0001081019-12-000010.txt : 20120308 0001081019-12-000010.hdr.sgml : 20120308 20120308165119 ACCESSION NUMBER: 0001081019-12-000010 CONFORMED SUBMISSION TYPE: 13F-HR/A PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20111231 FILED AS OF DATE: 20120308 DATE AS OF CHANGE: 20120308 EFFECTIVENESS DATE: 20120308 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/A SEC ACT: 1934 Act SEC FILE NUMBER: 028-04855 FILM NUMBER: 12677888 BUSINESS ADDRESS: STREET 1: 100 WATERFRONT PLACE CITY: WEST SACRAMENTO STATE: CA ZIP: 95605 BUSINESS PHONE: 9164147562 MAIL ADDRESS: STREET 1: 100 WATERFRONT PLACE CITY: WEST SACRAMENTO STATE: CA ZIP: 95605 13F-HR/A 1 hr13f1211.txt UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: Dec 31, 2011. Check here if Amendment [x]; Amendment Number: 2 This Amendment (Check only one.): [X] 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 March 05, 2012. Amendmento to reflect the correct holdings of RLJ LODGING TRUST. 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: 2947 Form 13F Information Table Value Total:$23,960,685(Thousands) List of Other Included Managers: N/A AS OF Dec 31, 2011. Security Name Title Cusip Fair Mkt Shares Invmnt OtheInvestment Class Value Discret MgrsAuthority (x1000) (SOLE) 1 800 FLOWERS.COM INC CL A COMMON68243Q106 27 12,354SH SOLE 0 12,354 1ST SOURCE CORP COMMON336901103 182 7,192SH SOLE 0 7,192 1ST UNITED BANCORP INC/NORTH COMMON33740N105 71 12,743SH SOLE 0 12,743 3D SYSTEMS CORP COMMON88554D205 285 19,807SH SOLE 0 19,807 3M CO COMMON88579Y101 102,410 1,253,030SH SOLE 0 1,253,030 8X8 INC COMMON282914100 94 29,649SH SOLE 0 29,649 99 CENTS ONLY STORES COMMON65440K106 486 22,139SH SOLE 0 22,139 A123 SYSTEMS INC COMMON03739T108 68 42,044SH SOLE 0 42,044 AAON INC COMMON000360206 181 8,843SH SOLE 0 8,843 AAR CORP COMMON000361105 360 18,770SH SOLE 0 18,770 AARON S INC COMMON002535300 3,535 132,490SH SOLE 0 132,490 ABAXIS INC COMMON002567105 295 10,649SH SOLE 0 10,649 ABBOTT LABORATORIES COMMON002824100 154,378 2,745,480SH SOLE 0 2,745,480 ABERCROMBIE + FITCH CO CL A COMMON002896207 7,551 154,598SH SOLE 0 154,598 ABIOMED INC COMMON003654100 278 15,028SH SOLE 0 15,028 ABM INDUSTRIES INC COMMON000957100 518 25,109SH SOLE 0 25,109 ABOVENET INC COMMON00374N107 714 10,979SH SOLE 0 10,979 ABRAXAS PETROLEUM CORP COMMON003830106 129 38,980SH SOLE 0 38,980 ACACIA RESEARCH ACACIA TEC TRACKI003881307 738 20,217SH SOLE 0 20,217 ACADIA REALTY TRUST REIT U004239109 406 20,175SH SOLE 0 20,175 ACCELRYS INC COMMON00430U103 176 26,168SH SOLE 0 26,168 ACCENTURE PLC CL A COMMONG1151C101 60,817 1,142,525SH SOLE 0 1,142,525 ACCO BRANDS CORP COMMON00081T108 252 26,074SH SOLE 0 26,074 ACCRETIVE HEALTH INC COMMON00438V103 434 18,898SH SOLE 0 18,898 ACCURAY INC COMMON004397105 137 32,340SH SOLE 0 32,340 ACCURIDE CORP COMMON00439T206 136 19,107SH SOLE 0 19,107 ACE LTD COMMONH0023R105 40,596 578,947SH SOLE 0 578,947 ACETO CORP COMMON004446100 85 12,362SH SOLE 0 12,362 ACHILLION PHARMACEUTICALS COMMON00448Q201 171 22,416SH SOLE 0 22,416 ACI WORLDWIDE INC COMMON004498101 454 15,852SH SOLE 0 15,852 ACME PACKET INC COMMON004764106 2,923 94,572SH SOLE 0 94,572 ACORDA THERAPEUTICS INC COMMON00484M106 444 18,637SH SOLE 0 18,637 ACTIVE NETWORK INC/THE COMMON00506D100 78 5,768SH SOLE 0 5,768 ACTIVE POWER INC COMMON00504W100 25 38,186SH SOLE 0 38,186 ACTIVISION BLIZZARD INC COMMON00507V109 8,950 726,449SH SOLE 0 726,449 ACTUANT CORP A COMMON00508X203 738 32,510SH SOLE 0 32,510 ACTUATE CORP COMMON00508B102 105 17,952SH SOLE 0 17,952 ACUITY BRANDS INC COMMON00508Y102 1,085 20,472SH SOLE 0 20,472 ACURA PHARMACEUTICALS INC COMMON00509L703 18 5,103SH SOLE 0 5,103 ACXIOM CORP COMMON005125109 469 38,437SH SOLE 0 38,437 ADOBE SYSTEMS INC COMMON00724F101 25,237 892,729SH SOLE 0 892,729 ADTRAN INC COMMON00738A106 922 30,570SH SOLE 0 30,570 ADVANCE AMERICA CASH ADVANCE COMMON00739W107 233 26,062SH SOLE 0 26,062 ADVANCE AUTO PARTS INC COMMON00751Y106 9,079 130,385SH SOLE 0 130,385 ADVANCED ANALOGIC TECHNOLOGI COMMON00752J108 117 20,289SH SOLE 0 20,289 ADVANCED ENERGY INDUSTRIES COMMON007973100 222 20,692SH SOLE 0 20,692 ADVANCED MICRO DEVICES COMMON007903107 5,873 1,087,552SH SOLE 0 1,087,552 ADVENT SOFTWARE INC COMMON007974108 379 15,565SH SOLE 0 15,565 ADVISORY BOARD CO/THE COMMON00762W107 554 7,466SH SOLE 0 7,466 AECOM TECHNOLOGY CORP COMMON00766T100 4,267 207,450SH SOLE 0 207,450 AEGERION PHARMACEUTICALS INC COMMON00767E102 72 4,285SH SOLE 0 4,285 AEGION CORP COMMON00770F104 286 18,643SH SOLE 0 18,643 AEP INDUSTRIES INC COMMON001031103 56 1,991SH SOLE 0 1,991 AEROFLEX HOLDING CORP COMMON007767106 97 9,471SH SOLE 0 9,471 AEROPOSTALE INC COMMON007865108 583 38,233SH SOLE 0 38,233 AEROVIRONMENT INC COMMON008073108 252 8,011SH SOLE 0 8,011 AES CORP COMMON00130H105 13,346 1,127,232SH SOLE 0 1,127,232 AETNA INC COMMON00817Y108 27,474 651,208SH SOLE 0 651,208 AFC ENTERPRISES COMMON00104Q107 172 11,719SH SOLE 0 11,719 AFFILIATED MANAGERS GROUP COMMON008252108 8,756 91,252SH SOLE 0 91,252 AFFYMAX INC COMMON00826A109 112 16,891SH SOLE 0 16,891 AFFYMETRIX INC COMMON00826T108 136 33,355SH SOLE 0 33,355 AFLAC INC COMMON001055102 34,721 802,609SH SOLE 0 802,609 AG MORTGAGE INVESTMENT TRUST COMMON001228105 60 3,000SH SOLE 0 3,000 AGCO CORP COMMON001084102 6,984 162,539SH SOLE 0 162,539 AGILENT TECHNOLOGIES INC COMMON00846U101 21,509 615,782SH SOLE 0 615,782 AGILYSYS INC COMMON00847J105 68 8,498SH SOLE 0 8,498 AGL RESOURCES INC COMMON001204106 8,445 199,843SH SOLE 0 199,843 AGREE REALTY CORP REIT U008492100 115 4,705SH SOLE 0 4,705 AH BELO CORP A COMMON001282102 42 8,822SH SOLE 0 8,822 AIR LEASE CORP COMMON00912X302 1,415 59,664SH SOLE 0 59,664 AIR METHODS CORP COMMON009128307 454 5,376SH SOLE 0 5,376 AIR PRODUCTS + CHEMICALS INC COMMON009158106 31,943 374,964SH SOLE 0 374,964 AIR TRANSPORT SERVICES GROUP COMMON00922R105 121 25,653SH SOLE 0 25,653 AIRCASTLE LTD COMMONG0129K104 331 26,008SH SOLE 0 26,008 AIRGAS INC COMMON009363102 10,834 138,755SH SOLE 0 138,755 AK STEEL HOLDING CORP COMMON001547108 1,572 190,375SH SOLE 0 190,375 AKAMAI TECHNOLOGIES INC COMMON00971T101 10,638 329,554SH SOLE 0 329,554 AKORN INC COMMON009728106 297 26,666SH SOLE 0 26,666 ALAMO GROUP INC COMMON011311107 85 3,169SH SOLE 0 3,169 ALASKA AIR GROUP INC COMMON011659109 1,277 17,003SH SOLE 0 17,003 ALASKA COMM SYSTEMS GROUP COMMON01167P101 65 21,555SH SOLE 0 21,555 ALBANY INTL CORP CL A COMMON012348108 303 13,103SH SOLE 0 13,103 ALBANY MOLECULAR RESEARCH COMMON012423109 31 10,505SH SOLE 0 10,505 ALBEMARLE CORP COMMON012653101 8,349 162,094SH SOLE 0 162,094 ALCOA INC COMMON013817101 15,789 1,825,261SH SOLE 0 1,825,261 ALERE INC COMMON01449J105 3,385 146,613SH SOLE 0 146,613 ALEXANDER + BALDWIN INC COMMON014482103 2,909 71,273SH SOLE 0 71,273 ALEXANDER S INC REIT U014752109 363 980SH SOLE 0 980 ALEXANDRIA REAL ESTATE EQUIT REIT U015271109 7,304 105,899SH SOLE 0 105,899 ALEXION PHARMACEUTICALS INC COMMON015351109 23,264 325,373SH SOLE 0 325,373 ALICO INC COMMON016230104 32 1,650SH SOLE 0 1,650 ALIGN TECHNOLOGY INC COMMON016255101 690 29,071SH SOLE 0 29,071 ALIMERA SCIENCES INC COMMON016259103 7 5,357SH SOLE 0 5,357 ALKERMES PLC COMMONG01767105 783 45,115SH SOLE 0 45,115 ALLEGHANY CORP COMMON017175100 3,234 11,336SH SOLE 0 11,336 ALLEGHENY TECHNOLOGIES INC COMMON01741R102 8,981 187,886SH SOLE 0 187,886 ALLEGIANT TRAVEL CO COMMON01748X102 371 6,953SH SOLE 0 6,953 ALLERGAN INC COMMON018490102 47,325 539,380SH SOLE 0 539,380 ALLETE INC COMMON018522300 635 15,122SH SOLE 0 15,122 ALLIANCE DATA SYSTEMS CORP COMMON018581108 9,375 90,285SH SOLE 0 90,285 ALLIANCE FINANCIAL CORP COMMON019205103 71 2,287SH SOLE 0 2,287 ALLIANCE HEALTHCARE SERVICE COMMON018606202 15 11,684SH SOLE 0 11,684 ALLIANT ENERGY CORP COMMON018802108 8,398 190,395SH SOLE 0 190,395 ALLIANT TECHSYSTEMS INC COMMON018804104 3,297 57,678SH SOLE 0 57,678 ALLIED NEVADA GOLD CORP COMMON019344100 4,778 157,780SH SOLE 0 157,780 ALLIED WORLD ASSURANCE CO COMMONH01531104 4,094 65,049SH SOLE 0 65,049 ALLOS THERAPEUTICS INC COMMON019777101 53 37,449SH SOLE 0 37,449 ALLSCRIPTS HEALTHCARE SOLUTI COMMON01988P108 6,337 334,597SH SOLE 0 334,597 ALLSTATE CORP COMMON020002101 24,599 897,431SH SOLE 0 897,431 ALMOST FAMILY INC COMMON020409108 65 3,910SH SOLE 0 3,910 ALNYLAM PHARMACEUTICALS INC COMMON02043Q107 143 17,562SH SOLE 0 17,562 ALON USA ENERGY INC COMMON020520102 47 5,412SH SOLE 0 5,412 ALPHA + OMEGA SEMICONDUCTOR COMMONG6331P104 51 7,013SH SOLE 0 7,013 ALPHA NATURAL RESOURCES INC COMMON02076X102 8,081 395,560SH SOLE 0 395,560 ALPHATEC HOLDINGS INC COMMON02081G102 44 25,739SH SOLE 0 25,739 ALTERA CORP COMMON021441100 21,155 570,204SH SOLE 0 570,204 ALTERRA CAPITAL HOLDINGS LTD COMMONG0229R108 1,014 42,913SH SOLE 0 42,913 ALTRA HOLDINGS INC COMMON02208R106 240 12,744SH SOLE 0 12,744 AMAG PHARMACEUTICALS INC COMMON00163U106 189 10,004SH SOLE 0 10,004 AMAZON.COM INC COMMON023135106 111,332 643,166SH SOLE 0 643,166 AMBASSADORS GROUP INC COMMON023177108 38 8,454SH SOLE 0 8,454 AMC NETWORKS INC A COMMON00164V103 3,610 96,057SH SOLE 0 96,057 AMCOL INTERNATIONAL CORP COMMON02341W103 310 11,530SH SOLE 0 11,530 AMDOCS LTD COMMONG02602103 8,552 299,742SH SOLE 0 299,742 AMEDISYS INC COMMON023436108 154 14,070SH SOLE 0 14,070 AMERCO COMMON023586100 366 4,137SH SOLE 0 4,137 AMEREN CORPORATION COMMON023608102 13,711 413,850SH SOLE 0 413,850 AMERESCO INC CL A COMMON02361E108 114 8,332SH SOLE 0 8,332 AMERICA S CAR MART INC COMMON03062T105 160 4,079SH SOLE 0 4,079 AMERICAN ASSETS TRUST INC REIT 024013104 312 15,200SH SOLE 0 15,200 AMERICAN AXLE + MFG HOLDINGS COMMON024061103 313 31,672SH SOLE 0 31,672 AMERICAN CAMPUS COMMUNITIES REIT U024835100 1,348 32,119SH SOLE 0 32,119 AMERICAN CAPITAL AGENCY CORP REIT U02503X105 10,800 384,631SH SOLE 0 384,631 AMERICAN CAPITAL LTD COMMON02503Y103 4,073 605,208SH SOLE 0 605,208 AMERICAN CAPITAL MORTGAGE IN REIT 02504A104 72 3,800SH SOLE 0 3,800 AMERICAN DENTAL PARTNERS INC COMMON025353103 137 7,264SH SOLE 0 7,264 AMERICAN EAGLE OUTFITTERS COMMON02553E106 5,113 334,425SH SOLE 0 334,425 AMERICAN ELECTRIC POWER COMMON025537101 34,152 826,735SH SOLE 0 826,735 AMERICAN EQUITY INVT LIFE HL COMMON025676206 294 28,282SH SOLE 0 28,282 AMERICAN EXPRESS CO COMMON025816109 86,656 1,837,100SH SOLE 0 1,837,100 AMERICAN FINANCIAL GROUP INC COMMON025932104 5,085 137,833SH SOLE 0 137,833 AMERICAN GREETINGS CORP CL A COMMON026375105 239 19,096SH SOLE 0 19,096 AMERICAN INTERNATIONAL GROUP COMMON026874784 17,595 758,396SH SOLE 0 758,396 AMERICAN NATIONAL INSURANCE COMMON028591105 863 11,814SH SOLE 0 11,814 AMERICAN PUBLIC EDUCATION COMMON02913V103 365 8,437SH SOLE 0 8,437 AMERICAN RAILCAR INDUSTRIES COMMON02916P103 111 4,648SH SOLE 0 4,648 AMERICAN REPROGRAPHICS CO COMMON029263100 81 17,641SH SOLE 0 17,641 AMERICAN SAFETY INS HOLDINGS COMMONG02995101 108 4,976SH SOLE 0 4,976 AMERICAN SCIENCE + ENGINEERI COMMON029429107 294 4,313SH SOLE 0 4,313 AMERICAN SOFTWARE INC CL A COMMON029683109 100 10,621SH SOLE 0 10,621 AMERICAN STATES WATER CO COMMON029899101 307 8,808SH SOLE 0 8,808 AMERICAN SUPERCONDUCTOR CORP COMMON030111108 79 21,322SH SOLE 0 21,322 AMERICAN TOWER CORP CL A COMMON029912201 42,117 701,832SH SOLE 0 701,832 AMERICAN VANGUARD CORP COMMON030371108 141 10,562SH SOLE 0 10,562 AMERICAN WATER WORKS CO INC COMMON030420103 9,586 300,865SH SOLE 0 300,865 AMERICAN WOODMARK CORP COMMON030506109 59 4,332SH SOLE 0 4,332 AMERIGON INC COMMON03070L300 150 10,497SH SOLE 0 10,497 AMERIGROUP CORP COMMON03073T102 4,532 76,713SH SOLE 0 76,713 AMERIPRISE FINANCIAL INC COMMON03076C106 19,273 388,246SH SOLE 0 388,246 AMERIS BANCORP COMMON03076K108 116 11,287SH SOLE 0 11,287 AMERISAFE INC COMMON03071H100 202 8,681SH SOLE 0 8,681 AMERISOURCEBERGEN CORP COMMON03073E105 17,004 457,229SH SOLE 0 457,229 AMERISTAR CASINOS INC COMMON03070Q101 264 15,281SH SOLE 0 15,281 AMES NATIONAL CORP COMMON031001100 76 3,897SH SOLE 0 3,897 AMETEK INC COMMON031100100 11,984 284,650SH SOLE 0 284,650 AMGEN INC COMMON031162100 96,847 1,508,293SH SOLE 0 1,508,293 AMICUS THERAPEUTICS INC COMMON03152W109 26 7,529SH SOLE 0 7,529 AMKOR TECHNOLOGY INC COMMON031652100 199 45,749SH SOLE 0 45,749 AMN HEALTHCARE SERVICES INC COMMON001744101 84 18,874SH SOLE 0 18,874 AMPCO PITTSBURGH CORP COMMON032037103 79 4,081SH SOLE 0 4,081 AMPHENOL CORP CL A COMMON032095101 13,312 293,281SH SOLE 0 293,281 AMPIO PHARMACEUTICALS INC COMMON03209T109 40 9,462SH SOLE 0 9,462 AMR CORP COMMON001765106 203 580,564SH SOLE 0 580,564 AMSURG CORP COMMON03232P405 384 14,764SH SOLE 0 14,764 AMTECH SYSTEMS INC COMMON032332504 39 4,571SH SOLE 0 4,571 AMTRUST FINANCIAL SERVICES COMMON032359309 271 11,402SH SOLE 0 11,402 AMYLIN PHARMACEUTICALS INC COMMON032346108 2,635 231,511SH SOLE 0 231,511 AMYRIS INC COMMON03236M101 96 8,320SH SOLE 0 8,320 ANACOR PHARMACEUTICALS INC COMMON032420101 32 5,188SH SOLE 0 5,188 ANADARKO PETROLEUM CORP COMMON032511107 65,474 857,770SH SOLE 0 857,770 ANADIGICS INC COMMON032515108 69 31,484SH SOLE 0 31,484 ANALOG DEVICES INC COMMON032654105 18,973 530,263SH SOLE 0 530,263 ANALOGIC CORP COMMON032657207 338 5,889SH SOLE 0 5,889 ANAREN INC COMMON032744104 118 7,108SH SOLE 0 7,108 ANCESTRY.COM INC COMMON032803108 345 15,016SH SOLE 0 15,016 ANDERSONS INC/THE COMMON034164103 385 8,824SH SOLE 0 8,824 ANGIE S LIST INC COMMON034754101 77 4,800SH SOLE 0 4,800 ANGIODYNAMICS INC COMMON03475V101 175 11,826SH SOLE 0 11,826 ANIXTER INTERNATIONAL INC COMMON035290105 819 13,737SH SOLE 0 13,737 ANN INC COMMON035623107 611 24,648SH SOLE 0 24,648 ANNALY CAPITAL MANAGEMENT IN REIT U035710409 26,047 1,631,991SH SOLE 0 1,631,991 ANSYS INC COMMON03662Q105 9,300 162,360SH SOLE 0 162,360 ANTARES PHARMA INC COMMON036642106 92 42,042SH SOLE 0 42,042 ANTHERA PHARMACEUTICALS INC COMMON03674U102 62 10,053SH SOLE 0 10,053 ANWORTH MORTGAGE ASSET CORP REIT U037347101 398 63,401SH SOLE 0 63,401 AOL INC COMMON00184X105 2,521 166,952SH SOLE 0 166,952 AON CORP COMMON037389103 26,544 567,170SH SOLE 0 567,170 APACHE CORP COMMON037411105 60,139 663,931SH SOLE 0 663,931 APARTMENT INVT + MGMT CO A REIT U03748R101 4,794 209,259SH SOLE 0 209,259 APCO OIL AND GAS INTL INC COMMONG0471F109 349 4,275SH SOLE 0 4,275 APOGEE ENTERPRISES INC COMMON037598109 163 13,270SH SOLE 0 13,270 APOLLO COMMERCIAL REAL ESTAT REIT U03762U105 128 9,732SH SOLE 0 9,732 APOLLO GROUP INC CL A COMMON037604105 10,606 196,875SH SOLE 0 196,875 APOLLO INVESTMENT CORP COMMON03761U106 597 92,764SH SOLE 0 92,764 APOLLO RESIDENTIAL MORTGAGE COMMON03763V102 72 4,700SH SOLE 0 4,700 APPLE INC COMMON037833100 662,836 1,636,631SH SOLE 0 1,636,631 APPLIED INDUSTRIAL TECH INC COMMON03820C105 704 20,026SH SOLE 0 20,026 APPLIED MATERIALS INC COMMON038222105 24,274 2,266,474SH SOLE 0 2,266,474 APPLIED MICRO CIRCUITS CORP COMMON03822W406 201 29,946SH SOLE 0 29,946 APPROACH RESOURCES INC COMMON03834A103 362 12,305SH SOLE 0 12,305 APTARGROUP INC COMMON038336103 6,011 115,221SH SOLE 0 115,221 AQUA AMERICA INC COMMON03836W103 5,246 237,920SH SOLE 0 237,920 ARBITRON INC COMMON03875Q108 442 12,853SH SOLE 0 12,853 ARCH CAPITAL GROUP LTD COMMONG0450A105 8,430 226,437SH SOLE 0 226,437 ARCH COAL INC COMMON039380100 5,285 364,210SH SOLE 0 364,210 ARCHER DANIELS MIDLAND CO COMMON039483102 33,166 1,159,635SH SOLE 0 1,159,635 ARCHIPELAGO LEARNING INC COMMON03956P102 60 6,234SH SOLE 0 6,234 ARCTIC CAT INC COMMON039670104 130 5,744SH SOLE 0 5,744 ARDEA BIOSCIENCES INC COMMON03969P107 133 7,907SH SOLE 0 7,907 ARDEN GROUP INC A COMMON039762109 49 542SH SOLE 0 542 ARENA PHARMACEUTICALS INC COMMON040047102 129 69,043SH SOLE 0 69,043 ARES CAPITAL CORP COMMON04010L103 5,428 351,359SH SOLE 0 351,359 ARGAN INC COMMON04010E109 56 3,692SH SOLE 0 3,692 ARGO GROUP INTERNATIONAL COMMONG0464B107 377 13,001SH SOLE 0 13,001 ARIAD PHARMACEUTICALS INC COMMON04033A100 766 62,508SH SOLE 0 62,508 ARIBA INC COMMON04033V203 4,797 170,835SH SOLE 0 170,835 ARKANSAS BEST CORP COMMON040790107 231 12,010SH SOLE 0 12,010 ARLINGTON ASSET INVESTMENT A COMMON041356205 66 3,071SH SOLE 0 3,071 ARMOUR RESIDENTIAL REIT INC REIT U042315101 310 43,914SH SOLE 0 43,914 ARMSTRONG WORLD INDUSTRIES COMMON04247X102 1,587 36,174SH SOLE 0 36,174 ARQULE INC COMMON04269E107 144 25,480SH SOLE 0 25,480 ARRAY BIOPHARMA INC COMMON04269X105 59 27,344SH SOLE 0 27,344 ARRIS GROUP INC COMMON04269Q100 634 58,582SH SOLE 0 58,582 ARROW ELECTRONICS INC COMMON042735100 7,443 198,950SH SOLE 0 198,950 ARROW FINANCIAL CORP COMMON042744102 113 4,807SH SOLE 0 4,807 ARTESIAN RESOURCES CORP CL A COMMON043113208 66 3,497SH SOLE 0 3,497 ARTHROCARE CORP COMMON043136100 409 12,920SH SOLE 0 12,920 ARTHUR J GALLAGHER + CO COMMON363576109 6,340 189,588SH SOLE 0 189,588 ARTIO GLOBAL INVESTORS INC COMMON04315B107 73 14,933SH SOLE 0 14,933 ARUBA NETWORKS INC COMMON043176106 749 40,437SH SOLE 0 40,437 ASBURY AUTOMOTIVE GROUP COMMON043436104 298 13,836SH SOLE 0 13,836 ASCENA RETAIL GROUP INC COMMON04351G101 882 29,683SH SOLE 0 29,683 ASCENT CAPITAL GROUP INC A COMMON043632108 345 6,810SH SOLE 0 6,810 ASHFORD HOSPITALITY TRUST REIT U044103109 199 24,847SH SOLE 0 24,847 ASHLAND INC COMMON044209104 7,754 135,654SH SOLE 0 135,654 ASPEN INSURANCE HOLDINGS LTD COMMONG05384105 3,216 121,344SH SOLE 0 121,344 ASPEN TECHNOLOGY INC COMMON045327103 696 40,087SH SOLE 0 40,087 ASSISTED LIVING CONCEPTS I A COMMON04544X300 138 9,240SH SOLE 0 9,240 ASSOCIATED BANC CORP COMMON045487105 3,322 297,376SH SOLE 0 297,376 ASSOCIATED ESTATES REALTY CP REIT U045604105 312 19,573SH SOLE 0 19,573 ASSURANT INC COMMON04621X108 6,797 165,533SH SOLE 0 165,533 ASSURED GUARANTY LTD COMMONG0585R106 4,153 316,021SH SOLE 0 316,021 ASTEC INDUSTRIES INC COMMON046224101 303 9,417SH SOLE 0 9,417 ASTEX PHARMACEUTICALS COMMON04624B103 51 26,810SH SOLE 0 26,810 ASTORIA FINANCIAL CORP COMMON046265104 349 41,144SH SOLE 0 41,144 ASTRONICS CORP COMMON046433108 175 4,883SH SOLE 0 4,883 AT CROSS CO CL A COMMON227478104 52 4,569SH SOLE 0 4,569 AT+T INC COMMON00206R102 307,297 10,161,949SH SOLE 0 10,161,949 ATHENAHEALTH INC COMMON04685W103 813 16,546SH SOLE 0 16,546 ATLANTIC POWER CORP COMMON04878Q863 768 53,714SH SOLE 0 53,714 ATLANTIC TELE NETWORK INC COMMON049079205 175 4,472SH SOLE 0 4,472 ATLAS 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SOLE 0 161,258 AVANIR PHARMACEUTICALS INC A COMMON05348P401 121 59,237SH SOLE 0 59,237 AVATAR HOLDINGS INC COMMON053494100 31 4,254SH SOLE 0 4,254 AVEO PHARMACEUTICALS INC COMMON053588109 255 14,810SH SOLE 0 14,810 AVERY DENNISON CORP COMMON053611109 5,270 183,761SH SOLE 0 183,761 AVI BIOPHARMA INC COMMON002346104 48 64,534SH SOLE 0 64,534 AVIAT NETWORKS INC COMMON05366Y102 53 28,867SH SOLE 0 28,867 AVID TECHNOLOGY INC COMMON05367P100 120 14,050SH SOLE 0 14,050 AVIS BUDGET GROUP INC COMMON053774105 533 49,715SH SOLE 0 49,715 AVISTA CORP COMMON05379B107 703 27,309SH SOLE 0 27,309 AVNET INC COMMON053807103 8,151 262,172SH SOLE 0 262,172 AVON PRODUCTS INC COMMON054303102 13,301 761,345SH SOLE 0 761,345 AVX CORP COMMON002444107 1,053 82,537SH SOLE 0 82,537 AXCELIS TECHNOLOGIES INC COMMON054540109 68 50,883SH SOLE 0 50,883 AXIS CAPITAL HOLDINGS LTD COMMONG0692U109 7,099 222,114SH SOLE 0 222,114 AXT INC COMMON00246W103 63 15,102SH SOLE 0 15,102 AZZ INC COMMON002474104 268 5,892SH SOLE 0 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