q20711k.htm
 
 
                           
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C.  20549
 
 

 
 
 
                        
FORM 11-K
 

 
 


(Mark One)

[X]
ANNUAL REPORT PURSUANT TO SECTION 15(d)
 
OF THE SECURITIES EXCHANGE ACT OF 1934

For the fiscal year ended December 31, 2006
 
OR

 

[  ]
TRANSITION REPORT PURSUANT TO SECTION  15(d)
 
OF THE SECURITIES EXCHANGE ACT OF 1934



For the transition period from                       to
 
 
AMERICAN ELECTRIC POWER SYSTEM
RETIREMENT SAVINGS PLAN
(Full title of the plan)
 
 
AMERICAN ELECTRIC POWER COMPANY, INC.
1 Riverside Plaza, Columbus, Ohio 43215
 (Name of issuer of the securities held
pursuant to the plan and the address
of its principal executive office)


 
 


AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN


TABLE OF CONTENTS

 
 
SIGNATURES
 
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
 
FINANCIAL STATEMENTS:
 
Statements of Net Assets Available for Benefits as of December 31, 2006 and 2005
   
 
Statements of Changes in Net Assets Available for Benefits for the Years Ended December 31, 2006 and 2005
   
 
Notes to Financial Statements as of December 31, 2006 and 2005, and for the Years then Ended
 
SUPPLEMENTAL SCHEDULE:
 
Schedule of Assets (Held at End of Year) as of December 31, 2006
 
EXHIBITS:
 
Exhibit Index
   
 
Consent of Independent Registered Public Accounting Firm
 
 













AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN




SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the Benefits Finance Committee has duly caused this annual report to be signed by the undersigned thereunto duly authorized.





    
  By:    /s/ Stephan T. Haynes
             Stephan T. Haynes, Secretary
                                            



  Date: July 12, 2007



 






REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

American Electric Power Service Corporation, as Plan Administrator:

We have audited the accompanying statements of net assets available for benefits of the American Electric Power System Retirement Savings Plan (the “Plan”) as of December 31, 2006 and 2005, and the related statements of changes in net assets available for benefits for the years then ended.  These financial statements are the responsibility of the Plan's management.  Our responsibility is to express an opinion on these financial statements based on our audits.

We conducted our audits in accordance with standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements are free of material misstatement.  The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting.  Our audits included consideration of internal control over financial reporting as a basis for designing audit procedures that are appropriate in circumstances, but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting.  Accordingly, we express no such opinion.  An audit also includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements, assessing the accounting principles used and significant estimates made by Plan management, as well as evaluating the overall financial statement presentation.  We believe that our audits provide a reasonable basis for our opinion.

In our opinion, such financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2006 and 2005, and the changes in net assets available for benefits for the years then ended in conformity with accounting principles generally accepted in the United States of America.

Our audits were conducted for the purpose of forming an opinion on the basic financial statements taken as a whole.  The supplemental schedule listed in the Table of Contents is presented for the purpose of additional analysis and is not a required part of the basic financial statements but is supplementary information required by the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. This supplemental schedule is the responsibility of the Plan's management. The supplemental schedule has been subjected to the auditing procedures applied in our audit of the basic 2006 financial statements and, in our opinion, is fairly stated in all material respects when considered in relation to the basic 2006 financial statements taken as a whole.






/s/ Deloitte & Touche LLP

Columbus, Ohio
July 12, 2007



AMERICAN ELECTRIC POWER SYSTEM
RETIREMENT SAVINGS PLAN

STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS AS OF
DECEMBER 31, 2006 AND 2005


   
2006
   
2005
 
ASSETS
           
Investments:            
Participant – directed investments (at fair value)
  $
2,895,323,884
    $
2,781,045,544
 
Participant Loans
   
55,239,294
     
55,014,826
 
Total Investments
  $
2,950,563,178
    $
2,836,060,370
 
                 
NET ASSETS AVAILABLE FOR BENEFITS AT FAIR VALUE
  $
2,950,563,178
    $
2,836,060,370
 

See notes to financial statements.



AMERICAN ELECTRIC POWER SYSTEM
RETIREMENT SAVINGS PLAN

STATEMENTS OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
FOR THE YEARS ENDED DECEMBER 31, 2006 AND 2005


   
2006
   
2005
 
NET INVESTMENT INCOME
           
Interest
  $
44,815,428
    $
37,173,823
 
Dividends
   
29,661,277
     
59,184,701
 
Net Appreciation in Fair Value of Investments
   
216,080,147
     
87,773,142
 
TOTAL
   
290,556,852
     
184,131,666
 
                 
CONTRIBUTIONS
               
Participants    
145,140,492
     
131,405,750
 
Employer    
60,107,657
     
55,007,584
 
TOTAL
   
205,248,149
     
186,413,334
 
                 
 
Distributions To Participants
    (377,061,437 )     (242,978,237 )
                 
ADMINISTRATIVE AND MANAGEMENT FEES
               
Professional Fees      (480,436     (201,733 )
Investment Advisory and Management Fees     (3,501,192 )     (1,896,276
Other Fees     (259,128 )      (58,343
TOTAL
    (4,240,756 )     (2,156,352 )
                 
INCREASE IN NET ASSETS
   
114,502,808
     
125,410,411
 
                 
NET ASSETS AVAILABLE FOR BENEFITS
  BEGINNING OF YEAR
   
2,836,060,370
     
2,710,649,959
 
                 
NET ASSETS AVAILABLE FOR BENEFITS
  END OF YEAR
  $
2,950,563,178
    $
2,836,060,370
 

See notes to financial statements.



AMERICAN ELECTRIC POWER SYSTEM RETIREMENT SAVINGS PLAN
   
NOTES TO FINANCIAL STATEMENTS FOR THE YEARS ENDED DECEMBER 31, 2006 AND 2005
     

1.           PLAN DESCRIPTION

The following description of the American Electric Power System Retirement Savings Plan (the “Plan”) is provided for general information purposes only.  Participants should refer to the Plan documents for more complete information.

The Plan is a defined contribution plan that became effective and commenced operations on January 1, 1978.  The Plan covers eligible regularly scheduled full-time and part-time employees of the participating subsidiaries of American Electric Power Company, Inc. (“AEP” or the “Company”).  Eligible employees may enroll in the Plan upon commencement of employment.  The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (“ERISA”). Generally, eligible employees participating in the Plan may make contributions (as pre-tax, after-tax or, effective beginning July 1, 2006, designated Roth 401(k) contributions) in 1% increments up to 30% of their eligible pay (within IRS limits).  That 30% limit will be increased to 50% effective beginning July 1, 2007.  Participants who are age 50 and older are able to save additional pre-tax or Roth 401(k) dollars; the catch-up contribution limit was $5,000 and $4,000 for 2006 and 2005, respectively.  The Company contributes to the Plan, on behalf of each participant, an amount equal to 75% of the participant’s contributions up to 6% of the participant’s eligible compensation for each payroll period, subject to certain limitations.  All contributions are deposited to the American Electric Power System Retirement Savings Plan Trust after each pay period.  The Plan, in a manner consistent with the requirements under section 401 et seq., of the Internal Revenue Code, restricts the amount that certain participants who are deemed highly compensated may contribute to the Plan.  Participants are allowed to change investment elections, change investment percentages in the funds, or move existing fund balances on a daily basis.  Participants are immediately vested in their pre-tax, after-tax, Roth 401(k) and the Company matching contributions, including earnings thereon.

American Electric Power Service Corporation (“AEPSC”) is the plan administrator (Plan Administrator) and plan sponsor (Plan Sponsor).  AEPSC is a wholly-owned subsidiary of AEP.  Until July 1, 2006, Fidelity Management Trust Company (“Fidelity”) was the trustee for all funds and the record keeper for the entire Plan.
 
Effective July 1, 2006, Fidelity Management Trust Company was replaced by JP Morgan Chase Bank N.A. as custodian and trustee and JP Morgan Retirement Plan Services LLC as record keeper with respect to the Plan.  Also effective July 1, 2006, the investment options offered by the Plan were changed to a series of separately managed accounts, interests in commingled and collective trusts and self-directed mutual fund brokerage accounts for which JP Morgan affiliates provide custody, trustee, recordkeeping and other services.

The AEP Stock Fund, a Plan investment option, is an Employee Stock Ownership Plan (“ESOP”).  As a result, participants can elect to have dividends generated from their AEP Stock Fund holdings paid out in cash, rather than automatically reinvested in the fund.  The dividend payouts are made periodically, but no less often than annually, and are treated as ordinary income for tax purposes.  The 10 percent early withdrawal penalty for individuals under age 59-1/2 does not apply to these dividend payouts.

Participants may transfer the value of their own cumulative contributions, in any whole percentage or dollar amount, among investments, and change their investment elections on a daily basis.  Participants may change their payroll contribution elections coinciding with Company payroll periods. Excluding their pre-tax and Roth 401(k) contributions, participants may make an unlimited number of withdrawals of their interest in the Plan, including Company matching contributions, which are immediately vested.  Pre-tax and Roth 401(k) contributions are not eligible for withdrawal by participants not yet age 59-1/2, except under hardship as defined by the Plan or severance of employment.

Participants may borrow from their savings plan accounts, a minimum of $1,000 but no more than the lesser of $50,000 or 50% of their account balance.  Loan terms range from 12 months to 60 months (or up to 180 months for certain residential loans), or any monthly increment in-between.  Interest rates, fixed for the life of the loan, are calculated by adding 1% to the prime rate, as reported in the Wall Street Journal.  For loans taken before July 1, 2006, the interest rate is in effect as of the first business day of the calendar quarter in which the loan is taken.  For loans taken after July 1, 2006, the interest rate is in effect as of the first business day of the calendar month in which the loan is taken.  Active employees make principal and interest payments through payroll deductions.

Retirees/surviving spouses may make monthly payments using a coupon book or through automatic withdrawal from their bank account.  Participant loans and the accrued interest are collateralized by the account balance, and upon default, the outstanding balance is subjected to income taxes and possibly penalty taxes.

2.           ACCOUNTING POLICIES

The accompanying financial statements are prepared on the accrual basis of accounting.

Certain amounts in the 2005 financial statements have been reclassified to conform with the 2006 presentation.

Investments are reported in the Statements of Net Assets Available for Benefits at fair value, except for its benefit responsive investment contract investments, which are stated at contract value.

The shares of AEP common stock held in the AEP Stock Fund investments are valued at year-end quoted stock closing prices.

Quoted market prices are used to value investments (including, but not limited to, the shares of AEP common stock held in the AEP Stock Fund), except investments in registered investment companies, collective trust funds or commingled funds, which are stated at estimated fair values based on the value of the underlying securities and assets as provided by the Trustee.  All participant loans are valued at the outstanding loan balances.

The Managed Income Fund includes investment contracts valued at contract value, which is equal to cost (contributions), plus interest, less withdrawals.  As described in Financial Accounting Standards Board Staff Position, FSP AAG INV-1, Reporting of Fully Benefit-Responsive Contracts Held by Certain Investment Companies Subject to the AICPA Investment Company Guide and Defined-Contribution Health and Welfare and Pension Plans (the “FSP AAG INV-1”), investment contracts held by a defined-contribution plan are required to be reported at fair value.  The Plan adopted FSP AAG INV-1 in 2006.  The adoption did not have a material effect on the Plan’s financial statements as interest rates are adjusted to the market quarterly.  Accordingly, contract value approximates fair value.

Purchases and sales of securities have been recorded on a trade-date basis.  Interest income is recorded on the accrual basis.  Dividends are recorded on the ex-dividend date.  These amounts are reinvested by the Trustee in the same funds that generated such income with the exception of the AEP Stock Fund, which pays out or reinvests dividends at each participant direction.

Administrative and Management Fees paid to both Fidelity and JPMorgan for 2006 totaled $1,941,205 and such fees paid to Fidelity for 2005 totaled $904,495.  The structure for the payment of the Plan’s administrative and management fees changed in connection with the transition from Fidelity to JPMorgan effective July 1, 2006 (as described in Footnote 1).  Prior to July 1, 2006, the Plan was not charged separate fees to Fidelity for recordkeeping services.  Fidelity received compensation in the form of management fees directly from the Plan’s holdings in various mutual funds as many of the holdings were managed by Fidelity.  Effective July 1, 2006, the Plan directly pays for administrative, recordkeeping and management fees.

Distributions are recorded when paid.  There were no material amounts due to participants who requested distributions from the Plan as of December 31, 2006 and 2005.

The preparation of financial statements in conformity with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of net assets available for benefits and changes therein.  Actual results could differ from those estimates.

 
The Plan utilizes various investment instruments, including common stock, bonds, commingled funds and investment contracts.  Investment securities, in general, are exposed to various risks, such as interest rate, credit, and overall market volatility.  Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect the amounts reported in the financial statements.

3.           INVESTMENT CONTRACTS

During the year ended December 31, 2005 and the six month period ended June 30, 2006, the Plan had a Managed Income Fund with Fidelity as trustee, which invested primarily in fully benefit responsive investment contracts.  Fidelity maintained the assets in a custodian account.  There were no reserves against contract value for credit risk of the contract issuer or otherwise. The account was credited with earnings on the underlying investments and charged for Plan withdrawals (credited interest rates ranged from 5.65% to 4.05% and 5.65% to 3.76% for 2006 and 2005, respectively).  The average yield for each investment contract ranged from 5.04% to 4.16% and 4.16% to 3.87% for fiscal years ending December 31, 2006 and 2005, respectively.  The investment is recorded in the 2005 financial statements based on the contract value of the underlying investment contracts as reported to the Plan by Fidelity.  Contract value represents contributions made under the contract, plus earnings, less withdrawals.  All investment contracts maintained by Fidelity were terminated in June of 2006 as part of the transfer of recordkeeping and investment functions from Fidelity to JPMorgan Retirement Plan Services LLC.

At December 31, 2006, the Managed Income Fund provides a self managed stable value investment option to participants that includes synthetic guaranteed investment contracts (“GIC”) which simulates the performance of a guaranteed investment contract through an issuer’s guarantee of a specific interest rate (the wrapper contract) and a portfolio of financial instruments that are owned by the Plan.  The Plan entered into four synthetic GIC contracts in July 2006.  The synthetic GIC contracts include underlying assets which are held in a trust owned by the Plan and utilizes benefit-responsive wrapper contracts issued by four banking institutions. The contracts provide that participants execute plan transactions at contract value. Contract value represents contributions made to the fund, plus earnings, less participant withdrawals. The interest rates are reset quarterly based on market rates of other similar investments, the current yield of the underlying investments and the spread between the market value and contract value, but the rate cannot be less than 0%. Certain events such as plan termination or a plan merger initiated by the Plan Sponsor, may limit the ability of the Plan to transact at contract value or may allow for the termination of the wrapper contract at less than contract value. The Plan Sponsor does not believe that any events that may limit the ability of the plan to transact at contract value are probable.  At December 31, 2006 the credited rate and the average yield based on annualized earnings and interest credited to participants was 5.50% and 5.29%, respectively.
 
4.           INVESTMENTS EXCEEDING 5% OF PLAN NET ASSETS

Investments exceeding five percent of net assets as of December 31, 2006 and 2005 were:

   
FAIR VALUE
 
   
2006
   
2005
 
American Electric Power Company, Inc. Common Stock
  $
401,083,727
    $
517,452,122
 
                 
Fidelity Blue Chip Growth Fund
  $
-
    $
245,710,255
 
                 
Fidelity US Equity Index Commingled Pool
  $
-
    $
211,263,445
 
                 
Morgan Guaranty Act Contract
  $
-
    $
206,692,392
 
                 
Bank of America Contract
  $
-
    $
206,691,132
 
                 
State Street Bank & Trust Company Contract
  $
-
    $
206,691,243
 
                 
Rabobank Nederland Contract
  $
-
    $
206,684,414
 
                 
Fidelity Low-Priced Stock Fund
  $
-
    $
152,202,523
 
                 
Intermediate Bond Fund - JPMorgan Chase Bank
  $
828,681,084
    $
-
 
                 
EB Daily Liquidity Aggregate Bond Index Fund
  $
185,242,997
    $
-
 
                 
EB Daily Liquidity Stock Index Fund
  $
339,905,703
    $
-
 

5.           NET APPRECIATION IN FAIR VALUE OF INVESTMENTS

During 2006 and 2005, the Plan's investments (including investments purchased, sold as well as held during the year) appreciated in value as follows:

   
Year Ended
December 31,
 
   
2006
   
2005
 
Investment at Fair Value:
           
American Electric Power Company, Inc. – Common Stock
  $
50,371,670
    $
39,600,019
 
                 
Investments at Estimated Fair Value:
               
Securities, Mutual Funds and Group Annuity, Bank Investment and Other Fixed Income Contracts
  $
165,708,477
    $
48,173,123
 
Total Net Appreciation
  $
216,080,147
    $
87,773,142
 

6.           FEDERAL INCOME TAX

The Internal Revenue Service (IRS) has determined that the Plan meets the requirements of Section 401(a) of the Internal Revenue Code (the Code); therefore, the Plan’s Trust is exempt from federal income tax pursuant to Section 501(a) of the Code.

The Plan obtained its latest determination letter on February 15, 2005, in which the IRS stated that the Plan, as then designed, was in compliance with the applicable requirements of the Code; provided however, the letter merely acknowledges receipt of (without approving) the provisions intended to satisfy the requirements of the Code, as amended by the Economic Growth and Tax Relief Reconciliation Act of 2001 (“EGTRRA”) and it contemplates that AEP will make some additional changes to the plan documents that were proposed in correspondence sent to the IRS in connections with its determination letter application.  Those changes were made pursuant to documents signed on May 11, 2005.

On January 30, 2007, the Company submitted an application to the IRS for an updated determination letter with respect to compliance of the Plan and its trust with the applicable requirements of the Code.  That application remains pending.  The Company may timely further amend the Plan so that it remains in compliance with the requirements of the Code.  The Company and Plan management believe that the Plan is currently designed and operated in compliance with the applicable requirements of the Code, and the Plan continues to be tax-exempt.  Therefore, no provision for income taxes has been included in the Plan’s financial statements.

Under current income tax laws and regulations, participants are not subject to federal income tax on the employer contributions to their accounts or on the accumulated earnings on employee and Company contributions until such amounts are distributed to participants.  Employees have the option to make contributions to the Plan on a pre-tax basis, in which case federal income tax is deferred until such amounts are distributed.  Effective beginning July 1, 2006, employees have the option to make designated Roth Contributions to the Plan, in which case federal income tax does not apply to accumulated earnings distributed as part of a qualified distribution.
 
7.           PLAN TERMINATION

Although it has not expressed any intent to do so, the Company has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions of ERISA.  In the event of Plan termination, participants remain 100 percent vested in their accounts.

8.           EXEMPT PARTY-IN-INTEREST TRANSACTIONS

Certain transactions involving the Plan and its assets involved parties in interest with respect to the Plan, but those transactions were not prohibited transactions under ERISA because of the applicability of one or more exemptions.  The exempt party-in-interest transactions involving the Plan included the following:  While Fidelity Management Trust Company was acting as trustee and custodian and record keeper under the plan, its affiliate was acting as the investment manager or investment advisor with respect to certain mutual funds made available as investment options under the Plan.  While JPMorgan Chase Bank, N.A., was acting as trustee and custodian under the Plan, its affiliates have been acting as investment manager for a number of the Plan’s investment options, the Plan’s record keeper and investment advisor or investment manager for a number of plan participants with respect to the amounts held in their plan.

At December 31, 2006 and 2005, the Plan held 9,420,072 and 13,951,257 shares, respectively of common stock of American Electric Power, Inc., the parent company and Plan Sponsor, with a cost basis of $303,523,152 and $449,014,903, respectively.  During the years ended December 31, 2006 and 2005, the Plan recorded dividend income of $18,700,272 and $19,772,636, respectively.
 
9.           LEGAL ISSUES

Kermit Bridges v. American Electric Power Company, Inc. et al.; John N. Suhayda v. American Electric Power Company, Inc. et al.; and Selena Plentl v. American Electric Power Company, Inc. et al.  In the fourth quarter of 2002 and the first quarter of 2003, three putative class action lawsuits were filed on behalf of the Plan against American Electric Power Company, Inc., certain AEP Executives, and AEP’s ERISA Plan Administrator alleging violations of ERISA in the selection of AEP Stock as an investment alternative and in the allocation of assets to AEP stock.  The complaint requested compensation for losses suffered by the Plan, plus equitable relief, costs, attorney fees and other relief the court considers appropriate.  The ERISA actions were originally pending in Federal District Court in Columbus, Ohio.  In July 2006, following the withdrawal of two of the plaintiffs, the Federal District Court entered judgment denying the remaining plaintiff’s motion for class certification and dismissing all claims without prejudice.  In August 2006, the plaintiff filed a notice of appeal of that judgment in the U.S. Court of Appeals for the Sixth Circuit.  The parties have filed briefs, and the Court will hear the oral argument on July 27, 2007.  The U.S. Department of Labor has intervened and filed a brief in support of the plaintiff, now appellant, and has been allocated part of appellant’s oral argument time.  The position of the defendants, now appellees, is that the Order of the Federal District Court should be affirmed.  The outcome of the appeal cannot be determined at this time.  However, a recent opinion issued by the U.S. Court of Appeals for the Seventh Circuit raising a similar issue was decided in favor of the plaintiff/appellant, and there are similar cases pending before other courts.


 
AMERICAN ELECTRIC POWER SYSTEM
RETIREMENT SAVINGS PLAN
 
SUPPLEMENTAL SCHEDULE OF ASSETS HELD AS OF DECEMBER 31, 2006
 


Identity of Issuer, Borrower, Lessor or Similar Party
 
Number of
SHARES/UNITS
   
FAIR
VALUE
 
INVESTMENT CONTRACTS:
           
Stable Value Wrap
  Bank of America
  variable annual yield  (5.5% at
  December 31, 2006) with an
  indeterminate maturity date
   
-
    $
2,490,315
 
Stable Value Wrap
  UBS
  variable annual yield (5.5% at
  December 31, 2006) with an
  indeterminate maturity date
   
-
     
2,490,315
 
Stable Value Wrap
  IXIS
  variable annual yield (5.5% at
  December 31, 2006) with an
  indeterminate maturity date
   
-
     
2,490,315
 
Stable Value Wrap
  State Street Bank
  variable annual yield (5.5% at
  December 31, 2006) with an
  indeterminate maturity date
   
-
     
2,490,315
 
Subtotal
          $
9,961,260
 
                 
Intermediate Bond Fund-
   JPMorgan Chase Bank
   
74,271,679
    $
828,681,084
 
U.S. Treasury Notes
   (3.625%, due at December 30, 2007)
           
844,289
 
JPMorgan Chase Bank
   Liquidity Fund
   
8,422,864
     
8,422,864
 
Cash
           
89,236
 
                 
TOTAL – INVESTMENT CONTRACTS
          $
847,998,733
 




AMERICAN ELECTRIC POWER SYSTEM
RETIREMENT SAVINGS PLAN 
 
SUPPLEMENTAL SCHEDULE OF ASSETS HELD AS OF DECEMBER 31, 2006 (continued)
       

 


Identity of Issuer, Borrower, Lessor or Similar Party
 
Number of
SHARES/UNITS  
 
FAIR VALUE
 
Cash Equivalents
             
(VAN 2) JPMORGAN DOMESTIC LIQUIDITY
   
27,197,450
 
Units
  $
27,319,673
 
CASH ACCOUNT
   
3,942,739
 
Units
   
3,979,425
 
CASH – COMMINGLED FUNDS
   
1,030,880
 
Units
   
1,030,879
 
JP MORGAN LIQUID ASSETS MONEY MARKET FUND
   
3,279,382
 
Units
   
3,279,382
 
UNITED STATES OF AMERICA
    (1,288,474 )
Units
    (1,288,474 )
Total Cash Equivalents
            $
34,320,885
 
                   
Common/Collective Trusts
                 
ALLIANCE BERNSTEIN INT’L STYLE BLEND
   
9,668,298
 
Units
   
124,915,006
 
EB DAILY LIQUIDITY AGGREGATE BOND INDEX FUND
   
1,225,338
 
Units
   
185,242,997
 
EB DAILY LIQUIDITY STOCK INDEX FUND
   
1,080,665
 
Units
   
339,905,703
 
INCOME - EB DAILY LIQUIDITY INTERNATIONAL STOCK INDEX FUND
   
829,594
 
Units
   
94,600,971
 
INCOME - EB DAILY LIQUIDITY SMALL CAP STOCK INDEX FUND
   
549,920
 
Units
   
59,753,587
 
JPMCB EMERGING MARKETS
   
268,818
 
Units
   
10,365,633
 
JPMCB LIQUIDITY FUND
   
5,677,262
 
Units
   
5,677,263
 
JPMCB STRATEGIC PROPERTY FUND
   
28,553
 
Units
   
45,850,165
 
JPMCB US REAL ESTATE SECURITIES FUND
   
644,284
 
Units
   
26,106,375
 
Total Common/Collective Trusts
            $
892,417,700
 
                   
Derivatives
                 
P/CALL EURO DOLLAR FUT OPT 94.750 DUE 19/MAR/2007
   
19
 
Units
   
1,425
 
P/CALL EURO DOLLAR OPT 94.000DUE 18/JUN/2007
   
10
 
Units
   
19,250
 
P/CALL EURO DOLLAR OPT 94.000DUE 19/MAR/2007
   
8
 
Units
   
13,600
 
P/CALL EURO DOLLAR OPT 95.000DUE 17/SEP/2007
   
1
 
Units
   
463
 
P/CALL EURO DOLLAR OPTION 95.000DUE 17/SEP/2007
   
5
 
Units
   
2,313
 
P/CALL US TRAS NTS 5 YERS 102.000DUE 23/FEB/2007
   
3
 
Units
   
9,188
 
P/CALL USTN 5 YR FUTURE 102.000DUE 23/FEB/2007
   
2
 
Units
   
6,125
 
P/CALL USTN 5 YR FUTURE 102.500DUE 23/FEB/2007
   
17
 
Units
   
43,563
 
P/PUT EURO DOLLAR FUT OPT 93.000DUE 19/MAR/2007
   
15
 
Units
   
94
 
P/PUT EURO DOLLAR FUT OPT 95.500DUE 19/MAR/2007
   
4
 
Units
   
8,200
 
W/CALL EURO DOLLAR FUT OPT 95.130DUE 19/MAR/2007
    (1 )
Units
    (13 )
W/CALL US TREASURY NOTE 10 108.000DUE 23/FEB/2007
    (1 )
Units
    (469 )
W/CALL US TREASURY NOTE 10 109.000DUE 23/FEB/2007
    (20 )
Units
    (4,063 )
W/CALL US TREASURY NOTE 10 110.000DUE 23/FEB/2007
    (57 )
Units
    (4,453 )
W/CALL US TREASURY NOTE 10 111.000DU 23/FEB/2007
    (4 )
Units
    (125 )
W/CALL USA TREAS BDS 114.000DUE 23/FEB/2007
    (4 )
Units
    (1,125 )
W/CALL USA TREAS BDS 115.000DUE 23/FEB/2007
    (9 )
Units
    (1,406 )
W/CALL USA TREAS BDS 116.000DUE 23/FEB/2007
    (4 )
Units
    (313 )
W/CALL USA TREAS BDS OPT 114.000DUE 23/FEB/2007
    (6 )
Units
    (1,688 )
W/CALL USA TREAS BDS OPT 115.000DUE 23/FEB/2007
    (1 )
Units
    (156 )
W/PUT EURO DOLLAR FUT OPT 94.625DUE 19/MAR/2007
    (10 )
Units
    (500 )
W/PUT US TREASURY NOTE 10 107.000DUE 23/FEB/2007
    (2 )
Units
    (969 )
W/PUT US TREASURY NOTE 10 108.000DUE 23/FEB/2007
    (10 )
Units
    (10,000 )
W/PUT USA TREAS BDS 107.000DUE 23/FEB/2007
    (1 )
Units
    (63 )
W/PUT USA TREAS BDS 109.000DUE 23/FEB/2007
    (14 )
Units
    (3,719 )
W/PUT USA TREAS BDS 111.000DUE 23/FEB/2007
    (2 )
Units
    (1,750 )
W/PUT USA TREAS BDS 112.000DUE 23/FEB/2007
    (1 )
Units
    (1,391 )
W/PUT USA TREAS BDS 113.000DUE 23/FEB/2007
    (2 )
Units
    (4,125 )
W/PUT USA TREAS BDS 113.000DUE 23/FEB/2007
    (7 )
Units
    (14,438 )
W/PUT USA TREAS NTS FUT 10 104.000DUE 23/FEB/2007
    (2 )
Units
    (63 )
W/PUT USA TREAS NTS FUT 10 106.000DUE 23/FEB/2007
    (18 )
Units
    (3,656 )
Total Derivatives
            $
49,736
 
                   
Employer Stock
                 
AMERICAN ELECTRIC POWER COMPANY, INC. COMMON STOCK $6.50 PAR VALUE
   
9,420,072
 
Units
   
401,083,727
 
Total Employer Stock
            $
401,083,727
 
                   
Corporate Stocks
                 
3M CO COM STK USD0.01
   
11,800
 
Units
   
919,574
 
4 KIDS ENTERTAINMENT INC COM STK USD0.01
   
7,300
 
Units
   
133,006
 
ABBOTT LABS COM NPV
   
69,500
 
Units
   
3,385,345
 
ABERCROMBIE & FITCH CO CLASS'A'COM STK USD0.01
   
41,700
 
Units
   
2,903,571
 
ACCENTURE LTD BERM CLS'A'COM USD0.0000225
   
24,700
 
Units
   
912,171
 
ACCO BRANDS CORP COM STK USD0.01
   
25,700
 
Units
   
680,279
 
ACE LTD COM STK NPV
   
31,900
 
Units
   
1,940,158
 
ACUITY BRANDS INC COM STK USD0.01
   
14,000
 
Units
   
728,560
 
ADAPTEC INC COM STK USD0.001
   
146,800
 
Units
   
684,088
 
ADESA INC COM STK USD0.01
   
39,500
 
Units
   
1,096,125
 
ADOBE SYSTEMS INC COM STK USD0.0001
   
143,300
 
Units
   
5,892,496
 
ADVANCE AMER CASH ADVANCE CTRS INC COM USD0.01
   
6,700
 
Units
   
98,155
 
ADVANCE AUTO PARTS INC COM STK USD0.0001
   
11,700
 
Units
   
416,754
 
ADVANTA CORP CLASS'B'NON VTG USD0.01
   
8,900
 
Units
   
388,307
 
AETNA INC NEW COM STK USD0.001
   
32,300
 
Units
   
1,394,714
 
AFC ENTERPRISES INC COM STK USD0.001
   
3,000
 
Units
   
53,010
 
AFFILIATED MANAGERS GROUP INC COM STK USD0.01
   
26,600
 
Units
   
2,796,458
 
AFFYMETRIX INC COM STK USD0.01
   
36,100
 
Units
   
832,466
 
AGILENT TECHNOLOGIES INC COM STK USD0.01
   
56,600
 
Units
   
1,972,510
 
AIR PRODUCTS & CHEMICALS INC COM STK USD1
   
5,700
 
Units
   
402,534
 
AKAMAI TECHNOLOGIES COM STK USD0.01
   
8,900
 
Units
   
472,768
 
ALABAMA NATIONAL BANCORPORATION COM ST USD1
   
1,100
 
Units
   
76,016
 
ALCON INC CHF0.20
   
37,400
 
Units
   
4,180,198
 
ALEXANDRIA REAL ESTATE EQUITIES COM STK USD0.01
   
3,000
 
Units
   
303,420
 
ALLIANCE DATA SYSTEM COM STK USD0.01
   
46,000
 
Units
   
2,873,620
 
ALLIANCE IMAGING INC COM STK USD0.01
   
10,305
 
Units
   
68,528
 
ALLIANT TECHSYSTEMS INC COM STK USD0.01
   
3,400
 
Units
   
265,846
 
ALLIED WASTE INDUSTRIES INC COM STK USD0.01
   
38,200
 
Units
   
469,478
 
ALLSTATE CORP COM USD0.01
   
29,600
 
Units
   
1,936,566
 
ALLTEL CORP COM STK USD1
   
25,900
 
Units
   
1,569,670
 
ALPHARMA INC CLASS'A'COM STK USD0.20
   
17,000
 
Units
   
409,700
 
AMBAC FINANCIAL GROUP INC COM STK USD0.01
   
26,400
 
Units
   
2,351,448
 
AMDOCS ORD GBP0.01
   
24,700
 
Units
   
957,125
 
AMEDISYS INC COM STK USD0.001
   
51,134
 
Units
   
1,680,775
 
AMER INTL GRP COM USD2.50
   
87,300
 
Units
   
6,255,918
 
AMERICAN EAGLE OUTFITTER COM STK USD0.01
   
20,700
 
Units
   
647,600
 
AMERICAN EQUITY INVT LIFE HLDG CO COM STK USD1
   
15,900
 
Units
   
207,177
 
AMERICAN EXPRESS CO COM USD0.20
   
48,200
 
Units
   
2,924,294
 
AMERICAN POWER CONVERSION COM STK USD0.01
   
30,500
 
Units
   
932,995
 
AMERISOURCEBERGEN CORP COM STK NPV
   
28,000
 
Units
   
1,258,880
 
AMERISTAR CASINOS INC COM STK USD0.01
   
3,700
 
Units
   
113,738
 
AMGEN INC COM USD0.0001
   
28,000
 
Units
   
1,912,680
 
AMPHENOL CORP CLASS'A'COM STK USD0.001
   
43,700
 
Units
   
2,714,162
 
ANDREW CORP COM STK USD0.01
   
115,900
 
Units
   
1,185,657
 
ANHEUSER-BUSCH COS COM USD1
   
28,500
 
Units
   
1,402,200
 
APARTMENT INV&MGMT COM USD0.01 CL'A'
   
15,100
 
Units
   
854,962
 
APOGEE ENTERPRISES INC COM STK USD0.33 1/3
   
7,700
 
Units
   
148,687
 
APOLLO INVESTMENT CORP COM STK USD0.001
   
27,500
 
Units
   
616,000
 
APPLE INC COM STK NPV
   
58,800
 
Units
   
4,988,592
 
APTARGROUP INC COM STK USD0.01
   
34,200
 
Units
   
2,019,168
 
ARES CAPITAL CORP COM STK USD0.001
   
22,000
 
Units
   
420,420
 
ARROW ELECTRONICS INC COM STK USD1
   
55,000
 
Units
   
1,735,250
 
ASBURY AUTOMOTIVE GROUP INC COM STK USD0.01
   
20,400
 
Units
   
480,624
 
ASHFORD HOSPITALITY TRUST INC COM STK USD0.01
   
6,600
 
Units
   
83,490
 
ASHLAND INC COM STK USD1
   
6,400
 
Units
   
442,752
 
ASPEN INSURANCE HLDGS COM STK USD0.15144558
   
10,100
 
Units
   
266,236
 
ASSURANT INC COM STK USD0.01
   
13,400
 
Units
   
740,350
 
ASSURED GUARANTY LTD COM STK USD0.01
   
31,700
 
Units
   
843,220
 
ASTORIA FINANCIAL CORP COM STK USD0.01
   
62,100
 
Units
   
1,872,936
 
ASTRAZENECA ADR EACH REP 1 ORD USD0.25(MGT)
   
22,900
 
Units
   
1,226,295
 
AT&T INC COM STK USD1
   
52,700
 
Units
   
1,884,025
 
ATMEL CORP COM STK USD0.001
   
192,700
 
Units
   
1,165,835
 
ATMI INC COM STK USD0.01
   
6,300
 
Units
   
192,339
 
ATWOOD OCEANICS INC COM STK USD1
   
16,100
 
Units
   
788,417
 
AUTODESK INC COM STK NPV
   
54,900
 
Units
   
2,221,254
 
AUTOLIV INC COM STK USD1
   
15,500
 
Units
   
934,650
 
AUTOZONE INC COM STK USD0.01
   
5,600
 
Units
   
647,136
 
AVNET INC COM STK USD1
   
108,600
 
Units
   
2,772,558
 
AVOCENT CORP COM STK USD0.01
   
10,700
 
Units
   
362,195
 
BANNER CORP COM STK USD0.01
   
3,000
 
Units
   
133,590
 
BANTA CORP COM STK USD0.10
   
13,400
 
Units
   
487,760
 
BASF AG ADR-EACH REPR 1 ORD NPV LEVEL II
   
4,400
 
Units
   
427,724
 
BAXTER INTL INC COM USD1
   
4,300
 
Units
   
199,477
 
BEA SYSTEMS INC COM USD0.001
   
65,000
 
Units
   
817,700
 
BECKMAN COULTER INC COM STK USD0.10
   
19,300
 
Units
   
1,154,140
 
BECTON DICKINSON & CO COM STK USD1
   
18,100
 
Units
   
1,274,150
 
BEL FUSE INC CLASS'B'SHS USD0.1
   
6,300
 
Units
   
219,177
 
BELDEN INC COM STK USD0.01
   
7,200
 
Units
   
281,808
 
BENCHMARK ELECTRONICS INC COM STK USD0.10
   
66,500
 
Units
   
1,619,940
 
BERKLEY(W.R.)CORP COM STK USD0.20
   
64,500
 
Units
   
2,228,367
 
BHP BILLITON LIMITED ADR EACH REP 2 ORD NPV(MGT)
   
10,900
 
Units
   
433,275
 
BIG 5 SPORTING GOODS CORP COM STK USD0.01
   
3,400
 
Units
   
83,028
 
BIO RAD LABORATORIES INC CLASS'A'COM STK USD0.0001
   
1,600
 
Units
   
132,032
 
BISYS GROUP COM STK USD0.02
   
16,600
 
Units
   
214,306
 
BJ SERVICES COM STK USD0.10
   
63,300
 
Units
   
1,858,976
 
BJS WHOLESALE CLUB INC COM STK USD0.01
   
14,900
 
Units
   
463,539
 
BMC SOFTWARE INC COM STK USD0.01
   
27,200
 
Units
   
875,840
 
BOEING CO COM STK USD5
   
57,000
 
Units
   
5,063,880
 
BOK FINANCIAL CORP COM STK USD0.00006
   
6,200
 
Units
   
340,876
 
BORG-WARNER INC COM STK USD0.01
   
26,645
 
Units
   
1,572,588
 
BRINKER INTERNATIONAL COM STK USD0.10
   
23,650
 
Units
   
713,284
 
BROADCOM CORP CLASS'A'COM STK USD0.0001
   
71,400
 
Units
   
2,306,934
 
BROADWING CORPORATION
   
52,100
 
Units
   
813,802
 
BROOKS AUTOMATION INC
   
69,800
 
Units
   
1,005,120
 
BROWN SHOE CO INC COM STK USD3.75
   
7,700
 
Units
   
368,214
 
CABLEVISION SYSTEMS CORP NY GROUP COM STK USD0.01
   
73,100
 
Units
   
2,081,888
 
CABOT CORP COM STK USD1
   
3,400
 
Units
   
148,138
 
CABOT OIL & GAS CO COM USD0.10
   
3,900
 
Units
   
236,535
 
CADENCE DESIGN SYSTEMS INC COM STK USD0.01
   
118,900
 
Units
   
2,129,499
 
CAE INC COM NPV
   
143,000
 
Units
   
1,312,740
 
CAMBREX CORP COM STK USD0.10
   
7,300
 
Units
   
165,856
 
CAMECO CORP COM NPV
   
84,100
 
Units
   
3,404,742
 
CAREMARK RX INC COM STK USD0.001
   
4,500
 
Units
   
258,715
 
CARTERS INC COM STK USD0.01
   
72,200
 
Units
   
1,841,100
 
CDW CORPORATION COM USD0.01
   
12,400
 
Units
   
871,968
 
CEC ENTERTAINMENT COM STK USD0.10
   
2,400
 
Units
   
96,600
 
CELGENE CORP COM STK USD0.01
   
11,800
 
Units
   
678,854
 
CEMEX S.A.B. DE C.V. ADR EACH REP 10 CPO(SPON)
   
12,900
 
Units
   
437,052
 
CENTENNIAL COMMUNICATIONS CORP CLASS'A'COM STK USD0.01
   
112,900
 
Units
   
811,751
 
CENTRAL PAC FINL CORP COM
   
5,000
 
Units
   
193,800
 
CEPHALON INC COM STK USD0.01
   
22,300
 
Units
   
1,570,143
 
CHAMPION ENTERPRISES INC COM STK USD1
   
31,900
 
Units
   
298,584
 
CHARMING SHOPPES INC COM STK USD0.10
   
78,800
 
Units
   
1,066,164
 
CHECKPOINT SYSTEMS COM STK USD0.10
   
8,900
 
Units
   
179,780
 
CHESAPEAKE ENERGY CORP COM STK USD0.01
   
33,100
 
Units
   
963,541
 
CHEVRON CORP COM STK USD0.75
   
22,500
 
Units
   
1,654,425
 
CHICAGO BRIDGE & IRON CO N.V. EUR0.01 (REG)
   
8,100
 
Units
   
221,454
 
CHILDRENS PLACE RETAIL STORE INC COM STK USD0.10
   
5,700
 
Units
   
362,064
 
CHITTENDEN CORP COM STK USD1
   
3,406
 
Units
   
104,530
 
CIBER INC COM STK USD0.01
   
30,100
 
Units
   
204,078
 
CIGNA CORP COM STK USD0.25
   
25,800
 
Units
   
3,395,154
 
CIMAREX ENERGY CO COM STK USD0.01
   
4,500
 
Units
   
164,250
 
CINCINNATI BELL NC USD0.01
   
281,300
 
Units
   
1,285,541
 
CISCO SYSTEMS COM USD0.001
   
226,100
 
Units
   
6,179,313
 
CIT GROUP INC COM STK USD0.01
   
37,100
 
Units
   
2,069,067
 
CITIGROUP INC COM STK USD0.01
   
37,100
 
Units
   
2,066,470
 
CLAIRES STORES INC COM STK USD0.05
   
29,000
 
Units
   
961,060
 
CLARCOR INC COM STK USD1
   
12,500
 
Units
   
422,625
 
COACH INC COM STK USD0.01
   
105,700
 
Units
   
4,540,872
 
COGNEX CORP COM STK USD0.002
   
33,100
 
Units
   
788,442
 
COGNIZANT TECHNOLO COM CL'A'USD0.01
   
21,300
 
Units
   
1,643,508
 
COLDWATER CREEK COM STK USD0.01
   
56,600
 
Units
   
1,387,832
 
COLGATE-PALMOLIVE CO COM STK USD1
   
20,000
 
Units
   
1,304,800
 
COLUMBIA BANKING SYSTEMS INC COM STK NPV
   
3,300
 
Units
   
115,896
 
COMERICA INC COM STK USD5
   
13,300
 
Units
   
780,444
 
COMPASS BANCSHARES INC COM STK USD2
   
25,100
 
Units
   
1,507,004
 
COMPLETE PRODUCTION SERVICES INC COM STK USD0.01
   
68,600
 
Units
   
1,454,320
 
COMPUTER SCIENCES CORP COM STK USD1
   
45,900
 
Units
   
2,449,683
 
COMSTOCK RESOURCES INC COM STK USD0.50
   
28,500
 
Units
   
885,210
 
COMTECH TELECOMMUNICATIONS COM STK USD0.10
   
4,017
 
Units
   
152,927
 
COMVERSE TECHNOLOGY INC COM STK USD0.10
   
19,700
 
Units
   
415,867
 
CONOCOPHILLIPS COM STK USD1.25
   
24,000
 
Units
   
1,726,800
 
CONSECO INC COM STK USD0.01
   
10,300
 
Units
   
205,794
 
CONSOL ENERGY INC COM STK USD0.01
   
10,700
 
Units
   
343,791
 
CONSOLIDATED EDISON INC COM STK USD0.10
   
39,900
 
Units
   
1,917,993
 
CORE LABORATORIES NV EUR0.01
   
1,900
 
Units
   
153,900
 
CORN PRODUCTS INTERNATIONAL INC COM STK USD0.01
   
3,800
 
Units
   
131,252
 
CORNING INC COM STK USD0.50
   
82,500
 
Units
   
1,543,575
 
COVANCE COM STK USD0.01
   
6,100
 
Units
   
359,351
 
COVENTRY HEALTHCAR COM STK USD0.01
   
30,500
 
Units
   
1,526,525
 
COWEN GROUP INC COM STK NPV
   
13,600
 
Units
   
287,640
 
CRANE CO COM STK USD1
   
25,500
 
Units
   
934,320
 
CROWN MEDIA HOLDINGS CLASS'A'COM STK USD0.01
   
48,900
 
Units
   
177,507
 
CSG SYSTEMS INTL INC COM STK USD0.01
   
4,700
 
Units
   
125,631
 
CTS CORP COM STK NPV
   
6,936
 
Units
   
109,103
 
CUMMINS INC COM STK USD2.50
   
21,000
 
Units
   
2,481,780
 
CV THERAPEUTICS INC COM STK USD0.001
   
45,700
 
Units
   
637,972
 
CYTEC INDUSTRIES INC COM STK USD0.01
   
8,500
 
Units
   
480,335
 
DARDEN RESTAURANTS INC COM STK NPV
   
35,900
 
Units
   
1,442,103
 
DAVITA INC COM STK USD0.001
   
16,900
 
Units
   
961,272
 
DEL MONTE FOODS COM STK USD0.01
   
97,800
 
Units
   
1,078,734
 
DEUTSCHE BANK AG ORD NPV(REGD)
   
14,700
 
Units
   
1,958,628
 
DIEBOLD INC COM STK USD1.25
   
8,700
 
Units
   
405,420
 
DIGITAL REALTY TRUST INC COM STK USD0.01
   
6,600
 
Units
   
227,807
 
DILLARDS INC CLASS'A'COM NPV
   
20,100
 
Units
   
703,701
 
DIRECTV GROUP INC COM USD0.01
   
28,800
 
Units
   
718,272
 
DISCOVERY HLDG CO CLASS'A'COM STK USD0.01
   
56,800
 
Units
   
913,912
 
DOMTAR INC COM NPV
   
19,800
 
Units
   
167,112
 
DONNELLEY(R.R.)& SONS CO COM STK USD1.25
   
44,000
 
Units
   
1,563,760
 
DREAMWORKS ANIMATION SKG INC CLASS 'A' COM STK USD0.01
   
37,900
 
Units
   
1,117,671
 
DRS TECHNOLOGIES INC COM STK USD0.01
   
11,500
 
Units
   
605,820
 
DST SYSTEMS INC DELAWARE COM STK USD0.01
   
32,200
 
Units
   
2,016,686
 
DUKE REALTY CORP COM STK USD0.01
   
37,000
 
Units
   
1,513,300
 
E TRADE FINANCIAL CORP COM STK USD0.01
   
80,400
 
Units
   
1,802,568
 
EARTHLINK INC COM STK USD0.01
   
43,300
 
Units
   
307,430
 
EATON CORP COM USD0.50
   
22,400
 
Units
   
1,683,136
 
ECI TELECOM ORD ILS0.12
   
17,362
 
Units
   
150,355
 
EDUCATION REALTY TRUST INC COM STK USD0.01
   
11,800
 
Units
   
174,286
 
EDWARDS(A.G)INC COM STK USD1
   
15,600
 
Units
   
990,444
 
EL PASO ELECTRIC CO COM STK NPV
   
13,200
 
Units
   
321,684
 
ELEC DATA SYS CORP COM USD0.01
   
33,600
 
Units
   
925,680
 
ELECTRONIC ARTS COM USD0.01
   
66,300
 
Units
   
3,338,868
 
ELECTRONICS FOR IMAGING COM STK USD0.01
   
21,800
 
Units
   
579,444
 
EMULEX CORP COM STK USD0.10
   
43,400
 
Units
   
846,734
 
ENCORE ACQUISITION CO COM STK USD0.01
   
23,100
 
Units
   
566,643
 
ENDURANCE SPECIALTY HLDGS COM STK USD1
   
7,200
 
Units
   
263,376
 
ENERGEN CORP COM STK USD0.01
   
10,000
 
Units
   
469,400
 
ENERGY EAST CORP COM STK USD0.01
   
12,900
 
Units
   
319,920
 
ENERSYS COM USD0.01
   
10,900
 
Units
   
174,400
 
ENI ADR EACH REP 2 ORD (MGT)
   
24,300
 
Units
   
1,634,904
 
ENTERCOM COMMUNICATIONS COM STK USD0.01
   
16,300
 
Units
   
459,334
 
ESSEX PROPERTY TRUST INC COM STK USD0.0001
   
2,000
 
Units
   
260,180
 
EVEREST RE GROUP COM STK USD0.01
   
5,500
 
Units
   
539,605
 
EXPRESS SCRIPTS IN COM USD0.01
   
4,600
 
Units
   
329,360
 
FAIRCHILD SEMICONDUCTOR INTL INC
   
27,400
 
Units
   
460,594
 
FEI CO COM STK NPV
   
6,800
 
Units
   
179,316
 
FERRO CORP COM STK USD1
   
13,600
 
Units
   
281,384
 
FINISH LINE INC CLASS'A'COM STK USD0.01
   
36,700
 
Units
   
524,076
 
FIRST FINANCIAL BANKSHARES INC COM STK USD10
   
2,200
 
Units
   
92,752
 
FIRST INDIANA CORP COM STK USD0.01
   
3,000
 
Units
   
76,080
 
FIRST MARBLEHEAD CORP COM STK USD0.01
   
19,450
 
Units
   
1,062,943
 
FIRST MIDWEST BANCORP COM STK USD0.01
   
6,400
 
Units
   
249,440
 
FIRST PLACE FINANCIAL/OHIO COM STK USD0.01
   
3,400
 
Units
   
79,866
 
FIRSTENERGY CORP COM STK USD0.10
   
31,500
 
Units
   
1,899,450
 
FISERV INC COM STK USD0.01
   
17,300
 
Units
   
906,866
 
FLEETWOOD ENTERPRISES INC COM STK USD1
   
76,400
 
Units
   
604,324
 
FLEXTRONICS INTERNATIONAL ORD USD0.01
   
102,300
 
Units
   
1,174,404
 
FLIR SYSTEMS INC COM STK USD0.01
   
41,377
 
Units
   
1,317,030
 
FLUSHING FINANCIAL CORP COM STK USD0.01
   
49,900
 
Units
   
851,793
 
FOOT LOCKER INC COM STK USD0.01
   
22,600
 
Units
   
495,618
 
FORRESTER RESEARCH INC COM STK USD0.01
   
4,400
 
Units
   
119,284
 
FOUNDRY NETWORKS INC COM STK USD0.0001
   
79,500
 
Units
   
1,190,910
 
FPL GROUP INC COM STK USD0.01
   
35,300
 
Units
   
1,921,026
 
FULLER(H.B.)CO COM STK USD1
   
17,000
 
Units
   
438,940
 
G & K SERVICES INC CLASS'A'COM STK USD0.50
   
3,400
 
Units
   
132,362
 
GAMESTOP CORPORATION NEW CLASS 'A' COM USD0.001
   
12,000
 
Units
   
661,320
 
GATX CORP COM STK USD0.625
   
3,300
 
Units
   
142,989
 
GENCORP INC COM STK USD0.10
   
50,700
 
Units
   
710,814
 
GENENTECH INC COM USD0.02
   
52,300
 
Units
   
4,243,099
 
GENERAL CABLE CORP COM STK USD0.01
   
15,300
 
Units
   
668,763
 
GENERAL COMMUNICATIONS CLASS'A'COM NPV
   
18,100
 
Units
   
284,713
 
GENERAL DYNAMICS CORP COM STK USD1
   
11,300
 
Units
   
840,155
 
GENERAL ELECTRIC CO. COM STK USD0.06
   
112,300
 
Units
   
4,210,547
 
GENERAL MILLS INC COM STK USD0.1
   
23,400
 
Units
   
1,347,840
 
GENESIS HEALTHCARE CORP COM STK USD0.01
   
3,300
 
Units
   
155,859
 
GEVITY HR INC COM USD0.01
   
24,000
 
Units
   
568,560
 
GILEAD SCIENCES COM USD0.001
   
105,800
 
Units
   
6,869,594
 
GLACIER BANCORP COM STK USD0.01
   
2,457
 
Units
   
60,049
 
GLAXOSMITHKLINE ADR EACH REPR 2 ORD GBP0.25
   
24,700
 
Units
   
1,312,947
 
GLOBAL IMAGING SYSTEMS COM STK USD0.01
   
17,497
 
Units
   
384,059
 
GOL LINHAS AEREAS INTELIGENTES SA ADR EACH REPR 1 PREF SHS
   
0
 
Units
   
1,581
 
GOLD KIST HLDGS INC COM USD0.01
   
14,000
 
Units
   
294,280
 
GOLDMAN SACHS GROUP INC COM STK USD0.01
   
24,000
 
Units
   
4,784,400
 
GOODRICH CORP COM STK USD5
   
45,100
 
Units
   
2,063,565
 
GOOGLE INC COM STK USD0.001 CLS'A'
   
16,600
 
Units
   
7,643,968
 
GRACO INC COM STK USD1
   
53,700
 
Units
   
2,127,594
 
GRAY TELEVISION INC.
   
58,900
 
Units
   
433,504
 
GREATBATCH INC COM STK USD0.001
   
3,361
 
Units
   
90,478
 
GREIF INC COM STK CLASS'A' NPV
   
1,000
 
Units
   
118,760
 
GRIFFON CORP COM STK USD0.25
   
14,800
 
Units
   
377,400
 
GROUP 1 AUTOMOTIVE INC COM STK NPV
   
9,463
 
Units
   
489,426
 
GUESS INC COM STK USD0.01
   
11,600
 
Units
   
735,788
 
HANMI FINANCIAL CORP COM STK USD0.001
   
6,000
 
Units
   
135,540
 
HANOVER INSURANCE GROUP INC COM STK USD0.01
   
10,900
 
Units
   
531,920
 
HANSEN NATURAL CORP COM STK USD0.005
   
12,500
 
Units
   
421,000
 
HARLAND(JOHN H.)CO COM STK USD1
   
14,300
 
Units
   
717,860
 
HARLEY DAVIDSON COM STK USD0.01
   
9,200
 
Units
   
648,324
 
HARMONIC INC COM STK USD0.001
   
174,800
 
Units
   
1,270,796
 
HARRAHS ENTERTAINMENT INC COM STK USD0.10
   
20,400
 
Units
   
1,687,488
 
HARRIS CORP COM STK USD1
   
9,100
 
Units
   
417,326
 
HARSCO CORP COM STK USD1.25
   
24,800
 
Units
   
1,887,280
 
HARTE-HANKS INC COM STK USD1
   
27,700
 
Units
   
767,567
 
HARTFORD FINANCIAL SERVICES GRP INC COM STK USD0.01
   
21,700
 
Units
   
2,034,877
 
HASBRO INC COM STK USD0.50
   
24,200
 
Units
   
659,450
 
HEALTH CARE REIT INC COM STK USD1
   
5,862
 
Units
   
252,170
 
HEALTH NET INC COM USD0.001
   
76,700
 
Units
   
3,732,222
 
HEALTHSPRING USD0.01
   
11,300
 
Units
   
229,955
 
HEIDRICK & STRUGGLES COM STK USD0.01
   
20,700
 
Units
   
876,852
 
HELIX ENERGY SOLUTIONS GROUP INC COM STK NPV
   
29,500
 
Units
   
925,415
 
HELMERICH & PAYNE INC COM STK USD0.10
   
48,100
 
Units
   
1,177,007
 
HERBALIFE LTD
   
6,700
 
Units
   
269,072
 
HESS CORPORATION COM USD1
   
33,300
 
Units
   
1,654,011
 
HEWITT ASSOCIATES COM USD0.01 CLASS A
   
22,800
 
Units
   
587,100
 
HEWLETT PACKARD CO COM USD0.01
   
68,400
 
Units
   
2,819,084
 
HILB ROGAL & HOBBS COM STK NPV
   
6,700
 
Units
   
282,204
 
HOLOGIC INC COM STK USD0.01
   
22,700
 
Units
   
1,073,256
 
HOME PROPERTIES INC COM STK USD0.01
   
7,600
 
Units
   
450,452
 
HORMEL FOODS CORP COM STK USD0.0586
   
42,000
 
Units
   
1,568,280
 
HOSPIRA INC COM STK USD0.01
   
8,900
 
Units
   
298,862
 
HOUSTON EXPLORATION CO COM STK USD0.01
   
1,200
 
Units
   
62,136
 
HUMAN GENOME SCIENCES COM STK USD0.01
   
69,600
 
Units
   
865,824
 
HYPERION SOLUTIONS CORP COM STK USD0.001
   
30,200
 
Units
   
1,085,388
 
IBERIABANK CORP COM STK USD1
   
2,700
 
Units
   
160,299
 
IDACORP INC COM STK NPV
   
41,000
 
Units
   
1,584,650
 
IKON OFFICE SOLUTIONS COM STK NPV
   
40,900
 
Units
   
669,533
 
IMATION CORP COM STK USD0.01
   
14,200
 
Units
   
659,306
 
IMS HEALTH INC COM STK USD0.01
   
43,100
 
Units
   
1,184,388
 
INDEPENDENT BANK CORP MICHIGAN COM STK USD1
   
3,150
 
Units
   
79,664
 
INDEPENDENT BANK CORP(MASS) COM STK USD0.01
   
2,400
 
Units
   
86,856
 
INDYMAC BANCORP INC COM STK USD0.01
   
10,500
 
Units
   
474,180
 
INFINITY PROPERTY & CASUALTY CORP COM NPV
   
5,200
 
Units
   
251,628
 
INFOSYS TECHNOLOGIES ADR EACH REPR 1ORD INR5
   
24,100
 
Units
   
1,314,896
 
ING GROEP N.V. ADR-EACH REPR 1 ORD(SPONS)
   
44,900
 
Units
   
1,983,233
 
INGRAM MICRO INC CLASS'A'COM STK USD0.01
   
36,000
 
Units
   
734,760
 
INSIGHT ENTERPRISE INC COM STK USD0.01
   
32,800
 
Units
   
618,936
 
INTEGRATED DEVICE TECHNOLOGY COM STK USD0.001
   
32,000
 
Units
   
495,360
 
INTER TEL INC COM STK NPV
   
7,400
 
Units
   
164,576
 
INTERACTIVE DATA CORP COM STK NPV
   
15,200
 
Units
   
365,408
 
INTERCONTINENTAL EXCHANGE INC COM STK USD0.01
   
21,800
 
Units
   
2,352,220
 
INTERNATIONAL BUS MACH CORP COM STK USD0.20
   
9,500
 
Units
   
922,925
 
INTERNATIONAL GAME TECHNOLOGY COM STK USD0.000625
   
15,200
 
Units
   
704,099
 
INTERNATIONAL SPEEDWAY CORP CLASS'A'COM STK USD0.01
   
15,600
 
Units
   
796,224
 
INVITROGEN COM STK USD0.01
   
11,900
 
Units
   
673,421
 
IPC HLDGS COM STK USD0.01
   
48,200
 
Units
   
1,515,890
 
JACK IN THE BOX INC COM STK USD0.01
   
4,000
 
Units
   
244,160
 
JARDEN CORP COM STK NPV
   
13,600
 
Units
   
473,144
 
JOHNSON & JOHNSON COM STK USD1
   
19,700
 
Units
   
1,300,594
 
JOHNSON CONTROLS INC COM STK USD0.16 2/3
   
11,000
 
Units
   
948,387
 
JONES APPAREL GROUP INC COM STK USD0.01
   
15,600
 
Units
   
521,508
 
JOS A BANK CLOTHIERS COM STK USD0.01
   
36,300
 
Units
   
1,065,405
 
JOURNAL COMMUNICATIONS INC COM STK USD0.01
   
32,800
 
Units
   
413,608
 
JOY GLOBAL INC COM STK USD1
   
40,000
 
Units
   
1,933,600
 
K&F INDUSTRIES HOLDINGS INC COM STK USD0.01
   
21,400
 
Units
   
485,994
 
KADANT INC COM STK USD0.01
   
3,906
 
Units
   
95,228
 
KEANE INC COM STK USD0.10
   
22,800
 
Units
   
271,548
 
KELLOGG CO COM STK USD0.25
   
26,200
 
Units
   
1,311,572
 
KELLWOOD CO COM STK USD0.01
   
8,700
 
Units
   
282,924
 
KENNAMETAL INC CAP STK USD1.25
   
8,200
 
Units
   
482,570
 
KEY ENERGY SERVICES INC COM STK USD0.10
   
29,200
 
Units
   
456,980
 
KIMBERLY-CLARK CORP COM STK USD1.25
   
19,400
 
Units
   
1,327,050
 
KINDRED HEALTHCARE INC COM STK USD0.25
   
29,100
 
Units
   
734,775
 
KINETIC CONCEPTS INC COM STK USD0.001
   
8,200
 
Units
   
324,310
 
KKR FINANCIAL HLDGS LLC COM STK USD0.01
   
22,100
 
Units
   
592,059
 
KLA TENCOR CORP COM STK USD0.001
   
19,200
 
Units
   
955,200
 
KNOLL INC COM STK USD1
   
27,300
 
Units
   
600,600
 
KOHLS CORP COM STK USD0.01
   
9,600
 
Units
   
656,928
 
L-1 IDENTITY (HLD) COM STK USD0.001
   
29,700
 
Units
   
449,361
 
LAB CORP AMER HLDG COM USD0.1
   
17,900
 
Units
   
1,315,113
 
LABOR READY INC COM STK NPV
   
4,817
 
Units
   
88,296
 
LAKELAND FINANCIAL CORP COM STK USD0.01
   
3,300
 
Units
   
84,249
 
LAM RESEARCH CORP COM STK USD0.001
   
100,000
 
Units
   
5,062,000
 
LANCE INC COM STK USD0.833
   
2,103
 
Units
   
42,228
 
LANDSTAR SYSTEMS INC COM STK USD0.01
   
3,200
 
Units
   
122,176
 
LEHMAN BROS HLDGS INC COM STK USD0.10
   
24,800
 
Units
   
1,937,376
 
LENNOX INTERNATIONAL INC COM STK USD0.01
   
32,300
 
Units
   
992,902
 
LEXINGTON REALTY TRUST COM STK USD0.0001
   
8,800
 
Units
   
202,554
 
LIBERTY GLOBAL INC COM STK SERIES 'C' USD0.01
   
55,300
 
Units
   
1,548,400
 
LIBERTY MEDIA-INTERACTIVE A COM STK USD0.01 'A'
   
21,100
 
Units
   
455,127
 
LIFEPOINT HOSPITALS INC COM STK USD0.01
   
30,100
 
Units
   
1,014,370
 
LIMITED BRANDS INC COM STK USD0.50
   
22,600
 
Units
   
654,044
 
LIN TV CORP COM STK USD0.01
   
100,300
 
Units
   
997,985
 
LINCARE HLDGS INC COM STK USD0.01
   
34,400
 
Units
   
1,370,496
 
LINCOLN ELECTRIC HLDGS INC COM STK NPV
   
5,200
 
Units
   
315,328
 
LINCOLN NATIONAL CORP COM STK USD1.25
   
18,600
 
Units
   
1,235,040
 
LOCKHEED MARTIN CORP COM STK USD1
   
9,300
 
Units
   
856,251
 
LODGENET ENTERTAINMENT CORP COM STK USD0.01
   
38,900
 
Units
   
973,667
 
LOEWS CORP CAROLINA GROUP COM STK USD0.01
   
9,200
 
Units
   
595,424
 
LOUISIANA-PACIFIC CORP COM STK USD1
   
20,100
 
Units
   
432,753
 
LOWE'S COS INC COM STK USD0.50
   
64,800
 
Units
   
2,018,520
 
MACATAWA BANK CORP COM STK NPV
   
3,400
 
Units
   
72,284
 
MACY'S INC COM STK USD0.01
   
50,500
 
Units
   
1,933,177
 
MAF BANCORP INC COM STK USD0.01
   
1,800
 
Units
   
80,892
 
MAGELLAN HEALTH SERVICES INC
   
5,700
 
Units
   
246,354
 
MANPOWER INC COM STK USD0.01
   
33,400
 
Units
   
2,502,662
 
MARATHON OIL CORP COM STK USD1
   
17,600
 
Units
   
1,628,000
 
MARRIOTT INTERNATIONAL INC COM STK USD0.01 CL'A'
   
62,100
 
Units
   
2,967,512
 
MARVELL TECH GROUP COM NPV
   
173,500
 
Units
   
3,329,465
 
MASCO CORP COM STK USD1
   
31,600
 
Units
   
943,892
 
MASSEY ENERGY COM COM STK USD0.625
   
10,300
 
Units
   
239,681
 
MATTEL INC COM STK USD1
   
28,500
 
Units
   
645,810
 
MATTHEWS INTL CORP CLASS'A'COM STK USD1
   
10,600
 
Units
   
417,110
 
MAX CAPITAL GROUP COM STK USD1
   
33,600
 
Units
   
833,952
 
MAXIMUS INC COM STK NPV
   
14,786
 
Units
   
455,113
 
MB FINANCIAL INC COM STK USD0.01
   
4,400
 
Units
   
165,484
 
MBIA INC COM STK USD1
   
7,800
 
Units
   
572,286
 
MCAFEE INC COM STK USD0.01
   
31,000
 
Units
   
879,780
 
MCCLATCHY CO CLASS'A'COM STK USD0.01
   
13,400
 
Units
   
582,632
 
MCDONALD'S CORP COM STK USD0.01
   
15,200
 
Units
   
673,816
 
MCKESSON CORP COM STK USD0.01
   
26,500
 
Units
   
1,345,140
 
MEADWESTVACO CORPORATION COM NPV
   
27,700
 
Units
   
832,662
 
MEDAREX INC COM STK USD0.01
   
89,400
 
Units
   
1,322,226
 
MEDCO HEALTH SOLUTIONS INC COM STK USD0.01
   
25,300
 
Units
   
1,352,032
 
MEDIA GENERAL INC CLASS'A'COM USD5
   
4,300
 
Units
   
159,831
 
MEDICAL PROPERTIES TRUST INC COM STK USD0.001
   
29,500
 
Units
   
459,315
 
MEMC ELECTRONICS MATERIALS INC COM STK USD0.01
   
22,500
 
Units
   
880,650
 
MERCK & CO INC COM STK USD0.01
   
29,600
 
Units
   
1,301,276
 
MERRILL LYNCH & CO INC COM STK USD1.333
   
40,300
 
Units
   
3,751,930
 
METLIFE INC COM STK USD0.01
   
32,700
 
Units
   
1,929,627
 
METTLER TOLEDO COM STK USD0.01
   
11,700
 
Units
   
922,545
 
MFA MORTGAGE INVESTMENTS COM SHS
   
66,800
 
Units
   
517,700
 
MICROCHIP TECHNOLOGY COM STK USD0.001
   
23,600
 
Units
   
771,720
 
MICROSOFT CORP COM USD0.0000125
   
205,100
 
Units
   
6,124,286
 
MILLENNIUM PHARM COM USD0.001
   
73,400
 
Units
   
800,060
 
MINERALS TECHNOLOGIES INC COM STK USD0.10
   
3,100
 
Units
   
182,249
 
MOLECULAR DEVICES COM STK USD0.001
   
16,557
 
Units
   
348,856
 
MOLINA HEALTHCARE INC COM STK USD0.001
   
3,100
 
Units
   
100,781
 
MONACO COACH CORP COM STK USD0.01
   
28,300
 
Units
   
400,728
 
MONEYGRAM INTERNATIONAL INC COM USD0.01
   
9,600
 
Units
   
301,536
 
MONSANTO CO NEW(DELAWARE) COM STK USD0.01
   
19,700
 
Units
   
1,034,841
 
MONSTER WORLDWIDE COM USD0.001
   
28,300
 
Units
   
1,319,912
 
MOOG INC CLASS'A'(LIM.V)USD1
   
7,400
 
Units
   
282,606
 
MORGAN STANLEY COM STK USD0.01
   
23,500
 
Units
   
1,913,605
 
MOTOROLA INC COM STK USD3
   
102,600
 
Units
   
2,114,651
 
MPS GROUP INC COM STK USD0.01
   
31,000
 
Units
   
439,580
 
MUELLER INDUSTRIES INC COM STK USD0.01
   
3,500
 
Units
   
110,950
 
MYRIAD GENETICS IN COM USD0.01
   
79,800
 
Units
   
2,497,740
 
NASDAQ STOCK MARKET INC COM STK USD0.01
   
36,200
 
Units
   
1,114,598
 
NATIONWIDE FINANCIAL SOLUTIONS INC CLASS'A'COM STK USD0.01
   
14,300
 
Units
   
778,349
 
NAVIGATORS GROUP INC COM STK USD0.10
   
4,500
 
Units
   
216,810
 
NCR CORP COM STK USD0.01
   
20,900
 
Units
   
893,684
 
NEENAH PAPER INC COM STK USD0.01
   
5,800
 
Units
   
204,856
 
NET BANK INC COM STK USD0.01
   
61,400
 
Units
   
284,896
 
NEUSTAR INC-CLASS COM STK USD0.001
   
30,400
 
Units
   
986,176
 
NEW YORK TIMES CO COM CLASS'A'STK USD0.10
   
15,000
 
Units
   
365,400
 
NEWPARK RESOURCES INC COM STK USD0.01
   
36,100
 
Units
   
260,281
 
NEWS CORP CLASS'A'NON VTG COM STKUSD0.01
   
166,500
 
Units
   
3,576,420
 
NII HOLDINGS INC COM STK USD0.001
   
35,700
 
Units
   
2,300,508
 
NIKE INC CLASS'B'COM STK NPV
   
45,800
 
Units
   
4,552,705
 
NOBLE CORP COM STK USD0.1
   
28,300
 
Units
   
2,155,045
 
NOBLE ENERGY INC COM USD3.33 1/3
   
38,200
 
Units
   
1,874,474
 
NOBLE INTERNATIONAL LD COM STK NPV
   
5,600
 
Units
   
112,280
 
NORDSON CORP COM STK NPV
   
4,900
 
Units
   
245,025
 
NORDSTROM INC COM STK NPV
   
13,500
 
Units
   
666,090
 
NORTHROP GRUMMAN CORP COM STK USD1
   
12,600
 
Units
   
853,020
 
NORTHWEST NATURAL GAS CO COM STK USD3.167
   
8,500
 
Units
   
360,740
 
NOVARTIS AG ADR EACH REPR 1 CHF0.50(REGD)
   
67,100
 
Units
   
3,854,224
 
NOVELLUS SYSTEMS INC COM STK NPV
   
56,100
 
Units
   
1,930,962
 
NU SKIN ENTERPRISES INC CLASS'A'COM STK USD0.001
   
11,300
 
Units
   
205,999
 
NUVEEN INVESTMENTS CLASS'A'COM USD0.01
   
27,700
 
Units
   
1,437,076
 
NVIDIA CORP COM USD0.001
   
23,900
 
Units
   
884,539
 
NYMAGIC INC COM STK USD1
   
2,500
 
Units
   
91,700
 
NYSE GROUP INC COM STK USD0.01
   
28,700
 
Units
   
2,789,640
 
OAKLEY INC COM STK NPV
   
11,400
 
Units
   
228,684
 
OCCIDENTAL PETROLEUM CORP COM USD0.20
   
75,900
 
Units
   
3,722,411
 
OCEANEERING INTERNATIONAL INC COM STK USD0.25
   
6,700
 
Units
   
265,990
 
OFFICE DEPOT INC COM STK USD0.01
   
17,400
 
Units
   
664,158
 
OFFICEMAX INC COM STK USD2.50
   
13,800
 
Units
   
687,240
 
OLD DOMINION FREIGHT LINE INC COM STK USD0.10
   
6,900
 
Units
   
166,083
 
OLD REPUBLIC INTERNATIONAL CORP COM STK USD1
   
69,700
 
Units
   
1,622,616
 
OLIN CORP COM STK USD1
   
13,500
 
Units
   
223,020
 
OMNICARE INC COM STK USD1
   
27,500
 
Units
   
1,062,325
 
OPENTV CORP NPV CLASS'A'
   
136,800
 
Units
   
317,376
 
OPTIONSXPRESS HLDGS INC COM STK USD0.0001
   
34,900
 
Units
   
791,881
 
ORACLE CORP COM USD0.01
   
50,900
 
Units
   
872,426
 
O'REILLY AUTOMOTIVE INC COM STK USD0.01
   
41,700
 
Units
   
1,336,902
 
OSHKOSH TRUCK CORP COM STK USD0.01
   
30,900
 
Units
   
1,496,178
 
OSI PHARMACEUTICALS INC COM STK USD0.01
   
16,400
 
Units
   
573,672
 
OVERSEAS SHIPHOLDING GROUP INC COM STK USD1
   
14,300
 
Units
   
805,090
 
OXFORD INDUSTRIES INC COM STK USD1
   
21,800
 
Units
   
1,082,370
 
PACER INTL INC COM
   
6,700
 
Units
   
201,469
 
PACIFIC CONTINETAL CORP COM STK USD1
   
2,917
 
Units
   
56,240
 
PACIFIC SUNWEAR OF CALIFORNIA INC COM STK USD0.01
   
29,300
 
Units
   
573,694
 
PACTIV CORP COM STK USD0.01
   
12,600
 
Units
   
449,694
 
PALL CORP COM STK USD0.10
   
50,200
 
Units
   
1,734,410
 
PARAMETRIC TECHNOLOGY CORP NEW COM STK USD0.01
   
11,900
 
Units
   
214,438
 
PARKWAY PROPERTIES INC COM STK USD0.001
   
4,200
 
Units
   
214,242
 
PARTNERRE COM STK USD1
   
10,500
 
Units
   
745,815
 
PATTERSON COS INC COM STK USD0.01
   
22,600
 
Units
   
802,526
 
PATTERSON UTI ENERGY INC COM STK USD0.01
   
78,100
 
Units
   
1,814,263
 
PAXAR CORP COM STK USD0.10
   
19,100
 
Units
   
440,446
 
PDL BIOPHARMA INC COM STK USD0.01
   
87,300
 
Units
   
1,758,222
 
PENN NATIONAL GAMING INC COM STK USD0.01
   
28,700
 
Units
   
1,194,494
 
PENNEY(J.C.)CO INC COM STK USD0.50
   
8,300
 
Units
   
642,088
 
PEPSI BOTTLING GROUP INC COM STK USD0.01
   
41,600
 
Units
   
1,290,432
 
PEPSICO INC CAP USD0.016666
   
76,000
 
Units
   
4,777,620
 
PERFORMANCE FOODS GROUP INC COM STK USD0.01
   
12,000
 
Units
   
331,680
 
PEROT SYSTEMS CLASS'A'COM STK USD0.01
   
76,500
 
Units
   
1,253,835
 
PER-SE TECHNOLOGIES INC COM STK USD0.01
   
17,500
 
Units
   
486,150
 
PFIZER INC COM USD0.05
   
52,300
 
Units
   
1,354,570
 
PHILADELPHIA CONSOLIDATED HOLDINGS COM STK NPV
   
7,100
 
Units
   
316,376
 
PHOTRONICS INC COM STK USD0.01
   
75,300
 
Units
   
1,230,402
 
PINNACLE WEST CAPITAL CORP COM STK USD2.50
   
32,300
 
Units
   
1,637,287
 
PLATINUM UNDERWRITERS HLDGS LTD SHS
   
51,100
 
Units
   
1,581,034
 
PMI GROUP INC COM STK USD0.01
   
53,300
 
Units
   
2,516,959
 
POLO RALPH LAUREN CORP CLASS'A'COM STK USD0.01
   
15,500
 
Units
   
1,204,505
 
POLYCOM INC COM STK USD0.0005
   
26,900
 
Units
   
831,479
 
PPG INDUSTRIES INC COM STK USD1.666
   
6,100
 
Units
   
391,681
 
PRAXAIR INC COM STK USD0.01
   
6,800
 
Units
   
403,444
 
PRECISION CASTPARTS COM NPV
   
78,900
 
Units
   
6,178,698
 
PREFERRED BK LOS ANGELES CALIFORNIA COM STK USD0.01
   
1,400
 
Units
   
84,126
 
PREMIUM STANDARD FARMS INC COM STK USD0.01
   
27,100
 
Units
   
504,873
 
PRICELINE.COM INC COM STK USD0.008
   
30,600
 
Units
   
1,334,466
 
PRIDE INTL INC NEW COM USD0.01
   
34,000
 
Units
   
1,020,340
 
PROCTER & GAMBLE CO COM STK NPV
   
51,700
 
Units
   
3,322,759
 
PROGRESS SOFTWARE CORP COM STK USD0.01
   
8,300
 
Units
   
231,819
 
PROSPERITY BANCSHARES INC COM STK USD1
   
4,600
 
Units
   
159,264
 
PROTECTIVE LIFE CORP COM STK USD0.50
   
14,700
 
Units
   
698,250
 
PULTE HOMES INC COM STK USD0.01
   
36,200
 
Units
   
1,200,392
 
QLOGIC CORP COM STK USD0.001
   
60,900
 
Units
   
1,334,928
 
QUALCOMM INC COM STK USD0.0001
   
123,400
 
Units
   
4,678,286
 
QUESTAR CORP COM STK NPV
   
12,500
 
Units
   
1,038,125
 
QUIKSILVER INC COM STK USD0.01
   
27,600
 
Units
   
434,700
 
QUINTANA MARITIME LTD COM STK USD0.01
   
18,800
 
Units
   
207,176
 
R.H. DONNELLEY CORP COM STK USD1
   
18,400
 
Units
   
1,154,232
 
RADIAN GROUP INC COM USD0.001
   
15,700
 
Units
   
846,387
 
RAILAMERICA INC COM STK USD0.001
   
10,200
 
Units
   
164,016
 
RAMCO-GERSHENSON PROPERTIES TRUST SBI USD0.01
   
6,200
 
Units
   
239,243
 
RARE HOSPITALITY INC COM STK NPV
   
34,000
 
Units
   
1,119,620
 
RAYONIER INC COM STK NPV
   
10,000
 
Units
   
410,500
 
RC2 CORP COM STK USD0.01
   
5,200
 
Units
   
228,800
 
READERS DIGEST ASSOCIATION INC CLASS'A'COM STK NON VTG USD0.01
   
34,300
 
Units
   
572,810
 
RECORDKEEPER FEES
   
0
 
Units
    (29,464 )
RED ROBIN GOURMET BURGERS INC COM STK USD0.001
   
15,800
 
Units
   
566,430
 
REGENERON PHARMACEUTICALS INC COM STK USD0.001
   
46,700
 
Units
   
937,269
 
REHABCARE GROUP INC COM
   
14,600
 
Units
   
216,810
 
RELIANCE STEEL & ALUMINIUM COM STK NPV
   
10,800
 
Units
   
425,952
 
RESEARCH IN MOTION COM NPV
   
23,000
 
Units
   
2,938,940
 
RESOURCES CONNECTION INC COM STK USD0.01
   
22,700
 
Units
   
722,768
 
REYNOLDS AMERICAN INC COM STK USD0.0001
   
19,900
 
Units
   
1,317,028
 
RF MICRO DEVICES INC COM STK NPV
   
130,600
 
Units
   
886,774
 
ROBERT HALF INTERNATIONAL INC COM STK USD1
   
36,900
 
Units
   
1,369,728
 
ROCHE HLDG AG ADR-REPR GENUS PTG CERT NPV SPONS(BNY)
   
65,500
 
Units
   
5,862,106
 
ROCK-TENN CO CLASS'A'COM STK USD0.01
   
13,300
 
Units
   
360,563
 
ROCKWELL COLLINS INC COM STK USD0.01
   
13,900
 
Units
   
879,731
 
ROHM & HAAS CO COM STK USD2.50
   
8,500
 
Units
   
434,520
 
ROWAN COS INC COM USD0.125
   
20,900
 
Units
   
693,880
 
ROYAL DUTCH SHELL ADR EACH REPR 2'A'SHS
   
23,200
 
Units
   
1,642,328
 
RTI INTERNATIONAL METALS INC COM STK USD0.01
   
17,500
 
Units
   
1,368,850
 
RUDDICK CORP COM STK USD1
   
28,500
 
Units
   
794,010
 
RYDER SYSTEM INC COM STK USD0.50
   
1,400
 
Units
   
71,484
 
SAFECO CORP COM STK NPV
   
25,300
 
Units
   
1,582,515
 
SANDISK CORP COM STK USD0.001
   
10,900
 
Units
   
469,027
 
SANMINA-SCI CORP COM STK USD0.01
   
92,400
 
Units
   
318,780
 
SAP AG ADR EACH 1 REP 1 COM NPV(SPONS)LEVEL II
   
64,700
 
Units
   
3,435,570
 
SCHLUMBERGER COM USD0.01
   
38,500
 
Units
   
2,436,535
 
SCHOLASTIC CORP COM STK USD0.01
   
20,100
 
Units
   
720,384
 
SCHWAB(CHARLES)CORP COM STK USD0.01
   
179,300
 
Units
   
3,467,662
 
SCIENTIFIC GAMES CLASS'A'COM USD0.01
   
13,100
 
Units
   
396,013
 
SCOTTS MIRACLE-GRO CO CLASS'A'COM STK NPV
   
26,300
 
Units
   
1,358,395
 
SEACOAST BANKING COM USD0.10
   
2,900
 
Units
   
72,384
 
SEALY CORP COM STK USD0.01
   
42,000
 
Units
   
619,500
 
SEARS HLDGS CORP COM STK USD0.01
   
4,000
 
Units
   
671,720
 
SEITEL COM STK USD0.01(NEW)
   
195,400
 
Units
   
698,555
 
SEMPRA ENERGY CORP COM STK NPV
   
34,400
 
Units
   
1,940,016
 
SERVICE CORPORATION INTERNATIONAL COM STK USD1
   
45,500
 
Units
   
466,375
 
SHERWIN-WILLIAMS CO COM STK USD1
   
4,800
 
Units
   
305,184
 
SIERRA PACIFIC RESOURCES COM STK USD0.01
   
23,100
 
Units
   
388,773
 
SILGAN HLDGS INC COM STK USD0.01
   
11,100
 
Units
   
487,512
 
SIMON PROPERTY GROUP INC COM STK USD0.0001
   
8,300
 
Units
   
840,707
 
SINCLAIR BROADCAST GROUP INC CLASS'A'COM STK USD0.01
   
53,300
 
Units
   
566,313
 
SKECHERS USA INC CLASS'A'COM STK USD0.001
   
4,100
 
Units
   
136,571
 
SKYWEST INC COM STK NPV
   
6,200
 
Units
   
158,348
 
SMART & FINAL COM USD0.01
   
6,900
 
Units
   
130,410
 
SMITHFIELD FOODS COM USD0.5
   
13,000
 
Units
   
333,580
 
SMUCKER(J.M.)CO COM STK NPV
   
13,600
 
Units
   
659,192
 
SMURFIT-STONE CONTAINER CORP COM STK USD0.01
   
29,700
 
Units
   
313,632
 
SONOCO PRODUCTS CO COM STK NPV
   
42,300
 
Units
   
1,609,938
 
SOUTHWEST BANCORP INC OKLAHOMA COM STK USD1
   
3,100
 
Units
   
86,622
 
SPARTECH CORP COM STK USD0.75
   
7,800
 
Units
   
204,516
 
ST MARY LAND & EXPLORATION COM STK USD0.01
   
5,700
 
Units
   
209,988
 
ST.JUDE MEDICAL INC COM STK USD0.10
   
93,400
 
Units
   
3,414,704
 
STANCORP FINANCIAL GROUP COM STK NPV
   
6,100
 
Units
   
274,805
 
STANDEX INTERNATIONAL CORP COM STK USD1.5
   
15,500
 
Units
   
467,015
 
STANLEY WORKS COM STK USD2.50
   
10,400
 
Units
   
523,016
 
STARBUCKS CORP COM STK NPV
   
69,500
 
Units
   
2,461,690
 
STATOIL ADR EACH REP 1 ORD NOK2.50 LVL111(BNY)
   
59,900
 
Units
   
1,576,568
 
STEEL DYNAMICS INC COM STK USD0.01
   
12,900
 
Units
   
420,540
 
STEINER LEISURE COM STK USD0.01
   
29,700
 
Units
   
1,351,350
 
STERIS CORP COM STK NPV
   
8,100
 
Units
   
203,877
 
STILLWATER MINING CO COM STK USD0.01
   
87,900
 
Units
   
1,097,871
 
SUNCOR ENERGY COM STK NPV
   
24,300
 
Units
   
1,917,513
 
SUNOCO INC COM STK USD1
   
47,400
 
Units
   
2,955,864
 
SWIFT ENERGY CO COM STK USD0.01
   
13,100
 
Units
   
587,011
 
SY BANCORP INC COM STK NPV
   
3,000
 
Units
   
84,450
 
SYBASE INC COM STK USD0.001
   
14,300
 
Units
   
353,210
 
SYKES ENTERPRISES INC COM STK USD0.01
   
11,800
 
Units
   
208,152
 
SYMMETRY MEDICAL INC COM STK USD0.0001
   
28,900
 
Units
   
399,687
 
SYNIVERSE HLDGS INC COM STK USD0.001
   
36,100
 
Units
   
541,139
 
TANGER FACTORY OUTLET CENTERS COM STK USD0.01
   
10,100
 
Units
   
394,708
 
TARGET CORP COM STK USD0.0833
   
54,200
 
Units
   
3,092,110
 
TAUBMAN CENTRES INC COM STK USD0.01
   
4,700
 
Units
   
240,805
 
TECHNITROL INC COM STK USD0.125
   
46,200
 
Units
   
1,103,718
 
TEKTRONIX INC COM STK NPV
   
8,200
 
Units
   
239,194
 
TEMPLE-INLAND INC COM STK USD1
   
18,400
 
Units
   
846,952
 
TEMPUR PEDIC INTERNATIONAL INC COM STK USD0.01
   
26,100
 
Units
   
534,006
 
TENNECO INC COM STK USD0.01
   
3,732
 
Units
   
92,255
 
TERADYNE INC COM STK USD0.125
   
24,800
 
Units
   
371,008
 
TEREX CORP COM STK USD0.01
   
27,300
 
Units
   
1,763,034
 
TESORO CORP COM STK USD0.1666
   
23,100
 
Units
   
1,519,287
 
TETRA TECH INC COM STK USD0.01
   
28,800
 
Units
   
520,992
 
THE MOSAIC COMPANY
   
63,000
 
Units
   
1,345,680
 
THERAVANCE INC COM STK USD1
   
30,300
 
Units
   
935,967
 
TJX COS INC COM STK USD1
   
24,100
 
Units
   
687,332
 
TORCHMARK CORP COM STK USD1
   
29,700
 
Units
   
1,893,672
 
TOTAL S A SPONSORED ADR(CNV 1/2 SHS EUR10)
   
22,400
 
Units
   
1,611,008
 
TRIAD HOSPITALS INC COM STK USD0.01
   
18,200
 
Units
   
761,306
 
TRIQUINT SEMI CONDUCTOR INC COM STK USD0.001
   
181,900
 
Units
   
818,550
 
TRUSTMARK CORP COM STK NPV
   
5,000
 
Units
   
163,550
 
TUPPERWARE BRANDS CORP COM STK USD0.01
   
11,000
 
Units
   
251,196
 
TWEEN BRANDS INC COM STK USD0.01
   
25,800
 
Units
   
1,030,194
 
TYCO INTERNATIONAL LTD COM STK USD0.20
   
30,200
 
Units
   
921,100
 
UAP HLDG CORP COM STK USD0.001
   
27,500
 
Units
   
692,450
 
UBS AG CHF0.10
   
66,400
 
Units
   
4,005,912
 
UCBH HLDGS INC COM STK USD0.01
   
9,500
 
Units
   
167,105
 
UNIFI INC COM STK USD0.10
   
107,000
 
Units
   
262,150
 
UNITED AMERICA INDEMNITY LTD COM STK
   
6,600
 
Units
   
167,178
 
UNITED BANKSHARES INC COM STK USD2.50
   
6,400
 
Units
   
249,152
 
UNITED FIRE & CASUALTY CO COM STK USD3.33 1/3
   
3,700
 
Units
   
130,925
 
UNITED ONLINE INC COM STK USD0.001
   
33,200
 
Units
   
440,896
 
UNITED RENTALS INC COM STK USD0.01
   
30,200
 
Units
   
767,986
 
UNITED STATES CELLULAR CORP COM STK USD1
   
26,500
 
Units
   
1,844,135
 
UNITED STATES STEEL CORP COM STK USD1
   
18,400
 
Units
   
1,345,776
 
UNITED STATIONERS INC COM STK USD0.10
   
14,200
 
Units
   
662,998
 
UNITED TECHNOLOGIES CORP COM STK USD1
   
44,700
 
Units
   
2,794,644
 
UNITEDHEALTH GROUP INC COM STK USD0.01
   
26,800
 
Units
   
1,439,964
 
UNIVERSAL COMPRESSION HLDS COM STK USD0.01
   
3,600
 
Units
   
223,596
 
UNIVERSAL CORP COM STK NPV
   
3,300
 
Units
   
161,733
 
UNIVERSAL TECHNICAL INSTITUTE COM STK USD0.0001
   
23,700
 
Units
   
526,377
 
URS CORP COM STK USD0.01
   
53,000
 
Units
   
2,271,050
 
VALASSIS COMMUNICATIONS INC COM STK USD0.01
   
26,100
 
Units
   
378,450
 
VALSPAR CORP COM STK USD0.50
   
49,900
 
Units
   
1,385,723
 
VARIAN SEMICONDUCT EQUIP ASSOC INC COM STK USD1
   
35,500
 
Units
   
1,615,960
 
VECTREN CORP COM NPV
   
21,200
 
Units
   
599,536
 
VERIGY LTD COM NPV
   
13,700
 
Units
   
243,175
 
VERITAS DGC INC COM STK USD0.01
   
2,200
 
Units
   
188,386
 
VF CORP COM STK NPV
   
20,800
 
Units
   
1,707,264
 
VIAD CORP COM STOCK USD1.5
   
9,900
 
Units
   
402,336
 
VISHAY INTL USD0.10
   
107,100
 
Units
   
1,450,134
 
VULCAN MATERIALS CO COM STK USD1
   
4,500
 
Units
   
404,415
 
WALT DISNEY CO. DISNEY COM USD0.01
   
148,400
 
Units
   
5,132,261
 
WARNACO GROUP INC CLS'A'COM STK USD0.01
   
26,400
 
Units
   
670,032
 
WASHINGTON GROUP INTERNATIONAL INC COM STK USD0.01
   
15,900
 
Units
   
950,661
 
WASHINGTON MUTUAL INC COM STK NPV
   
41,900
 
Units
   
1,906,031
 
WATERS CORP COM STK USD0.01
   
30,500
 
Units
   
1,493,585
 
WATSON WYATT WORLDWIDE INC CLASS'A'COM STK USD0.01
   
15,900
 
Units
   
719,078
 
WAUSAU PAPER CORP COM STK NPV
   
12,200
 
Units
   
182,878
 
WELLPOINT INC COM STK USD0.01
   
61,000
 
Units
   
4,800,090
 
WERNER ENTERPRISES INC COM STK USD0.01
   
73,400
 
Units
   
1,283,032
 
WEST COAST BANCORP ORE COM STK USD0.01
   
4,000
 
Units
   
138,560
 
WESTAMERICA BANCORP COM STK NPV
   
2,400
 
Units
   
121,512
 
WEYERHAEUSER CO COM STK USD1.25
   
6,200
 
Units
   
438,030
 
WHIRLPOOL CORP COM STK USD1
   
11,600
 
Units
   
963,032
 
WHOLE FOODS MARKET INC COM STK NPV
   
64,000
 
Units
   
3,003,520
 
WILLIAMS-SONOMA INC COM STK USD0.01
   
13,500
 
Units
   
424,440
 
WILLIS GROUP HOLDINGS COM STK USD0.000115
   
10,200
 
Units
   
407,439
 
WINNEBAGO INDUSTRIES INC COM STK USD0.50
   
26,000
 
Units
   
858,330
 
WSFS FINANCIAL CORP COM STK USD0.01
   
1,900
 
Units
   
127,167
 
WYETH COM USD0.333
   
57,900
 
Units
   
2,948,268
 
XEROX CORP COM STK USD1
   
53,500
 
Units
   
906,825
 
XM SATELLITE RADIO HLDGS CLASS'A'COM STK USD0.01
   
73,700
 
Units
   
1,064,965
 
ZALE CORP COM STK USD0.01
   
28,500
 
Units
   
803,985
 
ZUMIEZ INC COM STK NPV
   
20,500
 
Units
   
605,570
 
ABBOTT LABS COM NPV
   
800
 
Units
   
39,171
 
ADOBE SYSTEMS INC COM STK USD0.0001
   
1,800
 
Units
   
74,784
 
AGILENT TECHNOLOGIES INC COM STK USD0.01
   
700
 
Units
   
24,311
 
ALCON INC CHF0.20
   
500
 
Units
   
56,354
 
AMEDISYS INC COM STK USD0.001
   
2,100
 
Units
   
70,157
 
AMER INTL GRP COM USD2.50
   
1,200
 
Units
   
86,293
 
AMERICAN EXPRESS CO COM USD0.20
   
600
 
Units
   
36,682
 
AMGEN INC COM USD0.0001
   
300
 
Units
   
20,431
 
APPLE INC COM STK NPV
   
700
 
Units
   
56,134
 
ATWOOD OCEANICS INC COM STK USD1
    (1,000 )
Units
    (49,204 )
BOEING CO COM STK USD5
   
600
 
Units
   
53,180
 
BORG-WARNER INC COM STK USD0.01
    (2,865 )
Units
    (169,792 )
BROADCOM CORP CLASS'A'COM STK USD0.0001
   
900
 
Units
   
28,991
 
CAREMARK RX INC COM STK USD0.001
   
12,700
 
Units
   
723,597
 
CIGNA CORP COM STK USD0.25
   
100
 
Units
   
13,230
 
CISCO SYSTEMS COM USD0.001
   
2,900
 
Units
   
79,676
 
COACH INC COM STK USD0.01
   
1,200
 
Units
   
52,126
 
COLDWATER CREEK COM STK USD0.01
    (3,500 )
Units
    (86,903 )
COMTECH TELECOMMUNICATIONS COM STK USD0.10
    (1,216 )
Units
    (46,886 )
CORNING INC COM STK USD0.50
   
1,000
 
Units
   
18,739
 
ELECTRONIC ARTS COM USD0.01
   
800
 
Units
   
40,532
 
EXPEDIA INC COM STK USD0.001
   
5,600
 
Units
   
117,621
 
EXPRESS SCRIPTS IN COM USD0.01
   
3,200
 
Units
   
231,941
 
FOUNDRY NETWORKS INC COM STK USD0.0001
    (1,000 )
Units
    (15,040 )
GENENTECH INC COM USD0.02
   
600
 
Units
   
48,041
 
GENERAL ELECTRIC CO. COM STK USD0.06
   
1,500
 
Units
   
56,181
 
GILEAD SCIENCES COM USD0.001
   
1,000
 
Units
   
64,902
 
GOLDMAN SACHS GROUP INC COM STK USD0.01
   
200
 
Units
   
40,111
 
GOOGLE INC COM STK USD0.001 CLS'A'
   
200
 
Units
   
92,794
 
HOSPIRA INC COM STK USD0.01
    (1,800 )
Units
    (60,715 )
INFOSYS TECHNOLOGIES ADR EACH REPR 1ORD INR5
   
300
 
Units
   
16,428
 
INTEGRATED ALARM SERVICES GROUP INC COM STK
   
17,700
 
Units
   
57,122
 
INTERCONTINENTAL EXCHANGE INC COM STK USD0.01
   
200
 
Units
   
21,669
 
INTERNATIONAL GAME TECHNOLOGY COM STK USD0.000625
   
200
 
Units
   
9,216
 
LANCE INC COM STK USD0.833
    (2,103 )
Units
    (42,762 )
LOWE'S COS INC COM STK USD0.50
   
800
 
Units
   
24,862
 
MACY'S INC COM STK USD0.01
   
600
 
Units
   
22,835
 
MARRIOTT INTERNATIONAL INC COM STK USD0.01 CL'A'
   
800
 
Units
   
38,470
 
MARVELL TECH GROUP COM NPV
   
2,300
 
Units
   
44,016
 
MERRILL LYNCH & CO INC COM STK USD1.333
   
500
 
Units
   
46,696
 
MICROSOFT CORP COM USD0.0000125
   
2,700
 
Units
   
80,743
 
MONSANTO CO NEW(DELAWARE) COM STK USD0.01
   
200
 
Units
   
10,580
 
MORGAN STANLEY BDS 18/OCT/2016 USD100000
    (10,000 )
Units
    (10,036 )
MOTOROLA INC COM STK USD3
   
1,300
 
Units
   
26,737
 
NEWS CORP CLASS'A'NON VTG COM STKUSD0.01
   
1,700
 
Units
   
36,868
 
NII HOLDINGS INC COM STK USD0.001
   
400
 
Units
   
25,532
 
NIKE INC CLASS'B'COM STK NPV
   
500
 
Units
   
49,723
 
NOVARTIS AG ADR EACH REPR 1 CHF0.50(REGD)
   
800
 
Units
   
46,212
 
NUVEEN INVESTMENTS CLASS'A'COM USD0.01
    (500 )
Units
    (26,318 )
NYSE GROUP INC COM STK USD0.01
   
300
 
Units
   
29,029
 
OCCIDENTAL PETROLEUM CORP COM USD0.20
   
500
 
Units
   
24,545
 
OXFORD INDUSTRIES INC COM STK USD1
   
600
 
Units
   
29,814
 
PEPSICO INC CAP USD0.016666
   
900
 
Units
   
56,595
 
PRICELINE.COM INC COM STK USD0.008
    (1,800 )
Units
    (78,695 )
PROCTER & GAMBLE CO COM STK NPV
   
600
 
Units
   
38,611
 
QUALCOMM INC COM STK USD0.0001
   
1,600
 
Units
   
60,454
 
RARE HOSPITALITY INC COM STK NPV
   
1,700
 
Units
   
56,111
 
RESEARCH IN MOTION COM NPV
   
300
 
Units
   
38,798
 
RESOURCES CONNECTION INC COM STK USD0.01
   
1,300
 
Units
   
42,160
 
ROCHE HLDG AG ADR-REPR GENUS PTG CERT NPV
   
800
 
Units
   
71,862
 
SANDISK CORP COM STK USD0.001
    (1,000 )
Units
    (43,190 )
SAP AG ADR EACH 1 REP 1 COM NPV(SPONS)LEVEL II
   
600
 
Units
   
31,850
 
SCHLUMBERGER COM USD0.01
   
500
 
Units
   
31,809
 
SCHWAB(CHARLES)CORP COM STK USD0.01
   
2,400
 
Units
   
46,487
 
ST.JUDE MEDICAL INC COM STK USD0.10
   
1,200
 
Units
   
43,925
 
STARBUCKS CORP COM STK NPV
   
800
 
Units
   
28,527
 
SUNCOR ENERGY COM STK NPV
   
300
 
Units
   
23,568
 
TARGET CORP COM STK USD0.0833
   
700
 
Units
   
39,947
 
UBS AG CHF0.80
   
800
 
Units
   
48,451
 
UNITED TECHNOLOGIES CORP COM STK USD1
   
500
 
Units
   
31,317
 
VARIAN SEMICONDUCT EQUIP ASSOC INC COM STK USD1
   
3,100
 
Units
   
142,537
 
VERIGY LTD COM NPV
   
0
 
Units
   
0
 
WALT DISNEY CO. DISNEY COM USD0.01
   
1,900
 
Units
   
65,901
 
WHOLE FOODS MARKET INC COM STK NPV
   
800
 
Units
   
37,515
 
WILLIAMS-SONOMA INC COM STK USD0.01
   
3,600
 
Units
   
115,139
 
WYETH COM USD0.333
   
700
 
Units
   
35,854
 
Total Corporate Stock
            $
664,080,967
 
                   
Corporate Debt Securities
                 
AIFUL CORPORATION 5% DUE 10/AUG/2005
   
70,000
 
Units
   
69,299
 
ALTERNATIVE LOAN TRUST 2006-OA 4-A-1 VARIABLE 5-Aug-46
   
383,443
 
Units
   
383,907
 
ALTRIA GROUP INC 7.00% 04/NOV/2013
   
200,000
 
Units
   
219,520
 
AMERICAN HOME MORTGAGE ASSETS TRUST 2006-2 2A1 VARIABLE 25/SEP/2046
   
372,607
 
Units
   
373,388
 
AMERICAN HOME MORTGAGE ASSETS TRUST 2006-3 3A12 VAR 25/OCT/2046
   
361,388
 
Units
   
359,990
 
AMERICAN HOME MORTGAGE ASSETS TRUST 2006-4 I A-1- VARIABLE 25/OCT/2046
   
393,961
 
Units
   
394,959
 
ANADARKO FINANCE CORP 7.5% BDS 01/MAY/2031 USD1000
   
120,000
 
Units
   
137,654
 
ANADARKO PETROLEUM CORP 5.79% SR FLTG RATE NTS 15/SEP/2009 USD1000
   
110,000
 
Units
   
110,748
 
ANADARKO PETROLEUM CORP 5.95% SNR NTS 15/SEP/2016 USD1000
   
70,000
 
Units
   
71,327
 
ANADARKO PETROLEUM CORP 6.45% SNR NTS 15/SEP/2036 USD1000
   
110,000
 
Units
   
113,165
 
AOL TIME WARNER INC 6.875% NTS 01/MAY/2012 USD1000
   
100,000
 
Units
   
106,821
 
AOL TIME WARNER INC 7.7% BDS 01/MAY/2032 USD1000
   
30,000
 
Units
   
34,234
 
BANC OF AMERICA COMMERCIAL MORTGAGE TRUST 2006-3 A-4 VARIABLE 10/JUL/2044
   
430,000
 
Units
   
449,104
 
BANC OF AMERICA FUNDING 2006-E TRUST 2006-E 2-A-1 VARIABLE 20/JUN/2036
   
269,964
 
Units
   
273,235
 
BANC OF AMERICA FUNDING 2006-G TRUST 2006-G 2-A-2 VARIABLE 20/JUL/2036
   
356,494
 
Units
   
356,596
 
BANK OF AMERICA CORP 5.375% BDS 15/AUG/2011 USD1000
   
90,000
 
Units
   
92,463
 
BAYVIEWW 2003 LJ1 A4 3.44% DUE 25-APRL-12
   
108,346
 
Units
   
106,101
 
BEAR STEARNS ALT-A TR 2004-11 MTG PASSTHRU CTF CL II-A-2
   
363,507
 
Units
   
371,302
 
BEAR STEARNS SECURITIES TRUST 01-3 A-1 VARIABLE 25-Oct-32
   
14,734
 
Units
   
14,815
 
C-BASS MORTGAGE LOAN ASSET BACKED CERTIFICATES 2006-MH AF-3 1 VARIABLE 25/OCT/2036
   
100,000
 
Units
   
101,271
 
CE ELEC UK FDG CO SRNT144A6.995% 30/DEC/2007
   
250,000
 
Units
   
253,313
 
CITIGROUP INC 4.125% 22/FEB/2010
   
310,000
 
Units
   
305,297
 
CLEAR CHANNEL COMMUNICATIONS INC 6.25% BDS 15/MAR/2011 USD1000
   
80,000
 
Units
   
79,218
 
COMCAST CORP 6.5% BDS 15/JAN/2017 USD1000
   
90,000
 
Units
   
96,631
 
COMCAST CORP 6.50 15/JAN/2015
   
210,000
 
Units
   
225,099
 
COMM 2006-C8 A-4 5.306% 10/DEC/2046
   
310,000
 
Units
   
309,872
 
COMMERCIAL MORTGAGE ACCEPTANCE CORP. 97- ML1 A-4 6.735% 15/DEC/2030
   
303,920
 
Units
   
307,136
 
CONOCO INC 6.95% SNR NTS 15/APR/2029 USD1000
   
280,000
 
Units
   
322,154
 
COUNTRYWIDE ALTERNATIVE LOAN TRUST SER#2005-59 FLTG RTE DUE 20/NOV/2035
   
324,919
 
Units
   
326,609
 
COUNTRYWIDE HOME EQUITY LOAN TRUST 2004-R CL 2A
   
313,284
 
Units
   
315,348
 
CREDIT SUISSE COMMERCIAL MTG TRUST 5.467% CMO 15/SEP/2039 USD1000 CL'A3'
   
360,000
 
Units
   
364,411
 
CREDIT SUISSE WARBURG PINCUS TRUST 5.5% NTS 16/AUG/2011 USD1000
   
40,000
 
Units
   
41,261
 
CSMC TRUST 2006-CF2 VAR 25/MAY/2036
   
296,721
 
Units
   
297,277
 
CWABS ASSET-BACKED NOTE TRUST 2006-SD A-1 14 VARIABLE 25/JUL/2036
   
354,434
 
Units
   
355,877
 
CWALT ALTERNATIVE LN TR SER 2006 OA FR CMO 20/DEC/2046 USD1000 '1-A1-A
   
395,403
 
Units
   
395,741
 
CWALT INC 12667GPB3 20/JUL/2035
   
333,333
 
Units
   
334,735
 
CWALT INC 2005-44 MTG PASSTHRU CTF 1A1 FLT
   
562,802
 
Units
   
564,273
 
CWHEQ REVOLVING HOME EQUITY LOAN RESECURITIZATION TRUST 2006-RE 04-F-1
    VARIABLE 15/MAY/2034
   
317,319
 
Units
   
318,170
 
CWMBS INC 12669GUX7 25/MAR/2035
   
283,394
 
Units
   
284,259
 
CWMBS, INC. 2003-60 DUE 25/FEB/2034
   
368,066
 
Units
   
368,231
 
DAIMLERCHRYSLER NA HLDGS 5.875% BDS 15/MAR/2011 USD100000
   
170,000
 
Units
   
173,581
 
DEUTSCHE TELEKOM INTL FINANCE B.V. 5.75% BDS   23/MAR/2016 USD1000
   
70,000
 
Units
   
70,067
 
DEVON ENERGY CORP 7.95% SR DEB 15/APR/2032 USD
   
120,000
 
Units
   
148,101
 
DOMINION RESOURCES INC 5.7% 17/SEP/2012
   
130,000
 
Units
   
133,614
 
DRIVE AUTO RECEIVABLES TRUST 2006-2 A-3 14 5.330% 15-Apr-14
   
320,000
 
Units
   
322,758
 
DUKE ENERGY CORP 5.625% DUE 30/NOV/2012
   
170,000
 
Units
   
173,893
 
EXELON CORP 5.625% BDS 15/JUN/2035 USD1000
   
120,000
 
Units
   
113,335
 
FIRSTENERGY CORP 6.45% BDS 15/NOV/2011 USD1000
   
80,000
 
Units
   
84,084
 
FIRSTENERGY CORP 7.375% BDS 15/NOV/2031 USD1000
   
200,000
 
Units
   
229,652
 
GENERAL ELECT CAP CORP 4.125% 01/SEP/2009
   
310,000
 
Units
   
306,512
 
GLITNIR BANKI HF 6.33% NTS 28/JUL/2011 USD1000 144A'
   
150,000
 
Units
   
158,057
 
GOLDMAN SACHS GROUP LP 4.500 15JNE15/JUN/2010
   
110,000
 
Units
   
107,881
 
GREENPOINT MORTGAGE FUNDING TRUST 2006-AR 1- A1A VARIABLE 25/OCT/2046
   
395,149
 
Units
   
395,607
 
GREENPOINT MORTGAGE FUNDING TRUST 2006-AR  A1-A VARIABLE 25/SEP/2046
   
383,066
 
Units
   
383,243
 
GSAA HOME EQUITY TRUST SER 2005-5 CL A4
   
400,000
 
Units
   
401,651
 
HARBORVIEW MORTGAGE LOAN TRUST 2006-7 2A-1A VARIABLE 19/SEP/2036
   
358,082
 
Units
   
358,801
 
HARBORVIEW MORTGAGE LOAN TRUST 2006-9 2A1A VAR 19-Nov-36
   
390,721
 
Units
   
392,273
 
HOUSEHOLD FINANCE CORP 4.625% DUE 15/JAN/2008
   
300,000
 
Units
   
304,391
 
HYPOTHEKENBANK IN ESSEN 5% MTN 20/JAN/2012 USD1000 144A'
   
10,000
 
Units
   
10,018
 
IMPAC CMB TRUST SER 2003-12 CL A1
   
105,953
 
Units
   
106,101
 
IMPERIAL CMB TRUST SERIES 2003-4 DUE 25FEB25/FEB/2033
   
13,744
 
Units
   
13,761
 
IXIS REAL ESTATE CAPITAL TRUST 2006-HE A-1 VARIABLE 25/AUG/2036
   
240,575
 
Units
   
240,796
 
JPMORGAN CHASE & CO 5.125% 15/SEP/2014
   
410,000
 
Units
   
409,347
 
KERR MCGEE CORP 6.95% 01/JUL/2024
   
30,000
 
Units
   
32,993
 
KINDER MORGAN ENER PART
   
70,000
 
Units
   
66,684
 
KONINKLIJKE KPN NV 8% BDS 01/OCT/2010 USD1000
   
120,000
 
Units
   
131,878
 
LANDSBANKI ISLAND 6.1% NTS 25/AUG/2011 USD1000 144A'
   
150,000
 
Units
   
155,703
 
LEHMAN BROTHERS HOLDINGS 4.00% DUE 22/JAN/2008
   
130,000
 
Units
   
130,506
 
LEHMAN XS TRUST 2006-14 1-A1B VARIABLE 25/SEP/2046
   
392,681
 
Units
   
393,333
 
LEHMAN XS TRUST 2006-GP 3-A1A VAR 25/AUG/2046
   
376,891
 
Units
   
376,938
 
MERRILL LYNCH MORTGAGE TRUST 2006-C1 A-4 VARIABLE 12-May-39
   
400,000
 
Units
   
413,514
 
METLIFE INC BDS 15/DEC/2066 USD1000
   
90,000
 
Units
   
90,589
 
MORGAN STANLEY 3.625% 01/APR/2008
   
40,000
 
Units
   
39,553
 
MORGAN STANLEY 5.625% BDS 09/JAN/2012 USD1000
   
130,000
 
Units
   
135,027
 
MORGAN STANLEY BDS 18/OCT/2016 USD100000
   
30,000
 
Units
   
30,398
 
MORGAN STANLEY MORTGAGE LOAN TRUST 4.215% CMO 25/AUG/2034 USD
   
88,825
 
Units
   
88,953
 
NELNET STUDENT LN TR 2005-2 A2
   
219,968
 
Units
   
219,831
 
NEWS AMERICA INC 6.2% BDS 15/DEC/2034 USD1000
   
50,000
 
Units
   
48,399
 
ONCOR ELECTRIC DELIVERY CO 6.375% NTS 15/JAN/2015 USD1000
   
10,000
 
Units
   
10,602
 
PACIFIC GAS & ELECTRIC 6.05% 01/MAR/2034
   
90,000
 
Units
   
92,587
 
PETROBRAS INTERNATIONAL FINANCE 6.125% NTS 06/OCT/2016 USD1000
   
90,000
 
Units
   
92,202
 
RESIDENTIAL CAPITAL CORP 6% BDS 22/FEB/2011 USD1000
   
440,000
 
Units
   
448,628
 
RESONA PFD GLOBAL SECS VAR PERP 144A
   
60,000
 
Units
   
64,438
 
SHINSEI FIN CAYMAN LTD 6.418%/FR PRF SEC 29/1/49 USD1000'144A'
   
110,000
 
Units
   
113,064
 
SIERRA TIMESHARE RECEIVABLES FUNDING LLC 2006-1 A-2 14 VARIABLE 20/MAY/2018
   
294,648
 
Units
   
295,119
 
SMFG PREFERRED CAPITAL VAR BDS PERPETUAL USD100000 144A'
   
100,000
 
Units
   
99,489
 
SPRINT CAP CORP NT 8.375% DUE 15/MAR/2012
   
190,000
 
Units
   
215,848
 
SPRINT CAP CORP NT 8.75% 15/MAR/2032 UNRESTRICTED
   
20,000
 
Units
   
24,588
 
SPRINT NEXTEL CORP 6% NTS 01/DEC/2016 USD1000
   
70,000
 
Units
   
68,702
 
STRUCTURED ASSET MORTGAGE INVESTMENTS II TRUST 2006-AR I-A-3 VARIABLE 25/JUL/2036
   
369,204
 
Units
   
370,256
 
STRUCTURED ASSET MORTGAGE INVESTMENTS INC 2006-AR7 A1A VAR 25/AUG/2036
   
386,069
 
Units
   
387,180
 
SUNTRUST CAPITAL VIII 6.1% NTS 15/12/36 USD1000
   
120,000
 
Units
   
117,250
 
TELECOM ITALIA CAPITAL 5.25% 01OCT20015
   
70,000
 
Units
   
66,306
 
TERWIN MORTGAGE TRUST TMTS 20 AF-3 VARIABLE 25-Jul-36
   
200,000
 
Units
   
197,716
 
THORNBURG MORTGAGE SECURITIES TRUST 2005-2  A4 FLT 25-Jul-45
   
352,688
 
Units
   
353,023
 
THORNBURG MORTGAGE SECURITIES TRUST 2005-4 A-3 VARIABLE 25/DEC/2035
   
374,413
 
Units
   
374,471
 
THORNBURG MORTGAGE SECURTIES TRUST SERIES 2005-2 CL A3 VAR 25/JUL/2045
   
339,108
 
Units
   
339,528
 
TXU CORP 5.55% SNR NTS 15/NOV/2014 USD1000 SER'P'
   
30,000
 
Units
   
28,693
 
TYCO INTERNATIONAL 6% NTS 15/NOV/2013 USD1000
   
220,000
 
Units
   
229,315
 
VALE OVERSEAS LTD 6.875% NTS 21/NOV/2036 USD1000
   
110,000
 
Units
   
113,661
 
VERIZON GLOBAL FUNDING CORP 7.375% BDS 01/SEP/2012 USD1000
   
40,000
 
Units
   
44,716
 
VIACOM INC 5.75% 30/APR/2011
   
40,000
 
Units
   
40,410
 
WACHOVIA CORPORATION 5.25% 01/AUG/2014
   
290,000
 
Units
   
292,811
 
WACHOVIA MTG LN TR 2005-A 1-A-1 20/SEP/2035 FLT
   
336,283
 
Units
   
333,246
 
WAMU MORTGAGE PASS-THROUGH CERTIFICATES   2005-AR A-1A2 VARIABLE 25/DEC/2045
   
288,544
 
Units
   
289,927
 
WAMU MORTGAGE PASS-THROUGH CERTIFICATES   2005-AR A-1A2 VARIABLE 25/DEC/2045
   
257,233
 
Units
   
258,217
 
WAMU MORTGAGE PASS-THROUGH CERTIFICATES   2006-AR 1-A1 VARIABLE 25/SEP/2036
   
182,929
 
Units
   
185,415
 
WAMU MORTGAGE PASS-THROUGH TRUST 2005 AR14 1A1
   
161,113
 
Units
   
160,182
 
WASTE MGMT INC DEL SR NT 6.375% 15/NOV/2012
   
130,000
 
Units
   
137,198
 
WELLS FARGO CAPITAL VAR BDS 01/DEC/2086   USD100000
   
100,000
 
Units
   
98,450
 
WELLS FARGO MORTGAGE BACKED SECURITIES   TRUST 2006-AR II-A-3 VARIABLE 25/APR/2036
   
338,779
 
Units
   
337,712
 
WEYERHAEUSER CO 6.75% NTS 15/MAR/2012 USD1000
   
250,000
 
Units
   
267,160
 
Total Corporate Debt Securities
            $
23,944,744
 
                   
Government Bonds
                 
UNITED MEXICAN STATES 7.5% 08APR08/APR/2033
   
277,000
 
Units
   
331,650
 
UNITED STATES OF AMER TREAS BONDS 2% BDS 15/JAN/2026 USD1000
   
80,000
 
Units
   
77,296
 
UNITED STATES OF AMER TREAS BONDS 4.5% BDS 15/FEB/2036 USD1000
   
380,000
 
Units
   
367,815
 
UNITED STATES OF AMER TREAS NOTES 2.375% NTS 15/APR/2011 USD1000
   
1,150,000
 
Units
   
1,171,091
 
UNITED STATES OF AMER TREAS NOTES 3.875% TIPS 15/JAN/2009 USD1000
   
20,000
 
Units
   
25,744
 
UNITED STATES OF AMER TREAS NOTES 4.625% TB 31/OCT/2011 USD1000 SER 'P'
   
1,150,000
 
Units
   
1,154,932
 
UNITED STATES OF AMER TREAS NOTES 4.625% TB 'R' 31/DEC/2011 USD1000
   
770,000
 
Units
   
767,414
 
UNITED STATES OF AMER TREAS NOTES 5.125% NTS 15/MAY/2016 USD1000
   
30,000
 
Units
   
31,101
 
UNITED STATES OF AMER TREAS NOTES FLT TIPS 15/APR/2029 USD1000
   
80,000
 
Units
   
124,546
 
UNITED STATES OF AMER TREAS NOTES INFL I/L NTS 15/JUL/2015 USD1000
   
40,000
 
Units
   
40,153
 
UNITED STATES OF AMERICA TREASURY BONDS VAR 15-Jul-16
   
190,000
 
Units
   
193,610
 
UNITED STATES TREAS NTS 04.875% 30/APR/2011
   
2,200,000
 
Units
   
2,232,634
 
USA TREASURY NTS 4.875% T-NTS 15/AUG/2016 USD
   
30,000
 
Units
   
30,911
 
USA TREASURY NTS VAR TIPS 15/APR/2010 USD1000
   
230,000
 
Units
   
232,853
 
US TREASURY NOTE - 4.625%, 2/28.2008 (912828EY)
   
2,020,000
 
Units
   
2,011,478
 
UNITED STATES OF AMER TREAS NOTES 4.625% TB 'R'
    (770,000 )
Units
    (768,123 )
Total Government Bonds
            $
8,025,105
 
                   
Mortgage Backed Securities
                 
FEDERAL HOME LN MTG CORP MTN CALL 5.5%11/DEC/2008
   
60,000
 
Units
   
60,147
 
FEDERAL HOME LOAN BANKS 4.875% BDS 18/NOV/2011 USD10000
   
140,000
 
Units
   
140,581
 
FEDERAL HOME LOAN BANKS 5.4% BDS 02/JAN/2009 USD10000
   
90,000
 
Units
   
89,865
 
FEDERAL HOME LOAN MTG CORP
   
90,000
 
Units
   
86,545
 
FEDERAL NATL MTG ASSN DISC NT MATURES 25/JUN/2007
   
350,000
 
Units
   
341,537
 
FEDERAL NATIONAL MORTGAGE ASSOC 5.4% NTS 13/APR/2009 USD1000
   
20,000
 
Units
   
20,230
 
FEDERAL NATIONAL MORTGAGE ASSOC 6% MTG BCKD P/THRU 15/1/34 USD1000
   
3,950,000
 
Units
   
3,975,920
 
FEDERAL NATIONAL MORTGAGE ASSOC 6.5% MTG BKD P/THRU 15/1/32 USD1000
   
1,780,000
 
Units
   
1,813,375
 
FNMA TBA 15YR TBA 05.000% JAN
   
1,000,000
 
Units
   
982,812
 
FNMA TBA 5.5% MBPT 15/1/19 USD1000
   
2,000,000
 
Units
   
1,999,376
 
FNMA TBA SF 5.0 30 YR JAN
   
8,200,000
 
Units
   
7,915,558
 
RUSSIAN FEDERATION VAR BDS 31/MAR/2030 USD REGS
   
300,000
 
Units
   
344,137
 
TBA FNMA SF 5.50 30 YRS JAN
   
2,100,000
 
Units
   
2,075,063
 
TBA GNMA 5.50 30 YR JAN
   
950,000
 
Units
   
945,250
 
TBA GNMA I SF 6.00 30 YRS JAN
   
2,100,000
 
Units
   
2,128,875
 
FEDERAL HOME LOAN BANKS 5.4% BDS 02/JAN/2009
    (90,000 )
Units
    (89,982 )
FEDERAL NATIONAL MORTGAGE ASSOC 6% MTG BCKD P/THRU
    (3,950,000 )
Units
    (3,987,016 )
FEDERAL NATIONAL MORTGAGE ASSOC 6.5% MTG BKD
    (1,780,000 )
Units
    (1,817,215 )
FNMA TBA 15YR TBA 05.000% JAN
    (1,000,000 )
Units
    (992,344 )
FNMA TBA 5.5% MBPT 15/1/19 USD1000
    (2,000,000 )
Units
    (2,013,047 )
FNMA TBA SF 5.0 30 YR JAN
    (8,200,000 )
Units
    (8,006,941 )
TBA FNMA SF 5.50 30 YRS JAN
    (2,100,000 )
Units
    (2,084,992 )
TBA GNMA 5.50 30 YR JAN
    (950,000 )
Units
    (950,742 )
TBA GNMA I SF 6.00 30 YRS JAN
    (2,100,000 )
Units
    (2,135,557 )
Total Mortgage Backed Securities
            $
841,435
 
                   
Registered Investment Companies
                 
AIM ENERGY CLASS B
   
117
 
Units
   
4,298
 
AIM HIGH YIELD INVESTOR CLASS
   
7,857
 
Units
   
35,513
 
AIM INTERNATIONAL CORE EQUITY INV CL
   
4,533
 
Units
   
66,492
 
AIM LEISURE INVESTOR CLASS
   
108
 
Units
   
5,141
 
ALLIANCEBER GLOBAL GOV'T INCOME TR CL A
   
4,347
 
Units
   
33,690
 
ALLIANCEBER INTL VALUE ADVISOR
   
1,683
 
Units
   
38,260
 
ALLIANZ NFJ DIVIDEND VALUE FD CL D
   
1,957
 
Units
   
33,382
 
ALPINE DYNAMIC DIVID FUND
   
2,428
 
Units
   
31,421
 
ALPINE INTERNATIONAL REAL ESTATE EQUITY Y
   
1,871
 
Units
   
76,193
 
ALPINE REALTY INCOME & GROWTH Y
   
627
 
Units
   
17,168
 
AMANA MUTUAL FUND TRUST GROWTH
   
2,087
 
Units
   
43,148
 
AMANA MUTUAL FUND TRUST INCOME
   
2,402
 
Units
   
66,604
 
AMERICAN AMCAP CLASS A
   
955
 
Units
   
19,126
 
AMERICAN BALANCED CL R5
   
19,806
 
Units
   
376,900
 
AMERICAN BALANCED CLASS R3
   
308
 
Units
   
5,832
 
AMERICAN BEACON BALANCED
   
4,439
 
Units
   
63,342
 
AMERICAN BEACON ERMG MKTS PLANAHEAD CL
   
780
 
Units
   
13,023
 
AMERICAN BEACON LARGE CAP VALUE PLAN
   
5,196
 
Units
   
118,363
 
AMERICAN BOND FUND OF AMERICA CL R3
   
4,880
 
Units
   
65,002
 
AMERICAN CAPITAL INCOME BUILDER CL A
   
1,846
 
Units
   
112,824
 
AMERICAN CAPITAL INCOME BUILDER CL R3
   
234
 
Units
   
14,295
 
AMERICAN CAPITAL INCOME BUILDER R5
   
476
 
Units
   
29,093
 
AMERICAN CAPITAL WORLD GRTH & INC A
   
281
 
Units
   
11,762
 
AMERICAN CAPITAL WORLD GRWTH & INC R5
   
908
 
Units
   
38,080
 
AMERICAN CENTURY CAPITAL PRESERVATION
   
202,280
 
Units
   
204,523
 
AMERICAN CENTURY CAPITAL VAL INV SHR
   
1,141
 
Units
   
9,529
 
AMERICAN CENTURY EMERGING MARKETS INV
   
11,933
 
Units
   
107,278
 
AMERICAN CENTURY EQUITY GROWTH
   
1,857
 
Units
   
47,611
 
AMERICAN CENTURY EQUITY INCOME
   
24,133
 
Units
   
207,061
 
AMERICAN CENTURY GLOBAL GOLD
   
3,906
 
Units
   
76,670
 
AMERICAN CENTURY HERITAGE
   
2,311
 
Units
   
36,487
 
AMERICAN CENTURY INTERNATIONAL BOND
   
3,737
 
Units
   
51,501
 
AMERICAN CENTURY LARGE CO. VAL CL A
   
1,160
 
Units
   
8,805
 
AMERICAN CENTURY MID CAP VALUE INV SHS
   
465
 
Units
   
5,979
 
AMERICAN CENTURY ONE CHOICE VERY AGGR INV
   
209
 
Units
   
2,805
 
AMERICAN CENTURY REAL ESTATE
   
1,582
 
Units
   
48,027
 
AMERICAN CENTURY TAX FREE BOND
   
469
 
Units
   
5,064
 
AMERICAN CENTURY UTILITIES
   
3,048
 
Units
   
49,676
 
AMERICAN EUROPACIFIC GROWTH CL R5
   
460
 
Units
   
21,423
 
AMERICAN EUROPACIFIC GROWTH CLASS A
   
380
 
Units
   
17,710
 
AMERICAN FUNDAMENTAL  INVESTORS R3
   
625
 
Units
   
24,998
 
AMERICAN FUNDAMENTAL INVESTORS R5
   
2,841
 
Units
   
113,811
 
AMERICAN GROWTH FUND OF AMERICA CL R3
   
180
 
Units
   
5,846
 
AMERICAN GROWTH FUND OF AMERICA CL R5
   
5,335
 
Units
   
175,299
 
AMERICAN GROWTH FUND OF AMERICA CLASS F
   
117
 
Units
   
3,811
 
AMERICAN HIGH INCOME  TRUST R3
   
2,717
 
Units
   
34,258
 
AMERICAN INCOME FUND  OF AMERICA CLASS A
   
4,918
 
Units
   
100,135
 
AMERICAN INCOME FUND  OF AMERICA R5
   
742
 
Units
   
15,107
 
AMERICAN NEW PERSPECTIVE CLASS A
   
3,608
 
Units
   
114,511
 
AMERICAN SMALLCAP WORLD CLASS C
   
318
 
Units
   
11,900
 
AMERICAN WORLD GROWTH INCOME CL R3
   
795
 
Units
   
33,197
 
ARIEL FUND
   
162
 
Units
   
8,402
 
ARTISAN  OPPORTUNISTIC VALUE
   
901
 
Units
   
10,054
 
ASTON/ABN REAL ESTATE CL N
   
167
 
Units
   
2,726
 
ASTON/TAMRO    LARGE  CAP VALUE CL N
   
1,200
 
Units
   
15,242
 
BANKS ULTRA SECTOR PRO FUND INVESTOR
   
436
 
Units
   
19,895
 
BARON ASSET
   
2,088
 
Units
   
124,883
 
BARON PARTNERS FUND
   
6,697
 
Units
   
149,618
 
BIOTECHNOLOGY ULTRA SECTOR PRO FD INVS
   
178
 
Units
   
9,576
 
BRANDYWINE BLUE
   
5,474
 
Units
   
173,514
 
BRIDGEWAY AGGRESSIVE INVESTOR 2
   
2,119
 
Units
   
35,866
 
BRIDGEWAY BALANCED PORTFOLIO
   
729
 
Units
   
9,137
 
BRIDGEWAY SMALL CAP GROWTH CL N
   
3,821
 
Units
   
54,532
 
BRIDGEWAY ULTRA SMALL CO MARKET
   
2,940
 
Units
   
57,456
 
BUFFALO  SCIENCE & TECHNOLOGY FD
   
763
 
Units
   
10,017
 
BUFFALO BALANCED FUND
   
525
 
Units
   
6,174
 
BUFFALO HIGH YIELD
   
1,190
 
Units
   
13,267
 
BUFFALO MID CAP FUND
   
7,556
 
Units
   
113,411
 
BUFFALO USA GLOBAL
   
1,259
 
Units
   
28,033
 
CAMBIAR OPPORTUNITY INVESTOR CL
   
4,544
 
Units
   
92,282
 
CAPITAL WORLD BOND FUND R5
   
3,060
 
Units
   
58,837
 
COHEN & STEERS REALTY SHARES
   
1,805
 
Units
   
161,432
 
COLUMBIA SMALL CAP VALUE II CL A
   
807
 
Units
   
10,954
 
CRM MID CAP VALUE INVESTOR SHARES
   
614
 
Units
   
18,057
 
DAVIS NEW YORK VENTURE INSTL CL Y
   
4,207
 
Units
   
163,882
 
DELAWARE DIVERSIFIED  INCOME FD CL A
   
1,391
 
Units
   
12,184
 
DIAMOND HILL FINANCIAL LONG/SHT A
   
489
 
Units
   
10,215
 
DIAMOND HILL LARGE CAP CLASS A
   
1,561
 
Units
   
25,535
 
DIAMOND HILL LONG SHORT CLASS A
   
1,631
 
Units
   
30,296
 
DIREXION EMERGING MKTS BULL 2X INVST
   
473
 
Units
   
14,968
 
DODGE & COX INTERNATL STOCK FUND
   
18,369
 
Units
   
827,722
 
DREYFUS      S&P 500 STOCK INDEX FUND
   
96
 
Units
   
2,834
 
DREYFUS APPRECIATION FUND
   
482
 
Units
   
21,115
 
DREYFUS FOUNDERS MID CAP GROWTH FD CL R
   
850
 
Units
   
5,000
 
DREYFUS LIFETIME GROWTH INVESTOR SHS
   
173
 
Units
   
3,068
 
DREYFUS PREMIER GREATER CHINA CL R
   
1,293
 
Units
   
46,412
 
DREYFUS PREMIER S&P STARS OPPR CL T
   
138
 
Units
   
3,070
 
DWS GOLD & PRECIOUS METALS CL S
   
8,587
 
Units
   
177,412
 
EVERGREEN EMERG MKTS GROWTH FUND CLASS C
   
687
 
Units
   
13,263
 
EXCELSIOR EMERGING MARKETS
   
1,067
 
Units
   
15,110
 
EXCELSIOR ENERGY & NATURAL RESOURCES
   
93
 
Units
   
2,023
 
EXCELSIOR INTERNATL
   
4,145
 
Units
   
75,850
 
EXCELSIOR LARGE CAP GROWTH
   
3,020
 
Units
   
31,047
 
EXCELSIOR MID CAP VALUE & RESTRUCTING
   
817
 
Units
   
17,600
 
EXCELSIOR SMALL CAP
   
710
 
Units
   
12,812
 
EXCELSIOR VALUE AND RESTRUCTURING
   
3,332
 
Units
   
175,081
 
FAIRHOLME FUND
   
18,134
 
Units
   
551,422
 
FALLING US DOLLAR PRO FUND INV CLASS
   
513
 
Units
   
14,865
 
FBR LARGE CAP FINANCIAL CLASS
   
66
 
Units
   
1,348
 
FEDERATED HIGH YIELD INSTL FUND
   
5,729
 
Units
   
34,833
 
FIDELITY ADV HIGH INC ADVANTAGE CL B
   
480
 
Units
   
5,026
 
FIDELITY ADVISOR DIVERSIFIED INT'L I
   
338
 
Units
   
7,816
 
FIDELITY ADVISOR HIGH INCOME ADV CL I
   
279
 
Units
   
2,829
 
FIDELITY ADVISOR LEVERGED CO STK CL I
   
501
 
Units
   
16,608
 
FIDELITY ADVISOR UTILITIES CLASS A
   
128
 
Units
   
2,467
 
FIDELITY BALANCED
   
1,005
 
Units
   
19,534
 
FIDELITY BLUE CHIP VALUE
   
1,363
 
Units
   
20,173
 
FIDELITY CANADA
   
1,859
 
Units
   
89,665
 
FIDELITY CAPITAL & INCOME
   
7,989
 
Units
   
71,018
 
FIDELITY CAPITAL APPRECIATION
   
229
 
Units
   
6,205
 
FIDELITY EMERGING MARKETS
   
445
 
Units
   
10,845
 
FIDELITY EUROPE
   
757
 
Units
   
29,785
 
FIDELITY EUROPE CAPITAL APPRECIATION
   
1,025
 
Units
   
27,960
 
FIDELITY FLOATING   RATE HIGH INCOME
   
8,279
 
Units
   
82,373
 
FIDELITY FREEDOM 2020
   
2,642
 
Units
   
41,024
 
FIDELITY INTERNAT'L REAL ESTATE FUND
   
775
 
Units
   
12,837
 
FIDELITY INT'L DISCOVERY
   
548
 
Units
   
20,781
 
FIDELITY INTL SMALL CAP OPP FUND
   
332
 
Units
   
5,242
 
FIDELITY JAPAN
   
2,995
 
Units
   
51,126
 
FIDELITY LARGE CAP VALUE
   
7,397
 
Units
   
110,666
 
FIDELITY LATIN AMERICA
   
955
 
Units
   
42,714
 
FIDELITY LEVERAGED COMPANY STOCK
   
5,764
 
Units
   
166,997
 
FIDELITY NORDIC
   
260
 
Units
   
10,398
 
FIDELITY OTC PORT
   
2,240
 
Units
   
92,627
 
FIDELITY OVERSEAS
   
439
 
Units
   
19,655
 
FIDELITY PURITAN
   
3,768
 
Units
   
75,251
 
FIDELITY REAL ESTATE INVESTMENT
   
1,349
 
Units
   
49,081
 
FIDELITY SELECT BROKERAGE & INVS MGT
   
226
 
Units
   
16,716
 
FIDELITY SELECT CHEMICALS
   
71
 
Units
   
4,740
 
FIDELITY SELECT CNSMER DSCRTNRY PORT
   
360
 
Units
   
9,443
 
FIDELITY SELECT CONSTRUCTN & HOUSING
   
221
 
Units
   
9,861
 
FIDELITY SELECT DEFENSE & AEROSPACE
   
478
 
Units
   
38,983
 
FIDELITY SELECT ENERGY
   
705
 
Units
   
34,376
 
FIDELITY SELECT ENERGY SERVICE
   
141
 
Units
   
9,519
 
FIDELITY SELECT ENVIRONMENTAL SVCS
   
574
 
Units
   
9,920
 
FIDELITY SELECT GOLD
   
1,341
 
Units
   
48,963
 
FIDELITY SELECT INDUSTRIAL EQUIPMENT
   
356
 
Units
   
11,015
 
FIDELITY SELECT INDUSTRIALS PORT
   
504
 
Units
   
10,316
 
FIDELITY SELECT LEISURE
   
512
 
Units
   
40,506
 
FIDELITY SELECT MATERIALS PORTFOLIO
   
212
 
Units
   
10,044
 
FIDELITY SELECT MEDICAL DELIVERY
   
215
 
Units
   
10,497
 
FIDELITY SELECT MEDICAL EQUIP&SYSTEM
   
450
 
Units
   
10,364
 
FIDELITY SELECT NATURAL GAS
   
264
 
Units
   
9,944
 
FIDELITY SELECT NATURAL RESOURCES
   
668
 
Units
   
18,620
 
FIDELITY SELECT SOFTWARE & COMPUTER
   
2,263
 
Units
   
148,368
 
FIDELITY SELECT TRANSPORT
   
202
 
Units
   
10,140
 
FIDELITY STRATEGIC DIVIDEND & INCOME
   
365
 
Units
   
4,748
 
FIDELITY STRATEGIC INCOME
   
8,465
 
Units
   
90,069
 
FIDELITY VALUE
   
181
 
Units
   
14,571
 
FIFTH THIRD BALANCED  CLASS B
   
197
 
Units
   
2,524
 
FORWARD HOOVER SMALL CAP EQUITY
   
2,152
 
Units
   
44,052
 
FORWARD INTERNATIONL  EQUITY FUND
   
195
 
Units
   
3,554
 
FORWARD INTERNTL SMALL CO INVESTOR CL
   
1,040
 
Units
   
19,711
 
FPA NEW INCOME
   
1,683
 
Units
   
18,256
 
FRANKLIN GOLD AND PRECIOUS METALS CL C
   
105
 
Units
   
3,291
 
FRANKLIN INCOME CLASS C
   
8,584
 
Units
   
23,005
 
FRANKLIN STRATEGIC INCOME C
   
3,285
 
Units
   
33,966
 
GABELLI ASSET FUND
   
54
 
Units
   
2,565
 
GABELLI EQUITY INCOME FUND
   
1,213
 
Units
   
25,556
 
GAMCO GLOBAL TELECOMMUNICATIONS
   
234
 
Units
   
5,260
 
GAMCO GOLD FUND
   
1,449
 
Units
   
36,186
 
GLOBAL EMERGING MARKETS
   
748
 
Units
   
11,015
 
GOLDMAN SACHS ASSET ALLOC GRWTH STRAT A
   
9,470
 
Units
   
137,974
 
GREENSPRING FUND
   
173
 
Units
   
4,059
 
GUINNESS ATKINSON GLOBAL ENERGY
   
206
 
Units
   
5,257
 
GUINNESS ATKINSON GLOBAL INNOVATORS
   
169
 
Units
   
3,039
 
HARBOR BOND INST.
   
20,554
 
Units
   
237,606
 
HARBOR CAPITAL APPRECIATION INV CL
   
2,488
 
Units
   
82,220
 
HARBOR INTERNATIONAL
   
1,525
 
Units
   
94,604
 
HARBOR INTERNATIONAL INVESTOR SHARES
   
2,258
 
Units
   
139,047
 
HARDING LOEVNER EMERGING MKT PORT
   
594
 
Units
   
26,580
 
HARTFORD CAPITAL APPRECIATION CL A
   
1,811
 
Units
   
68,874
 
HARTFORD CAPITAL APPRECIATION CL C
   
532
 
Units
   
18,477
 
HARTFORD GLOBAL HEALTH CL C
   
835
 
Units
   
13,810
 
HARTFORD HIGH YIELD CL A
   
300
 
Units
   
2,413
 
HEARTLAND SELECT VALUE
   
2,449
 
Units
   
68,430
 
HEARTLAND VALUE
   
1,563
 
Units
   
80,039
 
HENNESSY BALANCED
   
427
 
Units
   
5,085
 
HENNESSY CORNERSTONE GROWTH
   
448
 
Units
   
8,167
 
ICON ENERGY
   
873
 
Units
   
27,679
 
ICON EUROPE FUND
   
198
 
Units
   
4,176
 
ICON FINANCIAL FUND
   
395
 
Units
   
5,867
 
ICON HEALTHCARE
   
1,001
 
Units
   
16,599
 
ICON LONG SHORT CLASS I
   
2,210
 
Units
   
38,745
 
ICON MATERIALS
   
1,421
 
Units
   
16,361
 
ING RUSSIA CL A
   
180
 
Units
   
11,242
 
IVY INTERNATIONAL GROWTH FUND CL Y
   
164
 
Units
   
5,462
 
JAMES ADVANTAGE SMALL CAP
   
2,732
 
Units
   
64,582
 
JAMES BALANCED: GOLDEN RAINBOW FUND
   
1,876
 
Units
   
33,119
 
JANUS ADVISER INTERNATL GROWTH S
   
466
 
Units
   
25,318
 
JANUS CONTRARIAN FUND
   
2,511
 
Units
   
42,256
 
JANUS CORE FUNDAMENTAL EQUITY
   
418
 
Units
   
10,835
 
JANUS MID CAP VALUE INVST SHS
   
471
 
Units
   
11,209
 
JANUS ORION FUND
   
509
 
Units
   
5,022
 
JANUS OVERSEAS
   
9,242
 
Units
   
453,639
 
JENNISON NATURAL RESOURCES FD CL Z
   
759
 
Units
   
34,603
 
JENNISON UTILITY CL C
   
1,776
 
Units
   
25,065
 
JENSEN PORTFOLIO CLASS J
   
2,946
 
Units
   
79,342
 
JOHN HANCOCK YIELD FUND CL B
   
1,287
 
Units
   
7,256
 
JPMORGAN ASIA EQUITY CLASS A
   
310
 
Units
   
9,130
 
JPMORGAN CAPITAL GROWTH CL A
   
230
 
Units
   
9,198
 
JPMORGAN DIVERSIF MID CAP GROWTH CL A
   
247
 
Units
   
5,512
 
JPMORGAN EMERGING MARKETS DEBT SELECT
   
987
 
Units
   
8,605
 
JPMORGAN EMERGING MARKETS EQUITY CL A
   
3,044
 
Units
   
55,911
 
JPMORGAN INTERNATL EQUITY INDEX CL A
   
463
 
Units
   
12,853
 
JPMORGAN INTERNATL VALUE FUND CLASS A
   
5,770
 
Units
   
101,726
 
JPMORGAN INTERNTL EQUITY FUND CLASS A
   
309
 
Units
   
11,584
 
JPMORGAN INTREPID EUROPEAN CLASS A
   
1,611
 
Units
   
45,721
 
JPMORGAN INTREPID MID CAP FUND CLASS A
   
4,038
 
Units
   
68,082
 
JPMORGAN INVESTOR GROWTH & INCOME CL A
   
87
 
Units
   
1,253
 
JPMORGAN MULTI MNGR SMALL CAP VALUE FD
   
223
 
Units
   
3,837
 
JPMORGAN PRIME MMKT FUND MORGAN CLASS
   
9,241
 
Units
   
9,241
 
JPMORGAN REALTY INCOME FUND CLASS A
   
1,116
 
Units
   
18,677
 
JPMORGAN SMALL CAP VALUE CLASS A
   
302
 
Units
   
6,971
 
JPMORGAN US REAL ESTATE CLASS A
   
1,958
 
Units
   
44,298
 
JPMORGAN VALUE ADVANTAGE CL A
   
220
 
Units
   
4,167
 
JPMORGAN VALUE OPPORTUNITIES CL A
   
57
 
Units
   
1,134
 
JULIUS BAER GLOBAL EQUITY CLASS A
   
124
 
Units
   
5,004
 
JULIUS BAER INTL EQUITY FUND II CL A
   
3,430
 
Units
   
51,753
 
KEELEY SMALL CAP VALUE FD INC
   
208
 
Units
   
5,429
 
KINETICS PARADIGM FUND
   
132
 
Units
   
3,392
 
LAZARD EMERGING MKTS OPEN CLASS
   
5,532
 
Units
   
115,186
 
LOOMIS SAYLES BOND RETAIL SHARES
   
46,091
 
Units
   
682,511
 
LOOMIS SAYLES GLOBAL  BOND RETAIL
   
1,691
 
Units
   
25,834
 
MAINSTAY ICAP INTERNATIONAL FD I
   
194
 
Units
   
7,596
 
MAINSTAY ICAP SELECT EQUITY FD CL I
   
14,096
 
Units
   
612,386
 
MANAGERS BOND
   
5,417
 
Units
   
134,607
 
MANAGERS SMALL CAP FUND
   
342
 
Units
   
5,400
 
MARSHALL MID CAP VALUE CL Y
   
2,787
 
Units
   
42,311
 
MARSICO 21ST CENTURY FUND
   
11,908
 
Units
   
181,354
 
MARSICO FOCUS
   
5,643
 
Units
   
108,854
 
MARSICO GROWTH FUND
   
9,081
 
Units
   
182,434
 
MARSICO INTERNAT'L OPPORTUNITIES
   
1,841
 
Units
   
31,136
 
MATRIX ADVISORS  VALUE
   
134
 
Units
   
7,712
 
MATTHEWS ASIA PACIFIC FUND
   
661
 
Units
   
11,183
 
MATTHEWS ASIAN TECHNOLOGY FUND
   
3,431
 
Units
   
27,176
 
MATTHEWS CHINA FUND
   
2
 
Units
   
60
 
MATTHEWS INDIA FUND
   
2,877
 
Units
   
44,453
 
MATTHEWS KOREA FUND
   
2,345
 
Units
   
14,611
 
MERGER FUND
   
1,468
 
Units
   
22,938
 
METZLER PAYDEN EURO EMERGING MKTS CL
   
2,891
 
Units
   
93,728
 
MIDAS FUND
   
1,209
 
Units
   
5,188
 
MOBILE TELCOMM ULTRA SECTOR PRO FD INVSTR
   
299
 
Units
   
5,787
 
MUHLENKAMP FUND
   
2,338
 
Units
   
203,770
 
MUTUAL SERIES DISCOVERY CLASS Z
   
3,703
 
Units
   
112,789
 
MUTUAL SERIES EUROPEAN CLASS Z
   
1,125
 
Units
   
27,667
 
MUTUAL SERIES FINCL SERVICES CLASS Z
   
1,214
 
Units
   
27,413
 
MUTUAL SERIES MUTUAL BEACON CLASS C
   
1,102
 
Units
   
18,144
 
MUTUAL SERIES SHARES CLASS Z
   
4,149
 
Units
   
108,250
 
NEEDHAM GROWTH FUND
   
383
 
Units
   
14,959
 
NEUBERGER BERMAN INT'L INVESTOR CLASS
   
763
 
Units
   
18,690
 
NEUBERGER BERMAN INT'L TRUST CLASS
   
5,195
 
Units
   
139,643
 
NEUBERGER BERMAN PARTNERS INVESTOR
   
4,050
 
Units
   
125,768
 
NEUBERGER BERMAN REAL ESTATE TRUST CL
   
699
 
Units
   
11,222
 
NORTHEAST INVESTORS TRUST
   
1,304
 
Units
   
10,122
 
NORTHERN SMALL CAP VALUE
   
533
 
Units
   
8,840
 
NUMERIC INVESTORS MID CAP
   
656
 
Units
   
12,054
 
OAKMARK FUND I
   
231
 
Units
   
10,618
 
OAKMARK GLOBAL SELECT FD CL I
   
535
 
Units
   
5,763
 
OAKMARK SELECT I
   
3,857
 
Units
   
129,130
 
OBERWEIS CHINA OPPORTUNITIES FUND
   
14,879
 
Units
   
290,591
 
OIL & GAS ULTRA SECT PRO FDS -INVESTOR
   
985
 
Units
   
40,981
 
OPPENHEIMER INT'L BOND CLASS A
   
1,024
 
Units
   
6,167
 
OPPENHEIMER MAIN ST SMALL CAP CLASS A
   
372
 
Units
   
8,217
 
PARNASSUS EQUITY INCOME PORTFOLIO
   
106
 
Units
   
2,642
 
PARNASSUS FIXED INCOME FUND
   
1,435
 
Units
   
23,114
 
PERMANENT PORTFOLIO FD INC
   
2,150
 
Units
   
69,583
 
PERRITT EMERGING OPPORTUNITIES FUND
   
268
 
Units
   
3,761
 
PHOENIX FOREIGN OPPORTUNITIES CL A
   
830
 
Units
   
20,747
 
PHOENIX MID CAP VALUE FUND CL A
   
313
 
Units
   
7,899
 
PIMCO COMMODITY REAL  RETURN CL D
   
664
 
Units
   
9,217
 
PIMCO DEVELOPING LOCAL MKTS D
   
5,079
 
Units
   
54,495
 
PIMCO FLOATING RATE INCOME CL D
   
2,701
 
Units
   
28,550
 
PIMCO REAL RETURN CLASS D
   
4,448
 
Units
   
47,371
 
PIMCO TOTAL RETURN CLASS D
   
3,574
 
Units
   
37,097
 
PRO FUNDS SHORT REAL  ESTATE INVESTOR CL
   
2,089
 
Units
   
47,087
 
PRUDENT GLOBAL INC FUNDS
   
1,787
 
Units
   
22,355
 
PUTNAM GLOBAL NATURAL RESOURCE C
   
608
 
Units
   
17,197
 
QUANT FOREIGN VALUE FUND ORDINARY SHS
   
815
 
Units
   
17,841
 
QUANTITATIVE EMRG MKTS FD-ORDINARY SHS
   
884
 
Units
   
19,589
 
ROYCE MICROCAP INVESTMENT CLASS
   
1,892
 
Units
   
32,820
 
ROYCE OPPORTUNITY FUND INVEST CLASS
   
8,291
 
Units
   
108,121
 
ROYCE PENNSYLVANIA MUTUAL INVST CLASS
   
13,322
 
Units
   
154,139
 
ROYCE TOTAL RETURN FD INVESTMENT CL
   
6,302
 
Units
   
86,648
 
ROYCE VALUE FUND SERVICE CL
   
4,478
 
Units
   
49,522
 
ROYCE VALUE PLUS SERVICE    CLASS
   
29,323
 
Units
   
413,165
 
RS GLOBAL NATURAL RESOURCES CL A
   
1,347
 
Units
   
41,552
 
RS VALUE FUND CL A
   
2,191
 
Units
   
60,110
 
RYDEX BASIC MATERIALS ADVISOR CL
   
309
 
Units
   
11,353
 
RYDEX BASIC MATERIALS INV CLASS
   
1,547
 
Units
   
58,989
 
RYDEX BIOTECHNOLOGY INV CLASS
   
113
 
Units
   
2,473
 
RYDEX INVERSE S&P 500 INVESTOR SHS
   
604
 
Units
   
4,516
 
RYDEX OTC INVESTOR CLASS
   
4,274
 
Units
   
49,957
 
RYDEX RETAILING INV CLASS
   
223
 
Units
   
3,109
 
RYDEX TECHNOLOGY INVESTOR CLASS
   
230
 
Units
   
2,831
 
RYDEX TITAN 500 CLASS H
   
340
 
Units
   
16,136
 
RYDEX VELOCITY 100 CLASS H
   
524
 
Units
   
12,085
 
SCHNEIDER VALUE FUND
   
4,726
 
Units
   
107,649
 
SELECTED AMERICAN SHARES CL S
   
3,618
 
Units
   
166,631
 
SKYLINE SPECIAL EQUITIES
   
1,147
 
Units
   
29,805
 
SOUND MIND INVESTING FUND
   
17,688
 
Units
   
200,402
 
SOUND SHORE FD INC
   
729
 
Units
   
28,554
 
SPARTAN INTL INDEX INVESTOR CLASS
   
259
 
Units
   
11,449
 
SSGA EMERGING MARKETS
   
742
 
Units
   
17,396
 
SSGA INTERNATIONAL STOCK SELECTION
   
8,201
 
Units
   
113,259
 
SSGA TUCKERMAN ACTIVE REIT
   
1,073
 
Units
   
22,912
 
STERLING SMALL CAP VALUE FUND
   
1,579
 
Units
   
23,705
 
STRATEGIC PARTNERS REAL ESTATE  CL A
   
295
 
Units
   
8,586
 
STRATTON SMALL CAP VALUE FUND
   
1,664
 
Units
   
80,579
 
T ROWE PRICE CAP APPRECIATION
   
9,206
 
Units
   
189,831
 
T ROWE PRICE EMERGING MKTS STOCK
   
4,646
 
Units
   
150,577
 
T ROWE PRICE EQUITY INCOME
   
2,111
 
Units
   
62,367
 
T ROWE PRICE EQUITY INCOME ADVISOR CL
   
170
 
Units
   
5,002
 
T ROWE PRICE EQUITY INDEX TR FD
   
142
 
Units
   
5,404
 
T ROWE PRICE GROWTH STOCK
   
4,318
 
Units
   
136,568
 
T ROWE PRICE HEALTH SCIENCES
   
289
 
Units
   
7,541
 
T ROWE PRICE INTL DISCOVERY FUND
   
443
 
Units
   
21,023
 
T ROWE PRICE LATIN AMERICA FUND
   
2,278
 
Units
   
85,971
 
T ROWE PRICE MEDIA & TELECOMMUNICATIONS
   
233
 
Units
   
10,077
 
T ROWE PRICE NEW HORIZONS FD INC
   
16,731
 
Units
   
565,975
 
T ROWE PRICE PERSONAL STRAT GRWTH
   
203
 
Units
   
5,147
 
T ROWE PRICE REAL ESTATE FUND
   
3,498
 
Units
   
88,607
 
T ROWE PRICE RET 2040 FD
   
233
 
Units
   
4,365
 
T ROWE PRICE SPECTRUM INCOME
   
1,511
 
Units
   
18,421
 
TAMARACK MICROCAP VALUE CL S
   
2,395
 
Units
   
54,531
 
TELECOMM ULTRA SECTOR PRO FD INVSTR
   
1,376
 
Units
   
37,043
 
THIRD AVENUE REAL ESTATE VALUE
   
518
 
Units
   
17,932
 
THIRD AVENUE VALUE
   
4,620
 
Units
   
274,721
 
THORNBURG INTL VALUE CL A
   
1,544
 
Units
   
43,970
 
THORNBURG INTL VALUE CL INSTL
   
2,247
 
Units
   
65,178
 
TIAA-CREF INSTL LRG CAP VALUE -RETAIL
   
184
 
Units
   
2,873
 
TIAA-CREF INSTL MID CAP VALUE -RETAIL
   
3,132
 
Units
   
56,625
 
TIAA-CREF INSTL REAL ESTATE SEC - RETAIL
   
3,077
 
Units
   
48,592
 
TOCQUEVILLE FUND
   
1,439
 
Units
   
36,498
 
TOCQUEVILLE GOLD FUND
   
818
 
Units
   
42,064
 
TOUCHSTONE MID CAP GROWTH CLASS A
   
99
 
Units
   
2,314
 
TRANSAMERICA PREMIER EQUITY
   
6,212
 
Units
   
139,885
 
T-ROWE PRICE EMERG EURO & MEDITERRANEAN
   
6,421
 
Units
   
208,298
 
ULTRA JAPAN PRO FUND INVESTORS SHS
   
907
 
Units
   
44,268
 
ULTRA MID CAP    PRO FUND INVESTOR SHS
   
850
 
Units
   
41,012
 
ULTRA SHORT SMALL CAP PRO FDS-INVST CL
   
3,351
 
Units
   
44,830
 
ULTRA SMALL CAP  PRO FUND INVESTOR SHS
   
378
 
Units
   
12,066
 
ULTRASHORT OTC PRO FUND INVESTOR SHS
   
4,079
 
Units
   
55,061
 
UMB SCOUT SMALL CAP
   
2,465
 
Units
   
41,485
 
UMB SCOUT WORLDWIDE
   
4,665
 
Units
   
152,366
 
US GLOBAL CHINA REGION OPPORTUNITY
   
2,817
 
Units
   
29,549
 
US GLOBAL REGION EAST EUROPEAN
   
2,686
 
Units
   
122,172
 
US GLOBAL RESOURCES
   
17,684
 
Units
   
262,431
 
US GOLD SHARES
   
8,816
 
Units
   
141,671
 
US WORLD PRECIOUS MINERALS
   
15,336
 
Units
   
443,777
 
VALUE LINE EMERGING OPPORTUNITY
   
1,045
 
Units
   
32,311
 
VAN ECK GLOBAL HARD ASSETS CLASS C
   
179
 
Units
   
6,489
 
VAN KAMPEN COMSTOCK CLASS C
   
1,497
 
Units
   
28,827
 
VAN KAMPEN REAL ESTATE SEC CLASS C
   
607
 
Units
   
18,991
 
VAN WAGONER EMERGING GROWTH FUND
   
2,111
 
Units
   
9,711
 
VAN WAGONER SMALL CAP GROWTH
   
1,072
 
Units
   
10,332
 
VANGUARD DEVELOPED MRKTS INDEX INV
   
1,886
 
Units
   
23,726
 
VANGUARD EMERGING MARKETS STOCK INDEX
   
1,174
 
Units
   
28,498
 
VANGUARD ENERGY
   
5,546
 
Units
   
358,418
 
VANGUARD EQUITY INCOME
   
209
 
Units
   
5,284
 
VANGUARD EUROPEAN STOCK INDEX
   
327
 
Units
   
11,800
 
VANGUARD GLOBAL EQUITY
   
1,237
 
Units
   
28,348
 
VANGUARD GROWTH INDEX
   
110
 
Units
   
3,277
 
VANGUARD INDEX TRUST S&P 500 PORT
   
3,722
 
Units
   
511,786
 
VANGUARD INDEX TRUST SMALL CAP GROWTH
   
624
 
Units
   
11,446
 
VANGUARD INFLATION PROTECTED SECS
   
14,755
 
Units
   
173,820
 
VANGUARD INTERNATL VALUE PORTFOLIO
   
1,093
 
Units
   
44,089
 
VANGUARD INT'L GROWTH PORTFOLIO
   
713
 
Units
   
17,010
 
VANGUARD LONG TERM INVMT GRADE INV
   
459
 
Units
   
4,242
 
VANGUARD MID CAP INDEX
   
2,389
 
Units
   
47,260
 
VANGUARD MID-CAP     GROWTH FUND
   
628
 
Units
   
10,722
 
VANGUARD PACIFIC STOCK INDEX
   
848
 
Units
   
10,541
 
VANGUARD PRIMECAP CORE FD INVESTOR CL
   
819
 
Units
   
10,326
 
VANGUARD REIT INDEX FUND
   
4,506
 
Units
   
115,275
 
VANGUARD SMALL CAP STOCK INDEX TRUST
   
153
 
Units
   
5,003
 
VANGUARD SMALL CAP VALUE INDEX
   
684
 
Units
   
11,657
 
VANGUARD STRATEGIC SMALL CAP EQ INVT
   
2,865
 
Units
   
58,966
 
VANGUARD TARGET RET 2015 FD INVESTOR CL
   
2,248
 
Units
   
28,007
 
VANGUARD TAX MANAGED SMALL CAP INVESTOR
   
809
 
Units
   
20,799
 
VANGUARD TOTAL INTL STOCK INDEX FUND
   
2,055
 
Units
   
36,316
 
VANGUARD TOTAL STOCK MARKET
   
4,876
 
Units
   
166,210
 
VANGUARD VALUE INDEX
   
1,559
 
Units
   
41,428
 
VANGUARD WINDSOR II
   
1,140
 
Units
   
39,616
 
VANGUARD/WELLESLEY INCOME
   
459
 
Units
   
10,016
 
WASATCH GLOBAL SCIENCE & TECHNOLOGY
   
1,484
 
Units
   
21,942
 
WELLS FARGO ASIA PACIFIC FD-INVESTOR
   
2,443
 
Units
   
30,509
 
WELLS FARGO MID CAP DISCIPLINED FD-INVES
   
1,718
 
Units
   
39,039
 
WESTPORT SELECT CAP CLASS I
   
1,290
 
Units
   
32,206
 
WILLIAM BLAIR VALUE DISCOVERY CLASS N
   
1,859
 
Units
   
30,247
 
WM HIGH YIELD FUND  CLASS C
   
536
 
Units
   
4,702
 
YACKTMAN FOCUSED FD
   
1,883
 
Units
   
30,122
 
Total Registered Investment Companies
            $
22,560,852
 
                   
PARTICIPANT LOANS (interest rate ranging from 5.00% through 9.25% maturing through December 2021)
            $
55,239,294
 
                   
TOTAL INVESTMENTS
            $
2,950,563,178
 



AMERICAN ELECTRIC POWER SYSTEM
 RETIREMENT SAVINGS PLAN

EXHIBIT INDEX

Exhibit Number
 
Description
 
     
23
 
Consent of Independent Registered Public Accounting Firm
     















































EXHIBIT 23
 
AMERICAN ELECTRIC POWER SYSTEM
RETIREMENT SAVINGS PLAN

 
 



CONSENT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

American Electric Power Company, Inc.:

We consent to the incorporation by reference in Registration Statements No. 333-128043 and 333-39402 on Form S-8 and Post-Effective Amendment No. 3 to Registration Statement No. 33-01052 of American Electric Power System Retirement Savings Plan on Form S-8 of our report dated July 12, 2007 appearing in this Annual Report on Form 11-K of American Electric Power System Retirement Savings Plan for the year ended December 31, 2006.







/s/ Deloitte & Touche LLP
 
Columbus, Ohio
July 12, 2007