0001081019-11-000016.txt : 20111109
0001081019-11-000016.hdr.sgml : 20111109
20111109115646
ACCESSION NUMBER: 0001081019-11-000016
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20110930
FILED AS OF DATE: 20111109
DATE AS OF CHANGE: 20111109
EFFECTIVENESS DATE: 20111109
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
CENTRAL INDEX KEY: 0001081019
IRS NUMBER: 946291617
STATE OF INCORPORATION: CA
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-04855
FILM NUMBER: 111190396
BUSINESS ADDRESS:
STREET 1: P O BOX 163749
CITY: SACRAMENTO
STATE: CA
ZIP: 95816
BUSINESS PHONE: 9162293733
MAIL ADDRESS:
STREET 1: 7667 FOLSOM BLVD
CITY: SACRAMENTO
STATE: CA
ZIP: 95826
13F-HR
1
hr13f0911.txt
CALSTRS 13F 092011
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: sep 30, 2011.
Check here if Amendment [ ]; Amendment Number: 1
This Amendment (Check only one.): [ ] is a restatement
[ ] adds new holdings entries
Institutional Investment Manager Filing this report:
Name: California State Teachers Retirement System
Address: 100 Waterfront Place 14th floor
West Sacramento, CA 95605-2807
13F File Number:
The institutional investment manager filing this report and the person by
whom it is signed hereby represents that the person signing this report is
authorized to submit it, that all information contained herein is true,
correct and complete, and that it is understood that required items,
statements, schedules, lists, and tables, are considered integral parts
of this form.
Persons signing this Report on Behalf of Reporting Manager:
Name: Debra Smith
Title: Investment Operations Director
Phone: 916-414-7560
Signature, Place, and Date of Signing:
Debra Smith West Sacramento, California nov 04, 2011.
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager: N/A
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 2962
Form 13F Information Table Value Total:$21,204,838(Thousands)
List of Other Included Managers: N/A
AS OF sep 30, 2011.
Security Name Title Cusip Fair Mkt Shares Invmnt OtheInvestment
Class Value Discret MgrsAuthority
(x1000) (SOLE)
1 800 FLOWERS.COM INC CL A COMMON68243Q106 29 12,354SH SOLE 0 12,354
1ST SOURCE CORP COMMON336901103 150 7,192SH SOLE 0 7,192
1ST UNITED BANCORP INC/NORTH COMMON33740N105 63 12,743SH SOLE 0 12,743
3D SYSTEMS CORP COMMON88554D205 278 19,907SH SOLE 0 19,907
3M CO COMMON88579Y101 88,824 1,237,280SH SOLE 0 1,237,280
8X8 INC COMMON282914100 121 29,649SH SOLE 0 29,649
99 CENTS ONLY STORES COMMON65440K106 408 22,139SH SOLE 0 22,139
A123 SYSTEMS INC COMMON03739T108 145 42,044SH SOLE 0 42,044
AAON INC COMMON000360206 141 8,943SH SOLE 0 8,943
AAR CORP COMMON000361105 315 18,870SH SOLE 0 18,870
AARON S INC COMMON002535300 3,501 138,640SH SOLE 0 138,640
ABAXIS INC COMMON002567105 244 10,649SH SOLE 0 10,649
ABBOTT LABORATORIES COMMON002824100 138,642 2,711,030SH SOLE 0 2,711,030
ABERCROMBIE + FITCH CO CL A COMMON002896207 9,403 152,748SH SOLE 0 152,748
ABINGTON BANCORP INC COMMON00350L109 70 9,659SH SOLE 0 9,659
ABIOMED INC COMMON003654100 166 15,028SH SOLE 0 15,028
ABM INDUSTRIES INC COMMON000957100 479 25,109SH SOLE 0 25,109
ABOVENET INC COMMON00374N107 588 10,979SH SOLE 0 10,979
ABRAXAS PETROLEUM CORP COMMON003830106 103 38,980SH SOLE 0 38,980
ACACIA RESEARCH ACACIA TEC TRACKI003881307 728 20,217SH SOLE 0 20,217
ACADIA REALTY TRUST REIT U004239109 357 19,075SH SOLE 0 19,075
ACCELRYS INC COMMON00430U103 160 26,368SH SOLE 0 26,368
ACCENTURE PLC CL A COMMONG1151C101 59,432 1,128,175SH SOLE 0 1,128,175
ACCO BRANDS CORP COMMON00081T108 125 26,274SH SOLE 0 26,274
ACCRETIVE HEALTH INC COMMON00438V103 403 18,998SH SOLE 0 18,998
ACCURAY INC COMMON004397105 131 32,640SH SOLE 0 32,640
ACCURIDE CORP COMMON00439T206 99 19,307SH SOLE 0 19,307
ACE LTD COMMONH0023R105 34,657 571,897SH SOLE 0 571,897
ACETO CORP COMMON004446100 65 12,362SH SOLE 0 12,362
ACHILLION PHARMACEUTICALS COMMON00448Q201 107 22,616SH SOLE 0 22,616
ACI WORLDWIDE INC COMMON004498101 437 15,852SH SOLE 0 15,852
ACME PACKET INC COMMON004764106 3,977 93,372SH SOLE 0 93,372
ACORDA THERAPEUTICS INC COMMON00484M106 374 18,737SH SOLE 0 18,737
ACTIVE NETWORK INC/THE COMMON00506D100 87 5,868SH SOLE 0 5,868
ACTIVE POWER INC COMMON00504W100 49 38,186SH SOLE 0 38,186
ACTIVISION BLIZZARD INC COMMON00507V109 8,539 717,549SH SOLE 0 717,549
ACTUANT CORP A COMMON00508X203 642 32,510SH SOLE 0 32,510
ACTUATE CORP COMMON00508B102 95 17,152SH SOLE 0 17,152
ACUITY BRANDS INC COMMON00508Y102 738 20,472SH SOLE 0 20,472
ACURA PHARMACEUTICALS INC COMMON00509L703 15 4,503SH SOLE 0 4,503
ACXIOM CORP COMMON005125109 409 38,437SH SOLE 0 38,437
ADOBE SYSTEMS INC COMMON00724F101 21,307 881,529SH SOLE 0 881,529
ADTRAN INC COMMON00738A106 812 30,670SH SOLE 0 30,670
ADVANCE AMERICA CASH ADVANCE COMMON00739W107 193 26,262SH SOLE 0 26,262
ADVANCE AUTO PARTS INC COMMON00751Y106 7,482 128,785SH SOLE 0 128,785
ADVANCED ANALOGIC TECHNOLOGI COMMON00752J108 89 20,489SH SOLE 0 20,489
ADVANCED ENERGY INDUSTRIES COMMON007973100 178 20,692SH SOLE 0 20,692
ADVANCED MICRO DEVICES COMMON007903107 5,456 1,073,952SH SOLE 0 1,073,952
ADVENT SOFTWARE INC COMMON007974108 325 15,565SH SOLE 0 15,565
ADVISORY BOARD CO/THE COMMON00762W107 482 7,466SH SOLE 0 7,466
AECOM TECHNOLOGY CORP COMMON00766T100 3,619 204,800SH SOLE 0 204,800
AEGERION PHARMACEUTICALS INC COMMON00767E102 56 4,385SH SOLE 0 4,385
AEP INDUSTRIES INC COMMON001031103 44 1,991SH SOLE 0 1,991
AEROFLEX HOLDING CORP COMMON007767106 86 9,471SH SOLE 0 9,471
AEROPOSTALE INC COMMON007865108 413 38,233SH SOLE 0 38,233
AEROVIRONMENT INC COMMON008073108 226 8,011SH SOLE 0 8,011
AES CORP COMMON00130H105 10,867 1,113,382SH SOLE 0 1,113,382
AETNA INC COMMON00817Y108 23,382 643,258SH SOLE 0 643,258
AFC ENTERPRISES COMMON00104Q107 140 11,819SH SOLE 0 11,819
AFFILIATED MANAGERS GROUP COMMON008252108 7,036 90,152SH SOLE 0 90,152
AFFYMAX INC COMMON00826A109 76 16,891SH SOLE 0 16,891
AFFYMETRIX INC COMMON00826T108 165 33,655SH SOLE 0 33,655
AFLAC INC COMMON001055102 27,707 792,759SH SOLE 0 792,759
AG MORTGAGE INVESTMENT TRUST COMMON001228105 56 3,000SH SOLE 0 3,000
AGCO CORP COMMON001084102 5,555 160,689SH SOLE 0 160,689
AGILENT TECHNOLOGIES INC COMMON00846U101 19,003 608,082SH SOLE 0 608,082
AGILYSYS INC COMMON00847J105 61 8,498SH SOLE 0 8,498
AGL RESOURCES INC COMMON001204106 5,405 132,662SH SOLE 0 132,662
AGREE REALTY CORP REIT U008492100 102 4,705SH SOLE 0 4,705
AH BELO CORP A COMMON001282102 37 8,822SH SOLE 0 8,822
AIR LEASE CORP COMMON00912X302 1,132 58,964SH SOLE 0 58,964
AIR METHODS CORP COMMON009128307 342 5,376SH SOLE 0 5,376
AIR PRODUCTS + CHEMICALS INC COMMON009158106 28,281 370,314SH SOLE 0 370,314
AIR TRANSPORT SERVICES GROUP COMMON00922R105 111 25,653SH SOLE 0 25,653
AIRCASTLE LTD COMMONG0129K104 263 27,608SH SOLE 0 27,608
AIRGAS INC COMMON009363102 8,753 137,155SH SOLE 0 137,155
AK STEEL HOLDING CORP COMMON001547108 1,230 188,075SH SOLE 0 188,075
AKAMAI TECHNOLOGIES INC COMMON00971T101 6,469 325,404SH SOLE 0 325,404
AKORN INC COMMON009728106 208 26,666SH SOLE 0 26,666
ALAMO GROUP INC COMMON011311107 66 3,169SH SOLE 0 3,169
ALASKA AIR GROUP INC COMMON011659109 957 17,003SH SOLE 0 17,003
ALASKA COMM SYSTEMS GROUP COMMON01167P101 141 21,555SH SOLE 0 21,555
ALBANY INTL CORP CL A COMMON012348108 239 13,103SH SOLE 0 13,103
ALBANY MOLECULAR RESEARCH COMMON012423109 30 10,505SH SOLE 0 10,505
ALBEMARLE CORP COMMON012653101 6,474 160,244SH SOLE 0 160,244
ALCOA INC COMMON013817101 17,255 1,803,011SH SOLE 0 1,803,011
ALERE INC COMMON01449J105 2,848 144,913SH SOLE 0 144,913
ALEXANDER + BALDWIN INC COMMON014482103 2,574 70,473SH SOLE 0 70,473
ALEXANDER S INC REIT U014752109 354 980SH SOLE 0 980
ALEXANDRIA REAL ESTATE EQUIT REIT U015271109 6,427 104,699SH SOLE 0 104,699
ALEXION PHARMACEUTICALS INC COMMON015351109 20,581 321,273SH SOLE 0 321,273
ALICO INC COMMON016230104 32 1,650SH SOLE 0 1,650
ALIGN TECHNOLOGY INC COMMON016255101 441 29,071SH SOLE 0 29,071
ALIMERA SCIENCES INC COMMON016259103 43 5,357SH SOLE 0 5,357
ALKERMES PLC COMMONG01767105 688 45,115SH SOLE 0 45,115
ALLEGHANY CORP COMMON017175100 3,242 11,236SH SOLE 0 11,236
ALLEGHENY TECHNOLOGIES INC COMMON01741R102 6,859 185,436SH SOLE 0 185,436
ALLEGIANT TRAVEL CO COMMON01748X102 328 6,953SH SOLE 0 6,953
ALLERGAN INC COMMON018490102 43,874 532,580SH SOLE 0 532,580
ALLETE INC COMMON018522300 554 15,122SH SOLE 0 15,122
ALLIANCE DATA SYSTEMS CORP COMMON018581108 8,267 89,185SH SOLE 0 89,185
ALLIANCE FINANCIAL CORP COMMON019205103 64 2,287SH SOLE 0 2,287
ALLIANCE HEALTHCARE SERVICE COMMON018606202 13 11,684SH SOLE 0 11,684
ALLIANT ENERGY CORP COMMON018802108 7,276 188,095SH SOLE 0 188,095
ALLIANT TECHSYSTEMS INC COMMON018804104 3,106 56,978SH SOLE 0 56,978
ALLIED NEVADA GOLD CORP COMMON019344100 5,580 155,830SH SOLE 0 155,830
ALLIED WORLD ASSURANCE CO COMMONH01531104 3,451 64,249SH SOLE 0 64,249
ALLOS THERAPEUTICS INC COMMON019777101 69 37,449SH SOLE 0 37,449
ALLSCRIPTS HEALTHCARE SOLUTI COMMON01988P108 5,956 330,497SH SOLE 0 330,497
ALLSTATE CORP COMMON020002101 20,998 886,381SH SOLE 0 886,381
ALMOST FAMILY INC COMMON020409108 65 3,910SH SOLE 0 3,910
ALNYLAM PHARMACEUTICALS INC COMMON02043Q107 115 17,562SH SOLE 0 17,562
ALON USA ENERGY INC COMMON020520102 33 5,412SH SOLE 0 5,412
ALPHA + OMEGA SEMICONDUCTOR COMMONG6331P104 58 7,013SH SOLE 0 7,013
ALPHA NATURAL RESOURCES INC COMMON02076X102 6,910 390,610SH SOLE 0 390,610
ALPHATEC HOLDINGS INC COMMON02081G102 54 25,739SH SOLE 0 25,739
ALTERA CORP COMMON021441100 17,753 563,054SH SOLE 0 563,054
ALTERRA CAPITAL HOLDINGS LTD COMMONG0229R108 816 43,013SH SOLE 0 43,013
ALTRA HOLDINGS INC COMMON02208R106 147 12,744SH SOLE 0 12,744
AMAG PHARMACEUTICALS INC COMMON00163U106 149 10,104SH SOLE 0 10,104
AMAZON.COM INC COMMON023135106 137,320 635,066SH SOLE 0 635,066
AMBASSADORS GROUP INC COMMON023177108 48 8,454SH SOLE 0 8,454
AMC NETWORKS INC A COMMON00164V103 3,031 94,857SH SOLE 0 94,857
AMCOL INTERNATIONAL CORP COMMON02341W103 277 11,530SH SOLE 0 11,530
AMDOCS LTD COMMONG02602103 8,533 314,642SH SOLE 0 314,642
AMEDISYS INC COMMON023436108 209 14,070SH SOLE 0 14,070
AMERCO COMMON023586100 258 4,137SH SOLE 0 4,137
AMEREN CORPORATION COMMON023608102 12,168 408,750SH SOLE 0 408,750
AMERESCO INC CL A COMMON02361E108 86 8,432SH SOLE 0 8,432
AMERICA S CAR MART INC COMMON03062T105 118 4,079SH SOLE 0 4,079
AMERICAN ASSETS TRUST INC REIT 024013104 275 15,300SH SOLE 0 15,300
AMERICAN AXLE + MFG HOLDINGS COMMON024061103 242 31,672SH SOLE 0 31,672
AMERICAN CAMPUS COMMUNITIES REIT U024835100 1,195 32,119SH SOLE 0 32,119
AMERICAN CAPITAL AGENCY CORP REIT U02503X105 8,200 302,581SH SOLE 0 302,581
AMERICAN CAPITAL LTD COMMON02503Y103 4,077 597,758SH SOLE 0 597,758
AMERICAN CAPITAL MORTGAGE IN REIT 02504A104 63 3,800SH SOLE 0 3,800
AMERICAN DENTAL PARTNERS INC COMMON025353103 71 7,364SH SOLE 0 7,364
AMERICAN EAGLE OUTFITTERS COMMON02553E106 3,871 330,325SH SOLE 0 330,325
AMERICAN ELECTRIC POWER COMMON025537101 31,048 816,635SH SOLE 0 816,635
AMERICAN EQUITY INVT LIFE HL COMMON025676206 247 28,282SH SOLE 0 28,282
AMERICAN EXPRESS CO COMMON025816109 81,458 1,814,200SH SOLE 0 1,814,200
AMERICAN FINANCIAL GROUP INC COMMON025932104 4,234 136,283SH SOLE 0 136,283
AMERICAN GREETINGS CORP CL A COMMON026375105 355 19,196SH SOLE 0 19,196
AMERICAN INTERNATIONAL GROUP COMMON026874784 16,443 749,096SH SOLE 0 749,096
AMERICAN NATIONAL INSURANCE COMMON028591105 804 11,614SH SOLE 0 11,614
AMERICAN PUBLIC EDUCATION COMMON02913V103 287 8,437SH SOLE 0 8,437
AMERICAN RAILCAR INDUSTRIES COMMON02916P103 71 4,648SH SOLE 0 4,648
AMERICAN REPROGRAPHICS CO COMMON029263100 59 17,641SH SOLE 0 17,641
AMERICAN SAFETY INS HOLDINGS COMMONG02995101 92 4,976SH SOLE 0 4,976
AMERICAN SCIENCE + ENGINEERI COMMON029429107 263 4,313SH SOLE 0 4,313
AMERICAN SOFTWARE INC CL A COMMON029683109 77 10,621SH SOLE 0 10,621
AMERICAN STATES WATER CO COMMON029899101 299 8,808SH SOLE 0 8,808
AMERICAN SUPERCONDUCTOR CORP COMMON030111108 84 21,322SH SOLE 0 21,322
AMERICAN TOWER CORP CL A COMMON029912201 37,288 693,082SH SOLE 0 693,082
AMERICAN VANGUARD CORP COMMON030371108 119 10,662SH SOLE 0 10,662
AMERICAN WATER WORKS CO INC COMMON030420103 8,970 297,215SH SOLE 0 297,215
AMERICAN WOODMARK CORP COMMON030506109 52 4,332SH SOLE 0 4,332
AMERIGON INC COMMON03070L300 134 10,497SH SOLE 0 10,497
AMERIGROUP CORP COMMON03073T102 2,957 75,813SH SOLE 0 75,813
AMERIPRISE FINANCIAL INC COMMON03076C106 16,163 410,646SH SOLE 0 410,646
AMERIS BANCORP COMMON03076K108 98 11,287SH SOLE 0 11,287
AMERISAFE INC COMMON03071H100 160 8,681SH SOLE 0 8,681
AMERISOURCEBERGEN CORP COMMON03073E105 17,842 478,729SH SOLE 0 478,729
AMERISTAR CASINOS INC COMMON03070Q101 245 15,281SH SOLE 0 15,281
AMERON INTERNATIONAL CORP COMMON030710107 371 4,362SH SOLE 0 4,362
AMES NATIONAL CORP COMMON031001100 61 3,897SH SOLE 0 3,897
AMETEK INC COMMON031100100 9,268 281,100SH SOLE 0 281,100
AMGEN INC COMMON031162100 86,598 1,575,943SH SOLE 0 1,575,943
AMICUS THERAPEUTICS INC COMMON03152W109 29 7,529SH SOLE 0 7,529
AMKOR TECHNOLOGY INC COMMON031652100 220 50,349SH SOLE 0 50,349
AMN HEALTHCARE SERVICES INC COMMON001744101 76 18,874SH SOLE 0 18,874
AMPCO PITTSBURGH CORP COMMON032037103 83 4,081SH SOLE 0 4,081
AMPHENOL CORP CL A COMMON032095101 12,552 307,881SH SOLE 0 307,881
AMPIO PHARMACEUTICALS INC COMMON03209T109 63 9,462SH SOLE 0 9,462
AMR CORP COMMON001765106 1,697 573,414SH SOLE 0 573,414
AMSURG CORP COMMON03232P405 332 14,764SH SOLE 0 14,764
AMTECH SYSTEMS INC COMMON032332504 37 4,571SH SOLE 0 4,571
AMTRUST FINANCIAL SERVICES COMMON032359309 254 11,402SH SOLE 0 11,402
AMYLIN PHARMACEUTICALS INC COMMON032346108 2,109 228,511SH SOLE 0 228,511
AMYRIS INC COMMON03236M101 168 8,320SH SOLE 0 8,320
ANACOR PHARMACEUTICALS INC COMMON032420101 30 5,188SH SOLE 0 5,188
ANADARKO PETROLEUM CORP COMMON032511107 53,420 847,270SH SOLE 0 847,270
ANADIGICS INC COMMON032515108 68 31,484SH SOLE 0 31,484
ANALOG DEVICES INC COMMON032654105 16,361 523,563SH SOLE 0 523,563
ANALOGIC CORP COMMON032657207 272 5,989SH SOLE 0 5,989
ANAREN INC COMMON032744104 136 7,108SH SOLE 0 7,108
ANCESTRY.COM INC COMMON032803108 353 15,016SH SOLE 0 15,016
ANDERSONS INC/THE COMMON034164103 297 8,824SH SOLE 0 8,824
ANGIODYNAMICS INC COMMON03475V101 157 11,926SH SOLE 0 11,926
ANIXTER INTERNATIONAL INC COMMON035290105 652 13,737SH SOLE 0 13,737
ANN INC COMMON035623107 563 24,648SH SOLE 0 24,648
ANNALY CAPITAL MANAGEMENT IN REIT U035710409 26,807 1,611,991SH SOLE 0 1,611,991
ANSYS INC COMMON03662Q105 7,865 160,385SH SOLE 0 160,385
ANTARES PHARMA INC COMMON036642106 98 42,042SH SOLE 0 42,042
ANTHERA PHARMACEUTICALS INC COMMON03674U102 48 10,053SH SOLE 0 10,053
ANWORTH MORTGAGE ASSET CORP REIT U037347101 407 59,901SH SOLE 0 59,901
AOL INC COMMON00184X105 2,175 181,252SH SOLE 0 181,252
AON CORP COMMON037389103 23,518 560,220SH SOLE 0 560,220
APAC CUSTOMER SERVICES INC COMMON00185E106 128 15,001SH SOLE 0 15,001
APACHE CORP COMMON037411105 52,616 655,731SH SOLE 0 655,731
APARTMENT INVT + MGMT CO A REIT U03748R101 4,575 206,809SH SOLE 0 206,809
APCO OIL AND GAS INTL INC COMMONG0471F109 318 4,275SH SOLE 0 4,275
APOGEE ENTERPRISES INC COMMON037598109 115 13,370SH SOLE 0 13,370
APOLLO COMMERCIAL REAL ESTAT REIT U03762U105 129 9,832SH SOLE 0 9,832
APOLLO GROUP INC CL A COMMON037604105 8,349 210,775SH SOLE 0 210,775
APOLLO INVESTMENT CORP COMMON03761U106 698 92,764SH SOLE 0 92,764
APOLLO RESIDENTIAL MORTGAGE COMMON03763V102 89 5,400SH SOLE 0 5,400
APPLE INC COMMON037833100 616,685 1,617,831SH SOLE 0 1,617,831
APPLIED INDUSTRIAL TECH INC COMMON03820C105 544 20,026SH SOLE 0 20,026
APPLIED MATERIALS INC COMMON038222105 23,172 2,238,799SH SOLE 0 2,238,799
APPLIED MICRO CIRCUITS CORP COMMON03822W406 162 30,246SH SOLE 0 30,246
APPROACH RESOURCES INC COMMON03834A103 180 10,605SH SOLE 0 10,605
APTARGROUP INC COMMON038336103 5,089 113,921SH SOLE 0 113,921
AQUA AMERICA INC COMMON03836W103 5,069 235,020SH SOLE 0 235,020
ARBITRON INC COMMON03875Q108 425 12,853SH SOLE 0 12,853
ARCH CAPITAL GROUP LTD COMMONG0450A105 7,307 223,637SH SOLE 0 223,637
ARCH CHEMICALS INC COMMON03937R102 506 10,784SH SOLE 0 10,784
ARCH COAL INC COMMON039380100 5,246 359,810SH SOLE 0 359,810
ARCHER DANIELS MIDLAND CO COMMON039483102 28,418 1,145,435SH SOLE 0 1,145,435
ARCHIPELAGO LEARNING INC COMMON03956P102 52 6,234SH SOLE 0 6,234
ARCTIC CAT INC COMMON039670104 83 5,744SH SOLE 0 5,744
ARDEA BIOSCIENCES INC COMMON03969P107 124 7,907SH SOLE 0 7,907
ARDEN GROUP INC A COMMON039762109 43 542SH SOLE 0 542
ARENA PHARMACEUTICALS INC COMMON040047102 101 69,643SH SOLE 0 69,643
ARES CAPITAL CORP COMMON04010L103 4,778 347,009SH SOLE 0 347,009
ARGAN INC COMMON04010E109 39 3,792SH SOLE 0 3,792
ARGO GROUP INTERNATIONAL COMMONG0464B107 369 13,001SH SOLE 0 13,001
ARIAD PHARMACEUTICALS INC COMMON04033A100 549 62,508SH SOLE 0 62,508
ARIBA INC COMMON04033V203 4,674 168,685SH SOLE 0 168,685
ARKANSAS BEST CORP COMMON040790107 194 12,010SH SOLE 0 12,010
ARLINGTON ASSET INVESTMENT A COMMON041356205 74 3,071SH SOLE 0 3,071
ARMOUR RESIDENTIAL REIT INC REIT U042315101 248 36,414SH SOLE 0 36,414
ARMSTRONG WORLD INDUSTRIES COMMON04247X102 1,232 35,774SH SOLE 0 35,774
ARQULE INC COMMON04269E107 129 25,480SH SOLE 0 25,480
ARRAY BIOPHARMA INC COMMON04269X105 54 27,344SH SOLE 0 27,344
ARRIS GROUP INC COMMON04269Q100 603 58,582SH SOLE 0 58,582
ARROW ELECTRONICS INC COMMON042735100 5,463 196,650SH SOLE 0 196,650
ARROW FINANCIAL CORP COMMON042744102 107 4,807SH SOLE 0 4,807
ARTESIAN RESOURCES CORP CL A COMMON043113208 54 3,097SH SOLE 0 3,097
ARTHROCARE CORP COMMON043136100 372 12,920SH SOLE 0 12,920
ARTHUR J GALLAGHER + CO COMMON363576109 4,924 187,238SH SOLE 0 187,238
ARTIO GLOBAL INVESTORS INC COMMON04315B107 119 14,933SH SOLE 0 14,933
ARUBA NETWORKS INC COMMON043176106 846 40,437SH SOLE 0 40,437
ASBURY AUTOMOTIVE GROUP COMMON043436104 228 13,836SH SOLE 0 13,836
ASCENA RETAIL GROUP INC COMMON04351G101 806 29,783SH SOLE 0 29,783
ASCENT CAPITAL GROUP INC COMMON043632108 268 6,810SH SOLE 0 6,810
ASHFORD HOSPITALITY TRUST REIT U044103109 174 24,847SH SOLE 0 24,847
ASHLAND INC COMMON044209104 5,922 134,154SH SOLE 0 134,154
ASPEN INSURANCE HOLDINGS LTD COMMONG05384105 2,765 119,994SH SOLE 0 119,994
ASPEN TECHNOLOGY INC COMMON045327103 612 40,087SH SOLE 0 40,087
ASSISTED LIVING CONCEPTS I A COMMON04544X300 118 9,340SH SOLE 0 9,340
ASSOCIATED BANC CORP COMMON045487105 2,732 293,726SH SOLE 0 293,726
ASSOCIATED ESTATES REALTY CP REIT U045604105 304 19,673SH SOLE 0 19,673
ASSURANT INC COMMON04621X108 5,856 163,583SH SOLE 0 163,583
ASSURED GUARANTY LTD COMMONG0585R106 3,431 312,171SH SOLE 0 312,171
ASTEC INDUSTRIES INC COMMON046224101 276 9,417SH SOLE 0 9,417
ASTEX PHARMACEUTICALS COMMON04624B103 51 26,810SH SOLE 0 26,810
ASTORIA FINANCIAL CORP COMMON046265104 316 41,144SH SOLE 0 41,144
ASTRONICS CORP COMMON046433108 138 4,883SH SOLE 0 4,883
ASTRONICS CORP CL B COMMON046433207 12 448SH SOLE 0 448
AT CROSS CO CL A COMMON227478104 52 4,569SH SOLE 0 4,569
AT+T INC COMMON00206R102 286,277 10,037,749SH SOLE 0 10,037,749
ATHENAHEALTH INC COMMON04685W103 985 16,546SH SOLE 0 16,546
ATLANTIC POWER CORP COMMON04878Q863 460 32,414SH SOLE 0 32,414
ATLANTIC TELE NETWORK INC COMMON049079205 147 4,472SH SOLE 0 4,472
ATLAS AIR WORLDWIDE HOLDINGS COMMON049164205 414 12,438SH SOLE 0 12,438
ATMEL CORP COMMON049513104 6,439 797,849SH SOLE 0 797,849
ATMI INC COMMON00207R101 236 14,943SH SOLE 0 14,943
ATMOS ENERGY CORP COMMON049560105 4,970 153,156SH SOLE 0 153,156
ATP OIL + GAS CORPORATION COMMON00208J108 163 21,151SH SOLE 0 21,151
ATRICURE INC COMMON04963C209 65 6,705SH SOLE 0 6,705
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ZIX CORP COMMON98974P100 85 31,693SH SOLE 0 31,693
ZOGENIX INC COMMON98978L105 18 10,026SH SOLE 0 10,026
ZOLL MEDICAL CORP COMMON989922109 391 10,361SH SOLE 0 10,361
ZOLTEK COMPANIES INC COMMON98975W104 85 13,218SH SOLE 0 13,218
ZUMIEZ INC COMMON989817101 176 10,038SH SOLE 0 10,038
ZYGO CORP COMMON989855101 88 7,589SH SOLE 0 7,589