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 holdings entries. Institutional Investment Manager Filing this Report: Name: 				The Northern Trust Company of Connecticut Address: 			300 Atlantic Street Suite 400 				Stamford CT 06901 Form 13F File Number: 		028-07270 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: 		Melissa Standring Title: 		Sr Vice President Phone: 		203-977-7000 Signature, Place, and Date of Signing: Melissa Standring			Chicago, IL		May 13, 2013 [Signature]				[City, State]		[Date] Report Type (Check only one.): [X] 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 manager(s).) [ ] 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).) Form 13F SUMMARY PAGE Report Summary: Number of Other Included Managers:	00 Form 13F Information Table Entry Total:	1,923. Form 13F Information Table Value Total: $ 14,830,285. 					(thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No.	Form 13F File #	Name FAIR MV INVSTMT Other VOTING AUTHORITY (SHARES) NAME OF ISSUER TITLE CUSIP (000) SHARES SH DISCRETION Mngrs Voting-SOLEVoting-SharedVoting-None Abb Ltd ADR 000375204 5,979 262,701 SH OTHER 262,701 0 0 Aflac Inc COMM 001055102 15,316 294,432 SH OTHER 294,432 0 0 Agco Corp COMM 001084102 16,624 318,963 SH OTHER 318,963 0 0 Amn Healthcare Servi COMM 001744101 170 10,740 SH OTHER 10,740 0 0 Aaron Rents Inc COMM 002535300 504 17,560 SH OTHER 17,560 0 0 Abaxis Inc COMM 002567105 5,289 111,773 SH OTHER 111,773 0 0 Abbott Labs COMM 002824100 30,787 871,661 SH OTHER 871,661 0 0 Abercrombie & Fitch COMM 002896207 3,023 65,425 SH OTHER 65,425 0 0 Acacia Resh Corp COMM 003881307 244 8,074 SH OTHER 8,074 0 0 Acadia Pharmaceutica COMM 004225108 1,057 133,116 SH OTHER 133,116 0 0 Aceto Chem Inc COMM 004446100 216 19,500 SH OTHER 19,500 0 0 Aci Worldwide Inc COMM 004498101 8,633 176,683 SH OTHER 176,683 0 0 Ada Es Inc COMM 005208103 985 37,087 SH OTHER 37,087 0 0 Advanced Energy Inds COMM 007973100 51 2,770 SH OTHER 2,770 0 0 Advent Software Inc COMM 007974108 1,594 56,996 SH OTHER 56,996 0 0 Aerovironment Inc COMM 008073108 80 4,394 SH OTHER 4,394 0 0 Affiliated Managers COMM 008252108 31,135 202,740 SH OTHER 202,740 0 0 Agrium Inc COMM 008916108 7,591 77,858 SH OTHER 77,858 0 0 Air Methods Corp COMM 009128307 2,498 51,780 SH OTHER 51,780 0 0 Air Prods & Chems In COMM 009158106 239 2,743 SH OTHER 2,743 0 0 Airgas Inc COMM 009363102 17,061 172,053 SH OTHER 172,053 0 0 Akorn Inc COMM 009728106 2,869 207,481 SH OTHER 207,481 0 0 Alaska Airgroup COMM 011659109 2,250 35,171 SH OTHER 35,171 0 0 Albemarle Corp COMM 012653101 2,309 36,937 SH OTHER 36,937 0 0 Alcoa Inc COMM 013817101 1,573 184,658 SH OTHER 184,658 0 0 Alcatel-Lucent ADR 013904305 27 20,000 SH OTHER 20,000 0 0 Alexander & Baldwin Inc COMM 014491104 994 27,804 SH OTHER 27,804 0 0 Alexanders Inc REIT 014752109 1,975 5,990 SH OTHER 5,990 0 0 Alexion Pharmaceutic COMM 015351109 18,910 205,232 SH OTHER 205,232 0 0 Align Technology Inc COMM 016255101 6,658 198,700 SH OTHER 198,700 0 0 Alleghany Corp COMM 017175100 1,383 3,492 SH OTHER 3,492 0 0 Allergan Inc COMM 018490102 26,486 237,270 SH OTHER 237,270 0 0 Allete Inc COMM 018522300 1,352 27,589 SH OTHER 27,589 0 0 Alliance Data System COMM 018581108 10,987 67,865 SH OTHER 67,865 0 0 Alliant Techsystems COMM 018804104 290 4,000 SH OTHER 4,000 0 0 Allstate Corp COMM 020002101 42,838 872,996 SH OTHER 872,996 0 0 Altera Corp COMM 021441100 2,938 82,861 SH OTHER 82,861 0 0 Amarin Corp Plc ADR 023111206 166 22,393 SH OTHER 22,393 0 0 Amazon Com Inc COMM 023135106 76,451 286,881 SH OTHER 286,881 0 0 Amerco COMM 023586100 2,320 13,366 SH OTHER 13,366 0 0 Ameren Corp COMM 023608102 10,860 310,100 SH OTHER 310,100 0 0 American Assets Tr Inc COMM 024013104 3,021 94,389 SH OTHER 94,389 0 0 American Campus Cmnt REIT 024835100 427 9,426 SH OTHER 9,426 0 0 American Elec Pwr In COMM 025537101 13,824 284,259 SH OTHER 284,259 0 0 American Eqty Invt L COMM 025676206 5,153 346,051 SH OTHER 346,051 0 0 American Express Co COMM 025816109 22,462 332,967 SH OTHER 332,967 0 0 American Finl Group COMM 025932104 10,717 226,202 SH OTHER 226,202 0 0 American Greetings COMM 026375105 588 36,500 SH OTHER 36,500 0 0 American Intl Group Inc COMM 026874784 52,350 1,348,539 SH OTHER 1,348,539 0 0 American Software In COMM 029683109 1,267 152,225 SH OTHER 152,225 0 0 American Sts Wtr Co COMM 029899101 126 2,186 SH OTHER 2,186 0 0 American Vanguard Co COMM 030371108 1,379 45,154 SH OTHER 45,154 0 0 American Wtr Wks Co Inc COMM 030420103 11,590 279,684 SH OTHER 279,684 0 0 American Woodmark Co COMM 030506109 157 4,628 SH OTHER 4,628 0 0 Ametek Inc New COMM 031100100 30,082 693,779 SH OTHER 693,779 0 0 Amgen COMM 031162100 31,800 310,209 SH OTHER 310,209 0 0 Amkor Technology Inc COMM 031652100 3,170 792,535 SH OTHER 792,535 0 0 Amphenol Corp New COMM 032095101 33,997 455,416 SH OTHER 455,416 0 0 Amtrust Financial Se COMM 032359309 279 8,041 SH OTHER 8,041 0 0 Anacor Pharmaceuticals COMM 032420101 34 5,235 SH OTHER 5,235 0 0 Anadarko Pete Corp COMM 032511107 8,234 94,151 SH OTHER 94,151 0 0 Analog Devices Inc COMM 032654105 4,008 86,216 SH OTHER 86,216 0 0 Analogic Corp COMM 032657207 329 4,162 SH OTHER 4,162 0 0 Andersons Inc COMM 034164103 1,096 20,473 SH OTHER 20,473 0 0 Angies List Inc COMM 034754101 31 1,560 SH OTHER 1,560 0 0 Anglogold Ltd ADR 035128206 16,124 684,666 SH OTHER 684,666 0 0 Anixter Intl Inc COMM 035290105 1,572 22,484 SH OTHER 22,484 0 0 Ann Inc COMM 035623107 1,374 47,350 SH OTHER 47,350 0 0 Annaly Capital Mgmt. REIT 035710409 725 45,620 SH OTHER 45,620 0 0 Apache Corp COMM 037411105 28,135 364,635 SH OTHER 364,635 0 0 Apogee Enterprises COMM 037598109 856 29,561 SH OTHER 29,561 0 0 Apollo Group Inc COMM 037604105 6,629 381,439 SH OTHER 381,439 0 0 Apple Inc COMM 037833100 224,822 507,888 SH OTHER 507,888 0 0 Applied Materials In COMM 038222105 8,652 641,844 SH OTHER 641,844 0 0 Arch Coal Inc COMM 039380100 131 24,088 SH OTHER 24,088 0 0 Archer Daniels Midla COMM 039483102 19,845 588,344 SH OTHER 588,344 0 0 Arctic Cat Inc COMM 039670104 900 20,594 SH OTHER 20,594 0 0 Arena Pharmaceutical COMM 040047102 561 68,280 SH OTHER 68,280 0 0 Arm Hldgs Plc ADR 042068106 29,631 699,349 SH OTHER 699,349 0 0 Aruba Networks Inc COMM 043176106 5,864 237,016 SH OTHER 237,016 0 0 Asbury Automotive Gr COMM 043436104 209 5,690 SH OTHER 5,690 0 0 Ashford Hospitality REIT 044103109 3,839 310,600 SH OTHER 310,600 0 0 Ashland Inc New COMM 044209104 8,498 114,372 SH OTHER 114,372 0 0 Aspen Technology Inc COMM 045327103 1,852 57,355 SH OTHER 57,355 0 0 Associated Banc Corp COMM 045487105 327 21,525 SH OTHER 21,525 0 0 Associated Estates R REIT 045604105 428 22,980 SH OTHER 22,980 0 0 Astec Inds Inc COMM 046224101 588 16,844 SH OTHER 16,844 0 0 Astronics Corp COMM 046433108 198 6,652 SH OTHER 6,652 0 0 Atlas Air Worldwide COMM 049164205 8,397 206,020 SH OTHER 206,020 0 0 Atmos Energy Corp COMM 049560105 2,646 61,975 SH OTHER 61,975 0 0 Atwood Oceanics Inc COMM 050095108 4,938 93,982 SH OTHER 93,982 0 0 Autodesk Inc COMM 052769106 10,681 258,928 SH OTHER 258,928 0 0 Autoliv Inc COMM 052800109 11,190 161,840 SH OTHER 161,840 0 0 Automatic Data Proce COMM 053015103 4,792 73,695 SH OTHER 73,695 0 0 Autozone Inc COMM 053332102 5,842 14,723 SH OTHER 14,723 0 0 Aveo Pharmaceuticals In COMM 053588109 360 49,000 SH OTHER 49,000 0 0 Avery Dennison Corp COMM 053611109 3,275 76,041 SH OTHER 76,041 0 0 Avis Budget Group COMM 053774105 5,610 201,579 SH OTHER 201,579 0 0 Avnet Inc COMM 053807103 4,986 137,742 SH OTHER 137,742 0 0 Avon Prods Inc COMM 054303102 4,566 220,280 SH OTHER 220,280 0 0 Bb&T Corp COMM 054937107 10,585 337,200 SH OTHER 337,200 0 0 Bp Amoco P L C ADR 055622104 41,401 977,586 SH OTHER 977,586 0 0 Bmc Software Inc COMM 055921100 14,338 309,477 SH OTHER 309,477 0 0 Baidu Com Inc ADR 056752108 25,194 287,273 SH OTHER 287,273 0 0 Baker Hughes Inc COMM 057224107 17,582 378,848 SH OTHER 378,848 0 0 Ball Corp COMM 058498106 2,486 52,240 SH OTHER 52,240 0 0 Banco Bradesco S A ADR 059460303 10,573 621,190 SH OTHER 621,190 0 0 Bancorpsouth Inc COMM 059692103 1,316 80,762 SH OTHER 80,762 0 0 Bank Amer Corp COMM 060505104 33,912 2,784,239 SH OTHER 2,784,239 0 0 Bank Hawaii Corp COMM 062540109 1,791 35,249 SH OTHER 35,249 0 0 Bank Of The Ozarks I COMM 063904106 4,551 102,610 SH OTHER 102,610 0 0 Bank Of New York Mellon COMM 064058100 15,995 571,471 SH OTHER 571,471 0 0 Bank Nova Scotia Hal COMM 064149107 7,882 135,269 SH OTHER 135,269 0 0 Bard C R Inc COMM 067383109 7,664 76,046 SH OTHER 76,046 0 0 Barnes Group Inc COMM 067806109 98 3,400 SH OTHER 3,400 0 0 Barrick Gold Corp COMM 067901108 28,258 961,147 SH OTHER 961,147 0 0 Barrett Business Ser COMM 068463108 297 5,647 SH OTHER 5,647 0 0 Baxter Intl Inc COMM 071813109 41,409 570,054 SH OTHER 570,054 0 0 Bbcn Bancorp Inc COMM 073295107 2,389 182,926 SH OTHER 182,926 0 0 Be Aerospace Inc COMM 073302101 24,628 408,557 SH OTHER 408,557 0 0 Beacon Roofing Suppl COMM 073685109 7,762 200,780 SH OTHER 200,780 0 0 Beam Inc COMM 073730103 17,019 267,843 SH OTHER 267,843 0 0 Becton Dickinson COMM 075887109 23,890 249,872 SH OTHER 249,872 0 0 Bed Bath & Beyond In COMM 075896100 23,611 366,521 SH OTHER 366,521 0 0 Belden Cdt Inc COMM 077454106 7,779 150,619 SH OTHER 150,619 0 0 Belo A H Corp COMM 080555105 43 4,400 SH OTHER 4,400 0 0 Bemis Inc COMM 081437105 3,332 82,550 SH OTHER 82,550 0 0 Berkshire Hathaway Inc COMM 084670702 37,737 362,158 SH OTHER 362,158 0 0 Berry Pete Co COMM 085789105 4,678 101,052 SH OTHER 101,052 0 0 Best Buy Inc COMM 086516101 277 12,500 SH OTHER 12,500 0 0 Bhp Billiton Ltd ADR 088606108 12,547 183,348 SH OTHER 183,348 0 0 Big Lots Inc COMM 089302103 7,904 224,102 SH OTHER 224,102 0 0 Bio Rad Labs Inc COMM 090572207 441 3,500 SH OTHER 3,500 0 0 Black Box Corp Del COMM 091826107 1,855 85,040 SH OTHER 85,040 0 0 Block H & R Inc COMM 093671105 4,393 149,309 SH OTHER 149,309 0 0 Bloomin Brands Inc COMM 094235108 1,319 73,835 SH OTHER 73,835 0 0 Bob Evans Farms Inc COMM 096761101 9,408 220,745 SH OTHER 220,745 0 0 Boeing Co COMM 097023105 21,831 254,292 SH OTHER 254,292 0 0 Bonanza Creek Energy In COMM 097793103 7,500 193,941 SH OTHER 193,941 0 0 Booz Allen Hamilton Hld COMM 099502106 222 16,548 SH OTHER 16,548 0 0 Borg-Warner Automoti COMM 099724106 16,491 213,224 SH OTHER 213,224 0 0 Boston Beer Inc COMM 100557107 173 1,086 SH OTHER 1,086 0 0 Boston Private Banco COMM 101119105 558 56,510 SH OTHER 56,510 0 0 Boston Properties In REIT 101121101 5,717 56,572 SH OTHER 56,572 0 0 Boston Scientific Co COMM 101137107 10,318 1,321,155 SH OTHER 1,321,155 0 0 Bottomline Tech Del COMM 101388106 2,947 103,369 SH OTHER 103,369 0 0 Boulder Brands Inc COMM 101405108 1,889 210,084 SH OTHER 210,084 0 0 Brandywine Rlty Tr REIT 105368203 18,004 1,212,418 SH OTHER 1,212,418 0 0 Briggs & Stratton Co COMM 109043109 5,598 225,740 SH OTHER 225,740 0 0 Brinker Intl Inc COMM 109641100 3,103 82,423 SH OTHER 82,423 0 0 Brinks Co COMM 109696104 3,424 121,160 SH OTHER 121,160 0 0 Bristol Myers Squibb COMM 110122108 27,214 660,699 SH OTHER 660,699 0 0 Bristow Group Inc COMM 110394103 3,270 49,596 SH OTHER 49,596 0 0 Broadcom Corp COMM 111320107 7,247 208,960 SH OTHER 208,960 0 0 Brookfield Asset Mgm COMM 112585104 6,780 185,803 SH OTHER 185,803 0 0 Brown & Brown Inc COMM 115236101 3,218 100,446 SH OTHER 100,446 0 0 Brown Shoe Inc New COMM 115736100 1,243 77,660 SH OTHER 77,660 0 0 Bruker Biosciences C COMM 116794108 1,152 60,300 SH OTHER 60,300 0 0 Brunswick Corp COMM 117043109 4,857 141,936 SH OTHER 141,936 0 0 Buckeye Technologies COMM 118255108 2,706 90,359 SH OTHER 90,359 0 0 Buffalo Wild Wings I COMM 119848109 3,692 42,172 SH OTHER 42,172 0 0 Burger King Worldwide I COMM 121220107 1,452 76,000 SH OTHER 76,000 0 0 Cbiz Inc COMM 124805102 6,571 1,029,981 SH OTHER 1,029,981 0 0 Cbl & Assoc Pptys In REIT 124830100 13,501 572,070 SH OTHER 572,070 0 0 Cbs Corp COMM 124857202 23,673 507,023 SH OTHER 507,023 0 0 Cec Entmt Inc COMM 125137109 1,864 56,910 SH OTHER 56,910 0 0 Cf Inds Hldgs Inc COMM 125269100 15,800 82,996 SH OTHER 82,996 0 0 Cigna Corp COMM 125509109 20,923 335,470 SH OTHER 335,470 0 0 Cit Group Inc COMM 125581801 14,535 334,286 SH OTHER 334,286 0 0 Cms Energy Corp COMM 125896100 6,337 226,806 SH OTHER 226,806 0 0 Cna Finl Corp COMM 126117100 175 5,350 SH OTHER 5,350 0 0 Cnooc Ltd ADR 126132109 2,577 13,456 SH OTHER 13,456 0 0 Csx Corp COMM 126408103 6,524 264,878 SH OTHER 264,878 0 0 Cts Corp COMM 126501105 2,358 225,874 SH OTHER 225,874 0 0 Cvs Corp COMM 126650100 36,540 664,479 SH OTHER 664,479 0 0 Cabot Corp COMM 127055101 7,106 207,768 SH OTHER 207,768 0 0 Cabot Oil & Gas Corp COMM 127097103 7,071 104,585 SH OTHER 104,585 0 0 Caci Inc COMM 127190304 6,431 111,125 SH OTHER 111,125 0 0 Cadence Designs Sys COMM 127387108 2,029 145,682 SH OTHER 145,682 0 0 Calamp Corp COMM 128126109 81 7,400 SH OTHER 7,400 0 0 Calavo Growers Inc COMM 128246105 7,076 245,871 SH OTHER 245,871 0 0 Calgon Carbon Corp COMM 129603106 1,207 66,690 SH OTHER 66,690 0 0 California Wtr Svc G COMM 130788102 106 5,324 SH OTHER 5,324 0 0 Camden Ppty Tr REIT 133131102 2,294 33,400 SH OTHER 33,400 0 0 Campbell Soup Co COMM 134429109 2,724 60,058 SH OTHER 60,058 0 0 Canadian Natl Ry Co COMM 136375102 10,536 105,042 SH OTHER 105,042 0 0 Canadian Nat Res Ltd COMM 136385101 16,346 508,748 SH OTHER 508,748 0 0 Capella Education Co COMM 139594105 636 20,416 SH OTHER 20,416 0 0 Capital Bk Finl Corp COMM 139794101 97 5,690 SH OTHER 5,690 0 0 Capital Sr Living Co COMM 140475104 218 8,265 SH OTHER 8,265 0 0 Carbo Ceramics Inc COMM 140781105 842 9,241 SH OTHER 9,241 0 0 Carmax Inc COMM 143130102 15,818 379,320 SH OTHER 379,320 0 0 Carmike Cinemas Inc COMM 143436400 38 2,100 SH OTHER 2,100 0 0 Carnival Corp COMM 143658300 3,148 91,772 SH OTHER 91,772 0 0 Carpenter Technology COMM 144285103 1,030 20,905 SH OTHER 20,905 0 0 Carrizo Oil & Co Inc COMM 144577103 407 15,797 SH OTHER 15,797 0 0 Carter Hldgs Inc COMM 146229109 4,438 77,489 SH OTHER 77,489 0 0 Caseys Gen Stores COMM 147528103 3,295 56,512 SH OTHER 56,512 0 0 Catamaran Corp COMM 148887102 22,035 415,516 SH OTHER 415,516 0 0 Caterpillar Inc COMM 149123101 17,216 197,951 SH OTHER 197,951 0 0 Cathay Bancorp Inc COMM 149150104 2,974 147,800 SH OTHER 147,800 0 0 Cato Corp New COMM 149205106 958 39,665 SH OTHER 39,665 0 0 Cbeyond Communicatio COMM 149847105 554 74,500 SH OTHER 74,500 0 0 Cedar Shopping Ctrs REIT 150602209 1,662 272,005 SH OTHER 272,005 0 0 Celadon Group Inc COMM 150838100 228 10,933 SH OTHER 10,933 0 0 Celanese Corp Del COMM 150870103 798 18,119 SH OTHER 18,119 0 0 Celgene Corp COMM 151020104 50,934 439,425 SH OTHER 439,425 0 0 Cemex S A ADR 151290889 7,697 630,414 SH OTHER 630,414 0 0 Central Garden & Pet COMM 153527106 1,327 154,000 SH OTHER 154,000 0 0 Central Garden & Pet COMM 153527205 1,746 212,400 SH OTHER 212,400 0 0 Centurylink Inc COMM 156700106 4,028 114,655 SH OTHER 114,655 0 0 Cerner Corp COMM 156782104 34,811 367,434 SH OTHER 367,434 0 0 Cerus Corp COMM 157085101 301 68,163 SH OTHER 68,163 0 0 Charles Riv Labs Int COMM 159864107 46 1,030 SH OTHER 1,030 0 0 Cheesecake Factory I COMM 163072101 7,193 186,311 SH OTHER 186,311 0 0 Chemtura Corp COMM 163893209 5,420 250,831 SH OTHER 250,831 0 0 Chesapeake Energy Co COMM 165167107 3,869 189,573 SH OTHER 189,573 0 0 Chesapeake Lodging Tr COMM 165240102 2,430 105,931 SH OTHER 105,931 0 0 Chevron Corp COMM 166764100 88,330 743,391 SH OTHER 743,391 0 0 Chicago Bridge & Iro COMM 167250109 3,620 58,286 SH OTHER 58,286 0 0 Chicos Fas Inc COMM 168615102 334 19,901 SH OTHER 19,901 0 0 Childrens Pl Retail COMM 168905107 383 8,546 SH OTHER 8,546 0 0 Chipotle Mexican Gri COMM 169656105 26,664 81,824 SH OTHER 81,824 0 0 Choice Hotels Intl I COMM 169905106 309 7,300 SH OTHER 7,300 0 0 Christopher & Banks COMM 171046105 38 5,863 SH OTHER 5,863 0 0 Chubb Corp COMM 171232101 13,161 150,355 SH OTHER 150,355 0 0 Church & Dwight Inc COMM 171340102 17,261 267,072 SH OTHER 267,072 0 0 Chuys Hldgs Inc COMM 171604101 353 10,822 SH OTHER 10,822 0 0 Ciena Corp COMM 171779309 1,435 89,620 SH OTHER 89,620 0 0 Cincinnati Finl Corp COMM 172062101 1,750 37,050 SH OTHER 37,050 0 0 Cirrus Logic Corp COMM 172755100 24 1,040 SH OTHER 1,040 0 0 Citigroup Inc COMM 172967424 91,005 2,057,067 SH OTHER 2,057,067 0 0 Citrix Sys Inc COMM 177376100 38,963 540,024 SH OTHER 540,024 0 0 City Natl Corp COMM 178566105 1,044 17,730 SH OTHER 17,730 0 0 Clarcor Inc COMM 179895107 155 2,960 SH OTHER 2,960 0 0 Clean Harbors Inc COMM 184496107 22,607 389,166 SH OTHER 389,166 0 0 Clorox Co COMM 189054109 301 3,400 SH OTHER 3,400 0 0 Clovis Oncology Inc COMM 189464100 88 3,058 SH OTHER 3,058 0 0 Coach Inc COMM 189754104 20,629 412,667 SH OTHER 412,667 0 0 Coca Cola Co COMM 191216100 42,568 1,052,616 SH OTHER 1,052,616 0 0 Coeur D Alene Mines Cor COMM 192108504 138 7,320 SH OTHER 7,320 0 0 Cognex Corp COMM 192422103 1,517 36,000 SH OTHER 36,000 0 0 Cognizant Technology COMM 192446102 28,914 377,368 SH OTHER 377,368 0 0 Coherent Inc COMM 192479103 158 2,790 SH OTHER 2,790 0 0 Colgate Palmolive Co COMM 194162103 25,593 216,832 SH OTHER 216,832 0 0 Colonial Pptys Tr REIT 195872106 5,779 255,613 SH OTHER 255,613 0 0 Columbia Bkg Sys Inc COMM 197236102 3,896 177,230 SH OTHER 177,230 0 0 Comerica Inc COMM 200340107 2,129 59,211 SH OTHER 59,211 0 0 Commercial Metals Co COMM 201723103 1,338 84,390 SH OTHER 84,390 0 0 Commonwealth Reit REIT 203233101 6,263 279,116 SH OTHER 279,116 0 0 Community Bk Sys Inc COMM 203607106 2,394 80,810 SH OTHER 80,810 0 0 Community Health Sys COMM 203668108 2,756 58,160 SH OTHER 58,160 0 0 Commvault Systems In COMM 204166102 1,065 12,988 SH OTHER 12,988 0 0 Cemid Cia Energ Mg ADR 204409601 203 17,168 SH OTHER 17,168 0 0 Cervecerias Unidas ADR 204429104 34 1,018 SH OTHER 1,018 0 0 Minas Buenaventura ADR 204448104 332 12,800 SH OTHER 12,800 0 0 Computer Programs & COMM 205306103 22 400 SH OTHER 400 0 0 Computer Task Group COMM 205477102 220 10,264 SH OTHER 10,264 0 0 Compuware Corp COMM 205638109 547 43,805 SH OTHER 43,805 0 0 Comstock Res Inc COMM 205768203 1,287 79,219 SH OTHER 79,219 0 0 Comtech Telecommunic COMM 205826209 2,294 94,500 SH OTHER 94,500 0 0 Conagra Foods Inc COMM 205887102 2,330 65,069 SH OTHER 65,069 0 0 Con-Way Inc COMM 205944101 1,510 42,885 SH OTHER 42,885 0 0 Conceptus Inc COMM 206016107 331 13,716 SH OTHER 13,716 0 0 Concur Technologies COMM 206708109 9,126 132,912 SH OTHER 132,912 0 0 Conmed Corp COMM 207410101 940 27,594 SH OTHER 27,594 0 0 Conns Inc COMM 208242107 510 14,194 SH OTHER 14,194 0 0 Consolidated Edison COMM 209115104 787 12,900 SH OTHER 12,900 0 0 Constant Contact Inc COMM 210313102 114 8,802 SH OTHER 8,802 0 0 Continental Resources I COMM 212015101 876 10,076 SH OTHER 10,076 0 0 Convergys Corp COMM 212485106 15,137 888,839 SH OTHER 888,839 0 0 Cooper Cos Inc COMM 216648402 11,555 107,110 SH OTHER 107,110 0 0 Cooper Tire & Rubr COMM 216831107 3,186 124,171 SH OTHER 124,171 0 0 Copart Inc COMM 217204106 10,821 315,748 SH OTHER 315,748 0 0 Corning Inc COMM 219350105 9,483 711,382 SH OTHER 711,382 0 0 Cousins Pptys Inc REIT 222795106 1,558 145,764 SH OTHER 145,764 0 0 Covance Inc COMM 222816100 1,534 20,640 SH OTHER 20,640 0 0 Coventry Health Care COMM 222862104 1,062 22,586 SH OTHER 22,586 0 0 Crane Co COMM 224399105 383 6,850 SH OTHER 6,850 0 0 Cray Inc COMM 225223304 67 2,890 SH OTHER 2,890 0 0 Credit Suisse Group ADR 225401108 3,894 148,633 SH OTHER 148,633 0 0 Cree Inc COMM 225447101 8,433 154,134 SH OTHER 154,134 0 0 Cresud ADR 226406106 716 76,253 SH OTHER 76,253 0 0 Crexus Invt Corp COMM 226553105 681 52,300 SH OTHER 52,300 0 0 Crocs Inc COMM 227046109 740 49,961 SH OTHER 49,961 0 0 Crown Castle Intl Co COMM 228227104 28,483 409,009 SH OTHER 409,009 0 0 Crown Holdings Inc COMM 228368106 3,379 81,202 SH OTHER 81,202 0 0 Cubesmart COMM 229663109 6,211 393,112 SH OTHER 393,112 0 0 Cubic Corp COMM 229669106 1,605 37,562 SH OTHER 37,562 0 0 Cubist Pharmaceutica COMM 229678107 3,071 65,589 SH OTHER 65,589 0 0 Cullen Frost Bankers COMM 229899109 33 524 SH OTHER 524 0 0 Cummins Engine Inc COMM 231021106 35,620 307,574 SH OTHER 307,574 0 0 Curtiss Wright Corp COMM 231561101 1,622 46,740 SH OTHER 46,740 0 0 Cyanotech Corp COMM 232437301 11 2,482 SH OTHER 2,482 0 0 Cynosure Inc COMM 232577205 111 4,226 SH OTHER 4,226 0 0 Cypress Semiconducto COMM 232806109 992 89,979 SH OTHER 89,979 0 0 Cytec Inds Inc COMM 232820100 5,084 68,627 SH OTHER 68,627 0 0 Dct Industrial Trust COMM 233153105 5,570 752,740 SH OTHER 752,740 0 0 Dst Sys Inc Del COMM 233326107 943 13,230 SH OTHER 13,230 0 0 Dte Energy Co COMM 233331107 1,984 29,032 SH OTHER 29,032 0 0 Dxp Enterprises Inc COMM 233377407 809 10,825 SH OTHER 10,825 0 0 Dana Holding Corp COMM 235825205 1,456 81,672 SH OTHER 81,672 0 0 Danaher Corp COMM 235851102 31,944 513,984 SH OTHER 513,984 0 0 Darden Restaurants I COMM 237194105 571 11,058 SH OTHER 11,058 0 0 Darling Intl Inc COMM 237266101 542 30,163 SH OTHER 30,163 0 0 Dealertrack Hldgs In COMM 242309102 9,924 337,786 SH OTHER 337,786 0 0 Deckers Outdoor Corp COMM 243537107 1,549 27,812 SH OTHER 27,812 0 0 Deere & Co COMM 244199105 17,997 209,320 SH OTHER 209,320 0 0 Delta Air Lines Inc Del COMM 247361702 10,361 627,547 SH OTHER 627,547 0 0 Deltic Timber Corp COMM 247850100 1,102 16,037 SH OTHER 16,037 0 0 Denbury Res Inc COMM 247916208 10,216 547,780 SH OTHER 547,780 0 0 De Luxe Check Printe COMM 248019101 2,835 68,485 SH OTHER 68,485 0 0 Dentsply Intl Inc Ne COMM 249030107 7,811 184,045 SH 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Recovery A COMM 73640Q105 14,004 110,339 SH OTHER 110,339 0 0 Potash Corp Sask Inc COMM 73755L107 4,909 125,082 SH OTHER 125,082 0 0 Praxair Inc COMM 74005P104 12,209 109,458 SH OTHER 109,458 0 0 Precision Drilling Corp COMM 74022D308 641 69,450 SH OTHER 69,450 0 0 T.Rowe Price Group I COMM 74144T108 30,290 404,571 SH OTHER 404,571 0 0 Primoris Svcs Corp COMM 74164F103 281 12,704 SH OTHER 12,704 0 0 Primerica Inc COMM 74164M108 1,354 41,300 SH OTHER 41,300 0 0 Principal Financial COMM 74251V102 8,695 255,500 SH OTHER 255,500 0 0 Proassurance Corp COMM 74267C106 1,183 24,990 SH OTHER 24,990 0 0 Procera Networks Inc COMM 74269U203 18 1,544 SH OTHER 1,544 0 0 Prologis Inc REIT 74340W103 18,180 454,737 SH OTHER 454,737 0 0 Public Storage Inc REIT 74460D109 15,500 101,762 SH OTHER 101,762 0 0 Pulse Electronics Corp COMM 74586W106 47 116,731 SH OTHER 116,731 0 0 Qlik Technologies Inc COMM 74733T105 2,026 78,439 SH OTHER 78,439 0 0 Qep Res Inc COMM 74733V100 2,158 67,764 SH OTHER 67,764 0 0 Qualys Inc COMM 74758T303 146 11,868 SH OTHER 11,868 0 0 Quest Diagnostics In COMM 74834L100 6,818 120,756 SH OTHER 120,756 0 0 Questcor Pharmaceutical COMM 74835Y101 7,145 219,577 SH OTHER 219,577 0 0 Quicksilver Resource COMM 74837R104 61 27,018 SH OTHER 27,018 0 0 Quiksilver Inc COMM 74838C106 513 84,450 SH OTHER 84,450 0 0 Quidel Corp COMM 74838J101 405 17,059 SH OTHER 17,059 0 0 Rlj Lodging Tr COMM 74965L101 4,191 184,150 SH OTHER 184,150 0 0 Rti Intl Metals Inc COMM 74973W107 1,129 35,617 SH OTHER 35,617 0 0 Rti Biologics Inc COMM 74975N105 932 237,216 SH OTHER 237,216 0 0 Range Res Corp COMM 75281A109 20,538 253,426 SH OTHER 253,426 0 0 Rbc Bearings Inc COMM 75524B104 151 2,996 SH OTHER 2,996 0 0 Reachlocal Inc COMM 75525F104 131 8,760 SH OTHER 8,760 0 0 Reald Inc COMM 75604L105 245 18,835 SH OTHER 18,835 0 0 Realpage Inc COMM 75606N109 6,345 306,375 SH OTHER 306,375 0 0 Regeneron Pharmaceut COMM 75886F107 1,887 10,697 SH OTHER 10,697 0 0 Regions Finl Corp COMM 7591EP100 12,485 1,524,457 SH OTHER 1,524,457 0 0 Rent A Ctr Inc New COMM 76009N100 4,106 111,164 SH OTHER 111,164 0 0 Repros Therapeutics Inc COMM 76028H209 67 4,136 SH OTHER 4,136 0 0 Resources Connection COMM 76122Q105 61 4,766 SH OTHER 4,766 0 0 Roadrunner Trnsn Svcs H COMM 76973Q105 5,210 226,500 SH OTHER 226,500 0 0 Rubicon Technology Inc COMM 78112T107 1,362 206,411 SH OTHER 206,411 0 0 Ryman Hospitality Pptys COMM 78377T107 1,262 27,584 SH OTHER 27,584 0 0 Sba Communications C COMM 78388J106 18,086 251,198 SH OTHER 251,198 0 0 Saic Inc COMM 78390X101 7,302 538,899 SH OTHER 538,899 0 0 Shfl Entmt Inc COMM 78423R105 1,337 80,710 SH OTHER 80,710 0 0 Sk Telecom Ltd ADR 78440P108 15,718 879,590 SH OTHER 879,590 0 0 Sl Green Rlty Corp REIT 78440X101 8,405 97,603 SH OTHER 97,603 0 0 Slm Corp COMM 78442P106 10,821 527,865 SH OTHER 527,865 0 0 Spdr S&P 500 OTHER 78462F103 70,231 448,276 SH OTHER 448,276 0 0 Sps Comm Inc COMM 78463M107 5,247 122,972 SH OTHER 122,972 0 0 Ss&C Technologies Hldgs COMM 78467J100 323 10,775 SH OTHER 10,775 0 0 Svb Finl Group COMM 78486Q101 34 482 SH OTHER 482 0 0 Sabra Health Care Reit COMM 78573L106 1,312 45,210 SH OTHER 45,210 0 0 Saia Inc COMM 78709Y105 54 1,498 SH OTHER 1,498 0 0 Salesforce Com Inc COMM 79466L302 198,609 1,110,605 SH OTHER 1,110,605 0 0 Sanchez Energy Corp COMM 79970Y105 244 12,269 SH OTHER 12,269 0 0 Sandisk Corp COMM 80004C101 12,231 222,547 SH OTHER 222,547 0 0 Sandridge Energy Inc COMM 80007P307 81 15,308 SH OTHER 15,308 0 0 Sanofi-Aventis ADR 80105N105 45,309 887,028 SH OTHER 887,028 0 0 Scientific Games Cor COMM 80874P109 84 9,656 SH OTHER 9,656 0 0 Sciquest Inc New COMM 80908T101 4,643 193,142 SH OTHER 193,142 0 0 Sealed Air Corp New COMM 81211K100 4,475 185,615 SH OTHER 185,615 0 0 Select Comfort Corp COMM 81616X103 6,682 337,971 SH OTHER 337,971 0 0 Select Med Hldgs Corp COMM 81619Q105 1,767 196,356 SH OTHER 196,356 0 0 Semgroup Corp COMM 81663A105 1,811 35,011 SH OTHER 35,011 0 0 Sensient Technologie COMM 81725T100 4,348 111,240 SH OTHER 111,240 0 0 Servicenow Inc COMM 81762P102 1,827 50,462 SH OTHER 50,462 0 0 Servicesource Intl Llc COMM 81763U100 61 8,575 SH OTHER 8,575 0 0 Shire Pharmaceutical ADR 82481R106 11,559 126,523 SH OTHER 126,523 0 0 Shutterfly Inc COMM 82568P304 4,119 93,260 SH OTHER 93,260 0 0 Signature Bk New Yor COMM 82669G104 29,552 375,218 SH OTHER 375,218 0 0 Silver Bay Rlty Tr Corp COMM 82735Q102 452 21,815 SH OTHER 21,815 0 0 Silver Std Res Inc COMM 82823L106 558 52,936 SH OTHER 52,936 0 0 Sirona Dental System COMM 82966C103 4,962 67,300 SH OTHER 67,300 0 0 Sirius Xm Radio Inc COMM 82967N108 6,727 2,184,200 SH OTHER 2,184,200 0 0 Six Flags Entmt Corp Ne COMM 83001A102 11,213 154,700 SH OTHER 154,700 0 0 Skullcandy Inc COMM 83083J104 34 6,529 SH OTHER 6,529 0 0 Skyworks Solutions I COMM 83088M102 10,241 464,954 SH OTHER 464,954 0 0 Sohu Com Inc COMM 83408W103 133 2,687 SH OTHER 2,687 0 0 Solarwinds Inc COMM 83416B109 11,386 192,650 SH OTHER 192,650 0 0 Solera Holdings Inc COMM 83421A104 1,610 27,610 SH OTHER 27,610 0 0 Solta Med Inc COMM 83438K103 186 84,501 SH OTHER 84,501 0 0 Sonic Automotive Inc COMM 83545G102 1,016 45,827 SH OTHER 45,827 0 0 Sourcefire Inc COMM 83616T108 874 14,753 SH OTHER 14,753 0 0 Southern Copper Corp COMM 84265V105 8,896 236,788 SH OTHER 236,788 0 0 Sovran Self Storage REIT 84610H108 4,312 66,859 SH OTHER 66,859 0 0 Spectranetics Corp COMM 84760C107 1,259 67,942 SH OTHER 67,942 0 0 Spectrum Brands Hldgs I COMM 84763R101 1,684 29,750 SH OTHER 29,750 0 0 Spirit Rlty Cap Inc COMM 84860F109 1,161 61,086 SH OTHER 61,086 0 0 Stage Stores Inc COMM 85254C305 1,579 60,994 SH OTHER 60,994 0 0 Stag Indl Inc COMM 85254J102 911 42,812 SH OTHER 42,812 0 0 Standard Pac Corp Ne COMM 85375C101 1,373 158,861 SH OTHER 158,861 0 0 Starwood Ppty Tr Inc COMM 85571B105 5,859 211,050 SH OTHER 211,050 0 0 Starwood Hotels&Reso COMM 85590A401 11,161 175,130 SH OTHER 175,130 0 0 Statoil Asa ADR 85771P102 8,910 361,881 SH OTHER 361,881 0 0 Stellarone Corp COMM 85856G100 714 44,196 SH OTHER 44,196 0 0 Stillwater Mng Co COMM 86074Q102 401 31,045 SH OTHER 31,045 0 0 Strategic Hotel Cap REIT 86272T106 3,455 413,772 SH OTHER 413,772 0 0 Suncoke Energy Inc COMM 86722A103 1,970 120,638 SH OTHER 120,638 0 0 Sunoco Logistics Prt OTHER 86764L108 770 11,780 SH OTHER 11,780 0 0 Sunshine Heart Inc COMM 86782U106 17 2,819 SH OTHER 2,819 0 0 Super Micro Computer In COMM 86800U104 769 68,123 SH OTHER 68,123 0 0 Swift Transn Co COMM 87074U101 320 22,541 SH OTHER 22,541 0 0 Symetra Finl Corp COMM 87151Q106 86 6,400 SH OTHER 6,400 0 0 Synchronoss Technolo COMM 87157B103 1,164 37,499 SH OTHER 37,499 0 0 Synaptics Inc COMM 87157D109 394 9,695 SH OTHER 9,695 0 0 Synageva Biopharma Corp COMM 87159A103 1,210 22,030 SH OTHER 22,030 0 0 Synergetics Usa Inc COMM 87160G107 130 37,390 SH OTHER 37,390 0 0 Synovus Finl Corp COMM 87161C105 285 102,756 SH OTHER 102,756 0 0 Syntel Inc COMM 87162H103 2,159 31,983 SH OTHER 31,983 0 0 Synta Pharmaceutical COMM 87162T206 174 20,259 SH OTHER 20,259 0 0 Synnex Corp COMM 87162W100 579 15,645 SH OTHER 15,645 0 0 Synergy Res Corp COMM 87164P103 354 51,562 SH OTHER 51,562 0 0 Trw Automotive Hldgs COMM 87264S106 11,478 208,691 SH OTHER 208,691 0 0 Tri Pointe Homes Inc COMM 87265H109 212 10,501 SH OTHER 10,501 0 0 Tangoe Inc COMM 87582Y108 1,722 138,982 SH OTHER 138,982 0 0 Targa Res Corp COMM 87612G101 328 4,823 SH OTHER 4,823 0 0 Taser Intl Inc COMM 87651B104 23 2,928 SH OTHER 2,928 0 0 Team Health Holdings In COMM 87817A107 2,834 77,890 SH OTHER 77,890 0 0 Telefonica Brasil Sa ADR 87936R106 47 1,764 SH OTHER 1,764 0 0 Teradata Corp Del COMM 88076W103 20,868 356,653 SH OTHER 356,653 0 0 Tesla Mtrs Inc COMM 88160R101 559 14,753 SH OTHER 14,753 0 0 Tesoro Logistics Lp COMM 88160T107 178 3,291 SH OTHER 3,291 0 0 Tetra Technologies I COMM 88162F105 1,116 108,726 SH OTHER 108,726 0 0 Tetra Tech Inc New COMM 88162G103 407 13,365 SH OTHER 13,365 0 0 Texas Capital Bancsh COMM 88224Q107 1,091 26,982 SH OTHER 26,982 0 0 Thermon Group Hldgs Inc COMM 88362T103 1,423 64,072 SH OTHER 64,072 0 0 3m Co COMM 88579Y101 25,727 242,004 SH OTHER 242,004 0 0 Tibco Software Inc COMM 88632Q103 718 35,530 SH OTHER 35,530 0 0 Tile Shop Hldgs Inc COMM 88677Q109 42 2,015 SH OTHER 2,015 0 0 Tim Participacoes S A ADR 88706P205 420 19,200 SH OTHER 19,200 0 0 Time Warner Cable Inc COMM 88732J207 9,118 94,919 SH OTHER 94,919 0 0 Titan Intl Inc Ill COMM 88830M102 1,790 84,930 SH OTHER 84,930 0 0 Titan Machy Inc COMM 88830R101 900 32,424 SH OTHER 32,424 0 0 Treehouse Foods Inc COMM 89469A104 1,304 20,011 SH OTHER 20,011 0 0 Trex Inc COMM 89531P105 477 9,708 SH OTHER 9,708 0 0 Triangle Pete Corp COMM 89600B201 979 148,324 SH OTHER 148,324 0 0 Triquint Semiconduct COMM 89674K103 618 122,046 SH OTHER 122,046 0 0 True Religion Appare COMM 89784N104 44 1,700 SH OTHER 1,700 0 0 Trueblue Inc COMM 89785X101 2,170 102,630 SH OTHER 102,630 0 0 Two Hbrs Invt Corp COMM 90187B101 5,025 398,504 SH OTHER 398,504 0 0 USANA Inc COMM 90328M107 5,376 111,239 SH OTHER 111,239 0 0 USA Mobility Inc COMM 90341G103 547 41,200 SH OTHER 41,200 0 0 U S Airways Group In COMM 90341W108 1,694 99,817 SH OTHER 99,817 0 0 Ulta Salon Cosmetcs & F COMM 90384S303 16,258 200,006 SH OTHER 200,006 0 0 Ultimate Software Gr COMM 90385D107 41,297 396,480 SH OTHER 396,480 0 0 United Therapeutics COMM 91307C102 6,397 105,095 SH OTHER 105,095 0 0 Unitedhealth Group I COMM 91324P102 20,096 351,267 SH OTHER 351,267 0 0 Unumprovident Corp COMM 91529Y106 29,952 1,060,261 SH OTHER 1,060,261 0 0 Vail Resorts Inc COMM 91879Q109 3,184 51,095 SH OTHER 51,095 0 0 Valeant Pharmaceuticals COMM 91911K102 15,241 203,164 SH OTHER 203,164 0 0 Valero Energy Corp N COMM 91913Y100 36,512 802,633 SH OTHER 802,633 0 0 Valueclick Inc COMM 92046N102 18,641 630,600 SH OTHER 630,600 0 0 Varian Med Sys Inc COMM 92220P105 17,955 249,376 SH OTHER 249,376 0 0 Vectren Corp COMM 92240G101 1,290 36,419 SH OTHER 36,419 0 0 Ventas Inc REIT 92276F100 19,408 265,130 SH OTHER 265,130 0 0 Vera Bradley Inc COMM 92335C106 2,043 86,475 SH OTHER 86,475 0 0 Verifone Hldgs Inc COMM 92342Y109 98 4,760 SH OTHER 4,760 0 0 Verizon Communications COMM 92343V104 34,741 706,836 SH OTHER 706,836 0 0 Verint Sys Inc COMM 92343X100 6,633 181,489 SH OTHER 181,489 0 0 Verisk Analytics Inc COMM 92345Y106 372 6,033 SH OTHER 6,033 0 0 Vertex Pharmaceutica COMM 92532F100 25,383 461,770 SH OTHER 461,770 0 0 Viad Corp COMM 92552R406 3,632 131,300 SH OTHER 131,300 0 0 Viacom Inc New -B COMM 92553P201 35,905 584,019 SH OTHER 584,019 0 0 Viewpoint Finl Group In COMM 92672A101 1,566 77,886 SH OTHER 77,886 0 0 Vimpelcom Ltd ADR 92719A106 144 12,143 SH OTHER 12,143 0 0 Virgin Media Inc COMM 92769L101 1,497 30,568 SH OTHER 30,568 0 0 Visa Inc COMM 92826C839 48,658 286,495 SH OTHER 286,495 0 0 Virtusa Corp COMM 92827P102 690 29,055 SH OTHER 29,055 0 0 Virtus Invt Partners In COMM 92828Q109 477 2,560 SH OTHER 2,560 0 0 Vocera Communications I COMM 92857F107 266 11,570 SH OTHER 11,570 0 0 Vodafone Group Plc N ADR 92857W209 51,420 1,810,575 SH OTHER 1,810,575 0 0 Vocus Inc COMM 92858J108 670 47,341 SH OTHER 47,341 0 0 Vonage Hldgs Corp COMM 92886T201 3,976 1,375,904 SH OTHER 1,375,904 0 0 W & T Offshore Inc COMM 92922P106 606 42,677 SH OTHER 42,677 0 0 Wgl Hldgs Inc COMM 92924F106 385 8,732 SH OTHER 8,732 0 0 Wabco Hldgs Inc COMM 92927K102 940 13,322 SH OTHER 13,322 0 0 Wns Holdings Ltd ADR 92932M101 2,068 140,301 SH OTHER 140,301 0 0 W P Carey Inc COMM 92936U109 1,756 26,057 SH OTHER 26,057 0 0 Walter Inds Inc COMM 93317Q105 243 8,531 SH OTHER 8,531 0 0 Walter Invt Mgmt Corp REIT 93317W102 1,540 41,354 SH OTHER 41,354 0 0 Waste Mgmt Inc Del COMM 94106L109 7,301 186,200 SH OTHER 186,200 0 0 Web Com Group Inc COMM 94733A104 1,625 95,130 SH OTHER 95,130 0 0 Wellcare Group Inc COMM 94946T106 1,328 22,905 SH OTHER 22,905 0 0 Wellpoint Inc COMM 94973V107 8,130 122,759 SH OTHER 122,759 0 0 Wesco Intl Inc COMM 95082P105 3,539 48,735 SH OTHER 48,735 0 0 Western Gas Equity Part COMM 95825R103 832 24,347 SH OTHER 24,347 0 0 Wex Inc COMM 96208T104 4,242 54,032 SH OTHER 54,032 0 0 Williams Partners L OTHER 96950F104 2,340 45,165 SH OTHER 45,165 0 0 Windstream Corp COMM 97381W104 548 69,099 SH OTHER 69,099 0 0 Wintrust Financial C COMM 97650W108 2,606 70,366 SH OTHER 70,366 0 0 Wisdomtree Invts Inc COMM 97717P104 760 73,059 SH OTHER 73,059 0 0 Workday Inc COMM 98138H101 5,354 86,872 SH OTHER 86,872 0 0 Wpx Energy Inc COMM 98212B103 364 22,713 SH OTHER 22,713 0 0 Wright Med Group Inc COMM 98235T107 186 7,830 SH OTHER 7,830 0 0 Wyndham Worldwide Co COMM 98310W108 3,453 53,550 SH OTHER 53,550 0 0 Xcel Energy Inc COMM 98389B100 8,235 277,266 SH OTHER 277,266 0 0 Xoma Corp Del COMM 98419J107 82 23,455 SH OTHER 23,455 0 0 Xylem Inc COMM 98419M100 3,134 113,700 SH OTHER 113,700 0 0 Yamana Gold Inc COMM 98462Y100 5,043 328,529 SH OTHER 328,529 0 0 Youku Com Inc ADR 98742U100 5,603 334,083 SH OTHER 334,083 0 0 Zep Inc COMM 98944B108 148 9,872 SH OTHER 9,872 0 0 Zillow Inc COMM 98954A107 914 16,710 SH OTHER 16,710 0 0 Zimmer Hldgs Inc COMM 98956P102 16,557 220,120 SH OTHER 220,120 0 0 Zix Corp COMM 98974P100 919 256,792 SH OTHER 256,792 0 0 Zoetis Inc COMM 98978V103 1,625 48,638 SH OTHER 48,638 0 0 Aircastle Ltd COMM G0129K104 2,176 159,100 SH OTHER 159,100 0 0 Amdocs Ltd COMM G02602103 6,881 189,824 SH OTHER 189,824 0 0 Aon Plc COMM G0408V102 14,653 238,262 SH OTHER 238,262 0 0 Arch Cap Group Ltd COMM G0450A105 1,039 19,755 SH OTHER 19,755 0 0 Arcos Dorados Holdings COMM G0457F107 10,028 759,728 SH OTHER 759,728 0 0 Aspen Insurance Hold COMM G05384105 7,724 200,219 SH OTHER 200,219 0 0 Assured Guaranty Ltd COMM G0585R106 454 22,046 SH OTHER 22,046 0 0 Axis Capital Holding COMM G0692U109 23,104 555,129 SH OTHER 555,129 0 0 Energy Xxi (Bermuda) Lt COMM G10082140 1,768 64,961 SH OTHER 64,961 0 0 Accenture Plc Ireland COMM G1151C101 48,602 639,756 SH OTHER 639,756 0 0 Bunge Limited COMM G16962105 4,470 60,544 SH OTHER 60,544 0 0 Credicorp Ltd COMM G2519Y108 11,117 66,951 SH OTHER 66,951 0 0 Cosan Ltd COMM G25343107 1,468 75,300 SH OTHER 75,300 0 0 Covidien Plc COMM G2554F113 36,538 538,585 SH OTHER 538,585 0 0 Delphi Automotive Plc COMM G27823106 4,742 106,799 SH OTHER 106,799 0 0 Eaton Corp Plc COMM G29183103 30,582 499,301 SH OTHER 499,301 0 0 Endurance Specialty COMM G30397106 8,674 181,429 SH OTHER 181,429 0 0 Enstar Group Limited COMM G3075P101 186 1,500 SH OTHER 1,500 0 0 Ensco Plc COMM G3157S106 4,167 69,455 SH OTHER 69,455 0 0 Everest Re Group Ltd COMM G3223R108 7,350 56,599 SH OTHER 56,599 0 0 Fleetmatics Group Plc COMM G35569105 1,312 54,098 SH OTHER 54,098 0 0 Fresh Del Monte Prod COMM G36738105 1,155 42,800 SH OTHER 42,800 0 0 Genpact Limited COMM G3922B107 11,799 648,629 SH OTHER 648,629 0 0 Global Sources Ltd COMM G39300101 34 4,500 SH OTHER 4,500 0 0 Helen Of Troy Corp L COMM G4388N106 4,406 114,866 SH OTHER 114,866 0 0 Herbalife Ltd COMM G4412G101 1,752 46,783 SH OTHER 46,783 0 0 Hollysys Automation Tec COMM G45667105 617 50,651 SH OTHER 50,651 0 0 Icon Plc ADR G4705A100 324 10,047 SH OTHER 10,047 0 0 Ingersoll-Rand Plc COMM G47791101 8,019 145,773 SH OTHER 145,773 0 0 Invesco Ltd COMM G491BT108 23,484 810,925 SH OTHER 810,925 0 0 Jazz Pharmaceuticals Pl COMM G50871105 4,089 73,133 SH OTHER 73,133 0 0 Kosmos Energy Ltd COMM G5315B107 314 27,816 SH OTHER 27,816 0 0 Lazard Ltd COMM G54050102 8,276 242,492 SH OTHER 242,492 0 0 Maiden Holdings Ltd COMM G5753U112 3,829 361,600 SH OTHER 361,600 0 0 Marvell Technology G COMM G5876H105 3,397 321,217 SH OTHER 321,217 0 0 Michael Kors Hldgs Ltd COMM G60754101 15,051 265,028 SH OTHER 265,028 0 0 Montpelier Re Holdin COMM G62185106 5,740 220,350 SH OTHER 220,350 0 0 Nabors Industries Lt COMM G6359F103 2,827 174,270 SH OTHER 174,270 0 0 Orient-Express Hotel COMM G67743107 2,261 229,313 SH OTHER 229,313 0 0 Partnerre Ltd COMM G6852T105 8,051 86,464 SH OTHER 86,464 0 0 Renaissance Re Hldgs COMM G7496G103 930 10,111 SH OTHER 10,111 0 0 Rowan Companies Plc COMM G7665A101 3,266 92,363 SH OTHER 92,363 0 0 Seagate Technology Plc COMM G7945M107 15,014 410,737 SH OTHER 410,737 0 0 Signet Jewelers Limited COMM G81276100 5,171 77,186 SH OTHER 77,186 0 0 Sina Com COMM G81477104 194 4,000 SH OTHER 4,000 0 0 Uti Worldwide Inc COMM G87210103 171 11,777 SH OTHER 11,777 0 0 Tower Group Intl Ltd COMM G8988C105 8,472 459,180 SH OTHER 459,180 0 0 Validus Holdings Ltd COMM G9319H102 14,459 386,903 SH OTHER 386,903 0 0 Warner Chilcott Plc Ire COMM G94368100 3,391 250,240 SH OTHER 250,240 0 0 Willis Group Holdings P COMM G96666105 21,053 533,120 SH OTHER 533,120 0 0 Xyratex Ltd COMM G98268108 325 32,850 SH OTHER 32,850 0 0 Xl Group Plc COMM G98290102 6,758 223,029 SH OTHER 223,029 0 0 Ace Ltd COMM H0023R105 31,227 350,984 SH OTHER 350,984 0 0 Allied Wrld Assur Com H COMM H01531104 3,362 36,258 SH OTHER 36,258 0 0 Weatherford Internation COMM H27013103 4,090 336,908 SH OTHER 336,908 0 0 Foster Wheeler Ag COMM H27178104 5,230 228,893 SH OTHER 228,893 0 0 Noble Corporation Baar COMM H5833N103 10,898 285,671 SH OTHER 285,671 0 0 Pentair Ltd COMM H6169Q108 20,947 397,099 SH OTHER 397,099 0 0 Te Connectivity Ltd COMM H84989104 28,383 676,910 SH OTHER 676,910 0 0 Transocean Ltd Zug COMM H8817H100 4,125 79,385 SH OTHER 79,385 0 0 Tyco International Ltd COMM H89128104 18,861 589,414 SH OTHER 589,414 0 0 Ubs Ag ADR H89231338 24,289 1,578,212 SH OTHER 1,578,212 0 0 Ceragon Networks Ltd COMM M22013102 18 4,123 SH OTHER 4,123 0 0 Check Point Software COMM M22465104 12,659 269,402 SH OTHER 269,402 0 0 Mellanox Technologie COMM M51363113 64 1,154 SH OTHER 1,154 0 0 Radware Ltd COMM M81873107 382 10,130 SH OTHER 10,130 0 0 Stratasys Ltd COMM M85548101 6,442 86,794 SH OTHER 86,794 0 0 Sodastream Internationa COMM M9068E105 190 3,827 SH OTHER 3,827 0 0 Asml Holding N V ADR N07059210 10,301 151,509 SH OTHER 151,509 0 0 Avg Technologies N V COMM N07831105 337 24,178 SH OTHER 24,178 0 0 Cnh Global N V COMM N20935206 161 3,900 SH OTHER 3,900 0 0 Core Laboratories N COMM N22717107 19,975 144,829 SH OTHER 144,829 0 0 Interxion Holding N.V COMM N47279109 787 32,483 SH OTHER 32,483 0 0 Lyondellbasell Industri COMM N53745100 15,441 243,967 SH OTHER 243,967 0 0 Nielsen Holdings B V COMM N63218106 2,285 63,802 SH OTHER 63,802 0 0 Nxp Semiconductors N V COMM N6596X109 5,738 189,450 SH OTHER 189,450 0 0 Vistaprint N V COMM N93540107 2,181 56,423 SH OTHER 56,423 0 0 Yandex N V COMM N97284108 5,429 234,610 SH OTHER 234,610 0 0 Copa Holdings Sa COMM P31076105 10,133 84,713 SH OTHER 84,713 0 0 Steiner Leisure Ltd COMM P8744Y102 263 5,447 SH OTHER 5,447 0 0 Royal Caribbean Crui COMM V7780T103 1,245 37,492 SH OTHER 37,492 0 0 Aegean Marine Petrol COMM Y0017S102 145 21,539 SH OTHER 21,539 0 0 Avago Technologies Ltd COMM Y0486S104 23,649 658,757 SH OTHER 658,757 0 0 Flextronics Intl Ltd COMM Y2573F102 814 120,477 SH OTHER 120,477 0 0 Scorpio Tankers Inc COMM Y7542C106 189 21,177 SH OTHER 21,177 0 0 Teekay Shipping Mars COMM Y8564W103 283 7,861 SH OTHER 7,861 0 0