0000714142-12-000004.txt : 20120719 0000714142-12-000004.hdr.sgml : 20120719 20120719110659 ACCESSION NUMBER: 0000714142-12-000004 CONFORMED SUBMISSION TYPE: 13F-HR PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20120630 FILED AS OF DATE: 20120719 DATE AS OF CHANGE: 20120719 EFFECTIVENESS DATE: 20120719 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TEACHERS RETIREMENT SYSTEM OF THE STATE OF KENTUCKY CENTRAL INDEX KEY: 0000714142 IRS NUMBER: 610863412 STATE OF INCORPORATION: KY FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: 13F-HR SEC ACT: 1934 Act SEC FILE NUMBER: 028-01068 FILM NUMBER: 12969380 BUSINESS ADDRESS: STREET 1: 479 VARSAILLES ROAD CITY: FRANKFORT STATE: KY ZIP: 40601 BUSINESS PHONE: 5025732057 MAIL ADDRESS: STREET 1: 479 VERSAILLES ROAD CITY: FRANKFORT STATE: KY ZIP: 40601 13F-HR 1 edgktrs.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: June 30, 2012 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: Teachers' Retirement System of the State of Kentucky Address: 479 Versailles Road Frankfort, Ky. 40601-3868 13F File Number: 28-1067 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Paul L. Yancey Title: Investment Officer Phone: 502-848-8600 Signature, Place, and Date of Signing: Paul L. Yancey Frankfort, KY July 19, 2012 Report Type (check only one.): [ x ] 13F HOLDINGS REPORT. [ ] 13F NOTICE. [ ] 13F COMBINATION REPORT. List of Other Managers Reporting for this Manager: I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934. FORM 13F SUMMARY PAGE Report summary: Number of other Included Managers: 31 Form 13F Information Table Entry Total: 2,277 Form 13F Information Table Value Total: $8,911,307 List of Other Included Managers: No. 13F File Number Name 01 S&P 400 STOCK INDEX 02 S&P 500 STOCK INDEX 03 S&P 600 STOCK INDEX 04 GE ASSET MGMT. 05 TODD VEREDUS MGMT. ALPHA 06 TODD VEREDUS MGMT. ALPHA INTL. 07 FORT WASHINGTON HIGH YIELD 08 TODD VEREDUS MGMT. ALPHA LARGE CAP 09 UBS US ALPHA RELATIONSHIP FUND 10 UBS GLOBAL ASSET MGMT. MID CAP 11 UBS INTERNATIONAL COLLECTIVE FUND 12 28-517 WELLINGTON LARGE CAP 13 28-517 WELLINGTON MID CAP 14 28-517 WELLINGTON SMALL CAP 15 KKR PRIVATE EQUITY 16 ALINDA INFRASTRUCTURE FUND 17 AUDAX MEZZANINE 18 BAILLIE GIFFORD INTERNAT EAFE FUND 19 BARING FOCUSED INTERNAT EQUITY FUND 20 CAPITAL SOUTH FUND 21 CHRYSALIS PRIVATE EQUITY 22 FORT WASHINGTON PRIVATE EQUITY 23 HELLMAN AND FRIEDMAN 24 JP MORGAN MARITIME FUND 25 LANDMARK EQUITY PARTNERS 26 LEXINGTON CAPITAL PARTNERS 27 NATURAL GAS PARTNERS 28 OAKTREE 29 PARISH CAPITAL 30 RIVERSTONE/CARLYLE PRIVATE EQUITY 31 BLACK ROCK WORLD EQUITY FUND FORM 13F INFORMATION TABLE FORM 13F TEACHERS' RETIREMENT STATE OF KENTUCKY ITEM 1: ITEM 2 ITEM 3: ITEM 4: ITEM 5: FUND PricTITLE OF VALUE SHARES/ SH/PUTINVSTMT OTHER VOTING AUTHORITY NO NAME OF ISSUER 6/30/12CLASS CUSIP (X$1000) PRN AMT PRNCALDSCRETN MANAGERS SOLE SHARENONE -------- 1000ACI Worldwide Inc 44.21 Com 004498101 548 12,400 SH DEFINED1 12,400 0 0 1000AECOM Technology Corp 16.45 Com 00766T100 730 44,400 SH DEFINED1 44,400 0 0 1000AMC Networks Inc 35.55 Com 00164V103 675 19,000 SH DEFINED1 19,000 0 0 1000AOL Inc 28.08 Com 00184X105 860 30,616 SH DEFINED1 30,616 0 0 1000Aarons Inc 28.31 Com 002535300 578 20,400 SH DEFINED1 20,400 0 0 1000Acuity Brands Inc 50.91 Com 00508Y102 616 12,100 SH DEFINED1 12,100 0 0 1000Acxiom Corp 15.11 Com 005125109 406 26,900 SH DEFINED1 26,900 0 0 1000Adtran Inc 30.19 Com 00738A106 634 21,000 SH DEFINED1 21,000 0 0 1000Advance Auto Parts 68.22 Com 00751Y106 1,910 28,000 SH DEFINED1 28,000 0 0 1000Advent Software Inc 27.11 Com 007974108 233 8,600 SH DEFINED1 8,600 0 0 1000Aeropostale Inc 17.83 Com 007865108 554 31,075 SH DEFINED1 31,075 0 0 1000Affiliated Managers Group 109.45 Com 008252108 1,587 14,500 SH DEFINED1 14,500 0 0 1000Agco Corp 45.73 Com 001084102 1,605 35,100 SH DEFINED1 35,100 0 0 1000Alaska Air Group Inc 35.9 Com 011659109 1,020 28,400 SH DEFINED1 28,400 0 0 1000Albermarle Corp 59.64 Com 012653101 1,813 30,400 SH DEFINED1 30,400 0 0 1000Alexander & Baldwin Hldgs 53.25 Com 014481105 724 13,600 SH DEFINED1 13,600 0 0 1000Alexandria Real Estate Equ 72.72 Com 015271109 1,331 18,300 SH DEFINED1 18,300 0 0 1000Alleghany Corp 339.75 Com 017175100 1,434 4,220 SH DEFINED1 4,220 0 0 1000Alliance Data Systems Corp 135 Com 018581108 2,471 18,300 SH DEFINED1 18,300 0 0 1000Alliant Energy Corp 45.57 Com 018802108 1,718 37,700 SH DEFINED1 37,700 0 0 1000Alliant Techsystems Inc 50.57 Com 018804104 551 10,900 SH DEFINED1 10,900 0 0 1000Allscripts Healthcare Solu 10.93 Com 01988P108 656 60,000 SH DEFINED1 60,000 0 0 1000American Campus Communitie 44.98 Com 024835100 1,201 26,700 SH DEFINED1 26,700 0 0 1000American Eagle Outfitters 19.73 Com 02553E106 1,258 63,750 SH DEFINED1 63,750 0 0 1000American Financial Group I 39.23 Com 025932104 1,012 25,800 SH DEFINED1 25,800 0 0 1000Amerigroup Corp 65.91 Com 03073T102 1,127 17,100 SH DEFINED1 17,100 0 0 1000Ametek Inc 49.91 Com 031100100 2,625 52,600 SH DEFINED1 52,600 0 0 1000Ann Inc 25.49 Com 035623107 477 18,700 SH DEFINED1 18,700 0 0 1000Ansys Inc 63.11 Com 03662Q105 2,051 32,500 SH DEFINED1 32,500 0 0 1000Appollo Investment Corp 7.67 Com 03761U106 425 55,400 SH DEFINED1 55,400 0 0 1000Aptargroup Inc 51.05 Com 038336103 960 18,800 SH DEFINED1 18,800 0 0 1000Aqua America Inc 24.96 Com 03836W103 1,130 45,256 SH DEFINED1 45,256 0 0 1000Arch Coal Inc 6.89 Com 039380100 549 79,700 SH DEFINED1 79,700 0 0 1000Arrow Electronics Inc 32.81 Com 042735100 1,404 42,800 SH DEFINED1 42,800 0 0 1000Arthur J Gallagher & Co 35.07 Com 363576109 1,210 34,500 SH DEFINED1 34,500 0 0 1000Ascena Retail Group Inc 18.62 Com 04351G101 853 45,800 SH DEFINED1 45,800 0 0 1000Ashland Inc 69.31 Com 044209104 1,892 27,300 SH DEFINED1 27,300 0 0 1000Aspen Insurance Holdings L 28.9 Com G05384105 723 25,000 SH DEFINED1 25,000 0 0 1000Associated Banc Corp 13.19 Com 045487105 741 56,200 SH DEFINED1 56,200 0 0 1000Astoria Financial Corp 9.8 Com 046265104 256 26,100 SH DEFINED1 26,100 0 0 1000Atmel Corp 6.71 Com 049513104 967 144,100 SH DEFINED1 144,100 0 0 1000Atmos Energy Corp 35.07 Com 049560105 1,164 33,200 SH DEFINED1 33,200 0 0 1000Atwood Oceanics Inc 37.84 Com 050095108 810 21,400 SH DEFINED1 21,400 0 0 1000Avnet Inc 30.86 Com 053807103 1,719 55,700 SH DEFINED1 55,700 0 0 1000BE Aerospace Inc 43.66 Com 073302101 1,489 34,100 SH DEFINED1 34,100 0 0 1000BRE Properties Inc 50.02 Com 05564E106 1,080 21,600 SH DEFINED1 21,600 0 0 1000Bally Technologies Inc 46.66 Com 05874B107 597 12,790 SH DEFINED1 12,790 0 0 1000BancorpSouth Inc 14.52 Com 059692103 340 23,400 SH DEFINED1 23,400 0 0 1000Bank of Hawaii Corp 45.95 Com 062540109 735 16,000 SH DEFINED1 16,000 0 0 1000Barnes & Noble Inc 16.46 Com 067774109 227 13,800 SH DEFINED1 13,800 0 0 1000Berkley WR Corp 38.92 Com 084423102 1,489 38,263 SH DEFINED1 38,263 0 0 1000Bill Barrett Corp 21.42 Com 06846N104 330 15,400 SH DEFINED1 15,400 0 0 1000Bio Rad Labs Inc 100.01 Com 090572207 630 6,300 SH DEFINED1 6,300 0 0 1000BioMed Realty Trust Inc 18.68 Com 09063H107 828 44,300 SH DEFINED1 44,300 0 0 1000Black Hills Corp 32.17 Com 092113109 436 13,538 SH DEFINED1 13,538 0 0 1000Bob Evans Farms 40.2 Com 096761101 450 11,200 SH DEFINED1 11,200 0 0 1000BorgWarner Inc 65.59 Com 099724106 124 1,894 SH DEFINED1 1,894 0 0 1000Brink's Co (The) 23.18 Com 109696104 394 17,000 SH DEFINED1 17,000 0 0 1000Brinker International Inc 31.87 Com 109641100 1,107 34,750 SH DEFINED1 34,750 0 0 1000Broadridge Financial Solut 21.27 Com 11133T103 883 41,500 SH DEFINED1 41,500 0 0 1000Brown & Brown Inc 27.27 Com 115236101 1,042 38,200 SH DEFINED1 38,200 0 0 1000CBOE Holdings Inc 27.68 Com 12503M108 756 27,300 SH DEFINED1 27,300 0 0 1000Cabot Corp 40.7 Com 127055101 1,005 24,700 SH DEFINED1 24,700 0 0 1000Cadence Design System Inc 10.99 Com 127387108 1,110 101,000 SH DEFINED1 101,000 0 0 1000Camden Property Trust 67.67 Com 133131102 1,529 22,600 SH DEFINED1 22,600 0 0 1000Carbo Ceramics Inc 76.73 Com 140781105 491 6,400 SH DEFINED1 6,400 0 0 1000Carlisle Cos Inc 53.02 Com 142339100 1,098 20,700 SH DEFINED1 20,700 0 0 1000Carmax Inc 25.94 Com 143130102 7 288 SH DEFINED1 288 0 0 1000Carpenter Technology 47.84 Com 144285103 679 14,200 SH DEFINED1 14,200 0 0 1000Carters Inc 52.6 Com 146229109 847 16,100 SH DEFINED1 16,100 0 0 1000Catalyst Health Solutions 93.44 Com 14888B103 1,402 15,000 SH DEFINED1 15,000 0 0 1000Cathay General Bancorp 16.51 Com 149150104 424 25,700 SH DEFINED1 25,700 0 0 1000Charles River Laboratories 32.76 Com 159864107 537 16,400 SH DEFINED1 16,400 0 0 1000Cheesecake Factory 31.96 Com 163072101 610 19,100 SH DEFINED1 19,100 0 0 1000Chico's Fas Inc 14.84 Com 168615102 893 60,155 SH DEFINED1 60,155 0 0 1000Church & Dwight Co Inc 55.47 Com 171340102 2,228 40,174 SH DEFINED1 40,174 0 0 1000Ciena Corp 16.37 Com 171779309 426 26,042 SH DEFINED1 26,042 0 0 1000Cimarex Energy Co 55.12 Com 171798101 1,626 29,500 SH DEFINED1 29,500 0 0 1000Cinemark Holding Inc 22.85 Com 17243V102 839 36,700 SH DEFINED1 36,700 0 0 1000City National Corp 48.58 Com 178566105 743 15,300 SH DEFINED1 15,300 0 0 1000Clarcor Inc 48.16 Com 179895107 761 15,800 SH DEFINED1 15,800 0 0 1000Clean Harbors Inc 56.42 Com 184496107 835 14,800 SH DEFINED1 14,800 0 0 1000Cleco Corp 41.83 Com 12561W105 858 20,500 SH DEFINED1 20,500 0 0 1000Collective Brands Inc 21.42 Com 19421W100 521 24,300 SH DEFINED1 24,300 0 0 1000Commerce Bancshares Inc 37.9 Com 200525103 1,054 27,800 SH DEFINED1 27,800 0 0 1000Commercial Metals Co 12.64 Com 201723103 468 37,000 SH DEFINED1 37,000 0 0 1000Community Health Systems I 28.03 Com 203668108 1,001 35,700 SH DEFINED1 35,700 0 0 1000Compass Mineral Internatio 76.28 Com 20451N101 923 12,100 SH DEFINED1 12,100 0 0 1000Compuware Corp 9.3 Com 205638109 674 72,500 SH DEFINED1 72,500 0 0 1000Con-Way Inc 36.11 Com 205944101 643 17,800 SH DEFINED1 17,800 0 0 1000Concur Technologies Inc 68.1 Com 206708109 878 12,900 SH DEFINED1 12,900 0 0 1000Convergys Corp 14.77 Com 212485106 583 39,500 SH DEFINED1 39,500 0 0 1000Cooper Cos Inc 79.76 Com 216648402 1,133 14,200 SH DEFINED1 14,200 0 0 1000Copart Inc 23.69 Com 217204106 900 38,000 SH DEFINED1 38,000 0 0 1000CoreLogic Inc 18.31 Com 21871D103 635 34,700 SH DEFINED1 34,700 0 0 1000Corporate Executive Board 40.88 Com 21988R102 454 11,100 SH DEFINED1 11,100 0 0 1000Corporate Office Propertie 23.51 Com 22002T108 661 28,100 SH DEFINED1 28,100 0 0 1000Corrections Corp of Americ 29.45 Com 22025Y407 1,078 36,600 SH DEFINED1 36,600 0 0 1000Covance Inc 47.85 Com 222816100 866 18,100 SH DEFINED1 18,100 0 0 1000Crane Co 36.38 Com 224399105 549 15,100 SH DEFINED1 15,100 0 0 1000Cree Inc 25.67 Com 225447101 993 38,700 SH DEFINED1 38,700 0 0 1000Cullen Frost Bankers Inc 57.49 Com 229899109 1,161 20,200 SH DEFINED1 20,200 0 0 1000Cypress Semiconductor Corp 13.22 Com 232806109 616 46,600 SH DEFINED1 46,600 0 0 1000Cytec Industries Inc 58.64 Com 232820100 973 16,600 SH DEFINED1 16,600 0 0 1000DST Systems Inc 54.31 Com 233326107 625 11,500 SH DEFINED1 11,500 0 0 1000Deckers Outdoor Corp 44.01 Com 243537107 559 12,700 SH DEFINED1 12,700 0 0 1000Deluxe Corp 24.94 Com 248019101 434 17,400 SH DEFINED1 17,400 0 0 1000Dicks Sporting Goods Inc 48 Com 253393102 1,718 35,800 SH DEFINED1 35,800 0 0 1000Diebold Inc 36.91 Com 253651103 819 22,191 SH DEFINED1 22,191 0 0 1000Dollar Tree Inc 53.8 Com 256746108 404 7,500 SH DEFINED1 7,500 0 0 1000Domtar Corp 76.71 Com 257559203 1,312 17,100 SH DEFINED1 17,100 0 0 1000Donaldson Co Inc 33.37 Com 257651109 1,688 50,598 SH DEFINED1 50,598 0 0 1000Dreamworks Animation SKG A 19.06 Com 26153C103 383 20,100 SH DEFINED1 20,100 0 0 1000Dresser-Rand Group Inc 44.54 Com 261608103 1,207 27,100 SH DEFINED1 27,100 0 0 1000Dril-Quip Inc 65.59 Com 262037104 754 11,500 SH DEFINED1 11,500 0 0 1000Duke Realty Corp 14.64 Com 264411505 1,272 86,900 SH DEFINED1 86,900 0 0 1000East West Bancorp Inc 23.46 Com 27579R104 1,082 46,100 SH DEFINED1 46,100 0 0 1000Eaton Vance Corp 26.95 Com 278265103 1,038 38,500 SH DEFINED1 38,500 0 0 1000Endo Pharmaceutical Holdin 30.98 Com 29264F205 1,379 44,500 SH DEFINED1 44,500 0 0 1000Energen Corp 45.13 Com 29265N108 1,205 26,700 SH DEFINED1 26,700 0 0 1000Energizer Holdings Inc 75.25 Com 29266R108 1,708 22,700 SH DEFINED1 22,700 0 0 1000Ensco PLC 46.97 Com G3157S106 1,573 33,499 SH DEFINED1 33,499 0 0 1000Equinix Inc 175.65 Com 29444U502 2,881 16,400 SH DEFINED1 16,400 0 0 1000Equity One Inc 21.2 Com 294752100 290 13,700 SH DEFINED1 13,700 0 0 1000Essex Property Trust Inc 153.92 Com 297178105 1,354 8,800 SH DEFINED1 8,800 0 0 1000Esterline Technologies 62.35 Com 297425100 611 9,800 SH DEFINED1 9,800 0 0 1000Everest Re Group Ltd 103.49 Com G3223R108 1,769 17,096 SH DEFINED1 17,096 0 0 1000Exelis Inc 9.86 Com 30162A108 609 61,800 SH DEFINED1 61,800 0 0 1000FTI Consutlting Inc 28.75 Com 302941109 431 15,000 SH DEFINED1 15,000 0 0 1000Factset Research Systems I 92.94 Com 303075105 1,413 15,200 SH DEFINED1 15,200 0 0 1000Fair Isaac Corp 42.28 Com 303250104 562 13,300 SH DEFINED1 13,300 0 0 1000Fairchild Semiconductor 14.1 Com 303726103 658 46,700 SH DEFINED1 46,700 0 0 1000Federal Realty 104.09 Com 313747206 2,134 20,500 SH DEFINED1 20,500 0 0 1000Fidelity National Financia 19.26 Com 31620R105 1,549 80,450 SH DEFINED1 80,450 0 0 1000First American Financial C 16.96 Com 31847R102 594 35,000 SH DEFINED1 35,000 0 0 1000First Niagra Financial Gro 7.65 Com 33582V108 964 126,011 SH DEFINED1 126,011 0 0 1000Firstmerit Corp 16.51 Com 337915102 607 36,749 SH DEFINED1 36,749 0 0 1000Flowers Foods Inc 23.23 Com 343498101 885 38,100 SH DEFINED1 38,100 0 0 1000Foot Locker Inc 30.58 Com 344849104 1,593 52,100 SH DEFINED1 52,100 0 0 1000Forest Oil Corp 7.33 Com 346091705 237 32,300 SH DEFINED1 32,300 0 0 1000Fortune Brands Home & Secu 22.27 Com 34964C106 1,145 51,400 SH DEFINED1 51,400 0 0 1000Fossil Inc 76.54 Com 349882100 45 590 SH DEFINED1 590 0 0 1000Fulton Financial Corp 9.99 Com 360271100 665 66,531 SH DEFINED1 66,531 0 0 1000Gardner Denver Inc 52.91 Com 365558105 926 17,500 SH DEFINED1 17,500 0 0 1000Gartner Inc CL A 43.05 Com 366651107 1,115 25,900 SH DEFINED1 25,900 0 0 1000Gatx Corp 38.5 Com 361448103 597 15,500 SH DEFINED1 15,500 0 0 1000Gen-Probe Inc 82.2 Com 36866T103 1,118 13,600 SH DEFINED1 13,600 0 0 1000General Cable Corp 25.94 Com 369300108 553 21,300 SH DEFINED1 21,300 0 0 1000Gentex Corp 20.87 Com 371901109 954 45,700 SH DEFINED1 45,700 0 0 1000Global Payments Inc 43.23 Com 37940X102 1,063 24,600 SH DEFINED1 24,600 0 0 1000Graco Inc 46.08 Com 384109104 908 19,700 SH DEFINED1 19,700 0 0 1000Granite Construction Inc 26.11 Com 387328107 303 11,600 SH DEFINED1 11,600 0 0 1000Great Plains Energy Inc 21.41 Com 391164100 1,120 52,303 SH DEFINED1 52,303 0 0 1000Green Mtn Coffee Roasters 21.78 Com 393122106 954 43,800 SH DEFINED1 43,800 0 0 1000Greenhill & Co Inc 35.65 Com 395259104 296 8,300 SH DEFINED1 8,300 0 0 1000Greif Inc CL A 41 Com 397624107 480 11,700 SH DEFINED1 11,700 0 0 1000Guess Inc 30.37 Com 401617105 632 20,800 SH DEFINED1 20,800 0 0 1000HCC Insurance Holdings Inc 31.4 Com 404132102 1,187 37,800 SH DEFINED1 37,800 0 0 1000HMS Holding Corp 33.31 Com 40425J101 966 29,000 SH DEFINED1 29,000 0 0 1000HNI Corp 25.75 Com 404251100 337 13,100 SH DEFINED1 13,100 0 0 1000HSN Inc 40.35 Com 404303109 565 14,000 SH DEFINED1 14,000 0 0 1000Hancock Holding Co 30.44 Com 410120109 828 27,200 SH DEFINED1 27,200 0 0 1000Hanesbrands Inc 27.73 Com 410345102 913 32,937 SH DEFINED1 32,937 0 0 1000Hanover Insurance Group In 39.13 Com 410867105 595 15,200 SH DEFINED1 15,200 0 0 1000Harris Teeter Super Mkts 40.99 Com 414585109 693 16,900 SH DEFINED1 16,900 0 0 1000Harsco Corp 20.38 Com 415864107 632 31,000 SH DEFINED1 31,000 0 0 1000Hawaiian Electric Inds 28.52 Com 419870100 893 31,300 SH DEFINED1 31,300 0 0 1000Health Managment Associate 7.85 Com 421933102 750 95,600 SH DEFINED1 95,600 0 0 1000Health Net Inc 24.27 Com 42222G108 675 27,800 SH DEFINED1 27,800 0 0 1000Helix Energy Solutions Gro 16.41 Com 42330P107 545 33,200 SH DEFINED1 33,200 0 0 1000Henry Schein Inc 78.49 Com 806407102 2,049 26,100 SH DEFINED1 26,100 0 0 1000Highwoods Properties Inc 33.65 Com 431284108 781 23,200 SH DEFINED1 23,200 0 0 1000Hill Rom Holdings 30.85 Com 431475102 657 21,300 SH DEFINED1 21,300 0 0 1000HollyFrontier Corp 35.43 Com 436106108 2,650 74,800 SH DEFINED1 74,800 0 0 1000Hologic Inc 18.04 Com 436440101 1,144 63,400 SH DEFINED1 63,400 0 0 1000Home Properties Inc 61.36 Com 437306103 976 15,900 SH DEFINED1 15,900 0 0 1000Hospitality Properties Tru 24.77 Com 44106M102 1,147 46,300 SH DEFINED1 46,300 0 0 1000Hubbell Inc CL B 77.94 Com 443510201 1,785 22,900 SH DEFINED1 22,900 0 0 1000Hunt (JB) Transport Servic 59.6 Com 445658107 1,728 29,000 SH DEFINED1 29,000 0 0 1000Huntington Ingalls Inds In 40.24 Com 446413106 630 15,644 SH DEFINED1 15,644 0 0 1000ITT Corp 17.6 Com 450911201 546 31,050 SH DEFINED1 31,050 0 0 1000ITT Educational Services I 60.75 Com 45068B109 601 9,900 SH DEFINED1 9,900 0 0 1000Idacorp Inc 42.08 Com 451107106 669 15,900 SH DEFINED1 15,900 0 0 1000Idex Corp 38.98 Com 45167R104 1,204 30,900 SH DEFINED1 30,900 0 0 1000Idexx Laboratories Inc 96.13 Com 45168D104 1,634 17,000 SH DEFINED1 17,000 0 0 1000Informatica Corp 42.36 Com 45666Q102 1,296 30,600 SH DEFINED1 30,600 0 0 1000Ingram Micro Inc CL A 17.47 Com 457153104 1,036 59,300 SH DEFINED1 59,300 0 0 1000Ingredion Inc 49.52 Com 457187102 1,426 28,800 SH DEFINED1 28,800 0 0 1000Integrated Device Technolo 5.62 Com 458118106 325 57,900 SH DEFINED1 57,900 0 0 1000International Bancshares C 19.52 Com 459044103 435 22,300 SH DEFINED1 22,300 0 0 1000International Rectifier Co 19.99 Com 460254105 538 26,900 SH DEFINED1 26,900 0 0 1000International Speedway Cor 26.18 Com 460335201 257 9,800 SH DEFINED1 9,800 0 0 1000Intersil Corp CL A 10.65 Com 46069S109 494 46,400 SH DEFINED1 46,400 0 0 1000Intrepid Potash Inc 22.76 Com 46121Y102 328 14,400 SH DEFINED1 14,400 0 0 1000Itron Inc 41.24 Com 465741106 647 15,700 SH DEFINED1 15,700 0 0 1000Jack Henry & Associates In 34.52 Com 426281101 998 28,900 SH DEFINED1 28,900 0 0 1000Janus Capital Group Inc 7.82 Com 47102X105 486 62,200 SH DEFINED1 62,200 0 0 1000Jefferies Group Inc 12.99 Com 472319102 653 50,300 SH DEFINED1 50,300 0 0 1000Jetblue Airways Corp 5.3 Com 477143101 413 78,000 SH DEFINED1 78,000 0 0 1000Jones Lang Lasalle Inc 70.37 Com 48020Q107 1,147 16,300 SH DEFINED1 16,300 0 0 1000Joy Global Inc 56.73 Com 481165108 125 2,200 SH DEFINED1 2,200 0 0 1000KB Home 9.8 Com 48666K109 238 24,300 SH DEFINED1 24,300 0 0 1000KBR Inc 24.71 Com 48242W106 1,425 57,666 SH DEFINED1 57,666 0 0 1000Kansas City Southern 69.56 Com 485170302 2,351 33,800 SH DEFINED1 33,800 0 0 1000Kemper Corporation 30.75 Com 488401100 526 17,100 SH DEFINED1 17,100 0 0 1000Kennametal Inc 33.15 Com 489170100 908 27,400 SH DEFINED1 27,400 0 0 1000Kirby Corp 47.08 Com 497266106 913 19,400 SH DEFINED1 19,400 0 0 1000Korn/Ferry International 14.35 Com 500643200 248 17,300 SH DEFINED1 17,300 0 0 1000LKQ Corp 33.365 Com 501889208 1,608 48,200 SH DEFINED1 48,200 0 0 1000Lamar Advertising Co CL A 28.6 Com 512815101 455 15,900 SH DEFINED1 15,900 0 0 1000Lancaster Colony Corp 71.21 Com 513847103 377 5,300 SH DEFINED1 5,300 0 0 1000Landstar System Inc 51.72 Com 515098101 833 16,100 SH DEFINED1 16,100 0 0 1000Lender Processing Services 25.28 Com 52602E102 875 34,600 SH DEFINED1 34,600 0 0 1000Lennox International Inc 46.63 Com 526107107 821 17,600 SH DEFINED1 17,600 0 0 1000Liberty Property Trust 36.84 Com 531172104 1,396 37,900 SH DEFINED1 37,900 0 0 1000Life Time Fitness Inc 46.51 Com 53217R207 646 13,900 SH DEFINED1 13,900 0 0 1000Lifepoint Hospitals Inc 40.98 Com 53219L109 697 17,000 SH DEFINED1 17,000 0 0 1000Lincare Holdings Inc 34.02 Com 532791100 1,078 31,700 SH DEFINED1 31,700 0 0 1000Lincoln Electric Holdings 43.79 Com 533900106 1,217 27,800 SH DEFINED1 27,800 0 0 1000Lone Pine Resources 2.75 Com 54222A106 46 16,783 SH DEFINED1 16,783 0 0 1000Louisiana Pacific 10.88 Com 546347105 549 50,500 SH DEFINED1 50,500 0 0 1000Lufkin Industries Inc 54.32 Com 549764108 49 900 SH DEFINED1 900 0 0 1000M D C Holdings Inc 32.67 Com 552676108 350 10,700 SH DEFINED1 10,700 0 0 1000MDU Resources Group Inc 21.61 Com 552690109 1,328 61,450 SH DEFINED1 61,450 0 0 1000MEMC Electronic Materials 2.17 Com 552715104 202 92,900 SH DEFINED1 92,900 0 0 1000MSC Industrial Direct Co A 65.55 Com 553530106 1,075 16,400 SH DEFINED1 16,400 0 0 1000MSCI Inc 34.02 Com 55354G100 1,344 39,500 SH DEFINED1 39,500 0 0 1000Macerich Co 59.05 Com 554382101 2,153 36,456 SH DEFINED1 36,456 0 0 1000Mack Cali Realty Corp 29.07 Com 554489104 927 31,900 SH DEFINED1 31,900 0 0 1000Manpower Inc 36.65 Com 56418H100 982 26,800 SH DEFINED1 26,800 0 0 1000Mantech International Corp 23.44 Com 564563104 202 8,600 SH DEFINED1 8,600 0 0 1000Martin Marietta Materials 78.82 Com 573284106 1,174 14,900 SH DEFINED1 14,900 0 0 1000Masimo Corp 22.38 Com 574795100 443 19,800 SH DEFINED1 19,800 0 0 1000Matthews International Cor 32.49 Com 577128101 312 9,600 SH DEFINED1 9,600 0 0 1000Medicis Pharmaceutical 34.15 Com 584690309 762 22,300 SH DEFINED1 22,300 0 0 1000Mednax Inc 68.54 Com 58502B106 1,069 15,600 SH DEFINED1 15,600 0 0 1000Mentor Graphics Corp 15 Com 587200106 551 36,700 SH DEFINED1 36,700 0 0 1000Mercury General Corp 41.67 Com 589400100 433 10,400 SH DEFINED1 10,400 0 0 1000Meredith Corp 31.94 Com 589433101 345 10,800 SH DEFINED1 10,800 0 0 1000Mettler-Toledo Internation 155.85 Com 592688105 1,543 9,900 SH DEFINED1 9,900 0 0 1000Micros Systems Inc 51.2 Com 594901100 1,275 24,900 SH DEFINED1 24,900 0 0 1000Miller Herman Inc 18.52 Com 600544100 343 18,500 SH DEFINED1 18,500 0 0 1000Mine Safety Appliances Co 40.24 Com 602720104 398 9,900 SH DEFINED1 9,900 0 0 1000Minerals Technologies Inc 63.78 Com 603158106 421 6,600 SH DEFINED1 6,600 0 0 1000Mohawk Industries Inc 69.83 Com 608190104 1,313 18,800 SH DEFINED1 18,800 0 0 1000Monster Worldwide Inc 8.31 Com 611742107 430 51,800 SH DEFINED1 51,800 0 0 1000NCR Corp 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1200Carnival Corp 34.27 Com 143658300 3,149 91,900 SH DEFINED2 91,900 0 0 1200Caterpillar Inc 84.91 Com 149123101 11,242 132,400 SH DEFINED2 132,400 0 0 1200Celgene Corp 64.16 Com 151020104 5,832 90,900 SH DEFINED2 90,900 0 0 1200Centerpoint Energy Inc 20.67 Com 15189T107 1,876 90,762 SH DEFINED2 90,762 0 0 1200CenturyLink Inc 39.49 Com 156700106 4,802 121,603 SH DEFINED2 121,603 0 0 1200Cerner Corp 82.66 Com 156782104 2,480 30,000 SH DEFINED2 30,000 0 0 1200Chesapeake Energy Corp 18.6 Com 165167107 2,608 140,200 SH DEFINED2 140,200 0 0 1200Chevron Corp 105.5 Com 166764100 43,247 409,927 SH DEFINED2 409,927 0 0 1200Chipotle Mexican Grill CL 379.95 Com 169656105 2,508 6,600 SH DEFINED2 6,600 0 0 1200Chubb Corp 72.82 Com 171232101 4,122 56,600 SH DEFINED2 56,600 0 0 1200Cigna Corp 44 Com 125509109 2,605 59,200 SH DEFINED2 59,200 0 0 1200Cincinnati Financial Corp 38.07 Com 172062101 1,360 35,730 SH DEFINED2 35,730 0 0 1200Cintas Corp 38.61 Com 172908105 849 22,000 SH DEFINED2 22,000 0 0 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0 0 6350Cullen Frost Bankers Inc 57.49 Com 229899109 1,614 28,080 SH DEFINED13 28,080 0 0 6350Denbury Resources Inc 15.11 Com 247916208 1,128 74,675 SH DEFINED13 74,675 0 0 6350Dreamworks Animation SKG A 19.06 Com 26153C103 2,779 145,825 SH DEFINED13 145,825 0 0 6350East West Bancorp Inc 23.46 Com 27579R104 1,137 48,450 SH DEFINED13 48,450 0 0 6350Ensco PLC 46.97 Com G3157S106 3,524 75,030 SH DEFINED13 75,030 0 0 6350Expeditors Intl Wash Inc 38.75 Com 302130109 3,121 80,550 SH DEFINED13 80,550 0 0 6350FMC Corp 53.48 Com 302491303 2,235 41,790 SH DEFINED13 41,790 0 0 6350Factset Research Systems I 92.94 Com 303075105 2,411 25,940 SH DEFINED13 25,940 0 0 6350First Republic Bank 33.6 Com 33616C100 2,653 78,955 SH DEFINED13 78,955 0 0 6350Gartner Inc CL A 43.05 Com 366651107 2,009 46,670 SH DEFINED13 46,670 0 0 6350Genpact Ltd 16.63 Com G3922B107 6,433 386,825 SH DEFINED13 386,825 0 0 6350Greenhill & Co Inc 35.65 Com 395259104 1,525 42,785 SH DEFINED13 42,785 0 0 6350Harley Davidson Inc 45.73 Com 412822108 4,097 89,600 SH DEFINED13 89,600 0 0 6350Hasbro Inc 33.87 Com 418056107 3,316 97,895 SH DEFINED13 97,895 0 0 6350Hunt (JB) Transport Servic 59.6 Com 445658107 2,733 45,860 SH DEFINED13 45,860 0 0 6350Idex Corp 38.98 Com 45167R104 2,169 55,645 SH DEFINED13 55,645 0 0 6350Incyte Corp 22.7 Com 45337C102 1,853 81,620 SH DEFINED13 81,620 0 0 6350Invesco Ltd 22.6 Com G491BT108 4,202 185,940 SH DEFINED13 185,940 0 0 6350Ironwood Pharmaceuticals I 13.78 Com 46333X108 1,174 85,230 SH DEFINED13 85,230 0 0 6350Jacobs Engineering Group I 37.86 Com 469814107 2,611 68,970 SH DEFINED13 68,970 0 0 6350Jos A Bank Clothiers Inc 42.46 Com 480838101 1,402 33,030 SH DEFINED13 33,030 0 0 6350LPL Financial Holidays Inc 33.77 Com 50212V100 1,548 45,845 SH DEFINED13 45,845 0 0 6350Lennox International Inc 46.63 Com 526107107 5,444 116,740 SH DEFINED13 116,740 0 0 6350Liberty Global Inc A 49.63 Com 530555101 2,056 41,425 SH DEFINED13 41,425 0 0 6350Life Technologies Corp 44.99 Com 53217V109 2,351 52,250 SH DEFINED13 52,250 0 0 6350Lincare Holdings Inc 34.02 Com 532791100 5,991 176,105 SH DEFINED13 176,105 0 0 6350M & T Bank Corp 82.57 Com 55261F104 5,136 62,200 SH DEFINED13 62,200 0 0 6350MCDERMOTT INTL INC 11.14 Com 580037109 2,001 179,600 SH DEFINED13 179,600 0 0 6350MSC Industrial Direct Co A 65.55 Com 553530106 2,928 44,670 SH DEFINED13 44,670 0 0 6350Manpower Inc 36.65 Com 56418H100 3,423 93,395 SH DEFINED13 93,395 0 0 6350Maxim Integrated Products 25.64 Com 57772K101 3,499 136,475 SH DEFINED13 136,475 0 0 6350Molson Coors Brewing Co CL 41.61 Com 60871R209 3,126 75,135 SH DEFINED13 75,135 0 0 6350Mylan Laboratories Inc 21.37 Com 628530107 4,711 220,455 SH DEFINED13 220,455 0 0 6350NVR Inc 850 Com 62944T105 4,236 4,983 SH DEFINED13 4,983 0 0 6350National Instruments Corp 26.86 Com 636518102 2,860 106,480 SH DEFINED13 106,480 0 0 6350Newfield Exploration Co 29.31 Com 651290108 3,363 114,740 SH DEFINED13 114,740 0 0 6350Northeast Utilities 38.81 Com 664397106 1,485 38,255 SH DEFINED13 38,255 0 0 6350Paccar Inc 39.19 Com 693718108 3,653 93,210 SH DEFINED13 93,210 0 0 6350Pall Corp 54.81 Com 696429307 2,307 42,090 SH DEFINED13 42,090 0 0 6350Patterson Cos Inc 34.47 Com 703395103 2,807 81,434 SH DEFINED13 81,434 0 0 6350Pioneer Natural Resources 88.21 Com 723787107 1,982 22,465 SH DEFINED13 22,465 0 0 6350Price T Rowe Group Inc 62.96 Com 74144T108 2,840 45,105 SH DEFINED13 45,105 0 0 6350Regeneron Pharmaceuticals 114.22 Com 75886F107 2,681 23,470 SH DEFINED13 23,470 0 0 6350Robert Half Intl Inc 28.57 Com 770323103 4,749 166,220 SH DEFINED13 166,220 0 0 6350Rovi Corp 19.62 Com 779376102 3,092 157,575 SH DEFINED13 157,575 0 0 6350SEI Investments Co 19.89 Com 784117103 3,998 201,000 SH DEFINED13 201,000 0 0 6350SXC Health Solutions Corp 99.21 Com 78505P100 3,749 37,790 SH DEFINED13 37,790 0 0 6350Seattle Genetics Inc 25.39 Com 812578102 1,905 75,030 SH DEFINED13 75,030 0 0 6350Sherwin Williams 132.35 Com 824348106 2,856 21,580 SH DEFINED13 21,580 0 0 6350Signature Bank 60.97 Com 82669G104 601 9,860 SH DEFINED13 9,860 0 0 6350Silgan Holdings Inc 42.69 Com 827048109 1,885 44,160 SH DEFINED13 44,160 0 0 6350Skyworks Solutions Inc 27.32 Com 83088M102 4,648 170,120 SH DEFINED13 170,120 0 0 6350UGI Corp 29.43 Com 902681105 3,495 118,740 SH DEFINED13 118,740 0 0 6350UNUM Group 19.13 Com 91529Y106 1,345 70,285 SH DEFINED13 70,285 0 0 6350Verisign Inc 43.57 Com 92343E102 5,477 125,700 SH DEFINED13 125,700 0 0 6350Waters Corp 79.47 Com 941848103 3,911 49,210 SH DEFINED13 49,210 0 0 6350Watson Pharmaceuticals Inc 73.99 Com 942683103 6,773 91,541 SH DEFINED13 91,541 0 0 6350Western Union Co 16.84 Com 959802109 4,189 248,745 SH DEFINED13 248,745 0 0 6350Wisconsin Energy Corp 39.57 Com 976657106 2,630 66,460 SH DEFINED13 66,460 0 0 64003SBio Inc 13.65 Com 88575Y105 372 27,280 SH DEFINED14 27,280 0 0 6400AAON Inc 18.85 Com 000360206 404 21,415 SH DEFINED14 21,415 0 0 6400ATRION Corp 204.98 Com 049904105 355 1,730 SH DEFINED14 1,730 0 0 6400AVEO Pharmaceuticals 12.16 Com 053588109 377 31,000 SH DEFINED14 31,000 0 0 6400AZZ Inc 61.26 Com 002474104 706 11,530 SH DEFINED14 11,530 0 0 6400Acuity Brands Inc 50.91 Com 00508Y102 528 10,380 SH DEFINED14 10,380 0 0 6400Alkermes Plc 16.97 Com G01767105 931 54,840 SH DEFINED14 54,840 0 0 6400Altra Holdings Inc 15.74 Com 02208R106 556 35,310 SH DEFINED14 35,310 0 0 6400Amerisafe Inc 25.95 Com 03071H100 645 24,870 SH DEFINED14 24,870 0 0 6400Amtrust Financial Services 29.71 Com 032359309 715 24,070 SH DEFINED14 24,070 0 0 6400Ancestry.com Inc 27.53 Com 032803108 514 18,670 SH DEFINED14 18,670 0 0 6400Anworth Mortgage Asset Cor 7.05 Com 037347101 550 78,030 SH DEFINED14 78,030 0 0 6400Applied Industrial Technol 36.85 Com 03820C105 927 25,150 SH DEFINED14 25,150 0 0 6400Arbitron Inc 35 Com 03875Q108 890 25,430 SH DEFINED14 25,430 0 0 6400Artic Cat Inc 36.56 Com 039670104 826 22,605 SH DEFINED14 22,605 0 0 6400Aruba Networks Inc 15.05 Com 043176106 516 34,260 SH DEFINED14 34,260 0 0 6400Ascena Retail Group Inc 18.62 Com 04351G101 1,000 53,730 SH DEFINED14 53,730 0 0 6400Audience Inc 19.28 Com 05070J102 366 18,990 SH DEFINED14 18,990 0 0 6400Avis Budget Group Inc 15.2 Com 053774105 1,271 83,620 SH DEFINED14 83,620 0 0 6400Bazaarvoice Inc 18.2 Com 073271108 319 17,525 SH DEFINED14 17,525 0 0 6400Belden Inc 33.35 Com 077454106 544 16,310 SH DEFINED14 16,310 0 0 6400Berry Petroleum Co 39.66 Com 085789105 823 20,760 SH DEFINED14 20,760 0 0 6400Boston Beer Inc 121 Com 100557107 709 5,860 SH DEFINED14 5,860 0 0 6400Boston Private Financial H 8.93 Com 101119105 840 94,090 SH DEFINED14 94,090 0 0 6400Brinker International Inc 31.87 Com 109641100 999 31,360 SH DEFINED14 31,360 0 0 6400Bruker Corp 13.31 Com 116794108 712 53,480 SH DEFINED14 53,480 0 0 6400CVR Energy Inc 26.58 Com 12662P108 1,156 43,490 SH DEFINED14 43,490 0 0 6400Cadence Pharmaceuticals In 3.57 Com 12738T100 321 89,890 SH DEFINED14 89,890 0 0 6400Capstead Mortgage Corp 13.91 Com 14067E506 522 37,500 SH DEFINED14 37,500 0 0 6400Cardinal Financial Corp 12.28 Com 14149F109 478 38,890 SH DEFINED14 38,890 0 0 6400Casey's General Stores Inc 58.99 Com 147528103 1,149 19,480 SH DEFINED14 19,480 0 0 6400Celadon Group Inc 16.38 Com 150838100 974 59,440 SH DEFINED14 59,440 0 0 6400Ceradyne Inc 25.63 Com 156710105 700 27,310 SH DEFINED14 27,310 0 0 6400Chart Industries Inc 68.76 Com 16115Q308 1,593 23,170 SH DEFINED14 23,170 0 0 6400Cheesecake Factory 31.96 Com 163072101 683 21,378 SH DEFINED14 21,378 0 0 6400Childrens Place Retail Sto 49.83 Com 168905107 827 16,590 SH DEFINED14 16,590 0 0 6400Coherent Inc 43.12 Com 192479103 1,179 27,340 SH DEFINED14 27,340 0 0 6400Colonial Properties Trust 22.14 Com 195872106 1,094 49,400 SH DEFINED14 49,400 0 0 6400Commercial Vehicle group I 8.62 Com 202608105 295 34,190 SH DEFINED14 34,190 0 0 6400Compass Diversified Holdin 13.96 Com 20451Q104 1,067 76,450 SH DEFINED14 76,450 0 0 6400Constant Contact Inc 17.86 Com 210313102 745 41,730 SH DEFINED14 41,730 0 0 6400CorVel Corp 49 Com 221006109 734 14,970 SH DEFINED14 14,970 0 0 6400Core-Mark Holding Co Inc 48.14 Com 218681104 821 17,061 SH DEFINED14 17,061 0 0 6400CoreSite Realty Corp 25.82 Com 21870Q105 687 26,610 SH DEFINED14 26,610 0 0 6400Cubist Pharmaceuticals Inc 37.91 Com 229678107 892 23,520 SH DEFINED14 23,520 0 0 6400Cyberonics 44.94 Com 23251P102 914 20,330 SH DEFINED14 20,330 0 0 6400Cymer Inc 58.95 Com 232572107 1,345 22,820 SH DEFINED14 22,820 0 0 6400DFC Global Corp 18.43 Com 23324T107 910 49,360 SH DEFINED14 49,360 0 0 6400DSW Inc CL A 54.4 Com 23334L102 1,275 23,435 SH DEFINED14 23,435 0 0 6400Darling International Inc 16.49 Com 237266101 610 37,010 SH DEFINED14 37,010 0 0 6400Deckers Outdoor Corp 44.01 Com 243537107 402 9,125 SH DEFINED14 9,125 0 0 6400Deluxe Corp 24.94 Com 248019101 759 30,450 SH DEFINED14 30,450 0 0 6400Diamondrock Hospitality Co 10.2 Com 252784301 466 45,642 SH DEFINED14 45,642 0 0 6400Dice Holdings Inc 9.39 Com 253017107 171 18,170 SH DEFINED14 18,170 0 0 6400Dime Community Bancshares 13.29 Com 253922108 598 45,030 SH DEFINED14 45,030 0 0 6400Douglas Emmett Inc 23.1 Com 25960P109 1,095 47,385 SH DEFINED14 47,385 0 0 6400East West Bancorp Inc 23.46 Com 27579R104 876 37,330 SH DEFINED14 37,330 0 0 6400Ebix Inc 19.95 Com 278715206 324 16,240 SH DEFINED14 16,240 0 0 6400El Paso Electric Co 33.16 Com 283677854 887 26,740 SH DEFINED14 26,740 0 0 6400Elizabeth Arden Inc 38.81 Com 28660G106 1,062 27,370 SH DEFINED14 27,370 0 0 6400Energy XXI (Bermuda) Ltd 31.29 Com G10082140 603 19,260 SH DEFINED14 19,260 0 0 6400Esterline Technologies 62.35 Com 297425100 983 15,770 SH DEFINED14 15,770 0 0 6400ExactTarget Inc 21.86 Com 30064K105 24 1,100 SH DEFINED14 1,100 0 0 6400Excel Trust Inc 11.96 Com 30068C109 509 42,560 SH DEFINED14 42,560 0 0 6400Exelixis Inc 5.53 Com 30161Q104 655 118,430 SH DEFINED14 118,430 0 0 6400Exponent Inc 52.83 Com 30214U102 1,401 26,520 SH DEFINED14 26,520 0 0 6400Fifth & Pacific Co Inc 10.73 Com 316645100 619 57,650 SH DEFINED14 57,650 0 0 6400First Citizens Bankshares 166.65 Com 31946M103 717 4,303 SH DEFINED14 4,303 0 0 6400Forest City Enterprises In 14.6 Com 345550107 699 47,860 SH DEFINED14 47,860 0 0 6400Franklin Electric Co Inc 51.13 Com 353514102 985 19,270 SH DEFINED14 19,270 0 0 6400G-III Apparel Group Ltd 23.69 Com 36237H101 466 19,665 SH DEFINED14 19,665 0 0 6400GNC Acquisition Holding In 39.2 Com 36191G107 491 12,530 SH DEFINED14 12,530 0 0 6400GT Advanced Technologies I 5.28 Com 36191U106 547 103,550 SH DEFINED14 103,550 0 0 6400Genesco Inc 60.15 Com 371532102 975 16,210 SH DEFINED14 16,210 0 0 6400Glimcher Realty Trust 10.22 Com 379302102 1,813 177,350 SH DEFINED14 177,350 0 0 6400Graftech Intl Ltd 9.65 Com 384313102 396 40,990 SH DEFINED14 40,990 0 0 6400Group 1 Automotive Inc 45.61 Com 398905109 681 14,940 SH DEFINED14 14,940 0 0 6400Gulfmark Offshore Inc 34.04 Com 402629208 941 27,630 SH DEFINED14 27,630 0 0 6400Hatteras Financial Corp 28.6 Com 41902R103 452 15,790 SH DEFINED14 15,790 0 0 6400Heartware Intl Inc 88.8 Com 422368100 755 8,500 SH DEFINED14 8,500 0 0 6400Hercules Technology Growth 11.34 Com 427096508 773 68,153 SH DEFINED14 68,153 0 0 6400Higher One Holdings Inc 12.22 Com 42983D104 595 48,715 SH DEFINED14 48,715 0 0 6400Hornbeck Offshore Services 38.78 Com 440543106 798 20,590 SH DEFINED14 20,590 0 0 6400Ignite Restaurant Group In 18.11 Com 451730105 468 25,850 SH DEFINED14 25,850 0 0 6400Immunogen Inc 16.74 Com 45253H101 1,054 62,950 SH DEFINED14 62,950 0 0 6400Imperva Inc 28.82 Com 45321L100 765 26,540 SH DEFINED14 26,540 0 0 6400Incyte Corp 22.7 Com 45337C102 1,051 46,285 SH DEFINED14 46,285 0 0 6400Innospec Inc 29.61 Com 45768S105 712 24,050 SH DEFINED14 24,050 0 0 6400International Bancshares C 19.52 Com 459044103 823 42,150 SH DEFINED14 42,150 0 0 6400Ion Geophysical Corp 6.59 Com 462044108 980 148,740 SH DEFINED14 148,740 0 0 6400Ironwood Pharmaceuticals I 13.78 Com 46333X108 795 57,710 SH DEFINED14 57,710 0 0 6400J2 Global Inc 26.42 Com 48123V102 829 31,360 SH DEFINED14 31,360 0 0 6400JDA Software Group Inc 29.69 Com 46612K108 539 18,150 SH DEFINED14 18,150 0 0 6400Keynote Systems Inc 14.85 Com 493308100 377 25,360 SH DEFINED14 25,360 0 0 6400Kraton Performance Polymer 21.91 Com 50077C106 559 25,520 SH DEFINED14 25,520 0 0 6400LaSalle Hotel Properties 29.14 Com 517942108 740 25,400 SH DEFINED14 25,400 0 0 6400Lennox International Inc 46.63 Com 526107107 620 13,300 SH DEFINED14 13,300 0 0 6400Lindsey Corp 64.9 Com 535555106 977 15,060 SH DEFINED14 15,060 0 0 6400LivePerson Inc 19.06 Com 538146101 1,384 72,600 SH DEFINED14 72,600 0 0 6400Lumber Liquidators Holding 33.79 Com 55003T107 687 20,340 SH DEFINED14 20,340 0 0 6400MB Financial Inc 21.54 Com 55264U108 986 45,780 SH DEFINED14 45,780 0 0 6400MFA Financial Inc 7.89 Com 55272X102 1,244 157,690 SH DEFINED14 157,690 0 0 6400Matress Firm Holding Corp 30.31 Com 57722W106 1,000 33,005 SH DEFINED14 33,005 0 0 6400Medicines Co 22.94 Com 584688105 1,129 49,200 SH DEFINED14 49,200 0 0 6400Merge Healthcare Inc 2.86 Com 589499102 311 108,770 SH DEFINED14 108,770 0 0 6400Meritor Inc 5.22 Com 59001K100 244 46,800 SH DEFINED14 46,800 0 0 6400MicroStrategy 129.86 Com 594972408 835 6,430 SH DEFINED14 6,430 0 0 6400Mindspeed Technologies Inc 2.46 Com 602682205 340 138,040 SH DEFINED14 138,040 0 0 6400Mitek Systems Inc 3.89 Com 606710200 126 32,500 SH DEFINED14 32,500 0 0 6400Moog Inc CL A 41.35 Com 615394202 1,002 24,230 SH DEFINED14 24,230 0 0 6400NPS Pharmaceuticals Inc 8.61 Com 62936P103 830 96,350 SH DEFINED14 96,350 0 0 6400Nanometrics Inc 15.36 Com 630077105 739 48,130 SH DEFINED14 48,130 0 0 6400National Penn Bancshares I 9.545 Com 637138108 975 102,120 SH DEFINED14 102,120 0 0 6400Nationstar Mortgage Holdin 21.52 Com 63861C109 686 31,870 SH DEFINED14 31,870 0 0 6400Neurocrine Biosciences Inc 7.895 Com 64125C109 409 51,860 SH DEFINED14 51,860 0 0 6400Nordson Corp 51.29 Com 655663102 906 17,670 SH DEFINED14 17,670 0 0 6400Nu Skin Enterprises Inc A 46.9 Com 67018T105 652 13,910 SH DEFINED14 13,910 0 0 6400OPNET Technologies Inc 26.59 Com 683757108 429 16,130 SH DEFINED14 16,130 0 0 6400Ocwen Financial Corp 18.78 Com 675746309 1,432 76,230 SH DEFINED14 76,230 0 0 6400Olin Corp 20.89 Com 680665205 842 40,320 SH DEFINED14 40,320 0 0 6400On Assignment Inc 15.96 Com 682159108 760 47,630 SH DEFINED14 47,630 0 0 6400Onyx Pharmaceuticals Inc 66.45 Com 683399109 1,104 16,610 SH DEFINED14 16,610 0 0 6400Oplink Communications Inc 13.53 Com 68375Q403 512 37,820 SH DEFINED14 37,820 0 0 6400Optimer Pharmaceuticals In 15.46 Com 68401H104 875 56,607 SH DEFINED14 56,607 0 0 6400Owens & Minor Holdings 30.63 Com 690732102 974 31,790 SH DEFINED14 31,790 0 0 6400PDC Energy Inc 24.52 Com 69327R101 686 27,980 SH DEFINED14 27,980 0 0 6400Parametric Technology Corp 20.96 Com 699173209 1,173 55,940 SH DEFINED14 55,940 0 0 6400Parexel International Corp 28.23 Com 699462107 883 31,290 SH DEFINED14 31,290 0 0 6400Pennantpark Investment Cor 10.35 Com 708062104 609 58,800 SH DEFINED14 58,800 0 0 6400Pinnacle Financial Partner 19.51 Com 72346Q104 620 31,800 SH DEFINED14 31,800 0 0 6400Plantronics Inc 33.4 Com 727493108 794 23,760 SH DEFINED14 23,760 0 0 6400Platinum Underwriters Hold 38.1 Com G7127P100 631 16,570 SH DEFINED14 16,570 0 0 6400Polypore Intl Inc 40.39 Com 73179V103 774 19,170 SH DEFINED14 19,170 0 0 6400Portfolio Recovery Associa 91.26 Com 73640Q105 1,245 13,640 SH DEFINED14 13,640 0 0 6400Proofpoint Inc 16.95 Com 743424103 288 17,020 SH DEFINED14 17,020 0 0 6400Protective Life Corp 29.41 Com 743674103 600 20,410 SH DEFINED14 20,410 0 0 6400Qlik Technologies Inc 22.12 Com 74733T105 661 29,880 SH DEFINED14 29,880 0 0 6400Ramco-Gershenson Propertie 12.57 Com 751452202 567 45,090 SH DEFINED14 45,090 0 0 6400Rex Energy Corp 11.21 Com 761565100 667 59,460 SH DEFINED14 59,460 0 0 6400Rockwood Holdings Inc 44.35 Com 774415103 1,282 28,910 SH DEFINED14 28,910 0 0 6400Rosetta Resources Inc 36.62 Com 777779307 1,285 35,080 SH DEFINED14 35,080 0 0 6400SCBT Financial Corp 35.25 Com 78401V102 440 12,475 SH DEFINED14 12,475 0 0 6400Salix Pharmaceuticals 54.44 Com 795435106 973 17,870 SH DEFINED14 17,870 0 0 6400Sandy Springs Bancorp Inc 18 Com 800363103 441 24,510 SH DEFINED14 24,510 0 0 6400Sapient Corp 10.07 Com 803062108 918 91,122 SH DEFINED14 91,122 0 0 6400Seattle Genetics Inc 25.39 Com 812578102 1,167 45,970 SH DEFINED14 45,970 0 0 6400Shutterfly Inc 30.69 Com 82568P304 675 22,000 SH DEFINED14 22,000 0 0 6400Signature Bank 60.97 Com 82669G104 916 15,019 SH DEFINED14 15,019 0 0 6400Silgan Holdings Inc 42.69 Com 827048109 2,026 47,460 SH DEFINED14 47,460 0 0 6400SolarWinds Inc 43.56 Com 83416B109 1,135 26,050 SH DEFINED14 26,050 0 0 6400Sotheby's 33.36 Com 835898107 605 18,140 SH DEFINED14 18,140 0 0 6400Sourcefire Inc 51.4 Com 83616T108 523 10,175 SH DEFINED14 10,175 0 0 6400Splunk Inc 28.1 Com 848637104 183 6,500 SH DEFINED14 6,500 0 0 6400Steven Madden 31.75 Com 556269108 617 19,430 SH DEFINED14 19,430 0 0 6400Stone Energy Corp 25.34 Com 861642106 492 19,420 SH DEFINED14 19,420 0 0 6400Sun Hydraulics Corp 24.29 Com 866942105 501 20,625 SH DEFINED14 20,625 0 0 6400Sunstone Hotel Investors I 10.99 Com 867892101 744 67,720 SH DEFINED14 67,720 0 0 6400TPC Group Inc 36.95 Com 89236Y104 580 15,700 SH DEFINED14 15,700 0 0 6400TW Telecom Inc 25.66 Com 87311L104 813 31,670 SH DEFINED14 31,670 0 0 6400Teavana Holdings Inc 13.53 Com 87819P102 226 16,710 SH DEFINED14 16,710 0 0 6400Teledyne Technologies 61.65 Com 879360105 753 12,220 SH DEFINED14 12,220 0 0 6400Tenneco Inc 26.82 Com 880349105 955 35,590 SH DEFINED14 35,590 0 0 6400Tesaro Inc 13.99 Com 881569107 428 30,600 SH DEFINED14 30,600 0 0 6400TriMas Corp 20.1 Com 896215209 613 30,510 SH DEFINED14 30,510 0 0 6400True Religion Apparel Inc 28.98 Com 89784N104 738 25,460 SH DEFINED14 25,460 0 0 6400Tyler Technologies Inc 40.35 Com 902252105 1,134 28,115 SH DEFINED14 28,115 0 0 6400UGI Corp 29.43 Com 902681105 1,247 42,360 SH DEFINED14 42,360 0 0 6400UNS Energy Corp 38.41 Com 903119105 1,143 29,760 SH DEFINED14 29,760 0 0 6400US Physical Therapy Inc 25.43 Com 90337L108 785 30,870 SH DEFINED14 30,870 0 0 6400Ultratech Inc 31.44 Com 904034105 1,065 33,880 SH DEFINED14 33,880 0 0 6400Umpqua Holdings Corp 13.16 Com 904214103 1,068 81,180 SH DEFINED14 81,180 0 0 6400Universal Display Corp 35.94 Com 91347P105 384 10,695 SH DEFINED14 10,695 0 0 6400Vaalco Energy Inc 8.63 Com 91851C201 764 88,576 SH DEFINED14 88,576 0 0 6400VeriFone Systems Inc 33.09 Com 92342Y109 633 19,115 SH DEFINED14 19,115 0 0 6400Vitamin Shoppe Inc 54.93 Com 92849E101 649 11,823 SH DEFINED14 11,823 0 0 6400Volcano Corp 28.65 Com 928645100 757 26,430 SH DEFINED14 26,430 0 0 6400WSFS Financial Corp 40.41 Com 929328102 247 6,100 SH DEFINED14 6,100 0 0 6400Walter Invt Mgmt Corp 23.44 Com 93317W102 691 29,495 SH DEFINED14 29,495 0 0 6400Warnaco Group Inc 42.58 Com 934390402 515 12,100 SH DEFINED14 12,100 0 0 6400Webster Financial Corp 21.66 Com 947890109 1,052 48,570 SH DEFINED14 48,570 0 0 6400Wellcare Health Plans Inc 53 Com 94946T106 1,075 20,290 SH DEFINED14 20,290 0 0 6400Werner Enterprises Inc 23.89 Com 950755108 1,093 45,760 SH DEFINED14 45,760 0 0 6400Western Alliance Bancorp 9.36 Com 957638109 707 75,531 SH DEFINED14 75,531 0 0 6400Winthrop Realty Trust 12.16 Com 976391300 648 53,300 SH DEFINED14 53,300 0 0 6400Wintrust Financial Corp 35.5 Com 97650W108 661 18,610 SH DEFINED14 18,610 0 0 6400Wright Express Corp 61.72 Com 98233Q105 1,496 24,240 SH DEFINED14 24,240 0 0 6400rue21 Inc 25.24 Com 781295100 733 29,060 SH DEFINED14 29,060 0 0 7000KKR & Co Fund 2006 0.02014 Com KKRPVTEQ1 413 20,507,222 SH DEFINED15 20,507,222 0 0 7005KKR & Co European Fund III0.57015 Com KKREURO31 20,495 35,947,000 SH DEFINED15 35,947,000 0 0 7020Alinda Infrastructure Fund1.37187 Com ALINDAII0 37,467 27,310,615 SH DEFINED16 27,310,615 0 0 7025Audax Mezzanine Fund III, 7.17009 Com AUDAXIII4 30,561 4,262,347 SH DEFINED17 4,262,347 0 0 7030Baillie Gifford Intl EAFE 0.00939 Com BGIFRDPE7 4,578 487,523,430 SH DEFINED18 487,523,430 0 0 7040Baring All Country World 124.135 Com UNIT00062 540,343 4,352,859 SH DEFINED19 4,352,859 0 0 7070CapitalSouth Partners Fund134.875 Com CPTLSTH38 400,523 2,969,586 SH DEFINED20 2,969,586 0 0 7100Chrysalis Ventures III LP 0.19122 Com CHRYSALI3 3,115 16,290,278 SH DEFINED21 16,290,278 0 0 7200Fort Washington Fund V 1.71241 Com FTWASHTN6 18,655 10,893,770 SH DEFINED22 10,893,770 0 0 7250Fort Washington Fund VI 0.60223 Com FTWASHVI4 12,975 21,545,398 SH DEFINED22 21,545,398 0 0 7500Hellman and Friedman VII 2.46867 Com HLMFDVII9 25,022 10,135,844 SH DEFINED23 10,135,844 0 0 7600JP Morgan Maritime Fund 2.43059 Com JPMMRTME7 9,619 3,957,515 SH DEFINED24 3,957,515 0 0 7700Landmark Equity Partners X0.08816 Com LDMKPART0 882 10,002,448 SH DEFINED25 10,002,448 0 0 7800Lexington Capital Partners1.13807 Com LEXCAPPT9 13,821 12,144,525 SH DEFINED26 12,144,525 0 0 7910Natural Gas Partners X 4.25413 Com NTGSPTRS4 14,097 3,313,815 SH DEFINED27 3,313,815 0 0 7915OAKTREE MEZZANINE III CLAS0.49739 Com OKTRMZ3A4 3,263 6,560,219 SH DEFINED28 6,560,219 0 0 7915OAKTREE MEZZANINE III CLAS 2.042 Com OKTRMZ3B2 6,779 3,319,629 SH DEFINED28 3,319,629 0 0 7920Oaktree European Principal0.34136 Com OKTREURO8 2,498 7,317,878 SH DEFINED28 7,317,878 0 0 7950Stepstone Pioneer III (Par 0.9133 Com PARCPIII2 7,562 8,279,824 SH DEFINED29 8,279,824 0 0 8100Riverstone/Carlyle E&P Fun0.34025 Com RIVRSTNE1 9,397 27,617,140 SH DEFINED30 27,617,140 0 0 9010Black Rock Fund B 0.30032 Com BLKROCKB3 45,047 150,000,000 SH DEFINED31 150,000,000 0 0 9017Medical - Ft.Washington VI193.064 Com FTWASVII8 140,741 728,986 SH DEFINED22 728,986 0 0 9020Ally Financial Inc 23.6699 Com 36186C509 237 10,000 SH DEFINED7 10,000 0 0 9020Countrywide Cap V 24.83 Com 222388209 36 1,435 SH DEFINED7 1,435 0 0 8,911,307 1,089,696,280 1,089,696,280