UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                              FORM 13F Cover Page


         Report for the Calendar Year or Quarter Ended: March 31, 2013


Check here if Amendment:              |_|; Amendment Number: ____

This  Amendment  (Check  only  one):  |_|  is a restatement
                                      |_|  adds new holding entries.


Institutional Manager Filing this Report:

Name:     Jacobs Levy Equity Management, Inc.

Address:  100 Campus Drive
          P.O. Box 650
          Florham Park, New Jersey 07932-0650


13F File Number: 028-03059

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:   Kenneth N. Levy
Title:  Vice President
Phone:  973-410-9222


Signature, Place and Date of Signing:


/s/ Kenneth N. Levy          Florham Park, New Jersey          May 15, 2013
-----------------------     --------------------------    ----------------------
     [Signature]                  [City, State]                   [Date]






Report Type: (Check only one):

[_]      13F  HOLDINGS  REPORT.  (Check  here  if all holdings of this reporting
         manager are reported in this report).

[_]      13F NOTICE. (Check here if no holdings reported are in this report, and
         all holdings are reported by other reporting managers(s).)

[X]      13F  COMBINATION  REPORT.  (Check here if a portion of the holdings for
         this  reporting  manager  are reported in this report and a portion are
         reported by other reporting manager(s).)



List of Other Managers Reporting for this Manager:

Name: Frank Russell Company

13F File Number: 028-01190

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:          0

Form 13F Information Table Entry Total:     964

Form 13F Information Table Value Total:  $5,684,330
                                         (thousands)
















                                                     FORM 13F INFORMATION TABLE
                                                           MARCH 31, 2013


COLUMN 1                        COLUMN  2       COLUMN 3  COLUMN 4     COLUMN 5       COLUMN 6    COLUMN 7         COLUMN 8
--------------                --------------    --------- --------  ---------------  ----------   --------  -----------------------
                                                                     SHARES/   PUT/  INVESTMENT    OTHER        VOTING AUTHORITY
NAME OF ISSUER                TITLE OF CLASS      CUSIP    VALUE     PRN AMT   CALL  DISCRETION   MANAGERS    SOLE   SHARED   NONE
--------------                --------------    --------- --------  ---------  ----  ----------   --------  -------- ------  ------
                                                                                               
1 800 FLOWERS COM             CL A              68243Q106       73     14,745           Sole                  14,745
A H BELO CORP                 COM CL A          001282102      358     61,271           Sole                  61,271
AAR CORP                      COM               000361105      851     46,300           Sole                  46,300
AARONS INC                    COM PAR $0.50     002535300    7,491    261,188           Sole                 229,388         31,800
ABBOTT LABS                   COM               002824100   12,221    346,000           Sole                 308,100         37,900
ABBVIE INC                    COM               00287Y109    1,276     31,280           Sole                  18,980         12,300
ABERCROMBIE & FITCH CO        CL A              002896207    4,915    106,390           Sole                  91,290         15,100
ABM INDS INC                  COM               000957100    3,740    168,187           Sole                 128,787         39,400
ACACIA RESH CORP              ACACIA TCH COM    003881307      350     11,600           Sole                  11,600
ACCENTURE PLC IRELAND         SHS CLASS A       G1151C101    2,355     30,996           Sole                  30,996
ACCURAY INC                   COM               004397105      913    196,812           Sole                 196,812
ACORDA THERAPEUTICS INC       COM               00484M106    4,562    142,430           Sole                 112,630         29,800
ACTIVE POWER INC              COM NEW           00504W308       54     11,740           Sole                  11,740
ACTIVISION BLIZZARD INC       COM               00507V109      545     37,380           Sole                  35,380          2,000
ACUITY BRANDS INC             COM               00508Y102      978     14,100           Sole                  14,100
ADVANCE AUTO PARTS INC        COM               00751Y106   31,052    375,710           Sole                 322,610         53,100
ADVANCED ENERGY INDS          COM               007973100    3,294    179,993           Sole                 153,893         26,100
ADVANCED MICRO DEVICES INC    COM               007903107    1,996    782,922           Sole                 782,922
ADVISORY BRD CO               COM               00762W107    1,980     37,696           Sole                  12,950         24,746
AECOM TECHNOLOGY CORP DELAWA  COM               00766T100    5,535    168,750           Sole                 158,250         10,500
AES CORP                      COM               00130H105    4,017    319,600           Sole                 319,600
AFC ENTERPRISES INC           COM               00104Q107    2,583     71,090           Sole                  69,790          1,300
AFFILIATED MANAGERS GROUP     COM               008252108    3,475     22,630           Sole                  22,630
AFFYMETRIX INC                COM               00826T108    2,837    600,965           Sole                 544,565         56,400
AG MTG INVT TR INC            COM               001228105    6,873    269,829           Sole                 223,629         46,200
AGCO CORP                     COM               001084102   26,260    503,835           Sole                 426,935         76,900
AGILENT TECHNOLOGIES INC      COM               00846U101   14,371    342,416           Sole                 294,616         47,800
AGREE REALTY CORP             COM               008492100      633     21,040           Sole                  17,140          3,900
AIR LEASE CORP                CL A              00912X302    5,943    202,680           Sole                 140,580         62,100
AIRCASTLE LTD                 COM               G0129K104    2,345    171,410           Sole                 135,110         36,300
ALAMO GROUP INC               COM               011311107      260      6,800           Sole                   6,800
ALASKA COMMUNICATIONS SYS GR  COM               01167P101       24     14,500           Sole                  14,500
ALBANY INTL CORP              CL A              012348108    1,584     54,800           Sole                  39,700         15,100
ALBANY MOLECULAR RESH INC     COM               012423109    1,129    107,421           Sole                 100,921          6,500
ALBEMARLE CORP                COM               012653101    1,759     28,140           Sole                  28,140
ALEXANDRIA REAL ESTATE EQ IN  COM               015271109      468      6,600           Sole                   6,600
ALEXION PHARMACEUTICALS INC   COM               015351109    4,594     49,860           Sole                  49,860
ALIGN TECHNOLOGY INC          COM               016255101      328      9,800           Sole                   9,800
ALKERMES PLC                  SHS               G01767105      559     23,580           Sole                  23,580
ALLEGHANY CORP DEL            COM               017175100    3,628      9,164           Sole                   8,634            530
ALLERGAN INC                  COM               018490102   13,885    124,383           Sole                  83,243         41,140
ALLIANCE DATA SYSTEMS CORP    COM               018581108      994      6,140           Sole                   6,140
ALLIANT ENERGY CORP           COM               018802108    2,894     57,680           Sole                  46,580         11,100
ALLIANT TECHSYSTEMS INC       COM               018804104      950     13,119           Sole                  13,119
ALLIED WRLD ASSUR COM HLDG A  SHS               H01531104   27,212    293,490           Sole                 228,390         65,100
ALLSCRIPTS HEALTHCARE SOLUTN  COM               01988P108    2,839    208,909           Sole                 170,009         38,900
ALLSTATE CORP                 COM               020002101   23,313    475,100           Sole                 421,400         53,700
ALMOST FAMILY INC             COM               020409108      364     17,800           Sole                  17,800
ALON USA ENERGY INC           COM               020520102    4,751    249,372           Sole                 207,672         41,700
ALPHATEC HOLDINGS INC         COM               02081G102      249    117,797           Sole                 117,797
ALTRA HOLDINGS INC            COM               02208R106      547     20,100           Sole                  20,100
AMAG PHARMACEUTICALS INC      COM               00163U106      579     24,260           Sole                  20,960          3,300
AMAZON COM INC                COM               023135106   21,756     81,640           Sole                  50,830         30,810
AMC NETWORKS INC              CL A              00164V103   21,122    334,100           Sole                 258,700         75,400
AMDOCS LTD                    ORD               G02602103      241      6,660           Sole                   6,660
AMEREN CORP                   COM               023608102   21,148    603,880           Sole                 492,280        111,600
AMERICAN ASSETS TR INC        COM               024013104    1,555     48,569           Sole                  48,569
AMERICAN CAMPUS CMNTYS INC    COM               024835100    1,401     30,900           Sole                  30,900
AMERICAN CAP MTG INVT CORP    COM               02504A104    3,253    125,900           Sole                  84,300         41,600
AMERICAN EAGLE OUTFITTERS NE  COM               02553E106    8,974    479,900           Sole                 458,100         21,800
AMERICAN FINL GROUP INC OHIO  COM               025932104   10,073    212,604           Sole                 200,704         11,900
AMERICAN INTL GROUP INC       COM NEW           026874784    1,436     37,000           Sole                  30,600          6,400
AMERICAN RAILCAR INDS INC     COM               02916P103    2,511     53,714           Sole                  46,514          7,200
AMERICAN SUPERCONDUCTOR CORP  COM               030111108    1,281    479,803           Sole                 452,403         27,400
AMERICAN TOWER CORP NEW       COM               03027X100    2,092     27,200           Sole                  27,200
AMERICAN VANGUARD CORP        COM               030371108      858     28,100           Sole                  28,100
AMERICAN WTR WKS CO INC NEW   COM               030420103    7,124    171,914           Sole                 128,614         43,300
AMERISAFE INC                 COM               03071H100      882     24,809           Sole                  19,890          4,919
AMGEN INC                     COM               031162100   43,859    427,850           Sole                 338,850         89,000
AMICUS THERAPEUTICS INC       COM               03152W109      194     61,300           Sole                  30,000         31,300
AMKOR TECHNOLOGY INC          COM               031652100      110     27,600           Sole                  27,600
AMN HEALTHCARE SERVICES INC   COM               001744101    3,060    193,294           Sole                 164,994         28,300
ANADARKO PETE CORP            COM               032511107    1,408     16,100           Sole                  16,100
ANADIGICS INC                 COM               032515108      767    384,319           Sole                 346,119         38,200
ANALOGIC CORP                 COM PAR $0.05     032657207    3,178     40,220           Sole                  40,220
ANDERSONS INC                 COM               034164103    4,911     91,760           Sole                  77,700         14,060
ANGIODYNAMICS INC             COM               03475V101      116     10,110           Sole                   1,510          8,600
AOL INC                       COM               00184X105    2,767     71,900           Sole                  71,900
APACHE CORP                   COM               037411105   18,737    242,830           Sole                 205,920         36,910
APOLLO RESIDENTIAL MTG INC    COM               03763V102    4,111    184,421           Sole                 143,521         40,900
APPLE INC                     COM               037833100  152,348    344,164           Sole                 275,024         69,140
APPLIED MICRO CIRCUITS CORP   COM NEW           03822W406    3,834    516,668           Sole                 442,668         74,000
AQUA AMERICA INC              COM               03836W103      317     10,090           Sole                  10,090
ARC DOCUMENT SOLUTIONS INC    COM               00191G103      131     44,000           Sole                  44,000
ARCH CAP GROUP LTD            ORD               G0450A105    1,425     27,100           Sole                  27,100
ARCHER DANIELS MIDLAND CO     COM               039483102   16,038    475,471           Sole                 392,671         82,800
ARCTIC CAT INC                COM               039670104    1,853     42,410           Sole                  25,710         16,700
ARGAN INC                     COM               04010E109    1,764    118,282           Sole                 109,382          8,900
ARGO GROUP INTL HLDGS LTD     COM               G0464B107    1,626     39,300           Sole                  34,100          5,200
ARLINGTON ASSET INVT CORP     CL A NEW          041356205      955     36,999           Sole                  26,299         10,700
ARRAY BIOPHARMA INC           COM               04269X105    2,986    608,194           Sole                 528,794         79,400
ARRIS GROUP INC               COM               04269Q100    9,961    580,124           Sole                 476,414        103,710
ARUBA NETWORKS INC            COM               043176106      539     21,800           Sole                  21,800
ASCENA RETAIL GROUP INC       COM               04351G101    1,495     80,600           Sole                  80,600
ASHLAND INC NEW               COM               044209104    1,189     16,000           Sole                  16,000
ASPEN INSURANCE HOLDINGS LTD  SHS               G05384105   11,076    287,100           Sole                 218,000         69,100
ASSURANT INC                  COM               04621X108   19,656    436,700           Sole                 371,800         64,900
ASSURED GUARANTY LTD          COM               G0585R106    6,967    338,060           Sole                 272,360         65,700
ASTEX PHARMACEUTICALS INC     COM               04624B103      561    125,638           Sole                  62,373         63,265
ASTRONICS CORP                COM               046433108      693     23,248           Sole                  23,248
AT&T INC                      COM               00206R102   58,810  1,602,890           Sole               1,411,490        191,400
ATLANTIC TELE NETWORK INC     COM NEW           049079205      778     16,034           Sole                  13,634          2,400
ATMI INC                      COM               00207R101      543     24,227           Sole                  24,227
ATWOOD OCEANICS INC           COM               050095108   15,693    298,690           Sole                 241,490         57,200
AUTODESK INC                  COM               052769106   12,294    298,034           Sole                 298,034
AUTONATION INC                COM               05329W102    4,002     91,470           Sole                  90,270          1,200
AVERY DENNISON CORP           COM               053611109    2,559     59,420           Sole                  57,120          2,300
AVIAT NETWORKS INC            COM               05366Y102      783    232,473           Sole                 228,973          3,500
AVID TECHNOLOGY INC           COM               05367P100      697    111,126           Sole                 100,826         10,300
AVISTA CORP                   COM               05379B107      608     22,200           Sole                  15,900          6,300
AXCELIS TECHNOLOGIES INC      COM               054540109      617    493,500           Sole                 471,300         22,200
AXIALL CORP                   COM               05463D100   11,057    177,872           Sole                 144,420         33,452
AXIS CAPITAL HOLDINGS INV     SHS               G0692U109   10,109    242,882           Sole                 218,182         24,700
AZZ INC                       COM               002474104    9,822    203,780           Sole                 175,780         28,000
B/E AEROSPACE INC             COM               073302101    5,485     91,000           Sole                  91,000
BABCOCK & WILCOX CO NEW       COM               05615F102    7,759    273,105           Sole                 236,045         37,060
BALLANTYNE STRONG INC         COM               058516105      118     27,799           Sole                  27,799
BANCFIRST CORP                COM               05945F103      309      7,400           Sole                   7,400
BANK NEW YORK MELLON CORP     COM               064058100    3,552    126,900           Sole                 108,400         18,500
BARD C R INC                  COM               067383109   14,542    144,290           Sole                 112,790         31,500
BARNES GROUP INC              COM               067806109      367     12,700           Sole                  12,700
BARRETT BUSINESS SERVICES IN  COM               068463108    2,661     50,536           Sole                  45,136          5,400
BARRY R G CORP OHIO           COM               068798107      175     13,100           Sole                  13,100
BB&T CORP                     COM               054937107    3,073     97,900           Sole                  97,900
BENCHMARK ELECTRS INC         COM               08160H101    3,017    167,420           Sole                 123,420         44,000
BERKSHIRE HATHAWAY INC DEL    CL B NEW          084670702      668      6,410           Sole                   5,210          1,200
BGC PARTNERS INC              CL A              05541T101      753    181,000           Sole                 102,400         78,600
BIG 5 SPORTING GOODS CORP     COM               08915P101      992     63,540           Sole                  52,340         11,200
BIGLARI HLDGS INC             COM               08986R101      261        700           Sole                     700
BIO RAD LABS INC              CL A              090572207    6,031     47,862           Sole                  37,492         10,370
BIODEL INC                    COM NEW           09064M204       60     21,166           Sole                  21,166
BIOMED REALTY TRUST INC       COM               09063H107    1,237     57,250           Sole                  57,250
BLACK BOX CORP DEL            COM               091826107      386     17,700           Sole                  17,700
BLACK HILLS CORP              COM               092113109    4,514    102,500           Sole                  87,500         15,000
BOB EVANS FARMS INC           COM               096761101    1,087     25,500           Sole                  25,500
BOEING CO                     COM               097023105   48,164    561,020           Sole                 447,120        113,900
BOK FINL CORP                 COM NEW           05561Q201      950     15,255           Sole                  14,755            500
BOSTON BEER INC               CL A              100557107      501      3,140           Sole                                  3,140
BOSTON SCIENTIFIC CORP        COM               101137107   31,242  4,000,300           Sole               3,334,300        666,000
BRADY CORP                    CL A              104674106    2,612     77,900           Sole                  65,600         12,300
BRAVO BRIO RESTAURANT GROUP   COM               10567B109      684     43,210           Sole                  34,910          8,300
BRINKER INTL INC              COM               109641100    5,075    134,800           Sole                 134,800
BRINKS CO                     COM               109696104    1,265     44,760           Sole                  41,760          3,000
BRISTOL MYERS SQUIBB CO       COM               110122108   11,254    273,210           Sole                 190,610         82,600
BRISTOW GROUP INC             COM               110394103    9,868    149,654           Sole                 119,054         30,600
BROADCOM CORP                 CL A              111320107   39,093  1,127,290           Sole                 903,890        223,400
BROCADE COMMUNICATIONS SYS I  COM NEW           111621306   14,004  2,427,100           Sole               1,927,700        499,400
BROOKS AUTOMATION INC         COM               114340102      214     20,999           Sole                   6,800         14,199
BROWN SHOE INC NEW            COM               115736100    4,360    272,500           Sole                 224,100         48,400
BRUKER CORP                   COM               116794108    4,216    220,748           Sole                 220,748
BRUNSWICK CORP                COM               117043109    1,285     37,550           Sole                  37,550
BUFFALO WILD WINGS INC        COM               119848109    4,663     53,270           Sole                  44,470          8,800
BUNGE LIMITED                 COM               G16962105   10,076    136,470           Sole                 113,670         22,800
C D I CORP                    COM               125071100      316     18,400           Sole                  18,400
CABELAS INC                   COM               126804301    2,598     42,748           Sole                  42,748
CABLEVISION SYS CORP          CL A NY CABLVS    12686C109    1,608    107,500           Sole                 107,500
CABOT CORP                    COM               127055101      771     22,550           Sole                  22,550
CADENCE DESIGN SYSTEM INC     COM               127387108   34,317  2,463,534           Sole               2,039,134        424,400
CAL MAINE FOODS INC           COM NEW           128030202      505     11,860           Sole                  11,860
CALIX INC                     COM               13100M509    1,133    139,001           Sole                 102,301         36,700
CALLAWAY GOLF CO              COM               131193104      533     80,500           Sole                  56,100         24,400
CAMBIUM LEARNING GRP INC      COM               13201A107       57     55,633           Sole                  55,633
CAMBREX CORP                  COM               132011107      287     22,440           Sole                  22,440
CAMDEN PPTY TR                SH BEN INT        133131102    1,015     14,780           Sole                  14,780
CAPELLA EDUCATION COMPANY     COM               139594105    4,849    155,732           Sole                 136,332         19,400
CAPITAL ONE FINL CORP         COM               14040H105   20,532    373,640           Sole                 323,640         50,000
CARDINAL FINL CORP            COM               14149F109      352     19,354           Sole                  19,354
CARDINAL HEALTH INC           COM               14149Y108    2,593     62,290           Sole                  62,290
CARDIONET INC                 COM               14159L103      284    116,906           Sole                 116,906
CARDTRONICS INC               COM               14161H108    1,286     46,815           Sole                  46,815
CARNIVAL CORP                 PAIRED CTF        143658300    2,566     74,800           Sole                  66,100          8,700
CARTER INC                    COM               146229109    1,471     25,680           Sole                  23,680          2,000
CATAMARAN CORP                COM               148887102   35,261    664,925           Sole                 547,225        117,700
CATO CORP NEW                 CL A              149205106      425     17,600           Sole                  17,600
CBEYOND INC                   COM               149847105      953    128,238           Sole                 125,238          3,000
CELADON GROUP INC             COM               150838100    1,051     50,400           Sole                  40,800          9,600
CELGENE CORP                  COM               151020104   36,740    316,966           Sole                 245,466         71,500
CELL THERAPEUTICS INC         COM NPV NEW 2012  150934883    1,052    915,175           Sole                 876,375         38,800
CENTRAL GARDEN & PET CO       CL A NON-VTG      153527205      580     70,500           Sole                  70,500
CEVA INC                      COM               157210105    1,925    123,380           Sole                 111,580         11,800
CF INDS HLDGS INC             COM               125269100   22,441    117,881           Sole                 102,361         15,520
CHARLES RIV LABS INTL INC     COM               159864107   13,523    305,468           Sole                 234,918         70,550
CHEESECAKE FACTORY INC        COM               163072101    1,629     42,200           Sole                  42,200
CHELSEA THERAPEUTICS INTL LT  COM               163428105    1,201    588,829           Sole                 530,729         58,100
CHEMICAL FINL CORP            COM               163731102      250      9,484           Sole                   9,484
CHEMTURA CORP                 COM NEW           163893209    2,649    122,600           Sole                 122,600
CHESAPEAKE UTILS CORP         COM               165303108      550     11,210           Sole                   8,910          2,300
CHEVRON CORP NEW              COM               166764100   46,401    390,517           Sole                 350,167         40,350
CHICOS FAS INC                COM               168615102      869     51,700           Sole                  48,400          3,300
CHILDRENS PL RETAIL STORES I  COM               168905107    1,217     27,160           Sole                  27,160
CHIPOTLE MEXICAN GRILL INC    COM               169656105    4,324     13,270           Sole                  13,270
CHRISTOPHER & BANKS CORP      COM               171046105    1,330    206,900           Sole                 186,200         20,700
CHUBB CORP                    COM               171232101   18,489    211,230           Sole                 179,730         31,500
CHURCH & DWIGHT INC           COM               171340102    7,291    112,815           Sole                  90,515         22,300
CIBER INC                     COM               17163B102      308     65,597           Sole                  65,597
CIENA CORP                    COM NEW           171779309   22,360  1,396,644           Sole               1,212,770        183,874
CIMAREX ENERGY CO             COM               171798101    8,098    107,340           Sole                  87,540         19,800
CINEMARK HOLDINGS INC         COM               17243V102    1,422     48,300           Sole                  48,300
CIRCOR INTL INC               COM               17273K109      902     21,216           Sole                  15,316          5,900
CIRRUS LOGIC INC              COM               172755100    1,388     61,030           Sole                  61,030
CISCO SYS INC                 COM               17275R102   26,429  1,264,860           Sole               1,080,760        184,100
CITI TRENDS INC               COM               17306X102      479     46,800           Sole                  44,700          2,100
CLEVELAND BIOLABS INC         COM               185860103      349    177,969           Sole                 177,969
CME GROUP INC                 COM               12572Q105    1,619     26,360           Sole                  20,860          5,500
COCA COLA BOTTLING CO CONS    COM               191098102    1,020     16,912           Sole                  16,912
COCA COLA CO                  COM               191216100   26,810    662,960           Sole                 548,660        114,300
COCA COLA ENTERPRISES INC NE  COM               19122T109    3,814    103,300           Sole                  93,500          9,800
COGNIZANT TECHNOLOGY SOLUTIO  CL A              192446102   15,113    197,240           Sole                 145,640         51,600
COHU INC                      COM               192576106      432     46,150           Sole                  46,150
COLDWATER CREEK INC           COM NEW           193068202       89     28,100           Sole                  28,100
COLGATE PALMOLIVE CO          COM               194162103   39,600    335,504           Sole                 277,590         57,914
COLUMBIA BKG SYS INC          COM               197236102      922     41,950           Sole                  41,950
COLUMBUS MCKINNON CORP N Y    COM               199333105      714     37,106           Sole                  31,606          5,500
COMCAST CORP NEW              CL A              20030N101   18,177    433,000           Sole                 299,300        133,700
COMERICA INC                  COM               200340107   11,073    308,000           Sole                 263,000         45,000
COMFORT SYS USA INC           COM               199908104      279     19,831           Sole                  19,831
COMMERCIAL METALS CO          COM               201723103   15,674    988,882           Sole                 826,096        162,786
COMMONWEALTH REIT             COM SH BEN INT    203233101    1,255     55,940           Sole                  55,940
COMMUNITY HEALTH SYS INC NEW  COM               203668108   12,686    267,700           Sole                 234,100         33,600
COMMUNITY TR BANCORP INC      COM               204149108      378     11,100           Sole                  11,100
COMMVAULT SYSTEMS INC         COM               204166102    2,927     35,700           Sole                  35,700
COMPUTER SCIENCES CORP        COM               205363104   11,885    241,420           Sole                 217,520         23,900
COMPUTER TASK GROUP INC       COM               205477102      515     24,070           Sole                  24,070
COMTECH TELECOMMUNICATIONS C  COM NEW           205826209    3,005    123,765           Sole                 109,500         14,265
CONAGRA FOODS INC             COM               205887102      211      5,900           Sole                   5,900
CONCHO RES INC                COM               20605P101   21,668    222,400           Sole                 173,600         48,800
CONMED CORP                   COM               207410101    2,604     76,460           Sole                  64,860         11,600
CONSOLIDATED EDISON INC       COM               209115104    3,222     52,800           Sole                  47,400          5,400
CONSOLIDATED GRAPHICS INC     COM               209341106      957     24,488           Sole                  21,288          3,200
CONTINENTAL RESOURCES INC     COM               212015101   16,619    191,180           Sole                 146,480         44,700
CONVERGYS CORP                COM               212485106      760     44,600           Sole                  44,600
CON-WAY INC                   COM               205944101   20,226    574,450           Sole                 486,250         88,200
CORCEPT THERAPEUTICS INC      COM               218352102       78     38,873           Sole                  38,873
CORE MARK HOLDING CO INC      COM               218681104    1,864     36,336           Sole                  32,036          4,300
CORELOGIC INC                 COM               21871D103    3,672    142,000           Sole                 142,000
CORINTHIAN COLLEGES INC       COM               218868107      147     69,900           Sole                  69,900
CORNERSTONE ONDEMAND INC      COM               21925Y103    8,745    256,462           Sole                 187,542         68,920
CORPORATE EXECUTIVE BRD CO    COM               21988R102    6,555    112,700           Sole                  91,200         21,500
COSTCO WHSL CORP NEW          COM               22160K105   43,136    406,519           Sole                 330,379         76,140
CRACKER BARREL OLD CTRY STOR  COM               22410J106   24,751    306,137           Sole                 247,376         58,761
CRANE CO                      COM               224399105    2,823     50,540           Sole                  45,740          4,800
CRAWFORD & CO                 CL B              224633107      287     37,835           Sole                  37,835
CRAY INC                      COM NEW           225223304    5,332    229,729           Sole                 201,229         28,500
CREDIT ACCEP CORP MICH        COM               225310101    1,025      8,390           Sole                   8,390
CROSS A T CO                  CL A              227478104      314     22,804           Sole                  22,804
CROWN CASTLE INTL CORP        COM               228227104    2,300     33,020           Sole                  33,020
CRYOLIFE INC                  COM               228903100      386     64,168           Sole                  64,168
CSG SYS INTL INC              COM               126349109    5,518    260,400           Sole                 227,300         33,100
CSS INDS INC                  COM               125906107      582     22,393           Sole                  22,393
CSX CORP                      COM               126408103   10,042    407,700           Sole                 288,500        119,200
CUBIST PHARMACEUTICALS INC    COM               229678107    8,251    176,230           Sole                 176,230
CULLEN FROST BANKERS INC      COM               229899109      261      4,180           Sole                   4,180
CUMMINS INC                   COM               231021106    9,220     79,610           Sole                  52,110         27,500
CURTISS WRIGHT CORP           COM               231561101    1,135     32,700           Sole                  31,300          1,400
CUTERA INC                    COM               232109108      466     35,853           Sole                  35,853
CVB FINL CORP                 COM               126600105      261     23,200           Sole                  23,200
CYBERONICS INC                COM               23251P102   18,124    387,270           Sole                 309,870         77,400
CYNOSURE INC                  CL A              232577205      686     26,200           Sole                  21,900          4,300
CYTOKINETICS INC              COM               23282W100      366    320,920           Sole                 320,920
DAKTRONICS INC                COM               234264109      626     59,580           Sole                  50,680          8,900
DATALINK CORP                 COM               237934104      441     36,500           Sole                  36,500
DAWSON GEOPHYSICAL CO         COM               239359102      843     28,102           Sole                  24,302          3,800
DEAN FOODS CO NEW             COM               242370104   14,549    802,460           Sole                 744,960         57,500
DELCATH SYS INC               COM               24661P104      359    199,620           Sole                 199,620
DELEK US HLDGS INC            COM               246647101    3,738     94,730           Sole                  71,830         22,900
DESTINATION MATERNITY CORP    COM               25065D100      604     25,800           Sole                  17,900          7,900
DIAMOND OFFSHORE DRILLING IN  COM               25271C102    9,132    131,280           Sole                 119,780         11,500
DICKS SPORTING GOODS INC      COM               253393102    4,541     96,000           Sole                  96,000
DIGI INTL INC                 COM               253798102      576     64,520           Sole                  64,520
DIGITAL RIV INC               COM               25388B104    2,390    168,990           Sole                 133,790         35,200
DIRECTV                       COM               25490A309    4,412     77,960           Sole                  49,860         28,100
DISCOVER FINL SVCS            COM               254709108    6,076    135,500           Sole                 135,500
DISCOVERY COMMUNICATNS NEW    COM SER A         25470F104   43,880    557,275           Sole                 468,900         88,375
DOLAN CO                      COM               25659P402      132     55,300           Sole                  55,300
DOLLAR TREE INC               COM               256746108   34,237    706,944           Sole                 596,744        110,200
DOMINOS PIZZA INC             COM               25754A201   14,809    287,890           Sole                 235,490         52,400
DOMTAR CORP                   COM NEW           257559203    3,906     50,320           Sole                  43,420          6,900
DOT HILL SYS CORP             COM               25848T109      291    264,805           Sole                 264,805
DOVER DOWNS GAMING & ENTMT I  COM               260095104       34     16,550           Sole                  16,550
DRESSER-RAND GROUP INC        COM               261608103    1,611     26,129           Sole                  26,129
DSP GROUP INC                 COM               23332B106      606     75,106           Sole                  75,106
DSW INC                       CL A              23334L102    1,850     29,000           Sole                  29,000
DTE ENERGY CO                 COM               233331107    5,137     75,170           Sole                  65,270          9,900
DUNKIN BRANDS GROUP INC       COM               265504100    8,523    231,100           Sole                 174,900         56,200
DURECT CORP                   COM               266605104      466    350,385           Sole                 350,385
DXP ENTERPRISES INC NEW       COM NEW           233377407    3,231     43,250           Sole                  41,130          2,120
E M C CORP MASS               COM               268648102    1,797     75,200           Sole                  75,200
EAGLE BANCORP INC MD          COM               268948106      339     15,500           Sole                  15,500
EBAY INC                      COM               278642103    4,754     87,680           Sole                  62,580         25,100
ECHELON CORP                  COM               27874N105      362    148,324           Sole                 148,324
ECHO GLOBAL LOGISTICS INC     COM               27875T101      208      9,400           Sole                   6,800          2,600
ECHOSTAR CORP                 CL A              278768106    2,440     62,600           Sole                  57,800          4,800
EDISON INTL                   COM               281020107    6,451    128,200           Sole                 104,300         23,900
EDUCATION MGMT CORP NEW       COM               28140M103      226     61,700           Sole                  61,700
EDWARDS LIFESCIENCES CORP     COM               28176E108   14,156    172,300           Sole                 135,420         36,880
EHEALTH INC                   COM               28238P109    2,765    154,660           Sole                 139,660         15,000
EL PASO ELEC CO               COM NEW           283677854    4,201    124,850           Sole                 110,150         14,700
ELECTRO SCIENTIFIC INDS       COM               285229100      690     62,410           Sole                  60,010          2,400
ELECTRONIC ARTS INC           COM               285512109   26,253  1,483,200           Sole               1,224,400        258,800
ELECTRONICS FOR IMAGING INC   COM               286082102   11,985    472,576           Sole                 392,584         79,992
ELIZABETH ARDEN INC           COM               28660G106      448     11,140           Sole                  11,140
ELLIS PERRY INTL INC          COM               288853104      786     43,200           Sole                  34,400          8,800
EMCOR GROUP INC               COM               29084Q100   10,962    258,610           Sole                 201,510         57,100
EMCORE CORP                   COM NEW           290846203      336     57,684           Sole                  57,684
EMERGENT BIOSOLUTIONS INC     COM               29089Q105    2,964    212,003           Sole                 186,203         25,800
EMPLOYERS HOLDINGS INC        COM               292218104      281     12,000           Sole                  12,000
EMULEX CORP                   COM NEW           292475209    5,173    792,230           Sole                 648,230        144,000
ENCORE WIRE CORP              COM               292562105      406     11,600           Sole                  11,600
ENDO HEALTH SOLUTIONS INC     COM               29264F205    4,933    160,375           Sole                 160,375
ENDURANCE SPECIALTY HLDGS LT  SHS               G30397106   19,170    400,963           Sole                 310,923         90,040
ENERGEN CORP                  COM               29265N108    3,208     61,680           Sole                  58,880          2,800
ENERGIZER HLDGS INC           COM               29266R108    1,265     12,680           Sole                  12,680
ENERNOC INC                   COM               292764107    1,511     87,000           Sole                  64,700         22,300
ENERSYS                       COM               29275Y102    1,855     40,700           Sole                  40,700
ENNIS INC                     COM               293389102      184     12,200           Sole                  12,200
ENSCO PLC                     SHS CLASS A       G3157S106      643     10,710           Sole                  10,710
ENSTAR GROUP LIMITED          SHS               G3075P101      592      4,766           Sole                   4,766
ENTERGY CORP NEW              COM               29364G103   11,596    183,360           Sole                 157,860         25,500
ENTRAVISION COMMUNICATIONS C  CL A              29382R107      360    112,700           Sole                 112,700
ENTROPIC COMMUNICATIONS INC   COM               29384R105      715    176,002           Sole                 140,102         35,900
ENZO BIOCHEM INC              COM               294100102       78     30,800           Sole                  30,800
ENZON PHARMACEUTICALS INC     COM               293904108      291     76,601           Sole                  76,601
EOG RES INC                   COM               26875P101   34,839    272,031           Sole                 214,221         57,810
EPR PPTYS                     COM SH BEN INT    26884U109      246      4,730           Sole                   4,730
EQUITY ONE                    COM               294752100      290     12,100           Sole                  12,100
ESSEX PPTY TR INC             COM               297178105    4,816     31,981           Sole                  31,981
EVERBANK FINL CORP            COM               29977G102    1,785    115,900           Sole                  68,100         47,800
EVERCORE PARTNERS INC         CLASS A           29977A105    3,738     89,852           Sole                  69,852         20,000
EVEREST RE GROUP LTD          COM               G3223R108   10,563     81,341           Sole                  71,841          9,500
EXAR CORP                     COM               300645108      285     27,100           Sole                  13,500         13,600
EXELIS INC                    COM               30162A108    1,492    137,019           Sole                 137,019
EXPEDIA INC DEL               COM NEW           30212P303   14,641    243,950           Sole                 198,150         45,800
EXPONENT INC                  COM               30214U102    1,271     23,570           Sole                  21,970          1,600
EXPRESS SCRIPTS HLDG CO       COM               30219G108   44,547    773,120           Sole                 610,020        163,100
EXTRA SPACE STORAGE INC       COM               30225T102   17,824    453,888           Sole                 427,188         26,700
EXTREME NETWORKS INC          COM               30226D106    1,624    482,044           Sole                 428,344         53,700
EXXON MOBIL CORP              COM               30231G102   78,485    870,995           Sole                 772,995         98,000
EZCORP INC                    CL A NON VTG      302301106      617     28,958           Sole                  28,958
F5 NETWORKS INC               COM               315616102    3,988     44,770           Sole                  44,770
FAIR ISAAC CORP               COM               303250104    4,967    108,720           Sole                 100,720          8,000
FALCONSTOR SOFTWARE INC       COM               306137100      302    112,514           Sole                 112,514
FARMER BROS CO                COM               307675108      416     28,300           Sole                  28,300
FEDERAL SIGNAL CORP           COM               313855108      358     44,000           Sole                  44,000
FEDEX CORP                    COM               31428X106   15,900    161,910           Sole                 121,430         40,480
FEI CO                        COM               30241L109      800     12,400           Sole                  12,400
FIDELITY NATL INFORMATION SV  COM               31620M106      994     25,100           Sole                  25,100
FINISAR CORP                  COM NEW           31787A507      372     28,200           Sole                  10,100         18,100
FIRST AMERN FINL CORP         COM               31847R102    7,690    300,738           Sole                 291,538          9,200
FIRST INDUSTRIAL REALTY TRUS  COM               32054K103    2,020    117,903           Sole                 117,903
FIRST INTST BANCSYSTEM INC    COM CL A          32055Y201      296     15,730           Sole                  15,730
FIRST REP BK SAN FRANCISCO C  COM               33616C100    2,634     68,202           Sole                  68,202
FIRST SOLAR INC               COM               336433107    4,345    161,160           Sole                 127,560         33,600
FIRSTENERGY CORP              COM               337932107   13,995    331,630           Sole                 290,530         41,100
FISHER COMMUNICATIONS INC     COM               337756209      373      9,500           Sole                   9,500
FIVE STAR QUALITY CARE INC    COM               33832D106      712    106,425           Sole                  87,925         18,500
FLIR SYS INC                  COM               302445101    6,153    236,550           Sole                 208,250         28,300
FLOW INTL CORP                COM               343468104      846    216,435           Sole                 199,435         17,000
FLUOR CORP NEW                COM               343412102      566      8,540           Sole                   8,540
FOOT LOCKER INC               COM               344849104    6,693    195,480           Sole                 181,480         14,000
FOREST LABS INC               COM               345838106   22,919    602,499           Sole                 502,499        100,000
FORESTAR GROUP INC            COM               346233109      583     26,650           Sole                  20,450          6,200
FORMFACTOR INC                COM               346375108    1,271    270,348           Sole                 224,548         45,800
FOSTER L B CO                 COM               350060109      611     13,800           Sole                  11,800          2,000
FRANCESCAS HLDGS CORP         COM               351793104    2,733     95,147           Sole                  89,047          6,100
FRANKLIN COVEY CO             COM               353469109      269     18,516           Sole                  18,516
FRANKLIN ELEC INC             COM               353514102    3,019     89,924           Sole                  80,724          9,200
FRANKLIN RES INC              COM               354613101      697      4,624           Sole                   4,624
FREIGHTCAR AMER INC           COM               357023100      825     37,809           Sole                  28,909          8,900
FRESH DEL MONTE PRODUCE INC   ORD               G36738105    2,742    101,643           Sole                  81,743         19,900
FRESH MKT INC                 COM               35804H106    1,991     46,540           Sole                  46,540
FUEL SYS SOLUTIONS INC        COM               35952W103      254     15,400           Sole                   4,600         10,800
FUEL TECH INC                 COM               359523107       66     15,300           Sole                  15,300
FUTUREFUEL CORPORATION        COM               36116M106      234     19,300           Sole                  18,900            400
G & K SVCS INC                CL A              361268105      300      6,600           Sole                   6,600
GAIAM INC                     CL A              36268Q103       94     22,394           Sole                  22,394
GALLAGHER ARTHUR J & CO       COM               363576109    2,999     72,600           Sole                  72,600
GAMESTOP CORP NEW             CL A              36467W109   15,873    567,500           Sole                 482,300         85,200
GAP INC DEL                   COM               364760108   29,640    837,300           Sole                 723,800        113,500
GARTNER INC                   COM               366651107   18,688    343,472           Sole                 313,060         30,412
GENERAL ELECTRIC CO           COM               369604103   33,368  1,443,250           Sole               1,250,850        192,400
GENERAL GROWTH PPTYS INC NEW  COM               370023103      763     38,400           Sole                  38,400
GENERAL MTRS CO               COM               37045V100   26,959    969,050           Sole                 799,350        169,700
GENESCO INC                   COM               371532102    1,010     16,800           Sole                  16,800
GENOMIC HEALTH INC            COM               37244C101    2,155     76,215           Sole                  60,715         15,500
GERON CORP                    COM               374163103      603    563,914           Sole                 517,514         46,400
GLEACHER & CO INC             COM               377341102       42     70,800           Sole                  70,800
GLOBAL CASH ACCESS HLDGS INC  COM               378967103    1,045    148,200           Sole                 110,000         38,200
GLOBAL PMTS INC               COM               37940X102    3,341     67,270           Sole                  67,270
GLU MOBILE INC                COM               379890106       76     25,400           Sole                  25,400
GOLDMAN SACHS GROUP INC       COM               38141G104   12,657     86,017           Sole                  63,807         22,210
GOODYEAR TIRE & RUBR CO       COM               382550101    4,693    372,310           Sole                 372,310
GOOGLE INC                    CL A              38259P508   36,468     45,918           Sole                  35,948          9,970
GORDMANS STORES INC           COM               38269P100      256     21,900           Sole                  21,900
GRACE W R & CO DEL NEW        COM               38388F108      209      2,700           Sole                   2,700
GRAINGER W W INC              COM               384802104    2,430     10,800           Sole                  10,800
GRANITE CONSTR INC            COM               387328107    5,136    161,300           Sole                 131,300         30,000
GREAT PLAINS ENERGY INC       COM               391164100    4,881    210,500           Sole                 210,500
GREAT SOUTHN BANCORP INC      COM               390905107      310     12,700           Sole                  11,900            800
GREATBATCH INC                COM               39153L106    1,819     60,900           Sole                  48,600         12,300
GREEN DOT CORP                CL A              39304D102    4,561    272,944           Sole                 230,020         42,924
GREEN PLAINS RENEWABLE ENERG  COM               393222104    1,358    118,700           Sole                 111,500          7,200
GREIF INC                     CL A              397624107      247      4,600           Sole                     300          4,300
GRIFFON CORP                  COM               398433102      602     50,500           Sole                  38,700         11,800
GSE SYS INC                   COM               36227K106       36     17,841           Sole                  17,841
GUIDANCE SOFTWARE INC         COM               401692108      382     35,200           Sole                  35,200
GULFMARK OFFSHORE INC         CL A NEW          402629208    3,626     93,062           Sole                  75,900         17,162
HACKETT GROUP INC             COM               404609109      431     94,300           Sole                  94,300
HANMI FINL CORP               COM NEW           410495204      514     32,100           Sole                  32,100
HANOVER INS GROUP INC         COM               410867105    6,588    132,601           Sole                 119,101         13,500
HARMAN INTL INDS INC          COM               413086109   10,040    224,950           Sole                 191,950         33,000
HARMONIC INC                  COM               413160102    3,348    578,185           Sole                 495,785         82,400
HARRIS CORP DEL               COM               413875105    2,759     59,530           Sole                  53,130          6,400
HARSCO CORP                   COM               415864107   13,222    533,780           Sole                 430,060        103,720
HAWAIIAN ELEC INDUSTRIES      COM               419870100      899     32,430           Sole                  32,430
HEALTH NET INC                COM               42222G108    5,890    205,800           Sole                 167,400         38,400
HEARTLAND PMT SYS INC         COM               42235N108    2,327     70,584           Sole                  29,300         41,284
HEIDRICK & STRUGGLES INTL IN  COM               422819102      747     49,950           Sole                  46,150          3,800
HELEN OF TROY CORP LTD        COM               G4388N106      966     25,190           Sole                  25,190
HELMERICH & PAYNE INC         COM               423452101    3,687     60,741           Sole                  53,941          6,800
HEMISPHERX BIOPHARMA INC      COM               42366C103      145    761,981           Sole                 761,981
HENRY JACK & ASSOC INC        COM               426281101    5,278    114,222           Sole                 114,222
HERSHEY CO                    COM               427866108   27,916    318,930           Sole                 277,430         41,500
HEWLETT PACKARD CO            COM               428236103    1,030     43,200           Sole                  43,200
HIBBETT SPORTS INC            COM               428567101      275      4,890           Sole                   4,890
HILL INTERNATIONAL INC        COM               431466101      120     40,190           Sole                  40,190
HILL ROM HLDGS INC            COM               431475102      884     25,100           Sole                   1,500         23,600
HOLLYFRONTIER CORP            COM               436106108    1,996     38,800           Sole                  38,800
HOME DEPOT INC                COM               437076102   17,079    244,760           Sole                 127,260        117,500
HOME LN SERVICING SOLUTIONS   ORD SHS           G6648D109    5,099    218,554           Sole                 187,554         31,000
HOMEOWNERS CHOICE INC         COM               43741E103    3,113    114,244           Sole                  96,844         17,400
HOMESTREET INC                COM               43785V102    1,682     75,310           Sole                  65,410          9,900
HORACE MANN EDUCATORS CORP N  COM               440327104    2,686    128,820           Sole                 111,020         17,800
HORNBECK OFFSHORE SVCS INC N  COM               440543106    6,551    141,000           Sole                 120,000         21,000
HORSEHEAD HLDG CORP           COM               440694305      897     82,400           Sole                  66,100         16,300
HOSPIRA INC                   COM               441060100    4,534    138,100           Sole                 117,300         20,800
HOSPITALITY PPTYS TR          COM SH BEN INT    44106M102    3,353    122,190           Sole                 122,190
HUB GROUP INC                 CL A              443320106    3,384     88,000           Sole                  88,000
HUBBELL INC                   CL B              443510201    5,400     55,606           Sole                  55,606
HUDSON GLOBAL INC             COM               443787106      123     31,300           Sole                  31,300
HUMANA INC                    COM               444859102   22,229    321,640           Sole                 265,140         56,500
HUNT J B TRANS SVCS INC       COM               445658107    4,495     60,347           Sole                  56,157          4,190
HUNTINGTON INGALLS INDS INC   COM               446413106   13,441    252,030           Sole                 228,130         23,900
HUNTSMAN CORP                 COM               447011107      714     38,430           Sole                  31,230          7,200
HUTCHINSON TECHNOLOGY INC     COM               448407106      436    158,440           Sole                 158,440
IAC INTERACTIVECORP           COM PAR $.001     44919P508    6,729    150,600           Sole                 109,200         41,400
IBERIABANK CORP               COM               450828108    1,230     24,600           Sole                  23,400          1,200
IDENTIVE GROUP INC            COM               45170X106      267    180,209           Sole                 180,209
IKANOS COMMUNICATIONS         COM               45173E105      255    127,685           Sole                 127,685
IMATION CORP                  COM               45245A107      396    103,740           Sole                 103,740
INFINERA CORPORATION          COM               45667G103    1,631    233,000           Sole                 163,700         69,300
INFORMATICA CORP              COM               45666Q102    4,398    127,600           Sole                 127,600
INGERSOLL-RAND PLC            SHS               G47791101   14,534    264,200           Sole                 245,800         18,400
INGLES MKTS INC               CL A              457030104      272     12,642           Sole                  12,642
INGREDION INC                 COM               457187102    1,584     21,900           Sole                  21,900
INSIGHT ENTERPRISES INC       COM               45765U103      487     23,600           Sole                  12,400         11,200
INSPERITY INC                 COM               45778Q107    3,131    110,350           Sole                  98,450         11,900
INSTEEL INDUSTRIES INC        COM               45774W108      703     43,100           Sole                  43,100
INTEGRA LIFESCIENCES HLDGS C  COM NEW           457985208    1,674     42,900           Sole                  42,900
INTEGRATED DEVICE TECHNOLOGY  COM               458118106    4,836    647,402           Sole                 614,802         32,600
INTEGRATED SILICON SOLUTION   COM               45812P107      521     56,821           Sole                  56,821
INTEGRYS ENERGY GROUP INC     COM               45822P105      628     10,800           Sole                   9,000          1,800
INTER PARFUMS INC             COM               458334109      286     11,700           Sole                   8,700          3,000
INTERDIGITAL INC              COM               45867G101    2,087     43,600           Sole                  43,600
INTERMUNE INC                 COM               45884X103      538     59,460           Sole                  45,220         14,240
INTERNATIONAL BUSINESS MACHS  COM               459200101   62,996    295,340           Sole                 218,430         76,910
INTERNATIONAL FLAVORS&FRAGRA, COM               459506101    2,798     36,490           Sole                  36,490
INTERNATIONAL GAME TECHNOLOG  COM               459902102    4,662    282,550           Sole                 282,550
INTERSIL CORP                 CL A              46069S109   10,365  1,190,030           Sole                 974,430        215,600
INTEVAC INC                   COM               461148108      402     85,200           Sole                  85,200
INVACARE CORP                 COM               461203101      906     69,421           Sole                  55,921         13,500
INVESCO LTD                   SHS               G491BT108      990     34,200           Sole                  34,200
INVESTMENT TECHNOLOGY GRP NE  COM               46145F105    3,987    361,100           Sole                 320,700         40,400
INVESTORS BANCORP INC         COM               46146P102      695     37,000           Sole                  37,000
ION GEOPHYSICAL CORP          COM               462044108      524     77,000           Sole                  77,000
IRIDIUM COMMUNICATIONS INC    COM               46269C102      141     23,400           Sole                  23,400
ISHARES TR                    RUSL 2000 VALU    464287630    3,853     45,970           Sole                  45,970
ITT CORP NEW                  COM NEW           450911201    1,055     37,100           Sole                  37,100
IXIA                          COM               45071R109    1,186     54,800           Sole                  54,800
J & J SNACK FOODS CORP        COM               466032109    2,554     33,210           Sole                  33,210
JABIL CIRCUIT INC             COM               466313103    6,430    347,930           Sole                 304,030         43,900
JACK IN THE BOX INC           COM               466367109   16,526    477,768           Sole                 372,550        105,218
JACOBS ENGR GROUP INC DEL     COM               469814107    1,114     19,800           Sole                  19,800
JARDEN CORP                   COM               471109108    1,202     28,050           Sole                  28,050
JAZZ PHARMACEUTICALS PLC      SHS USD           G50871105    2,120     37,910           Sole                  37,910
JOHN BEAN TECHNOLOGIES CORP   COM               477839104      752     36,232           Sole                  27,832          8,400
JOHNSON & JOHNSON             COM               478160104   74,900    918,680           Sole                 760,680        158,000
JOHNSON OUTDOORS INC          CL A              479167108      409     17,149           Sole                  17,149
JOURNAL COMMUNICATIONS INC    CL A              481130102      136     20,300           Sole                  20,300
JPMORGAN CHASE & CO           COM               46625H100   13,752    289,750           Sole                 262,550         27,200
JUNIPER NETWORKS INC          COM               48203R104   14,689    792,310           Sole                 678,410        113,900
KADANT INC                    COM               48282T104      886     35,454           Sole                  32,154          3,300
KAISER ALUMINUM CORP          COM PAR $0.01     483007704    1,630     25,215           Sole                  20,115          5,100
KAR AUCTION SVCS INC          COM               48238T109    1,824     91,070           Sole                  87,770          3,300
KELLY SVCS INC                CL A              488152208      723     38,700           Sole                  29,400          9,300
KEMET CORP                    COM NEW           488360207      356     56,900           Sole                  51,900          5,000
KEYCORP NEW                   COM               493267108    3,740    375,500           Sole                 341,700         33,800
KEYNOTE SYS INC               COM               493308100      218     15,610           Sole                  15,610
KFORCE INC                    COM               493732101    1,729    105,636           Sole                  90,736         14,900
KID BRANDS INC                COM               49375T100       18     11,666           Sole                  11,666
KIMBALL INTL INC              CL B              494274103      773     85,300           Sole                  75,100         10,200
KINDRED HEALTHCARE INC        COM               494580103      366     34,800           Sole                  34,800
KIRKLANDS INC                 COM               497498105      728     63,501           Sole                  60,401          3,100
KNIGHT TRANSN INC             COM               499064103    1,943    120,700           Sole                  79,700         41,000
KOHLS CORP                    COM               500255104    7,690    166,700           Sole                 108,800         57,900
KOPPERS HOLDINGS INC          COM               50060P106      809     18,400           Sole                  18,400
KORN FERRY INTL               COM NEW           500643200    4,120    230,690           Sole                 189,190         41,500
KRAFT FOODS GROUP INC         COM               50076Q106    1,350     26,198           Sole                  19,998          6,200
KRISPY KREME DOUGHNUTS INC    COM               501014104    1,276     88,400           Sole                  88,400
KROGER CO                     COM               501044101   10,419    314,400           Sole                 213,900        100,500
KULICKE & SOFFA INDS INC      COM               501242101    1,467    126,860           Sole                  84,160         42,700
L-3 COMMUNICATIONS HLDGS INC  COM               502424104    9,551    118,030           Sole                 111,430          6,600
LA Z BOY INC                  COM               505336107      524     27,780           Sole                  27,780
LACLEDE GROUP INC             COM               505597104      271      6,350           Sole                   6,350
LAMAR ADVERTISING CO          CL A              512815101    3,027     62,300           Sole                  62,300
LANDEC CORP                   COM               514766104      225     15,531           Sole                  15,531
LANDSTAR SYS INC              COM               515098101    6,414    112,347           Sole                  99,015         13,332
LANNET INC                    COM               516012101      151     14,900           Sole                  14,900
LAREDO PETE HLDGS INC         COM               516806106    1,073     58,660           Sole                  31,960         26,700
LATTICE SEMICONDUCTOR CORP    COM               518415104      677    124,019           Sole                 124,019
LAUDER ESTEE COS INC          CL A              518439104   10,668    166,610           Sole                 111,610         55,000
LCA-VISION INC                COM PAR $.001     501803308       81     24,100           Sole                  24,100
LEAP WIRELESS INTL INC        COM NEW           521863308      131     22,200           Sole                  22,200
LENDER PROCESSING SVCS INC    COM               52602E102    1,640     64,400           Sole                  64,400
LEXMARK INTL NEW              CL A              529771107   16,397    621,109           Sole                 528,609         92,500
LIBBEY INC                    COM               529898108      696     36,010           Sole                  31,010          5,000
LIBERTY GLOBAL INC            COM SER A         530555101   13,839    188,590           Sole                 164,790         23,800
LIFETIME BRANDS INC           COM               53222Q103      139     12,166           Sole                  12,166
LIFEVANTAGE CORP              COM               53222K106      304    129,300           Sole                 129,300
LILLY ELI & CO                COM               532457108   37,582    661,770           Sole                 536,770        125,000
LIMELIGHT NETWORKS INC        COM               53261M104      235    113,200           Sole                  93,300         19,900
LINCOLN NATL CORP IND         COM               534187109    1,862     57,100           Sole                  47,500          9,600
LINKEDIN CORP                 COM CL A          53578A108   20,721    117,693           Sole                 111,423          6,270
LIONBRIDGE TECHNOLOGIES INC   COM               536252109      281     72,700           Sole                  72,700
LKQ CORP                      COM               501889208    1,249     57,400           Sole                   1,000         56,400
LOCAL CORP                    COM               53954W104       97     57,300           Sole                  57,300
LOCKHEED MARTIN CORP          COM               539830109   10,818    112,080           Sole                  88,380         23,700
LO-JACK CORP                  COM               539451104      175     56,080           Sole                  56,080
LORILLARD INC                 COM               544147101   36,858    913,448           Sole                 851,458         61,990
LPL FINL HLDGS INC            COM               50212V100    7,673    237,981           Sole                 207,322         30,659
LSB INDS INC                  COM               502160104      602     17,300           Sole                  17,300
LSI CORPORATION               COM               502161102   34,208  5,045,500           Sole               4,135,900        909,600
LTX-CREDENCE CORP             COM NEW           502403207    1,291    213,700           Sole                 196,100         17,600
M & T BK CORP                 COM               55261F104      990      9,600           Sole                   9,600
M D C HLDGS INC               COM               552676108      480     13,100           Sole                  13,100
MACYS INC                     COM               55616P104    2,050     49,000           Sole                  39,300          9,700
MADDEN STEVEN LTD             COM               556269108    6,605    152,800           Sole                 138,900         13,900
MADISON SQUARE GARDEN CO      CL A              55826P100    6,773    117,580           Sole                  98,680         18,900
MAGELLAN HEALTH SVCS INC      COM NEW           559079207   14,101    296,435           Sole                 236,335         60,100
MAIDEN HOLDINGS LTD           SHS               G5753U112    1,684    158,986           Sole                 139,486         19,500
MAIDENFORM BRANDS INC         COM               560305104      920     52,500           Sole                  44,400          8,100
MANNING & NAPIER INC          CL A              56382Q102      254     15,330           Sole                  15,330
MANTECH INTL CORP             CL A              564563104      583     21,700           Sole                  21,700
MARATHON OIL CORP             COM               565849106    1,763     52,270           Sole                  39,970         12,300
MARATHON PETE CORP            COM               56585A102   25,869    288,720           Sole                 234,920         53,800
MARCHEX INC                   CL B              56624R108      334     79,300           Sole                  79,300
MARKEL CORP                   COM               570535104    3,611      7,171           Sole                   6,431            740
MARRIOTT INTL INC NEW         CL A              571903202   24,271    574,734           Sole                 476,834         97,900
MARRIOTT VACATIONS WRLDWDE C  COM               57164Y107      756     17,620           Sole                  17,620
MARTHA STEWART LIVING OMNIME  CL A              573083102       40     15,100           Sole                  15,100
MARVELL TECHNOLOGY GROUP LTD  ORD               G5876H105   12,138  1,147,780           Sole                 876,480        271,300
MASTERCARD INC                CL A              57636Q104   54,901    101,457           Sole                  79,787         21,670
MATADOR RES CO                COM               576485205      153     17,300           Sole                     400         16,900
MATRIX SVC CO                 COM               576853105    1,765    118,460           Sole                 104,460         14,000
MATTSON TECHNOLOGY INC        COM               577223100      331    239,502           Sole                 233,202          6,300
MAXLINEAR INC                 CL A              57776J100      214     34,500           Sole                  34,500
MAXWELL TECHNOLOGIES INC      COM               577767106      105     19,540           Sole                  19,540
MAXYGEN INC                   COM               577776107      256    106,200           Sole                 106,200
MB FINANCIAL INC NEW          COM               55264U108    3,954    163,600           Sole                 133,600         30,000
MEASUREMENT SPECIALTIES INC   COM               583421102      449     11,300           Sole                  11,300
MEDICAL ACTION INDS INC       COM               58449L100      368     61,302           Sole                  61,302
MEDICINES CO                  COM               584688105    9,084    271,900           Sole                 251,800         20,100
MEDIFAST INC                  COM               58470H101    2,789    121,700           Sole                 101,200         20,500
MEDTRONIC INC                 COM               585055106   35,545    756,919           Sole                 614,219        142,700
MEETME INC                    COM               585141104      119     52,200           Sole                  52,200
MELA SCIENCES INC             COM               55277R100       41     35,025           Sole                  35,025
MEMC ELECTR MATLS INC         COM               552715104   14,691  3,338,794           Sole               2,459,610        879,184
MENTOR GRAPHICS CORP          COM               587200106   25,952  1,437,802           Sole               1,171,337        266,465
MERCK & CO INC NEW            COM               58933Y105    2,732     61,820           Sole                  60,620          1,200
MERCURY SYS INC               COM               589378108      687     93,200           Sole                  86,200          7,000
MERITOR INC                   COM               59001K100      221     46,800           Sole                  14,000         32,800
MERU NETWORKS INC             COM               59047Q103      248     36,694           Sole                  36,694
METABOLIX INC                 COM               591018809      179     97,586           Sole                  97,586
METHODE ELECTRS INC           COM               591520200      317     24,600           Sole                  24,600
METLIFE INC                   COM               59156R108   24,672    648,920           Sole                 562,620         86,300
METROPCS COMMUNICATIONS INC   COM               591708102    1,214    111,400           Sole                 111,400
MGM RESORTS INTERNATIONAL     COM               552953101      467     35,500           Sole                  35,500
MGP INGREDIENTS INC NEW       COM               55303J106       61     14,100           Sole                  14,100
MICROSOFT CORP                COM               594918104   86,999  3,041,385           Sole               2,384,585        656,800
MICROSTRATEGY INC             CL A NEW          594972408    9,351     92,507           Sole                  76,467         16,040
MICROVISION INC DEL           COM NEW           594960304       28     17,701           Sole                  15,501          2,200
MID-AMER APT CMNTYS INC       COM               59522J103    3,117     45,130           Sole                  45,130
MIDDLEBY CORP                 COM               596278101    2,746     18,048           Sole                  18,048
MIDSTATES PETE CO INC         COM               59804T100      418     48,900           Sole                  48,900
MINDSPEED TECHNOLOGIES INC    COM NEW           602682205    1,014    305,455           Sole                 287,455         18,000
MINE SAFETY APPLIANCES CO     COM               602720104      789     15,900           Sole                  15,900
MKS INSTRUMENT INC            COM               55306N104    2,842    104,500           Sole                  80,200         24,300
MODINE MFG CO                 COM               607828100      338     37,118           Sole                  30,518          6,600
MOLEX INC                     COM               608554101   16,147    551,480           Sole                 511,060         40,420
MOLINA HEALTHCARE INC         COM               60855R100    9,981    323,330           Sole                 271,930         51,400
MONDELEZ INTL INC             CL A              609207105   11,109    362,850           Sole                 255,750        107,100
MONSTER BEVERAGE CORP         COM               611740101    1,305     27,330           Sole                   2,630         24,700
MONTPELIER RE HOLDINGS LTD    SHS               G62185106      568     21,800           Sole                  21,800
MOOG INC                      CL A              615394202      875     19,100           Sole                  19,100
MORGAN STANLEY                COM NEW           617446448    2,890    131,500           Sole                 109,200         22,300
MOTOROLA SOLUTIONS INC        COM NEW           620076307   47,843    747,202           Sole                 598,117        149,085
MOVE INC                      COM NEW           62458M207    2,582    216,073           Sole                 191,973         24,100
MRC GLOBAL INC                COM               55345K103    2,437     74,000           Sole                  74,000
MUELLER INDS INC              COM               624756102    7,406    138,970           Sole                 115,390         23,580
MULTI FINELINE ELECTRONIX IN  COM               62541B101      214     13,900           Sole                  13,900
MULTIMEDIA GAMES HLDG CO INC  COM               625453105    4,759    228,027           Sole                 200,627         27,400
MURPHY OIL CORP               COM               626717102    6,929    108,720           Sole                 102,820          5,900
MYR GROUP INC DEL             COM               55405W104    2,773    112,910           Sole                 101,610         11,300
NABORS INDUSTRIES LTD         SHS               G6359F103    6,367    392,570           Sole                 300,770         91,800
NACCO INDS INC                CL A              629579103      238      4,460           Sole                   4,460
NANOMETRICS INC               COM               630077105      643     44,530           Sole                  39,630          4,900
NASH FINCH CO                 COM               631158102      930     47,510           Sole                  43,410          4,100
NATIONAL FINL PARTNERS CORP   COM               63607P208      842     37,540           Sole                  37,540
NATIONAL OILWELL VARCO INC    COM               637071101   12,830    181,340           Sole                 137,240         44,100
NATURAL GAS SERVICES GROUP    COM               63886Q109      642     33,358           Sole                  29,358          4,000
NATURES SUNSHINE PRODUCTS IN  COM               639027101      366     24,000           Sole                  24,000
NATUS MEDICAL INC DEL         COM               639050103      691     51,410           Sole                  38,810         12,600
NAVIGANT CONSULTING INC       COM               63935N107      420     31,940           Sole                  14,740         17,200
NAVIGATORS GROUP INC          COM               638904102    1,548     26,355           Sole                  23,655          2,700
NCI INC                       CL A              62886K104       80     16,577           Sole                  16,577
NEOPHOTONICS CORP             COM               64051T100      170     33,300           Sole                  33,300
NETAPP INC                    COM               64110D104   32,046    938,120           Sole                 782,120        156,000
NETSUITE INC                  COM               64118Q107    4,481     55,970           Sole                  55,970
NEUSTAR INC                   CL A              64126X201    1,085     23,314           Sole                  23,314
NEW YORK & CO INC             COM               649295102      350     85,497           Sole                  85,497
NEWFIELD EXPL CO              COM               651290108    2,991    133,400           Sole                 133,400
NEWMARKET CORP                COM               651587107    4,733     18,178           Sole                  18,178
NEWPORT CORP                  COM               651824104      583     34,430           Sole                  30,230          4,200
NEXSTAR BROADCASTING GROUP I  CL A              65336K103    1,609     89,400           Sole                  66,900         22,500
NEXTERA ENERGY INC            COM               65339F101      322      4,150           Sole                   4,150
NIKE INC                      CL B              654106103    2,541     43,056           Sole                  43,056
NISOURCE INC                  COM               65473P105    1,179     40,200           Sole                  40,200
NOBLE CORPORATION BAAR        NAMEN -AKT        H5833N103      778     20,400           Sole                  20,400
NOBLE ENERGY INC              COM               655044105   16,457    142,290           Sole                 120,990         21,300
NORDSON CORP                  COM               655663102    2,718     41,220           Sole                  41,220
NORTHFIELD BANCORP INC DEL    COM               66611T108      477     42,000           Sole                  37,900          4,100
NORTHROP GRUMMAN CORP         COM               666807102   22,668    323,130           Sole                 288,230         34,900
NORTHWEST BANCSHARES INC MD   COM               667340103      411     32,400           Sole                  32,400
NOVATEL WIRELESS INC          COM NEW           66987M604      266    133,700           Sole                 133,700
NU SKIN ENTERPRISES INC       CL A              67018T105   14,079    318,540           Sole                 283,440         35,100
NUVASIVE INC                  COM               670704105    6,031    283,000           Sole                 222,500         60,500
NV ENERGY INC                 COM               67073Y106    8,693    434,000           Sole                 378,800         55,200
NVIDIA CORP                   COM               67066G104   13,983  1,089,900           Sole                 911,700        178,200
NVR INC                       COM               62944T105   18,306     16,948           Sole                  14,067          2,881
OASIS PETE INC NEW            COM               674215108      681     17,900           Sole                  17,900
OCCIDENTAL PETE CORP DEL      COM               674599105      780      9,950           Sole                   9,950
OCEANEERING INTL INC          COM               675232102   22,909    344,966           Sole                 279,766         65,200
OCWEN FINL CORP               COM NEW           675746309    3,758     99,100           Sole                  98,400            700
OIL STS INTL INC              COM               678026105   12,821    157,180           Sole                 150,480          6,700
OLD NATL BANCORP IND          COM               680033107      889     64,677           Sole                  64,677
OM GROUP INC                  COM               670872100    3,261    138,900           Sole                 129,100          9,800
OMEGA PROTEIN CORP            COM               68210P107      174     16,200           Sole                  16,200
OMNICELL INC                  COM               68213N109    1,645     87,107           Sole                  71,798         15,309
OMNOVA SOLUTIONS INC          COM               682129101      489     63,736           Sole                  63,736
OPLINK COMMUNICATIONS INC     COM NEW           68375Q403      598     36,440           Sole                  33,440          3,000
ORBITAL SCIENCES CORP         COM               685564106    4,131    247,505           Sole                 207,605         39,900
ORTHOFIX INTL N V             COM               N6748L102    3,526     98,310           Sole                  84,510         13,800
OSI SYSTEMS INC               COM               671044105    3,943     63,300           Sole                  52,600         10,700
OVERSTOCK COM INC DEL         COM               690370101      430     34,912           Sole                  34,912
OWENS ILL INC                 COM NEW           690768403      957     35,900           Sole                  35,900
P C CONNECTION                COM               69318J100      491     30,000           Sole                  30,000
PACER INTL INC TENN           COM               69373H106      678    134,800           Sole                 134,800
PALO ALTO NETWORKS INC        COM               697435105    1,731     30,590           Sole                  30,590
PANERA BREAD CO               CL A              69840W108   27,626    167,190           Sole                 134,800         32,390
PANTRY INC                    COM               698657103      877     70,300           Sole                  56,300         14,000
PAPA JOHNS INTL INC           COM               698813102    5,942     96,128           Sole                  78,928         17,200
PAR TECHNOLOGY CORP           COM               698884103      177     37,658           Sole                  37,658
PARK OHIO HLDGS CORP          COM               700666100      728     21,970           Sole                  21,970
PARKER DRILLING CO            COM               701081101      828    193,500           Sole                 150,200         43,300
PARKWAY PPTYS INC             COM               70159Q104      440     23,700           Sole                  23,700
PARTNERRE LTD                 COM               G6852T105   17,777    190,926           Sole                 150,756         40,170
PATTERSON COMPANIES INC       COM               703395103    3,241     85,187           Sole                  85,187
PEGASYSTEMS INC               COM               705573103    1,224     43,600           Sole                  40,500          3,100
PENFORD CORP                  COM               707051108      235     21,458           Sole                  21,458
PENN VA CORP                  COM               707882106    1,632    403,900           Sole                 340,900         63,000
PENNSYLVANIA RL ESTATE INVT   SH BEN INT        709102107      736     37,977           Sole                  37,977
PENSKE AUTOMOTIVE GRP INC     COM               70959W103    9,024    270,500           Sole                 244,000         26,500
PEREGRINE PHARMACEUTICALS IN  COM NEW           713661304      375    281,852           Sole                 120,600        161,252
PERICOM SEMICONDUCTOR CORP    COM               713831105      479     70,338           Sole                  70,338
PETSMART INC                  COM               716768106   16,174    260,454           Sole                 222,854         37,600
PFIZER INC                    COM               717081103    1,419     49,180           Sole                  40,580          8,600
PG&E CORP                     COM               69331C108   19,654    441,370           Sole                 399,470         41,900
PHARMATHENE INC               COM               71714G102      392    230,645           Sole                 230,645
PHARMERICA CORP               COM               71714F104      554     39,600           Sole                  13,700         25,900
PHILLIPS 66                   COM               718546104    1,406     20,090           Sole                  15,490          4,600
PIKE ELEC CORP                COM               721283109    1,916    134,680           Sole                 115,780         18,900
PILGRIMS PRIDE CORP NEW       COM               72147K108      711     77,400           Sole                  63,000         14,400
PINNACLE WEST CAP CORP        COM               723484101    9,990    172,566           Sole                 172,566
PIONEER ENERGY SVCS CORP      COM               723664108    1,765    213,980           Sole                 158,380         55,600
PIPER JAFFRAY COS             COM               724078100    1,262     36,800           Sole                  31,500          5,300
PLEXUS CORP                   COM               729132100    4,413    181,540           Sole                 155,340         26,200
PMC-SIERRA INC                COM               69344F106    6,792  1,000,302           Sole                 881,902        118,400
PNM RES INC                   COM               69349H107    9,656    414,600           Sole                 386,700         27,900
POLYCOM INC                   COM               73172K104    1,888    170,400           Sole                 168,100          2,300
POOL CORPORATION              COM               73278L105    3,870     80,630           Sole                  80,630
PORTLAND GEN ELEC CO          COM NEW           736508847    1,462     48,200           Sole                  48,200
POST PPTYS INC                COM               737464107      268      5,690           Sole                   5,690
POWELL INDS INC               COM               739128106      799     15,200           Sole                  13,700          1,500
POZEN INC                     COM               73941U102      791    150,126           Sole                 126,726         23,400
PPG INDS INC                  COM               693506107   42,824    319,722           Sole                 261,436         58,286
PRGX GLOBAL INC               COM NEW           69357C503      156     22,400           Sole                  22,400
PRICELINE COM INC             COM NEW           741503403   19,757     28,710           Sole                  21,890          6,820
PRIMORIS SVCS CORP            COM               74164F103      728     32,940           Sole                  15,840         17,100
PRINCIPAL FINL GROUP INC      COM               74251V102    5,935    174,400           Sole                 170,600          3,800
PROASSURANCE CORP             COM               74267C106   13,044    275,602           Sole                 234,262         41,340
PROCERA NETWORKS INC          COM NEW           74269U203      120     10,110           Sole                  10,110
PROCTER & GAMBLE CO           COM               742718109   30,987    402,118           Sole                 355,018         47,100
PROGENICS PHARMACEUTICALS IN  COM               743187106      170     31,600           Sole                  31,600
PROGRESS SOFTWARE CORP        COM               743312100      291     12,727           Sole                  12,727
PROS HOLDINGS INC             COM               74346Y103      671     24,700           Sole                  24,700
PROTECTIVE LIFE CORP          COM               743674103    5,837    163,040           Sole                 131,340         31,700
PROVIDENCE SVC CORP           COM               743815102      640     34,630           Sole                  29,230          5,400
PROVIDENT FINL SVCS INC       COM               74386T105      721     47,200           Sole                  34,800         12,400
PRUDENTIAL FINL INC           COM               744320102   14,157    239,983           Sole                 210,283         29,700
PTC INC                       COM               69370C100    1,196     46,910           Sole                  46,910
PUBLIC STORAGE                COM               74460D109    6,976     45,800           Sole                  35,900          9,900
PVH CORP                      COM               693656100    1,527     14,300           Sole                  14,300
QAD INC                       CL A              74727D306      396     30,838           Sole                  30,838
QLOGIC CORP                   COM               747277101   25,047  2,159,194           Sole               1,746,582        412,612
QUALCOMM INC                  COM               747525103      442      6,610           Sole                   6,610
QUANTA SVCS INC               COM               74762E102      683     23,900           Sole                  23,900
QUANTUM CORP                  COM DSSG          747906204      995    777,235           Sole                 689,435         87,800
RADIOSHACK CORP               COM               750438103      430    127,900           Sole                 127,900
RADISYS CORP                  COM               750459109      510    103,699           Sole                 103,699
RALPH LAUREN CORP             CL A              751212101   16,410     96,920           Sole                  78,740         18,180
RAMBUS INC DEL                COM               750917106    1,111    198,100           Sole                 145,400         52,700
RAYTHEON CO                   COM NEW           755111507    7,323    124,560           Sole                  99,860         24,700
REALNETWORKS INC              COM NEW           75605L708      297     38,464           Sole                  38,464
REGIONS FINL CORP NEW         COM               7591EP100      583     71,200           Sole                  71,200
REINSURANCE GROUP AMER INC    COM NEW           759351604    3,677     61,630           Sole                  50,230         11,400
RENAISSANCERE HOLDINGS LTD    COM               G7496G103    3,578     38,900           Sole                  33,800          5,100
RENASANT CORP                 COM               75970E107      358     16,000           Sole                  16,000
RENEWABLE ENERGY GROUP INC    COM NEW           75972A301      238     31,000           Sole                  31,000
RENTECH INC                   COM               760112102      991    421,719           Sole                 355,319         66,400
REPUBLIC AWYS HLDGS INC       COM               760276105    1,729    149,844           Sole                 128,865         20,979
REVLON INC                    CL A NEW          761525609      306     13,700           Sole                  13,700
REX AMERICAN RESOURCES CORP   COM               761624105      257     11,600           Sole                  11,600
RF MICRODEVICES INC           COM               749941100   14,778  2,777,767           Sole               2,200,048        577,719
RIGEL PHARMACEUTICALS INC     COM NEW           766559603      283     41,585           Sole                  41,585
RIMAGE CORP                   COM               766721104      281     31,110           Sole                  31,110
RITE AID CORP                 COM               767754104    2,640  1,389,500           Sole               1,065,400        324,100
RIVERBED TECHNOLOGY INC       COM               768573107    6,835    458,100           Sole                 399,200         58,900
ROCK-TENN CO                  CL A              772739207    6,187     66,680           Sole                  65,880            800
ROCKWOOD HLDGS INC            COM               774415103    2,480     37,900           Sole                  37,900
ROSETTA RESOURCES INC         COM               777779307    5,788    121,650           Sole                 109,250         12,400
ROSETTA STONE INC             COM               777780107      556     36,180           Sole                  32,880          3,300
ROSS STORES INC               COM               778296103   33,753    556,801           Sole                 448,001        108,800
ROVI CORP                     COM               779376102   24,988  1,167,109           Sole                 956,809        210,300
ROWAN COMPANIES PLC           SHS CL A          G7665A101   13,129    371,300           Sole                 331,400         39,900
RPM INTL INC                  COM               749685103    3,966    125,600           Sole                 121,200          4,400
RPX CORP                      COM               74972G103      404     28,635           Sole                  25,835          2,800
RTI BIOLOGICS INC             COM               74975N105      760    193,400           Sole                 185,300          8,100
RUDOLPH TECHNOLOGIES INC      COM               781270103      417     35,400           Sole                  35,400
RUTHS HOSPITALITY GROUP INC   COM               783332109      758     79,500           Sole                  79,500
SABA SOFTWARE INC             COM NEW           784932600      155     19,500           Sole                  19,500
SAFETY INS GROUP INC          COM               78648T100      836     17,000           Sole                  17,000
SAFEWAY INC                   COM NEW           786514208    7,758    294,420           Sole                 268,320         26,100
SAIA INC                      COM               78709Y105    4,303    118,978           Sole                 100,078         18,900
SALIX PHARMACEUTICALS INC     COM               795435106    6,786    132,600           Sole                 125,600          7,000
SANDERSON FARMS INC           COM               800013104    6,139    112,400           Sole                  79,500         32,900
SANDISK CORP                  COM               80004C101    7,811    142,120           Sole                 119,320         22,800
SANTARUS INC                  COM               802817304    5,379    310,400           Sole                 262,200         48,200
SCANA CORP NEW                COM               80589M102      599     11,700           Sole                  11,700
SCANSOURCE INC                COM               806037107      598     21,200           Sole                  18,500          2,700
SCHOLASTIC CORP               COM               807066105    1,148     43,084           Sole                  43,084
SCHULMAN A INC                COM               808194104    1,385     43,900           Sole                  32,300         11,600
SCHWEITZER-MAUDUIT INTL INC   COM               808541106    3,703     95,618           Sole                  80,718         14,900
SCRIPPS E W CO OHIO           CL A NEW          811054402      455     37,800           Sole                  37,800
SCRIPPS NETWORKS INTERACT IN  CL A COM          811065101      225      3,500           Sole                   3,500
SEACHANGE INTL INC            COM               811699107    1,335    112,309           Sole                  95,609         16,700
SELECT INCOME REIT            COM SH BEN INT    81618T100      450     17,000           Sole                  17,000
SELECT MED HLDGS CORP         COM               81619Q105    1,774    197,138           Sole                 140,738         56,400
SELECTIVE INS GROUP INC       COM               816300107    3,147    131,068           Sole                 120,368         10,700
SENOMYX INC                   COM               81724Q107      204     96,700           Sole                  96,700
SHERWIN WILLIAMS CO           COM               824348106    5,853     34,658           Sole                  32,928          1,730
SHFL ENTMT INC                COM               78423R105      187     11,300           Sole                  11,300
SHORETEL INC                  COM               825211105      962    264,971           Sole                 247,971         17,000
SIGMA DESIGNS INC             COM               826565103      675    138,577           Sole                 121,977         16,600
SILGAN HOLDINGS INC           COM               827048109      735     15,548           Sole                  15,548
SILICON GRAPHICS INTL CORP    COM               82706L108    4,690    341,123           Sole                 305,348         35,775
SILICON IMAGE INC             COM               82705T102    4,902  1,008,702           Sole                 886,402        122,300
SILICON LABORATORIES INC      COM               826919102   12,705    307,174           Sole                 247,774         59,400
SIX FLAGS ENTMT CORP NEW      COM               83001A102      210      2,900           Sole                   2,900
SKECHERS U S A INC            CL A              830566105    6,670    315,370           Sole                 261,070         54,300
SKYLINE CORP                  COM               830830105       70     11,800           Sole                  11,800
SKYWEST INC                   COM               830879102    4,849    302,100           Sole                 253,300         48,800
SM ENERGY CO                  COM               78454L100   21,531    363,573           Sole                 293,300         70,273
SMITH A O                     COM               831865209   13,314    180,977           Sole                 126,975         54,002
SMITH MICRO SOFTWARE INC      COM               832154108      314    238,159           Sole                 224,759         13,400
SMITHFIELD FOODS INC          COM               832248108    5,775    218,100           Sole                 195,300         22,800
SOLTA MED INC                 COM               83438K103      353    160,613           Sole                 160,613
SONIC AUTOMOTIVE INC          CL A              83545G102    6,158    277,910           Sole                 246,610         31,300
SOUTHERN CO                   COM               842587107      552     11,760           Sole                  11,760
SOUTHWEST AIRLS CO            COM               844741108    2,637    195,600           Sole                 179,300         16,300
SOUTHWEST GAS CORP            COM               844895102      769     16,200           Sole                  15,600            600
SOVRAN SELF STORAGE INC       COM               84610H108    2,406     37,314           Sole                  23,814         13,500
SPANSION INC                  COM CL A NEW      84649R200    3,910    303,832           Sole                 262,215         41,617
SPARTAN STORES INC            COM               846822104      539     30,700           Sole                  29,100          1,600
SPDR S&P MIDCAP 400 ETF TR    UTSER1 S&PDCRP,   78467Y107    1,929      9,200           Sole                   9,200
SPECTRUM BRANDS HLDGS INC     COM               84763R101    2,388     42,200           Sole                  42,200
SPIRIT AEROSYSTEMS HLDGS INC  COM CL A          848574109   13,976    735,979           Sole                 586,979        149,000
SPX CORP                      COM               784635104    7,263     91,980           Sole                  91,980
ST JUDE MED INC               COM               790849103   33,716    833,740           Sole                 704,140        129,600
STAGE STORES INC              COM NEW           85254C305    6,706    259,130           Sole                 211,830         47,300
STANCORP FINL GROUP INC       COM               852891100      629     14,700           Sole                   2,200         12,500
STANDARD MTR PRODS INC        COM               853666105      826     29,800           Sole                  22,200          7,600
STANDARD REGISTER CO          COM               853887107       34     40,827           Sole                  40,827
STANDEX INTL CORP             COM               854231107      375      6,800           Sole                   6,800
STARBUCKS CORP                COM               855244109      210      3,690           Sole                   3,690
STARTEK INC                   COM               85569C107       84     14,302           Sole                  14,302
STARWOOD HOTELS&RESORTS WRLD  COM               85590A401    9,401    147,510           Sole                  88,910         58,600
STATE BK FINL CORP            COM               856190103      287     17,530           Sole                  15,930          1,600
STATE STR CORP                COM               857477103   23,706    401,180           Sole                 343,250         57,930
STEC INC                      COM               784774101    1,064    240,678           Sole                 188,800         51,878
STEEL DYNAMICS INC            COM               858119100   12,690    799,341           Sole                 615,741        183,600
STEIN MART INC                COM               858375108      195     23,300           Sole                  23,300
STEPAN CO                     COM               858586100    1,104     17,500           Sole                  13,500          4,000
STONERIDGE INC                COM               86183P102      437     57,320           Sole                  57,320
SUCAMPO PHARMACEUTICALS INC   CL A              864909106      189     28,900           Sole                  28,900
SUMMER INFANT INC             COM               865646103      234     89,300           Sole                  89,300
SUNPOWER CORP                 COM               867652406    8,891    770,469           Sole                 648,669        121,800
SUNTRUST BKS INC              COM               867914103   17,135    594,770           Sole                 512,600         82,170
SUPER MICRO COMPUTER INC      COM               86800U104      741     65,600           Sole                  48,900         16,700
SUPERIOR ENERGY SVCS INC      COM               868157108   14,782    569,190           Sole                 477,390         91,800
SURMODICS INC                 COM               868873100      810     29,707           Sole                  29,707
SUSSER HLDGS CORP             COM               869233106      486      9,500           Sole                   9,500
SVB FINL GROUP                COM               78486Q101    8,972    126,469           Sole                 117,069          9,400
SWIFT TRANSN CO               CL A              87074U101    1,665    117,450           Sole                  95,750         21,700
SYKES ENTERPRISES INC         COM               871237103    1,169     73,270           Sole                  61,470         11,800
SYMANTEC CORP                 COM               871503108   12,908    523,000           Sole                 464,300         58,700
SYMETRA FINL CORP             COM               87151Q106    2,165    161,450           Sole                 125,450         36,000
SYMMETRICOM INC               COM               871543104      388     85,520           Sole                  85,520
SYNAPTICS INC                 COM               87157D109    9,540    234,450           Sole                 202,250         32,200
SYNCHRONOSS TECHNOLOGIES INC  COM               87157B103      433     13,970           Sole                  13,970
SYNERGETICS USA INC           COM               87160G107       52     14,900           Sole                  14,900
SYNOPSYS INC                  COM               871607107   32,961    918,634           Sole                 744,373        174,261
SYNTEL INC                    COM               87162H103      447      6,620           Sole                   6,620
TAL INTL GROUP INC            COM               874083108      343      7,560           Sole                   7,560
TARGACEPT INC                 COM               87611R306      576    134,551           Sole                 109,700         24,851
TASER INTL INC                COM               87651B104    2,565    322,700           Sole                 265,700         57,000
TAUBMAN CTRS INC              COM               876664103    1,222     15,730           Sole                  15,730
TAYLOR CAP GROUP INC          COM               876851106      233     14,600           Sole                  11,400          3,200
TECH DATA CORP                COM               878237106    9,537    209,180           Sole                 171,280         37,900
TECHTARGET INC                COM               87874R100      102     20,956           Sole                  20,956
TECUMSEH PRODS CO             CL A              878895200      259     29,709           Sole                  29,709
TELECOMMUNICATION SYS INC     CL A              87929J103      535    239,800           Sole                 239,800
TELENAV INC                   COM               879455103      812    125,851           Sole                 110,751         15,100
TELEPHONE & DATA SYS INC      COM NEW           879433829    8,208    389,572           Sole                 354,137         35,435
TELLABS INC                   COM               879664100    5,756  2,754,048           Sole               2,326,648        427,400
TENNANT CO                    COM               880345103      830     17,100           Sole                   8,000          9,100
TERADATA CORP DEL             COM               88076W103    3,645     62,300           Sole                  62,300
TEREX CORP NEW                COM               880779103      812     23,600           Sole                  23,600
TESCO CORP                    COM               88157K101    1,837    137,166           Sole                 127,366          9,800
TESORO CORP                   COM               881609101   22,555    385,230           Sole                 331,730         53,500
TEXAS ROADHOUSE INC           COM               882681109    3,868    191,580           Sole                 157,480         34,100
TEXTAINER GROUP HOLDINGS LTD  SHS               G8766E109      865     21,870           Sole                  21,870
TEXTRON INC                   COM               883203101   14,753    494,900           Sole                 494,900
TGC INDS INC                  COM NEW           872417308      146     14,700           Sole                  14,700
THORATEC CORP                 COM NEW           885175307    4,252    113,400           Sole                 113,400
TIDEWATER INC                 COM               886423102    8,491    168,136           Sole                 132,436         35,700
TIME WARNER CABLE INC         COM               88732J207   19,317    201,090           Sole                 156,090         45,000
TIME WARNER INC               COM NEW           887317303    1,752     30,400           Sole                  30,400
TIVO INC                      COM               888706108    4,890    394,700           Sole                 339,200         55,500
TJX COS INC NEW               COM               872540109   40,030    856,250           Sole                 702,350        153,900
TMS INTL CORP                 CL A              87261Q103      793     60,069           Sole                  57,569          2,500
TOLL BROTHERS INC             COM               889478103      996     29,100           Sole                  29,100
TOTAL SYS SVCS INC            COM               891906109   11,571    466,947           Sole                 349,247        117,700
TOWER GROUP INTL LTD          COM               G8988C105      297     16,088           Sole                                 16,088
TRACTOR SUPPLY CO             COM               892356106   20,295    194,905           Sole                 163,525         31,380
TRANSACT TECHNOLOGIES INC     COM               892918103      151     19,000           Sole                  19,000
TRANSCEPT PHARMACEUTICALS IN  COM               89354M106      159     33,225           Sole                  33,225
TRAVELERS COMPANIES INC       COM               89417E109   19,812    235,320           Sole                 171,020         64,300
TREEHOUSE FOODS INC           COM               89469A104    4,951     76,000           Sole                  61,400         14,600
TRIMAS CORP                   COM NEW           896215209      220      6,790           Sole                   6,790
TRIPLE-S MGMT CORP            CL B              896749108      301     17,300           Sole                  17,300
TRUE RELIGION APPAREL INC     COM               89784N104    3,675    140,760           Sole                 106,460         34,300
TRUEBLUE INC                  COM               89785X101    2,503    118,420           Sole                 105,620         12,800
TTM TECHNOLOGIES  INC         COM               87305R109    1,033    135,900           Sole                 111,100         24,800
TUPPERWARE BRANDS CORP        COM               899896104   23,195    283,770           Sole                 250,470         33,300
TUTOR PERINI CORP             COM               901109108    3,513    182,000           Sole                 156,100         25,900
TYSON FOODS INC               CL A              902494103   13,385    539,270           Sole                 471,970         67,300
U S ENERGY CORP WYO           COM               911805109      173    104,340           Sole                 104,340
UIL HLDG CORP                 COM               902748102      519     13,100           Sole                  10,300          2,800
ULTIMATE SOFTWARE GROUP INC   COM               90385D107    1,895     18,190           Sole                  18,190
ULTRALIFE CORP                COM               903899102      113     25,261           Sole                  25,261
UNIFIRST CORP MASS            COM               904708104    1,692     18,700           Sole                  16,300          2,400
UNION PAC CORP                COM               907818108   51,060    358,543           Sole                 292,313         66,230
UNISYS CORP                   COM NEW           909214306    3,743    164,510           Sole                 139,810         24,700
UNIT CORP                     COM               909218109    2,309     50,700           Sole                  47,200          3,500
UNITED FIRE GROUP INC         COM               910340108      707     27,771           Sole                  25,864          1,907
UNITED NAT FOODS INC          COM               911163103   10,297    209,290           Sole                 185,790         23,500
UNITED ONLINE INC             COM               911268100    3,287    545,105           Sole                 476,305         68,800
UNITED STATES CELLULAR CORP   COM               911684108    2,886     80,160           Sole                  65,660         14,500
UNITED STATES STL CORP NEW    COM               912909108      739     37,900           Sole                  37,900
UNITED THERAPEUTICS CORP DEL  COM               91307C102    7,907    129,894           Sole                 129,894
UNITEDHEALTH GROUP INC        COM               91324P102      324      5,670           Sole                   5,670
UNIVERSAL AMERN CORP NEW      COM               91338E101      533     63,979           Sole                  61,979          2,000
UNIVERSAL ELECTRS INC         COM               913483103      219      9,431           Sole                   9,431
UNIVERSAL INS HLDGS INC       COM               91359V107       75     15,400           Sole                  15,400
UNWIRED PLANET INC NEW        COM               91531F103      609    274,460           Sole                 274,160            300
URBAN OUTFITTERS INC          COM               917047102    7,786    200,970           Sole                 200,970
URS CORP NEW                  COM               903236107   23,795    501,901           Sole                 427,701         74,200
URSTADT BIDDLE PPTYS INC      CL A              917286205      292     13,400           Sole                  13,400
US BANCORP DEL                COM NEW           902973304    1,082     31,900           Sole                  31,900
USEC INC                      COM               90333E108      246    664,431           Sole                 664,431
UTI WORLDWIDE INC             ORD               G87210103    1,356     93,668           Sole                  86,788          6,880
VALERO ENERGY CORP NEW        COM               91913Y100   10,099    222,000           Sole                 222,000
VALMONT INDS INC              COM               920253101    5,665     36,019           Sole                  34,519          1,500
VALSPAR CORP                  COM               920355104   18,399    295,572           Sole                 246,064         49,508
VANDA PHARMACEUTICALS INC     COM               921659108      641    163,412           Sole                 163,412
VANTAGE DRILLING COMPANY      ORD SHS           G93205113      253    144,800           Sole                 108,200         36,600
VANTIV INC                    CL A              92210H105    1,574     66,300           Sole                  66,300
VASCO DATA SEC INTL INC       COM               92230Y104       90     10,694           Sole                  10,694
VASCULAR SOLUTIONS INC        COM               92231M109      418     25,790           Sole                  25,790
VERINT SYS INC                COM               92343X100    5,258    143,852           Sole                 118,733         25,119
VERTEX PHARMACEUTICALS INC    COM               92532F100    4,036     73,420           Sole                  63,420         10,000
VIACOM INC NEW                CL B              92553P201   13,339    216,970           Sole                 150,870         66,100
VIAD CORP                     COM NEW           92552R406    2,978    107,661           Sole                  81,561         26,100
VISA INC                      COM CL A          92826C839   17,053    100,406           Sole                  69,076         31,330
VMWARE INC                    CL A COM          928563402   17,530    222,230           Sole                 173,230         49,000
VOLTERRA SEMICONDUCTOR CORP   COM               928708106      254     17,870           Sole                  17,870
VONAGE HLDGS CORP             COM               92886T201      426    147,500           Sole                  24,600        122,900
VOXX INTL CORP                CL A              91829F104      482     45,000           Sole                  33,900         11,100
WABTEC CORP                   COM               929740108    3,932     38,510           Sole                  38,510
WARNER CHILCOTT PLC IRELAND   SHS A             G94368100   13,767  1,016,000           Sole                 736,800        279,200
WARREN RES INC                COM               93564A100       86     26,600           Sole                  26,600
WASHINGTON FED INC            COM               938824109      903     51,600           Sole                  51,600
WASHINGTON POST CO            CL B              939640108    1,560      3,491           Sole                   2,961            530
WEBSTER FINL CORP CONN        COM               947890109    4,032    166,210           Sole                 166,210
WEINGARTEN RLTY INVS          SH BEN INT        948741103      242      7,680           Sole                   7,680
WELLCARE HEALTH PLANS INC     COM               94946T106    2,568     44,300           Sole                  44,300
WELLPOINT INC                 COM               94973V107   34,436    519,947           Sole                 431,150         88,797
WELLS FARGO & CO NEW          COM               949746101   12,511    338,230           Sole                 290,810         47,420
WENDYS CO                     COM               95058W100      287     50,500           Sole                  50,500
WERNER ENTERPRISES INC        COM               950755108      548     22,700           Sole                  22,700
WEST PHARMACEUTICAL SVSC INC  COM               955306105    3,124     48,100           Sole                  43,700          4,400
WESTAR ENERGY INC             COM               95709T100    1,605     48,380           Sole                  37,480         10,900
WESTELL TECHNOLOGIES INC      CL A              957541105      285    141,842           Sole                 141,842
WESTERN DIGITAL CORP          COM               958102105   38,490    765,370           Sole                 634,370        131,000
WESTERN REFNG INC             COM               959319104    9,260    261,500           Sole                 216,300         45,200
WET SEAL INC                  CL A              961840105    1,807    598,481           Sole                 518,381         80,100
WHIRLPOOL CORP                COM               963320106   12,900    108,898           Sole                  94,058         14,840
WHITE MTNS INS GROUP LTD      COM               G9618E107    1,326      2,339           Sole                   1,407            932
WHITING PETE CORP NEW         COM               966387102   19,517    383,900           Sole                 312,100         71,800
WHOLE FOODS MKT INC           COM               966837106   20,096    231,650           Sole                 216,050         15,600
WILEY JOHN & SONS INC         CL A              968223206    5,758    147,802           Sole                 133,302         14,500
WILSHIRE BANCORP INC          COM               97186T108    1,258    185,600           Sole                 160,800         24,800
WINTHROP RLTY TR              SH BEN INT NEW    976391300      279     22,200           Sole                  22,200
WISDOMTREE INVTS INC          COM               97717P104    1,014     97,500           Sole                  97,500
WORLD FUEL SVCS CORP          COM               981475106    1,922     48,400           Sole                  48,400
WORTHINGTON INDS INC          COM               981811102      994     32,100           Sole                  32,100
WYNDHAM WORLDWIDE CORP        COM               98310W108    3,118     48,350           Sole                  48,350
XCEL ENERGY INC               COM               98389B100      259      8,730           Sole                   8,730
XENOPORT INC                  COM               98411C100    2,121    296,651           Sole                 247,011         49,640
XERIUM TECHNOLOGIES INC       COM NEW           98416J118      260     47,710           Sole                  47,710
XO GROUP INC                  COM               983772104    1,066    106,600           Sole                  98,800          7,800
ZALE CORP NEW                 COM               988858106      295     75,100           Sole                  32,500         42,600
ZALICUS INC                   COM               98887C105      345    517,680           Sole                 517,680
ZEP INC                       COM               98944B108      201     13,400           Sole                   9,400          4,000
ZIMMER HLDGS INC              COM               98956P102   12,315    163,720           Sole                 130,420         33,300





SK 00151 0002 1375651