5,6,8              415260
COOPER COMPANIES       Common
 INC                   equity
                       shares       216648402  84403  1058177 SH       DEFINED 1,2,5,6,8,12          1058177
COPART INC             Common
                       equity
                       shares       217204106  59950  2530538 SH       DEFINED 1,2,5,6,8,12          2530538
INGREDION INC          Common
                       equity
                       shares       457187102  86317  1743018 SH       DEFINED 1,2,5,6,8,12          1743018
NEOSTEM INC            Common
                       equity
                       shares       640650305     11    21800 SH       DEFINED 1                       21800
CORPORATE              Common
 EXECUTIVE BRD CO      Stock        21988R102  42527  1040202 SH       DEFINED 1,2,5,6,8,12          1040202
CORRECTIONS CORP       Common
 AMER                  equity
                       shares       22025Y407  63164  2144705 SH       DEFINED 1,2,5,6,8,12          2144705
CORVEL CORP            Common
                       equity
                       shares       221006109   5814   118614 SH       DEFINED 1,2,6,8                118614
COSTAR GROUP INC       Common
                       equity
                       shares       22160N109  44069   542700 SH       DEFINED 1,2,6,8                542700
COURIER CORP           Common
                       equity
                       shares       222660102   3732   281571 SH       DEFINED 1,2                    281571
COUSINS PROPERTIES     Real Estate
 INC                   Investment
                       Trust        222795106  22856  2948898 SH       DEFINED 1,2,3,5,6,8           2948898
CRAWFORD & CO          Common
                       equity
                       shares       224633107   1854   453075 SH       DEFINED 1,2                    453075
CRAY INC               Common
                       Stock        225223304   8293   686534 SH       DEFINED 1,2,5,6,8              686534
CREDIT ACCEPTANCE      Common
 CORP                  Stock        225310101  12463   147605 SH       DEFINED 1,2,6,8                147605
CREDO PETROLEUM        Common
 CORP                  equity
                       shares       225439207   1142    78935 SH       DEFINED 1,2                     78935
CRESCENT FINANCIAL     Common
 BANCSHRS              equity
                       shares       225743103     57    12600 SH       DEFINED 1,2                     12600
CROSS (A.T.) & CO -CL  Common
 A                     equity
                       shares       227478104   1278   129382 SH       DEFINED 1,2                    129382
CROWN CASTLE INTL      Common
 CORP                  equity
                       shares       228227104 595462 10151021 SH       DEFINED 1,2,5,6,8,10,12,18   10151021
CROWN HOLDINGS INC     Common
                       equity
                       shares       228368106  90722  2630621 SH       DEFINED 1,2,5,6,8,10,12,18    2630621
AMERICA`S CAR-MART     Common
 INC                   equity
                       shares       03062T105   6160   158468 SH       DEFINED 1,2,5,6,8              158468
CROWN MEDIA            Common
 HOLDINGS INC          equity
                       shares       228411104    846   483000 SH       DEFINED 1,2                    483000
CRYOLIFE INC           Common
                       equity
                       shares       228903100   4784   914535 SH       DEFINED 1,2                    914535
CUBIC CORP             Common
                       equity
                       shares       229669106  15700   326495 SH       DEFINED 1,2,6,8                326495
CUBIC ENERGY INC       Common
                       equity
                       shares       229675103     10    23500 SH       DEFINED 1                       23500
CUBIST                 Common
 PHARMACEUTICALS       equity
 INC                   shares       229678107  68748  1813360 SH       DEFINED 1,2,5,6,8             1813360
CULLEN/FROST           Common
 BANKERS INC           equity
                       shares       229899109 131296  2283856 SH       DEFINED 1,2,5,6,8,12,17       2283856
CULP INC               Common
                       equity
                       shares       230215105   1034   100900 SH       DEFINED 1,2                    100900
CURIS INC              Common
                       equity
                       shares       231269101   7749  1435142 SH       DEFINED 1,2,6,8               1435142
CURTISS-WRIGHT         Common
 CORP                  equity
                       shares       231561101  29529   951010 SH       DEFINED 1,2,5,6,8              951010
CYBERONICS INC         Common
                       Stock        23251P102  24527   545690 SH       DEFINED 1,2,6,8                545690
CYMER INC              Common
                       equity
                       shares       232572107  38924   660280 SH       DEFINED 1,2,5,6,8              660280
CYPRESS
 SEMICONDUCTOR         Common
 CORP                  Stock        232806109  50156  3793497 SH       DEFINED 1,2,5,6,8,12          3793497
OPKO HEALTH INC        Common
                       Stock        68375N103  16692  3629117 SH       DEFINED 1,2,6                 3629117
AVIAT NETWORKS INC     Common
                       Stock        05366Y102   3348  1197098 SH       DEFINED 1,2,5,8               1197098
DSP GROUP INC          Common
                       equity
                       shares       23332B106   2949   464970 SH       DEFINED 1,2                    464970
DXP ENTERPRISES INC    Common
                       equity
                       shares       233377407   6637   159985 SH       DEFINED 1,2,6                  159985
DAILY JOURNAL CORP     Common
                       equity
                       shares       233912104    910    10600 SH       DEFINED 1,2                     10600
DAKTRONICS INC         Common
                       equity
                       shares       234264109   4687   678173 SH       DEFINED 1,2,8                  678173
COVANTA HOLDING        Common
 CORP                  equity
                       shares       22282E102  20655  1204565 SH       DEFINED 1,2,5,6,8             1204565
DARLING                Common
 INTERNATIONAL INC     equity
                       shares       237266101  39081  2369853 SH       DEFINED 1,2,5,6,8             2369853
ACORN ENERGY INC       Common
                       equity
                       shares       004848107   1918   230500 SH       DEFINED 1,2                    230500
DATALINK CORP          Common
                       equity
                       shares       237934104   2049   214294 SH       DEFINED 1,2                    214294
DAVITA INC             Common
                       equity
                       shares       23918K108 362479  3690978 SH       DEFINED 1,2,5,6,8,10,12,18    3690978
DAWSON                 Common
 GEOPHYSICAL CO        equity
                       shares       239359102   3964   166358 SH       DEFINED 1,2,5,8                166358
DECKERS OUTDOOR        Common
 CORP                  equity
                       shares       243537107  38292   870039 SH       DEFINED 1,2,5,6,8,12           870039
DELTA APPAREL INC      Common
                       equity
                       shares       247368103   1269    92726 SH       DEFINED 1,2                     92726
DELTA NATURAL GAS      Common
 CO INC                equity
                       shares       247748106   2589   119112 SH       DEFINED 1,2                    119112
DELTIC TIMBER CORP     Common
                       equity
                       shares       247850100  13279   217779 SH       DEFINED 1,2,6,8                217779
DENBURY RESOURCES      Common
 INC                   equity
                       shares       247916208 278908 18458081 SH       DEFINED 1,2,5,6,8,10,12,18   18458081
DENDREON CORP          Common
                       Stock        24823Q107  43147  5830552 SH       DEFINED 1,2,5,6,8             5830552
DENTSPLY INTERNATL     Common
 INC                   equity
                       shares       249030107 196444  5195636 SH       DEFINED 1,2,5,6,8,10,12,18    5195636
DERMA SCIENCES INC     Common
                       equity
                       shares       249827502    992   104200 SH       DEFINED 1,2                    104200
DEPOMED INC            Common
                       Stock        249908104   5366   942743 SH       DEFINED 1,2,6,8                942743
CASUAL MALE RETAIL     Common
 GRP INC               equity
                       shares       148711302   2397   660985 SH       DEFINED 1,2                    660985
DEVRY INC              Common
                       equity
                       shares       251893103  64656  2087668 SH       DEFINED 1,2,5,6,8,10,12,18    2087668
DIAMOND OFFSHRE        Common
 DRILLING INC          equity
                       shares       25271C102 181960  3077163 SH       DEFINED 1,2,5,6,8,10,12,18    3077163
DIEBOLD INC            Common
                       equity
                       shares       253651103 217008  5879358 SH       DEFINED 1,2,5,6,8,12          5879358
DIGI INTERNATIONAL     Common
 INC                   equity
                       shares       253798102   4910   479574 SH       DEFINED 1,2,5,6,8              479574
DIGITAL RIVER INC      Common
                       equity
                       shares       25388B104  16718  1005689 SH       DEFINED 1,2,5,6,8             1005689
DIGITAL GENERATION     Common
 INC                   Stock        25400B108   6231   503806 SH       DEFINED 1,2,6,8                503806
DIME COMMUNITY         Common
 BANCSHARES            equity
                       shares       253922108   7942   597509 SH       DEFINED 1,2,8                  597509
ALLIANCE ONE INTL      Common
 INC                   equity
                       shares       018772103   5295  1529528 SH       DEFINED 1,2,5,6               1529528
DIODES INC             Common
                       equity
                       shares       254543101  13619   725515 SH       DEFINED 1,2,6,8                725515
DISCOVERY              Common
 LABORATORIES INC      Stock        254668403   1171   505148 SH       DEFINED 1,2                    505148
INFINITY
 PHARMACEUTICALS       Common
 INC                   Stock        45665G303   4056   299088 SH       DEFINED 1,2                    299088
NAUTILUS INC           Common
                       equity
                       shares       63910B102     54    16160 SH       DEFINED 1                       16160
DITECH NETWORKS        Common
 INC                   equity
                       shares       25500T108     16    18800 SH       DEFINED 1                       18800
DOLLAR THRIFTY         Common
 AUTOMOTIVE GP         equity
                       shares       256743105  50852   628085 SH       DEFINED 1,2,5,6,8              628085
DONALDSON CO INC       Common
                       equity
                       shares       257651109 109275  3274723 SH       DEFINED 1,2,5,6,8,12,18       3274723
DOT HILL SYSTEMS       Common
 CORP                  equity
                       shares       25848T109     41    35984 SH       DEFINED 1                       35984
ASCENA RETAIL          Common
 GROUP INC             equity
                       shares       04351G101  57727  3100044 SH       DEFINED 1,2,5,6,8,12          3100044
DREW INDUSTRIES INC    Common
                       equity
                       shares       26168L205  10069   361499 SH       DEFINED 1,2,6,8                361499
DRIL-QUIP INC          Common
                       equity
                       shares       262037104  82481  1257536 SH       DEFINED 1,2,5,6,8,12          1257536
PACIFIC ETHANOL INC    Common
                       Stock        69423U206     38   107037 SH       DEFINED 1                      107037
DUCOMMUN INC           Common
                       equity
                       shares       264147109    124    12578 SH       DEFINED 1,5                     12578
DURECT CORP            Common
                       equity
                       shares       266605104     58    63176 SH       DEFINED 1,5                     63176
DUSA                   Common
 PHARMACEUTICALS       equity
 INC                   shares       266898105   2117   405308 SH       DEFINED 1,2                    405308
DYAX CORP              Common
                       equity
                       shares       26746E103   3540  1660417 SH       DEFINED 1,2,5,6,8             1660417
DYCOM INDUSTRIES       Common
 INC                   equity
                       shares       267475101  14306   768937 SH       DEFINED 1,2,5,6,8              768937
DYNAMIC MATERIALS      Common
 CORP                  equity
                       shares       267888105   4420   255184 SH       DEFINED 1,2,5,6,8              255184
DYNAMICS RESEARCH      Common
 CORP                  equity
                       shares       268057106     65    11355 SH       DEFINED 1                       11355
DYNEX CAPITAL INC      Real Estate
                       Investment
                       Trust        26817Q506  10451  1006732 SH       DEFINED 1,2,6,8               1006732
PERFUMANIA             Common
 HOLDINGS INC          equity
                       shares       71376C100    475    57205 SH       DEFINED 1,2                     57205
EMC INSURANCE          Common
 GROUP INC             equity
                       shares       268664109   1671    82950 SH       DEFINED 1,2                     82950
ENI SPA                American
                       Depository
                       Receipt      26874R108    487    11469 SH       DEFINED 1,2                     11469
EPIQ SYSTEMS INC       Common
                       equity
                       shares       26882D109   7449   608465 SH       DEFINED 1,2,6,8                608465
ESB FINANCIAL CORP     Common
                       equity
                       shares       26884F102   2264   171377 SH       DEFINED 1,2,5                  171377
EAGLE BANCORP INC/     Common
 MD                    equity
                       shares       268948106   4237   269091 SH       DEFINED 1,2                    269091
EARTHLINK INC          Common
                       equity
                       shares       270321102  20616  2771142 SH       DEFINED 1,2,5,6,8,17          2771142
EAST WEST BANCORP      Common
 INC                   equity
                       shares       27579R104 145353  6195895 SH       DEFINED 1,2,5,6,8,12          6195895
EASTERN CO             Common
                       Stock        276317104   1274    79050 SH       DEFINED 1,2                     79050
EATON VANCE CORP       Common
                       equity
                       shares       278265103 238233  8839933 SH       DEFINED 1,2,5,6,8,10,12,18    8839933
EBIX INC               Common
                       equity
                       shares       278715206  11886   595707 SH       DEFINED 1,2,6,8                595707
ECHELON CORP           Common
                       Stock        27874N105   2224   638831 SH       DEFINED 1,2,6,8                638831
EDGAR ONLINE INC       Common
                       equity
                       shares       279765101     12    11200 SH       DEFINED 1                       11200
EDGEWATER              Common
 TECHNOLOGY INC        equity
                       shares       280358102     46    11719 SH       DEFINED 1                       11719
EL PASO ELECTRIC CO    Common
                       equity
                       shares       283677854  28659   864338 SH       DEFINED 1,2,5,6,8              864338
ELAN CORP PLC          American
                       Depository
                       Receipt      284131208  32397  2220450 SH       DEFINED 1,19                  2220450
ELECTRO RENT CORP      Common
                       equity
                       shares       285218103   6251   385142 SH       DEFINED 1,2,5,8                385142
ELECTRO SCIENTIFIC     Common
 INDS INC              equity
                       shares       285229100   6046   511747 SH       DEFINED 1,2,8                  511747
ELECTRONICS FOR        Common
 IMAGING INC           equity
                       shares       286082102  18273  1124340 SH       DEFINED 1,2,5,6,8             1124340
ELLIS PERRY INTL INC   Common
                       equity
                       shares       288853104   4451   214452 SH       DEFINED 1,2,6,8                214452
MATTERSIGHT CORP       Common
                       equity
                       shares       577097108    925   115720 SH       DEFINED 1,2                    115720
EMAGIN CORP            Common
                       equity
                       shares       29076N206     36    11610 SH       DEFINED 1                       11610
EMBRAER SA             American
                       Depository
                       Receipt      29082A107   5028   189533 SH       DEFINED 1,2,5,6,10             189533
EMBOTELLADORA          American
 ANDINA S A            Depository
                       Receipt      29081P204    242     9114 SH       DEFINED 1                        9114
EMBOTELLADORA          American
 ANDINA SA             Depository
                       Receipt      29081P303    541    16754 SH       DEFINED 1,5                     16754
EMCORE CORP            Common
                       equity
                       shares       290846203     61    13790 SH       DEFINED 1                       13790
EMCOR GROUP INC        Common
                       equity
                       shares       29084Q100  42131  1514535 SH       DEFINED 1,2,5,6,8,12          1514535
EMERITUS CORP          Common
                       equity
                       shares       291005106   8771   521020 SH       DEFINED 1,2,6,8                521020
EMMIS                  Common
 COMMUNICATIONS        equity
 CP-CL A               shares       291525103     51    27908 SH       DEFINED 1                       27908
EMPIRE DISTRICT        Common
 ELECTRIC CO           equity
                       shares       291641108  17880   847427 SH       DEFINED 1,2,6,8                847427
ENDESA-EMPR NAC        American
 ELEC (CHILE)          Depository
                       Receipt      29244T101  29500   578080 SH       DEFINED 1,2,5,6,10             578080
ENBRIDGE INC           Common
                       equity
                       shares       29250N105    261     6536 SH       DEFINED 1                        6536
ENCORE WIRE CORP       Common
                       equity
                       shares       292562105   9805   366094 SH       DEFINED 1,2,5,8                366094
ENDO HEALTH            Common
 SOLUTIONS INC         equity
                       shares       29264F205 100478  3243393 SH       DEFINED 1,2,5,6,8,12          3243393
ENERGEN CORP           Common
                       equity
                       shares       29265N108  98210  2176001 SH       DEFINED 1,2,5,6,8,10,12,18    2176001
ENERGY PARTNERS        Common
 LTD                   Stock        29270U303  16957  1003504 SH       DEFINED 1,2,6,8               1003504
ENERPLUS CORP          Composition
                       of more than
                       1 security   292766102    155    12041 SH       DEFINED 1,2                     12041
ENERSIS SA             American
                       Depository
                       Receipt      29274F104  22486  1202598 SH       DEFINED 1,2,5,6,10,18         1202598
ENNIS INC              Common
                       equity
                       shares       293389102   8554   556119 SH       DEFINED 1,2,8                  556119
ENSTAR GROUP LTD       Common
                       equity
                       shares       G3075P101  13958   141084 SH       DEFINED 1,2,6,8                141084
ENTERCOM               Common
 COMMUNICATIONS        equity
 CORP                  shares       293639100   3121   518466 SH       DEFINED 1,2                    518466
ENTERPRISE PRODS       Limited
 PRTNRS -LP            Partnership  293792107  30930   603638 SH       DEFINED 1                      603638
ENTERTAINMENT          Real Estate
 PROPERTIES TR         Investment
                       Trust        29380T105  50086  1218296 SH       DEFINED 1,2,3,5,6,8           1218296
ENTRAVISION            Common
 COMMUNICATIONS        equity
                       shares       29382R107    880   727831 SH       DEFINED 1,2                    727831
ENZON
 PHARMACEUTICALS       Common
 INC                   Stock        293904108   6856   998110 SH       DEFINED 1,2,6,8                998110
ENZO BIOCHEM INC       Common
                       equity
                       shares       294100102     95    56897 SH       DEFINED 1,2,5                   56897
EPLUS INC              Common
                       Stock        294268107   2277    70411 SH       DEFINED 1,2                     70411
EQUINIX INC            Common
                       equity
                       shares       29444U502 214680  1222153 SH       DEFINED 1,2,5,6,8,10,12,18    1222153
EQT CORP               Common
                       equity
                       shares       26884L109 316109  5894327 SH       DEFINED 1,2,5,6,8,10,12,18    5894327
EQUITY ONE INC         Real Estate
                       Investment
                       Trust        294752100  47596  2245136 SH       DEFINED 1,2,3,5,6,8,12        2245136
ERICSSON               American
                       Depository
                       Receipt      294821608   4208   460868 SH       DEFINED 1,2                    460868
ERIE INDEMNITY CO      Common
 -CL A                 equity
                       shares       29530P102  24321   339696 SH       DEFINED 1,2,5,6,8,12           339696
ESCO TECHNOLOGIES      Common
 INC                   equity
                       shares       296315104  18656   511997 SH       DEFINED 1,2,5,6,8              511997
BGC PARTNERS INC       Common
                       equity
                       shares       05541T101   9914  1688760 SH       DEFINED 1,2,6,8               1688760
ESTERLINE              Common
 TECHNOLOGIES          equity
 CORP                  shares       297425100  59749   958315 SH       DEFINED 1,2,5,6,8,12           958315
ETHAN ALLEN            Common
 INTERIORS INC         equity
                       shares       297602104  30106  1510530 SH       DEFINED 1,2,6,8               1510530
NEWMARKET CORP         Common
                       equity
                       shares       651587107  51016   235527 SH       DEFINED 1,2,5,6,8,12           235527
EURONET WORLDWIDE      Common
 INC                   equity
                       shares       298736109  18484  1079578 SH       DEFINED 1,2,5,6,8             1079578
EXACT SCIENCES CORP    Common
                       Stock        30063P105  16474  1536446 SH       DEFINED 1,2,6,8               1536446
EXAR CORP              Common
                       equity
                       shares       300645108   6034   739313 SH       DEFINED 1,2,5,6,8              739313
EXACTECH INC           Common
                       equity
                       shares       30064E109   2164   129059 SH       DEFINED 1,2                    129059
EXELIXIS INC           Common
                       equity
                       shares       30161Q104  25571  4624014 SH       DEFINED 1,2,6,8               4624014
EXPONENT INC           Common
                       equity
                       shares       30214U102  13767   260544 SH       DEFINED 1,2,6,8                260544
EZCORP INC -CL A       Common
                       equity
                       shares       302301106  25483  1086228 SH       DEFINED 1,2,5,6,8             1086228
FBL FINANCIAL GROUP    Common
 INC-CL A              equity
                       shares       30239F106   6011   214660 SH       DEFINED 1,2,8                  214660
FEI CO                 Common
                       equity
                       shares       30241L109  36199   756655 SH       DEFINED 1,2,5,6,8              756655
FLIR SYSTEMS INC       Common
                       equity
                       shares       302445101 111788  5732228 SH       DEFINED 1,2,5,6,8,10,12,18    5732228
FMC CORP               Common
                       equity
                       shares       302491303 289603  5415174 SH       DEFINED 1,2,5,6,8,10,12,18    5415174
FNB UNITED CORP        Common
                       Stock        302519202   1748   134575 SH       DEFINED 1,2                    134575
F N B CORP/FL          Common
                       equity
                       shares       302520101  53945  4962408 SH       DEFINED 1,2,5,6,8             4962408
FSI INTL INC           Common
                       Stock        302633102   2440   680037 SH       DEFINED 1,2                    680037
FX ENERGY INC          Common
                       Stock        302695101   5407   908912 SH       DEFINED 1,2,5,6,8              908912
OPPENHEIMER            Common
 HOLDINGS INC          equity
                       shares       683797104   3084   196240 SH       DEFINED 1,2,8                  196240
FTI CONSULTING INC     Common
                       equity
                       shares       302941109  38047  1323278 SH       DEFINED 1,2,5,6,8,12          1323278
FACTSET RESEARCH       Common
 SYSTEMS INC           equity
                       shares       303075105  92881   999366 SH       DEFINED 1,2,5,6,8,12           999366
FAIR ISAAC CORP        Common
                       equity
                       shares       303250104  44173  1044878 SH       DEFINED 1,2,5,6,8,12,17       1044878
FAIRCHILD              Common
 SEMICONDUCTOR         equity
 INTL                  shares       303726103  43383  3077007 SH       DEFINED 1,2,5,6,8,12          3077007
FARMER BROS CO         Common
                       equity
                       shares       307675108   1030   129004 SH       DEFINED 1,2                    129004
FARMERS NATL BANC      Common
 CORP/OH               Stock        309627107   1491   239400 SH       DEFINED 1,2                    239400
FARO TECHNOLOGIES      Common
 INC                   equity
                       shares       311642102  13525   321441 SH       DEFINED 1,2,6,8                321441
FASTENAL CO            Common
                       equity
                       shares       311900104 429231 10648491 SH       DEFINED 1,2,5,6,8,10,12,18   10648491
FEDERAL                Common
 AGRICULTURE MTG       equity
 CP                    shares       313148306   4060   154856 SH       DEFINED 1,2                    154856
FEDERAL REALTY         Real Estate
 INVESTMENT TR         Investment
                       Trust        313747206 431129  4141890 SH       DEFINED 1,2,3,5,6,8,10,12,18  4141890
FEDERAL SIGNAL CORP    Common
                       equity
                       shares       313855108   6771  1159016 SH       DEFINED 1,2,6,8               1159016
FELCOR LODGING         Real Estate
 TRUST INC             Investment
                       Trust        31430F101  17704  3766665 SH       DEFINED 1,2,3,6,8             3766665
FEMALE HEALTH CO       Common
                       Stock        314462102   1525   259776 SH       DEFINED 1,2                    259776
FERRELLGAS             Limited
 PARTNERS -LP          Partnership  315293100   1253    66410 SH       DEFINED 1                       66410
FERRO CORP             Common
                       equity
                       shares       315405100   7440  1549337 SH       DEFINED 1,2,6,8               1549337
F5 NETWORKS INC        Common
                       equity
                       shares       315616102 310894  3122617 SH       DEFINED 1,2,5,6,8,10,12,18    3122617
FIDELITY SOUTHERN      Common
 CORP                  equity
                       shares       316394105    934   108052 SH       DEFINED 1,2                    108052
FINANCIAL              Common
 INSTITUTIONS INC      equity
                       shares       317585404   3758   222615 SH       DEFINED 1,2                    222615
FINISAR CORP           Common
                       equity
                       shares       31787A507  24525  1639647 SH       DEFINED 1,2,5,6,8             1639647
FINISH LINE INC -CL A  Common
                       equity
                       shares       317923100  30659  1466287 SH       DEFINED 1,2,5,6,8             1466287
GLEACHER &             Common
 COMPANY INC           Stock        377341102     38    48235 SH       DEFINED 1                       48235
CORELOGIC INC          Common
                       equity
                       shares       21871D103  50496  2757707 SH       DEFINED 1,2,5,6,8,10,12       2757707
FIRST BANCORP P R      Common
                       equity
                       shares       318672706   3812   961977 SH       DEFINED 1,2,5                  961977
FIRST BANCORP/NC       Common
                       equity
                       shares       318910106   2329   262131 SH       DEFINED 1,2,5,8                262131
FIRST BUSEY CORP       Common
                       equity
                       shares       319383105   5940  1230079 SH       DEFINED 1,2,5,6,8             1230079
FIRST CASH FINANCIAL   Common
 SVCS                  equity
                       shares       31942D107  22657   564171 SH       DEFINED 1,2,6,8                564171
FIRST CITIZENS         Common
 BANCSH -CL A          equity
                       shares       31946M103  11275    67674 SH       DEFINED 1,2,5,6,8               67674
FIRST COMMONWLTH       Common
 FINL CP/PA            equity
                       shares       319829107  24829  3689058 SH       DEFINED 1,2,5,6,8             3689058
FIRST CMNTY            Common
 BANCSHARES INC        equity
                       shares       31983A103   5245   363260 SH       DEFINED 1,2,8                  363260
PACWEST BANCORP        Common
                       equity
                       shares       695263103  26613  1124345 SH       DEFINED 1,2,6,8               1124345
FIRST DEFIANCE         Common
 FINANCIAL CP          equity
                       shares       32006W106   2499   145913 SH       DEFINED 1,2                    145913
FIRST FINL BANCORP     Common
 INC/OH                equity
                       shares       320209109  26741  1673256 SH       DEFINED 1,2,6,8               1673256
FIRST FEDERAL          Common
 BANCSHARES/AR         equity
                       shares       32020F303    299    36979 SH       DEFINED 1,2                     36979
FIRST FINL             Common
 BANKSHARES INC        equity
                       shares       32020R109  31355   907271 SH       DEFINED 1,2,5,6,8              907271
FIRST FINANCIAL        Common
 CORP/IN               equity
                       shares       320218100   6006   206992 SH       DEFINED 1,2,8                  206992
FIRST FINANCIAL        Common
 HOLDINGS INC          equity
                       shares       320239106   3986   371947 SH       DEFINED 1,2                    371947
FIRST INDL REALTY      Real Estate
 TRUST INC             Investment
                       Trust        32054K103  32133  2546210 SH       DEFINED 1,2,3,6,8             2546210
FIRST LONG ISLAND      Common
 CORP                  equity
                       shares       320734106   3261   112507 SH       DEFINED 1,2                    112507
FIRST MERCHANTS        Common
 CORP                  equity
                       shares       320817109   6044   485101 SH       DEFINED 1,2,8                  485101
FIRST MIDWEST          Common
 BANCORP INC           equity
                       shares       320867104  32681  2976797 SH       DEFINED 1,2,5,6,8             2976797
SCBT FINANCIAL CORP    Common
                       equity
                       shares       78401V102   9602   272369 SH       DEFINED 1,2,5,6,8              272369
FIRST BANCORP INC/     Common
 ME                    equity
                       shares       31866P102   2496   146672 SH       DEFINED 1,2                    146672
FIRST NIAGARA          Common
 FINANCIAL GRP         equity
                       shares       33582V108 113024 14773799 SH       DEFINED 1,2,5,6,8,12         14773799
1ST SOURCE CORP        Common
                       equity
                       shares       336901103   6600   292098 SH       DEFINED 1,2,6,8                292098
WINTHROP REALTY        Real Estate
 TRUST                 Investment
                       Trust        976391300   6528   536922 SH       DEFINED 1,2,3,6,8              536922
FISHER
 COMMUNICATIONS        Common
 INC                   Stock        337756209   4032   134772 SH       DEFINED 1,2,8                  134772
FIRSTMERIT CORP        Common
                       equity
                       shares       337915102  77128  4668573 SH       DEFINED 1,2,5,6,8,12          4668573
FLAGSTAR BANCORP       Common
 INC                   equity
                       shares       337930507    159   190209 SH       DEFINED 1                      190209
FLEXSTEEL              Common
 INDUSTRIES INC        equity
                       shares       339382103   1120    56605 SH       DEFINED 1,2                     56605
FLOTEK INDUSTRIES      Common
 INC                   equity
                       shares       343389102   8635   924460 SH       DEFINED 1,2,6,8                924460
FLOW INTL CORP         Common
                       Stock        343468104   2572   815946 SH       DEFINED 1,2                    815946
FLOWERS FOODS INC      Common
                       equity
                       shares       343498101  65518  2820677 SH       DEFINED 1,2,5,6,8,12,17       2820677
FLOWSERVE CORP         Common
                       equity
                       shares       34354P105 226657  1975281 SH       DEFINED 1,2,5,6,8,10,12,18    1975281
FLUSHING FINANCIAL     Common
 CORP                  equity
                       shares       343873105   8858   650049 SH       DEFINED 1,2,8                  650049
FOMENTO ECONOMICO      American
 MEXICANO              Depository
                       Receipt      344419106  16359   183281 SH       DEFINED 1,2,6,18               183281
FOREST CITY ENTRPRS    Common
 -CL A                 equity
                       shares       345550107  35884  2457925 SH       DEFINED 1,2,3,5,6,8,10        2457925
FOREST OIL CORP        Common
                       equity
                       shares       346091705  37732  5147609 SH       DEFINED 1,2,5,6,8,10,12       5147609
FORRESTER RESEARCH     Common
 INC                   equity
                       shares       346563109   9791   289246 SH       DEFINED 1,2,6,8                289246
FOSSIL INC             Common
                       equity
                       shares       349882100 151299  1976532 SH       DEFINED 1,2,5,6,8,10,12,18    1976532
FOSTER (LB) CO         Common
                       equity
                       shares       350060109   6423   224451 SH       DEFINED 1,2,6,8                224451
FOSTER WHEELER AG      Common
                       equity
                       shares       H27178104   4329   249832 SH       DEFINED 1,2,5,8,10,12          249832
FRANCE TELECOM         American
                       Depository
                       Receipt      35177Q105    164    12476 SH       DEFINED 1,2                     12476






                                                       SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                      CLASS      CUSIP    VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
------------------------------------------------------------------------------------------------------------------------------
                                                                                       
FRANKLIN COVEY CO        Common
                         equity
                         shares      353469109    1991   194702 SH       DEFINED 1,2                     194702
FRANKLIN ELECTRIC CO     Common
 INC                     equity
                         shares      353514102   22695   443864 SH       DEFINED 1,2,6,8                 443864
FREDS INC                Common
                         equity
                         shares      356108100   17632  1152987 SH       DEFINED 1,2,5,6,8              1152987
ARLINGTON ASSET          Real Estate
 INVESTMENT              Investment
                         Trust       041356205    2702   124327 SH       DEFINED 1,2                     124327
FRISCH`S RESTAURANTS     Common
 INC                     equity
                         shares      358748101    1030    36362 SH       DEFINED 1,2                      36362
FUEL TECH INC            Common
                         equity
                         shares      359523107      67    13640 SH       DEFINED 1,5                      13640
FUELCELL ENERGY INC      Common
                         equity
                         shares      35952H106    2478  2451385 SH       DEFINED 1,2,6,8                2451385
FULLER (H. B.) CO        Common
                         equity
                         shares      359694106   29823   971433 SH       DEFINED 1,2,5,6,8               971433
FULTON FINANCIAL CORP    Common
                         equity
                         shares      360271100  104775 10487270 SH       DEFINED 1,2,5,6,8,12          10487270
FURNITURE BRANDS INTL    Common
 INC                     equity
                         shares      360921100      38    30504 SH       DEFINED 1                        30504
G&K SERVICES INC -CL A   Common
                         equity
                         shares      361268105   12344   395689 SH       DEFINED 1,2,5,6,8               395689
LADENBURG THALMANN       Common
 FINL SERV               equity
                         shares      50575Q102    2572  1668847 SH       DEFINED 1,2,6                  1668847
GP STRATEGIES CORP       Common
                         equity
                         shares      36225V104    4595   248994 SH       DEFINED 1,2                     248994
GSE SYSTEMS INC          Common
                         equity
                         shares      36227K106      24    10232 SH       DEFINED 1                        10232
GSI GROUP INC            Common
                         Stock       36191C205    5012   437403 SH       DEFINED 1,2                     437403
G-III APPAREL GROUP LTD  Common
                         equity
                         shares      36237H101    7369   311047 SH       DEFINED 1,2,6,8                 311047
GAMCO INVESTORS INC      Common
                         equity
                         shares      361438104    5571   125530 SH       DEFINED 1,2,6,8                 125530
GAIAM INC                Common
                         equity
                         shares      36268Q103      59    14860 SH       DEFINED 1                        14860
ARTHUR J GALLAGHER &     Common
 CO                      equity
                         shares      363576109   98190  2799735 SH       DEFINED 1,2,5,6,8,12,17        2799735
GARDNER DENVER INC       Common
                         equity
                         shares      365558105   57909  1094456 SH       DEFINED 1,2,5,6,8,12           1094456
GARTNER INC              Common
                         equity
                         shares      366651107   87644  2035837 SH       DEFINED 1,2,5,6,8,12           2035837
GASTAR EXPLORATION       Common
 LTD                     equity
                         shares      367299203    1731   897362 SH       DEFINED 1,2,6,8                 897362
GAYLORD                  Common
 ENTERTAINMENT CO        equity
                         shares      367905106   27712   718662 SH       DEFINED 1,2,6,8                 718662
GENCORP INC              Common
                         equity
                         shares      368682100    8435  1295351 SH       DEFINED 1,2,6,8                1295351
GENERAL CABLE CORP/DE    Common
                         equity
                         shares      369300108   27993  1079205 SH       DEFINED 1,2,5,6,8,12           1079205
GENERAL                  Common
 COMMUNICATION -CL A     equity
                         shares      369385109    6640   799481 SH       DEFINED 1,2,6,8                 799481
GENESCO INC              Common
                         equity
                         shares      371532102   39175   651313 SH       DEFINED 1,2,5,6,8               651313
GENESEE & WYOMING INC    Common
 -CL A                   equity
                         shares      371559105   44238   837205 SH       DEFINED 1,2,5,6,8               837205
INOVIO                   Common
 PHARMACEUTICALS INC     equity
                         shares      45773H102      24    51951 SH       DEFINED 1                        51951
GENESIS ENERGY -LP       Misc
                         Equity      371927104    1404    48307 SH       DEFINED 1                        48307
GEORESOURCES INC         Common
                         Stock       372476101   25310   691351 SH       DEFINED 1,2,5,6,8               691351
GENTIVA HEALTH           Common
 SERVICES INC            equity
                         shares      37247A102    4133   596163 SH       DEFINED 1,2,5,6                 596163
GEORGIA GULF CORP        Common
                         equity
                         shares      373200302   16492   642476 SH       DEFINED 1,2,6,8,17              640746           1730
GERDAU SA                American
                         Depository
                         Receipt     373737105   15521  1771768 SH       DEFINED 1,2,5,6,8,10           1771768
GERMAN AMERICAN          Common
 BANCORP INC             equity
                         shares      373865104    4062   198153 SH       DEFINED 1,2                     198153
GERON CORP               Common
                         Stock       374163103    3817  2216880 SH       DEFINED 1,2,6,8                2216880
GETTY REALTY CORP        Real Estate
                         Investment
                         Trust       374297109   10361   541028 SH       DEFINED 1,2,3,6,8               541028
GIBRALTAR INDUSTRIES     Common
 INC                     equity
                         shares      374689107    6521   628626 SH       DEFINED 1,2,6,8                 628626
GLACIER BANCORP INC      Common
                         equity
                         shares      37637Q105   35649  2301500 SH       DEFINED 1,2,6,8                2301500
GLATFELTER               Common
                         equity
                         shares      377316104   14279   872122 SH       DEFINED 1,2,6,8                 872122
GLAXOSMITHKLINE PLC      American
                         Depository
                         Receipt     37733W105  525362 11528669 SH       DEFINED 1                     11277401         251268
OUTDOOR CHANNEL          Common
 HLDGS INC               Stock       690027206    1537   210003 SH       DEFINED 1,2,8                   210003
GLIMCHER REALTY TRUST    Real Estate
                         Investment
                         Trust       379302102   42393  4148110 SH       DEFINED 1,2,3,6,8              4148110
GLOBAL PAYMENTS INC      Common
                         equity
                         shares      37940X102   78818  1823237 SH       DEFINED 1,2,5,6,8,12           1823237
GLOBECOMM SYSTEMS INC    Common
                         equity
                         shares      37956X103    3984   393142 SH       DEFINED 1,2,6                   393142
GOLD FIELDS LTD          American
                         Depository
                         Receipt     38059T106    7940   619777 SH       DEFINED 1,2,6                   619777
GOLD RESERVE INC         Common
                         equity
                         shares      38068N108    2252   645300 SH       DEFINED 1,2,6                   645300
GOLDEN STAR RESOURCES    Common
 LTD                     equity
                         shares      38119T104    5227  4505660 SH       DEFINED 1,2,6                  4505660
PERNIX THERAPEUTICS      Real Estate
 HOLDINGS                Investment
                         Trust       71426V108     920   126501 SH       DEFINED 1,2                     126501
GOODRICH PETROLEUM       Common
 CORP                    equity
                         shares      382410405   18018  1300058 SH       DEFINED 1,2,6,8                1300058
GORMAN-RUPP CO           Common
                         equity
                         shares      383082104    8127   272642 SH       DEFINED 1,2,6,8                 272642
GRACE (W R) & CO         Common
                         equity
                         shares      38388F108   46641   924552 SH       DEFINED 1,2,5,6,8               924552
GRACO INC                Common
                         equity
                         shares      384109104   61376  1331864 SH       DEFINED 1,2,5,6,8,12           1331864
GRAHAM CORP              Common
                         equity
                         shares      384556106    3533   189716 SH       DEFINED 1,2                     189716
GRANITE CONSTRUCTION     Common
 INC                     equity
                         shares      387328107   26704  1022700 SH       DEFINED 1,2,5,6,8,12           1022700
GRAPHIC PACKAGING        Common
 HOLDING CO              equity
                         shares      388689101   15869  2885177 SH       DEFINED 1,2,6,8                2885177
GRAY TELEVISION INC      Common
                         equity
                         shares      389375106      56    38281 SH       DEFINED 1                        38281
GREAT SOUTHERN           Common
 BANCORP                 equity
                         shares      390905107    5117   185550 SH       DEFINED 1,2,6                   185550
GREEN MTN COFFEE         Common
 ROASTERS                equity
                         shares      393122106   77614  3563495 SH       DEFINED 1,2,5,6,8,10,12,18     3563495
GREENBRIER COMPANIES     Common
 INC                     equity
                         shares      393657101    6929   394090 SH       DEFINED 1,2,6,8                 394090
GREIF INC -CL A          Common
                         equity
                         shares      397624107   31012   756309 SH       DEFINED 1,2,5,6,8,12            756309
GRIFFIN LAND &           Common
 NURSERIES INC           equity
                         shares      398231100    1187    42408 SH       DEFINED 1,2                      42408
GRIFFON CORP             Common
                         equity
                         shares      398433102    8043   937709 SH       DEFINED 1,2,6,8                 937709
GROUP 1 AUTOMOTIVE INC   Common
                         equity
                         shares      398905109   27720   607712 SH       DEFINED 1,2,5,6,8               607712
CGI GROUP INC -CL A      Common
                         equity
                         shares      39945C109     403    16800 SH       DEFINED 2                        16800
WINMARK CORP             Common
                         equity
                         shares      974250102    1838    31419 SH       DEFINED 1,2                      31419
GRUPO AEROPORTUARIO      American
 SURESTE                 Depository
                         Receipt     40051E202    2019    25848 SH       DEFINED 1,5                      25848
GUESS INC                Common
                         equity
                         shares      401617105   53601  1764898 SH       DEFINED 1,2,5,6,8,12           1764898
GULF ISLAND              Common
 FABRICATION INC         equity
                         shares      402307102    7952   281916 SH       DEFINED 1,2,6,8                 281916
GULFMARK OFFSHORE INC    Common
                         equity
                         shares      402629208   20040   588765 SH       DEFINED 1,2,5,6,8               588765
GULFPORT ENERGY CORP     Common
                         equity
                         shares      402635304   32838  1591950 SH       DEFINED 1,2,6,8                1591950
CRIMSON EXPLORATION      Common
 INC                     Stock       22662K207    1670   363441 SH       DEFINED 1,2                     363441
GYRODYNE CO OF           Common
 AMERICA INC             equity
                         shares      403820103    1728    15120 SH       DEFINED 1,2                      15120
HCC INSURANCE            Common
 HOLDINGS INC            equity
                         shares      404132102   74477  2371847 SH       DEFINED 1,2,5,6,8,12,18        2371847
COMMONWEALTH REIT        Real Estate
                         Investment
                         Trust       203233101   43495  2274676 SH       DEFINED 1,2,3,5,6,8,12         2274676
HSBC HLDGS PLC           American
                         Depository
                         Receipt     404280406    1189    26959 SH       DEFINED 1,2                      26959
HAEMONETICS CORP         Common
                         equity
                         shares      405024100   41727   563065 SH       DEFINED 1,2,5,6,8               563065
HAIN CELESTIAL GROUP     Common
 INC                     equity
                         shares      405217100   45526   827068 SH       DEFINED 1,2,5,6,8,17            824568           2500
HALLADOR ENERGY CO       Common
                         equity
                         shares      40609P105     708    83518 SH       DEFINED 1,2                      83518
HALLMARK FINANCIAL       Common
 SERVICES                equity
                         shares      40624Q203    1539   197509 SH       DEFINED 1,2                     197509
HANCOCK HOLDING CO       Common
                         equity
                         shares      410120109  133365  4381186 SH       DEFINED 1,2,5,6,8,12           4381186
HANGER INC               Common
                         equity
                         shares      41043F208   18196   709554 SH       DEFINED 1,2,5,6,8               709554
HANMI FINANCIAL CORP     Common
                         equity
                         shares      410495204    5987   571380 SH       DEFINED 1,2                     571380
WALTER INVESTMENT        Real Estate
 MGMT CORP               Investment
                         Trust       93317W102   12365   527441 SH       DEFINED 1,2,6,8                 527441
EXTERRAN HOLDINGS INC    Common
                         equity
                         shares      30225X103   23356  1831583 SH       DEFINED 1,2,5,6,8              1831583
MONSTER BEVERAGE CORP    Common
                         equity
                         shares      611740101  511783  7188055 SH       DEFINED 1,2,5,6,8,10,12,18     7188055
HARDINGE INC             Common
                         equity
                         shares      412324303    1250   137252 SH       DEFINED 1,2                     137252
HARMONIC INC             Common
                         equity
                         shares      413160102    9378  2201369 SH       DEFINED 1,2,5,6,8              2201369
HARMONY GOLD MINING      American
 CO LTD                  Depository
                         Receipt     413216300    1347   143230 SH       DEFINED 1,6                     143230
HARRIS & HARRIS GROUP    Common
                         equity
                         shares      413833104    1860   489315 SH       DEFINED 1,2                     489315
HARRIS INTERACTIVE INC   Common
                         equity
                         shares      414549105      16    14406 SH       DEFINED 1                        14406
HARSCO CORP              Common
                         equity
                         shares      415864107   39477  1937427 SH       DEFINED 1,2,5,6,8,10,12        1937427
HARVARD BIOSCIENCE INC   Common
                         equity
                         shares      416906105    1413   374548 SH       DEFINED 1,2                     374548
HAVERTY FURNITURE        Common
                         equity
                         shares      419596101    4925   441093 SH       DEFINED 1,2,6,8                 441093
HAWAIIAN HOLDINGS INC    Common
                         Stock       419879101    6012   923266 SH       DEFINED 1,2                     923266
HAWAIIAN ELECTRIC INDS   Common
                         equity
                         shares      419870100   67273  2358722 SH       DEFINED 1,2,5,6,8,12           2358722
HAWKINS INC              Common
                         Stock       420261109    6421   168195 SH       DEFINED 1,2,6,8                 168195
HEALTHCARE SERVICES      Common
 GROUP                   equity
                         shares      421906108   25158  1298144 SH       DEFINED 1,2,6,8                1298144
HCP INC                  Real Estate
                         Investment
                         Trust       40414L109 1194287 27050494 SH       DEFINED 1,2,3,5,6,8,10,12,18  27050494
HEALTHSOUTH CORP         Common
                         equity
                         shares      421924309   43510  1870412 SH       DEFINED 1,2,6,8                1870412
HEALTHCARE REALTY        Real Estate
 TRUST INC               Investment
                         Trust       421946104   63108  2647065 SH       DEFINED 1,2,3,5,6,8            2647065
HEADWATERS INC           Common
                         equity
                         shares      42210P102    6422  1247274 SH       DEFINED 1,2,6                  1247274
HEALTH CARE REIT INC     Real Estate
                         Investment
                         Trust       42217K106  621239 10655889 SH       DEFINED 1,2,3,5,6,8,10,12,18  10655889
HMS HOLDINGS CORP        Common
                         equity
                         shares      40425J101   88642  2661077 SH       DEFINED 1,2,5,6,8,12           2661077
CATALYST HEALTH          Common
 SOLUTIONS               equity
                         shares      14888B103  109854  1175713 SH       DEFINED 1,2,5,6,8,12           1175713
HEALTHSTREAM INC         Common
                         Stock       42222N103    7897   303708 SH       DEFINED 1,2,6,8                 303708
HEARTLAND EXPRESS INC    Common
                         equity
                         shares      422347104   17104  1195110 SH       DEFINED 1,2,5,6,8              1195110
HEARTLAND FINANCIAL      Common
 USA INC                 equity
                         shares      42234Q102    6689   278728 SH       DEFINED 1,2,5,8                 278728
HECLA MINING CO          Common
                         equity
                         shares      422704106   52121 10973115 SH       DEFINED 1,2,5,6,8             10973115
HEICO CORP               Common
                         equity
                         shares      422806109   35681   902834 SH       DEFINED 1,2,5,6,8               902834
HEICO CORP NEW           Common
                         equity
                         shares      422806208    1053    32661 SH       DEFINED 1,6                      32661
HEIDRICK & STRUGGLES     Common
 INTL                    equity
                         shares      422819102    6072   346831 SH       DEFINED 1,2,5,8                 346831
HELMERICH & PAYNE        Common
                         equity
                         shares      423452101  192975  4438337 SH       DEFINED 1,2,5,6,8,10,12,18     4438337
HEMISPHERX BIOPHARMA     Common
 INC                     equity
                         shares      42366C103      24    87310 SH       DEFINED 1                        87310
HENRY (JACK) &           Common
 ASSOCIATES              equity
                         shares      426281101   63626  1843294 SH       DEFINED 1,2,5,6,8,12           1843294
ENERGY TRANSFER          Limited
 PARTNERS -LP            Partnership 29273R109    8870   200712 SH       DEFINED 1                       200712
HERITAGE COMMERCE        Common
 CORP                    equity
                         shares      426927109    1924   295603 SH       DEFINED 1,2                     295603
HERITAGE FINANCIAL       Common
 CORP                    equity
                         shares      42722X106    3418   233436 SH       DEFINED 1,2                     233436
HERITAGE OAKS BANCORP    Common
                         equity
                         shares      42724R107    1368   245478 SH       DEFINED 1,2                     245478
HERSHA HOSPITALITY       Real Estate
 TRUST                   Investment
                         Trust       427825104   27994  5302346 SH       DEFINED 1,2,3,5,6,8            5302346
HEXCEL CORP              Common
                         equity
                         shares      428291108   47533  1843106 SH       DEFINED 1,2,6,8,17             1838246           4860
HI TECH PHARMACAL CO     Common
 INC                     equity
                         shares      42840B101   10564   326180 SH       DEFINED 1,2,6,8                 326180
HIBBETT SPORTS INC       Common
                         equity
                         shares      428567101   37945   657501 SH       DEFINED 1,2,6,8                 657501
HICKORY TECH CORP        Common
                         equity
                         shares      429060106    2081   187279 SH       DEFINED 1,2                     187279
HIGHWOODS PROPERTIES     Real Estate
 INC                     Investment
                         Trust       431284108  102108  3034421 SH       DEFINED 1,2,3,5,6,8,12         3034421
HINGHAM INSTN FOR        Common
 SAVINGS                 equity
                         shares      433323102     870    14400 SH       DEFINED 1,2                      14400
HOLLYFRONTIER CORP       Common
                         equity
                         shares      436106108  222253  6273166 SH       DEFINED 1,2,5,6,8,10,12,17,18  6270776           2390
HOLLYWOOD MEDIA CORP     Common
                         equity
                         shares      436233100      12    10485 SH       DEFINED 1                        10485
HOLOGIC INC              Common
                         equity
                         shares      436440101  134815  7472972 SH       DEFINED 1,2,5,6,8,10,12,18     7472972
HOME PROPERTIES INC      Real Estate
                         Investment
                         Trust       437306103  109349  1782094 SH       DEFINED 1,2,3,5,6,8,12         1782094
MOVE INC                 Common
                         equity
                         shares      62458M207    6750   740832 SH       DEFINED 1,2,5,6,8               740832
HNI CORP                 Common
                         equity
                         shares      404251100   35659  1384693 SH       DEFINED 1,2,5,6,8,12           1384693
HOOKER FURNITURE CORP    Common
                         equity
                         shares      439038100    1635   138600 SH       DEFINED 1,2                     138600
HOOPER HOLMES INC        Common
                         equity
                         shares      439104100      34    59032 SH       DEFINED 1                        59032
HORACE MANN              Common
 EDUCATORS CORP          equity
                         shares      440327104   16717   956452 SH       DEFINED 1,2,6,8                 956452
HORIZON BANCORP/IN       Common
                         equity
                         shares      440407104    1161    44200 SH       DEFINED 1,2                      44200
HORMEL FOODS CORP        Common
                         equity
                         shares      440452100  176078  5787990 SH       DEFINED 1,2,5,6,8,10,12,17,18  5787990
HOT TOPIC INC            Common
                         equity
                         shares      441339108   16435  1695834 SH       DEFINED 1,2,5,6,8              1695834
HOVNANIAN ENTRPRS INC    Common
 -CL A                   equity
                         shares      442487203    4666  1608236 SH       DEFINED 1,2,6,8                1608236
ICAD INC                 Common
                         equity
                         shares      44934S107      11    23500 SH       DEFINED 1                        23500
HUANENG POWER            American
 INTERNATIONAL           Depository
                         Receipt     443304100     325    10925 SH       DEFINED 1,6                      10925
HUB GROUP INC -CL A      Common
                         equity
                         shares      443320106   29475   814260 SH       DEFINED 1,2,5,6,8               814260
HUDSON CITY BANCORP      Common
 INC                     equity
                         shares      443683107  166453 26130398 SH       DEFINED 1,2,5,6,8,10,12,18    26130398
HUDSON VALLEY HOLDING    Common
 CORP                    Stock       444172100    4531   250285 SH       DEFINED 1,2                     250285
HUMAN GENOME SCIENCES    Common
 INC                     Stock       444903108   53681  4088431 SH       DEFINED 1,2,5,6,8,12           4088431
HUNT (JB) TRANSPRT SVCS  Common
 INC                     equity
                         shares      445658107  148356  2489116 SH       DEFINED 1,2,5,6,8,10,12,17,18  2486256           2860
HURCO COMPANIES INC      Common
                         equity
                         shares      447324104    1917    93752 SH       DEFINED 1,2                      93752
HUTCHINSON               Common
 TECHNOLOGY INC          equity
                         shares      448407106      27    18318 SH       DEFINED 1                        18318
IDERA PHARMACEUTICALS    Common
 INC                     equity
                         shares      45168K306      18    17900 SH       DEFINED 1                        17900
HYPERDYNAMICS CORP       Common
                         Stock       448954107     141   167804 SH       DEFINED 1,6,8                   167804
ICU MEDICAL INC          Common
                         equity
                         shares      44930G107   13527   253451 SH       DEFINED 1,2,6,8                 253451
IGI LABORATORIES INC     Common
                         equity
                         shares      449575109      10    10100 SH       DEFINED 1                        10100
DINEEQUITY INC           Common
                         equity
                         shares      254423106   13594   304507 SH       DEFINED 1,2,6,8                 304507
MOSAIC CO                Common
                         equity
                         shares      61945C103  652318 11912312 SH       DEFINED 1,2,5,6,8,10,12,17,18 11910530           1782
MIDWESTONE FINANCIAL     Common
 GROUP                   equity
                         shares      598511103    1872    87095 SH       DEFINED 1,2                      87095
IXIA                     Common
                         equity
                         shares      45071R109    9113   758395 SH       DEFINED 1,2,6,8                 758395
IBERIABANK CORP          Common
                         equity
                         shares      450828108   45430   900490 SH       DEFINED 1,2,5,6,8               900490
ICON PLC                 American
                         Depository
                         Receipt     45103T107   10859   481883 SH       DEFINED 1,5,19                  481883
ICICI BANK LTD           American
                         Depository
                         Receipt     45104G104   29841   920787 SH       DEFINED 1,2,5,6,8,10            920787
IDACORP INC              Common
                         equity
                         shares      451107106   69503  1651661 SH       DEFINED 1,2,5,6,8,12           1651661
GENERAL MOLY INC         Common
                         equity
                         shares      370373102    3741  1191594 SH       DEFINED 1,2,6,8                1191594
IDEXX LABS INC           Common
                         equity
                         shares      45168D104  121759  1266607 SH       DEFINED 1,2,5,6,8,12           1266607
IGATE CORP               Common
                         Stock       45169U105    9857   578921 SH       DEFINED 1,2,6,8                 578921
ILLUMINA INC             Common
                         equity
                         shares      452327109   78729  1949293 SH       DEFINED 1,2,5,6,8,10,12,18     1949293
IMATION CORP             Common
                         equity
                         shares      45245A107    3243   549116 SH       DEFINED 1,2,5,6,8               549116
IMMERSION CORP           Common
                         Stock       452521107    2743   487118 SH       DEFINED 1,2,5                   487118
IMMUNOGEN INC            Common
                         Stock       45253H101   32397  1930676 SH       DEFINED 1,2,5,6,8              1930676
FUEL SYSTEMS SOLUTIONS   Common
 INC                     Stock       35952W103    4710   282165 SH       DEFINED 1,2,6,8                 282165
IMPAX LABORATORIES INC   Common
                         Stock       45256B101   34094  1682019 SH       DEFINED 1,2,5,6,8              1682019
IMMUNOMEDICS INC         Common
                         equity
                         shares      452907108    4277  1197959 SH       DEFINED 1,2,5,6,8              1197959
IMPERIAL OIL LTD         Common
                         equity
                         shares      453038408     644    15422 SH       DEFINED 1                        15422
INCYTE CORP              Common
                         Stock       45337C102   44281  1950659 SH       DEFINED 1,2,5,6,8              1950659
INDEPENDENCE HOLDING     Common
 CO                      equity
                         shares      453440307    1049   106588 SH       DEFINED 1,2                     106588
INDEPENDENT BANK CORP/   Common
 MA                      equity
                         shares      453836108   15664   536249 SH       DEFINED 1,2,5,6,8               536249
MIDDLEBURG FINANCIAL     Common
 CORP                    equity
                         shares      596094102    1063    62500 SH       DEFINED 1,2                      62500
MAINSOURCE FINL GROUP    Common
 INC                     equity
                         shares      56062Y102    4754   402058 SH       DEFINED 1,2                     402058
WISDOMTREE               Common
 INVESTMENTS INC         Stock       97717P104    6076   925200 SH       DEFINED 1,2,6,8                 925200
ENGLOBAL CORP            Common
                         equity
                         shares      293306106      20    13350 SH       DEFINED 1                        13350
INFORMATICA CORP         Common
                         equity
                         shares      45666Q102  101518  2396639 SH       DEFINED 1,2,5,6,8,12           2396639
INGLES MARKETS INC -CL   Common
 A                       equity
                         shares      457030104    5039   314339 SH       DEFINED 1,2,5,8,17              314339
INGRAM MICRO INC         Common
                         equity
                         shares      457153104   61386  3513728 SH       DEFINED 1,2,5,6,8,12           3513728
NEKTAR THERAPEUTICS      Common
                         equity
                         shares      640268108   28030  3473679 SH       DEFINED 1,2,5,6,8              3473679
INNODATA INC             Common
                         equity
                         shares      457642205    1969   288000 SH       DEFINED 1,2                     288000
ION GEOPHYSICAL CORP     Common
                         equity
                         shares      462044108   22251  3377007 SH       DEFINED 1,2,5,6,8              3377007
INSIGHT ENTERPRISES INC  Common
                         equity
                         shares      45765U103   19267  1144738 SH       DEFINED 1,2,5,6,8              1144738
AEGION CORP              Common
                         equity
                         shares      00770F104   15573   870643 SH       DEFINED 1,2,5,6,8               870643
PURE BIOSCIENCE INC      Common
                         equity
                         shares      74621T100       8    17800 SH       DEFINED 1                        17800
INSTEEL INDUSTRIES       Common
                         equity
                         shares      45774W108    3568   319973 SH       DEFINED 1,2                     319973
JOE`S JEANS INC          Common
                         equity
                         shares      47777N101      30    28157 SH       DEFINED 1                        28157
INTEGRA LIFESCIENCES     Common
 HLDGS                   equity
                         shares      457985208   14801   398026 SH       DEFINED 1,2,6,8                 398026
INTEGRAMED AMERICA       Common
 INC                     equity
                         shares      45810N302    1533   110600 SH       DEFINED 1,2                     110600
INTEGRATED DEVICE TECH   Common
 INC                     equity
                         shares      458118106   27353  4866646 SH       DEFINED 1,2,5,6,8,12           4866646
INTEGRATED SILICON       Common
 SOLUTION                Stock       45812P107    7561   749665 SH       DEFINED 1,2                     749665
INTER PARFUMS INC        Common
                         equity
                         shares      458334109    5182   300006 SH       DEFINED 1,2,6,8                 300006
INTERACTIVE              Common
 INTELLIGENCE GRP        Stock       45841V109    7581   268668 SH       DEFINED 1,2,5,6,8               268668
INTERFACE INC            Common
                         Stock       458665304   15131  1109974 SH       DEFINED 1,2,6,8                1109974
INTERDIGITAL INC         Common
                         equity
                         shares      45867G101   27455   930377 SH       DEFINED 1,2,5,6,8               930377
INTERNAP NETWORK SVCS    Common
 CORP                    equity
                         shares      45885A300    6332   972721 SH       DEFINED 1,2,5,6,8               972721
INTERMUNE INC            Common
                         equity
                         shares      45884X103   33779  2826784 SH       DEFINED 1,2,5,6,8              2826784
INTL FCSTONE INC         Common
                         Stock       46116V105    4879   252057 SH       DEFINED 1,2,6,8                 252057
INTL BANCSHARES CORP     Common
                         equity
                         shares      459044103   44622  2286007 SH       DEFINED 1,2,5,6,8,12           2286007
INTL RECTIFIER CORP      Common
                         equity
                         shares      460254105   44508  2226380 SH       DEFINED 1,2,5,6,8,12           2226380
IRIS INTERNATIONAL INC   Common
                         Stock       46270W105    3094   273763 SH       DEFINED 1,2                     273763
INTL SHIPHOLDING CORP    Common
                         equity
                         shares      460321201    2029   107499 SH       DEFINED 1,2,17                  107499
INTL SPEEDWAY CORP -CL   Common
 A                       equity
                         shares      460335201   22907   874890 SH       DEFINED 1,2,5,6,8,12            874890
ICG GROUP INC            Common
                         Stock       44928D108    6410   692514 SH       DEFINED 1,2,6,8                 692514
EASYLINK SERVICES INTL   Common
 CORP                    equity
                         shares      277858106    2898   400450 SH       DEFINED 1,2                     400450
INTERSIL CORP -CL A      Common
                         equity
                         shares      46069S109   44416  4169923 SH       DEFINED 1,2,5,6,8,10,12        4169923
INTEVAC INC              Common
                         Stock       461148108    3348   444978 SH       DEFINED 1,2,5,6,8               444978
INVACARE CORP            Common
                         equity
                         shares      461203101   10466   678475 SH       DEFINED 1,2,5,6,8               678475
INTUITIVE SURGICAL INC   Common
                         equity
                         shares      46120E602  807619  1458351 SH       DEFINED 1,2,5,6,8,10,12,18     1458351
INVESTMENT               Common
 TECHNOLOGY GP INC       equity
                         shares      46145F105    9073   985929 SH       DEFINED 1,2,5,6,8               985929
INVESTORS REAL ESTATE    Real Estate
 TRUST                   Investment
                         Trust       461730103   13636  1725565 SH       DEFINED 1,2,3,5,6,8            1725565
INVESTORS TITLE CO       Common
                         equity
                         shares      461804106     815    14300 SH       DEFINED 1,2                      14300
IRON MOUNTAIN INC        Common
                         equity
                         shares      462846106  198099  6010322 SH       DEFINED 1,2,5,6,8,10,12,18     6010322
ISIS PHARMACEUTICALS     Common
 INC                     Stock       464330109   32775  2730953 SH       DEFINED 1,2,5,6,8              2730953
ISLE OF CAPRI CASINOS    Common
 INC                     equity
                         shares      464592104    2194   356133 SH       DEFINED 1,2,5,6                 356133
ISRAMCO INC              Common
                         equity
                         shares      465141406    1808    16436 SH       DEFINED 1,2                      16436
ITRON INC                Common
                         equity
                         shares      465741106   38329   929452 SH       DEFINED 1,2,5,6,8,12            929452
IXYS CORP                Common
                         Stock       46600W106    5867   525448 SH       DEFINED 1,2,5,6,8               525448
J & J SNACK FOODS CORP   Common
                         equity
                         shares      466032109   17323   293132 SH       DEFINED 1,2,6,8                 293132
JDA SOFTWARE GROUP INC   Common
                         Stock       46612K108   24663   830681 SH       DEFINED 1,2,5,6,8               830681
EPOCH HOLDING CORP       Common
                         Stock       29428R103    5860   257307 SH       DEFINED 1,2,6,8                 257307
J2 GLOBAL INC            Common
                         equity
                         shares      48123V102   25149   951899 SH       DEFINED 1,2,5,6,8               951899
JACK IN THE BOX INC      Common
                         equity
                         shares      466367109   27190   975315 SH       DEFINED 1,2,5,6,8               975315
JACOBS ENGINEERING       Common
 GROUP INC               equity
                         shares      469814107  176813  4670377 SH       DEFINED 1,2,5,6,8,10,12,18     4670377
JAKKS PACIFIC INC        Common
                         equity
                         shares      47012E106    8789   548967 SH       DEFINED 1,2,6,8                 548967
JOHNSON OUTDOORS INC     Common
 -CL A                   equity
                         shares      479167108    1770    85978 SH       DEFINED 1,2                      85978
JONES LANG LASALLE INC   Common
                         equity
                         shares      48020Q107   68127   968118 SH       DEFINED 1,2,5,6,8,12            968118
JOS A BANK CLOTHIERS     Common
 INC                     equity
                         shares      480838101   30738   723965 SH       DEFINED 1,2,5,6,8               723965
KMG CHEMICALS INC        Common
                         Stock       482564101    2128   110354 SH       DEFINED 1,2                     110354
K-SWISS INC -CL A        Common
                         equity
                         shares      482686102    1476   479077 SH       DEFINED 1,2,6                   479077
KVH INDUSTRIES INC       Common
                         Stock       482738101    3070   245164 SH       DEFINED 1,2                     245164
K V PHARMACEUTICAL -CL   Common
 A                       equity
                         shares      482740206      21    39488 SH       DEFINED 1                        39488
KAMAN CORP               Common
                         Stock       483548103   16525   534052 SH       DEFINED 1,2,5,6,8               534052
FURMANITE CORP           Common
                         equity
                         shares      361086101    3027   623152 SH       DEFINED 1,2,6                   623152
KANSAS CITY LIFE INS CO  Common
                         equity
                         shares      484836101    3812   108367 SH       DEFINED 1,2,8,17                108367
GREAT PLAINS ENERGY      Common
 INC                     equity
                         shares      391164100   66633  3112297 SH       DEFINED 1,2,5,6,8,12,17        3112297






                                                        SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                       CLASS      CUSIP    VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
-------------------------------------------------------------------------------------------------------------------------------
                                                                                        
KANSAS CITY SOUTHERN      Common
                          equity
                          shares      485170302  197608  2840823 SH       DEFINED 1,2,5,6,8,10,12,17,18  2838353          2470
KAYDON CORP               Common
                          equity
                          shares      486587108   13885   649159 SH       DEFINED 1,2,5,6,8               649159
KELLY SERVICES INC -CL A  Common
                          equity
                          shares      488152208    7706   597121 SH       DEFINED 1,2,5,6,8               597121
KEMET CORP                Common
                          Stock       488360207    5065   842772 SH       DEFINED 1,2,6,8                 842772
KENNAMETAL INC            Common
                          equity
                          shares      489170100   60781  1833486 SH       DEFINED 1,2,5,6,8,12           1833486
KENNEDY-WILSON            Common
 HOLDINGS INC             Stock       489398107    7931   566092 SH       DEFINED 1,2,6,8                 566092
KERYX                     Common
 BIOPHARMACEUTICALS       equity
 INC                      shares      492515101    2107  1171161 SH       DEFINED 1,2,6                  1171161
KEY TRONIC CORP           Common
                          equity
                          shares      493144109    1105   134154 SH       DEFINED 1,2                     134154
KEYNOTE SYSTEMS INC       Common
                          Stock       493308100    4614   310833 SH       DEFINED 1,2,6,8                 310833
KFORCE INC                Common
                          equity
                          shares      493732101    7616   565845 SH       DEFINED 1,2,5,6,8               565845
MAGNUM HUNTER             Common
 RESOURCES CORP           Stock       55973B102   22307  5336712 SH       DEFINED 1,2,6,8                5336712
KIMBALL INTERNATIONAL     Common
 -CL B                    equity
                          shares      494274103    4737   615115 SH       DEFINED 1,2,8                   615115
KILROY REALTY CORP        Real Estate
                          Investment
                          Trust       49427F108   87345  1804267 SH       DEFINED 1,2,3,5,6,8            1804267
KINDER MORGAN ENERGY      Limited
 -LP                      Partnership 494550106   19322   245886 SH       DEFINED 1                       245886
KIRBY CORP                Common
                          equity
                          shares      497266106   59731  1268749 SH       DEFINED 1,2,5,6,8,12           1268749
KNIGHT CAPITAL GROUP      Common
 INC                      Stock       499005106   25779  2159136 SH       DEFINED 1,2,5,6,8              2159136
KNIGHT TRANSPORTATION     Common
 INC                      equity
                          shares      499064103   21023  1314641 SH       DEFINED 1,2,5,6,8              1314641
XO GROUP INC              Common
                          Stock       983772104    5294   596665 SH       DEFINED 1,2,5,6,8               596665
KOPIN CORP                Common
                          Stock       500600101    4269  1240418 SH       DEFINED 1,2,6,8                1240418
KT CORP                   American
                          Depository
                          Receipt     48268K101    3865   293228 SH       DEFINED 1,2,5,6                 293228
KORN/FERRY                Common
 INTERNATIONAL            equity
                          shares      500643200   19322  1346555 SH       DEFINED 1,2,5,6,8,12           1346555
KRISPY KREME              Common
 DOUGHNUTS INC            equity
                          shares      501014104    6656  1041320 SH       DEFINED 1,2,6,8                1041320
SUNLINK HEALTH            Common
 SYSTEMS INC              equity
                          shares      86737U102      14    11500 SH       DEFINED 1                        11500
KULICKE & SOFFA           Common
 INDUSTRIES               Stock       501242101    1549   173916 SH       DEFINED 1,2,8                   173916
LATAM AIRLINES GROUP      American
 SA                       Depository
                          Receipt     501723100   20128   771106 SH       DEFINED 1,2,5,6,10              771106
LCA VISION INC            Common
                          equity
                          shares      501803308      46    10935 SH       DEFINED 1                        10935
LMI AEROSPACE INC         Common
                          equity
                          shares      502079106    2714   156170 SH       DEFINED 1,2                     156170
NEWBRIDGE BANCORP         Common
                          equity
                          shares      65080T102      58    13538 SH       DEFINED 1                        13538
LSB INDUSTRIES INC        Common
                          equity
                          shares      502160104   10862   351379 SH       DEFINED 1,2,6,8                 351379
LSI INDUSTRIES INC        Common
                          equity
                          shares      50216C108    2294   322272 SH       DEFINED 1,2                     322272
LTC PROPERTIES INC        Real Estate
                          Investment
                          Trust       502175102   34293   945226 SH       DEFINED 1,2,3,5,6,8             945226
LA-Z-BOY INC              Common
                          equity
                          shares      505336107   29716  2417870 SH       DEFINED 1,2,6,8,17             2415000          2870
TRUEBLUE INC              Common
                          equity
                          shares      89785X101   16577  1070872 SH       DEFINED 1,2,5,6,8              1070872
LACLEDE GROUP INC         Common
                          equity
                          shares      505597104   20907   525154 SH       DEFINED 1,2,5,6,8               525154
ENBRIDGE ENERGY           Limited
 PRTNRS -LP               Partnership 29250R106    5543   180132 SH       DEFINED 1                       180132
LAKELAND BANCORP INC      Common
                          equity
                          shares      511637100    4422   420246 SH       DEFINED 1,2,8                   420246
LAKELAND FINANCIAL        Common
 CORP                     equity
                          shares      511656100    7379   275081 SH       DEFINED 1,2,8                   275081
LAKES ENTERTAINMENT       Common
 INC                      equity
                          shares      51206P109      30    10600 SH       DEFINED 1                        10600
LAMAR ADVERTISING CO      Common
 -CL A                    equity
                          shares      512815101   43745  1529719 SH       DEFINED 1,2,5,6,8,12           1529719
SNYDERS-LANCE INC         Common
                          equity
                          shares      833551104   22512   892127 SH       DEFINED 1,2,6,8                 892127
LANDEC CORP               Common
                          equity
                          shares      514766104    3772   441119 SH       DEFINED 1,2                     441119
LANDAUER INC              Common
                          equity
                          shares      51476K103   12578   219392 SH       DEFINED 1,2,6,8                 219392
LANDSTAR SYSTEM INC       Common
                          equity
                          shares      515098101   57944  1120350 SH       DEFINED 1,2,5,6,8,12           1120350
LANNETT CO INC            Common
                          equity
                          shares      516012101     858   202598 SH       DEFINED 1,2,6                   202598
LATTICE SEMICONDUCTOR     Common
 CORP                     Stock       518415104    9998  2652263 SH       DEFINED 1,2,6,8                2652263
LAYNE CHRISTENSEN CO      Common
                          equity
                          shares      521050104    8151   394073 SH       DEFINED 1,2,6,8                 394073
LECROY CORP               Common
                          equity
                          shares      52324W109    3563   249822 SH       DEFINED 1,2                     249822
LENNOX INTERNATIONAL      Common
 INC                      equity
                          shares      526107107  100929  2164485 SH       DEFINED 1,2,5,6,8,12,17        2159455          5030
LEUCADIA NATIONAL         Common
 CORP                     equity
                          shares      527288104  157480  7403139 SH       DEFINED 1,2,5,6,8,10,12,18     7403139
LEXICON                   Common
 PHARMACEUTICALS INC      Stock       528872104    7184  3193989 SH       DEFINED 1,2,6,8                3193989
LEXINGTON REALTY          Real Estate
 TRUST                    Investment
                          Trust       529043101   27959  3300906 SH       DEFINED 1,2,3,5,6,8,17         3300906
LIBBEY INC                Common
                          Stock       529898108    5186   337558 SH       DEFINED 1,2,6,8                 337558
FIRST ACCEPTANCE CORP     Common
                          equity
                          shares      318457108      15    11846 SH       DEFINED 1                        11846
LIFEWAY FOODS INC         Common
                          equity
                          shares      531914109     726    70328 SH       DEFINED 1,2                      70328
LIFETIME BRANDS INC       Common
                          equity
                          shares      53222Q103    2215   177583 SH       DEFINED 1,2                     177583
LIFEPOINT HOSPITALS INC   Common
                          equity
                          shares      53219L109   48524  1184080 SH       DEFINED 1,2,5,6,8,12           1184080
LIGAND PHARMACEUTICAL     Common
 INC                      equity
                          shares      53220K504    6144   362699 SH       DEFINED 1,2,6,8                 362699
LIMONEIRA CO              Common
                          equity
                          shares      532746104    1932   119069 SH       DEFINED 1,2                     119069
LINCOLN ELECTRIC HLDGS    Common
 INC                      equity
                          shares      533900106   83823  1914191 SH       DEFINED 1,2,5,6,8,12           1914191
LINDSAY CORP              Common
                          equity
                          shares      535555106   16579   255500 SH       DEFINED 1,2,5,6,8,17            254640           860
LIONS GATE                Common
 ENTERTAINMENT CP         equity
                          shares      535919203   22356  1516732 SH       DEFINED 1,2,6,8                1516732
LIONBRIDGE                Common
 TECHNOLOGIES INC         equity
                          shares      536252109    3363  1067186 SH       DEFINED 1,2                    1067186
LITHIA MOTORS INC -CL A   Common
                          equity
                          shares      536797103   16402   711536 SH       DEFINED 1,2,6,8                 711536
LITTELFUSE INC            Common
                          equity
                          shares      537008104   28726   504848 SH       DEFINED 1,2,5,6,8               504848
LIVEPERSON INC            Common
                          Stock       538146101   19529  1024527 SH       DEFINED 1,2,5,6,8              1024527
LOJACK CORP               Common
                          equity
                          shares      539451104      33    11169 SH       DEFINED 1                        11169
LODGENET INTERACTIVE      Common
 CORP                     equity
                          shares      540211109      21    16589 SH       DEFINED 1                        16589
LUBYS INC                 Common
                          equity
                          shares      549282101    1643   245061 SH       DEFINED 1,2                     245061
LUFKIN INDUSTRIES INC     Common
                          equity
                          shares      549764108   45587   839208 SH       DEFINED 1,2,5,6,8               839208
LUMINEX CORP              Common
                          Stock       55027E102   19028   777034 SH       DEFINED 1,2,5,6,8               777034
LYDALL INC                Common
                          equity
                          shares      550819106    4158   307544 SH       DEFINED 1,2                     307544
MB FINANCIAL INC/MD       Common
                          equity
                          shares      55264U108   33518  1556236 SH       DEFINED 1,2,6,8                1556236
MDC HOLDINGS INC          Common
                          equity
                          shares      552676108   89060  2726188 SH       DEFINED 1,2,5,6,8,12           2726188
MDC PARTNERS INC          Common
                          Stock       552697104    4555   401564 SH       DEFINED 1,2,6                   401564
MDU RESOURCES GROUP       Common
 INC                      equity
                          shares      552690109  113126  5234775 SH       DEFINED 1,2,5,6,8,10,12,18     5234775
ENCORE CAPITAL GROUP      Common
 INC                      equity
                          shares      292554102   11405   384800 SH       DEFINED 1,2,6,8                 384800
MGM RESORTS               Common
 INTERNATIONAL            equity
                          shares      552953101   64165  5749826 SH       DEFINED 1,2,5,8,10,12,18       5749826
BIOSCRIP INC              Common
                          Stock       09069N108    5515   741890 SH       DEFINED 1,2,6,8                 741890
M/I HOMES INC             Common
                          equity
                          shares      55305B101    6195   357691 SH       DEFINED 1,2,6,8                 357691
MKS INSTRUMENTS INC       Common
                          equity
                          shares      55306N104   30714  1061774 SH       DEFINED 1,2,5,6,8              1061774
MSC INDUSTRIAL DIRECT     Common
 -CL A                    equity
                          shares      553530106   70719  1078730 SH       DEFINED 1,2,5,6,8,12           1078730
MTR GAMING GROUP INC      Common
                          equity
                          shares      553769100    1417   297739 SH       DEFINED 1,2                     297739
MTS SYSTEMS CORP          Common
                          equity
                          shares      553777103   12092   313676 SH       DEFINED 1,2,6,8                 313676
MAC-GRAY CORP             Common
                          equity
                          shares      554153106    2526   179327 SH       DEFINED 1,2                     179327
MACATAWA BANK CORP        Common
                          equity
                          shares      554225102      48    13822 SH       DEFINED 1                        13822
MACK-CALI REALTY CORP     Real Estate
                          Investment
                          Trust       554489104   88163  3032613 SH       DEFINED 1,2,3,5,6,8,12         3032613
ROVI CORP                 Common
                          equity
                          shares      779376102   50660  2581802 SH       DEFINED 1,2,5,6,8,12           2581802
MADDEN STEVEN LTD         Common
                          equity
                          shares      556269108   26867   846204 SH       DEFINED 1,2,5,6,8               846204
MGE ENERGY INC            Common
                          equity
                          shares      55277P104   20905   441952 SH       DEFINED 1,2,6,8,17              441952
MAGELLAN HEALTH           Common
 SERVICES INC             equity
                          shares      559079207   29983   661349 SH       DEFINED 1,2,5,6,8               661349
MAGELLAN PETROLEUM        Common
 CORP                     equity
                          shares      559091301      21    19023 SH       DEFINED 1                        19023
CENVEO INC                Common
                          equity
                          shares      15670S105    1979  1024553 SH       DEFINED 1,2,5,8                1024553
MANITOWOC CO              Common
                          equity
                          shares      563571108   21777  1860822 SH       DEFINED 1,2,5,6,8,10           1860822
EQUITY LIFESTYLE          Real Estate
 PROPERTIES               Investment
                          Trust       29472R108   71364  1034679 SH       DEFINED 1,2,3,5,6,8            1034679
MARCUS CORP               Common
                          equity
                          shares      566330106    5968   433863 SH       DEFINED 1,2,8                   433863
MARINEMAX INC             Common
                          equity
                          shares      567908108    3703   389176 SH       DEFINED 1,2                     389176
MARINE PRODUCTS CORP      Common
                          equity
                          shares      568427108     983   161643 SH       DEFINED 1,2                     161643
MARKEL CORP               Common
                          equity
                          shares      570535104   65608   148537 SH       DEFINED 1,2,5,6,8,12            148537
MARTEN TRANSPORT LTD      Common
                          equity
                          shares      573075108    6294   296019 SH       DEFINED 1,2,8                   296019
MARTHA STEWART LIVING     Common
 OMNIMD                   equity
                          shares      573083102    1665   489195 SH       DEFINED 1,2,6                   489195
MARTIN MARIETTA           Common
 MATERIALS                equity
                          shares      573284106   95272  1208636 SH       DEFINED 1,2,5,6,8,10,12,18     1208636
MASTEC INC                Common
                          equity
                          shares      576323109   15958  1060872 SH       DEFINED 1,2,5,6,8              1060872
MATRIX SERVICE CO         Common
                          Stock       576853105    6183   545016 SH       DEFINED 1,2,5,6,8               545016
MATTHEWS INTL CORP -CL    Common
 A                        equity
                          shares      577128101   26918   828744 SH       DEFINED 1,2,5,6,8,12            828744
MATTSON TECHNOLOGY        Common
 INC                      equity
                          shares      577223100    1201   686794 SH       DEFINED 1,2                     686794
MAXWELL TECHNOLOGIES      Common
 INC                      Stock       577767106    3294   502378 SH       DEFINED 1,2,6,8                 502378
MAXYGEN INC               Common
                          Stock       577776107    3613   605545 SH       DEFINED 1,2,6                   605545
MAXIMUS INC               Common
                          equity
                          shares      577933104   35901   693733 SH       DEFINED 1,2,5,6,8,17            693733
MBT FINANCIAL CORP        Common
                          equity
                          shares      578877102      40    14467 SH       DEFINED 1                        14467
MCCLATCHY CO -CL A        Common
                          equity
                          shares      579489105    2312  1050497 SH       DEFINED 1,2,8                  1050497
MCDERMOTT INTL INC        Common
                          equity
                          shares      580037109   38982  3499195 SH       DEFINED 1,2,5,6,8,10,12        3499195
MCGRATH RENTCORP          Common
                          equity
                          shares      580589109   11964   451372 SH       DEFINED 1,2,6,8                 451372
MCMORAN EXPLORATION       Common
 CO                       equity
                          shares      582411104   39588  3124550 SH       DEFINED 1,2,5,6,8              3124550
MEADOWBROOK INS           Common
 GROUP INC                equity
                          shares      58319P108   11453  1302874 SH       DEFINED 1,2,6,8                1302874
MEASUREMENT               Common
 SPECIALTIES INC          equity
                          shares      583421102    9331   286952 SH       DEFINED 1,2,6,8                 286952
MEDALLION FINANCIAL       Common
 CORP                     equity
                          shares      583928106    3004   282989 SH       DEFINED 1,2                     282989
MEDICAL ACTION            Common
 INDUSTRIES               equity
                          shares      58449L100      42    12200 SH       DEFINED 1                        12200
PROASSURANCE CORP         Common
                          equity
                          shares      74267C106   40487   454486 SH       DEFINED 1,2,5,6,8               454486
MEDICINES CO              Common
                          equity
                          shares      584688105   31921  1391433 SH       DEFINED 1,2,5,6,8              1391433
MEDICIS PHARMACEUT CP     Common
 -CL A                    equity
                          shares      584690309   76478  2239486 SH       DEFINED 1,2,5,6,8,12           2239486
MEDIFAST INC              Common
                          equity
                          shares      58470H101    5476   278182 SH       DEFINED 1,2,6,8                 278182
MEDIWARE INFORMATION      Common
 SYSTEMS                  equity
                          shares      584946107     573    39318 SH       DEFINED 1,2                      39318
MEDTOX SCIENTIFIC INC     Common
                          equity
                          shares      584977201    3099   115013 SH       DEFINED 1,2                     115013
MENS WEARHOUSE INC        Common
                          equity
                          shares      587118100   40069  1423909 SH       DEFINED 1,2,5,6,8              1423909
MENTOR GRAPHICS CORP      Common
                          equity
                          shares      587200106   45593  3038930 SH       DEFINED 1,2,5,6,8,12           3038930
MERCANTILE BANK CORP      Common
                          equity
                          shares      587376104    2012   109022 SH       DEFINED 1,2                     109022
MERCER INTL INC           Common
                          Stock       588056101      67    11714 SH       DEFINED 1,8                      11714
MERCHANTS BANCSHARES      Common
 INC/VT                   Stock       588448100    2185    79108 SH       DEFINED 1,2,6,17                 79108
MERCURY COMPUTER          Common
 SYSTEMS INC              equity
                          shares      589378108    7394   571624 SH       DEFINED 1,2,6,8                 571624
MERCURY GENERAL CORP      Common
                          equity
                          shares      589400100   96446  2314540 SH       DEFINED 1,2,5,6,8,12           2314540
MERIDIAN BIOSCIENCE INC   Common
                          equity
                          shares      589584101   16336   798413 SH       DEFINED 1,2,6,8                 798413
MERIT MEDICAL SYSTEMS     Common
 INC                      equity
                          shares      589889104   10824   783684 SH       DEFINED 1,2,6,8                 783684
MERGE HEALTHCARE INC      Common
                          Stock       589499102    2508   876686 SH       DEFINED 1,2,6,8                 876686
MERITAGE HOMES CORP       Common
                          equity
                          shares      59001A102   19047   561179 SH       DEFINED 1,2,6,8                 561179
MESA LABORATORIES INC     Common
                          equity
                          shares      59064R109    1562    33590 SH       DEFINED 1,2                      33590
MET-PRO CORP              Common
                          equity
                          shares      590876306    2212   239844 SH       DEFINED 1,2                     239844
SILVER BULL RESOURCES     Common
 INC                      equity
                          shares      827458100      25    56400 SH       DEFINED 1                        56400
METHODE ELECTRONICS       Common
 INC                      equity
                          shares      591520200    6851   804792 SH       DEFINED 1,2,5,8                 804792
POWERSECURE INTL INC      Common
                          equity
                          shares      73936N105      74    15100 SH       DEFINED 1                        15100
METROCORP BANCSHARES      Common
 INC                      equity
                          shares      591650106    2200   206414 SH       DEFINED 1,2                     206414
METROPOLITAN HLTH         Common
 NTWRKS INC               Stock       592142103    7399   772988 SH       DEFINED 1,2,5,6                 772988
MICREL INC                Common
                          equity
                          shares      594793101   10172  1067406 SH       DEFINED 1,2,5,6,8              1067406
MICROVISION INC           Common
                          equity
                          shares      594960304     212   131659 SH       DEFINED 1                       131659
MICROSTRATEGY INC         Common
                          equity
                          shares      594972408   21585   166200 SH       DEFINED 1,2,5,6,8,17            165440           760
MICROFINANCIAL INC        Common
                          equity
                          shares      595072109     738    91100 SH       DEFINED 1,2                      91100
MICROSEMI CORP            Common
                          equity
                          shares      595137100   36995  2000803 SH       DEFINED 1,2,5,6,8              2000803
MID-AMERICA APT           Real Estate
 CMNTYS INC               Investment
                          Trust       59522J103   74178  1087008 SH       DEFINED 1,2,3,6,8              1087008
MIDDLEBY CORP             Common
                          equity
                          shares      596278101   38609   387582 SH       DEFINED 1,2,5,6,8               387582
MIDDLESEX WATER CO        Common
                          equity
                          shares      596680108    5258   276614 SH       DEFINED 1,2,5,8                 276614
MIDSOUTH BANCORP INC      Common
                          equity
                          shares      598039105    1660   117937 SH       DEFINED 1,2                     117937
MILLER (HERMAN) INC       Common
                          equity
                          shares      600544100   30513  1647496 SH       DEFINED 1,2,5,6,8,12           1647496
MILLER INDUSTRIES INC/    Common
 TN                       equity
                          shares      600551204    3433   215421 SH       DEFINED 1,2                     215421
MILLER ENERGY             Common
 RESOURCES INC            equity
                          shares      600527105    2239   446996 SH       DEFINED 1,2                     446996
MINE SAFETY APPLIANCES    Common
 CO                       equity
                          shares      602720104   36686   911834 SH       DEFINED 1,2,5,6,8,12            911834
MINERALS TECHNOLOGIES     Common
 INC                      equity
                          shares      603158106   36689   575276 SH       DEFINED 1,2,5,6,8,12            575276
MINES MANAGEMENT INC      Common
                          equity
                          shares      603432105      20    14300 SH       DEFINED 1                        14300
MIPS TECHNOLOGIES INC     Common
                          equity
                          shares      604567107    6316   947395 SH       DEFINED 1,2,6,8                 947395
MISSION WEST PROPERTIES   Real Estate
 INC                      Investment
                          Trust       605203108    3019   350597 SH       DEFINED 1,2,5                   350597
MITCHAM INDUSTRIES INC    Common
                          equity
                          shares      606501104    3951   232970 SH       DEFINED 1,2                     232970
MITEK SYSTEMS INC         Common
                          Stock       606710200      48    12300 SH       DEFINED 1                        12300
MOBILE MINI INC           Common
                          equity
                          shares      60740F105   10574   734348 SH       DEFINED 1,2,5,6,8               734348
IGO INC                   Common
                          equity
                          shares      449593102       8    20476 SH       DEFINED 1                        20476
MODINE MANUFACTURING      Common
 CO                       equity
                          shares      607828100    7094  1024046 SH       DEFINED 1,2,6,8                1024046
MOLEX INC                 Common
                          equity
                          shares      608554200    4069   201119 SH       DEFINED 1,2,5,8,12              201119
MONARCH CASINO &          Common
 RESORT INC               equity
                          shares      609027107    1935   211300 SH       DEFINED 1,2                     211300
MONMOUTH RE
 INVESTMENT CP            REIT        609720107    8081   689652 SH       DEFINED 1,2,5,6,8               689652
MONRO MUFFLER BRAKE       Common
 INC                      equity
                          shares      610236101   27105   815489 SH       DEFINED 1,2,5,6,8               815489
MOOG INC -CL A            Common
                          equity
                          shares      615394202   41593  1005901 SH       DEFINED 1,2,5,6,8              1005901
DESTINATION MATERNITY     Common
 CORP                     Stock       25065D100    5372   248676 SH       DEFINED 1,2,5                   248676
MOVADO GROUP INC          Common
                          equity
                          shares      624580106    8257   329789 SH       DEFINED 1,2,8                   329789
MUELLER INDUSTRIES        Common
                          equity
                          shares      624756102   28052   658619 SH       DEFINED 1,2,5,6,8               658619
MULTI-COLOR CORP          Common
                          equity
                          shares      625383104    4734   212867 SH       DEFINED 1,2,6,8                 212867
MULTIMEDIA GAMES          Common
 HOLDING CO               equity
                          shares      625453105    7895   563824 SH       DEFINED 1,2,6                   563824
MURPHY OIL CORP           Common
                          equity
                          shares      626717102  425509  8461322 SH       DEFINED 1,2,5,6,8,10,12,17,18  8461322
MYERS INDUSTRIES INC      Common
                          equity
                          shares      628464109   12836   748174 SH       DEFINED 1,2,8                   748174
N B T BANCORP INC         Common
                          equity
                          shares      628778102   20367   943431 SH       DEFINED 1,2,5,6,8               943431
NCI BUILDING SYSTEMS      Common
 INC                      equity
                          shares      628852204    4493   415224 SH       DEFINED 1,2                     415224
NASB FINANCIAL INC        Common
                          equity
                          shares      628968109     946    47616 SH       DEFINED 1,2                      47616
NL INDUSTRIES             Common
                          equity
                          shares      629156407    2244   179918 SH       DEFINED 1,2                     179918
NN INC                    Common
                          equity
                          shares      629337106    2513   246348 SH       DEFINED 1,2,6                   246348
NTT DOCOMO INC            American
                          Depository
                          Receipt     62942M201     502    30110 SH       DEFINED 1,2                      30110
NVE CORP                  Common
                          equity
                          shares      629445206    4408    82009 SH       DEFINED 1,2,8                    82009
NACCO INDUSTRIES -CL A    Common
                          equity
                          shares      629579103   14893   128100 SH       DEFINED 1,2,6,8                 128100
NAM TAI ELECTRONIC        Common
                          equity
                          shares      629865205      61    10586 SH       DEFINED 1                        10586
NANOMETRICS INC           Common
                          Stock       630077105    6420   417938 SH       DEFINED 1,2,6,8                 417938
NAPCO SECURITY TECH       Common
 INC                      equity
                          shares      630402105      36    12100 SH       DEFINED 1                        12100
BBCN BANCORP INC          Common
                          equity
                          shares      073295107   25178  2311895 SH       DEFINED 1,2,6,8                2311895
NASH FINCH CO             Common
                          equity
                          shares      631158102    7014   326453 SH       DEFINED 1,2,5,8,17              326453
NATHAN`S FAMOUS INC       Common
                          equity
                          shares      632347100     946    32063 SH       DEFINED 1,2                      32063
NATIONAL BANK OF          American
 GREECE                   Depository
                          Receipt     633643606      53    31066 SH       DEFINED 1,2                      31066
NATIONAL BANKSHARES       Common
 INC VA                   equity
                          shares      634865109    3539   117549 SH       DEFINED 1,2,17                  117549
NATIONAL BEVERAGE         Common
 CORP                     equity
                          shares      635017106    3025   202711 SH       DEFINED 1,2,6,8                 202711
NATIONAL HEALTHCARE       Common
 CORP                     equity
                          shares      635906100    9622   212737 SH       DEFINED 1,2,5,6,8,17            212737
NATIONAL FUEL GAS CO      Common
                          equity
                          shares      636180101  269749  5741897 SH       DEFINED 1,2,5,6,8,12,18        5741897
NATIONAL HEALTH           Real Estate
 INVESTORS                Investment
                          Trust       63633D104   25944   509557 SH       DEFINED 1,2,3,6,8               509557
NIC INC                   Common
                          equity
                          shares      62914B100   15129  1191130 SH       DEFINED 1,2,6,8                1191130
FIRST CALIF FINL GROUP    Common
 INC                      equity
                          shares      319395109    1984   288521 SH       DEFINED 1,2                     288521
NATIONAL OILWELL          Common
 VARCO INC                equity
                          shares      637071101 1146636 17793889 SH       DEFINED 1,2,5,6,8,10,12,17,18 17793226           663
NATIONAL PENN             Common
 BANCSHARES INC           equity
                          shares      637138108   43519  4547454 SH       DEFINED 1,2,5,6,8              4547454
NATIONAL PRESTO INDS      Common
 INC                      equity
                          shares      637215104    8360   119794 SH       DEFINED 1,2,5,6,8,17            119794
NATIONAL RESEARCH         Common
 CORP                     equity
                          shares      637372103    1626    31059 SH       DEFINED 1,2                      31059
NATIONAL TECHNICAL SYS    Common
 INC                      equity
                          shares      638104109     102    16211 SH       DEFINED 1,17                      4100         12111
NATIONAL WESTERN LIFE     Common
 -CL A                    equity
                          shares      638522102    6035    42550 SH       DEFINED 1,2,8                    42550
NAVIGATORS GROUP INC      Common
                          equity
                          shares      638904102   10948   218746 SH       DEFINED 1,2,6,8                 218746
NATURES SUNSHINE PRODS    Common
 INC                      Stock       639027101    2526   167207 SH       DEFINED 1,2,6                   167207
NAVARRE CORP              Common
                          equity
                          shares      639208107      39    24656 SH       DEFINED 1                        24656
BPZ RESOURCES INC         Common
                          Stock       055639108   15244  6024984 SH       DEFINED 1,2,5,6,8              6024984
NAVIGANT CONSULTING       Common
 INC                      equity
                          shares      63935N107   12886  1019218 SH       DEFINED 1,2,6,8                1019218
NEOGEN CORP               Common
                          equity
                          shares      640491106   21596   467451 SH       DEFINED 1,2,6,8                 467451
NAVIDEA                   Common
 BIOPHARMACEUTICALS       Stock       63937X103    5180  1392457 SH       DEFINED 1,2,6                  1392457
SPECTRUM                  Common
 PHARMACEUTICALS INC      Stock       84763A108   41082  2640078 SH       DEFINED 1,2,6,8                2640078
NETEASE INC               American
                          Depository
                          Receipt     64110W102   12753   216690 SH       DEFINED 1,2                     216690
8X8 INC                   Common
                          equity
                          shares      282914100    4332  1031504 SH       DEFINED 1,2,8                  1031504
NETSOL TECHNOLOGIES       Common
 INC                      equity
                          shares      64115A204      10    23960 SH       DEFINED 1                        23960
NETSCOUT SYSTEMS INC      Common
                          equity
                          shares      64115T104   15042   696722 SH       DEFINED 1,2,6,8                 696722
NETWORK EQUIPMENT         Common
 TECH INC                 Stock       641208103      27    20181 SH       DEFINED 1                        20181
NETWORK ENGINES INC       Common
                          equity
                          shares      64121A107      33    23619 SH       DEFINED 1                        23619
FALCONSTOR SOFTWARE       Common
 INC                      equity
                          shares      306137100    1420   543216 SH       DEFINED 1,2                     543216
UNITED ONLINE INC         Common
                          equity
                          shares      911268100    8560  2028878 SH       DEFINED 1,2,6,8                2028878
NEUROCRINE BIOSCIENCES    Common
 INC                      equity
                          shares      64125C109   16593  2097861 SH       DEFINED 1,2,6,8                2097861
NEVADA GOLD & CASINOS     Common
 INC                      equity
                          shares      64126Q206      17    14982 SH       DEFINED 1                        14982
NEW FRONTIER MEDIA INC    Common
                          equity
                          shares      644398109      22    13539 SH       DEFINED 1                        13539
NEW JERSEY RESOURCES      Common
 CORP                     equity
                          shares      646025106   37701   864499 SH       DEFINED 1,2,5,6,8               864499
EINSTEIN NOAH             Common
 RESTAURANT GRP           equity
                          shares      28257U104    2045   116457 SH       DEFINED 1,2                     116457
NEWFIELD EXPLORATION      Common
 CO                       equity
                          shares      651290108  170022  5800535 SH       DEFINED 1,2,5,6,8,10,12,18     5800535
NEWPARK RESOURCES         Common
                          equity
                          shares      651718504   14734  2497657 SH       DEFINED 1,2,5,6,8              2497657
NEWPORT CORP              Common
                          equity
                          shares      651824104    9213   766221 SH       DEFINED 1,2,6,8                 766221
APRICUS BIOSCIENCES INC   Common
                          equity
                          shares      03832V109      39    11498 SH       DEFINED 1                        11498
NICE SYSTEMS LTD          American
                          Depository
                          Receipt     653656108     363     9925 SH       DEFINED 1                         9925
NICHOLAS FINANCIAL INC    Common
                          equity
                          shares      65373J209    1607   125276 SH       DEFINED 1,2                     125276
NOBLE ENERGY INC          Common
                          equity
                          shares      655044105  627598  7399272 SH       DEFINED 1,2,5,6,8,10,12,18     7399272
NOKIA CORP                American
                          Depository
                          Receipt     654902204    1919   926927 SH       DEFINED 1,2                     926927
NORDSON CORP              Common
                          equity
                          shares      655663102   68745  1340351 SH       DEFINED 1,2,5,6,8,12           1340351
ONEOK PARTNERS -LP        Limited
                          Partnership 68268N103    7634   142035 SH       DEFINED 1                       142035
NORTHRIM BANCORP INC      Common
                          equity
                          shares      666762109    1765    82169 SH       DEFINED 1,2                      82169
NORTHWEST NATURAL         Common
 GAS CO                   equity
                          shares      667655104   79613  1672564 SH       DEFINED 1,2,5,6,8,17           1672564
NORTHWEST PIPE CO         Common
                          equity
                          shares      667746101    3831   157961 SH       DEFINED 1,2,5,8                 157961
NOVATEL WIRELESS INC      Common
                          equity
                          shares      66987M604     149    59933 SH       DEFINED 1,2,5                    59933






                                                        SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                       CLASS      CUSIP    VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
-------------------------------------------------------------------------------------------------------------------------------
                                                                                        
NOVARTIS AG               American
                          Depository
                          Receipt     66987V109    1745    31215 SH       DEFINED 1,5,12                   31215
NOVAVAX INC               Common
                          equity
                          shares      670002104    2743  1757931 SH       DEFINED 1,2,6                  1757931
NU SKIN ENTERPRISES -CL   Common
 A                        equity
                          shares      67018T105   33178   707482 SH       DEFINED 1,2,5,6,8               707482
NUMEREX CORP -CL A        Common
                          equity
                          shares      67053A102    1146   123237 SH       DEFINED 1,2                     123237
NUTRACEUTICAL INTL        Common
 CORP                     equity
                          shares      67060Y101    2653   173831 SH       DEFINED 1,2                     173831
NUTRISYSTEM INC           Common
                          equity
                          shares      67069D108    6483   561002 SH       DEFINED 1,2,5,8                 561002
OGE ENERGY CORP           Common
                          equity
                          shares      670837103  112553  2173256 SH       DEFINED 1,2,5,6,8,12,18        2173256
OM GROUP INC              Common
                          equity
                          shares      670872100   14025   738031 SH       DEFINED 1,2,5,6,8               738031
OSI SYSTEMS INC           Common
                          Stock       671044105   25475   402102 SH       DEFINED 1,2,6,8                 402102
OYO GEOSPACE CORP         Common
                          equity
                          shares      671074102   12597   140016 SH       DEFINED 1,2,6,8,17              138926           1090
STERLING CONSTRUCTION     Common
 CO INC                   equity
                          shares      859241101    2988   292717 SH       DEFINED 1,2,8                   292717
OCEANEERING               Common
 INTERNATIONAL            equity
                          shares      675232102  121674  2542256 SH       DEFINED 1,2,5,6,8,12,18        2542256
OCEANFIRST FINANCIAL      Common
 CORP                     equity
                          shares      675234108    3877   269986 SH       DEFINED 1,2                     269986
INNOSPEC INC              Common
                          equity
                          shares      45768S105   14323   483679 SH       DEFINED 1,2,6,8                 483679
OCWEN FINANCIAL CORP      Common
                          equity
                          shares      675746309   42608  2268813 SH       DEFINED 1,2,6,8                2268813
ITERIS INC                Common
                          equity
                          shares      46564T107      15    11165 SH       DEFINED 1                        11165
ODYSSEY MARINE            Common
 EXPLORATION              equity
                          shares      676118102    3875  1036050 SH       DEFINED 1,2,6                  1036050
BRISTOW GROUP INC         Common
                          equity
                          shares      110394103   35719   878402 SH       DEFINED 1,2,5,6,8               878402
OIL DRI CORP AMERICA      Common
                          equity
                          shares      677864100    1854    84685 SH       DEFINED 1,2                      84685
OIL STATES INTL INC       Common
                          equity
                          shares      678026105   82206  1241807 SH       DEFINED 1,2,5,6,8,12           1241807
OLD DOMINION FREIGHT      Common
                          equity
                          shares      679580100   46030  1063231 SH       DEFINED 1,2,5,6,8              1063231
OLD NATIONAL BANCORP      Common
                          equity
                          shares      680033107   40107  3339435 SH       DEFINED 1,2,5,6,8              3339435
OLIN CORP                 Common
                          equity
                          shares      680665205  131183  6279503 SH       DEFINED 1,2,5,6,8,12           6279503
OLYMPIC STEEL INC         Common
                          equity
                          shares      68162K106    3982   242348 SH       DEFINED 1,2,5,8                 242348
OMEGA HEALTHCARE INVS     Real Estate
 INC                      Investment
                          Trust       681936100   81899  3639586 SH       DEFINED 1,2,3,5,6,8,12         3639586
OMEGA PROTEIN CORP        Common
                          equity
                          shares      68210P107    2440   331531 SH       DEFINED 1,2                     331531
OMNIVISION                Common
 TECHNOLOGIES INC         equity
                          shares      682128103   14424  1079449 SH       DEFINED 1,2,5,6,8              1079449
OMNOVA SOLUTIONS INC      Common
                          equity
                          shares      682129101    7955  1054754 SH       DEFINED 1,2,6,8                1054754
ON ASSIGNMENT INC         Common
                          Stock       682159108   12877   806919 SH       DEFINED 1,2,6,8                 806919
ON SEMICONDUCTOR CORP     Common
                          equity
                          shares      682189105   37429  5271613 SH       DEFINED 1,2,5,6,8              5271613
ONE LIBERTY PROPERTIES    Real Estate
 INC                      Investment
                          Trust       682406103    3145   166976 SH       DEFINED 1,2                     166976
1-800-FLOWERS.COM         Common
                          equity
                          shares      68243Q106    2183   625756 SH       DEFINED 1,2                     625756
ONEOK INC                 Common
                          equity
                          shares      682680103  435606 10295514 SH       DEFINED 1,2,5,6,8,10,12,18    10295514
ONLINE RESOURCES CORP     Common
                          equity
                          shares      68273G101      40    16363 SH       DEFINED 1                        16363
ONYX PHARMACEUTICALS      Common
 INC                      Stock       683399109   77048  1159462 SH       DEFINED 1,2,5,6,8              1159462
OPEN TEXT CORP            Common
                          Stock       683715106     231     4639 SH       DEFINED 1,2                       4639
UNWIRED PLANET INC        Common
                          equity
                          shares      91531F103    3433  1491465 SH       DEFINED 1,2                    1491465
OPNET TECHNOLOGIES INC    Common
                          equity
                          shares      683757108    7423   279042 SH       DEFINED 1,2,5,6,8               279042
OPLINK COMMUNICATIONS     Common
 INC                      Stock       68375Q403    6329   467771 SH       DEFINED 1,2,6,8                 467771
ORASURE TECHNOLOGIES      Common
 INC                      Stock       68554V108    9446   840462 SH       DEFINED 1,2,6,8                 840462
ORBITAL SCIENCES CORP     Common
                          equity
                          shares      685564106   17851  1381579 SH       DEFINED 1,2,6,8                1381579
MEDIVATION INC            Common
                          equity
                          shares      58501N101   58812   643456 SH       DEFINED 1,2,5,6,8,17            643456
O`REILLY AUTOMOTIVE       Common
 INC                      equity
                          shares      67103H107  413137  4931789 SH       DEFINED 1,2,5,6,8,10,12,18     4931789
ORIENTAL FINANCIAL        Common
 GROUP INC                equity
                          shares      68618W100   17253  1557201 SH       DEFINED 1,2,6,8                1557201
OTTER TAIL CORP           Common
                          equity
                          shares      689648103   15145   662262 SH       DEFINED 1,2,5,6,8               662262
OVERSEAS SHIPHOLDING      Common
 GROUP                    equity
                          shares      690368105    6013   541404 SH       DEFINED 1,2,5,6,8               541404
OWENS & MINOR INC         Common
                          equity
                          shares      690732102   63004  2056850 SH       DEFINED 1,2,5,6,8,12           2056850
OWENS-ILLINOIS INC        Common
                          equity
                          shares      690768403  134293  7005239 SH       DEFINED 1,2,5,6,8,10,12,18     7005239
OXFORD INDUSTRIES INC     Common
                          equity
                          shares      691497309   12619   282339 SH       DEFINED 1,2,6,8                 282339
VIRNETX HOLDING CORP      Common
                          equity
                          shares      92823T108   26875   762533 SH       DEFINED 1,2,6,8                 762533
PC CONNECTION INC         Common
                          equity
                          shares      69318J100    3051   287328 SH       DEFINED 1,2                     287328
PCTEL INC                 Common
                          equity
                          shares      69325Q105    1775   274197 SH       DEFINED 1,2                     274197
ACADIA HEALTHCARE CO      Common
 INC                      Stock       00404A109    6233   355425 SH       DEFINED 1,2,6                   355425
PICO HOLDINGS INC         Common
                          Stock       693366205    9177   409609 SH       DEFINED 1,2,6,8                 409609
PLX TECHNOLOGY INC        Common
                          equity
                          shares      693417107    5057   795861 SH       DEFINED 1,2                     795861
ERESEARCHTECHNOLOGY       Common
 INC                      equity
                          shares      29481V108    8246  1032355 SH       DEFINED 1,2,6,8                1032355
PS BUSINESS PARKS         Real Estate
                          Investment
                          Trust       69360J107   39994   590609 SH       DEFINED 1,2,3,5,6,8,17,18       590609
PVF CAPITAL CORP          Common
                          equity
                          shares      693654105      43    21290 SH       DEFINED 1                        21290
PSS WORLD MEDICAL INC     Common
                          equity
                          shares      69366A100   22253  1060234 SH       DEFINED 1,2,5,6,8              1060234
PREMIERE GLOBAL           Common
 SERVICES INC             equity
                          shares      740585104    8777  1045943 SH       DEFINED 1,2,6,8                1045943
PACIFIC CAPITAL BANCORP   Common
                          equity
                          shares      69404P200    3341    72994 SH       DEFINED 1,2                      72994
BANK OF HAWAII CORP       Common
                          equity
                          shares      062540109  108135  2353363 SH       DEFINED 1,2,5,6,8,12           2353363
PACIFIC CONTINENTAL       Common
 CORP                     equity
                          shares      69412V108    2586   291601 SH       DEFINED 1,2                     291601
PACIFIC MERCANTILE        Common
 BANCORP                  equity
                          shares      694552100     847   122400 SH       DEFINED 1,2                     122400
PACIFIC SUNWEAR CALIF     Common
 INC                      equity
                          shares      694873100     110    60075 SH       DEFINED 1,5                      60075
PAIN THERAPEUTICS INC     Common
                          Stock       69562K100    2886   614592 SH       DEFINED 1,2,6                   614592
PALATIN TECHNOLOGIES      Common
 INC                      equity
                          shares      696077403      10    20020 SH       DEFINED 1                        20020
PALOMAR MED               Common
 TECHNOLOGIES INC         equity
                          shares      697529303    3090   363823 SH       DEFINED 1,2,6,8                 363823
PARAMOUNT GOLD AND        Common
 SILVER                   equity
                          shares      69924P102    5006  2086511 SH       DEFINED 1,2,6                  2086511
PANHANDLE OIL & GAS INC   Common
                          equity
                          shares      698477106    3521   116892 SH       DEFINED 1,2                     116892
PANTRY INC                Common
                          equity
                          shares      698657103    6764   460296 SH       DEFINED 1,2,5,6,8               460296
PAPA JOHNS                Common
 INTERNATIONAL INC        equity
                          shares      698813102   21302   447727 SH       DEFINED 1,2,6,8                 447727
PAREXEL INTERNATIONAL     Common
 CORP                     equity
                          shares      699462107   32998  1168746 SH       DEFINED 1,2,6,8                1168746
PARK ELECTROCHEMICAL      Common
 CORP                     equity
                          shares      700416209   10807   417593 SH       DEFINED 1,2,6,8                 417593
PARK NATIONAL CORP        Common
                          equity
                          shares      700658107   24260   347743 SH       DEFINED 1,2,5,6,8,17            347743
PARK OHIO HOLDINGS        Common
 CORP                     equity
                          shares      700666100    2704   141866 SH       DEFINED 1,2                     141866
PARKER DRILLING CO        Common
                          equity
                          shares      701081101   15041  3335265 SH       DEFINED 1,2,5,6,8              3335265
PARKERVISION INC          Common
                          Stock       701354102    2293   963332 SH       DEFINED 1,2                     963332
PARKWAY PROPERTIES INC    Real Estate
                          Investment
                          Trust       70159Q104    8392   733620 SH       DEFINED 1,2,3,6,8               733620
PATRICK INDUSTRIES INC    Common
                          equity
                          shares      703343103     843    66025 SH       DEFINED 1,2                      66025
PATRIOT NATIONAL          Common
 BANCORP INC              equity
                          shares      70336F104      40    26176 SH       DEFINED 1,2                      26176
PATRIOT TRANSN HOLDING    Common
 INC                      equity
                          shares      70337B102    2185    92803 SH       DEFINED 1,2,6                    92803
COLLECTIVE BRANDS INC     Common
                          equity
                          shares      19421W100   48722  2274441 SH       DEFINED 1,2,5,6,8,12           2274441
PEAPACK-GLADSTONE         Common
 FINL CORP                equity
                          shares      704699107    1761   113371 SH       DEFINED 1,2                     113371
MEDNAX INC                Common
                          equity
                          shares      58502B106   80861  1179738 SH       DEFINED 1,2,5,6,8,12           1179738
PMFG INC                  Common
                          Stock       69345P103    2599   332939 SH       DEFINED 1,2,6,8                 332939
PEET`S COFFEE & TEA INC   Common
                          equity
                          shares      705560100   15300   254806 SH       DEFINED 1,2,6,8                 254806
PEGASYSTEMS INC           Common
                          equity
                          shares      705573103    9987   302805 SH       DEFINED 1,2,6,8                 302805
PENN NATIONAL GAMING      Common
 INC                      equity
                          shares      707569109   34640   776879 SH       DEFINED 1,2,5,6,8,12,17         776879
PENN VIRGINIA CORP        Common
                          equity
                          shares      707882106    7872  1072625 SH       DEFINED 1,2,6,8                1072625
PENNS WOODS BANCORP       Common
 INC                      equity
                          shares      708430103    2276    57103 SH       DEFINED 1,2                      57103
METRO BANCORP INC         Common
                          equity
                          shares      59161R101    2750   228768 SH       DEFINED 1,2                     228768
PENNSYLVANIA RE INVS      Real Estate
 TRUST                    Investment
                          Trust       709102107   26576  1774327 SH       DEFINED 1,2,3,6,8              1774327
PEOPLES BANCORP INC/OH    Common
                          equity
                          shares      709789101    4409   200435 SH       DEFINED 1,2,8                   200435
PEOPLE`S UNITED FINL INC  Common
                          equity
                          shares      712704105  199857 17214535 SH       DEFINED 1,2,5,6,8,10,12,17,18 17214535
RENASANT CORP             Common
                          equity
                          shares      75970E107    7590   483143 SH       DEFINED 1,2,8                   483143
PEP BOYS-MANNY MOE &      Common
 JACK                     equity
                          shares      713278109   18229  1841134 SH       DEFINED 1,2,6,8                1841134
BRF--BRASIL FOODS SA      American
                          Depository
                          Receipt     10552T107   13938   917738 SH       DEFINED 1,2,5,6,10              917738
PEREGRINE                 Common
 PHARMACEUTICLS INC       equity
                          shares      713661304      29    53319 SH       DEFINED 1,5                      53319
PERFICIENT INC            Common
                          equity
                          shares      71375U101    6703   596868 SH       DEFINED 1,2,5,6,8               596868
PERFORMANCE               Common
 TECHNOLOGIES INC         equity
                          shares      71376K102      31    13957 SH       DEFINED 1                        13957
PERICOM SEMICONDUCTOR     Common
 CORP                     equity
                          shares      713831105    4969   551997 SH       DEFINED 1,2,6,8                 551997
TUTOR PERINI CORP         Common
                          equity
                          shares      901109108    8751   690478 SH       DEFINED 1,2,5,6,8               690478
PERMA-FIX                 Common
 ENVIRONMENTAL SVCS       equity
                          shares      714157104      40    33700 SH       DEFINED 1                        33700
PERRIGO CO                Common
                          equity
                          shares      714290103  424772  3601878 SH       DEFINED 1,2,5,6,8,10,12,18     3601878
TELEKOMUNIKASI            American
 INDONESIA                Depository
                          Receipt     715684106    5864   168423 SH       DEFINED 1,2,6                   168423
PERVASIVE SOFTWARE INC    Common
                          equity
                          shares      715710109    1160   154800 SH       DEFINED 1,2                     154800
PETMED EXPRESS INC        Common
                          equity
                          shares      716382106    5309   436464 SH       DEFINED 1,2,5,8                 436464
PETROCHINA CO LTD         American
                          Depository
                          Receipt     71646E100    2328    18022 SH       DEFINED 1,6                      18022
PETROLEO BRASILEIRO SA    American
 PETRO                    Depository
                          Receipt     71654V101  153913  8484636 SH       DEFINED 1,2,4,5,6,8,10,18      8484636
PETROBRAS-PETROLEO        American
 BRASILIER                Depository
                          Receipt     71654V408  158451  8441751 SH       DEFINED 1,2,4,5,6,8,10,18      8441751
PDC ENERGY INC            Common
                          equity
                          shares      69327R101   25773  1051124 SH       DEFINED 1,2,5,6,8              1051124
PHI INC                   Common
                          equity
                          shares      69336T205    6669   239967 SH       DEFINED 1,2,6,8                 239967
PETROQUEST ENERGY INC     Common
                          equity
                          shares      716748108    5421  1083098 SH       DEFINED 1,2,6,8                1083098
PHARMACYCLICS INC         Common
                          Stock       716933106   74991  1373181 SH       DEFINED 1,2,6,8,17             1373181
PAR PHARMACEUTICAL        Common
 COS INC                  equity
                          shares      69888P106   44661  1235726 SH       DEFINED 1,2,5,6,8              1235726
ACCELRYS INC              Common
                          Stock       00430U103    8070   997548 SH       DEFINED 1,2,6,8                 997548
AQUA AMERICA INC          Common
                          equity
                          shares      03836W103   79008  3165597 SH       DEFINED 1,2,5,6,8,10,12        3165597
PLDT-PHILIPPINE LNG DIST  American
 TEL                      Depository
                          Receipt     718252604   25335   398320 SH       DEFINED 1,2,5,6,18              398320
PVH CORP                  Common
                          equity
                          shares      693656100  141170  1814762 SH       DEFINED 1,2,5,6,8,10,12,18     1814762
PHOTOMEDEX INC            Common
                          Stock       719358301    2180   179176 SH       DEFINED 1,2                     179176
PHOTRONICS INC            Common
                          equity
                          shares      719405102    6054   992477 SH       DEFINED 1,2,6,8                 992477
PIEDMONT NATURAL GAS      Common
 CO                       equity
                          shares      720186105  166339  5167310 SH       DEFINED 1,2,5,6,8              5167310
PIER 1 IMPORTS INC/DE     Common
                          equity
                          shares      720279108   75329  4584708 SH       DEFINED 1,2,6,8                4584708
PINNACLE                  Common
 ENTERTAINMENT INC        equity
                          shares      723456109   13219  1374143 SH       DEFINED 1,2,5,6,8              1374143
EDELMAN FINANCIAL         Common
 GROUP INC                equity
                          shares      27943Q105    2748   315929 SH       DEFINED 1,2                     315929
PINNACLE FINL PARTNERS    Common
 INC                      equity
                          shares      72346Q104   19477   998298 SH       DEFINED 1,2,6,8                 998298
AGILYSYS INC              Common
                          equity
                          shares      00847J105    3197   368846 SH       DEFINED 1,2,6                   368846
BRINKS CO                 Common
                          equity
                          shares      109696104   35779  1543697 SH       DEFINED 1,2,5,6,8,12,17        1543697
PIXELWORKS INC            Common
                          equity
                          shares      72581M305      31    13163 SH       DEFINED 1                        13163
PLAINS ALL AMER PIPELNE   Limited
 -LP                      Partnership 726503105   12887   159466 SH       DEFINED 1                       159466
PLANAR SYSTEMS INC        Common
                          equity
                          shares      726900103      26    15500 SH       DEFINED 1                        15500
PLANTRONICS INC           Common
                          equity
                          shares      727493108   42255  1265091 SH       DEFINED 1,2,5,6,8,12           1265091
POLARIS INDUSTRIES INC    Common
                          equity
                          shares      731068102  107803  1508142 SH       DEFINED 1,2,5,6,8,12,17        1506922           1220
RALPH LAUREN CORP         Common
                          equity
                          shares      751212101  330986  2363275 SH       DEFINED 1,2,5,6,8,10,12,18     2363275
POLYCOM INC               Common
                          equity
                          shares      73172K104   40402  3840965 SH       DEFINED 1,2,5,6,8,12           3840965
POLYONE CORP              Common
                          equity
                          shares      73179P106   26533  1939389 SH       DEFINED 1,2,5,6,8              1939389
INVENTURE FOODS INC       Common
                          Stock       461212102    1060   168185 SH       DEFINED 1,2                     168185
POST PROPERTIES INC       Real Estate
                          Investment
                          Trust       737464107   69522  1420246 SH       DEFINED 1,2,3,5,6,8            1420246
POTASH CORP SASK INC      Common
                          equity
                          shares      73755L107   11151   255226 SH       DEFINED 2,5,17                  251203           4023
POTLATCH CORP             REIT        737630103   36858  1153978 SH       DEFINED 1,2,5,6,8,12           1153978
POWELL INDUSTRIES INC     Common
                          equity
                          shares      739128106    6081   162693 SH       DEFINED 1,2,6,8                 162693
POWER INTEGRATIONS INC    Common
                          equity
                          shares      739276103   20998   562996 SH       DEFINED 1,2,6,8                 562996
POWERWAVE                 Common
 TECHNOLOGIES INC         equity
                          shares      739363307      17    24744 SH       DEFINED 1                        24744
POZEN INC                 Common
                          equity
                          shares      73941U102    3498   560691 SH       DEFINED 1,2,5,6                 560691
PREFORMED LINE            Common
 PRODUCTS CO              Stock       740444104    3255    56170 SH       DEFINED 1,2                      56170
PRESIDENTIAL LIFE CORP    Common
                          equity
                          shares      740884101    5015   509965 SH       DEFINED 1,2                     509965
PRESSTEK INC              Common
                          Stock       741113104       8    17624 SH       DEFINED 1                        17624
PRICELINE.COM INC         Common
                          equity
                          shares      741503403 1230824  1852210 SH       DEFINED 1,2,5,6,8,10,12,18     1852210
PRICESMART INC            Common
                          equity
                          shares      741511109   29871   442416 SH       DEFINED 1,2,6,8                 442416
RADNET INC                Common
                          equity
                          shares      750491102      50    19000 SH       DEFINED 1                        19000
PRIVATEBANCORP INC        Common
                          equity
                          shares      742962103   34133  2312621 SH       DEFINED 1,2,5,6,8              2312621
PDI INC                   Common
                          equity
                          shares      69329V100     954   115841 SH       DEFINED 1,2                     115841
PRGX GLOBAL INC           Common
                          equity
                          shares      69357C503    2300   289111 SH       DEFINED 1,2                     289111
PROGENICS                 Common
 PHARMACEUTICAL INC       Stock       743187106    5647   577083 SH       DEFINED 1,2,6,8                 577083
PROGRESS SOFTWARE         Common
 CORP                     equity
                          shares      743312100   26735  1281270 SH       DEFINED 1,2,5,6,8              1281270
PROSPERITY BANCSHARES     Common
 INC                      Stock       743606105  119748  2849178 SH       DEFINED 1,2,5,6,8,12,17        2849178
PROTECTIVE LIFE CORP      Common
                          equity
                          shares      743674103   65399  2223681 SH       DEFINED 1,2,5,6,8,12,17        2223681
PDL BIOPHARMA INC         Common
                          equity
                          shares      69329Y104   22744  3430858 SH       DEFINED 1,2,6,8,17             3430858
PROVIDENT NEW YORK        Common
 BANCORP                  Stock       744028101    4844   638094 SH       DEFINED 1,2,8                   638094
PROVIDENT FINANCIAL       Common
 HOLDINGS                 equity
                          shares      743868101    1310   113525 SH       DEFINED 1,2                     113525
PNM RESOURCES INC         Common
                          equity
                          shares      69349H107   52186  2670596 SH       DEFINED 1,2,5,6,8,12,17        2670596
ARGAN INC                 Common
                          equity
                          shares      04010E109    1859   133109 SH       DEFINED 1,2                     133109
QUAKER CHEMICAL CORP      Common
                          equity
                          shares      747316107   12332   266840 SH       DEFINED 1,2,8                   266840
QUALITY SYSTEMS INC       Common
                          equity
                          shares      747582104   24578   893208 SH       DEFINED 1,2,5,6,8               893208
QUANEX BUILDING           Common
 PRODUCTS                 equity
                          shares      747619104   28056  1568891 SH       DEFINED 1,2,6,8                1568891
QUANTA SERVICES INC       Common
                          equity
                          shares      74762E102  189269  7863548 SH       DEFINED 1,2,5,6,8,10,12,18     7863548
QUANTUM CORP              Common
                          equity
                          shares      747906204    8568  4219777 SH       DEFINED 1,2,6,8                4219777
MEETME INC                Common
                          Stock       585141104     394   168109 SH       DEFINED 1,2                     168109
QUEST SOFTWARE INC        Common
                          equity
                          shares      74834T103   46245  1660455 SH       DEFINED 1,2,5,6,8,12           1660455
QUESTAR CORP              Common
                          equity
                          shares      748356102  254872 12218422 SH       DEFINED 1,2,5,6,8,12          12218422
QUESTCOR                  Common
 PHARMACEUTICALS INC      Stock       74835Y101   87332  1640353 SH       DEFINED 1,2,5,6,8              1640353
QUICKLOGIC CORP           Common
                          equity
                          shares      74837P108    1227   488017 SH       DEFINED 1,2                     488017
QUICKSILVER RESOURCES     Common
 INC                      equity
                          shares      74837R104   37043  6833657 SH       DEFINED 1,2,5,6,8,10,12        6833657
QUIKSILVER INC            Common
                          equity
                          shares      74838C106    5874  2521174 SH       DEFINED 1,2,5,6,8              2521174
QUIDEL CORP               Common
                          Stock       74838J101    7782   496168 SH       DEFINED 1,2,5,6,8               496168
DORMAN PRODUCTS INC       Common
                          equity
                          shares      258278100    9668   385452 SH       DEFINED 1,2,6,8                 385452
RAIT FINANCIAL TRUST      Real Estate
                          Investment
                          Trust       749227609    3743   810306 SH       DEFINED 1,2,6,8                 810306
RLI CORP                  Common
                          equity
                          shares      749607107  142598  2090876 SH       DEFINED 1,2,5,6,8,17           2090876
PREMIER EXHIBITIONS INC   Common
                          equity
                          shares      74051E102     811   300000 SH       DEFINED 1,2                     300000
RPC INC                   Common
                          equity
                          shares      749660106   15736  1323206 SH       DEFINED 1,2,6,8                1323206
RPM INTERNATIONAL INC     Common
                          equity
                          shares      749685103  264524  9725181 SH       DEFINED 1,2,5,6,8,12           9725181
RTI INTL METALS INC       Common
                          equity
                          shares      74973W107   32928  1454907 SH       DEFINED 1,2,6,8                1454907
RF MICRO DEVICES INC      Common
                          equity
                          shares      749941100   37149  8740069 SH       DEFINED 1,2,5,6,8,12           8740069
ENDOLOGIX INC             Common
                          Stock       29266S106   14304   926228 SH       DEFINED 1,2,6,8                 926228
RADIO ONE INC             Common
                          equity
                          shares      75040P405      24    26403 SH       DEFINED 1                        26403
RADISYS CORP              Common
                          equity
                          shares      750459109    2806   446617 SH       DEFINED 1,2,5                   446617
RALCORP HOLDINGS INC      Common
                          equity
                          shares      751028101  104073  1559448 SH       DEFINED 1,2,5,6,8,10,12,18     1559448
RAMTRON                   Common
 INTERNATIONAL CORP       equity
                          shares      751907304      53    17500 SH       DEFINED 1                        17500
RANGE RESOURCES CORP      Common
                          equity
                          shares      75281A109  438677  7090435 SH       DEFINED 1,2,5,6,8,10,12,18     7090435
RAVEN INDUSTRIES INC      Common
                          equity
                          shares      754212108   22968   330027 SH       DEFINED 1,2,6,8                 330027
RAYMOND JAMES             Common
 FINANCIAL CORP           equity
                          shares      754730109   83662  2443350 SH       DEFINED 1,2,5,6,8,12           2443350
EVOLUTION PETROLEUM       Common
 CORP                     equity
                          shares      30049A107    1903   227746 SH       DEFINED 1,2                     227746
REALNETWORKS INC          Common
                          equity
                          shares      75605L708    3358   388473 SH       DEFINED 1,2,6,8                 388473
REALTY INCOME CORP        Real Estate
                          Investment
                          Trust       756109104  138906  3325395 SH       DEFINED 1,2,3,5,6,8,12         3325395
MIDWAY GOLD CORP          Common
                          equity
                          shares      598153104    2022  1454679 SH       DEFINED 1,2,6                  1454679
RED HAT INC               Common
                          equity
                          shares      756577102  403344  7141384 SH       DEFINED 1,2,5,6,8,10,12,18     7141384
CRAFT BREW ALLIANCE       Common
 INC                      equity
                          shares      224122101    1081   132200 SH       DEFINED 1,2                     132200
REDWOOD TRUST INC         Real Estate
                          Investment
                          Trust       758075402   20287  1625587 SH       DEFINED 1,2,5,6,8              1625587
REGAL-BELOIT CORP         Common
                          equity
                          shares      758750103   59956   962981 SH       DEFINED 1,2,5,6,8,12            962981
REGENERON PHARMACEUT      Common
                          Stock       75886F107  243447  2131413 SH       DEFINED 1,2,5,6,8,10,12,18     2131413
RTI BIOLOGICS INC         Common
                          Stock       74975N105    4725  1256546 SH       DEFINED 1,2,6,8                1256546
RELIANCE STEEL &          Common
 ALUMINUM CO              equity
                          shares      759509102  105724  2093577 SH       DEFINED 1,2,5,6,8,12           2093577
REPLIGEN CORP             Common
                          equity
                          shares      759916109    1992   463598 SH       DEFINED 1,2                     463598
RENTECH INC               Common
                          equity
                          shares      760112102   17916  8696408 SH       DEFINED 1,2,5,6,8              8696408
RENTRAK CORP              Common
                          equity
                          shares      760174102    3259   157934 SH       DEFINED 1,2,5                   157934
REPUBLIC BANCORP INC/     Common
 KY                       equity
                          shares      760281204    4537   203972 SH       DEFINED 1,2,6,8                 203972
REPUBLIC FIRST BANCORP    Common
 INC                      equity
                          shares      760416107      29    13749 SH       DEFINED 1                        13749
RESEARCH FRONTIERS INC    Common
                          equity
                          shares      760911107      42    13270 SH       DEFINED 1                        13270
RESEARCH IN MOTION LTD    Common
                          Stock       760975102    1005   135963 SH       DEFINED 1,2,5,8                 135963
RESMED INC                Common
                          equity
                          shares      761152107   99790  3198333 SH       DEFINED 1,2,5,6,8,12           3198333
RESOURCE AMERICA INC      Common
                          equity
                          shares      761195205     912   142801 SH       DEFINED 1,2                     142801
RESOURCES CONNECTION      Common
 INC                      equity
                          shares      76122Q105   14209  1155142 SH       DEFINED 1,2,5,6,8              1155142
REX AMERICAN              Common
 RESOURCES CORP           equity
                          shares      761624105    4677   239420 SH       DEFINED 1,2                     239420
RICHARDSON                Common
 ELECTRONICS LTD          Stock       763165107    3109   252062 SH       DEFINED 1,2,6                   252062
RIGEL PHARMACEUTICALS     Common
 INC                      Stock       766559603   15021  1615004 SH       DEFINED 1,2,5,6,8              1615004
RITCHIE BROS              Common
 AUCTIONEERS INC          equity
                          shares      767744105     281    13200 SH       DEFINED 1                        13200
RITE AID CORP             Common
                          equity
                          shares      767754104   30920 22088599 SH       DEFINED 1,2,5,6,8,12,17       21378599         710000
RIVERVIEW BANCORP INC     Common
                          equity
                          shares      769397100      16    12835 SH       DEFINED 1                        12835
ROBBINS & MYERS INC       Common
                          equity
                          shares      770196103   36400   870460 SH       DEFINED 1,2,5,6,8               870460
ROCHESTER MEDICAL         Common
 CORP                     equity
                          shares      771497104    1345   125087 SH       DEFINED 1,2                     125087
ROCK-TENN CO              Common
                          equity
                          shares      772739207   98375  1803413 SH       DEFINED 1,2,5,6,8,10,12,18     1803413
ROCKWELL MEDICAL INC      Common
                          equity
                          shares      774374102    2666   286061 SH       DEFINED 1,2                     286061
ROFIN SINAR               Common
 TECHNOLOGIES INC         equity
                          shares      775043102   10716   565932 SH       DEFINED 1,2,5,6,8               565932
ROGERS                    Common
 COMMUNICATIONS -CL B     equity
                          shares      775109200     679    18769 SH       DEFINED 1,2                      18769
ROGERS CORP               Common
                          equity
                          shares      775133101   12231   308809 SH       DEFINED 1,2,6,8                 308809
ROLLINS INC               Common
                          equity
                          shares      775711104   29843  1334119 SH       DEFINED 1,2,5,6,8,12           1334119
SUREWEST                  Common
 COMMUNICATIONS           Stock       868733106    4696   222811 SH       DEFINED 1,2                     222811
ROYAL BANK OF CANADA      Common
                          equity
                          shares      780087102     493     9637 SH       DEFINED 1                         9637
ROYAL GOLD INC            Common
                          equity
                          shares      780287108  127512  1626467 SH       DEFINED 1,2,5,6,8,12           1626467
HARRIS TEETER             Common
 SUPERMARKETS             equity
                          shares      414585109   66529  1622959 SH       DEFINED 1,2,5,6,8,12           1622959
RUDOLPH TECHNOLOGIES      Common
 INC                      equity
                          shares      781270103    7373   845808 SH       DEFINED 1,2                     845808
KID BRANDS INC            Common
                          equity
                          shares      49375T100      36    17747 SH       DEFINED 1                        17747
S & T BANCORP INC         Common
                          equity
                          shares      783859101   13857   750236 SH       DEFINED 1,2,5,6,8               750236
NEONODE INC               Common
                          Stock       64051M402    1798   292300 SH       DEFINED 1,2                     292300
SBA COMMUNICATIONS        Common
 CORP                     equity
                          shares      78388J106  121745  2134005 SH       DEFINED 1,2,5,6,8,10,12,18     2134005
IDENTIVE GROUP INC        Common
                          equity
                          shares      45170X106      25    26565 SH       DEFINED 1                        26565
POOL CORP                 Common
                          equity
                          shares      73278L105   43979  1087013 SH       DEFINED 1,2,5,6,8              1087013






                                                    SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                   CLASS       CUSIP   VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
----------------------------------------------------------------------------------------------------------------------------
                                                                                    
SJW CORP              Common
                      equity
                      shares       784305104   6020   250799 SH       DEFINED 1,2,8                   250799
SRS LABS INC          Common
                      equity
                      shares       78464M106   1670   185365 SH       DEFINED 1,2                     185365
SABA SOFTWARE INC     Common
                      equity
                      shares       784932600   4424   476653 SH       DEFINED 1,2,5                   476653
S Y BANCORP INC       Common
                      equity
                      shares       785060104   4969   207326 SH       DEFINED 1,2,8,17                207326
SMITH & WESSON        Common
  HOLDING CORP        equity
                      shares       831756101  10787  1298952 SH       DEFINED 1,2,5,6,8              1298952
SAFEGUARD             Common
  SCIENTIFICS INC     equity
                      shares       786449207   5609   362272 SH       DEFINED 1,2,5,6,8               362272
SM ENERGY CO          Common
                      equity
                      shares       78454L100  80793  1645077 SH       DEFINED 1,2,5,6,8,12,18        1645077
SALEM                 Common
  COMMUNICATIONS      equity
  CORP                shares       794093104    664   121258 SH       DEFINED 1,2                     121258
GASCO ENERGY INC      Common
                      equity
                      shares       367220100     15    85700 SH       DEFINED 1                        85700
SANDERSON FARMS       Common
  INC                 equity
                      shares       800013104  20348   444126 SH       DEFINED 1,2,6,8                 444126
SANDY SPRING          Common
  BANCORP INC         equity
                      shares       800363103   7750   430425 SH       DEFINED 1,2,6,8                 430425
SANFILIPPO JOHN       Common
  B&SON               equity
                      shares       800422107   1923   107683 SH       DEFINED 1,2                     107683
SANGAMO               Common
  BIOSCIENCES INC     equity
                      shares       800677106   4845   877242 SH       DEFINED 1,2,6,8                 877242
SAPIENT CORP          Common
                      equity
                      shares       803062108  21741  2158921 SH       DEFINED 1,2,5,6,8              2158921
SAPPI LTD             American
                      Depository
                      Receipt      803069202    128    40156 SH       DEFINED 1,6                      40156
SASOL LTD             American
                      Depository
                      Receipt      803866300  10722   252590 SH       DEFINED 1,6                     252590
SATCON TECHNOLOGY     Common
  CORP                equity
                      shares       803893106     17    74033 SH       DEFINED 1                        74033
SAUER-DANFOSS INC     Common
                      equity
                      shares       804137107   9123   261203 SH       DEFINED 1,2,6,8                 261203
SAUL CENTERS INC      Real Estate
                      Investment
                      Trust        804395101  11392   265687 SH       DEFINED 1,2,3,5,8               265687
SCANSOURCE INC        Common
                      equity
                      shares       806037107  16115   525956 SH       DEFINED 1,2,6,8                 525956
NUANCE                Common
  COMMUNICATIONS      equity
  INC                 shares       67020Y100  96845  4065796 SH       DEFINED 1,2,5,6,8,10,12,18     4065796
SCHAWK INC -CL A      Common
                      equity
                      shares       806373106   3376   265949 SH       DEFINED 1,2,8                   265949
SCHEIN (HENRY) INC    Common
                      equity
                      shares       806407102 202103  2574937 SH       DEFINED 1,2,5,6,8,10,12,18     2574937
SIRONA DENTAL         Common
  SYSTEMS INC         equity
                      shares       82966C103  31543   700591 SH       DEFINED 1,2,5,6,8               700591
SCHNITZER STEEL       Common
  INDS -CL A          equity
                      shares       806882106  39467  1408435 SH       DEFINED 1,2,5,6,8              1408435
SCHOLASTIC CORP       Common
                      equity
                      shares       807066105  24413   867061 SH       DEFINED 1,2,5,6,8,12            867061
SCHOOL SPECIALTY      Common
  INC                 equity
                      shares       807863105     49    15049 SH       DEFINED 1                        15049
SCHULMAN (A.) INC     Common
                      equity
                      shares       808194104  14126   711579 SH       DEFINED 1,2,6,8                 711579
SCHWEITZER-           Common
  MAUDUIT INTL INC    equity
                      shares       808541106  19149   281024 SH       DEFINED 1,2,6                   281024
SCICLONE
  PHARMACEUTICALS     Common
  INC                 Stock        80862K104   6484   925217 SH       DEFINED 1,2,6                   925217
SCOTTS MIRACLE-GRO    Common
  CO                  equity
                      shares       810186106  41894  1018911 SH       DEFINED 1,2,5,6,8,12           1018911
SEABOARD CORP         Common
                      equity
                      shares       811543107  12160     5701 SH       DEFINED 1,2,6,8                   5701
SEACHANGE             Common
  INTERNATIONAL INC   Stock        811699107   4073   494904 SH       DEFINED 1,2,5,6                 494904
SEACOAST BANKING      Common
  CORP/FL             equity
                      shares       811707306   1502   993729 SH       DEFINED 1,2                     993729
SEACOR HOLDINGS       Common
  INC                 equity
                      shares       811904101  34873   390130 SH       DEFINED 1,2,5,6,8,17            390130
SELECT COMFORT        Common
  CORP                equity
                      shares       81616X103  60354  2885059 SH       DEFINED 1,2,6,8                2885059
SELECTIVE INS GROUP   Common
  INC                 equity
                      shares       816300107  21336  1225644 SH       DEFINED 1,2,5,6,8              1225644
SEMTECH CORP          Common
                      equity
                      shares       816850101  50993  2096862 SH       DEFINED 1,2,5,6,8,12           2096862
SENECA FOODS CORP     Common
                      Stock        817070501   4436   164956 SH       DEFINED 1,2                     164956
SENESCO               Common
  TECHNOLOGIES INC    equity
                      shares       817208408      7    33100 SH       DEFINED 1                        33100
SENIOR HOUSING        Real Estate
  PPTYS TRUST         Investment
                      Trust        81721M109 138913  6223820 SH       DEFINED 1,2,3,5,6,8,12         6223820
SENSIENT              Common
  TECHNOLOGIES        equity
  CORP                shares       81725T100  57267  1559199 SH       DEFINED 1,2,5,6,8,12,17        1559199
SEQUENOM INC          Common
                      Stock        817337405   8141  2005507 SH       DEFINED 1,2,6,8                2005507
SERVICE CORP          Common
  INTERNATIONAL       equity
                      shares       817565104  69037  5581084 SH       DEFINED 1,2,5,6,8,12           5581084
SHAW GROUP INC        Common
                      equity
                      shares       820280105 108072  3957390 SH       DEFINED 1,2,5,6,8,12,19        3957390
SHENANDOAH            Common
  TELECOMMUN CO       equity
                      shares       82312B106   5600   411314 SH       DEFINED 1,2,8                   411314
SHILOH INDUSTRIES     Common
  INC                 equity
                      shares       824543102    850    73669 SH       DEFINED 1,2,6                    73669
SHOE CARNIVAL INC     Common
                      equity
                      shares       824889109   5398   251232 SH       DEFINED 1,2,5,8                 251232
SHUFFLE MASTER INC    Common
                      equity
                      shares       825549108  15326  1110525 SH       DEFINED 1,2,6,8                1110525
NV ENERGY INC         Common
                      equity
                      shares       67073Y106  96128  5468083 SH       DEFINED 1,2,5,6,8,12           5468083
SIFCO INDUSTRIES      Common
                      equity
                      shares       826546103    618    26900 SH       DEFINED 1,2                      26900
SIGMA DESIGNS INC     Common
                      Stock        826565103   4003   627740 SH       DEFINED 1,2,5,6,8               627740
SIGA TECHNOLOGIES     Common
  INC                 Stock        826917106   1844   642827 SH       DEFINED 1,2,6,8                 642827
SILICON               Common
  LABORATORIES INC    equity
                      shares       826919102  39112  1031919 SH       DEFINED 1,2,5,6,8,12           1031919
SILGAN HOLDINGS INC   Common
                      equity
                      shares       827048109  44043  1031644 SH       DEFINED 1,2,5,6,8,12           1031644
SILICON IMAGE INC     Common
                      equity
                      shares       82705T102   6260  1511769 SH       DEFINED 1,2,6,8                1511769
SVB FINANCIAL         Common
  GROUP               equity
                      shares       78486Q101 117504  2001134 SH       DEFINED 1,2,5,6,8,12,17        2001134
SILICONWARE           American
  PRECISION INDS      Depository
                      Receipt      827084864   4015   773244 SH       DEFINED 1,2,4,5,6,8             773244
SIMMONS FIRST NATL    Common
  CP -CL A            equity
                      shares       828730200   7832   336878 SH       DEFINED 1,2,6,8,17              336878
STEC INC              Common
                      equity
                      shares       784774101   5497   705178 SH       DEFINED 1,2,5,6,8               705178
SIMPSON               Common
  MANUFACTURING       equity
  INC                 shares       829073105  42441  1438123 SH       DEFINED 1,2,5,6,8              1438123
SINCLAIR BROADCAST    Common
  GP -CL A            equity
                      shares       829226109   9769  1077990 SH       DEFINED 1,2,6,8                1077990
SINOPEC SHANGHAI      American
  PETROCHEM           Depository
                      Receipt      82935M109    319    11232 SH       DEFINED 1,6                      11232
SKECHERS U S A INC    Common
                      equity
                      shares       830566105  14736   723475 SH       DEFINED 1,2,6,8                 723475
SKYWEST INC           Common
                      equity
                      shares       830879102   6956  1065068 SH       DEFINED 1,2,5,6,8,17           1065068
SMITH (A O) CORP      Common
                      equity
                      shares       831865209  80765  1651916 SH       DEFINED 1,2,5,6,8,17           1649376            2540
SMITH MICRO           Common
  SOFTWARE INC        equity
                      shares       832154108     50    27498 SH       DEFINED 1,2                      27498
SMITHFIELD FOODS      Common
  INC                 equity
                      shares       832248108 103596  4789380 SH       DEFINED 1,2,5,6,8,12           3639779         1149601
SMUCKER (JM) CO       Common
                      equity
                      shares       832696405 336861  4460404 SH       DEFINED 1,2,5,6,8,10,12,17,18  4460404
SOC QUIMICA Y         American
  MINERA DE CHI       Depository
                      Receipt      833635105  37599   675394 SH       DEFINED 1,2,5,6                 675394
SOHU.COM INC          Common
                      equity
                      shares       83408W103   2685    60164 SH       DEFINED 1,2                      60164
SOLITARIO             Common
  EXPLORATION &       equity
  RLTY                shares       8342EP107     19    14685 SH       DEFINED 1                        14685
SONIC CORP            Common
                      equity
                      shares       835451105  12609  1258416 SH       DEFINED 1,2,5,6,8              1258416
SONIC AUTOMOTIVE      Common
  INC -CL A           equity
                      shares       83545G102  17864  1306941 SH       DEFINED 1,2,5,6,8              1306941
SONOCO PRODUCTS       Common
  CO                  equity
                      shares       835495102 209971  6964365 SH       DEFINED 1,2,5,6,8,12           6964365
ONCOGENEX             Common
  PHARMACEUTICALS     Stock        68230A106   2897   215572 SH       DEFINED 1,2                     215572
SOTHEBY`S             Common
                      equity
                      shares       835898107  68986  2067957 SH       DEFINED 1,2,5,6,8,12           2067957
SONUS NETWORKS INC    Common
                      equity
                      shares       835916107   8574  3989184 SH       DEFINED 1,2,5,6,8              3989184
BANCTRUST             Common
  FINANCIAL GRP INC   equity
                      shares       05978R107     56    18848 SH       DEFINED 1                        18848
SOUTH JERSEY          Common
  INDUSTRIES INC      equity
                      shares       838518108  34293   672860 SH       DEFINED 1,2,6,8,17              672860
PIONEER DRILLING CO   Common
                      Stock        723655106  13166  1651678 SH       DEFINED 1,2,5,6,8              1651678
SOUTHERN CMNTY        Common
  FINL CORP           equity
                      shares       842632101     49    15900 SH       DEFINED 1                        15900
SOUTHERN COPPER       Common
  CORP                equity
                      shares       84265V105 193695  6147057 SH       DEFINED 1,2,5,6,8,10,12,18     6147057
SOUTHSIDE             Common
  BANCSHARES INC      equity
                      shares       84470P109   6782   301622 SH       DEFINED 1,2,8                   301622
SOUTHWEST BANCORP     Common
  INC                 equity
                      shares       844767103   3417   362830 SH       DEFINED 1,2                     362830
SOUTHWEST GAS CORP    Common
                      equity
                      shares       844895102  49527  1134666 SH       DEFINED 1,2,5,6,8              1134666
SWS GROUP INC         Common
                      equity
                      shares       78503N107   3778   708174 SH       DEFINED 1,2,8                   708174
SOUTHWESTERN          Common
  ENERGY CO           equity
                      shares       845467109 464170 14536797 SH       DEFINED 1,2,5,6,8,10,12,18    14536797
SOVRAN SELF           Real Estate
  STORAGE INC         Investment
                      Trust        84610H108  44129   881072 SH       DEFINED 1,2,3,5,6,8             881072
SPARTAN MOTORS INC    Common
                      equity
                      shares       846819100   3325   634435 SH       DEFINED 1,2,8                   634435
SPARTAN STORES INC    Common
                      equity
                      shares       846822104   8148   449267 SH       DEFINED 1,2,8                   449267
SPECTRANETICS CORP    Common
                      Stock        84760C107   7380   645851 SH       DEFINED 1,2                     645851
SPEEDWAY              Common
  MOTORSPORTS INC     equity
                      shares       847788106   3910   231365 SH       DEFINED 1,2,8,17                231365
STAAR SURGICAL CO     Common
                      equity
                      shares       852312305   4687   603030 SH       DEFINED 1,2,6                   603030
STAMPS.COM INC        Common
                      Stock        852857200   6139   248925 SH       DEFINED 1,2,6                   248925
STANDARD              Common
  MICROSYSTEMS        equity
  CORP                shares       853626109  17404   471761 SH       DEFINED 1,2,6,8                 471761
STANDARD MOTOR        Common
  PRODS               equity
                      shares       853666105   6264   444857 SH       DEFINED 1,2,6,8                 444857
STANDARD PACIFIC      Common
  CORP                equity
                      shares       85375C101  62784 10142738 SH       DEFINED 1,2,6,8               10142738
STANDARD REGISTER     Common
  CO                  equity
                      shares       853887107      6    10386 SH       DEFINED 1                        10386
STANDEX               Common
  INTERNATIONAL       equity
  CORP                shares       854231107  10760   252720 SH       DEFINED 1,2,8                   252720
STAR SCIENTIFIC INC   Common
                      equity
                      shares       85517P101   9320  2043817 SH       DEFINED 1,2,6                  2043817
STATE AUTO            Common
  FINANCIAL CORP      equity
                      shares       855707105   3604   256645 SH       DEFINED 1,2,8                   256645
ELEPHANT TALK         Common
  COMM INC            Stock        286202205    105    62800 SH       DEFINED 1                        62800
STEEL DYNAMICS INC    Common
                      equity
                      shares       858119100  84010  7149535 SH       DEFINED 1,2,5,6,8,10,12        7149535
STEELCASE INC         Common
                      equity
                      shares       858155203  13270  1469099 SH       DEFINED 1,2,5,6,8              1469099
STEIN MART INC        Common
                      equity
                      shares       858375108   4456   560371 SH       DEFINED 1,2,8                   560371
STEINWAY MUSICAL      Common
  INSTRS INC          equity
                      shares       858495104   2943   120065 SH       DEFINED 1,2                     120065
STEPAN CO             Common
                      equity
                      shares       858586100  16000   169889 SH       DEFINED 1,2,5,6,8               169889
STERICYCLE INC        Common
                      equity
                      shares       858912108 296636  3235734 SH       DEFINED 1,2,5,6,8,10,12,18     3235734
STERIS CORP           Common
                      equity
                      shares       859152100  52643  1678178 SH       DEFINED 1,2,5,6,8,12           1678178
STERLING BANCORP/     Common
  NY                  equity
                      shares       859158107   5839   584931 SH       DEFINED 1,2,8                   584931
STERLING FINANCIAL    Common
  CORP/WA             Stock        859319303  13657   723069 SH       DEFINED 1,2,6,8                 723069
STEWART               Common
  ENTERPRISES -CL A   equity
                      shares       860370105  12178  1705455 SH       DEFINED 1,2,5,6,8              1705455
STEWART               Common
  INFORMATION         equity
  SERVICES            shares       860372101   5867   382178 SH       DEFINED 1,2,8                   382178
STIFEL FINANCIAL      Common
  CORP                equity
                      shares       860630102  36472  1180510 SH       DEFINED 1,2,6,8                1180510
STILLWATER MINING     Common
  CO                  equity
                      shares       86074Q102  41293  4835500 SH       DEFINED 1,2,5,6,8              4835500
STONE ENERGY CORP     Common
                      equity
                      shares       861642106  39610  1563234 SH       DEFINED 1,2,5,6,8              1563234
STONERIDGE INC        Common
                      equity
                      shares       86183P102   2756   404888 SH       DEFINED 1,2,6                   404888
STRATASYS INC         Common
                      equity
                      shares       862685104  20986   423535 SH       DEFINED 1,2,5,6,8               423535
STRAYER EDUCATION     Common
  INC                 equity
                      shares       863236105  42774   392352 SH       DEFINED 1,2,5,6,8,12            392352
STURM RUGER & CO      Common
  INC                 equity
                      shares       864159108  15228   379360 SH       DEFINED 1,2,6,8                 379360
SUBURBAN PROPANE      Composition
  PRTNRS -LP          of more than
                      1 security   864482104   1890    45790 SH       DEFINED 1                        45790
SUFFOLK BANCORP       Common
                      equity
                      shares       864739107   2606   201023 SH       DEFINED 1,2                     201023
SUN BANCORP INC/NJ    Common
                      equity
                      shares       86663B102   1492   551446 SH       DEFINED 1,2,8                   551446
SUN COMMUNITIES       Real Estate
  INC                 Investment
                      Trust        866674104  33776   763368 SH       DEFINED 1,2,3,5,6,8             763368
SUN HYDRAULICS        Common
  CORP                equity
                      shares       866942105   8634   355529 SH       DEFINED 1,2,6,8                 355529
SUNRISE SENIOR        Common
  LIVING INC          equity
                      shares       86768K106   7411  1016960 SH       DEFINED 1,2,6,8                1016960
SUPERCONDUCTOR        Common
  TECHNOLOGIES        equity
                      shares       867931305      9    15480 SH       DEFINED 1                        15480
ASTEX
  PHARMACEUTICALS     Common
  INC                 Stock        04624B103   3083  1475427 SH       DEFINED 1,2                    1475427
SUPERIOR ENERGY       Common
  SERVICES INC        equity
                      shares       868157108  90853  4491379 SH       DEFINED 1,2,5,6,8,10,12,17,18  4435379           56000
SUPERIOR INDUSTRIES   Common
  INTL                equity
                      shares       868168105   8047   491510 SH       DEFINED 1,2,6,8                 491510
SUPERTEX INC          Common
                      equity
                      shares       868532102   3764   199638 SH       DEFINED 1,2,8                   199638
SUPPORT.COM INC       Common
                      equity
                      shares       86858W101   2538   795417 SH       DEFINED 1,2                     795417
SURMODICS INC         Common
                      equity
                      shares       868873100   5641   325954 SH       DEFINED 1,2,6,8                 325954
SUSQUEHANNA           Common
  BANCSHARES INC      equity
                      shares       869099101  67775  6579819 SH       DEFINED 1,2,5,6,8              6579819
SWIFT ENERGY CO       Common
                      equity
                      shares       870738101  27432  1474012 SH       DEFINED 1,2,6,8                1474012
SYKES ENTERPRISES     Common
  INC                 equity
                      shares       871237103  14282   894609 SH       DEFINED 1,2,6,8                 894609
SYMMETRICOM INC       Common
                      Stock        871543104   5918   988248 SH       DEFINED 1,2,5,8                 988248
SYNTEL INC            Common
                      equity
                      shares       87162H103  17142   282411 SH       DEFINED 1,2,6,8                 282411
OXYGEN                Common
  BIOTHERAPEUTICS     equity
  INC                 shares       69207P209     19    12300 SH       DEFINED 1                        12300
SYNTROLEUM CORP       Common
                      equity
                      shares       871630109     50    73975 SH       DEFINED 1,5                      73975
SYPRIS SOLUTIONS INC  Common
                      equity
                      shares       871655106    878   125876 SH       DEFINED 1,2                     125876
SYSTEMAX INC          Common
                      equity
                      shares       871851101   2587   218979 SH       DEFINED 1,2                     218979
CATAMARAN CORP        Common
                      Stock        148887102  61956   624482 SH       DEFINED 1,2,6                   624482
TC PIPELINES LP       Misc Equity  87233Q108   1838    42638 SH       DEFINED 1                        42638
TESSCO                Common
  TECHNOLOGIES INC    equity
                      shares       872386107   1370    62124 SH       DEFINED 1,2                      62124
TGC INDUSTRIES INC    Common
                      equity
                      shares       872417308   2128   219107 SH       DEFINED 1,2                     219107
THQ INC               Common
                      equity
                      shares       872443601     36    57746 SH       DEFINED 1                        57746
TRC COS INC           Common
                      equity
                      shares       872625108   1498   246446 SH       DEFINED 1,2                     246446
TTM TECHNOLOGIES      Common
  INC                 equity
                      shares       87305R109   9965  1058633 SH       DEFINED 1,2,6,8                1058633
TAKE-TWO              Common
  INTERACTIVE         equity
  SFTWR               shares       874054109  16871  1783325 SH       DEFINED 1,2,5,6,8              1783325
TALBOTS INC           Common
                      equity
                      shares       874161102   3130  1240693 SH       DEFINED 1,2,6,8                1240693
TAUBMAN CENTERS       Real Estate
  INC                 Investment
                      Trust        876664103 157489  2040999 SH       DEFINED 1,2,3,5,6,8,12         2040999
TEAM INC              Common
                      Stock        878155100  11383   365089 SH       DEFINED 1,2,6,8                 365089
TECH DATA CORP        Common
                      equity
                      shares       878237106  44974   933563 SH       DEFINED 1,2,5,6,8,12,17         933563
TECHNE CORP           Common
                      equity
                      shares       878377100  66464   895753 SH       DEFINED 1,2,5,6,8,12            895753
PULSE ELECTRONICS     Common
  CORP                equity
                      shares       74586W106    161    81443 SH       DEFINED 1,2                      81443
TECUMSEH PRODUCTS     Common
  CO -CL A            Stock        878895200     88    17476 SH       DEFINED 1,2                      17476
TEJON RANCH CO        Common
                      equity
                      shares       879080109   7365   257449 SH       DEFINED 1,2,6,8                 257449
TIM PARTICIPACOES     American
  SA                  Depository
                      Receipt      88706P205   4201   152943 SH       DEFINED 1,2,5,6,10              152943
TELEFONICA BRASIL     American
  SA                  Depository
                      Receipt      87936R106  14104   570115 SH       DEFINED 1,2,4,5,6,10            570115
TELECOMMUNICATION     Common
  SYS INC             Stock        87929J103     82    68504 SH       DEFINED 1                        68504
TELEDYNE              Common
  TECHNOLOGIES INC    equity
                      shares       879360105  49984   810822 SH       DEFINED 1,2,5,6,8               810822
TELULAR CORP          Common
                      equity
                      shares       87970T208   1929   208677 SH       DEFINED 1,2                     208677
TELUS CORP            Common
                      equity
                      shares       87971M202    258     4419 SH       DEFINED 2                         4419
TELETECH HOLDINGS     Common
  INC                 equity
                      shares       879939106   9204   575298 SH       DEFINED 1,2,6,8                 575298
TENGASCO INC          Common
                      equity
                      shares       88033R205      8    10300 SH       DEFINED 1                        10300
TENNANT CO            Common
                      equity
                      shares       880345103  14508   363151 SH       DEFINED 1,2,6,8                 363151
TENNECO INC           Common
                      equity
                      shares       880349105  34234  1276369 SH       DEFINED 1,2,5,6,8              1276369
TEREX CORP            Common
                      equity
                      shares       880779103  47516  2664936 SH       DEFINED 1,2,5,6,8,10,12        2664936
TESCO CORP            Common
                      equity
                      shares       88157K101   6552   546168 SH       DEFINED 1,2,5,6,8               546168
TESORO CORP           Common
                      equity
                      shares       881609101 180708  7240254 SH       DEFINED 1,2,5,6,8,10,12        7240254
TEVA                  Depository
  PHARMACEUTICALS     Receipt      881624209  23703   600986 SH       DEFINED 1,2,6,10,19             600986
TETRA TECHNOLOGIES    Common
  INC/DE              equity
                      shares       88162F105  14873  2085537 SH       DEFINED 1,2,6,8                2085537
TETRA TECH INC        Common
                      equity
                      shares       88162G103  36581  1402762 SH       DEFINED 1,2,5,6,8              1402762
TEXAS INDUSTRIES      Common
  INC                 equity
                      shares       882491103  19480   499384 SH       DEFINED 1,2,6,8                 499384
THERAGENICS CORP      Common
                      equity
                      shares       883375107     61    30281 SH       DEFINED 1                        30281
KADANT INC            Common
                      equity
                      shares       48282T104   6854   292316 SH       DEFINED 1,2,8                   292316
THESTREET INC         Common
                      equity
                      shares       88368Q103     26    16700 SH       DEFINED 1                        16700
THOR INDUSTRIES INC   Common
                      equity
                      shares       885160101  23882   871382 SH       DEFINED 1,2,5,6,8,12            871382
THORATEC CORP         Common
                      equity
                      shares       885175307  48967  1458257 SH       DEFINED 1,2,5,6,8,12           1458257
3D SYSTEMS CORP       Common
                      Stock        88554D205  27765   813316 SH       DEFINED 1,2,6,8                 813316
TIBCO SOFTWARE INC    Common
                      equity
                      shares       88632Q103 102294  3418918 SH       DEFINED 1,2,5,6,8,12           3418918
TIDEWATER INC         Common
                      equity
                      shares       886423102  58434  1260449 SH       DEFINED 1,2,5,6,8,12           1260449
OFFICIAL PAYMENTS     Common
  HLDGS INC           equity
                      shares       67623R106     49    12300 SH       DEFINED 1                        12300
TIMKEN CO             Common
                      equity
                      shares       887389104  91674  2002025 SH       DEFINED 1,2,5,6,8,12           2002025
TITAN                 Common
  INTERNATIONAL INC   equity
                      shares       88830M102  20231   824702 SH       DEFINED 1,2,6,8                 824702
TITANIUM METALS       Common
  CORP                equity
                      shares       888339207  57500  5083575 SH       DEFINED 1,2,5,6,8,10,12        5083575
TIVO INC              Common
                      Stock        888706108  22286  2694711 SH       DEFINED 1,2,5,6,8              2694711
TOLL BROTHERS INC     Common
                      equity
                      shares       889478103 160136  5386085 SH       DEFINED 1,2,5,6,8,10,12,18     5386085
TOMPKINS FINANCIAL    Common
  CORP                equity
                      shares       890110109   6720   178352 SH       DEFINED 1,2,5,8,17              178352
TOOTSIE ROLL          Common
  INDUSTRIES INC      equity
                      shares       890516107  17505   733696 SH       DEFINED 1,2,5,6,8,12,17         733696
ZAZA ENERGY CORP      Common
                      equity
                      shares       98919T100   1741   384832 SH       DEFINED 1,2                     384832
TORO CO               Common
                      equity
                      shares       891092108  35100   478892 SH       DEFINED 1,2,5,6,8               478892
TOWNEBANK             Common
                      equity
                      shares       89214P109   6036   431270 SH       DEFINED 1,2,6,8                 431270
TRACTOR SUPPLY CO     Common
                      equity
                      shares       892356106 156802  1887777 SH       DEFINED 1,2,5,6,8,10,12,18     1887777
ACI WORLDWIDE INC     Common
                      equity
                      shares       004498101  54379  1230091 SH       DEFINED 1,2,5,6,8,12           1230091
TREDEGAR CORP         Common
                      equity
                      shares       894650100   6546   449428 SH       DEFINED 1,2,5,6,8               449428
TREX CO INC           Common
                      equity
                      shares       89531P105  25952   862517 SH       DEFINED 1,2,6,8                 862517
TRI-VALLEY CORP       Common
                      Stock        895735108      1    20800 SH       DEFINED 1                        20800
WENDY`S CO            Common
                      Stock        95058W100  33461  7089424 SH       DEFINED 1,2,5,6,8,12           7089424
TRICO BANCSHARES      Common
                      equity
                      shares       896095106   3943   256018 SH       DEFINED 1,2                     256018
TRIMBLE NAVIGATION    Common
  LTD                 equity
                      shares       896239100 151395  3290402 SH       DEFINED 1,2,5,6,8,10,12,18     3290402
SYNAGEVA              Common
  BIOPHARMA CORP      equity
                      shares       87159A103   5291   130546 SH       DEFINED 1,2,6                   130546
TRINITY INDUSTRIES    Common
                      equity
                      shares       896522109  47753  1911927 SH       DEFINED 1,2,5,6,8,12           1911927
TRIQUINT              Common
  SEMICONDUCTOR       equity
  INC                 shares       89674K103  21651  3936476 SH       DEFINED 1,2,5,6,8              3936476
TRIUMPH GROUP INC     Common
                      equity
                      shares       896818101  62252  1106343 SH       DEFINED 1,2,5,6,8,12           1106343
TRUSTCO BANK CORP/    Common
  NY                  equity
                      shares       898349105   9360  1714291 SH       DEFINED 1,2,5,6,8              1714291
TRUSTMARK CORP        Common
                      equity
                      shares       898402102  64936  2652529 SH       DEFINED 1,2,5,6,8,12           2652529
TUESDAY MORNING       Common
  CORP                equity
                      shares       899035505   3307   771333 SH       DEFINED 1,2                     771333
TUPPERWARE BRANDS     Common
  CORP                equity
                      shares       899896104  66742  1218742 SH       DEFINED 1,2,5,6,8,12           1218742
TURKCELL ILETISIM     American
  HIZMET              Depository
                      Receipt      900111204   1391   110846 SH       DEFINED 1,6                     110846
TWIN DISC INC         Common
                      equity
                      shares       901476101   2571   138986 SH       DEFINED 1,2,6,8                 138986
II-VI INC             Common
                      equity
                      shares       902104108  16752  1004794 SH       DEFINED 1,2,6,8                1004794
TYLER TECHNOLOGIES    Common
  INC                 equity
                      shares       902252105  24160   598748 SH       DEFINED 1,2,5,6,8               598748
GRAFTECH              Common
  INTERNATIONAL       equity
  LTD                 shares       384313102  16214  1680297 SH       DEFINED 1,2,5,6,8              1680297
UFP TECHNOLOGIES      Common
  INC                 equity
                      shares       902673102   1080    63925 SH       DEFINED 1,2                      63925
UGI CORP              Common
                      equity
                      shares       902681105  78808  2677902 SH       DEFINED 1,2,5,6,8,12           2677902
UIL HOLDINGS CORP     Common
                      equity
                      shares       902748102  43687  1218327 SH       DEFINED 1,2,5,6,8              1218327
UMB FINANCIAL CORP    Common
                      equity
                      shares       902788108  57582  1124027 SH       DEFINED 1,2,5,6,8              1124027
U S GLOBAL            Common
  INVESTORS INC       equity
                      shares       902952100     44    10140 SH       DEFINED 1                        10140
UQM TECHNOLOGIES      Common
  INC                 equity
                      shares       903213106     18    21076 SH       DEFINED 1                        21076
URS CORP              Common
                      equity
                      shares       903236107  77493  2221977 SH       DEFINED 1,2,5,6,8,10,12,18     2221977
USANA HEALTH          Common
  SCIENCES INC        Stock        90328M107   5079   123618 SH       DEFINED 1,2,6,8                 123618
USA TECHNOLOGIES      Common
  INC                 equity
                      shares       90328S500     17    11800 SH       DEFINED 1                        11800
USG CORP              Common
                      equity
                      shares       903293405  78402  4115409 SH       DEFINED 1,2,5,6,8              4115409
CHINDEX INTL INC      Common
                      Stock        169467107   2248   229403 SH       DEFINED 1,2                     229403
USEC INC              Common
                      equity
                      shares       90333E108    171   173830 SH       DEFINED 1,5                     173830
U S PHYSICAL          Common
  THERAPY INC         equity
                      shares       90337L108   6351   249688 SH       DEFINED 1,2,5,8                 249688
ULTIMATE SOFTWARE     Common
  GROUP INC           Stock        90385D107  48676   546188 SH       DEFINED 1,2,5,6,8               546188
ULTRALIFE CORP        Common
                      equity
                      shares       903899102     62    15976 SH       DEFINED 1                        15976
ULTRA PETROLEUM       Common
  CORP                equity
                      shares       903914109  70138  3040184 SH       DEFINED 1,2,5,6,8,10,12,18     3040184
ULTRAPAR              American
  PARTICIPACOES SA    Depository
                      Receipt      90400P101   5768   254335 SH       DEFINED 1,2,4,5,6,10            254335
ULTRATECH INC         Common
                      Stock        904034105  16227   515136 SH       DEFINED 1,2,6,8                 515136
UMPQUA HOLDINGS       Common
  CORP                equity
                      shares       904214103  56514  4294334 SH       DEFINED 1,2,5,6,8              4294334
UNIFI INC             Common
                      equity
                      shares       904677200   2830   249731 SH       DEFINED 1,2                     249731
UNIFIRST CORP         Common
                      equity
                      shares       904708104  18590   291597 SH       DEFINED 1,2,5,6,8               291597
UNION FIRST MARKET    Common
  BANKSHARS           equity
                      shares       90662P104   5132   355291 SH       DEFINED 1,2,8                   355291






                                                      SHS/PRN  SH/ PUT/ DISCRE-                            SOLE   SHARED    NO
ISSUER                     CLASS       CUSIP   VALUE    VAL    PRN CALL    TION         MANAGERS          VOTING  VOTING  VOTING
--------------------------------------------------------------------------------------------------------------------------------
                                                                                         
UNS ENERGY CORP         Common
                        equity
                        shares       903119105  39036  1016263 SH       DEFINED 1,2,5,6,8                 1016263
UNIT CORP               Common
                        equity
                        shares       909218109  41927  1136656 SH       DEFINED 1,2,5,6,8,12              1136656
PENSKE AUTOMOTIVE       Common
 GROUP INC              equity
                        shares       70959W103  23924  1126571 SH       DEFINED 1,2,5,6,8                 1126571
UNITED COMMUNITY        Common
 FINL CORP              equity
                        shares       909839102     77    26008 SH       DEFINED 1                           26008
UNITED BANKSHARES       Common
 INC/WV                 equity
                        shares       909907107 138917  5367790 SH       DEFINED 1,2,5,6,8                 5367790
UDR INC                 Real Estate
                        Investment
                        Trust        902653104 237087  9175235 SH       DEFINED 1,2,3,5,6,8,10,12,18      9175235
UNITED FIRE GROUP INC   Common
                        equity
                        shares       910340108   8926   418464 SH       DEFINED 1,2,6,8                    418464
UNITED                  American
 MICROELECTRONICS       Depository
 CORP                   Receipt      910873405   6895  3178001 SH       DEFINED 1,2,5,6,8                 3178001
UMH PROPERTIES INC      REIT         903002103   1988   185359 SH       DEFINED 1,2,6                      185359
UNITED NATURAL FOODS    Common
 INC                    equity
                        shares       911163103  58855  1072916 SH       DEFINED 1,2,5,6,8                 1072916
UNITED RENTALS INC      Common
                        equity
                        shares       911363109  67151  1972775 SH       DEFINED 1,2,5,6,8,12              1972775
U S ANTIMONY CORP       Common
                        Stock        911549103   2765   684400 SH       DEFINED 1,2                        684400
US CELLULAR CORP        Common
                        equity
                        shares       911684108   7792   201769 SH       DEFINED 1,2,5,8                    201769
U S ENERGY CORP/WY      Common
                        equity
                        shares       911805109     49    20700 SH       DEFINED 1                           20700
U S LIME & MINERALS     Common
                        equity
                        shares       911922102   1796    38464 SH       DEFINED 1,2,6                       38464
MCEWEN MINING INC       Common
                        Stock        58039P107  27131  9013588 SH       DEFINED 1,2,6,8                   9013588
UNITED STATIONERS INC   Common
                        equity
                        shares       913004107  26765   993125 SH       DEFINED 1,2,5,6,8                  993125
UNITED THERAPEUTICS     Common
 CORP                   equity
                        shares       91307C102  76142  1541950 SH       DEFINED 1,2,5,6,8,12              1541950
UNITIL CORP             Common
                        equity
                        shares       913259107   6382   240747 SH       DEFINED 1,2                        240747
KEMPER CORP/DE          Common
                        equity
                        shares       488401100  36252  1178989 SH       DEFINED 1,2,5,6,8,12              1178989
UNIVERSAL AMERICAN      Common
 CORP                   equity
                        shares       91338E101   6794   645165 SH       DEFINED 1,2,5,6,8,17               645165
UNIVERSAL CORP/VA       Common
                        equity
                        shares       913456109  34435   743362 SH       DEFINED 1,2,5,6,17                 743362
UNIVERSAL DISPLAY       Common
 CORP                   Stock        91347P105  29603   823653 SH       DEFINED 1,2,5,6,8                  823653
UNIVERSAL               Common
 ELECTRONICS INC        equity
                        shares       913483103   3983   302193 SH       DEFINED 1,2,5,8                    302193
UNIVERSAL FOREST        Common
 PRODS INC              equity
                        shares       913543104  25150   645190 SH       DEFINED 1,2,6,8                    645190
UNIVERSAL HEALTH        Real Estate
 RLTY INCOME            Investment
                        Trust        91359E105  15419   371388 SH       DEFINED 1,2,3,8                    371388
UNIVERSAL INSURANCE     Common
 HLDGS                  equity
                        shares       91359V107   1201   352364 SH       DEFINED 1,2                        352364
UNVL STAINLESS &        Common
 ALLOY PRODS            equity
                        shares       913837100   4838   117778 SH       DEFINED 1,2,5,6                    117778
UNIVERSAL HEALTH        Common
 SVCS INC               equity
                        shares       913903100  93395  2163838 SH       DEFINED 1,2,5,6,8,12              2163838
UNIVEST CORP OF         Common
 PENNSYLVANIA           equity
                        shares       915271100   4964   300203 SH       DEFINED 1,2,8                      300203
INTERMEC INC            Common
                        equity
                        shares       458786100   6918  1115295 SH       DEFINED 1,2,5,6,8                 1115295
URANIUM RESOURCES       Common
 INC                    Stock        916901507     35    54530 SH       DEFINED 1                           54530
OILSANDS QUEST INC      Common
                        Stock        678046103     38   875904 SH       DEFINED 1,2,8                      875904
UROPLASTY INC           Common
                        equity
                        shares       917277204     51    11100 SH       DEFINED 1                           11100
URSTADT BIDDLE          Real Estate
 PROPERTIES             Investment
                        Trust        917286205   9729   491924 SH       DEFINED 1,2,3,8                    491924
UTAH MEDICAL            Common
 PRODUCTS INC           equity
                        shares       917488108   1349    40299 SH       DEFINED 1,2                         40299
GEEKNET INC             Common
                        equity
                        shares       36846Q203   1265    63769 SH       DEFINED 1,2                         63769
VSE CORP                Common
                        Stock        918284100   1879    78995 SH       DEFINED 1,2                         78995
VAALCO ENERGY INC       Common
                        equity
                        shares       91851C201  21068  2440834 SH       DEFINED 1,2,6,8                   2440834
VAIL RESORTS INC        Common
                        equity
                        shares       91879Q109  37343   745776 SH       DEFINED 1,2,6,8,17                 739988          5788
VALASSIS                Common
 COMMUNICATIONS INC     equity
                        shares       918866104  32242  1482259 SH       DEFINED 1,2,5,6,8,12              1482259
VALHI INC               Common
                        equity
                        shares       918905100    310    24861 SH       DEFINED 1                           24861
VALENCE TECHNOLOGY      Common
 INC                    equity
                        shares       918914102     35    56724 SH       DEFINED 1                           56724
SYNERGETICS USA INC     Common
                        equity
                        shares       87160G107     74    16600 SH       DEFINED 1                           16600
VALLEY NATIONAL         Common
 BANCORP                equity
                        shares       919794107  95349  8995545 SH       DEFINED 1,2,5,6,8,12              8995545
VALMONT INDUSTRIES      Common
 INC                    equity
                        shares       920253101  61036   504565 SH       DEFINED 1,2,5,6,8,12,17            502855          1710
VALSPAR CORP            Common
                        equity
                        shares       920355104 101945  1942227 SH       DEFINED 1,2,5,6,8,12,18           1942227
VALUE LINE INC          Common
                        equity
                        shares       920437100    215    18376 SH       DEFINED 1,2                         18376
VALUECLICK INC          Common
                        equity
                        shares       92046N102  41229  2515811 SH       DEFINED 1,2,5,6,8,12,17           2515811
VALUEVISION MEDIA INC   Common
 -CL A                  equity
                        shares       92047K107     54    26260 SH       DEFINED 1                           26260
VASCO DATA SEC INTL     Common
 INC                    equity
                        shares       92230Y104   4305   526334 SH       DEFINED 1,2,6,8                    526334
VASCULAR SOLUTIONS      Common
 INC                    Stock        92231M109   3335   265254 SH       DEFINED 1,2                        265254
VECTREN CORP            Common
                        equity
                        shares       92240G101 155194  5257236 SH       DEFINED 1,2,5,6,8,12              5257236
VECTOR GROUP LTD        Common
                        equity
                        shares       92240M108  16649   978132 SH       DEFINED 1,2,6,17                   978132
VEECO INSTRUMENTS INC   Common
                        equity
                        shares       922417100  31227   908911 SH       DEFINED 1,2,5,6,8                  908911
VENTAS INC              Real Estate
                        Investment
                        Trust        92276F100 896647 14205538 SH       DEFINED 1,2,3,5,6,8,10,12,18     14205538
VERTEX                  Common
 PHARMACEUTICALS        equity
 INC                    shares       92532F100 323706  5788866 SH       DEFINED 1,2,5,6,8,10,12,18        5788866
VIAD CORP               Common
                        equity
                        shares       92552R406   7950   397292 SH       DEFINED 1,2,5,6,8                  397292
VIASAT INC              Common
                        equity
                        shares       92552V100  32232   853439 SH       DEFINED 1,2,5,6,8                  853439
VICAL INC               Common
                        equity
                        shares       925602104   4873  1354677 SH       DEFINED 1,2,6                     1354677
MULTIBAND CORP          Common
                        equity
                        shares       62544X209     29    12300 SH       DEFINED 1                           12300
VICOR CORP              Common
                        equity
                        shares       925815102   2629   378383 SH       DEFINED 1,2,6,8                    378383
TATA COMMUNICATIONS     American
 LTD                    Depository
                        Receipt      876564105    113    13644 SH       DEFINED 1,8                         13644
VILLAGE SUPER MARKET    Common
 -CL A                  equity
                        shares       927107409   5945   182355 SH       DEFINED 1,2,17                     182355
VINA CONCHA Y TORO SA   American
                        Depository
                        Receipt      927191106   2806    70302 SH       DEFINED 1,2,5,6                     70302
VIRCO MFG. CORP         Common
                        equity
                        shares       927651109     17    11061 SH       DEFINED 1                           11061
VIRGINIA COMM           Common
 BANCORP INC            equity
                        shares       92778Q109   3632   430925 SH       DEFINED 1,2                        430925
STELLARONE CORP         Common
                        equity
                        shares       85856G100   4794   384014 SH       DEFINED 1,2,8                      384014
VISION-SCIENCES INC     Common
                        equity
                        shares       927912105     17    11100 SH       DEFINED 1                           11100
VISTA GOLD CORP         Common
                        equity
                        shares       927926303   2954  1014508 SH       DEFINED 1,2,6                     1014508
KIT DIGITAL INC         Common
                        Stock        482470200   3190   744120 SH       DEFINED 1,2,6,8                    744120
VIROPHARMA INC          Common
                        equity
                        shares       928241108  57236  2415050 SH       DEFINED 1,2,5,6,8                 2415050
VITESSE                 Common
 SEMICONDUCTOR CORP     equity
                        shares       928497304     34    12919 SH       DEFINED 1                           12919
VIVUS INC               Common
                        Stock        928551100  73671  2581279 SH       DEFINED 1,2,5,6,8                 2581279
VODAFONE GROUP PLC      Depository
                        Receipt      92857W209   7925   281195 SH       DEFINED 1                          281195
ALUMINA LTD             American
                        Depository
                        Receipt      022205108     54    16423 SH       DEFINED 1                           16423
FIBRIA CELULOSE SA      American
                        Depository
                        Receipt      31573A109   2013   269001 SH       DEFINED 1,2,5,6,10                 269001
WD-40 CO                Common
                        equity
                        shares       929236107  17864   358599 SH       DEFINED 1,2,5,6,8                  358599
WGL HOLDINGS INC        Common
                        equity
                        shares       92924F106 193484  4867502 SH       DEFINED 1,2,5,6,8,12,17           4867502
INTEGRYS ENERGY         Common
 GROUP INC              equity
                        shares       45822P105 234606  4125426 SH       DEFINED 1,2,5,6,8,10,12,18        4125426
WSFS FINANCIAL CORP     Common
                        equity
                        shares       929328102   5039   124805 SH       DEFINED 1,2,5,8                    124805
WABASH NATIONAL         Common
 CORP                   equity
                        shares       929566107   8130  1227845 SH       DEFINED 1,2,6,8                   1227845
WABTEC CORP             Common
                        equity
                        shares       929740108  86357  1107033 SH       DEFINED 1,2,5,6,8,12,17           1105483          1550
GEO GROUP INC           Common
                        equity
                        shares       36159R103  31132  1370429 SH       DEFINED 1,2,5,6,8                 1370429
WADDELL&REED FINL       Common
 INC -CL A              equity
                        shares       930059100  60535  1999285 SH       DEFINED 1,2,5,6,8,12              1999285
WALTER ENERGY INC       Common
                        equity
                        shares       93317Q105  63970  1448477 SH       DEFINED 1,2,5,6,8,10,12,18        1448477
WASHINGTON BANKING      Common
 CO                     equity
                        shares       937303105   3419   245983 SH       DEFINED 1,2                        245983
WASHINGTON FEDERAL      Common
 INC                    equity
                        shares       938824109  42209  2499108 SH       DEFINED 1,2,5,6,8,12              2499108
WASHINGTON REIT         Real Estate
                        Investment
                        Trust        939653101  63772  2241565 SH       DEFINED 1,2,3,5,6,8               2241565
WASHINGTON TR           Common
 BANCORP INC            equity
                        shares       940610108   5868   240650 SH       DEFINED 1,2,8                      240650
WASTE CONNECTIONS       Common
 INC                    equity
                        shares       941053100  83850  2802461 SH       DEFINED 1,2,5,6,8,12              2802461
WATSCO INC              Common
                        equity
                        shares       942622200  67056   908580 SH       DEFINED 1,2,5,6,8,12               908580
WATTS WATER             Common
 TECHNOLOGIES INC       equity
                        shares       942749102  19103   572976 SH       DEFINED 1,2,6,8                    572976
WAUSAU PAPER CORP       Common
                        equity
                        shares       943315101   9632   989688 SH       DEFINED 1,2,8                      989688
WAVE SYSTEMS CORP -CL   Common
 A                      Stock        943526301     37    53329 SH       DEFINED 1                           53329
WEBSENSE INC            Common
                        equity
                        shares       947684106  14592   779104 SH       DEFINED 1,2,5,6,8                  779104
WEBSTER FINANCIAL       Common
 CORP                   equity
                        shares       947890109  70803  3268917 SH       DEFINED 1,2,5,6,8,12              3268917
SCHIFF NUTRITION INTL   Common
 INC                    equity
                        shares       806693107   3771   210042 SH       DEFINED 1,2,6                      210042
WEINGARTEN REALTY       Real Estate
 INVST                  Investment
                        Trust        948741103 112257  4261880 SH       DEFINED 1,2,3,5,6,8,12            4261880
WEIS MARKETS INC        Common
                        equity
                        shares       948849104   9879   221886 SH       DEFINED 1,2,5,8,17                 221886
WERNER ENTERPRISES      Common
 INC                    equity
                        shares       950755108  35154  1471472 SH       DEFINED 1,2,5,6,8,12              1471472
WESBANCO INC            Common
                        equity
                        shares       950810101  10534   495301 SH       DEFINED 1,2,8                      495301
WESCO INTL INC          Common
                        equity
                        shares       95082P105  32584   566227 SH       DEFINED 1,2,5,6,8                  566227
WEST BANCORPORATION     Common
 INC                    equity
                        shares       95123P106   2388   250948 SH       DEFINED 1,2                        250948
WEST COAST BANCORP/     Common
 OR                     equity
                        shares       952145209   6637   337677 SH       DEFINED 1,2,8                      337677
WEST MARINE INC         Common
                        Stock        954235107   3186   271169 SH       DEFINED 1,2                        271169
WEST PHARMACEUTICAL     Common
 SVSC INC               equity
                        shares       955306105  38590   764285 SH       DEFINED 1,2,5,6,8                  764285
WESTAMERICA             Common
 BANCORPORATION         equity
                        shares       957090103  55929  1185211 SH       DEFINED 1,2,5,6,8,12,17           1185211
RED LION HOTELS CORP    Common
                        equity
                        shares       756764106   1935   223922 SH       DEFINED 1,2                        223922
WESTELL TECH INC -CL A  Common
                        equity
                        shares       957541105   2083   875442 SH       DEFINED 1,2                        875442
WESTERN DIGITAL CORP    Common
                        Stock        958102105 345624 11339724 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 11339724
WESTAR ENERGY INC       Common
                        equity
                        shares       95709T100  88092  2941345 SH       DEFINED 1,2,5,6,8,12,17           2941345
WESTMORELAND COAL       Common
 CO                     Stock        960878106   1090   135612 SH       DEFINED 1,2,5                      135612
DIAL GLOBAL INC         Common
                        Stock        25247X107    189    56280 SH       DEFINED 1,2                         56280
WET SEAL INC            Common
                        Stock        961840105   6342  2007812 SH       DEFINED 1,2,6,8                   2007812
WEYCO GROUP INC         Common
                        equity
                        shares       962149100   2603   112305 SH       DEFINED 1,2                        112305
WIDEPOINT CORP          Common
                        equity
                        shares       967590100     17    28400 SH       DEFINED 1                           28400
WILLBROS GROUP INC      Common
                        equity
                        shares       969203108   4657   720903 SH       DEFINED 1,2,5,6,8                  720903
CLAYTON WILLIAMS        Common
 ENERGY INC             Stock        969490101  11492   237465 SH       DEFINED 1,2,6,8                    237465
MAGELLAN MIDSTREAM      Limited
 PRTNRS LP              Partnership  559080106   9563   135379 SH       DEFINED 1                          135379
WILLIAMS-SONOMA INC     Common
                        equity
                        shares       969904101 113329  3241087 SH       DEFINED 1,2,5,6,8,10,12           3241087
WILLIS LEASE FINANCE    Common
 CORP                   equity
                        shares       970646105    791    64230 SH       DEFINED 1,2                         64230
WILSHIRE BANCORP INC    Common
                        equity
                        shares       97186T108   6878  1255243 SH       DEFINED 1,2,6,8                   1255243
WINNEBAGO INDUSTRIES    Common
                        equity
                        shares       974637100   5681   557597 SH       DEFINED 1,2,5,6,8                  557597
WIPRO LTD               American
                        Depository
                        Receipt      97651M109  10607  1155258 SH       DEFINED 1,2,5,6,8,10              1155258
GLOWPOINT INC           Common
                        Stock        379887201     31    14900 SH       DEFINED 1                           14900
WIRELESS TELECOM        Common
 GROUP INC              equity
                        shares       976524108     12    10100 SH       DEFINED 1                           10100
KRATOS DEFENSE &        Common
 SECURITY               equity
                        shares       50077B207   3419   585611 SH       DEFINED 1,2                        585611
WOLVERINE WORLD         Common
 WIDE                   equity
                        shares       978097103  42361  1092388 SH       DEFINED 1,2,5,6,8                 1092388
WOODWARD INC            Common
                        equity
                        shares       980745103  73021  1851449 SH       DEFINED 1,2,5,6,8,12              1851449
WORLD ACCEPTANCE        Common
 CORP/DE                equity
                        shares       981419104  16607   252412 SH       DEFINED 1,2,6,8                    252412
WORLD FUEL SERVICES     Common
 CORP                   equity
                        shares       981475106  75181  1977085 SH       DEFINED 1,2,5,6,8,12              1977085
WORLD WRESTLING         Common
 ENTMT INC              equity
                        shares       98156Q108   3971   507788 SH       DEFINED 1,2,6,8                    507788
YADKIN VALLEY           Common
 FINANCIAL CORP         equity
                        shares       984314104     34    12579 SH       DEFINED 1                           12579
YANZHOU COAL MINING     American
 CO LTD                 Depository
                        Receipt      984846105    479    31230 SH       DEFINED 1,6                         31230
YORK WATER CO           Common
                        equity
                        shares       987184108   3703   206965 SH       DEFINED 1,2,5                      206965
YOUNG INNOVATIONS       Common
 INC                    equity
                        shares       987520103   4946   143462 SH       DEFINED 1,2,6                      143462
ZALE CORP               Common
                        equity
                        shares       988858106    159    58941 SH       DEFINED 1,2                         58941
HARBINGER GROUP INC     Common
                        equity
                        shares       41146A106   3799   487781 SH       DEFINED 1,2                        487781
ZEBRA TECHNOLOGIES      Common
 CP -CL A               equity
                        shares       989207105  40394  1175529 SH       DEFINED 1,2,5,6,8,12              1175529
ZIX CORP                Common
                        equity
                        shares       98974P100   2906  1116389 SH       DEFINED 1,2,5                     1116389
REPROS THERAPEUTICS     Common
 INC                    Stock        76028H209   1734   191100 SH       DEFINED 1,2                        191100
ZOLTEK COS INC          Common
                        equity
                        shares       98975W104   4467   494627 SH       DEFINED 1,2,6,8                    494627
ZYGO CORP               Common
                        equity
                        shares       989855101   5035   281857 SH       DEFINED 1,2                        281857
AMDOCS LTD              Common
                        equity
                        shares       G02602103  64269  2162553 SH       DEFINED 1,2,5,6,8,12              2162553
ARCH CAPITAL GROUP      Common
 LTD                    equity
                        shares       G0450A105 100704  2537285 SH       DEFINED 1,2,5,6,8,10,12,18        2537285
CENTRAL EUROPEAN        Common
 MEDIA                  Stock        G20045202   3155   620245 SH       DEFINED 1,2,5,6                    620245
CHINA YUCHAI            Common
 INTERNATIONAL          equity
                        shares       G21082105    412    30152 SH       DEFINED 1,2                         30152
CONSOLIDATED WATER      Common
 CO INC                 Stock        G23773107   1965   236968 SH       DEFINED 1,2,5                      236968
FRESH DEL MONTE         Common
 PRODUCE INC            equity
                        shares       G36738105  21644   922229 SH       DEFINED 1,2,5,6,8                  922229
GARMIN LTD              Common
                        equity
                        shares       H2906T109  73945  1931332 SH       DEFINED 1,2,5,6,8,10,12,18        1931332
GLOBAL SOURCES LTD      Common
                        equity
                        shares       G39300101   1937   293553 SH       DEFINED 1,2                        293553
HELEN OF TROY LTD       Common
                        equity
                        shares       G4388N106  33447   986893 SH       DEFINED 1,2,5,6,8                  986893
NORDIC AMERICAN         Common
 TANKERS LTD            equity
                        shares       G65773106  12017   885418 SH       DEFINED 1,2,5,6                    885418
ORIENT-EXPRESS HOTELS   Common
                        equity
                        shares       G67743107  16383  1957283 SH       DEFINED 1,2,6,8                   1957283
PARTNERRE LTD           Common
                        equity
                        shares       G6852T105  89720  1185647 SH       DEFINED 1,2,5,8,10,12,17,18       1185647
ARGO GROUP INTL         Common
 HOLDINGS LTD           equity
                        shares       G0464B107  17494   597795 SH       DEFINED 1,2,6,8                    597795
SALIX                   Common
 PHARMACEUTICALS        equity
 LTD                    shares       795435106  63027  1157751 SH       DEFINED 1,2,5,6,8                 1157751
SINA CORP               Common
                        equity
                        shares       G81477104   5237   101078 SH       DEFINED 1,2                        101078
UTI WORLDWIDE INC       Common
                        Stock        G87210103  35170  2407446 SH       DEFINED 1,2,5,6,8,12              2407446
WHITE MTNS INS GROUP    Common
 LTD                    Stock        G9618E107  42398    81263 SH       DEFINED 1,2,5,6,8,10,12             81263
XOMA CORP               Common
                        equity
                        shares       98419J107   2528   842097 SH       DEFINED 1,2                        842097
UBS AG                  Common
                        equity
                        shares       H89231338  42800  3654969 SH       DEFINED 1                         3654969
AUDIOCODES LTD          Common
                        equity
                        shares       M15342104     56    32230 SH       DEFINED 1                           32230
ALVARION LTD            Common
                        Stock        M0861T100     16    42391 SH       DEFINED 1                           42391
CERAGON NETWORKS        Common
 LTD                    Stock        M22013102    334    38902 SH       DEFINED 1                           38902
CHECK POINT SOFTWARE    Common
 TECHN                  equity
                        shares       M22465104  18159   366176 SH       DEFINED 1,2,5,8,12                 366176
EZCHIP SEMICONDUCTOR    Common
 LTD                    Stock        M4146Y108    232     5800 SH       DEFINED 1                            5800
MAGICJACK VOCALTEC      Common
 LTD                    Stock        M6787E101   3779   198891 SH       DEFINED 1,2                        198891
CHICAGO BRIDGE & IRON   Similar to
 CO                     ADR
                        Certificates
                        representing
                        ordinary
                        shares       167250109  35601   937801 SH       DEFINED 1,2,5,6,17,18              918701         19100
CNH GLOBAL NV           Common
                        equity
                        shares       N20935206  10854   279243 SH       DEFINED 1,2,5                      279243
CORE LABORATORIES NV    Common
                        equity
                        shares       N22717107  40449   348976 SH       DEFINED 1,2,5,6,8,10,12,18         348976
ORTHOFIX                Common
 INTERNATIONAL NV       equity
                        shares       N6748L102  14934   362024 SH       DEFINED 1,2,6,8                    362024
QIAGEN NV               Common
                        Stock        N72482107  34992  2095516 SH       DEFINED 1,2,6                     2095516
SAPIENS INTERNATIONAL   Common
 CORP                   equity
                        shares       N7716A151    551   153086 SH       DEFINED 1,2                        153086
STEINER LEISURE LTD     Common
                        equity
                        shares       P8744Y102  12289   264799 SH       DEFINED 1,2,5,6,8                  264799
ROYAL CARIBBEAN         Common
 CRUISES LTD            equity
                        shares       V7780T103  66347  2549134 SH       DEFINED 1,2,5,8,10,12,18          2549134
AFC ENTERPRISES INC     Common
                        Stock        00104Q107  10268   443646 SH       DEFINED 1,2,6,8                    443646
SEATTLE GENETICS INC    Common
                        Stock        812578102  67685  2665762 SH       DEFINED 1,2,5,6,8                 2665762
GMX RESOURCES INC       Common
                        Stock        38011M108     36    44851 SH       DEFINED 1                           44851
NUSTAR ENERGY LP        Limited
                        Partnership  67058H102   3456    64125 SH       DEFINED 1                           64125
DR REDDY`S              American
 LABORATORIES LTD       Depository
                        Receipt      256135203  14560   490612 SH       DEFINED 1,2,4,5,6,8                490612
PENDRELL CORP           Common
                        Stock        70686R104   2728  2436900 SH       DEFINED 1,2,6                     2436900
DONEGAL GROUP INC       Common
                        equity
                        shares       257701201   2169   163342 SH       DEFINED 1,2,17                     163342
ENTERPRISE FINL         Common
 SERVICES CP            equity
                        shares       293712105   2831   258540 SH       DEFINED 1,2                        258540
KINDRED HEALTHCARE      Common
 INC                    equity
                        shares       494580103  10131  1030652 SH       DEFINED 1,2,5,6,8                 1030652
GENON ENERGY INC        Common
                        equity
                        shares       37244E107  28609 16739621 SH       DEFINED 1,2,5,6,8,12             16739621
RETRACTABLE             Common
 TECHNOLOGIES INC       equity
                        shares       76129W105     15    15700 SH       DEFINED 1                           15700
KINDER MORGAN           Common
 MANAGEMENT LLC         equity
                        shares       49455U100  60950   830256 SH       DEFINED 1,2,5,6,8,10,12,18         830256
ZHONE TECHNOLOGIES      Common
 INC                    Stock        98950P884     12    19855 SH       DEFINED 1                           19855
GLOBAL POWER            Common
 EQUIPMENT GROUP        Stock        37941P306   5939   272002 SH       DEFINED 1,2,6                      272002
ACURA                   Common
 PHARMACEUTICALS        equity
 INC                    shares       00509L703    429   137691 SH       DEFINED 1,2                        137691
PREFERRED BANK LOS      Common
 ANGELES                equity
                        shares       740367404   2051   153485 SH       DEFINED 1,2                        153485
BRIDGE CAPITAL          Common
 HOLDINGS               equity
                        shares       108030107   2147   132920 SH       DEFINED 1,2                        132920
TASER INTERNATIONAL     Common
 INC                    equity
                        shares       87651B104   6388  1218871 SH       DEFINED 1,2,5,6,8                 1218871
ALLIANCE DATA           Common
 SYSTEMS CORP           equity
                        shares       018581108 201386  1491542 SH       DEFINED 1,2,5,6,8,10,12,18        1491542
JOY GLOBAL INC          Common
                        Stock        481165108 218551  3852516 SH       DEFINED 1,2,5,6,8,10,12,18        3852516
RAPTOR                  Common
 PHARMACEUTICAL         equity
 CORP                   shares       75382F106   3980   711887 SH       DEFINED 1,2,6                      711887
BANNER CORP             Common
                        equity
                        shares       06652V208   6698   305641 SH       DEFINED 1,2,8                      305641
GRUPO TELEVISA SAB      American
                        Depository
                        Receipt      40049J206   2183   101640 SH       DEFINED 1,2,6                      101640
SK TELECOM CO LTD       American
                        Depository
                        Receipt      78440P108   6013   496869 SH       DEFINED 1,2,5,6                    496869
PHOENIX COMPANIES INC   Common
                        equity
                        shares       71902E109   4016  2171346 SH       DEFINED 1,2,6,8                   2171346
MOSYS INC               Common
                        equity
                        shares       619718109   1496   462082 SH       DEFINED 1,2                        462082
WRIGHT MEDICAL GROUP    Common
 INC                    equity
                        shares       98235T107  15376   720166 SH       DEFINED 1,2,6,8                    720166
INLAND REAL ESTATE      Real Estate
 CORP                   Investment
                        Trust        457461200  19563  2334377 SH       DEFINED 1,2,3,6,8                 2334377
HDFC BANK LTD           American
                        Depository
                        Receipt      40415F101  29029   890358 SH       DEFINED 1,2,5,6,8                  890358
NATUS MEDICAL INC       Common
                        Stock        639050103   6498   558975 SH       DEFINED 1,2,6,8                    558975
BIOSANTE                Common
 PHARMACEUTICALS        equity
 INC                    shares       09065V302     32    13063 SH       DEFINED 1                           13063
MEDCATH CORP            Common
                        equity
                        shares       58404W109    132    17678 SH       DEFINED 1                           17678
INERGY LP               Misc Equity  456615103   2469   132597 SH       DEFINED 1                          132597
ALLIANCE HEALTHCARE     Common
 SVCS INC               equity
                        shares       018606202     22    21474 SH       DEFINED 1                           21474
PDF SOLUTIONS INC       Common
                        equity
                        shares       693282105   3379   342210 SH       DEFINED 1,2                        342210
BUNGE LTD               Common
                        equity
                        shares       G16962105 176761  2817342 SH       DEFINED 1,2,5,6,8,10,12,18        2817342
FRONTLINE LTD           Common
                        equity
                        shares       G3682E127   4097   898977 SH       DEFINED 1,2,6                      898977
OMNICELL INC            Common
                        equity
                        shares       68213N109  10557   720972 SH       DEFINED 1,2,6,8                    720972
ALTERRA CAPITAL         Common
 HOLDINGS LTD           Stock        G0229R108  37333  1598776 SH       DEFINED 1,2,5,6,8                 1598776
XPO LOGISTICS INC       Common
                        Stock        983793100   4164   247925 SH       DEFINED 1,2,6                      247925
TIMBERLINE RESOURCES    Common
 CORP                   equity
                        shares       887133106      7    24700 SH       DEFINED 1                           24700
GLADSTONE CAPITAL       Common
 CORP                   equity
                        shares       376535100   3340   423072 SH       DEFINED 1,2,8                      423072
GIVEN IMAGING           Common
                        Stock        M52020100    342    21668 SH       DEFINED 1                           21668
CHARTER FINANCIAL       Common
 CORP/GA                Stock        16122M100    941    96888 SH       DEFINED 1,2                         96888
DELCATH SYSTEMS INC     Common
                        equity
                        shares       24661P104     46    28523 SH       DEFINED 1                           28523
CROSS COUNTRY           Common
 HEALTHCARE INC         equity
                        shares       227483104   2430   556738 SH       DEFINED 1,2                        556738
PENN VIRGINIA RES       Composition
 PRTNR LP               of more than
                        1 security   707884102   2056    83906 SH       DEFINED 1                           83906
MAHANAGAR               American
 TELEPHONE NIGAM        Depository
                        Receipt      559778402     44    50035 SH       DEFINED 1                           50035
AMERIGROUP CORP         Common
                        equity
                        shares       03073T102  74468  1129764 SH       DEFINED 1,2,5,6,8,12              1129764
AMN HEALTHCARE          Common
 SERVICES INC           equity
                        shares       001744101   4288   722719 SH       DEFINED 1,2,8                      722719
ADVISORY BOARD CO       Common
                        equity
                        shares       00762W107  29842   601762 SH       DEFINED 1,2,6,8                    601762
ACUITY BRANDS INC       Common
                        equity
                        shares       00508Y102  67109  1318158 SH       DEFINED 1,2,5,6,8,12              1318158
WEIGHT WATCHERS INTL    Common
 INC                    equity
                        shares       948626106  18157   352120 SH       DEFINED 1,2,5,6,8,12               352120
OI SA                   American
                        Depository
                        Receipt      670851203   7096   575002 SH       DEFINED 1,2,4,5,6,10               575002
VCA ANTECH INC          Common
                        equity
                        shares       918194101  45106  2051901 SH       DEFINED 1,2,5,6,8,12              2051901
ALERE INC               Common
                        Stock        01449J105  21074  1083885 SH       DEFINED 1,2,5,6,8                 1083885
STAGE STORES INC        Common
                        equity
                        shares       85254C305  21431  1169959 SH       DEFINED 1,2,5,6,8                 1169959
MCG CAPITAL CORP        Common
                        equity
                        shares       58047P107   7279  1581914 SH       DEFINED 1,2,6,8                   1581914
ALUMINUM CORP CHINA     American
 LTD                    Depository
                        Receipt      022276109    463    42522 SH       DEFINED 1,6                         42522
CENTENE CORP            Common
                        equity
                        shares       15135B101  35266  1169485 SH       DEFINED 1,2,5,6,8                 1169485
FIVE STAR QUALITY       Common
 CARE INC               Stock        33832D106   1886   615619 SH       DEFINED 1,2                        615619






                                                          SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                       CLASS        CUSIP    VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
---------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WESTFIELD FINANCIAL      Common
 INC                     equity
                         shares         96008P104    3790   518862 SH       DEFINED 1,2,17                  518862
BANCO DE CHILE           American
                         Depository
                         Receipt        059520106    1844    21844 SH       DEFINED 1,2,5                    21844
ENDEAVOUR                Common
 INTERNATIONAL CORP      Stock          29259G200    5323   633844 SH       DEFINED 1,2,6,8                 633844
GREEN BANKSHARES INC     Common
                         equity
                         shares         394361208     231   139780 SH       DEFINED 1,2                     139780
HOUSTON AMERN            Common
 ENERGY CORP             equity
                         shares         44183U100      28    25281 SH       DEFINED 1,2                      25281
SYNAPTICS INC            Common
                         equity
                         shares         87157D109   19321   674697 SH       DEFINED 1,2,5,6,8               674697
LORILLARD INC            Common
                         equity
                         shares         544147101  635187  4813830 SH       DEFINED 1,2,5,6,8,10,12,17,18  4813830
COGENT                   Common
 COMMUNICATIONS GRP      equity
                         shares         19239V302   16036   832860 SH       DEFINED 1,2,5,6,8               832860
SUNOCO LOGISTICS         Composition
 PARTNERS LP             of more than
                         1 security     86764L108    3131    86334 SH       DEFINED 1                        86334
ISHARES S&P 500 FUND     Investments
                         that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           464287200    2142    15672 SH       DEFINED 5,6                      15672
ISHARES RUSSELL 1000     Investments
 INDEX FUND              that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           464287622   67854   902200 SH       DEFINED 1                       902200
ISHARES S&P SMALL CAP    Investments
 600 INDEX FUND          that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           464287804  108549  1481493 SH       DEFINED 1,2                    1481493
MVC CAPITAL INC.         Common
                         equity
                         shares         553829102    4812   371627 SH       DEFINED 1,2,8                   371627
MANTECH INTL CORP        Common
                         equity
                         shares         564563104   16322   695390 SH       DEFINED 1,2,5,6,8,12            695390
AMBASSADORS GROUP        Common
 INC                     equity
                         shares         023177108      75    13769 SH       DEFINED 1                        13769
GAMESTOP CORP            Common
                         equity
                         shares         36467W109  106411  5795691 SH       DEFINED 1,2,5,6,8,10,12,18     5795691
COMSTOCK MINING INC      Common
                         equity
                         shares         205750102      31    12400 SH       DEFINED 1                        12400
ASBURY AUTOMOTIVE        Common
 GROUP INC               equity
                         shares         043436104   19941   841765 SH       DEFINED 1,2,5,6,8               841765
DOVER DOWNS GAMING &     Common
 ENTMT                   equity
                         shares         260095104      41    13664 SH       DEFINED 1                        13664
CALAVO GROWERS INC       Common
                         equity
                         shares         128246105    5633   220160 SH       DEFINED 1,2,6,8                 220160
UNITED COMMUNITY         Common
 BANKS INC               equity
                         shares         90984P303    6068   708454 SH       DEFINED 1,2,6,8                 708454
VALE SA                  American
                         Depository
                         Receipt        91912E105  266353 13418285 SH       DEFINED 1,2,4,5,6,8,10,18     13418285
VANGUARD ETF TOTAL       Investments
 STOCK MARKET            that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           922908769    1261    18100 SH       DEFINED 1                        18100
JETBLUE AIRWAYS CORP     Common
                         equity
                         shares         477143101   38497  7263933 SH       DEFINED 1,2,5,6,12,17          7263933
LIN TV CORP              Common
                         equity
                         shares         532774106    1723   569817 SH       DEFINED 1,2                     569817
REGAL ENTERTAINMENT      Common
 GROUP                   equity
                         shares         758766109   15332  1114344 SH       DEFINED 1,2,5,6,8,12           1114344
CIA SANEAMENTO BASICO    American
 ESTADO                  Depository
                         Receipt        20441A102   73708   971642 SH       DEFINED 1,2,5,6,10,18           971642
AEROPOSTALE INC          Common
                         equity
                         shares         007865108   53335  2991503 SH       DEFINED 1,2,5,6,8,12,17        2991503
VERINT SYSTEMS INC       Common
                         Stock          92343X100   11534   390805 SH       DEFINED 1,2,6,8,17              387960           2845
COMPUTER PROGRAMS &      Common
 SYSTEMS                 equity
                         shares         205306103   12348   215766 SH       DEFINED 1,2,6,8                 215766
MARKWEST ENERGY          Limited
 PARTNERS LP             Partnership    570759100    3922    79534 SH       DEFINED 1                        79534
AU OPTRONICS CORP        American
                         Depository
                         Receipt        002255107    3121   776725 SH       DEFINED 1,2,5,6,8               776725
NETFLIX INC              Common
                         equity
                         shares         64110L106  148171  2163966 SH       DEFINED 1,2,5,6,8,10,12,18     2163966
ENPRO INDUSTRIES INC     Common
                         equity
                         shares         29355X107   14830   396799 SH       DEFINED 1,2,5,6,8               396799
OVERSTOCK.COM INC        Common
                         equity
                         shares         690370101    1618   234105 SH       DEFINED 1,2,6                   234105
PACER INTERNATIONAL      Common
 INC                     equity
                         shares         69373H106    3629   669526 SH       DEFINED 1,2,6,8                 669526
WESTWOOD HOLDINGS        Common
 GROUP INC               equity
                         shares         961765104    4043   108494 SH       DEFINED 1,2                     108494
BIG 5 SPORTING GOODS     Common
 CORP                    equity
                         shares         08915P101    3167   418919 SH       DEFINED 1,2,8                   418919
NASDAQ OMX GROUP INC     Common
                         equity
                         shares         631103108  113838  5021748 SH       DEFINED 1,2,5,6,8,10,12,18     5021748
SANOFI                   American
                         Depository
                         Receipt        80105N105     748    19775 SH       DEFINED 1,2                      19775
RUSH ENTERPRISES INC     Common
                         equity
                         shares         781846209    9649   590132 SH       DEFINED 1,2,6,8                 590132
KIRKLAND`S INC           Common
                         Stock          497498105    3484   309532 SH       DEFINED 1,2,6,8                 309532
RANDGOLD RESOURCES       American
 LTD                     Depository
                         Receipt        752344309     856     9510 SH       DEFINED 1                         9510
RED ROBIN GOURMET        Common
 BURGERS                 equity
                         shares         75689M101    8029   263325 SH       DEFINED 1,2,6,8                 263325
BIODELIVERY SCIENCES     Common
 INTL                    equity
                         shares         09060J106    1438   320956 SH       DEFINED 1,2                     320956
LEAPFROG ENTERPRISES     Common
 INC                     equity
                         shares         52186N106    9935   968546 SH       DEFINED 1,2,6                   968546
FIRST PACTRUST           Common
 BANCORP                 equity
                         shares         33589V101    1503   126658 SH       DEFINED 1,2                     126658
TRAVELZOO INC            Common
                         equity
                         shares         89421Q106    2270    99781 SH       DEFINED 1,2,6,8                  99781
SAIA INC                 Common
                         equity
                         shares         78709Y105    6219   284186 SH       DEFINED 1,2,5                   284186
CIMAREX ENERGY CO        Common
                         equity
                         shares         171798101  139576  2531970 SH       DEFINED 1,2,5,6,8,10,12,18     2531970
NEWCASTLE INVESTMENT     Real Estate
 CORP                    Investment
                         Trust          65105M108     588    87668 SH       DEFINED 1,8                      87668
MONTPELIER RE            Common
 HOLDINGS                equity
                         shares         G62185106   27231  1278989 SH       DEFINED 1,2,5,6,8              1278989
ENBRIDGE ENERGY MGMT     Common
 LLC                     equity
                         shares         29250X103    2744    85883 SH       DEFINED 1,5,6,8                  85883
NATURAL RESOURCE         Limited
 PARTNERS LP             Partnership    63900P103    1596    71984 SH       DEFINED 1                        71984
DICKS SPORTING GOODS     Common
 INC                     equity
                         shares         253393102  124649  2596941 SH       DEFINED 1,2,5,6,8,10,12,18     2596941
TAYLOR CAPITAL GROUP     Common
 INC                     equity
                         shares         876851106    3928   239478 SH       DEFINED 1,2                     239478
NATURAL GAS SERVICES     Common
 GROUP                   equity
                         shares         63886Q109    3779   255098 SH       DEFINED 1,2                     255098
WYNN RESORTS LTD         Common
                         equity
                         shares         983134107  292174  2817122 SH       DEFINED 1,2,5,6,8,10,12,18     2817122
PLATINUM                 Common
 UNDERWRITERS HLDG       equity
                         shares         G7127P100   27101   711311 SH       DEFINED 1,2,5,6,8,17            711311
MARTIN MIDSTREAM         Limited
 PARTNERS LP             Partnership    573331105     549    16755 SH       DEFINED 1                        16755
OVERHILL FARMS INC       Common
                         equity
                         shares         690212105      41    10520 SH       DEFINED 1                        10520
CEVA INC                 Common
                         Stock          157210105    8128   461522 SH       DEFINED 1,2,6,8                 461522
PORTFOLIO RECOVRY        Common
 ASSOC INC               equity
                         shares         73640Q105   31057   340285 SH       DEFINED 1,2,6,8,17              340285
CHINA TELECOM CORP       American
 LTD                     Depository
                         Receipt        169426103     492    11214 SH       DEFINED 1,6                      11214
SENOMYX INC              Common
                         equity
                         shares         81724Q107      58    24871 SH       DEFINED 1                        24871
NII HOLDINGS INC         Common
                         equity
                         shares         62913F201   28161  2753309 SH       DEFINED 1,2,5,6,8,10,12,18     2753309
COSI INC                 Common
                         equity
                         shares         22122P101      27    37452 SH       DEFINED 1                        37452
SAFETY INSURANCE         Common
 GROUP INC               equity
                         shares         78648T100    9824   241807 SH       DEFINED 1,2,6,8,17              241807
SEAGATE TECHNOLOGY       Common
 PLC                     Stock          G7945M107  313636 12682271 SH       DEFINED 1,2,5,6,8,10,12,18    12682271
CROSSTEX ENERGY LP       Limited
                         Partnership    22765U102     647    39463 SH       DEFINED 1                        39463
GOLAR LNG LTD            Common
                         Stock          G9456A100   14745   391059 SH       DEFINED 1,2,6                   391059
ACACIA RESEARCH CORP     Common
                         Stock          003881307   35884   963604 SH       DEFINED 1,2,5,6,8,17            957899           5705
PLAINS EXPLORATION &     Common
 PROD CO                 equity
                         shares         726505100  142841  4060318 SH       DEFINED 1,2,5,6,8,10,12,18     4060318
BROOKFIELD               Common
 RESIDENTIAL PPTYS       Stock          11283W104     287    26333 SH       DEFINED 1,2                      26333
PROVIDENT FINANCIAL      Common
 SVCS INC                equity
                         shares         74386T105   20251  1319126 SH       DEFINED 1,2,5,6,8              1319126
HALOZYME                 Common
 THERAPEUTICS INC        equity
                         shares         40637H109   28027  3163315 SH       DEFINED 1,2,5,6,8              3163315
WARNACO GROUP INC        Common
                         equity
                         shares         934390402   56008  1315381 SH       DEFINED 1,2,5,6,8,12           1315381
INFINITY PROPERTY & CAS  Common
 CORP                    equity
                         shares         45665Q103   13685   237351 SH       DEFINED 1,2,5,6,8               237351
PROCERA NETWORKS INC     Common
                         Stock          74269U203    7155   294269 SH       DEFINED 1,2,6                   294269
ENDURANCE SPECIALTY      Common
 HOLDINGS                equity
                         shares         G30397106   22919   598244 SH       DEFINED 1,2,5,6,8,12,17         598244
HUDSON GLOBAL INC        Common
                         Stock          443787106    2153   515641 SH       DEFINED 1,2                     515641
INTERCONTINENTAL         American
 HOTELS GRP              Depository
                         Receipt        45857P301     743    30812 SH       DEFINED 1                        30812
TRUE RELIGION APPAREL    Common
 INC                     Stock          89784N104   14608   504219 SH       DEFINED 1,2,5,6,8               504219
FORMFACTOR INC           Common
                         equity
                         shares         346375108    5773   892290 SH       DEFINED 1,2,6,8                 892290
MINDSPEED                Common
 TECHNOLOGIES INC        Stock          602682205    1385   565148 SH       DEFINED 1,2                     565148
CAVCO INDUSTRIES INC     Common
                         equity
                         shares         149568107    6001   117039 SH       DEFINED 1,2,5,6                 117039
AXIS CAPITAL HOLDINGS    Common
 LTD                     equity
                         shares         G0692U109   74094  2276255 SH       DEFINED 1,2,5,6,8,10,12,18     2276255
MOLINA HEALTHCARE INC    Common
                         equity
                         shares         60855R100   13366   569845 SH       DEFINED 1,2,6,8                 569845
DTS INC                  Common
                         equity
                         shares         23335C101    8661   332093 SH       DEFINED 1,2,6,8                 332093
IPASS INC                Common
                         equity
                         shares         46261V108    1595   671228 SH       DEFINED 1,2                     671228
NETGEAR INC              Common
                         equity
                         shares         64111Q104   25155   728980 SH       DEFINED 1,2,6,8                 728980
CAPITALSOURCE INC        Real Estate
                         Investment
                         Trust          14055X102   80978 12050631 SH       DEFINED 1,2,5,6,8,12          12050631
GLADSTONE
 COMMERCIAL CORP         REIT           376536108    2639   158251 SH       DEFINED 1,2,5                   158251
TEXAS CAPITAL            Common
 BANCSHARES INC          equity
                         shares         88224Q107   50037  1238855 SH       DEFINED 1,2,6,8                1238855
PROVIDENCE SERVICE       Common
 CORP                    equity
                         shares         743815102    3472   253325 SH       DEFINED 1,2                     253325
ASHFORD HOSPITALITY      Real Estate
 TRUST                   Investment
                         Trust          044103109   15125  1794261 SH       DEFINED 1,2,3,5,6,8            1794261
CYTORI THERAPEUTICS      Common
 INC                     equity
                         shares         23283K105    2029   750509 SH       DEFINED 1,2                     750509
ENTERTAINMENT GAMING     Common
 ASIA                    equity
                         shares         29383V206      52    18025 SH       DEFINED 1                        18025
ABOVENET INC             Common
                         equity
                         shares         00374N107   40675   484187 SH       DEFINED 1,2,5,6,8               484187
NATIONAL FINANCIAL       Common
 PRTNRS CP               equity
                         shares         63607P208   11817   882076 SH       DEFINED 1,2,6,8                 882076
CHELSEA THERAPEUTICS     Common
 INTL                    equity
                         shares         163428105      65    44226 SH       DEFINED 1,2                      44226
JOURNAL                  Common
 COMMUNICATIONS INC      equity
                         shares         481130102    6231  1206247 SH       DEFINED 1,2,17                  816937         389310
JONES SODA CO            Common
                         equity
                         shares         48023P106       6    19000 SH       DEFINED 1                        19000
WOORI FINANCE            American
 HOLDINGS CO             Depository
                         Receipt        981063100     709    21351 SH       DEFINED 1,5,6                    21351
LKQ CORP                 Common
                         equity
                         shares         501889208  108252  3241092 SH       DEFINED 1,2,5,6,8,12,18        3241092
ADA-ES INC               Common
                         equity
                         shares         005208103    2940   115850 SH       DEFINED 1,2                     115850
FIRST POTOMAC REALTY     Real Estate
 TRUST                   Investment
                         Trust          33610F109   18031  1531694 SH       DEFINED 1,2,3,6,8              1531694
FIRST MARBLEHEAD CORP    Common
                         equity
                         shares         320771108    1260  1078825 SH       DEFINED 1,2,6                  1078825
QUALITY DISTRIBUTION     Common
 INC                     equity
                         shares         74756M102    3766   339735 SH       DEFINED 1,2                     339735
CINEDIGM DIGITAL         Common
 CINEMA CORP             equity
                         shares         172407108      26    17000 SH       DEFINED 1                        17000
MARLIN BUSINESS          Common
 SERVICES INC            equity
                         shares         571157106    2139   130473 SH       DEFINED 1,2                     130473
TESSERA TECHNOLOGIES     Common
 INC                     equity
                         shares         88164L100   17667  1149277 SH       DEFINED 1,2,5,6,8              1149277
CALLIDUS SOFTWARE INC    Common
                         equity
                         shares         13123E500    2543   510985 SH       DEFINED 1,2                     510985
WHITING PETROLEUM        Common
 CORP                    equity
                         shares         966387102   91007  2213247 SH       DEFINED 1,2,5,6,8,10,12,18     2213247
BUFFALO WILD WINGS INC   Common
                         equity
                         shares         119848109   31010   357913 SH       DEFINED 1,2,5,6,8               357913
TICC CAPITAL CORP        Common
                         equity
                         shares         87244T109    6282   647561 SH       DEFINED 1,2,8,17                647561
NEXSTAR BROADCASTING     Common
 GROUP                   equity
                         shares         65336K103     974   144758 SH       DEFINED 1,2                     144758
CONN`S INC               Common
                         equity
                         shares         208242107    3683   248867 SH       DEFINED 1,2,6,8                 248867
SYNNEX CORP              Common
                         equity
                         shares         87162W100   19958   578722 SH       DEFINED 1,2,6,8                 578722
CORINTHIAN COLLEGES      Common
 INC                     equity
                         shares         218868107    5336  1845647 SH       DEFINED 1,2,5,6,8              1845647
CORPBANCA                American
                         Depository
                         Receipt        21987A209    3048   159980 SH       DEFINED 1,2,5,6,10              159980
NRG ENERGY INC           Common
                         equity
                         shares         629377508  201928 11631733 SH       DEFINED 1,2,5,6,8,10,12,18    11631733
AMERICAN EQTY INVT       Common
 LIFE HLDG               equity
                         shares         025676206   13086  1188693 SH       DEFINED 1,2,6,8                1188693
ASPEN INSURANCE          Common
 HOLDINGS LTD            equity
                         shares         G05384105   45230  1565145 SH       DEFINED 1,2,5,6,8,12           1565145
KRONOS WORLDWIDE INC     Common
                         equity
                         shares         50105F105    3157   199961 SH       DEFINED 1,2,6,8                 199961
NELNET INC               Common
                         equity
                         shares         64031N108   11790   512661 SH       DEFINED 1,2,6,8                 512661
COMPASS MINERALS INTL    Common
 INC                     equity
                         shares         20451N101   84520  1108039 SH       DEFINED 1,2,5,6,8,12           1108039
GLOBAL INDEMNITY PLC     Common
                         equity
                         shares         G39319101    4383   216395 SH       DEFINED 1,2,8                   216395
CHINA LIFE INSURANCE     American
 (CHN)                   Depository
                         Receipt        16939P106    1541    39029 SH       DEFINED 1,6                      39029
UNIVERSAL TECHNICAL      Common
 INST                    equity
                         shares         913915104    5880   435213 SH       DEFINED 1,2,6,8                 435213
KNOLOGY INC              Common
                         equity
                         shares         499183804   11038   561037 SH       DEFINED 1,2,5,6,8               561037
TEMPUR PEDIC INTL INC    Common
                         equity
                         shares         88023U101   70943  3033278 SH       DEFINED 1,2,5,6,8,12           3033278
U S GEOTHERMAL INC       Common
                         equity
                         shares         90338S102      15    39100 SH       DEFINED 1                        39100
CROSSTEX ENERGY INC      Common
                         equity
                         shares         22765Y104   11283   806083 SH       DEFINED 1,2,6,8                 806083
GEOEYE INC               Common
                         Stock          37250W108    5626   363494 SH       DEFINED 1,2,6,8                 363494
BANCORP INC              Common
                         equity
                         shares         05969A105    4695   497254 SH       DEFINED 1,2,8                   497254
GTX INC                  Common
                         equity
                         shares         40052B108    1459   414138 SH       DEFINED 1,2                     414138
TRW AUTOMOTIVE           Common
 HOLDINGS CORP           equity
                         shares         87264S106   63561  1729097 SH       DEFINED 1,2,5,6,8,10,12,17,18  1729097
ASSET ACCEPTANCE         Common
 CAPITL CP               equity
                         shares         04543P100    1228   180500 SH       DEFINED 1,2                     180500
ASSURANT INC             Common
                         equity
                         shares         04621X108  134581  3862856 SH       DEFINED 1,2,5,6,8,10,12,18     3862856
HILLTOP HOLDINGS INC     Common
                         equity
                         shares         432748101    7208   699476 SH       DEFINED 1,2,5,6,8               699476
DYNAVAX                  Common
 TECHNOLOGIES CORP       Stock          268158102   26081  6036827 SH       DEFINED 1,2,6,8                6036827
CLIFTON SAVINGS          Common
 BANCORP INC             equity
                         shares         18712Q103    1525   146504 SH       DEFINED 1,2,17                  146504
TNS INC                  Common
                         equity
                         shares         872960109    8530   475485 SH       DEFINED 1,2,6,8                 475485
CYCLACEL                 Common
 PHARMACEUTICALS         equity
                         shares         23254L108      10    22800 SH       DEFINED 1                        22800
CAPLEASE INC             Real Estate
                         Investment
                         Trust          140288101    5821  1402981 SH       DEFINED 1,2,3,5,8              1402981
SIGNATURE BANK/NY        Common
                         equity
                         shares         82669G104  122622  2011188 SH       DEFINED 1,2,5,6,8,12           2011188
BROADWIND ENERGY INC     Common
                         Stock          11161T108      18    65150 SH       DEFINED 1                        65150
ULTRA CLEAN HOLDINGS     Common
 INC                     equity
                         shares         90385V107    3108   482838 SH       DEFINED 1,2                     482838
HORNBECK OFFSHORE        Common
 SVCS INC                equity
                         shares         440543106   32826   846484 SH       DEFINED 1,2,6,8                 846484
CUTERA INC               Common
                         equity
                         shares         232109108      89    12244 SH       DEFINED 1                        12244
KAISER FEDERAL           Common
 FINANCIAL GRP           Stock          483056107    1824   123565 SH       DEFINED 1,2,6                   123565
MARCHEX INC              Common
                         Stock          56624R108    1355   375553 SH       DEFINED 1,2                     375553
SANTARUS INC             Common
                         Stock          802817304    7613  1073761 SH       DEFINED 1,2,6                  1073761
APOLLO INVESTMENT        Common
 CORP                    equity
                         shares         03761U106   44810  5834914 SH       DEFINED 1,2,5,6,8,12           5834914
ARBOR REALTY TRUST       Real Estate
 INC                     Investment
                         Trust          038923108      84    15800 SH       DEFINED 1                        15800
CORCEPT THERAPEUTICS     Common
 INC                     equity
                         shares         218352102    2834   631212 SH       DEFINED 1,2,6                   631212
EXIDE TECHNOLOGIES       Common
                         Stock          302051206    5742  1707584 SH       DEFINED 1,2,5,6,8              1707584
ASSURED GUARANTY LTD     Common
                         equity
                         shares         G0585R106   31263  2217025 SH       DEFINED 1,2,5,6,8              2217025
CYTOKINETICS INC         Common
                         Stock          23282W100      23    35722 SH       DEFINED 1                        35722
INTERSECTIONS INC        Common
                         equity
                         shares         460981301    3716   234424 SH       DEFINED 1,2                     234424
URANERZ ENERGY CORP      Common
                         equity
                         shares         91688T104    1213   835382 SH       DEFINED 1,2,6                   835382
GREENHILL & CO INC       Common
                         equity
                         shares         395259104   33633   943364 SH       DEFINED 1,2,5,6,8,12            943364
NUVASIVE INC             Common
                         equity
                         shares         670704105   23003   907037 SH       DEFINED 1,2,6,8                 907037
BLUE NILE INC            Common
                         equity
                         shares         09578R103   14561   490127 SH       DEFINED 1,2,6,8                 490127
HALCON RESOURCES         Common
 CORP                    Stock          40537Q209   11389  1206373 SH       DEFINED 1,2,6                  1206373
GENWORTH FINANCIAL       Common
 INC                     equity
                         shares         37247D106  114031 20147338 SH       DEFINED 1,2,5,6,8,10,12,18    20147338
ACADIA                   Common
 PHARMACEUTICALS INC     equity
                         shares         004225108      44    25160 SH       DEFINED 1                        25160
ANGIODYNAMICS INC        Common
                         equity
                         shares         03475V101    5613   467282 SH       DEFINED 1,2,8                   467282
CORNERSTONE              Common
 THERAPEUTICS INC        equity
                         shares         21924P103     780   123216 SH       DEFINED 1,2                     123216
REPUBLIC AIRWAYS         Common
 HLDGS INC               equity
                         shares         760276105    4984   897596 SH       DEFINED 1,2,5,6                 897596
STANDARD PARKING         Common
 CORP                    equity
                         shares         853790103    5547   257670 SH       DEFINED 1,2,6,8                 257670
ALNYLAM                  Common
 PHARMACEUTICALS INC     Stock          02043Q107   14415  1234849 SH       DEFINED 1,2,5,6,8              1234849
TPC GROUP INC            Common
                         Stock          89236Y104   10062   272331 SH       DEFINED 1,2,6,8,17              239731          32600
CBRE GROUP INC           Common
                         equity
                         shares         12504L109  195765 11966242 SH       DEFINED 1,2,5,6,8,10,12,18    11966242
MOMENTA                  Common
 PHARMACEUTICALS INC     Stock          60877T100   19518  1443784 SH       DEFINED 1,2,5,6,8              1443784
MONEYGRAM                Common
 INTERNATIONAL INC       equity
                         shares         60935Y208    4499   308452 SH       DEFINED 1,2,6,8                 308452
SALESFORCE.COM INC       Common
                         equity
                         shares         79466L302  688375  4978863 SH       DEFINED 1,2,5,6,8,10,12,18     4978863
GOL LINHAS AEREAS        American
 INTELIGENT              Depository
                         Receipt        38045R107      52    11705 SH       DEFINED 1                        11705
NEW YORK MORTGAGE        Real Estate
 TRUST INC               Investment
                         Trust          649604501    1801   255432 SH       DEFINED 1,2                     255432
STRATEGIC HOTELS &       Real Estate
 RESORTS                 Investment
                         Trust          86272T106   27429  4245666 SH       DEFINED 1,2,3,6,8              4245666
CABELAS INC              Common
                         equity
                         shares         126804301   41895  1107984 SH       DEFINED 1,2,5,6,8              1107984
METALICO INC             Common
                         equity
                         shares         591176102    1589   720712 SH       DEFINED 1,2                     720712
MULTI-FINELINE           Common
 ELECTRON INC            equity
                         shares         62541B101    4241   172252 SH       DEFINED 1,2,6,8                 172252
DESARROLLADORA           American
 HOMEX SA                Depository
                         Receipt        25030W100     679    44100 SH       DEFINED 1                        44100
LIFE TIME FITNESS INC    Common
                         equity
                         shares         53217R207   61344  1318877 SH       DEFINED 1,2,5,6,8,12           1318877
WELLCARE HEALTH          Common
 PLANS INC               equity
                         shares         94946T106   91285  1722299 SH       DEFINED 1,2,5,6,8,12           1722299
HILL INTERNATIONAL INC   Common
                         equity
                         shares         431466101    1331   415829 SH       DEFINED 1,2,6                   415829
HOLLY ENERGY             Limited
 PARTNERS LP             Partnership    435763107     969    17128 SH       DEFINED 1                        17128
JAMES RIVER COAL CO      Common
                         Stock          470355207     137    50252 SH       DEFINED 1,8                      50252
VIRGIN MEDIA INC         Common
                         equity
                         shares         92769L101  119720  4908600 SH       DEFINED 1,2,5,6,8,10,12,18     4908600
DOMINO`S PIZZA INC       Common
                         equity
                         shares         25754A201   37827  1223847 SH       DEFINED 1,2,5,6,8,17           1219757           4090
ACCESS NATIONAL CORP     Common
                         equity
                         shares         004337101    1112    84875 SH       DEFINED 1,2                      84875
ATLAS AIR WORLDWIDE      Common
 HLDG INC                equity
                         shares         049164205   21055   483926 SH       DEFINED 1,2,5,6,8               483926
SYNTHESIS ENERGY         Common
 SYSTEMS INC             equity
                         shares         871628103      28    23100 SH       DEFINED 1                        23100
BLACKBAUD INC            Common
                         equity
                         shares         09227Q100   22984   895345 SH       DEFINED 1,2,6,8,17              894774            571
IDENIX                   Common
 PHARMACEUTICALS INC     equity
                         shares         45166R204   31471  3055641 SH       DEFINED 1,2,6,8                3055641
LG DISPLAY CO LTD        American
                         Depository
                         Receipt        50186V102    1613   170921 SH       DEFINED 1,2,5,6,18              170921
AUXILIUM PHARMA INC      Common
                         Stock          05334D107   36777  1367643 SH       DEFINED 1,2,5,6,8              1367643
PROSPECT CAPITAL CORP    Common
                         equity
                         shares         74348T102   27453  2410712 SH       DEFINED 1,2,6,8                2410712
GRAMERCY CAPITAL         Real Estate
 CORP                    Investment
                         Trust          384871109    1893   755993 SH       DEFINED 1,2                     755993
MANNKIND CORP            Common
                         equity
                         shares         56400P201    4055  1771635 SH       DEFINED 1,2,6,8                1771635
VOLTERRA                 Common
 SEMICONDUCTOR CORP      equity
                         shares         928708106   12089   515559 SH       DEFINED 1,2,6,8,17              509793           5766
ENERSYS INC              Common
                         equity
                         shares         29275Y102   35796  1020602 SH       DEFINED 1,2,5,6,8              1020602
COMMERCIAL VEHICLE       Common
 GROUP INC               equity
                         shares         202608105    4601   533730 SH       DEFINED 1,2,6,8                 533730
BIOMED REALTY TRUST      Real Estate
 INC                     Investment
                         Trust          09063H107  103165  5522920 SH       DEFINED 1,2,3,5,6,8,12         5522920
VOYAGER OIL & GAS INC    Common
                         Stock          92911K100    1103   626116 SH       DEFINED 1,2                     626116
KITE REALTY GROUP        Real Estate
 TRUST                   Investment
                         Trust          49803T102    9286  1861787 SH       DEFINED 1,2,3,6,8              1861787
WESTLAKE CHEMICAL        Common
 CORP                    equity
                         shares         960413102   11637   222719 SH       DEFINED 1,2,6,8                 222719
AMERICAN CAMPUS          Real Estate
 COMMUNITIES             Investment
                         Trust          024835100  118945  2644572 SH       DEFINED 1,2,3,5,6,8,12         2644572
EXTRA SPACE STORAGE      Real Estate
 INC                     Investment
                         Trust          30225T102   88563  2894190 SH       DEFINED 1,2,3,6,8              2894190
STEREOTAXIS INC          Common
                         equity
                         shares         85916J409       5    24700 SH       DEFINED 1                        24700
LEAP WIRELESS INTL INC   Common
                         equity
                         shares         521863308    6936  1078692 SH       DEFINED 1,2,5,6,8              1078692
GOOGLE INC               Common
                         equity
                         shares         38259P508 5938406 10237398 SH       DEFINED 1,2,5,6,8,10,12,18    10237398
COHEN & STEERS INC       Common
                         equity
                         shares         19247A100   11305   327577 SH       DEFINED 1,2,6,8                 327577
ZIOPHARM ONCOLOGY        Common
 INC                     equity
                         shares         98973P101    9256  1555515 SH       DEFINED 1,2,6,8                1555515
HAYNES INTERNATIONAL     Common
 INC                     equity
                         shares         420877201   20081   394232 SH       DEFINED 1,2,6,8                 394232
BEACON ROOFING SUPPLY    Common
 INC                     equity
                         shares         073685109   21351   846625 SH       DEFINED 1,2,5,6,8               846625
TATA MOTORS LTD          American
                         Depository
                         Receipt        876568502   13665   622250 SH       DEFINED 1,2,5,6,8               622250
CPFL ENERGIA SA          American
                         Depository
                         Receipt        126153105    5009   200464 SH       DEFINED 1,2,5,6,10              200464
51JOB INC -ADR           American
                         Depository
                         Receipt        316827104     472    10363 SH       DEFINED 1,2                      10363
SI FINANCIAL GROUP INC   Common
                         equity
                         shares         78425V104    1501   130600 SH       DEFINED 1,2                     130600
ARES CAPITAL CORP        Common
                         equity
                         shares         04010L103   38363  2404000 SH       DEFINED 1,2,6,8                2404000
TEXAS ROADHOUSE INC      Common
                         equity
                         shares         882681109   21878  1187356 SH       DEFINED 1,2,6,8,17             1182306           5050
THERAVANCE INC           Common
                         equity
                         shares         88338T104   45735  2058290 SH       DEFINED 1,2,5,6,8              2058290
NEW YORK & CO INC        Common
                         equity
                         shares         649295102    1558   447990 SH       DEFINED 1,2,6                   447990
THOMAS PROPERTIES        Common
 GROUP                   equity
                         shares         884453101    2260   415500 SH       DEFINED 1,2                     415500
HURON CONSULTING         Common
 GROUP INC               equity
                         shares         447462102   12958   409396 SH       DEFINED 1,2,5,6,8               409396
LOCAL.COM CORP           Common
                         equity
                         shares         53954R105      53    21617 SH       DEFINED 1,2                      21617
SUNSTONE HOTEL           Real Estate
 INVESTORS INC           Investment
                         Trust          867892101   45433  4134008 SH       DEFINED 1,2,3,5,6,8,17         4134008
TOWER GROUP INC          Common
                         equity
                         shares         891777104   17685   847504 SH       DEFINED 1,2,6,8                 847504
CUBESMART                Real Estate
                         Investment
                         Trust          229663109   41416  3548924 SH       DEFINED 1,2,3,6,8              3548924
NORTHSTAR REALTY         Real Estate
 FINANCE CP              Investment
                         Trust          66704R100   12087  2315244 SH       DEFINED 1,2,6,8                2315244
BUILD-A-BEAR             Common
 WORKSHOP INC            equity
                         shares         120076104      69    14500 SH       DEFINED 1                        14500
CALAMOS ASSET            Common
 MANAGEMENT INC          equity
                         shares         12811R104    4646   405970 SH       DEFINED 1,2,6,8                 405970
DREAMWORKS               Common
 ANIMATION INC           Stock          26153C103   31375  1646091 SH       DEFINED 1,2,5,6,8,12           1646091
DIGITAL REALTY TRUST     Real Estate
 INC                     Investment
                         Trust          253868103  240147  3198785 SH       DEFINED 1,2,3,5,6,8,10,12,18   3198785
NORTHWESTERN CORP        Common
                         equity
                         shares         668074305   32813   894099 SH       DEFINED 1,2,5,6,8               894099






                                                          SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                        CLASS        CUSIP   VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
---------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MARKETAXESS HOLDINGS      Common
 INC                      equity
                          shares         57060D108  16433   616818 SH       DEFINED 1,2,6,8                 616818
COPANO ENERGY LLC         Common
                          equity
                          shares         217202100   2307    83004 SH       DEFINED 1                        83004
NGP CAPITAL RESOURCES     Common
 CO.                      equity
                          shares         62912R107   2727   385045 SH       DEFINED 1,2                     385045
RAND LOGISTICS INC        Common
                          equity
                          shares         752182105   1876   220610 SH       DEFINED 1,2                     220610
ORMAT TECHNOLOGIES        Common
 INC                      equity
                          shares         686688102   7326   342459 SH       DEFINED 1,2,8                   342459
SPDR GOLD TRUST           Investments
                          that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           78463V107 196239  1264516 SH       DEFINED 1,2,10                 1264516
MONOLITHIC POWER          Common
 SYSTEMS INC              Stock          609839105  13484   678549 SH       DEFINED 1,2,6,8                 678549
REXAHN                    Common
 PHARMACEUTICALS INC      equity
                          shares         761640101     12    36000 SH       DEFINED 1                        36000
HOME FEDERAL BANCORP      Common
 INC                      equity
                          shares         43710G105   2788   265490 SH       DEFINED 1,2,5                   265490
SYMMETRY MEDICAL INC      Common
                          equity
                          shares         871546206   5679   662133 SH       DEFINED 1,2,8                   662133
BILL BARRETT CORP         Common
                          equity
                          shares         06846N104  46220  2157875 SH       DEFINED 1,2,5,6,8,12           2157875
MARKET LEADER INC         Common
                          equity
                          shares         57056R103   1322   260100 SH       DEFINED 1,2                     260100
BLUELINX HOLDINGS INC     Common
                          equity
                          shares         09624H109    619   263114 SH       DEFINED 1,2                     263114
KNOLL INC                 Common
                          equity
                          shares         498904200  11816   880519 SH       DEFINED 1,2,6,8                 880519
LAS VEGAS SANDS CORP      Common
                          equity
                          shares         517834107 257461  5919883 SH       DEFINED 1,2,5,6,8,10,12,18     5919883
INTERLINE BRANDS INC      Common
                          equity
                          shares         458743101  16494   657704 SH       DEFINED 1,2,6,8                 657704
MACQUARIE                 Closed end
 INFRASTRUCT CO LLC       mutual fund    55608B105   1037    31112 SH       DEFINED 1,8                      31112
HERBALIFE LTD             Common
                          equity
                          shares         G4412G101 114468  2368660 SH       DEFINED 1,2,5,6,8,10,12,18     2368660
WARREN RESOURCES INC      Common
                          Stock          93564A100   3552  1478537 SH       DEFINED 1,2,6,8                1478537
NAVIOS MARITIME           Common
 HOLDINGS INC             equity
                          shares         Y62196103     52    15693 SH       DEFINED 1                        15693
PHH CORP                  Common
                          equity
                          shares         693320202  22633  1294761 SH       DEFINED 1,2,5,6,8,12           1294761
CELANESE CORP             Common
                          equity
                          shares         150870103 100931  2915389 SH       DEFINED 1,2,5,6,8,10,12,18     2915389
SEABRIGHT HOLDINGS INC    Common
                          Stock          811656107   3256   366175 SH       DEFINED 1,2,8                   366175
EDUCATION REALTY          Real Estate
 TRUST INC                Investment
                          Trust          28140H104  31529  2845545 SH       DEFINED 1,2,3,6,8              2845545
GFI GROUP INC             Common
                          Stock          361652209   4899  1376928 SH       DEFINED 1,2,8                  1376928
DFC GLOBAL CORP           Common
                          equity
                          shares         23324T107  14131   766583 SH       DEFINED 1,2,6,8                 766583
NATIONAL INTERSTATE       Common
 CORP                     Stock          63654U100   2830   106523 SH       DEFINED 1,2                     106523
W&T OFFSHORE INC          Common
                          equity
                          shares         92922P106  22232  1453101 SH       DEFINED 1,2,6,8                1453101
DRYSHIPS INC              Common
                          equity
                          shares         Y2109Q101    677   309042 SH       DEFINED 1,2,5                   309042
AMERICAN                  Common
 REPROGRAPHICS CO         equity
                          shares         029263100   3163   627845 SH       DEFINED 1,2,6,8                 627845
CORE MARK HOLDING CO      Common
 INC                      equity
                          shares         218681104   8780   182417 SH       DEFINED 1,2,5,8                 182417
THRESHOLD                 Common
 PHARMACEUTICALS          equity
                          shares         885807206   4936   667090 SH       DEFINED 1,2,6                   667090
WINDSTREAM CORP           Common
                          Stock          97381W104 222086 22990341 SH       DEFINED 1,2,5,6,8,10,12,17,18 22990341
PRESTIGE BRANDS           Common
 HOLDINGS                 equity
                          shares         74112D101  15022   950308 SH       DEFINED 1,2,6,8                 950308
HUNTSMAN CORP             Common
                          equity
                          shares         447011107  34015  2628926 SH       DEFINED 1,2,5,6,8,10,12,17     2628926
UNIVERSAL TRUCKLOAD       Common
 SERVICES                 equity
                          shares         91388P105   1734   114547 SH       DEFINED 1,2                     114547
ENTERPRISE BANCORP        Common
 INC/MA                   equity
                          shares         293668109   1377    84046 SH       DEFINED 1,2                      84046
ALPHA NATURAL             Common
 RESOURCES INC            equity
                          shares         02076X102 114471 13143674 SH       DEFINED 1,2,5,6,8,10,12,18    13143674
REVETT MINERALS INC       Common
                          equity
                          shares         76150520    1070   324525 SH       DEFINED 1,2,6                   324525
WRIGHT EXPRESS CORP       Common
                          equity
                          shares         98233Q105  75171  1217927 SH       DEFINED 1,2,5,6,8,12           1217927
DOLBY LABORATORIES        Common
 INC                      equity
                          shares         25659T107  38317   927753 SH       DEFINED 1,2,5,8,10,12,18        927753
SARATOGA RESOURCES        Common
 INC                      Stock          803521103   1375   234000 SH       DEFINED 1,2                     234000
KEARNY FINANCIAL CORP     Common
                          equity
                          shares         487169104   2425   250473 SH       DEFINED 1,2                     250473
TRIANGLE PETROLEUM        Common
 CORP                     equity
                          shares         89600B201   3548   635853 SH       DEFINED 1,2,6                   635853
BOFI HOLDING INC          Common
                          Stock          05566U108   4105   207739 SH       DEFINED 1,2,6                   207739
DIANA SHIPPING INC        Common
                          equity
                          shares         Y2066G104    853   109648 SH       DEFINED 1,2,5                   109648
FREIGHTCAR AMERICA INC    Common
                          equity
                          shares         357023100   4995   217516 SH       DEFINED 1,2,8                   217516
DEXCOM INC                Common
                          Stock          252131107  15943  1230059 SH       DEFINED 1,2,6,8                1230059
VERIFONE SYSTEMS INC      Common
                          equity
                          shares         92342Y109  90531  2735867 SH       DEFINED 1,2,5,6,8,10,12,18     2735867
MORNINGSTAR INC           Common
                          equity
                          shares         617700109  16883   291888 SH       DEFINED 1,2,5,6,8               291888
LAZARD LTD                Common
                          equity
                          shares         G54050102  28893  1111748 SH       DEFINED 1,2,5,6                1111748
TEEKAY LNG PARTNERS LP    Limited
                          Partnership    Y8564M105   1362    35321 SH       DEFINED 1                        35321
ZUMIEZ INC                Common
                          equity
                          shares         989817101  24186   610700 SH       DEFINED 1,2,6,8                 610700
CITI TRENDS INC           Common
                          equity
                          shares         17306X102   4033   261223 SH       DEFINED 1,2,6,8                 261223
ROCKVILLE FINANCIAL       Common
 INC                      equity
                          shares         774188106   6147   531194 SH       DEFINED 1,2,5,6,8               531194
ISHARES MSCI BRAZIL       Investments
 (FREE) INDEX FUND        that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286400   8987   173500 SH       DEFINED 1,10                    173500
ISHARES MSCI CANADA       Investments
 INDEX FUND               that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286509  50822  1966800 SH       DEFINED 2                      1966800
ISHARES MSCI UNITED       Investments
 KINGDOM INDEX FUND       that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286699  10219   627296 SH       DEFINED 1                       627296
ISHARES MSCI TAIWAN       Investments
 INDEX FUND               that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286731  54961  4493932 SH       DEFINED 1,6,10                 4493932
ISHARES MSCI KOREA        Investments
 INDEX FUND               that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286772   6720   122596 SH       DEFINED 6,10                    122596
ISHARES MSCI SOUTH        Investments
 AFRICA INDEX FUND        that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286780   3080    48200 SH       DEFINED 10                       48200
ISHARES MSCI MEXICO       Investments
 (FREE) INDEX FUND        that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286822    320     5200 SH       DEFINED 10                        5200
ISHARES MSCI MALAYSIA     Investments
 (FREE) INDEX FUND        that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464286830   1156    81000 SH       DEFINED 10                       81000
ISHARES BARCLAYS TIPS     Investments
 BOND FUND                that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287176  89852   750645 SH       DEFINED 1,2                     750645
ISHARES FTSE CHINA 25     Investments
 INDEX FUND               that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287184   6560   194840 SH       DEFINED 1,10                    194840
ISHARES DJ                Investments
 TRANSPORTATION           that contain
 AVERAGE INDEX FUND       a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287192    343     3680 SH       DEFINED 17                           0          3680
ISHARES BARCLAYS          Investments
 AGGREGATE BOND           that contain
 FUND                     a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287226   1282    11521 SH       DEFINED 1                        11521
ISHARES MSCI EMERGING     Investments
 MARKETS INDEX FUND       that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287234  25667   654942 SH       DEFINED 1                       654942
ISHARES IBOXX $           Investments
 INVESTOP INVESTMENT      that contain
 GRADE BOND FUND          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287242 250222  2126656 SH       DEFINED 1,2                    2126656
ISHARES MSCI EAFE INDEX   Investments
 FUND                     that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287465 472013  9447800 SH       DEFINED 1,2,5,6                9447800
ISHARES RUSSELL 2000      Investments
 INDEX FUND               that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287655   3170    39810 SH       DEFINED 1,17                     11645         28165
ISHARES RUSSELL 3000      Investments
 INDEX FUND               that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464287689    362     4504 SH       DEFINED 1                         4504
SPDR S&P MIDCAP 400 ETF   USA:
 TRUST                    Common
                          Stock          78467Y107  89270   521131 SH       DEFINED 1,2                     521131
ENERGY SELECT SECTOR      USA:
 SPDR FUND                Common
                          Stock          81369Y506   5576    84005 SH       DEFINED 2                        84005
UTILITIES SELECT SECTOR   USA:
 SPDR FUND                Common
                          Stock          81369Y886   1537    41541 SH       DEFINED 6                        41541
SPDR STOXX EUROPE 50      Investments
 ETF                      that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           78463X103    430    14518 SH       DEFINED 2                        14518
SPDR EURO STOXX 50 ETF    Investments
                          that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           78463X202   8574   303840 SH       DEFINED 10                      303840
SPDR DJ WILSHIRE REIT     USA:
 ETF                      Common
                          Stock          78464A607  55376   759679 SH       DEFINED 1,2,8                   759679
VANGUARD ETF REIT         Investments
                          that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           922908553 147445  2253480 SH       DEFINED 1,2                    2253480
ISHARES GOLD TRUST        Investments
                          that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464285105  28844  1853735 SH       DEFINED 1,2                    1853735
VANGUARD ETF              Investments
 EMERGING MARKETS         that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           922042858 557403 13952498 SH       DEFINED 1,2,18                13952498
VANGUARD ETF PACIFIC      Investments
                          that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           922042866    329     6568 SH       DEFINED 1                         6568
VANGUARD ETF              Investments
 EUROPEAN                 that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           922042874    313     7280 SH       DEFINED 1                         7280
MINAS BUENAVENTURA        American
 SA                       Depository
                          Receipt        204448104 158530  4174090 SH       DEFINED 1,2,5,6,8,10,12,18     4174090
BRASKEM SA                American
                          Depository
                          Receipt        105532105   1531   114950 SH       DEFINED 1,2,6,10                114950
GRUPO FINANCIERO          American
 GALICIA SA               Depository
                          Receipt        399909100    445    95700 SH       DEFINED 4                        95700
INFOSYS LTD               American
                          Depository
                          Receipt        456788108  61585  1366684 SH       DEFINED 1,2,4,5,6,8,10         1366684
KEPCO-KOREA ELEC          American
 POWER CORP               Depository
                          Receipt        500631106   2595   232065 SH       DEFINED 1,2,5,6                 232065
POSCO                     American
                          Depository
                          Receipt        693483109  16317   202870 SH       DEFINED 1,2,5,6,18              202870
RYANAIR HOLDINGS PLC      American
                          Depository
                          Receipt        783513104   6834   224709 SH       DEFINED 1,2,5,6                 215842          8867
SAP AG                    American
                          Depository
                          Receipt        803054204   4752    80066 SH       DEFINED 1,2                      80066
TAIWAN SEMICONDUCTOR      American
 MFG CO                   Depository
                          Receipt        874039100 123649  8857329 SH       DEFINED 1,2,4,5,6,8,18,19      8857329
CREDICORP LTD             Common
                          equity
                          shares         G2519Y108 191971  1524886 SH       DEFINED 1,2,5,6,8,10,12,18     1524886
INDOSAT TBK               American
                          Depository
                          Receipt        744383100    296    12654 SH       DEFINED 1,2,6                    12654
THOMSON-REUTERS CORP      Common
                          equity
                          shares         884903105  89778  3155821 SH       DEFINED 1,2,5,8,17             3155821
CHUNGHWA TELECOM LTD      American
                          Depository
                          Receipt        17133Q502   8089   257420 SH       DEFINED 1,2,5,6,8,12            257420
SHINHAN FINANCIAL         American
 GROUP LTD                Depository
                          Receipt        824596100   3895    54882 SH       DEFINED 1,2,5,6                  54882
CTRIP.COM INTL LTD        American
                          Depository
                          Receipt        22943F100   5225   311769 SH       DEFINED 1,2                     311769
DIAMONDROCK               Real Estate
 HOSPITALITY CO           Investment
                          Trust          252784301  59486  5831863 SH       DEFINED 1,2,3,5,6,8            5831863
FRANKLIN STREET           Real Estate
 PROPERTIES               Investment
                          Trust          35471R106  25818  2440263 SH       DEFINED 1,2,3,6,8              2440263
XENOPORT INC              Common
                          Stock          98411C100   3950   654364 SH       DEFINED 1,2,6,8                 654364
HERCULES TECHNOLOGY       Common
 GROWTH CAPITAL INC.      Stock          427096508  11714  1033170 SH       DEFINED 1,2,6,8                1033170
LHC GROUP INC             Common
                          equity
                          shares         50187A107   5216   307588 SH       DEFINED 1,2,6,8                 307588
SILICON GRAPHICS INTL     Common
 CORP                     equity
                          shares         82706L108   3547   552636 SH       DEFINED 1,2,6,8                 552636
TREEHOUSE FOODS INC       Common
                          equity
                          shares         89469A104  49356   792330 SH       DEFINED 1,2,5,6,8               792330
BUILDERS FIRSTSOURCE      Common
                          equity
                          shares         12008R107   4045   853296 SH       DEFINED 1,2                     853296
GLADSTONE INVESTMENT      Common
 CORP/DE                  equity
                          shares         376546107   2352   318632 SH       DEFINED 1,2                     318632
LINCOLN EDUCATIONAL       Common
 SERVICES                 Stock          533535100   2753   423423 SH       DEFINED 1,2,6,8                 423423
EAGLE BULK SHIPPING INC   Common
                          equity
                          shares         Y2187A119     40    12576 SH       DEFINED 1                        12576
BANKFINANCIAL CORP        Common
                          equity
                          shares         06643P104   2604   345445 SH       DEFINED 1,2                     345445
KENEXA CORP               Common
                          Stock          488879107  14266   491448 SH       DEFINED 1,2,6,8                 491448
DSW INC                   Common
                          equity
                          shares         23334L102  22964   422165 SH       DEFINED 1,2,6,8                 422165
CIFC CORP                 Common
                          Stock          12547R105   1017   137993 SH       DEFINED 1,2                     137993
NEUSTAR INC               Common
                          equity
                          shares         64126X201  49360  1477893 SH       DEFINED 1,2,5,6,8,12,18        1477893
HERITAGE FINANCIAL GP     Common
 INC                      equity
                          shares         42726X102   1303   101174 SH       DEFINED 1,2                     101174
SILICON MOTION TECH       American
 -ADR                     Depository
                          Receipt        82706C108    975    69126 SH       DEFINED 1,2                      69126
WESTERN ALLIANCE          Common
 BANCORP                  equity
                          shares         957638109  20076  2144675 SH       DEFINED 1,2,6,8                2144675
DISCOVERY                 Common
 COMMUNICATIONS INC       equity
                          shares         25470F104 465593  8622139 SH       DEFINED 1,2,5,6,8,10,12,18     8622139
GRAN TIERRA ENERGY INC    Common
                          equity
                          shares         38500T101     88    18022 SH       DEFINED 1,6                      18022
MEDICAL PROPERTIES        Real Estate
 TRUST                    Investment
                          Trust          58463J304  27316  2839611 SH       DEFINED 1,2,3,6,8              2839611
API TECHNOLOGIES CORP     Common
                          Stock          00187E203   1396   378800 SH       DEFINED 1,2                     378800
FOCUS MEDIA HOLDING       American
 LTD                      Depository
                          Receipt        34415V109   4369   186093 SH       DEFINED 1,2                     186093
UNITED FINANCIAL          Common
 BANCORP INC              equity
                          shares         91030T109   3998   278142 SH       DEFINED 1,2,17                  278142
ORCHIDS PAPER             Common
 PRODUCTS                 equity
                          shares         68572N104   1208    68200 SH       DEFINED 1,2                      68200
EXPEDIA INC               Common
                          Stock          30212P303 180465  3754354 SH       DEFINED 1,2,5,6,8,10,12,18     3754354
DIAMOND FOODS INC         Common
                          equity
                          shares         252603105   8143   456555 SH       DEFINED 1,2,6,8                 456555
CONSOLIDATED COMM         Common
 HLDGS INC                Stock          209034107   7675   518557 SH       DEFINED 1,2,6,8,17              518557
HITTITE MICROWAVE         Common
 CORP                     equity
                          shares         43365Y104  35291   690373 SH       DEFINED 1,2,5,6,8               690373
MAIDENFORM BRANDS INC     Common
                          equity
                          shares         560305104   9123   457955 SH       DEFINED 1,2,6,8                 457955
GENCO SHIPPING &          Common
 TRADING                  equity
                          shares         Y2685T107   2182   713941 SH       DEFINED 1,2,5,6,8               713941
ITC HOLDINGS CORP         Common
                          equity
                          shares         465685105  46328   672264 SH       DEFINED 1,2,5,6,8               672264
PIKE ELECTRIC CORP        Common
                          equity
                          shares         721283109   2023   262291 SH       DEFINED 1,2                     262291
ALON USA ENERGY INC       Common
                          equity
                          shares         020520102   3058   361504 SH       DEFINED 1,2                     361504
JAMBA INC                 Common
                          equity
                          shares         47023A101   1920   980127 SH       DEFINED 1,2                     980127
OMEGA FLEX INC            Common
                          equity
                          shares         682095104    455    38247 SH       DEFINED 1,2,6                    38247
MWI VETERINARY SUPPLY     Common
                          equity
                          shares         55402X105  25756   250637 SH       DEFINED 1,2,6,8                 250637
ATRICURE INC              Common
                          equity
                          shares         04963C209   2024   210491 SH       DEFINED 1,2                     210491
BAIDU INC                 American
                          Depository
                          Receipt        056752108  81681   710391 SH       DEFINED 1,2,4                   710391
DRESSER-RAND GROUP        Common
 INC                      equity
                          shares         261608103  81913  1839085 SH       DEFINED 1,2,5,6,8,12           1839085
HOKU CORP                 Common
                          equity
                          shares         434711107      1    11000 SH       DEFINED 1                        11000
RUTHS HOSPITALITY         Common
 GROUP INC                equity
                          shares         783332109   4073   617231 SH       DEFINED 1,2                     617231
RBC BEARINGS INC          Common
                          equity
                          shares         75524B104  19488   412020 SH       DEFINED 1,2,6,8                 412020
CF INDUSTRIES HOLDINGS    Common
 INC                      equity
                          shares         125269100 542798  2801685 SH       DEFINED 1,2,5,6,8,10,12,17,18  2800807           878
HEARTLAND PAYMENT         Common
 SYSTEMS                  equity
                          shares         42235N108  24662   819966 SH       DEFINED 1,2,6,8                 819966
HANDY & HARMAN LTD        Common
                          equity
                          shares         410315105   1116    82654 SH       DEFINED 1,2                      82654
LORAL SPACE &             Common
 COMMUNICATIONS           equity
                          shares         543881106  13194   195923 SH       DEFINED 1,2,6,8                 195923
ROCKWOOD HOLDINGS         Common
 INC                      equity
                          shares         774415103  35495   800373 SH       DEFINED 1,2,5,6,8,12,17         800373
ISHARES RUSSELL           Investments
 MICROCAP INDEX FUND      that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           464288869    440     8785 SH       DEFINED 17                           0          8785
WILLIAMS PARTNERS LP      Limited
                          Partnership    96950F104   4436    84921 SH       DEFINED 1                        84921
ACCO BRANDS CORP          Common
                          equity
                          shares         00081T108  22632  2188919 SH       DEFINED 1,2,5,6,8,18           2188919
LIBERTY GLOBAL INC        Common
                          equity
                          shares         530555309  41166   862065 SH       DEFINED 1,2,5,6,8,10,12,18      862065
KAPSTONE PAPER &          Common
 PACKAGING                Stock          48562P103  13074   824993 SH       DEFINED 1,2,6,8                 824993
AMERIPRISE FINANCIAL      Common
 INC                      equity
                          shares         03076C106 456510  8735417 SH       DEFINED 1,2,5,6,8,10,12,18     8735417
HSBC HLDGS PLC            Public
                          preferred
                          instrument     404280604   1901    75845 SH       DEFINED 2                        75845
IKANOS                    Common
 COMMUNICATIONS INC       Stock          45173E105     19    21937 SH       DEFINED 1                        21937
GLOBAL CASH ACCESS        Common
 HOLDINGS                 equity
                          shares         378967103   9157  1270304 SH       DEFINED 1,2,6,8                1270304
SUNESIS                   Common
 PHARMACEUTICALS INC      Stock          867328601   1336   465436 SH       DEFINED 1,2                     465436
ITURAN LOCATION &         Common
 CONTROL                  Stock          M6158M104    140    12738 SH       DEFINED 1                        12738
CARIBOU COFFEE CO         Common
                          Stock          142042209   3800   294432 SH       DEFINED 1,2                     294432
GENOMIC HEALTH INC        Common
                          Stock          37244C101  15745   471578 SH       DEFINED 1,2,5,6,8               471578
GLOBAL PARTNERS LP        Limited
                          Partnership    37946R109    437    19149 SH       DEFINED 1                        19149
WEBMD HEALTH CORP         Common
                          equity
                          shares         94770V102  22536  1098843 SH       DEFINED 1,2,5,6,8              1098843
SPORT CHALET INC          Common
                          equity
                          shares         849163209     17    11800 SH       DEFINED 1                        11800
VISTAPRINT NV             Common
                          equity
                          shares         N93540107  27081   838429 SH       DEFINED 1,2,5,6,8               838429
FIDELITY NATIONAL         Common
 FINANCIAL                equity
                          shares         31620R105 121667  6316862 SH       DEFINED 1,2,5,6,8,10,12,18     6316862
WATERSTONE FINANCIAL      Common
 INC                      equity
                          shares         941888109    353    92726 SH       DEFINED 1,2                      92726
PHARMATHENE INC           Common
                          equity
                          shares         71714G102     25    18600 SH       DEFINED 1                        18600
INVESTORS BANCORP INC     Common
                          equity
                          shares         46146P102  18890  1251443 SH       DEFINED 1,2,6,8                1251443
TAL INTERNATIONAL         Common
 GROUP INC                equity
                          shares         874083108  17146   512042 SH       DEFINED 1,2,6,8                 512042
DHT HOLDINGS INC          Common
                          equity
                          shares         Y2065G105     30    47969 SH       DEFINED 1                        47969
NCI INC                   Common
                          equity
                          shares         62886K104     77    18695 SH       DEFINED 1,2                      18695
HERCULES OFFSHORE INC     Common
                          equity
                          shares         427093109  15669  4425465 SH       DEFINED 1,2,6,8                4425465
NXSTAGE MEDICAL INC       Common
                          Stock          67072V103  14162   845243 SH       DEFINED 1,2,6,8                 845243
MELA SCIENCES INC         Common
                          equity
                          shares         55277R100     50    15486 SH       DEFINED 1                        15486
CBEYOND INC               Common
                          equity
                          shares         149847105   3614   534354 SH       DEFINED 1,2,5,6,8               534354
WEB.COM GROUP INC         Common
                          Stock          94733A104  10588   577969 SH       DEFINED 1,2,6,8                 577969
BOARDWALK PIPELINE        Limited
 PRTNRS-LP                Partnership    096627104   2254    81595 SH       DEFINED 1                        81595
ZALICUS INC               Common
                          equity
                          shares         98887C105     57    47500 SH       DEFINED 1                        47500
IROBOT CORP               Common
                          Stock          462726100  37868  1709672 SH       DEFINED 1,2,6,8                1709672
CLEAR CHANNEL             Common
 OUTDOOR HLDGS            equity
                          shares         18451C109   2907   482520 SH       DEFINED 1,2,6,8                 482520
IHS INC                   Common
                          equity
                          shares         451734107  83202   772302 SH       DEFINED 1,2,5,8,10,12,18        772302
SPDR S&P DIVIDEND ETF     Investments
                          that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           78464A763 216895  3897515 SH       DEFINED 2                      3897515
SPDR DJ WILSHIRE SMALL    Investments
 CAP ETF                  that contain
                          a pool of
                          securities
                          representing
                          a specific
                          index and
                          are built like
                          mutu           78464A813  15455   219120 SH       DEFINED 1,2                     219120
INTERCONTINENTALEXCHANGE  Common
 INC                      equity
                          shares         45865V100 380536  2798451 SH       DEFINED 1,2,5,6,8,10,12,18     2798451
SUNPOWER CORP             Common
                          equity
                          shares         867652406   4972  1034235 SH       DEFINED 1,2,5,6,8              1034235
AMERISAFE INC             Common
                          equity
                          shares         03071H100   8540   329002 SH       DEFINED 1,2,8                   329002
UNDER ARMOUR INC          Common
                          equity
                          shares         904311107  84312   892392 SH       DEFINED 1,2,5,6,8,12            892392
BROOKDALE SENIOR          Common
 LIVING INC               equity
                          shares         112463104  22212  1251884 SH       DEFINED 1,2,5,6,8              1251884
UNION DRILLING INC        Common
                          equity
                          shares         90653P105   1306   291149 SH       DEFINED 1,2                     291149
DCP MIDSTREAM             Limited
 PARTNERS LP              Partnership    23311P100   1612    38235 SH       DEFINED 1                        38235
VOCUS INC                 Common
                          Stock          92858J108   6482   348440 SH       DEFINED 1,2,6,8                 348440
VIACOM INC                Common
                          Stock          92553P201 940001 19991570 SH       DEFINED 1,2,5,6,8,10,12,18,19 19991570
BASIC ENERGY SERVICES     Common
 INC                      equity
                          shares         06985P100  12103  1173328 SH       DEFINED 1,2,6,8                1173328
CYNOSURE INC              Common
                          equity
                          shares         232577205   3631   171856 SH       DEFINED 1,2                     171856
DEALERTRACK HOLDINGS      Common
 INC                      equity
                          shares         242309102  25338   841648 SH       DEFINED 1,2,6,8                 841648
LIVE NATION               Common
 ENTERTAINMENT            equity
                          shares         538034109  29238  3185155 SH       DEFINED 1,2,5,6,8              3185155
DELIAS INC                Common
                          equity
                          shares         246911101     44    28364 SH       DEFINED 1                        28364
SUNTECH POWER             American
 HOLDINGS -ADR            Depository
                          Receipt        86800C104   1043   555015 SH       DEFINED 1,2                     555015
SOMAXON                   Common
 PHARMACEUTICALS INC      Stock          834453102      6    19600 SH       DEFINED 1                        19600
COPA HOLDINGS SA          Common
                          equity
                          shares         P31076105  27642   335155 SH       DEFINED 1,2,4,6,17              335155
URANIUM ENERGY CORP       Common
                          equity
                          shares         916896103   1828   798149 SH       DEFINED 1,6,8                   798149
LINN ENERGY LLC           Composition
                          of more than
                          1 security     536020100  14519   381101 SH       DEFINED 1,5,12,18               381101
WESTERN REFINING INC      Common
                          equity
                          shares         959319104  38434  1725795 SH       DEFINED 1,2,5,6,8              1725795
AMERICAN RAILCAR INDS     Common
 INC                      equity
                          shares         02916P103   4495   165857 SH       DEFINED 1,2,6                   165857
SMART BALANCE INC         Common
                          Stock          83169Y108  10279  1094696 SH       DEFINED 1,2,6,8                1094696
CALUMET SPECIALTY         Limited
 PRODS -LP                Partnership    131476103    633    26635 SH       DEFINED 1                        26635
CHIPOTLE MEXICAN GRILL    Common
 INC                      equity
                          shares         169656105 492363  1295841 SH       DEFINED 1,2,5,6,8,10,12,18     1295841
UNITED CONTINENTAL        Common
 HLDGS INC                Stock          910047109  96182  3953203 SH       DEFINED 1,2,5,8,10,12,18       3953203
H&E EQUIPMENT SERVICES    Common
 INC                      equity
                          shares         404030108   7874   523659 SH       DEFINED 1,2,6,8                 523659
REGENCY ENERGY
 PARTNERS LP              Misc Equity    75885Y107   2765   116327 SH       DEFINED 1                       116327
KOPPERS HOLDINGS INC      Common
                          equity
                          shares         50060P106  14910   438563 SH       DEFINED 1,2,6,8                 438563
TERNIUM SA -ADR           American
                          Depository
                          Receipt        880890108    463    23631 SH       DEFINED 1,2,5                    23631
CARDICA INC               Common
                          equity
                          shares         14141R101     20    10800 SH       DEFINED 1                        10800
ENERGY TRANSFER           Limited
 EQUITY LP                Partnership    29273V100   5866   143013 SH       DEFINED 1,5                     143013
POWERSHARES DB            USA:
 COMMODITY INDEX          Common
 FUND                     Stock          73935S105  13228   513703 SH       DEFINED 2                       513703
RESOURCE CAPITAL CORP     Common
                          equity
                          shares         76120W302   8133  1526724 SH       DEFINED 1,2,8                  1526724
SPDR S&P BIOTECH ETF      Default        78464A870    234     2640 SH       DEFINED 17                           0          2640
CROCS INC                 Common
                          equity
                          shares         227046109  28894  1789314 SH       DEFINED 1,2,5,6,8              1789314
EXCO RESOURCES INC        Common
                          equity
                          shares         269279402  28845  3799961 SH       DEFINED 1,2,5,6,8              3799961
ACORDA THERAPEUTICS       Common
 INC                      Stock          00484M106  31726  1346517 SH       DEFINED 1,2,5,6,8              1346517
ROSETTA RESOURCES INC     Common
                          equity
                          shares         777779307  51327  1400810 SH       DEFINED 1,2,5,6,8              1400810
MORGANS HOTEL GROUP       Common
 CO                       equity
                          shares         61748W108   1758   373974 SH       DEFINED 1,2                     373974
SPARK NETWORKS INC        American
                          Depository
                          Receipt        84651P100    691   133700 SH       DEFINED 1,2                     133700
NORTHERN OIL & GAS INC    Common
                          equity
                          shares         665531109  39380  2470494 SH       DEFINED 1,2,5,6,8,12           2470494
LIQUIDITY SERVICES INC    Common
                          equity
                          shares         53635B107  22242   434522 SH       DEFINED 1,2,6,8                 434522
GRUPO AEROPORTUARIO       American
 DEL PACI                 Depository
                          Receipt        400506101   1457    36922 SH       DEFINED 1,5,6                    36922
AMERICAN APPAREL INC      Common
                          equity
                          shares         023850100     15    17200 SH       DEFINED 1                        17200
NYSE EURONEXT             Common
                          equity
                          shares         629491101 262622 10266781 SH       DEFINED 1,2,5,6,8,10,12,18    10266781
GREEN PLAINS              Common
 RENEWABLE ENRGY          Stock          393222104   3003   481443 SH       DEFINED 1,2,8                   481443
TRANSDIGM GROUP INC       Common
                          equity
                          shares         893641100 105620   786459 SH       DEFINED 1,2,5,6,8,10,12,18      786459
TIM HORTONS INC           Common
                          equity
                          shares         88706M103   4205    79885 SH       DEFINED 1,5,8                    79885
HIMAX TECHNOLOGIES        American
 INC                      Depository
                          Receipt        43289P106    997   531829 SH       DEFINED 1,2                     531829
PORTLAND GENERAL          Common
 ELECTRIC CO              equity
                          shares         736508847  44695  1676371 SH       DEFINED 1,2,5,6,8,12,17        1676371
SEALY CORP                Common
                          equity
                          shares         812139301   1448   782325 SH       DEFINED 1,2,6                   782325
TARGACEPT INC             Common
                          Stock          87611R306   2052   476880 SH       DEFINED 1,2,6,8                 476880
VANDA                     Common
 PHARMACEUTICALS INC      equity
                          shares         921659108   2335   530865 SH       DEFINED 1,2                     530865
BARCLAYS BK PLC           Public
                          preferred
                          instrument     06739F390   1517    62952 SH       DEFINED 2                        62952
DELEK US HOLDINGS INC     Common
                          equity
                          shares         246647101   7597   431871 SH       DEFINED 1,2                     431871






                                                          SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                       CLASS        CUSIP    VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
---------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LIBERTY INTERACTIVE      Common
 CORP                    equity
                         shares         53071M104  296894 16689163 SH       DEFINED 1,2,5,6,8,10,12,18    16689163
LIBERTY MEDIA CORP       Common
                         equity
                         shares         530322106  155677  1770878 SH       DEFINED 1,2,5,6,8,10,12,18     1770878
ALLIANCE HOLDINGS GP     Limited
 LP                      Partnership    01861G100     716    17267 SH       DEFINED 1                        17267
TRANSCEPT                Common
 PHARMACEUTICALS         equity
                         shares         89354M106     926   149491 SH       DEFINED 1,2                     149491
COMPASS DIVERSIFIED
 HOLDINGS                Misc Equity    20451Q104     406    29059 SH       DEFINED 1                        29059
BIOMIMETIC               Common
 THERAPEUTICS INC        Stock          09064X101      79    30118 SH       DEFINED 1,5,6                    30118
PENSON WORLDWIDE INC     Common
                         equity
                         shares         709600100       3    17820 SH       DEFINED 1                        17820
MARKET VECTORS ETF       Exchange
 GOLD MINERS             Traded
                         Product        57060U100    1612    36010 SH       DEFINED 2                        36010
VONAGE HOLDINGS CORP     Common
                         equity
                         shares         92886T201    6330  3150033 SH       DEFINED 1,2,6,8                3150033
MASTERCARD INC           Common
                         equity
                         shares         57636Q104 1679711  3905338 SH       DEFINED 1,2,5,6,8,10,12,18     3905338
MUELLER WATER            Common
 PRODUCTS INC            equity
                         shares         624758108   10161  2937314 SH       DEFINED 1,2,6,8                2937314
CTC MEDIA INC            Common
                         equity
                         shares         12642X106     244    30308 SH       DEFINED 1,2,5                    30308
ALPHATEC HOLDINGS INC    Common
                         Stock          02081G102    1476   802499 SH       DEFINED 1,2,8                   802499
TOWN SPORTS INTL         Common
 HOLDINGS                equity
                         shares         89214A102    6440   484459 SH       DEFINED 1,2                     484459
HOUSTON WIRE & CABLE     Common
 CO                      equity
                         shares         44244K109    3098   283470 SH       DEFINED 1,2                     283470
KAISER ALUMINUM CORP     Common
                         equity
                         shares         483007704   33289   642159 SH       DEFINED 1,2,5,6,8               642159
SYNCHRONOSS              Common
 TECHNOLOGIES            Stock          87157B103    9932   537770 SH       DEFINED 1,2,6,8                 537770
VOLCANO CORP             Common
                         Stock          928645100   27445   957949 SH       DEFINED 1,2,5,6,8               957949
EASTERN INSURANCE        Common
 HLDGS INC               equity
                         shares         276534104    1359    79927 SH       DEFINED 1,2                      79927
HOME BANCSHARES INC      Common
                         equity
                         shares         436893200   18057   590344 SH       DEFINED 1,2,6,8                 590344
SPDR S&P METALS &        Investments
 MINING ETF              that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           78464A755    3935    94948 SH       DEFINED 2                        94948
PGT INC                  Common
                         equity
                         shares         69336V101     666   219860 SH       DEFINED 1,2                     219860
CARDIOVASCULAR           Common
 SYSTEMS INC             equity
                         shares         141619106    2238   228515 SH       DEFINED 1,2                     228515
ROMA FINANCIAL CORP      Common
                         equity
                         shares         77581P109    1070   125346 SH       DEFINED 1,2                     125346
ALLIED WORLD             Common
 ASSURANCE CO AG         equity
                         shares         H01531104   36241   456051 SH       DEFINED 1,2,5,6,8,12,17         456051
NUSTAR GP HOLDINGS       Composition
 LLC                     of more than
                         1 security     67059L102    1330    42837 SH       DEFINED 1                        42837
WYNDHAM WORLDWIDE        Common
 CORP                    equity
                         shares         98310W108  292759  5550895 SH       DEFINED 1,2,5,6,8,10,12,17,18  5550895
ATLAS ENERGY LP          Limited
                         Partnership    04930A104    1588    52059 SH       DEFINED 1                        52059
CLEVELAND BIOLABS INC    Common
                         Stock          185860103      31    19300 SH       DEFINED 1                        19300
ISHARES GSCI             Investments
 COMMODITY INDEXED       that contain
 TRUST                   a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           46428R107    3794   124635 SH       DEFINED 1,10                    124635
CHART INDUSTRIES INC     Common
                         equity
                         shares         16115Q308   42089   612102 SH       DEFINED 1,2,5,6,8,17            611462            640
GEOMET INC               Common
                         Stock          37250U201       5    15000 SH       DEFINED 1                        15000
OSIRIS THERAPEUTICS INC  Common
                         equity
                         shares         68827R108    2845   259445 SH       DEFINED 1,2,6                   259445
AIRCASTLE LTD            Common
                         equity
                         shares         G0129K104   13745  1140741 SH       DEFINED 1,2,6,8                1140741
ASCENT SOLAR             Common
 TECHNOLOGIES            equity
                         shares         043635101       9    12100 SH       DEFINED 1                        12100
EVERCORE PARTNERS INC    Common
                         equity
                         shares         29977A105   11105   474974 SH       DEFINED 1,2,6,8                 474974
VIASYSTEMS GROUP INC     Common
                         equity
                         shares         92553H803     849    49901 SH       DEFINED 1,2                      49901
HANESBRANDS INC          Common
                         equity
                         shares         410345102  119366  4304511 SH       DEFINED 1,2,5,6,8,12,19        4304511
INNERWORKINGS INC        Common
                         equity
                         shares         45773Y105    7249   535648 SH       DEFINED 1,2,6,17                519992          15656
NEW ORIENTAL ED &        American
 TECH                    Depository
                         Receipt        647581107    4642   189436 SH       DEFINED 1,2                     189436
GOLD RESOURCE CORP       Common
                         equity
                         shares         38068T105   14264   548827 SH       DEFINED 1,2,6,8                 548827
IMMUNOCELLULAR           Common
 THERAPEUTICS            Stock          452536105    1970   525500 SH       DEFINED 1,2                     525500
WESTERN UNION CO         Common
                         equity
                         shares         959802109  391326 23237477 SH       DEFINED 1,2,5,6,8,10,12,18    23237477
RIVERBED TECHNOLOGY      Common
 INC                     equity
                         shares         768573107   55002  3405815 SH       DEFINED 1,2,5,6,8,12           3405815
TOWERSTREAM CORP         Common
                         equity
                         shares         892000100    2791   672393 SH       DEFINED 1,2                     672393
WARNER CHILCOTT PLC      Common
                         equity
                         shares         G94368100   82516  4604539 SH       DEFINED 1,2,5,8,10,12,18       4604539
COMMVAULT SYSTEMS        Common
 INC                     equity
                         shares         204166102   47711   962508 SH       DEFINED 1,2,5,6,8               962508
MINDRAY MEDICAL INTL     American
                         Depository
                         Receipt        602675100    3947   130359 SH       DEFINED 1,2                     130359
EV ENERGY PARTNERS LP    Limited
                         Partnership    26926V107    1979    39225 SH       DEFINED 1                        39225
ICF INTERNATIONAL INC    Common
                         equity
                         shares         44925C103    8423   353496 SH       DEFINED 1,2,6,8                 353496
SHUTTERFLY INC           Common
                         equity
                         shares         82568P304   30205   984263 SH       DEFINED 1,2,5,6,8               984263
FOX CHASE BANCORP INC    Common
                         Stock          35137T108    3222   223036 SH       DEFINED 1,2,6                   223036
VIEWPOINT FINANCIAL      Common
 GROUP                   equity
                         shares         92672A101   10188   651328 SH       DEFINED 1,2,6,8                 651328
BREITBURN ENERGY         Limited
 PARTNERS LP             Partnership    106776107    1047    63135 SH       DEFINED 1                        63135
OWENS CORNING            Common
                         equity
                         shares         690742101   81465  2854370 SH       DEFINED 1,2,5,6,8,12           2854370
ARMSTRONG WORLD          Common
 INDUSTRIES              equity
                         shares         04247X102   54790  1114579 SH       DEFINED 1,2,5,6,8              1114579
ACME PACKET INC          Common
                         Stock          004764106   12553   673205 SH       DEFINED 1,2,5,6,8               673205
EHEALTH INC              Common
                         Stock          28238P109    6379   395965 SH       DEFINED 1,2,6,8                 395965
SAIC INC                 Common
                         equity
                         shares         78390X101  133742 11034860 SH       DEFINED 1,2,5,6,8,10,12,18    11034860
EXTERRAN PARTNERS LP     Limited
                         Partnership    30225N105     564    29341 SH       DEFINED 1                        29341
SUSSER HOLDINGS CORP     Common
                         Stock          869233106   13932   374775 SH       DEFINED 1,2,6                   374775
EXLSERVICE HOLDINGS      Common
 INC                     equity
                         shares         302081104    9750   395746 SH       DEFINED 1,2,6,8                 395746
DOUGLAS EMMETT INC       Real Estate
                         Investment
                         Trust          25960P109   81492  3527751 SH       DEFINED 1,2,3,6,8              3527751
CADENCE                  Common
 PHARMACEUTICALS INC     Stock          12738T100    3239   906959 SH       DEFINED 1,2,6,8                 906959
PRIMORIS SERVICES CORP   Common
                         equity
                         shares         74164F103    7166   597170 SH       DEFINED 1,2,6,8                 597170
ACHILLION                Common
 PHARMACEUTICALS         Stock          00448Q201   15883  2561556 SH       DEFINED 1,2,6,8                2561556
ASSISTED LIVING          Common
 CONCEPTS INC            equity
                         shares         04544X300    5889   414171 SH       DEFINED 1,2,5,8                 414171
HOME INNS & HOTELS       American
 MNGT                    Depository
                         Receipt        43713W107    2372   104666 SH       DEFINED 1,2                     104666
GLOBALSTAR INC           Common
                         Stock          378973408      18    57314 SH       DEFINED 1                        57314
INNOPHOS HOLDINGS INC    Common
                         Stock          45774N108   23459   415496 SH       DEFINED 1,2,6,8                 415496
ORBCOMM INC              Common
                         equity
                         shares         68555P100    1653   507284 SH       DEFINED 1,2                     507284
SYNERGY                  Common
 PHARMACEUTICALS INC     Stock          871639308    2496   525400 SH       DEFINED 1,2                     525400
KBW INC                  Common
                         equity
                         shares         482423100   10642   646922 SH       DEFINED 1,2,6,8                 646922
ONEBEACON INSURANCE      Common
 GROUP                   equity
                         shares         G67742109    5229   401525 SH       DEFINED 1,2,8                   401525
CAPELLA EDUCATION CO     Common
                         equity
                         shares         139594105   10280   295701 SH       DEFINED 1,2,6,8                 295701
METABOLIX INC            Common
                         equity
                         shares         591018809      36    19202 SH       DEFINED 1,6                      19202
SOLTA MEDICAL INC        Common
                         Stock          83438K103    2739   935139 SH       DEFINED 1,2,6                   935139
AMTRUST FINANCIAL        Common
 SERVICES                equity
                         shares         032359309   12936   435320 SH       DEFINED 1,2,6,8                 435320
SALLY BEAUTY HOLDINGS    Common
 INC                     equity
                         shares         79546E104   51598  2004624 SH       DEFINED 1,2,5,6,8              2004624
EMERGENT                 Common
 BIOSOLUTIONS INC        equity
                         shares         29089Q105   10606   700205 SH       DEFINED 1,2,6,8                 700205
HANSEN MEDICAL INC       Common
                         equity
                         shares         411307101    1743   768161 SH       DEFINED 1,2                     768161
HERTZ GLOBAL HOLDINGS    Common
 INC                     equity
                         shares         42805T105   50954  3981125 SH       DEFINED 1,2,5,6,8,10,12,18     3981125
KBR INC                  Common
                         equity
                         shares         48242W106  111743  4522174 SH       DEFINED 1,2,5,6,8,10,12,17,18  4493174          29000
FIRST SOLAR INC          Common
                         equity
                         shares         336433107   39626  2630665 SH       DEFINED 1,2,5,6,8,10,12,18     2630665
VENOCO INC               Common
                         equity
                         shares         92275P307    4985   497874 SH       DEFINED 1,2,6,8                 497874
SPIRIT AEROSYSTEMS       Common
 HOLDINGS                equity
                         shares         848574109   39773  1669160 SH       DEFINED 1,2,5,6,8              1669160
AERCAP HOLDINGS NV       Common
                         equity
                         shares         N00985106    1197   106115 SH       DEFINED 1,2,5                   106115
NETLIST INC              Common
                         equity
                         shares         64118P109      32    14000 SH       DEFINED 1                        14000
ALLEGIANT TRAVEL CO      Common
                         equity
                         shares         01748X102   20011   287186 SH       DEFINED 1,2,6,8                 287186
HEELYS INC               Common
                         Stock          42279M107      21    11200 SH       DEFINED 1                        11200
AEGEAN MARINE            Common
 PETROLM NETWK           equity
                         shares         Y0017S102      61    11364 SH       DEFINED 1                        11364
KCAP FINANCIAL INC       Common
                         equity
                         shares         48668E101    2217   305445 SH       DEFINED 1,2                     305445
DCT INDUSTRIAL TRUST     Real Estate
 INC                     Investment
                         Trust          233153105   50046  7943169 SH       DEFINED 1,2,3,5,6,8            7943169
GUIDANCE SOFTWARE INC    Common
                         equity
                         shares         401692108    2015   211777 SH       DEFINED 1,2                     211777
IPG PHOTONICS CORP       Common
                         equity
                         shares         44980X109   14439   331235 SH       DEFINED 1,2,5,6,8               331235
CAL DIVE                 Common
 INTERNATIONAL INC       equity
                         shares         12802T101    4610  1589391 SH       DEFINED 1,2,5,6,8              1589391
NEWSTAR FINANCIAL INC    Common
                         Stock          65251F105    5941   458533 SH       DEFINED 1,2,6,8                 458533
OBAGI MEDICAL            Common
 PRODUCTS INC            equity
                         shares         67423R108    5872   384416 SH       DEFINED 1,2,6                   384416
SPECTRA ENERGY CORP      Common
                         equity
                         shares         847560109  801224 27571257 SH       DEFINED 1,2,5,6,8,10,12,17,18 27571257
TEEKAY OFFSHORE          Limited
 PARTNERS LP             Partnership    Y8565J101    1110    39702 SH       DEFINED 1                        39702
AFFYMAX INC              Common
                         Stock          00826A109   23413  1817673 SH       DEFINED 1,2,6,8                1817673
ALTRA HOLDINGS INC       Common
                         equity
                         shares         02208R106    7911   501273 SH       DEFINED 1,2,6,8                 501273
CARROLS RESTAURANT       Common
 GROUP INC               Stock          14574X104    1552   261384 SH       DEFINED 1,2                     261384
MELCO CROWN ENTMT        Depository
 LTD                     Receipt        585464100     487    42292 SH       DEFINED 1,5                      42292
NEURALSTEM INC           Common
                         equity
                         shares         64127R302      27    29000 SH       DEFINED 1                        29000
GREAT LAKES DREDGE &     Common
 DOCK CP                 Stock          390607109    6544   918686 SH       DEFINED 1,2,6,8                 918686
PARK STERLING CORP       Common
                         equity
                         shares         70086Y105    1939   411462 SH       DEFINED 1,2                     411462
ZION OIL & GAS INC       Common
                         equity
                         shares         989696109      46    29490 SH       DEFINED 1,2                      29490
TIME WARNER CABLE INC    Common
                         Stock          88732J207  966495 11772141 SH       DEFINED 1,2,5,6,8,10,12,18    11772141
LEGACY RESERVES LP       Limited
                         Partnership    524707304    1019    40730 SH       DEFINED 1                        40730
AEROVIRONMENT INC        Common
                         equity
                         shares         008073108    8411   319720 SH       DEFINED 1,2,6,8                 319720
ORITANI FINANCIAL CORP   Common
                         equity
                         shares         68633D103   12997   903486 SH       DEFINED 1,2,6,8                 903486
OCULUS INNOVATIVE        Common
 SCIENCES                equity
                         shares         67575P108      10    13800 SH       DEFINED 1                        13800
EMPLOYERS HOLDINGS       Common
 INC                     equity
                         shares         292218104   11661   646576 SH       DEFINED 1,2,6,8                 646576
HFF INC                  Common
                         equity
                         shares         40418F108    7576   543476 SH       DEFINED 1,2,6,8                 543476
CENTRAL GARDEN & PET     Common
 CO                      equity
                         shares         153527205    9644   885598 SH       DEFINED 1,2,5,6,8               885598
SYNTA                    Private
 PHARMACEUTICALS         company?no
 CORP                    public
                         equity
                         shares         87162T206    2792   509885 SH       DEFINED 1,2                     509885
CELLCOM ISRAEL LTD       Common
                         equity
                         shares         M2196U109    4358   714572 SH       DEFINED 1,2                     714572
ACCURAY INC              Common
                         Stock          004397105    8115  1185985 SH       DEFINED 1,2,6,8                1185985
NATIONAL CINEMEDIA       Common
 INC                     Stock          635309107   15209  1002640 SH       DEFINED 1,2,6,8                1002640
FORTRESS INVESTMENT      Common
 GRP LLC                 equity
                         shares         34958B106      67    19900 SH       DEFINED 1                        19900
OPTIMER                  Common
 PHARMACEUTICALS INC     Stock          68401H104   21030  1355171 SH       DEFINED 1,2,6,8                1355171
TARGA RESOURCES
 PARTNERS LP             Misc Equity    87611X105    3028    84923 SH       DEFINED 1                        84923
US AUTO PARTS            Common
 NETWORK INC             equity
                         shares         90343C100     836   200295 SH       DEFINED 1,2                     200295
INFORMATION SERVICES     Common
 GROUP                   equity
                         shares         45675Y104      24    18200 SH       DEFINED 1                        18200
OPNEXT INC               Common
                         equity
                         shares         68375V105      38    30100 SH       DEFINED 1                        30100
TRIANGLE CAPITAL CORP    Common
                         equity
                         shares         895848109   11851   520235 SH       DEFINED 1,2,8                   520235
COLEMAN CABLE INC        Common
                         equity
                         shares         193459302    1008   115767 SH       DEFINED 1,2                     115767
DOMTAR CORP              Common
                         equity
                         shares         257559203   63889   832830 SH       DEFINED 1,2,5,6,8,10,12         832830
CLEARWIRE CORP           Common
                         equity
                         shares         18538Q105    3079  2749304 SH       DEFINED 1,2,5,6,8              2749304
SOURCEFIRE INC           Common
                         Stock          83616T108   29368   571343 SH       DEFINED 1,2,6,8                 571343
GAFISA SA                American
                         Depository
                         Receipt        362607301    8705  3427151 SH       DEFINED 1,2,18                 3427151
BROADRIDGE FINANCIAL     Common
 SOLUTNS                 equity
                         shares         11133T103   63853  3001887 SH       DEFINED 1,2,5,6,8,12           3001887
GLU MOBILE INC           Common
                         Stock          379890106    4549   819562 SH       DEFINED 1,2,6,17                795458          24104
ARUBA NETWORKS INC       Common
                         Stock          043176106   33175  2204130 SH       DEFINED 1,2,5,6,8              2204130
GSI TECHNOLOGY INC       Common
                         Stock          36241U106    1703   358956 SH       DEFINED 1,2                     358956
SUPER MICRO COMPUTER     Common
 INC                     Stock          86800U104    7753   488858 SH       DEFINED 1,2,6,8                 488858
FLAGSTONE                Common
 REINSURANCE HLD SA      equity
                         shares         L3466T104    7718   963852 SH       DEFINED 1,2,6,8                 963852
ESSA BANCORP INC         Common
                         equity
                         shares         29667D104    2275   210740 SH       DEFINED 1,2,6,17                210740
DIALOGIC INC             Common
                         equity
                         shares         25250T100       8    12353 SH       DEFINED 1                        12353
METROPCS                 Common
 COMMUNICATIONS INC      equity
                         shares         591708102   74265 12275527 SH       DEFINED 1,2,5,6,8,10,12,18    12275527
PENNANTPARK              Common
 INVESTMENT CORP.        equity
                         shares         708062104   10855  1048962 SH       DEFINED 1,2,6,8                1048962
TFS FINANCIAL CORP       Common
                         equity
                         shares         87240R107    9011   943358 SH       DEFINED 1,2,6,8,10              943358
CINEMARK HOLDINGS INC    Common
                         equity
                         shares         17243V102   51231  2242054 SH       DEFINED 1,2,5,6,8,12           2242054
BARCLAYS IPATH MSCI      Investments
 INDIA INDEX ETN         that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           06739F291    2607    50550 SH       DEFINED 4                        50550
BAXTER INTERNATIONAL     Common
 INC                     equity
                         shares         071813109 1291314 24295438 SH       DEFINED 1,2,5,6,8,10,12,18    24295438
SPDR DJ INTERNATIONAL    USA:
 REAL ESTATE ETF         Common
                         Stock          78463X863   48287  1312868 SH       DEFINED 2                      1312868
POWERSHARES DB           Exchange
 ENERGY FUND             Traded
                         Product        73936B101    1556    61667 SH       DEFINED 2                        61667
POWERSHARES DB           Exchange
 AGRICULTURE FUND        Traded
                         Product        73936B408     572    20274 SH       DEFINED 2                        20274
POWERSHARES DB GOLD      Investments
 FUND                    that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           73936B606    2276    41257 SH       DEFINED 2                        41257
SPDR MSCI ACWI EX-US     USA:
 ETF                     Common
                         Stock          78463X848    3162   110620 SH       DEFINED 1                       110620
SPDR FTSE/MACQUARIE
 GLOBAL                  USA:
 INFRASTRUCTURE 100      Common
 ETF                     Stock          78463X855    6578   165743 SH       DEFINED 2,5                     165743
VANGUARD FTSE            Investments
 ALL-WORLD EX-US ETF     that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           922042775   36367   887454 SH       DEFINED 1                       887454
SPDR S&P EMERGING        USA:
 MARKETS ETF             Common
                         Stock          78463X509   46773   779659 SH       DEFINED 1,2,5,18                779659
VANGUARD TOTAL BOND      Investments
 MARKET ETF              that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           921937835  391844  4643800 SH       DEFINED 2                      4643800
ISHARES IBOXX $ HIGH     USA:
 YIELD CORPORATE         Common
 BOND FUND               Stock          464288513   52538   575948 SH       DEFINED 1                       575948
DELTA AIR LINES INC      Common
                         equity
                         shares         247361702  129147 11794225 SH       DEFINED 1,2,5,8,10,12,18      11794225
EAGLE ROCK ENERGY        Limited
 PARTNRS LP              Partnership    26985R104     711    79360 SH       DEFINED 1                        79360
OREXIGEN THERAPEUTICS    Common
 INC                     equity
                         shares         686164104    5748  1037229 SH       DEFINED 1,2,6                  1037229
SPDR S&P                 USA:
 INTERNATIONAL SMALL     Common
 CAP ETF                 Stock          78463X871   82092  3180621 SH       DEFINED 1,2                    3180621
SPDR S&P WORLD EX-US     Investments
 ETF                     that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           78463X889   81661  3643890 SH       DEFINED 1,2                    3643890
CAVIUM INC               Private
                         company?no
                         public
                         equity
                         shares         14964U108   29558  1055559 SH       DEFINED 1,2,5,6,8              1055559
INTERACTIVE BROKERS      Common
 GROUP                   equity
                         shares         45841N107   13194   896590 SH       DEFINED 1,2,5,8                 896590
ALLIED NEVADA GOLD       Common
 CORP                    equity
                         shares         019344100   55092  1941179 SH       DEFINED 1,2,5,6,8              1941179
AECOM TECHNOLOGY         Common
 CORP                    equity
                         shares         00766T100   39456  2398645 SH       DEFINED 1,2,5,6,8,12           2398645
JMP GROUP INC            Common
                         equity
                         shares         46629U107    1504   243420 SH       DEFINED 1,2                     243420
SOLERA HOLDINGS INC      Common
                         equity
                         shares         83421A104   64338  1539592 SH       DEFINED 1,2,5,6,8,12           1539592
CONTINENTAL              Common
 RESOURCES INC           equity
                         shares         212015101   60496   908034 SH       DEFINED 1,2,5,6,8,10,12,18      908034
INSULET CORP             Common
                         Stock          45784P101   18321   857400 SH       DEFINED 1,2,6,8                 857400
SKILLED HEALTHCARE       Common
 GROUP INC               equity
                         shares         83066R107    2303   366784 SH       DEFINED 1,2,8                   366784
CAI INTERNATIONAL INC    Common
                         equity
                         shares         12477X106    4271   214821 SH       DEFINED 1,2,8                   214821
TECHTARGET INC           Common
                         equity
                         shares         87874R100     894   177011 SH       DEFINED 1,2                     177011
ENERNOC INC              Common
                         Stock          292764107    2881   398056 SH       DEFINED 1,2,6,8                 398056
TRIMAS CORP              Common
                         Stock          896215209   11347   564469 SH       DEFINED 1,2,6,8                 564469
B&G FOODS INC            Common
                         equity
                         shares         05508R106   24327   914625 SH       DEFINED 1,2,6,8                 914625
GREENLIGHT CAPITAL RE    Common
 LTD                     equity
                         shares         G4095J109   12917   507993 SH       DEFINED 1,2,6,8                 507993
CLEAN ENERGY FUELS       Common
 CORP                    Stock          184499101   30333  1957017 SH       DEFINED 1,2,6,8                1957017
AMICUS THERAPEUTICS      Common
 INC                     equity
                         shares         03152W109    2296   417254 SH       DEFINED 1,2                     417254
JAZZ PHARMACEUTICALS     Common
 PLC                     Stock          G50871105   52332  1162513 SH       DEFINED 1,2,6,8                1162513
LDK SOLAR CO LTD         American
                         Depository
                         Receipt        50183L107     198   103474 SH       DEFINED 1,2                     103474
ENERGY XXI (BERMUDA)     Common
                         Stock          G10082140   54928  1755481 SH       DEFINED 1,2,6,8                1755481
SWISHER HYGIENE INC      Common
                         Stock          870808102    4497  1788163 SH       DEFINED 1,2,6,8                1788163
INFINERA CORP            Common
                         Stock          45667G103   13125  1918979 SH       DEFINED 1,2,6,8                1918979
FBR & CO                 Common
                         equity
                         shares         30247C301    2205   796331 SH       DEFINED 1,2                     796331
LIMELIGHT NETWORKS       Common
 INC                     Stock          53261M104    2899   989394 SH       DEFINED 1,2,6                   989394
VANTAGE DRILLING CO      Common
                         equity
                         shares         G93205113    4152  2766211 SH       DEFINED 1,2,6                  2766211
DISCOVER FINANCIAL       Common
 SVCS INC                equity
                         shares         254709108  694123 20073041 SH       DEFINED 1,2,5,6,8,10,12,17,18 20073041
COVIDIEN PLC             Common
                         equity
                         shares         G2554F113  969172 18115296 SH       DEFINED 1,2,5,6,8,10,12,17,18 18115296
TE CONNECTIVITY LTD      Common
                         equity
                         shares         H84989104  433556 13587015 SH       DEFINED 1,2,5,6,8,10,12,18    13587015
WESTWAY GROUP INC        Common
                         equity
                         shares         96169B100     824   137452 SH       DEFINED 1,2                     137452
STERLITE INDUSTRIES      American
 (INDIA)                 Depository
                         Receipt        859737207    5837   770233 SH       DEFINED 1,2,5,6,8               770233
AUTHENTEC INC            Common
                         equity
                         shares         052660107    2428   560900 SH       DEFINED 1,2                     560900
BLACKROCK KELSO          Common
 CAPITAL CORP.           equity
                         shares         092533108   14755  1511658 SH       DEFINED 1,2,6,8                1511658
COMSCORE INC             Common
                         Stock          20564W105   10858   659592 SH       DEFINED 1,2,6,8                 659592
SPECTRA ENERGY           Limited
 PARTNERS LP             Partnership    84756N109    1060    34842 SH       DEFINED 1                        34842
BOISE INC                Common
                         equity
                         shares         09746Y105   14302  2173826 SH       DEFINED 1,2,6,8,17             1860826         313000
POLYPORE                 Common
 INTERNATIONAL INC       equity
                         shares         73179V103   21447   531051 SH       DEFINED 1,2,6,8                 531051
PROS HOLDINGS INC        Common
                         equity
                         shares         74346Y103    6043   359195 SH       DEFINED 1,2,6,8                 359195
SHORETEL INC             Common
                         Stock          825211105    3560   813145 SH       DEFINED 1,2,6,8                 813145
BENEFICIAL MUTUAL        Common
 BANCORP                 equity
                         shares         08173R104    4780   553880 SH       DEFINED 1,2,6,8                 553880
MARKET VECTORS RUSSIA    Investments
 ETF TRUST SHARES OF     that contain
 BENEFICIAL INTEREST     a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           57060U506    2190    83700 SH       DEFINED 10                       83700
IPATH CBOE S&P 500       Investments
 BUYWRITE INDEX ETN      that contain
                         a pool of
                         securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           06739F135     966    18538 SH       DEFINED 5                        18538
SPDR BARCLAYS CAPITAL    USA:
 AGGREGATE BOND ETF      Common
                         Stock          78464A649  197490  3367838 SH       DEFINED 1,2                    3367838
SPDR DB INTERNATIONAL    Investments
 GOVERNMENT              that contain
 INFLATION-PROTECTED     a pool of
 BOND ETF                securities
                         representing
                         a specific
                         index and
                         are built like
                         mutu           78464A490   19663   333961 SH       DEFINED 2                       333961
SPDR BARCLAYS CAPITAL    Exchange
 LONG TERM TREASURY      Traded
 ETF                     Product        78464A664     861    11918 SH       DEFINED 2                        11918
WABCO HOLDINGS INC       Common
                         equity
                         shares         92927K102   39636   748861 SH       DEFINED 1,2,5,6,8               748861
DICE HOLDINGS INC        Common
                         equity
                         shares         253017107    9776  1040852 SH       DEFINED 1,2,6,8                1040852
ENCORE BANCSHARES INC    Common
                         equity
                         shares         29255V201    3133   151803 SH       DEFINED 1,2                     151803
PHARMERICA CORP          Common
                         equity
                         shares         71714F104    7908   724265 SH       DEFINED 1,2,5,6,8               724265
HHGREGG INC              Common
                         equity
                         shares         42833L108    3404   301240 SH       DEFINED 1,2,6,8                 301240
ORBITZ WORLDWIDE INC     Common
                         equity
                         shares         68557K109    1780   488084 SH       DEFINED 1,2,6                   488084
ZAGG INC                 Common
                         Stock          98884U108    3888   356465 SH       DEFINED 1,2,6                   356465
MONOTYPE IMAGING         Common
 HOLDINGS                equity
                         shares         61022P100   13005   775490 SH       DEFINED 1,2,6,8                 775490
REX ENERGY CORP          Common
                         Stock          761565100   21096  1882061 SH       DEFINED 1,2,6,8                1882061
VALIDUS HOLDINGS LTD     Common
                         equity
                         shares         G9319H102   40804  1273926 SH       DEFINED 1,2,5,6,8,12,17        1273926
LULULEMON ATHLETICA      Common
 INC                     equity
                         shares         550021109   34460   577777 SH       DEFINED 1,2,5,6,8,10,12,18      577777
DOLAN CO                 Common
                         equity
                         shares         25659P402    4534   673733 SH       DEFINED 1,2,6,8                 673733
SUCAMPO                  Common
 PHARMACEUTICALS INC     equity
                         shares         864909106    1310   186367 SH       DEFINED 1,2                     186367
GENPACT LTD              Common
                         equity
                         shares         G3922B107   19781  1189559 SH       DEFINED 1,2,5,6                1189559
CONCHO RESOURCES INC     Common
                         equity
                         shares         20605P101  156194  1834916 SH       DEFINED 1,2,5,6,8,10,12,18     1834916
VIRTUSA CORP             Common
                         Stock          92827P102    4059   304302 SH       DEFINED 1,2,6                   304302
CRESTWOOD MIDSTREAM      Limited
 PTNRS LP                Partnership    226372100     397    15339 SH       DEFINED 1                        15339
E-HOUSE CHINA            American
 HOLDINGS -ADR           Depository
                         Receipt        26852W103     547    99670 SH       DEFINED 1,2                      99670
MASIMO CORP              Common
                         Stock          574795100   36683  1639081 SH       DEFINED 1,2,5,6,8,12           1639081
WUXI PHARMATECH          American
 (CAYMAN)-ADR            Depository
                         Receipt        929352102    2628   186066 SH       DEFINED 1,2                     186066
HORSEHEAD HOLDING        Common
 CORP                    equity
                         shares         440694305   13890  1394356 SH       DEFINED 1,2,6,8                1394356
MERCADOLIBRE INC         Common
                         Stock          58733R102    1730    22829 SH       DEFINED 1,6,8                    22829
VMWARE INC -CL A         Common
                         equity
                         shares         928563402  158493  1740892 SH       DEFINED 1,2,5,6,8,10,12,18     1740892
SPDR BARCLAYS CAPITAL    USA:
 TIPS ETF                Common
                         Stock          78464A656   79229  1329338 SH       DEFINED 1,2                    1329338
BARCLAYS BANK PLC        Public
                         preferred
                         instrument     06739H776    2880   116137 SH       DEFINED 2                       116137
TERADATA CORP            Common
                         equity
                         shares         88076W103  474140  6584442 SH       DEFINED 1,2,5,6,8,10,12,18     6584442
ATHENAHEALTH INC         Common
                         Stock          04685W103   58416   737856 SH       DEFINED 1,2,5,6,8               737856
DUFF & PHELPS CORP       Common
                         equity
                         shares         26433B107    7722   532638 SH       DEFINED 1,2,6,8                 532638
CONSTANT CONTACT INC     Common
                         Stock          210313102    9938   555806 SH       DEFINED 1,2,6,8                 555806
MAIN STREET CAPITAL      Common
 CORP                    equity
                         shares         56035L104   10035   414684 SH       DEFINED 1,2,6,8                 414684
MAP PHARMACEUTICALS      Common
 INC                     Stock          56509R108    6127   409108 SH       DEFINED 1,2,6,8                 409108
RESOLUTE ENERGY CORP     Common
                         Stock          76116A108   20759  2169188 SH       DEFINED 1,2,6,8                2169188
FIRST FINANCIAL          Common
 NORTHWEST               equity
                         shares         32022K102    1665   205000 SH       DEFINED 1,2                     205000






                                                       SHS/PRN  SH/ PUT/ DISCRE-                            SOLE   SHARED    NO
ISSUER                    CLASS        CUSIP    VALUE    VAL    PRN CALL    TION         MANAGERS          VOTING  VOTING  VOTING
---------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TEXTAINER GROUP       Common
 HOLDINGS LTD         equity shares  G8766E109    8547   231559 SH       DEFINED 1,2                        231559
ZEP INC               Common
                      equity shares  98944B108    5823   424225 SH       DEFINED 1,2,6,8                    424225
PATRIOT COAL CORP     Common
                      Stock          70336T104    2281  1866396 SH       DEFINED 1,2,6,8                   1866396
DUPONT FABROS         Real Estate
 TECHNOLOGY INC       Investment
                      Trust          26613Q106   56688  1984741 SH       DEFINED 1,2,3,6,8                 1984741
CVR ENERGY INC        Common
                      equity shares  12662P108   20621   775854 SH       DEFINED 1,2,5,6                    775854
VANGUARD
 NATURAL              Limited
 RESOURCES            Partnership    92205F106     773    29780 SH       DEFINED 1                           29780
AMERICAN DG           Common
 ENERGY INC           equity shares  025398108     691   304999 SH       DEFINED 1,2                        304999
PZENA INVESTMENT      Common
 MANAGEMENT           equity shares  74731Q103     531   120079 SH       DEFINED 1,2                        120079
ULTA SALON            Common
 COSMETCS & FRAG      equity shares  90384S303   95812  1026039 SH       DEFINED 1,2,5,6,8,10,12,18        1026039
RETAIL
 OPPORTUNITY
 INVTS CP             REIT           76131N101   11970   992238 SH       DEFINED 1,2,3,6,8,17               992238
DELTEK INC            Common
                      equity shares  24784L105    4185   360864 SH       DEFINED 1,2,6,8                    360864
GIANT INTERACTIVE     American
 GROUP -ADR           Depository
                      Receipt        374511103    1256   260100 SH       DEFINED 1,2                        260100
NANOSPHERE INC        Common
                      equity shares  63009F105      36    16200 SH       DEFINED 1                           16200
NEUTRAL TANDEM        Common
 INC                  Stock          64128B108    7747   587487 SH       DEFINED 1,2,6,8                    587487
SANDRIDGE ENERGY      Common
 INC                  equity shares  80007P307   46317  6922534 SH       DEFINED 1,2,5,6,8                 6922534
APPROACH              Common
 RESOURCES INC        Stock          03834A103   24764   969480 SH       DEFINED 1,2,6,8                    969480
NORTHFIELD            Common
 BANCORP INC          equity shares  66611L105    4020   283001 SH       DEFINED 1,2,8                      283001
AMERICAN PUBLIC       Common
 EDUCATION            Stock          02913V103   10946   342199 SH       DEFINED 1,2,6,8                    342199
ENSIGN GROUP INC      Common
                      equity shares  29358P101    9801   346586 SH       DEFINED 1,2,6,8                    346586
LUMBER
 LIQUIDATORS          Common
 HLDGS INC            equity shares  55003T107   58620  1734890 SH       DEFINED 1,2,6,8,17                1732930           1960
ENERGYSOLUTIONS       Common
 INC                  equity shares  292756202    2358  1393418 SH       DEFINED 1,2,6,8                   1393418
ENTEROMEDICS INC      Common
                      equity shares  29365M208    1018   295200 SH       DEFINED 1,2                        295200
MSCI INC              Common
                      equity shares  55354G100  154453  4539960 SH       DEFINED 1,2,5,6,8,12              4539960
CHIMERA               Real Estate
 INVESTMENT CORP      Investment
                      Trust          16934Q109   30033 12724269 SH       DEFINED 1,2,5,6,8                12724269
EL PASO PIPELINE      Limited
 PARTNERS LP          Partnership    283702108    4842   143249 SH       DEFINED 1                          143249
RUBICON               Common
 TECHNOLOGY INC       Stock          78112T107    3923   384906 SH       DEFINED 1,2,6,8                    384906
ISHARES MSCI CHILE    Investments
 INVESTABLE           that contain a
 MARKET INDEX         pool of
 FUND                 securities
                      representing a
                      specific index
                      and are built
                      like mutu      464286640     965    15700 SH       DEFINED 10                          15700
ISHARES MSCI BRIC     Investments
 INDEX FUND           that contain a
                      pool of
                      securities
                      representing a
                      specific index
                      and are built
                      like mutu      464286657     645    17984 SH       DEFINED 6                           17984
HECKMANN CORP         Common
                      Stock          422680108   13984  4138079 SH       DEFINED 1,2,6,8                   4138079
INVESCO LTD           American
                      Depository
                      Receipt        G491BT108  399052 17657330 SH       DEFINED 1,2,5,6,8,10,12,18       17657330
BARCLAYS BANK PLC     Public
                      preferred
                      instrument     06739H511    2439    97108 SH       DEFINED 2                           97108
SPDR BARCLAYS         USA:
 CAPITAL HIGH         Common
 YIELD BOND ETF       Stock          78464A417  414268 10498451 SH       DEFINED 1,2,5,10,18              10498451
SOLUTIA INC           Common
                      equity shares  834376501   45448  1620331 SH       DEFINED 1,2,5,6,8                 1620331
FEDERAL-MOGUL         Common
 CORP                 Stock          313549404    4337   394165 SH       DEFINED 1,2,8                      394165
TITAN MACHINERY       Common
 INC                  Stock          88830R101    8542   281375 SH       DEFINED 1,2,6,8                    281375
ENTROPIC
 COMMUNICATIONS       Common
 INC                  Stock          29384R105    9916  1758128 SH       DEFINED 1,2,6,8                   1758128
TRIPLE-S
 MANAGEMENT           Common
 CORP                 equity shares  896749108    9556   522792 SH       DEFINED 1,2,8                      522792
APPLIED MICRO         Common
 CIRCUITS CORP        equity shares  03822W406    6929  1211260 SH       DEFINED 1,2,5,6,8                 1211260
CARDTRONICS INC       Common
                      Stock          14161H108   24841   822227 SH       DEFINED 1,2,6,8                    822227
TWO HARBORS           Common
 INVESTMENT CORP      equity shares  90187B101   48249  4657379 SH       DEFINED 1,2,6,8                   4657379
FORESTAR GROUP        Common
 INC                  equity shares  346233109    8901   695027 SH       DEFINED 1,2,5,6,8                  695027
K12 INC               Common
                      Stock          48273U102   11153   478592 SH       DEFINED 1,2,6,8                    478592
MEDASSETS INC         Common
                      equity shares  584045108   23328  1733940 SH       DEFINED 1,2,5,6,8                 1733940
TEEKAY TANKERS        Common
 LTD                  equity shares  Y8565N102    4085   895400 SH       DEFINED 1,2,6                      895400
ORION ENERGY          Common
 SYSTEMS INC          Stock          686275108      32    14500 SH       DEFINED 1                           14500
ISHARES JPMORGAN      Investments
 USD EMERGING         that contain a
 MARKETS BOND         pool of
 FUND                 securities
                      representing a
                      specific index
                      and are built
                      like mutu      464288281   53361   465142 SH       DEFINED 1                          465142
NETSUITE INC          Common
                      equity shares  64118Q107   16592   302982 SH       DEFINED 1,2,6,8                    302982
ORION MARINE          Common
 GROUP INC            Stock          68628V308    3573   512819 SH       DEFINED 1,2,8                      512819
NATIONAL AMERN        Common
 UNIV HLDG INC        equity shares  63245Q105     460   106924 SH       DEFINED 1,2                        106924
ECHOSTAR CORP         Common
                      equity shares  278768106   11614   439467 SH       DEFINED 1,2,5,6,8                  439467
CALPINE CORP          Common
                      equity shares  131347304  100399  6080843 SH       DEFINED 1,2,5,6,8,10,12,18        6080843
BROOKFIELD INFRS      Limited
 PTRS LP              Partnership    G16252101    4360   129926 SH       DEFINED 1,5                        129926
A. H. BELO CORP       Common
                      equity shares  001282102     121    30806 SH       DEFINED 1                           30806
MERIDIAN
 INTERSTATE           Common
 BANCORP              equity shares  58964Q104    1928   138643 SH       DEFINED 1,2,6                      138643
SYNERGY               Common
 RESOURCES CORP       Stock          87164P103    1478   479800 SH       DEFINED 1,2                        479800
IPC THE HOSPITALIST   Common
 CO INC               Stock          44984A105   14366   317062 SH       DEFINED 1,2,6,8                    317062
CAPE BANCORP INC      Common
                      equity shares  139209100    1210   145795 SH       DEFINED 1,2                        145795
DANA HOLDING CORP     Common
                      equity shares  235825205   46547  3625180 SH       DEFINED 1,2,5,6,8,12,17           3526180          99000
MAKO SURGICAL         Common
 CORP                 equity shares  560879108   15867   619655 SH       DEFINED 1,2,6,8                    619655
SPDR S&P              Exchange
 INTERNATIONAL        Traded
 DIVIDEND ETF         Product        78463X772     796    17883 SH       DEFINED 2                           17883
WISDOMTREE INDIA      Investments
 EARNINGS FUND        that contain a
                      pool of
                      securities
                      representing a
                      specific index
                      and are built
                      like mutu      97717W422   11239   652300 SH       DEFINED 10                         652300
HERITAGE-CRYSTAL      Common
 CLEAN INC            equity shares  42726M106    1678   102560 SH       DEFINED 1,2                        102560
GALENA BIOPHARMA      Common
 INC                  equity shares  363256108      17    10134 SH       DEFINED 1                           10134
PHILIP MORRIS         Common
 INTERNATIONAL        equity shares  718172109 6337207 72624371 SH       DEFINED 1,2,5,6,8,10,12,17,18    72624371
CARDIONET INC         Common
                      equity shares  14159L103      33    16000 SH       DEFINED 1                           16000
HILLENBRAND INC       Common
                      equity shares  431571108   25561  1390719 SH       DEFINED 1,2,5,6,8                 1390719
VISA INC              Common
                      equity shares  92826C839 2305820 18651009 SH       DEFINED 1,2,5,6,8,10,12,18       18651009
1ST UNITED            Common
 BANCORP INC          Stock          33740N105    2790   449177 SH       DEFINED 1,2                        449177
IRIDIUM
 COMMUNICATIONS       Common
 INC                  equity shares  46269C102    7265   811025 SH       DEFINED 1,2,8                      811025
BARCLAYS BANK PLC     Public
                      preferred
                      instrument     06739H362    5662   223095 SH       DEFINED 2                          223095
INTREPID POTASH       Common
 INC                  equity shares  46121Y102   27679  1215815 SH       DEFINED 1,2,5,6,8,12              1215815
AMERICAN WATER        Common
 WORKS CO INC         equity shares  030420103  118768  3464517 SH       DEFINED 1,2,5,6,8,10,12,18        3464517
HATTERAS              Common
 FINANCIAL CORP       equity shares  41902R103   38428  1343507 SH       DEFINED 1,2,5,6,8,17              1343507
DR PEPPER SNAPPLE     Common
 GROUP INC            equity shares  26138E109  375608  8585166 SH       DEFINED 1,2,5,6,8,10,12,17,18     8582456           2710
PIONEER SOUTHWEST     Limited
 ENERGY -LP           Partnership    72388B106     396    15399 SH       DEFINED 1                           15399
MAIDEN HOLDINGS       Common
 LTD                  equity shares  G5753U112    8850  1019476 SH       DEFINED 1,2,8                     1019476
COLFAX CORP           Common
                      equity shares  194014106   12250   444334 SH       DEFINED 1,2,6,8                    444334
WESTERN GAS           Limited
 PARTNERS LP          Partnership    958254104    2384    54643 SH       DEFINED 1,17                        53754            889
GUARANTY BANCORP      Common
                      equity shares  40075T102    2038   965100 SH       DEFINED 1,2                        965100
INVERNESS MEDICAL     Public
 INNOVATIONS          preferred
                      instrument     01449J20     2748    13005 SH       DEFINED 1,2                         13005
SPDR DJ GLOBAL        USA:
 REAL ESTATE ETF      Common
                      Stock          78463X749     656    16530 SH       DEFINED 5                           16530
AMERICAN CAPITAL
 AGENCY CORP          REIT           02503X105  167352  4979294 SH       DEFINED 1,2,5,6,8,10,12,18        4979294
AMPIO
 PHARMACEUTICALS      Common
 INC                  Stock          03209T109    1556   305997 SH       DEFINED 1,2                        305997
AIR TRANSPORT         Common
 SERVICES GROUP       equity shares  00922R105    5356  1029915 SH       DEFINED 1,2,6                     1029915
SAFE BULKERS INC      Common
                      equity shares  Y7388L103      67    10815 SH       DEFINED 1                           10815
FIFTH STREET          Common
 FINANCE CORP         Stock          31678A103   16166  1619548 SH       DEFINED 1,2,6,8                   1619548
SCRIPPS NETWORKS      Common
 INTERACTIVE          equity shares  811065101  192749  3390050 SH       DEFINED 1,2,5,6,8,10,12,17,18     3389500            550
TW TELECOM INC        Common
                      equity shares  87311L104   90137  3512816 SH       DEFINED 1,2,5,6,8,12              3512816
LENDER PROCESSING     Common
 SERVICES             equity shares  52602E102   52280  2068132 SH       DEFINED 1,2,5,6,8,10,12,17        2068132
ENERGY RECOVERY       Common
 INC                  Stock          29270J100    1587   661058 SH       DEFINED 1,2                        661058
ACTIVISION            Common
 BLIZZARD INC         equity shares  00507V109  109075  9097406 SH       DEFINED 1,2,5,8,10,12,18          9097406
FUTUREFUEL CORP       Common
                      equity shares  36116M106    3491   332359 SH       DEFINED 1,2                        332359
ACE LTD               Common
                      equity shares  H0023R105  960950 12963006 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 12963006
JOHN BEAN             Common
 TECHNOLOGIES         equity shares  477839104    7969   587388 SH       DEFINED 1,2,5,6,8                  587388
SPDR S&P              Investments
 INTERNATIONAL        that contain a
 UTILITIES SECTOR     pool of
 ETF                  securities
                      representing a
                      specific index
                      and are built
                      like mutu      78463X632    1424    88697 SH       DEFINED 6                           88697
SPDR S&P              Investments
 INTERNATIONAL        that contain a
 ENERGY SECTOR        pool of
 ETF                  securities
                      representing a
                      specific index
                      and are built
                      like mutu      78463X715    2206    94277 SH       DEFINED 2                           94277
GT ADVANCED           Common
 TECHNOLOGIES INC     equity shares  36191U106   14251  2699976 SH       DEFINED 1,2,5,6,8,17              2699976
SEADRILL LTD          Common
                      Stock          G7945E105     626    17647 SH       DEFINED 1,17                        14490           3157
SIRIUS XM RADIO INC   Common
                      equity shares  82967N108  104320 56388842 SH       DEFINED 1,2,5,6,8,10,12,18       56388842
RACKSPACE HOSTING     Common
 INC                  equity shares  750086100  118768  2702750 SH       DEFINED 1,2,5,6,8,10,12,18        2702750
HSN INC               Common
                      equity shares  404303109   59394  1472020 SH       DEFINED 1,2,5,6,8,12              1472020
INTERVAL LEISURE      Common
 GROUP                equity shares  46113M108   15798   830958 SH       DEFINED 1,2,6,8                    830958
MYR GROUP INC         Common
                      Stock          55405W104    6174   361867 SH       DEFINED 1,2,6,8                    361867
TREE.COM INC          Common
                      equity shares  894675107     786    68873 SH       DEFINED 1,2                         68873
IBIO INC              Common
                      Stock          451033104      10    13400 SH       DEFINED 1                           13400
SIGNET JEWELERS       Common
 LTD                  equity shares  G81276100   86166  1957880 SH       DEFINED 1,2,5,6,12                1957880
REINSURANCE           Common
 GROUP AMER INC       equity shares  759351604   91381  1717360 SH       DEFINED 1,2,5,6,8,12,18           1717360
REVLON INC -CL A      Common
                      equity shares  761525609    4453   312816 SH       DEFINED 1,2,6,8,17                 207712         105104
HOMEOWNERS            Common
 CHOICE INC           equity shares  43741E103    1415    80500 SH       DEFINED 1,2                         80500
ASCENT CAPITAL        Common
 GROUP INC            Stock          043632108   13295   256899 SH       DEFINED 1,2,6,8                    256899
DISCOVERY
 COMMUNICATNS         Common
 NEW                  equity shares  25470F302   44373   885851 SH       DEFINED 1,2,5,6,8,10,12,17,18      882471           3380
ECOPETROL SA          American
                      Depository
                      Receipt        279158109   42704   765477 SH       DEFINED 1,2,5,6,8,10               765477
POWERSHARES           Investments
 GLOBAL               that contain a
 AGRICULTURE          pool of
 PORTFOLIO            securities
                      representing a
                      specific index
                      and are built
                      like mutu      73936Q702    4010   140613 SH       DEFINED 2                          140613
KB FINANCIAL          American
 GROUP                Depository
                      Receipt        48241A105    4875   149091 SH       DEFINED 1,2,5,6                    149091
MODUSLINK GLOBAL      Common
 SOLUTIONS            equity shares  60786L107    2401   802783 SH       DEFINED 1,2,8                      802783
HOME BANCORP INC      Common
                      equity shares  43689E107    1405    82000 SH       DEFINED 1,2                         82000
DIGIMARC CORP         Common
                      equity shares  25381B101    2874   111892 SH       DEFINED 1,2                        111892
GRAND CANYON          Common
 EDUCATION INC        Stock          38526M106   15243   727909 SH       DEFINED 1,2,6,8                    727909
ELIZABETH ARDEN       Common
 INC                  equity shares  28660G106   19230   495524 SH       DEFINED 1,2,6,8                    495524
IAC/                  Common
 INTERACTIVECORP      equity shares  44919P508   51730  1134562 SH       DEFINED 1,2,5,6,8,12,17,18        1134562
CLEARWATER PAPER      Common
 CORP                 Stock          18538R103   15998   468927 SH       DEFINED 1,2,6,8                    468927
CRACKER BARREL        Common
 OLD CTRY STOR        equity shares  22410J106   30327   482894 SH       DEFINED 1,2,5,6,8,17,18            482894
VIRTUS INVESTMENT     Common
 PTNRS INC            Stock          92828Q109   10346   127764 SH       DEFINED 1,2,6,8                    127764
GIGOPTIX INC          Common
                      Stock          37517Y103      73    27300 SH       DEFINED 1                           27300
MARKET VECTORS        Exchange
 INDONESIA INDEX      Traded
 ETF                  Product        57060U753     887    32300 SH       DEFINED 10                          32300
SAGA
 COMMUNICATIONS       Common
 -CL A                Stock          786598300    1728    46610 SH       DEFINED 1,2                         46610
MEAD JOHNSON          Common
 NUTRITION CO         equity shares  582839106  669540  8316244 SH       DEFINED 1,2,5,6,8,10,12,18        8316244
SPDR BARCLAYS         Investments
 CAPITAL              that contain a
 INTERMEDIATE         pool of
 TERM CORPORATE       securities
 BOND ETF             representing a
                      specific index
                      and are built
                      like mutu      78464A375   18831   551751 SH       DEFINED 2                          551751
IDT CORP              Common
                      equity shares  448947507    3315   337532 SH       DEFINED 1,2,6,8                    337532
HEARTWARE
 INTERNATIONAL        Common
 INC                  equity shares  422368100   20403   229740 SH       DEFINED 1,2,6,8                    229740
SPDR BARCLAYS
 CAPITAL LONG         Exchange
 TERM CORPORATE       Traded
 BOND ETF             Product        78464A367    1455    35666 SH       DEFINED 2                           35666
ITAU UNIBANCO         American
 HLDG SA              Depository
                      Receipt        465562106   87704  6300413 SH       DEFINED 1,2,4,5,6,8,10,18         6300413
BRIDGEPOINT           Common
 EDUCATION INC        equity shares  10807M105    6850   314185 SH       DEFINED 1,2,6,8                    314185
ROSETTA STONE INC     Common
                      Stock          777780107    2326   167828 SH       DEFINED 1,2,6                      167828
SPDR BARCLAYS
 CAPITAL              USA:
 CONVERTIBLE          Common
 SECURITIES ETF       Stock          78464A359    5215   138836 SH       DEFINED 1,2                        138836
GOLDEN MINERALS       Common
 CO                   equity shares  381119106    1851   410128 SH       DEFINED 1,2,6,8                    410128
DIGITALGLOBE INC      Common
                      equity shares  25389M877    9705   640259 SH       DEFINED 1,2,6,8                    640259
SOLARWINDS INC        Common
                      equity shares  83416B109   26590   610460 SH       DEFINED 1,2,5,6,8                  610460
OPENTABLE INC         Common
                      Stock          68372A104   22162   492267 SH       DEFINED 1,2,5,6,8                  492267
GOVERNMENT PPTYS      Real Estate
 INCOME TR            Investment
                      Trust          38376A103   16292   720220 SH       DEFINED 1,2,3,6,8                  720220
CYS INVESTMENTS       Common
 INC                  equity shares  12673A108   31086  2257531 SH       DEFINED 1,2,6,8                   2257531
MYREXIS INC           Common
                      Stock          62856H107      57    21454 SH       DEFINED 1                           21454
MEDIDATA              Common
 SOLUTIONS INC        Stock          58471A105   13237   405190 SH       DEFINED 1,2,6,8                    405190
INVESCO MORTGAGE      Common
 CAPITAL INC          equity shares  46131B100   47641  2597628 SH       DEFINED 1,2,6,8                   2597628
LOGMEIN INC           Common
                      equity shares  54142L109   12283   402455 SH       DEFINED 1,2,6,8                    402455
ALUFP 2.875 06/15/25  A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         549463AH     6404  6498000 SH       DEFINED 2                         6498000
PRIMUS TELECOMM       Common
 GROUP INC            Stock          741929301    2412   155000 SH       DEFINED 1,2                        155000
TERRITORIAL           Common
 BANCORP INC          equity shares  88145X108    4899   215304 SH       DEFINED 1,2,6,17                   215304
GLOBE SPECIALTY       Common
 METALS INC           equity shares  37954N206   30359  2260643 SH       DEFINED 1,2,6,8                   2260643
PENNYMAC
 MORTGAGE INVEST      Closed end
 TR                   mutual fund    70931T103   17824   903384 SH       DEFINED 1,2,6,8,17                 903384
ALTISOURCE            Common
 PORTFOLIO SOLTNS     equity shares  L0175J104    1031    14066 SH       DEFINED 1,6,8                       14066
AVAGO
 TECHNOLOGIES         Common
 LTD                  equity shares  Y0486S104  131057  3650620 SH       DEFINED 1,2,5,6,8,10,12,18        3650620
CUMBERLAND            Common
 PHARMACEUTICALS      equity shares  230770109     902   139700 SH       DEFINED 1,2                        139700
STARWOOD              Real Estate
 PROPERTY TRUST       Investment
 INC                  Trust          85571B105   52815  2478605 SH       DEFINED 1,2,6,8,17                2478605
CAREFUSION CORP       Common
                      Stock          14170T101  218376  8503658 SH       DEFINED 1,2,5,6,8,10,12,18        8503658
CREXUS INVESTMENT     Real Estate
 CORP                 Investment
                      Trust          226553105   14523  1427991 SH       DEFINED 1,2,6                     1427991
SPDR WELLS FARGO      Exchange
 PREFERRED STOCK      Traded
 ETF                  Product        78464A292     541    11963 SH       DEFINED 2                           11963
SPECTRUM BRANDS       Common
 HOLDINGS INC         equity shares  84763R101   12162   373388 SH       DEFINED 1,2,6                      373388
A123 SYSTEMS INC      Common
                      Stock          03739T108    2040  1617134 SH       DEFINED 1,2,6                     1617134
APOLLO                Real Estate
 COMMERCIAL RE        Investment
 FIN INC              Trust          03762U105    5973   371672 SH       DEFINED 1,2,8                      371672
ARTIO GLOBAL          Common
 INVESTORS INC        equity shares  04315B107    1966   561366 SH       DEFINED 1,2,8                      561366
COLONY FINANCIAL      Common
 INC                  equity shares  19624R106   11347   656066 SH       DEFINED 1,2,6,8                    656066
VITACOST.COM INC      Common
                      equity shares  92847A200    1713   290354 SH       DEFINED 1,2,6                      290354
SELECT MEDICAL        Common
 HOLDINGS CORP        equity shares  81619Q105    7775   769066 SH       DEFINED 1,2,8                      769066
ECHO GLOBAL           Common
 LOGISTICS INC        equity shares  27875T101    4297   225346 SH       DEFINED 1,2,6                      225346
EDUCATION
 MANAGEMENT           Common
 CORP                 equity shares  28140M103    3768   542081 SH       DEFINED 1,2,6                      542081
BANCO SANTANDER       Depository
 BRASIL -ADR          Receipt        05967A107    8165  1053372 SH       DEFINED 1,2,4,5,6,8,10            1053372
VERISK ANALYTICS      Common
 INC                  equity shares  92345Y106  116910  2373201 SH       DEFINED 1,2,5,6,8,10,12,17,18     2368871           4330
MISTRAS GROUP INC     Common
                      equity shares  60649T107    6748   256798 SH       DEFINED 1,2,6,8                    256798
OMEROS CORP           Common
                      equity shares  682143102    3033   303300 SH       DEFINED 1,2                        303300
RAILAMERICA INC       Common
                      equity shares  750753402    8848   365563 SH       DEFINED 1,2,6,8                    365563
DOLE FOOD CO INC      Common
                      equity shares  256603101    5862   667116 SH       DEFINED 1,2,5,6,8                  667116
VITAMIN SHOPPE INC    Common
                      equity shares  92849E101   37806   688335 SH       DEFINED 1,2,6,8                    688335
ANCESTRY.COM INC      Common
                      equity shares  032803108   14885   540592 SH       DEFINED 1,2,6,8                    540592
HYATT HOTELS CORP     Common
                      equity shares  448579102   19033   512187 SH       DEFINED 1,2,5                      512187
STR HOLDINGS INC      Common
                      equity shares  78478V100    2635   577534 SH       DEFINED 1,2,6,8                    577534
LEAR CORP             Common
                      equity shares  521865204   51280  1359072 SH       DEFINED 1,2,5,6,8,12,18           1359072
DOLLAR GENERAL        Common
 CORP                 Stock          256677105  231663  4259246 SH       DEFINED 1,2,5,6,8,10,12,18        4259246
RUE21 INC             Common
                      equity shares  781295100   14318   567110 SH       DEFINED 1,2,6,8                    567110
OI S.A.               Depository
                      Receipt        670851104     572   123130 SH       DEFINED 1,2,4,5,6,10               123130
FORTINET INC          Common
                      equity shares  34959E109   33354  1436259 SH       DEFINED 1,2,5,6,8,17              1427990           8269
CLOUD PEAK            Common
 ENERGY INC           equity shares  18911Q102   43438  2568784 SH       DEFINED 1,2,6,8                   2568784
AOL INC               Common
                      equity shares  00184X105   65584  2335460 SH       DEFINED 1,2,5,6,8,10,12,17        2335460
CHARTER
 COMMUNICATIONS       Common
 INC                  equity shares  16117M305   55166   778417 SH       DEFINED 1,2,5,8,10,12,18           778417
ALCOA INC             USA: Bond      013817AT     6327  4128000 SH       DEFINED 2                         4128000
AMGEN INC             A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         031162AQ    19246 18383000 SH       DEFINED 2                        18383000
AMYLIN
 PHARMACEUTICALS      USA: Bond      032346AF     4488  4350000 SH       DEFINED 2                         4350000
ARCHER DANIELS        A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         039483AW     8557  8517000 SH       DEFINED 2                         8517000
CHESAPEAKE
 ENERGY CORP          USA: Bond      165167BZ    14441 16673000 SH       DEFINED 2                        16673000
CIENA CORP            A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         171779AE     3270  3800000 SH       DEFINED 2                         3800000
D.R. HORTON INC DHI   USA: Bond      23331ABB     5651  3729000 SH       DEFINED 2                         3729000
EMC CORP              A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         268648AM    20084 12500000 SH       DEFINED 2                        12500000
GILEAD SCIENCES       A U S issuer
 INC                  issuing in U S
                      dollars in the
                      U S capital
                      market         375558AH     6798  4947000 SH       DEFINED 2                         4947000
HOLOGIC INC           A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         436440AA     8491  8631000 SH       DEFINED 2                         8631000
INTEL CORP            A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         458140AD    13361 11844000 SH       DEFINED 2                        11844000
L-3 COMMS HLDGS
 INC                  USA: Bond      502413AW     5423  5476000 SH       DEFINED 2                         5476000
LIBERTY MEDIA LLC     A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         530718AF    10697  8690000 SH       DEFINED 2                         8690000
LIFEPOINT             A U S issuer
 HOSPITALS INC        issuing in U S
                      dollars in the
                      U S capital
                      market         53219LAH     5067  4735000 SH       DEFINED 2                         4735000
LINEAR                Any issuer
 TECHNOLOGY           issuing in any
 CORP A               currency
                      offered in all
                      markets
                      simultaneously 535678AC     6200  5930000 SH       DEFINED 2                         5930000
MASSEY ENERGY CO      USA: Bond      576203AJ     4277  4852000 SH       DEFINED 2                         4852000
MEDTRONIC INC         Any issuer
                      issuing in any
                      currency
                      offered in all
                      markets
                      simultaneously 585055AM    16235 16087000 SH       DEFINED 2                        16087000
MICROCHIP
 TECHNOLOGY INC       USA: Bond      595017AB    11013  8810000 SH       DEFINED 2                         8810000
MICRON                A U S issuer
 TECHNOLOGY INC       issuing in U S
                      dollars in the
                      U S capital
                      market         595112AH     7025  7073000 SH       DEFINED 2                         7073000
MOLSON COORS          An issue in
 BREWING CO           any currency
                      issued on a
                      private basis  60871RAA     4656  4544000 SH       DEFINED 2                         4544000
NETAPP INC            USA: Bond      64110DAB    10389  9149000 SH       DEFINED 2                         9149000
NEWMONT MINING        A U S issuer
 CORP                 issuing in U S
                      dollars in the
                      U S capital
                      market         651639AH     5514  4373000 SH       DEFINED 2                         4373000
NEWMONT MINING
 CORP                 USA: Bond      651639AJ     5735  4271000 SH       DEFINED 2                         4271000
PEABODY ENERGY
 CORP                 USA: Bond      704549AG     4725  5673000 SH       DEFINED 2                         5673000
SANDISK CORP          A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         80004CAC     7249  7358000 SH       DEFINED 2                         7358000
SUNTECH POWER         An issue in
 HLDGS CO             any currency
                      issued on a
                      private basis  86800CAE     3034  4370000 SH       DEFINED 2                         4370000
SYMANTEC CORP         USA: Bond      871503AF     7931  7752000 SH       DEFINED 2                         7752000
TEVA PHARM            A U S issuer
 FINANCE LLC C        issuing in U S
                      dollars in the
                      U S capital
                      market         88163VAE     4196  4000000 SH       DEFINED 2                         4000000
TRANSOCEAN INC C      USA: Bond      893830AW    12689 12731000 SH       DEFINED 2                        12731000
USEC INC              An issue in
                      any currency
                      issued on a
                      private basis  90333EAC     2301  4825000 SH       DEFINED 2                         4825000
US STEEL CORP         USA: Bond      912909AE     6674  6482000 SH       DEFINED 2                         6482000
VERISIGN INC          A U S issuer
                      issuing in U S
                      dollars in the
                      U S capital
                      market         92343EAD    13750  9448000 SH       DEFINED 2                         9448000
WACHOVIA CORP         Public
                      preferred
                      instrument     94974680    32716    29255 SH       DEFINED 1,2                         29255
XILINX INC            USA: Bond      983919AD     5732  4773000 SH       DEFINED 2                         4773000
PEBBLEBROOK           Common
 HOTEL TRUST          equity shares  70509V100   34974  1500306 SH       DEFINED 1,2,3,6,8                 1500306
CIT GROUP INC         Common
                      equity shares  125581801  174981  4909671 SH       DEFINED 1,2,5,6,8,10,12,18        4909671
KAR AUCTION           Common
 SERVICES INC         equity shares  48238T109    5103   296797 SH       DEFINED 1,2,6,8                    296797
ALLIANCE DATA
 SYSTEMS CO 144A      USA: Bond      018581AD    10218  5826000 SH       DEFINED 2                         5826000
BANK OF AMERICA
 CORP                 USA: Bond      06050568    23582    24400 SH       DEFINED 1,2                         24400
INTL GAME
 TECHNOLOGY 144A      USA: Bond      459902AQ     7271  6524000 SH       DEFINED 2                         6524000
AES TRUST III         Preferred
                      equity shares  00808N20     3128    63878 SH       DEFINED 1,2                         63878
SBA
 COMMUNICATIONS
 CORP 144A            USA: Bond      78388JAN     5825  4139000 SH       DEFINED 2                         4139000
COBALT INTL           Common
 ENERGY INC           equity shares  19075F106   73117  3111165 SH       DEFINED 1,2,5,6,8,10,12,18        3111165
TEAM HEALTH           Common
 HOLDINGS INC         equity shares  87817A107   11708   486005 SH       DEFINED 1,2,6,8                    486005
NAVISTAR INTL CORP    USA: Bond      63934EAL     4248  4522000 SH       DEFINED 2                         4522000
KRATON
 PERFORMANCE          Common
 POLYMERS             equity shares  50077C106   13083   597154 SH       DEFINED 1,2,6,8                    597154
SPDR BARCLAYS         Investments
 CAPITAL SHORT        that contain a
 TERM CORPORATE       pool of
 BOND ETF             securities
                      representing a
                      specific index
                      and are built
                      like mutu      78464A474  105750  3472925 SH       DEFINED 1,2                       3472925
STATE BANK            Common
 FINANCIAL CORP       equity shares  856190103   12572   829298 SH       DEFINED 1,2,6,8                    829298
SUPERMEDIA INC        Common
                      equity shares  868447103      26    10513 SH       DEFINED 1                           10513
WILLIS GROUP          Common
 HOLDINGS PLC         equity shares  G96666105   43734  1198360 SH       DEFINED 1,2,5,6,8,10,12,18        1198360
FORD MOTOR
 COMPANY              USA: Bond      345370CN     8944  6413000 SH       DEFINED 2                         6413000
OCZ TECHNOLOGY        Common
 GROUP INC            equity shares  67086E303    5907  1114965 SH       DEFINED 1,2,6,8                   1114965
OMNIAMERICAN          Common
 BANCORP INC          Stock          68216R107    3777   176246 SH       DEFINED 1,2                        176246
CHESAPEAKE            Common
 LODGING TRUST        equity shares  165240102   10646   618461 SH       DEFINED 1,2,3,6,8                  618461






                                                         SHS/PRN  SH/ PUT/ DISCRE-                         SOLE   SHARED    NO
ISSUER                       CLASS        CUSIP   VALUE    VAL    PRN CALL    TION       MANAGERS         VOTING  VOTING  VOTING
--------------------------------------------------------------------------------------------------------------------------------
                                                                                         
SYMETRA FINANCIAL        Common
 CORP                    equity shares  87151Q106  17938  1421490 SH       DEFINED 1,2,5,6,8,17           1421490
MADISON SQUARE           Common
 GARDEN CO               equity shares  55826P100  29292   782304 SH       DEFINED 1,2,5,6,8,17            776914           5390
STERLITE INDS INDIA LTD
 NOTE 4.000%10/3         USA: Bond      859737AB    4049  4450000 SH       DEFINED 2                      4450000
ATLANTIC POWER CORP      Composition
                         of more than
                         1 security     04878Q863  25479  1989130 SH       DEFINED 1,2,6                  1989130
NORTHWEST                Common
 BANCSHARES INC          equity shares  667340103  23479  2005025 SH       DEFINED 1,2,6,8,17             2005025
PILGRIM`S PRIDE CORP     Common
                         equity shares  72147K108   7759  1084846 SH       DEFINED 1,2,6,8                1084846
OCEAN SHORE HOLDING      Common
 CO                      equity shares  67501R103    139    10991 SH       DEFINED 1                        10991
ECOTALITY INC            Common
                         equity shares  27922Y202      5    11316 SH       DEFINED 1                        11316
ENSCO PLC                Common
                         equity shares  G3157S106  54821  1167118 SH       DEFINED 1,19                   1167118
BIGLARI HOLDINGS INC     Common
                         equity shares  08986R101  11320    29300 SH       DEFINED 1,2,6,8                  29300
SYCAMORE NETWORKS        Common
 INC                     equity shares  871206405   5178   356797 SH       DEFINED 1,2,5,6,8               356797
TOWERS WATSON & CO       Common
                         equity shares  891894107  84043  1402927 SH       DEFINED 1,2,5,6,8,12           1402927
DEX ONE CORP             Common
                         equity shares  25212W100     97   104785 SH       DEFINED 1,5                     104785
CARMIKE CINEMAS INC      Common
                         equity shares  143436400   3274   223400 SH       DEFINED 1,2                     223400
COWEN GROUP INC          Common
                         equity shares  223622101   3698  1389314 SH       DEFINED 1,2,8                  1389314
TRANSWITCH CORP          Common
                         equity shares  894065309     13    12649 SH       DEFINED 1                        12649
CACI INTL INC -CL A      Common
                         equity shares  127190304  34643   629494 SH       DEFINED 1,2,5,6,8,17            629494
PEABODY ENERGY CORP      An issue in
                         any currency
                         issued on a
                         private basis  704549104 301825 12309176 SH       DEFINED 1,2,5,6,8,10,12,18    12309176
NOMURA HOLDINGS INC      An issue in
                         any currency
                         issued on a
                         private basis  65535H208    152    41050 SH       DEFINED 1,2                      41050
CHIQUITA BRANDS INTL     Common
 INC                     equity shares  170032809   4309   861803 SH       DEFINED 1,2,5,6,8               861803
CITIGROUP INC            USA: Bond      17296741   20968   248471 SH       DEFINED 2                       248471
NEWS CORP                An issue in
                         any currency
                         issued on a
                         private basis  65248E203  62294  2766054 SH       DEFINED 1,2,5,6,8,10,12,18     2766054
USA MOBILITY INC         An issue in
                         any currency
                         issued on a
                         private basis  90341G103   7444   578865 SH       DEFINED 1,2,5,6,8,17            578865
ARMOUR RESIDENTIAL       Common
 REIT INC                equity shares  042315101  25260  3553099 SH       DEFINED 1,2,6,8                3553099
IRONWOOD                 Common
 PHARMACEUTICALS INC     equity shares  46333X108  23755  1724004 SH       DEFINED 1,2,6,8                1724004
SOLAR CAPITAL LTD        Common
                         equity shares  83413U100  16506   741519 SH       DEFINED 1,2,6,8                 741519
BACTERIN INTL HOLDINGS   Common
 INC                     equity shares  05644R101     14    10800 SH       DEFINED 1                        10800
PIEDMONT OFFICE          Real Estate
 REALTY TRUST            Investment
                         Trust          720190206  71051  4128378 SH       DEFINED 1,2,3,5,6,8,12         4128378
TERRENO REALTY CORP      Real Estate
                         Investment
                         Trust          88146M101   3391   224334 SH       DEFINED 1,2                     224334
GENERAC HOLDINGS INC     Common
                         equity shares  368736104  10469   435118 SH       DEFINED 1,2,6,8,17              428178           6940
QUINSTREET INC           Common
                         equity shares  74874Q100   5092   549845 SH       DEFINED 1,2,6,8                 549845
UNILIFE CORP             Common
                         equity shares  90478E103   4117  1218279 SH       DEFINED 1,2,6,8                1218279
ANTHERA                  Common
 PHARMACEUTCLS INC       equity shares  03674U102      8    12700 SH       DEFINED 1                        12700
ACCURIDE CORP            Common
                         equity shares  00439T206   4555   758936 SH       DEFINED 1,2,6,8                 758936
SENSATA TECHNOLOGIES     Common
 HLDG NV                 equity shares  N7902X106  10519   392926 SH       DEFINED 1,2,5,8,10,12,17,18     387824           5102
AVEO PHARMACEUTICALS     Common
 INC                     Stock          053588109  13611  1119246 SH       DEFINED 1,2,6,8                1119246
SEMGROUP CORP            Common
                         equity shares  81663A105  25630   802681 SH       DEFINED 1,2,5,6,8,18            802681
FINANCIAL ENGINES INC    Common
                         equity shares  317485100  18061   841980 SH       DEFINED 1,2,6,8                 841980
CALIX INC                Common
                         equity shares  13100M509   5409   658138 SH       DEFINED 1,2,6,8                 658138
FIRST INTERSTATE         Common
 BANCSYSTEM              equity shares  32055Y201   3611   253537 SH       DEFINED 1,2                     253537
MAXLINEAR INC            Common
                         equity shares  57776J100   1454   293989 SH       DEFINED 1,2,6                   293989
SS&C TECHNOLOGIES        Common
 HLDGS INC               equity shares  78467J100  13839   553292 SH       DEFINED 1,2,6,8                 553292
SCORPIO TANKERS INC      Common
                         equity shares  Y7542C106   3198   500485 SH       DEFINED 1,2                     500485
ANNALY CAPITAL MGMT      USA: Bond      035710AA    5264  4251000 SH       DEFINED 2                      4251000
VIRGIN MEDIA INC 144A    An issue in
                         any currency
                         issued on a
                         private basis  92769LAB7  11040  7236000 SH       DEFINED 2                      7236000
PRIMERICA INC            Preferred
                         equity shares  74164M108  22396   837831 SH       DEFINED 1,2,5,6,8               837831
METALS USA HOLDINGS      Common
 CORP                    equity shares  59132A104   3009   189193 SH       DEFINED 1,2                     189193
GOLUB CAPITAL BDC INC    Common
                         equity shares  38173M102   3730   247203 SH       DEFINED 1,2                     247203
CHATHAM LODGING          Real Estate
 TRUST                   Investment
                         Trust          16208T102   2893   202661 SH       DEFINED 1,2                     202661
VIMPELCOM LTD            An issue in
                         any currency
                         issued on a
                         private basis  92719A106   2859   352492 SH       DEFINED 1,2                     352492
CODEXIS INC              Common
                         equity shares  192005106   1241   332035 SH       DEFINED 1,2                     332035
GLOBAL GEOPHYSICAL       Common
 SVCS INC                equity shares  37946S107   1988   324799 SH       DEFINED 1,2                     324799
SPS COMMERCE INC         Common
                         equity shares  78463M107   4768   156994 SH       DEFINED 1,2                     156994
THL CREDIT INC           Closed end
                         mutual fund    872438106   2902   215367 SH       DEFINED 1,2                     215367
EXCEL TRUST INC          Real Estate
                         Investment
                         Trust          30068C109   6352   531150 SH       DEFINED 1,2,8                   531150
ALPHA AND OMEGA          Common
 SEMICONDUCTR            equity shares  G6331P104   2284   249701 SH       DEFINED 1,2                     249701
DRYSHIPS INC             USA: Bond      262498AB    4106  5376000 SH       DEFINED 2                      5376000
DOUGLAS DYNAMICS INC     Common
                         equity shares  25960R105   5699   399963 SH       DEFINED 1,2,8                   399963
MECHEL OAO               American
                         Depository
                         Receipt        583840509     59    22855 SH       DEFINED 10                       22855
SIX FLAGS                Common
 ENTERTAINMENT CORP      equity shares  83001A102  48243   890483 SH       DEFINED 1,2,6,8                 890483
NISKA GAS STORAGE        Composition
 PARTNERS                of more than
                         1 security     654678101    286    23644 SH       DEFINED 1                        23644
EXPRESS INC              Common
                         equity shares  30219E103  40498  2228808 SH       DEFINED 1,2,5,6,8              2228808
ROADRUNNER TRANS         Common
 SVCS HLDGS              equity shares  76973Q105   3305   195823 SH       DEFINED 1,2,6                   195823
TELENAV INC              Common
                         equity shares  879455103   1667   272204 SH       DEFINED 1,2,6                   272204
NORANDA ALUMINUM         Common
 HOLDING CP              equity shares  65542W107  10719  1346607 SH       DEFINED 1,2,6,8                1346607
MPG OFFICE TRUST INC     Real Estate
                         Investment
                         Trust          553274101     76    37369 SH       DEFINED 1                        37369
SPANSION INC             Common
                         equity shares  84649R200  10151   924753 SH       DEFINED 1,2,6,8                 924753
ACCRETIVE HEALTH INC     Common
                         equity shares  00438V103  10000   912609 SH       DEFINED 1,2,6,8                 912609
REACHLOCAL INC           Common
                         equity shares  75525F104   1590   144375 SH       DEFINED 1,2,6                   144375
SPDR BARCLAYS CAPITAL    Exchange
 INTERNATIONAL           Traded
 CORPORATE BOND ETF      Product        78464A151   4940   152457 SH       DEFINED 1,2                     152457
FIRST AMERICAN           Common
 FINANCIAL CP            equity shares  31847R102  57154  3370062 SH       DEFINED 1,2,5,6,8,10,12        3370062
FURIEX                   Common
 PHARMACEUTICALS INC     Stock          36106P101   3753   179266 SH       DEFINED 1,2,5                   179266
GENMARK DIAGNOSTICS      Common
 INC                     equity shares  372309104     45    10500 SH       DEFINED 1                        10500
TAHOE RESOURCES INC      Common
                         Stock          873868103   9403   676962 SH       DEFINED 1,2,6                   676962
NORTEK INC               Common
                         Stock          656559309   5987   119700 SH       DEFINED 1,2                     119700
CBOE HOLDINGS INC        Common
                         equity shares  12503M108  53675  1939092 SH       DEFINED 1,2,5,6,8,12           1939092
BROADSOFT INC            Common
                         Stock          11133B409  13337   460450 SH       DEFINED 1,2,6,8                 460450
QEP RESOURCES INC        Common
                         equity shares  74733V100 227702  7597217 SH       DEFINED 1,2,5,6,8,10,12,18     7597217
HIGHER ONE HOLDINGS      Common
 INC                     equity shares  42983D104   7106   581198 SH       DEFINED 1,2,6,8                 581198
OASIS PETROLEUM INC      Common
                         equity shares  674215108  46180  1909920 SH       DEFINED 1,2,5,6,8              1909920
MOTRICITY INC            Common
                         equity shares  620107102     17    29006 SH       DEFINED 1                        29006
VISHAY PRECISION GROUP   Common
 INC                     equity shares  92835K103   3240   232147 SH       DEFINED 1,2,5,6,8               232147
HUDSON PACIFIC PPTYS     Common
 INC                     equity shares  444097109  10153   583305 SH       DEFINED 1,2,6,8                 583305
FABRINET                 Common
                         equity shares  G3323L100   4337   345464 SH       DEFINED 1,2,6,8                 345464
TESLA MOTORS INC         Common
                         equity shares  88160R101  20618   658967 SH       DEFINED 1,2,5,6,8               658967
GOLDCORP INC 144A        USA: Bond      380956AB8   7378  6437000 SH       DEFINED 2                      6437000
HARTFORD FINL SVCS GRP   USA: Bond      416515708   3325   182200 SH       DEFINED 2                       182200
MYLAN INC 144A           USA: Bond      628530AJ6   7332  4180000 SH       DEFINED 2                      4180000
PPL CORPORATION          USA: Bond      69351T601   8918   167474 SH       DEFINED 2                       167474
SBA COMMUNICATIONS       An issue in
 CORP 144A               any currency
                         issued on a
                         private basis  78388JAM8   7047  3585000 SH       DEFINED 2                      3585000
AUTONAVI HLDG LTD        American
                         Depository
                         Receipt        05330F106    136    10143 SH       DEFINED 17                           0          10143
QUAD/GRAPHICS INC        Common
                         equity shares  747301109   6328   439981 SH       DEFINED 1,2,5,6                 439981
PEOPLES FEDERAL          Common
 BANCSHS INC             equity shares  711037101   1192    71300 SH       DEFINED 1,2                      71300
BABCOCK & WILCOX CO      Common
                         equity shares  05615F102  47141  1924267 SH       DEFINED 1,2,5,6,8,10,12        1924267
QLIK TECHNOLOGIES INC    Common
                         equity shares  74733T105  34621  1565174 SH       DEFINED 1,2,5,6,8              1565174
REALD INC                Common
                         equity shares  75604L105  10632   710877 SH       DEFINED 1,2,6,8                 710877
CAMELOT INFO SYSTEMS     American
 INC-ADR                 Depository
                         Receipt        13322V105    123    52820 SH       DEFINED 2                        52820
AMERESCO INC             Common
                         equity shares  02361E108   3407   285547 SH       DEFINED 1,2                     285547
GREEN DOT CORP           Common
                         equity shares  39304D102   9282   419558 SH       DEFINED 1,2,6,8                 419558
LYONDELLBASELL           Common
 INDUSTRIES NV           equity shares  N53745100 224940  5585854 SH       DEFINED 1,2,5,6,8,10,12,18     5585854
ENVESTNET INC            Common
                         equity shares  29404K106   3520   293338 SH       DEFINED 1,2,6                   293338
MOLYCORP INC             Common
                         equity shares  608753109  40319  1870935 SH       DEFINED 1,2,5,6,8              1870935
TRIUS THERAPEUTICS INC   Common
                         equity shares  89685K100   1658   287860 SH       DEFINED 1,2,6                   287860
GORDMANS STORES INC      Common
                         equity shares  38269P100   1761   106531 SH       DEFINED 1,2,6                   106531
INTRALINKS HOLDINGS      Common
 INC                     equity shares  46118H104   2417   551614 SH       DEFINED 1,2,6,8                 551614
REALPAGE INC             Common
                         equity shares  75606N109  13832   597301 SH       DEFINED 1,2,6,8                 597301
MARKET VECTORS INDIA     Exchange
 SMALL-CAP INDEX ETF     Traded
                         Product        57060U563   1133   110000 SH       DEFINED 1                       110000
WHITESTONE REIT          REIT           966084204   1769   128175 SH       DEFINED 1,2,17                  128175
SPDR S&P GLOBAL          Exchange
 NATURAL RESOURCES       Traded
 ETF                     Product        78463X541  26048   547497 SH       DEFINED 2                       547497
CORESITE REALTY CORP     Real Estate
                         Investment
                         Trust          21870Q105   9415   364502 SH       DEFINED 1,2,6,8                 364502
SCIQUEST INC             Common
                         Stock          80908T101   4562   254066 SH       DEFINED 1,2,6                   254066
VISTEON CORP             Common
                         equity shares  92839U206  20383   543509 SH       DEFINED 1,2,5,6,8,12            543509
AMYRIS INC               Common
                         equity shares  03236M101   1855   417808 SH       DEFINED 1,2,6,8                 417808
CAMPUS CREST             Real Estate
 COMMUNITIES INC         Investment
                         Trust          13466Y105   6080   585447 SH       DEFINED 1,2,3,6,8               585447
KEYW HOLDING CORP        Common
                         Stock          493723100   2665   265673 SH       DEFINED 1,2,6                   265673
SANDISK CORP             An issue in
                         any currency
                         issued on a
                         private basis  80004CAD    6943  6694000 SH       DEFINED 2                      6694000
ANGLOGOLD HLDGS          USA: Bond      03512Q20    4831   118112 SH       DEFINED 2                       118112
BODY CENTRAL CORP        Common
                         Stock          09689U102   2099   232639 SH       DEFINED 1,2,6                   232639
TOWER INTERNATIONAL      Common
 INC                     equity shares  891826109    999    95315 SH       DEFINED 1,2,6                    95315
NETSPEND HOLDINGS INC    Common
                         equity shares  64118V106   5174   562923 SH       DEFINED 1,2,6,8                 562923
BRAVO BRIO               Common
 RESTAURANT GP INC       Stock          10567B109   5762   323065 SH       DEFINED 1,2,6,8                 323065
VERA BRADLEY INC         Common
                         equity shares  92335C106   7274   344996 SH       DEFINED 1,2,6,8                 344996
AEGERION                 Common
 PHARMACEUTICALS INC     equity shares  00767E102   4261   287240 SH       DEFINED 1,2,6                   287240
CHEMTURA CORP            Common
                         equity shares  163893209  29922  2063757 SH       DEFINED 1,2,5,6,8              2063757
PACIFIC BIOSCIENCES OF   Common
 CALIF                   equity shares  69404D108   1119   515387 SH       DEFINED 1,2,6                   515387
EXAMWORKS GROUP INC      Common
                         equity shares  30066A105   6076   459092 SH       DEFINED 1,2,6,8                 459092
SEACUBE CONTAINER        Common
 LEASING                 equity shares  G79978105   3617   211809 SH       DEFINED 1,2                     211809
HORIZON TECHNOLOGY       Common
 FINANCE                 Stock          44045A102   1154    70000 SH       DEFINED 1,2                      70000
FRESH MARKET INC         Common
                         equity shares  35804H106  22179   413545 SH       DEFINED 1,2,6,8                 413545
HOWARD HUGHES CORP       Common
                         equity shares  44267D107  20353   330218 SH       DEFINED 1,2,6,8                 330218
PRIMO WATER CORP         Common
                         equity shares  74165N105     16    14200 SH       DEFINED 1                        14200
SABRA HEALTH CARE        Common
 REIT INC                equity shares  78573L106  12540   732979 SH       DEFINED 1,2,3,5,6,8             732979
SUN HEALTHCARE GROUP     Common
 INC                     equity shares  86677E100   3579   427374 SH       DEFINED 1,2,5,6                 427374
INPHI CORP               Common
                         equity shares  45772F107   3412   359574 SH       DEFINED 1,2,6                   359574
BOOZ ALLEN HAMILTON      Common
 HLDG CP                 equity shares  099502106   4621   302383 SH       DEFINED 1,2,6                   302383
GENERAL MOTORS CO        Common
                         equity shares  37045V100 220057 11158876 SH       DEFINED 1,2,5,6,8,10,12,18    11158876
LPL FINANCIAL HOLDINGS   Common
 INC                     equity shares  50212V100  16929   501181 SH       DEFINED 1,2,6,8                 501181
AEROFLEX HOLDING CORP    Common
                         equity shares  007767106   1793   296429 SH       DEFINED 1,2                     296429
ZOGENIX INC              Common
                         equity shares  98978L105   1081   435475 SH       DEFINED 1,2                     435475
ANACOR                   Common
 PHARMACEUTICALS INC     equity shares  032420101   1109   170479 SH       DEFINED 1,2                     170479
APACHE CORP              USA: Bond      037411808   9519   190000 SH       DEFINED 2                       190000
GENERAL MOTORS           USA: Bond      37045V209  24865   724727 SH       DEFINED 2                       724727
STANLEY BLACK &
 DECKER I                USA: Bond      854502309   5547    47632 SH       DEFINED 2                        47632
FXCM INC                 Common
                         equity shares  302693106   3844   326773 SH       DEFINED 1,2                     326773
TARGA RESOURCES CORP     Common
                         equity shares  87612G101  23168   542613 SH       DEFINED 1,2,5,6,8,18            542613
FIRST REPUBLIC BANK      Investments
                         that contain a
                         pool of
                         securities
                         representing a
                         specific index
                         and are built
                         like mutu      33616C100  67843  2019166 SH       DEFINED 1,2,5,6,8,10,12,18     2019166
HAWAIIAN TELCOM          Common
 HOLDCO INC              Stock          420031106   2508   128500 SH       DEFINED 1,2                     128500
FLEETCOR                 Common
 TECHNOLOGIES INC        equity shares  339041105  16856   481013 SH       DEFINED 1,2,6,8                 481013
GAIN CAPITAL HOLDINGS    Common
 INC                     equity shares  36268W100   1128   226398 SH       DEFINED 1,2                     226398
RIGNET INC               Common
                         equity shares  766582100   2775   159623 SH       DEFINED 1,2,6                   159623
WALKER & DUNLOP INC      Common
                         equity shares  93148P102   2228   173373 SH       DEFINED 1,2                     173373
QAD INC                  Common
                         equity shares  74727D306   2199   154626 SH       DEFINED 1,2                     154626
SWIFT TRANSPORTATION     Common
 CO                      equity shares  87074U101  15009  1588120 SH       DEFINED 1,2,6,8                1588120
FORTEGRA FINANCIAL       Closed end
 CORP                    mutual fund    34954W104    589    73560 SH       DEFINED 1,2                      73560
VENTRUS BIOSCIENCES      Common
 INC                     equity shares  922822101    757   176909 SH       DEFINED 1,2                     176909
AMERICAN ASSETS TRUST    Real Estate
 INC                     Investment
                         Trust          024013104  16886   696289 SH       DEFINED 1,2,3,6,8               696289
MEDLEY CAPITAL CORP      Common
                         equity shares  58503F106   5019   416859 SH       DEFINED 1,2                     416859
FAIRPOINT                Common
 COMMUNICATIONS INC      equity shares  305560302   1837   298327 SH       DEFINED 1,2                     298327
DEMAND MEDIA INC         Miscellaneous  24802N109   4787   427421 SH       DEFINED 1,2,6                   427421
NIELSEN HOLDINGS NV      Common
                         equity shares  N63218106  45802  1746710 SH       DEFINED 1,2,5,8,10,12,18       1746710
BANKUNITED INC           Common
                         equity shares  06652K103   8841   374861 SH       DEFINED 1,2,6,8                 374861
EPOCRATES INC            Common
                         Stock          29429D103   1881   234246 SH       DEFINED 1,2,6,8                 234246
NEOPHOTONICS CORP        Common
                         equity shares  64051T100   1082   219445 SH       DEFINED 1,2                     219445
PACIRA                   Common
 PHARMACEUTICALS INC     equity shares  695127100   4007   249976 SH       DEFINED 1,2                     249976
TORNIER NV               Common
                         Stock          N87237108   4726   210882 SH       DEFINED 1,2,6                   210882
BG MEDICINE INC          Common
                         equity shares  08861T107    772   110586 SH       DEFINED 1,2                     110586
ENDOCYTE INC             Common
                         Stock          29269A102   3254   395968 SH       DEFINED 1,2,6                   395968
MMODAL INC               Common
                         Stock          60689B107   8377   645405 SH       DEFINED 1,2,6,8                 645405
CHESAPEAKE MIDSTRM       Limited
 PRTNRS-LP               Partnership    16524K108    770    28309 SH       DEFINED 1                        28309
IMPERIAL HOLDINGS INC    Common
                         equity shares  452834104     52    13819 SH       DEFINED 1                        13819
GEVO INC                 Common
                         equity shares  374396109   1219   246117 SH       DEFINED 1,2                     246117
QR ENERGY LP             Limited
                         Partnership    74734R108    358    21665 SH       DEFINED 1                        21665
SUMMIT HOTEL             Common
 PROPERTIES INC          equity shares  866082100   3736   445933 SH       DEFINED 1,2,6,8                 445933
FLUIDIGM CORP            Common
                         Stock          34385P108   4059   269846 SH       DEFINED 1,2,6                   269846
KINDER MORGAN INC        Common
                         equity shares  49456B101 628494 19506164 SH       DEFINED 1,2,5,6,8,10,12,17,18 19502744           3420
SPDR S&P EMERGING        Exchange
 MARKETS DIVIDEND        Traded
 ETF                     Product        78463X533    488    10804 SH       DEFINED 2                        10804
SOLAR SENIOR CAPITAL     Common
 LTD                     equity shares  83416M105   1937   114614 SH       DEFINED 1,2                     114614
HCA HOLDINGS INC         Common
                         equity shares  40412C101  86311  2836449 SH       DEFINED 1,2,5,6,8,10,12,17,18  2836449
CORNERSTONE              Common
 ONDEMAND INC            Stock          21925Y103  13976   587024 SH       DEFINED 1,2,6,8                 587024
HUNTINGTON INGALLS       Common
 IND INC                 equity shares  446413106 172026  4275018 SH       DEFINED 1,2,5,6,8,10,12        4275018
SERVICESOURCE INTL INC   Common
                         Stock          81763U100  11877   857219 SH       DEFINED 1,2,6,8                 857219
GNC HOLDINGS INC         Common
                         equity shares  36191G107  37339   952474 SH       DEFINED 1,2,6,8,17              949704           2770
TMS INTERNATIONAL        Common
 CORP                    equity shares  87261Q103   2031   203632 SH       DEFINED 1,2                     203632
ZIPCAR INC               Common
                         Stock          98974X103   4061   346222 SH       DEFINED 1,2,6                   346222
ELLIE MAE INC            Common
                         Stock          28849P100   5662   314469 SH       DEFINED 1,2,6                   314469
STAG INDUSTRIAL INC      Real Estate
                         Investment
                         Trust          85254J102   5708   391552 SH       DEFINED 1,2,3                   391552
FIRSTHAND TECHNOLOGY
 VALUE FUND INC.         Mutual Fund    33766Y100   1879   106492 SH       DEFINED 1,2                     106492
AIR LEASE CORP           Common
                         equity shares  00912X302  14380   741573 SH       DEFINED 1,2,6,8                 741573
SAGENT                   Common
 PHARMACEUTICALS INC     equity shares  786692103   2537   140455 SH       DEFINED 1,2,6                   140455
RESPONSYS INC            Common
                         equity shares  761248103   6359   524677 SH       DEFINED 1,2,6                   524677
FRANKLIN FINANCIAL       Common
 CORP/VA                 Stock          35353C102   3214   195260 SH       DEFINED 1,2,6                   195260
GSV CAPITAL CORP.        Common
                         equity shares  36191J101   2156   231887 SH       DEFINED 1,2                     231887
BOINGO WIRELESS INC      Common
                         Stock          09739C102   2181   187893 SH       DEFINED 1,2,6                   187893
RPX CORP                 Common
                         equity shares  74972G103   3962   276164 SH       DEFINED 1,2,6                   276164
RENREN INC -ADR          American
                         Depository
                         Receipt        759892102    561   124295 SH       DEFINED 1,2                     124295
THERMON GROUP            Common
 HOLDINGS INC            equity shares  88362T103   4484   216759 SH       DEFINED 1,2,6,17                205439          11320
RLJ LODGING TRUST        Common
                         equity shares  74965L101  39204  2162136 SH       DEFINED 1,2,3,6,8              2162136
KOSMOS ENERGY LTD        Common
                         Stock          G5315B107   5422   490622 SH       DEFINED 1,6                     490622
LINKEDIN CORP            Common
                         equity shares  53578A108  85193   801569 SH       DEFINED 1,2,5,6,8,10,12,17,18   799834           1735
NEW MOUNTAIN FINANCE     Common
 CORP                    equity shares  647551100   2499   176039 SH       DEFINED 1,2,17                  176039
YANDEX NV                Common
                         equity shares  N97284108    563    29529 SH       DEFINED 1,2,4                    29529
ACTIVE NETWORK INC       Common
                         Stock          00506D100   9890   642509 SH       DEFINED 1,2,6                   642509
LONE PINE RESOURCES      Common
 INC                     equity shares  54222A106    124    45114 SH       DEFINED 1,8                      45114
SPIRIT AIRLINES INC      Common
                         equity shares  848577102  15518   797519 SH       DEFINED 1,2,6                   797519
FREESCALE                Common
 SEMICONDUCTOR LTD       Stock          G3727Q101   5115   498832 SH       DEFINED 1,2,6,8,17              498832
SOLAZYME INC             Common
                         Stock          83415T101   6742   485000 SH       DEFINED 1,2,6,8                 485000
FUSION-IO INC            Common
                         Stock          36112J107  11898   569677 SH       DEFINED 1,2,6,8                 569677
PANDORA MEDIA INC        Common
                         equity shares  698354107  10022   921965 SH       DEFINED 1,2,6,17                904786          17179
AMC NETWORKS INC         Common
                         equity shares  00164V103  46013  1294283 SH       DEFINED 1,2,5,6,8,12           1294283
BANKRATE INC             Common
                         Stock          06647F102  14282   776686 SH       DEFINED 1,2,6                   776686
FIDUS INVESTMENT CORP    Common
                         Stock          316500107   1846   121607 SH       DEFINED 1,2                     121607
VANGUARD HEALTH          Common
 SYSTEMS INC             equity shares  922036207   4339   488075 SH       DEFINED 1,2,6,8                 488075
MARATHON PETROLEUM       Common
 CORP                    equity shares  56585A102 652921 14535115 SH       DEFINED 1,2,5,6,8,10,12,18    14535115
KIOR INC                 Common
                         equity shares  497217109   3141   350942 SH       DEFINED 1,2,6                   350942
HOMEAWAY INC             Common
                         equity shares  43739Q100   6191   284755 SH       DEFINED 1,2,6,8                 284755
AG MORTGAGE
 INVESTMENT TRUST        Miscellaneous  001228105   5766   268470 SH       DEFINED 1,2,6,17                268470
FIRST CONNECTICUT        Common
 BANCORP                 equity shares  319850103   3409   252516 SH       DEFINED 1,2,6                   252516
SKULLCANDY INC           Common
                         Stock          83083J104   3064   216596 SH       DEFINED 1,2,6                   216596
ZILLOW INC               Common
                         Stock          98954A107   2596    67154 SH       DEFINED 1,2,6                    67154
SUNCOKE ENERGY INC       Common
                         Stock          86722A103  49812  3400276 SH       DEFINED 1,2,5,6,8              2618018         782258
APOLLO RESIDENTIAL       Common
 MTG INC                 Stock          03763V102   9880   512495 SH       DEFINED 1,2,6                   512495
FRANCESCAS HOLDINGS      Common
 CORP                    Stock          351793104  16097   595986 SH       DEFINED 1,2,6,8                 595986
DUNKIN` BRANDS GROUP     Common
 INC                     Stock          265504100  27921   813106 SH       DEFINED 1,2,6,8                 813106
TANGOE INC               Common
                         Stock          87582Y108  10832   508366 SH       DEFINED 1,2,6,8                 508366
CHEFS` WAREHOUSE INC     Common
                         Stock          163086101   3026   167707 SH       DEFINED 1,2,6                   167707
HORIZON PHARMA INC       Common
                         Stock          44047T109   1555   218211 SH       DEFINED 1,2                     218211
TEAVANA HOLDINGS INC     Common
                         Stock          87819P102   1794   132556 SH       DEFINED 1,2,6                   132556
WESCO AIRCRAFT           Common
 HOLDINGS INC            Stock          950814103   4047   317845 SH       DEFINED 1,2,6                   317845
C&J ENERGY SERVICES      Common
 INC                     Stock          12467B304  14752   797545 SH       DEFINED 1,2,6,8                 797545
AMERICAN CAPITAL MTG
 INV CP                  REIT           02504A104  14573   610178 SH       DEFINED 1,2,6                   610178
CARBONITE INC            Common
                         Stock          141337105   1201   134342 SH       DEFINED 1,2                     134342
FORBES ENERGY            Common
 SERVICES LTD            Stock          345143101    800   170151 SH       DEFINED 1,2                     170151
FORTUNE BRANDS           Common
 HOME & SECUR            Stock          34964C106 121456  5453791 SH       DEFINED 1,2,5,6,8,12,18        5453791
BSB BANCORP INC          Common
                         Stock          05573H108   1235    96900 SH       DEFINED 1,2                      96900
EXELIS INC               Common
                         Stock          30162A108  47218  4788519 SH       DEFINED 1,2,5,6,8,12           4788519
XYLEM INC                Common
                         Stock          98419M100 169661  6740510 SH       DEFINED 1,2,5,6,8,10,12,18     6740510
UBIQUITI NETWORKS INC    Common
                         Stock          90347A100   2184   153319 SH       DEFINED 1,2,6                   153319
ZELTIQ AESTHETICS INC    Common
                         Stock          98933Q108   1159   207032 SH       DEFINED 1,2                     207032






                                                      SHS/PRN  SH/ PUT/ DISCRE-                            SOLE   SHARED    NO
ISSUER                      CLASS      CUSIP   VALUE    VAL    PRN CALL    TION         MANAGERS          VOTING  VOTING  VOTING
--------------------------------------------------------------------------------------------------------------------------------
                                                                                         
LUMOS NETWORKS CORP      Common
                         Stock       550283105   2850   301344 SH       DEFINED 1,2,6,8                    301344
GENIE ENERGY LTD         Common
                         Stock       372284208   2358   303575 SH       DEFINED 1,2,6,8                    303575
GROUPON INC              Common
                         Stock       399473107   5697   535989 SH       DEFINED 1,2                        535989
MARRIOTT VACATIONS       Common
 WORLDWIDE               Stock       57164Y107  19815   639559 SH       DEFINED 1,2,5,6,8,12               639559
IMPERVA INC              Common
                         Stock       45321L100   4085   141587 SH       DEFINED 1,2,6                      141587
NEWLINK GENETICS CORP    Common
                         Stock       651511107   2463   164569 SH       DEFINED 1,2                        164569
CLOVIS ONCOLOGY INC      Common
                         Stock       189464100   4586   211467 SH       DEFINED 1,2,6                      211467
INVENSENSE INC           Common
                         Stock       46123D205   6050   535243 SH       DEFINED 1,2,6                      535243
NTELOS HOLDINGS CORP     An issue
                         in any
                         currency
                         issued on a
                         private
                         basis       67020Q305   5981   317245 SH       DEFINED 1,2,6,8                    317245
ANGIE`S LIST INC         Common
                         Stock       034754101   8783   554521 SH       DEFINED 1,2,6                      554521
CORONADO BIOSCIENCES     Common
 INC                     Stock       21976U109    836   165862 SH       DEFINED 1,2                        165862
DELPHI AUTOMOTIVE PLC    Common
                         Stock       G27823106  77953  3056904 SH       DEFINED 1,2,5,8,10,12,18          3056904
DIGITAL DOMAIN MEDIA     Common
 GRP INC                 Stock       25386U104    653   104071 SH       DEFINED 1,2                        104071
INTERMOLECULAR INC       Common
                         Stock       45882D109   1409   182024 SH       DEFINED 1,2                        182024
MANNING & NAPIER INC     Common
                         Stock       56382Q102   3180   223405 SH       DEFINED 1,2                        223405
MATTRESS FIRM HOLDING    Common
 CORP                    Stock       57722W106   4949   163304 SH       DEFINED 1,2,6                      163304
TRIPADVISOR INC          Common
                         Stock       896945201 145668  3259504 SH       DEFINED 1,2,5,6,8,10,12,17,18     3255474          4030
WPX ENERGY INC           Common
                         Stock       98212B103 129821  8023440 SH       DEFINED 1,2,5,6,8,10,12           8023440
JIVE SOFTWARE INC        Common
                         Stock       47760A108   5360   255251 SH       DEFINED 1,2,6                      255251
SANCHEZ ENERGY CORP      Common
                         Stock       79970Y105   3623   174342 SH       DEFINED 1,2,6                      174342
LAREDO PETROLEUM         Common
 HLDGS INC               Stock       516806106   3557   171100 SH       DEFINED 1,2,6                      171100
MICHAEL KORS HOLDINGS    Common
 LTD                     Stock       G60754101  30532   729732 SH       DEFINED 1,2,5,17,18                728372          1360
BONANZA CREEK ENERGY     Common
 INC                     Stock       097793103   3374   202913 SH       DEFINED 1,2                        202913
ORCHARD SUPPLY           Common
 HARDWARE STOR           Stock       685691404    502    30161 SH       DEFINED 1,2,5,10                    30161
ZYNGA INC                Common
                         Stock       98986T108   5926  1089676 SH       DEFINED 1,2                       1089676
ROUSE PROPERTIES INC     REIT        779287101   9236   681786 SH       DEFINED 1,2,3,5,8,12               681786
RENEWABLE ENERGY         Common
 GROUP INC               Stock       75972A301    959   129093 SH       DEFINED 1,2                        129093
GUIDEWIRE SOFTWARE       Common
 INC                     Stock       40171V100   8617   306458 SH       DEFINED 1,2,6                      306458
POST HOLDINGS INC        Common
                         Stock       737446104  27575   896574 SH       DEFINED 1,2,5,6,8,12               896574
VERASTEM INC             Common
                         Stock       92337C104    718    70309 SH       DEFINED 1,2                         70309
U S SILICA HOLDINGS INC  Common
                         Stock       90346E103   2020   179327 SH       DEFINED 1,2                        179327
GREENWAY MEDICAL         Common
 TECHNOLOGES             Stock       39679B103   1782   109306 SH       DEFINED 1,2                        109306
MATADOR RESOURCES CO     Common
                         Stock       576485205   2272   211615 SH       DEFINED 1,2                        211615
AVG TECHNOLOGIES NV      Common
                         Stock       N07831105   1779   136824 SH       DEFINED 1,2                        136824
CEMPRA INC               Common
                         Stock       15130J109    441    47120 SH       DEFINED 1,2                         47120
CAESARS                  Common
 ENTERTAINMENT CORP      equity
                         shares      127686103   6792   595767 SH       DEFINED 1,2,6                      595767
CEMENTOS PACASMAYO       Depository
 SAA                     Receipt     15126Q109   3715   366700 SH       DEFINED 4                          366700
CHEMOCENTRYX INC         Common
                         equity
                         shares      16383L106   1090    72539 SH       DEFINED 1,2                         72539
EPAM SYSTEMS INC         Common
                         Stock       29414B104   1157    68153 SH       DEFINED 1,2                         68153
ROUNDY`S INC             Common
                         Stock       779268101   3176   311073 SH       DEFINED 1,2                        311073
FX ALLIANCE INC          Common
                         Stock       361202104   1253    79790 SH       DEFINED 1,2                         79790
GSE HOLDING INC          Common
                         Stock       36191X100    987    93521 SH       DEFINED 1,2                         93521
HOMESTREET INC           Common
                         equity
                         shares      43785V102   1943    60758 SH       DEFINED 1,2                         60758
SYNACOR INC              Common
                         equity
                         shares      871561106   1119    81600 SH       DEFINED 1,2                         81600
BRIGHTCOVE INC           Common
                         equity
                         shares      10921T101   1162    76156 SH       DEFINED 1,2                         76156
CERES INC                Common
                         Stock       156773103    637    70491 SH       DEFINED 1,2                         70491
BAZAARVOICE INC          Common
                         equity
                         shares      073271108   2974   163377 SH       DEFINED 1,2                        163377
PROTO LABS INC           Common
                         equity
                         shares      743713109   2214    76887 SH       DEFINED 1,2                         76887
HOME LOAN SERVICING      Common
 SOLTNS                  equity
                         shares      G6648D109   3077   229572 SH       DEFINED 1,2,6                      229572
AMERICAN REALTY          Common
 CAPITAL TR              equity
                         shares      02917L101  32697  2994000 SH       DEFINED 1,2,3,6,8                 2994000
YELP INC                 Common
                         Stock       985817105   2453   107900 SH       DEFINED 1,2                        107900
SELECT INCOME REIT       REIT        81618T100   2734   115000 SH       DEFINED 1,2                        115000
NATIONSTAR MORTGAGE      Common
 HOLDINGS                Stock       63861C109   6234   289700 SH       DEFINED 1,2                        289700
ALLISON TRANSMISSION     Common
 HLDGS                   equity
                         shares      01973R101   3202   182300 SH       DEFINED 1,2                        182300
DEMANDWARE INC           Common
                         equity
                         shares      24802Y105   1990    84000 SH       DEFINED 1,2                         84000
MA-COM TECHNOLOGY        Common
 SOLUTIONS               equity
                         shares      55405Y100   1334    72000 SH       DEFINED 1,2                         72000
EXACTTARGET INC          Common
                         Stock       30064K105   2745   125600 SH       DEFINED 1,2                        125600
VANTIV INC               Common
                         Stock       92210H105   7969   342100 SH       DEFINED 1,2,6                      342100
ANNIE`S INC              Common
                         equity
                         shares      03600T104   2701    64500 SH       DEFINED 1,2                         64500
REGIONAL MANAGEMENT      Common
 CORP                    equity
                         shares      75902K106    969    59000 SH       DEFINED 1,2                         59000
VOCERA                   Common
 COMMUNICATIONS INC      equity
                         shares      92857F107   2306    86100 SH       DEFINED 1,2                         86100
CAFEPRESS INC            Common
                         equity
                         shares      12769A103    802    54000 SH       DEFINED 1,2                         54000
MERRIMACK                Common
 PHARMACEUTICALS         equity
                         shares      590328100   1389   190978 SH       DEFINED 1,2                        190978
MILLENNIAL MEDIA INC     Common
                         equity
                         shares      60040N105   1957   148300 SH       DEFINED 1,2                        148300
REXNORD CORP             Common
                         equity
                         shares      76169B102   9214   459800 SH       DEFINED 1,2                        459800
ENPHASE ENERGY INC       Common
                         equity
                         shares      29355A107    597    96100 SH       DEFINED 1,2                         96100
GASLOG LTD               Common
                         Stock       G37585109   2861   282000 SH       DEFINED 1,2                        282000
TCP CAPITAL CORP         Common
                         equity
                         shares      87238Q103    911    63000 SH       DEFINED 1,2                         63000
RETAIL PPTYS OF          Real
 AMERICA INC             Estate
                         Investment
                         Trust       76131V202   7055   726054 SH       DEFINED 1,2,6                      726054
FORUM ENERGY TECH INC    Common
                         equity
                         shares      34984V100   6780   344300 SH       DEFINED 1,2                        344300
MRC GLOBAL INC           Common
                         equity
                         shares      55345K103   2984   140200 SH       DEFINED 1,2                        140200
PHILLIPS 66              Common
                         equity
                         shares      718546104 854930 25720116 SH       DEFINED 1,2,5,6,8,10,12,17,18,19 25720116
SPLUNK INC               Common
                         equity
                         shares      848637104   3034   108000 SH       DEFINED 1,2,6                      108000
TUMI HOLDINGS INC        Common
                         equity
                         shares      89969Q104   5745   328100 SH       DEFINED 1,2                        328100
INFOBLOX INC             Common
                         equity
                         shares      45672H104   2286    99700 SH       DEFINED 1,2                         99700
MIDSTATES PETROLEUM      Common
 CO INC                  equity
                         shares      59804T100   3139   323000 SH       DEFINED 1,2                        323000
PROOFPOINT INC           Common
                         equity
                         shares      743424103   1276    75300 SH       DEFINED 1,2                         75300
ENVIVIO INC              Common
                         equity
                         shares      29413T106    567    88400 SH       DEFINED 1,2                         88400
ARES COMMERCIAL REAL     Common
 ESTATE                  equity
                         shares      04013V108   1704    97600 SH       DEFINED 1,2                         97600
FIESTA RESTAURANT        Common
 GROUP INC               equity
                         shares      31660B101   2986   225731 SH       DEFINED 1,2                        225731
EDGEN GROUP INC          Common
                         equity
                         shares      28014Q107   1418   188500 SH       DEFINED 1,2                        188500
SUPERNUS                 Common
 PHARMACEUTICALS INC     equity
                         shares      868459108    258    27500 SH       DEFINED 1,2                         27500
EVERBANK FINANCIAL       Common
 CORP                    equity
                         shares      29977G102   3009   276700 SH       DEFINED 1,2                        276700
TILLY`S INC              Common
                         equity
                         shares      886885102   1902   118600 SH       DEFINED 1,2                        118600
AUDIENCE INC             Common
                         equity
                         shares      05070J102   1580    81956 SH       DEFINED 1,2,17                      75500          6456
WAGEWORKS INC            Common
                         equity
                         shares      930427109   1155    76600 SH       DEFINED 1,2                         76600
WESTERN ASSET MTG CAP    Real
 CORP                    Estate
                         Investment
                         Trust       95790D105   1977   101400 SH       DEFINED 1,2                        101400
IGNITE RESTAURANT        Common
 GROUP INC               equity
                         shares      451730105   1558    86000 SH       DEFINED 1,2                         86000
FACEBOOK INC             Common
                         Stock       30303M102 188300  6050872 SH       DEFINED 1,2,5,6,8,10,12,18        6050872
RESOLUTE FOREST          Common
 PRODUCTS INC            equity
                         shares      76117W109  19122  1651112 SH       DEFINED 1,2,5,6,8,12              1651112
HEALTHCARE TRUST OF      Common
 AMERICA                 equity
                         shares      42225P105    353    35500 SH       DEFINED 1,2                         35500
BLUCORA INC              Common
                         equity
                         shares      095229100  11514   934600 SH       DEFINED 1,2,6,8                    934600


TOTAL MARKET VALUE:621848371