0001081019-11-000004.txt : 20110516
0001081019-11-000004.hdr.sgml : 20110516
20110516112340
ACCESSION NUMBER: 0001081019-11-000004
CONFORMED SUBMISSION TYPE: 13F-HR
PUBLIC DOCUMENT COUNT: 1
CONFORMED PERIOD OF REPORT: 20110331
FILED AS OF DATE: 20110516
DATE AS OF CHANGE: 20110516
EFFECTIVENESS DATE: 20110516
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
CENTRAL INDEX KEY: 0001081019
IRS NUMBER: 946291617
STATE OF INCORPORATION: CA
FILING VALUES:
FORM TYPE: 13F-HR
SEC ACT: 1934 Act
SEC FILE NUMBER: 028-04855
FILM NUMBER: 11844420
BUSINESS ADDRESS:
STREET 1: P O BOX 163749
CITY: SACRAMENTO
STATE: CA
ZIP: 95816
BUSINESS PHONE: 9162293733
MAIL ADDRESS:
STREET 1: 7667 FOLSOM BLVD
CITY: SACRAMENTO
STATE: CA
ZIP: 95826
13F-HR
1
hr13f0311.txt
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: March 31, 2011.
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: California State Teachers Retirement System
Address: 100 Waterfront Place 14th floor
West Sacramento, CA 95605-2807
13F File Number:
The institutional investment manager filing this report and the person by
whom it is signed hereby represents that the person signing this report is
authorized to submit it, that all information contained herein is true,
correct and complete, and that it is understood that required items,
statements, schedules, lists, and tables, are considered integral parts
of this form.
Persons signing this Report on Behalf of Reporting Manager:
Name: Debra Smith
Title: Investment Operations Director
Phone: 916-414-7560
Signature, Place, and Date of Signing:
Debra Smith West Sacramento, California May 13, 2011.
Report Type (Check only one.):
[X] 13F HOLDINGS REPORT
[ ] 13F NOTICE.
[ ] 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager: N/A
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 2945
Form 13F Information Table Value Total:$23,943,103(Thousands)
List of Other Included Managers: N/A
AS OF Mar 31, 2011.
Security Name Title Cusip Fair Mkt Shares Invmnt OtheInvestment
Class Value Discret MgrsAuthority
(x1000) (SOLE)
1 800 FLOWERS.COM INC CL A COMMON68243Q106 42 12,754SH SOLE 0 12,754
1ST SOURCE CORP COMMON336901103 148 7,392SH SOLE 0 7,392
1ST UNITED BANCORP INC/NORTH COMMON33740N105 89 12,743SH SOLE 0 12,743
3D SYSTEMS CORP COMMON88554D205 463 9,527SH SOLE 0 9,527
3M CO COMMON88579Y101 115,840 1,238,929SH SOLE 0 1,238,929
99 CENTS ONLY STORES COMMON65440K106 436 22,239SH SOLE 0 22,239
A123 SYSTEMS INC COMMON03739T108 225 35,444SH SOLE 0 35,444
AAON INC COMMON000360206 196 5,962SH SOLE 0 5,962
AAR CORP COMMON000361105 525 18,938SH SOLE 0 18,938
AARON S INC COMMON002535300 3,156 124,431SH SOLE 0 124,431
ABAXIS INC COMMON002567105 309 10,729SH SOLE 0 10,729
ABBOTT LABORATORIES COMMON002824100 131,173 2,674,271SH SOLE 0 2,674,271
ABERCROMBIE + FITCH CO CL A COMMON002896207 8,935 152,219SH SOLE 0 152,219
ABINGTON BANCORP INC COMMON00350L109 125 10,225SH SOLE 0 10,225
ABIOMED INC COMMON003654100 221 15,228SH SOLE 0 15,228
ABM INDUSTRIES INC COMMON000957100 639 25,161SH SOLE 0 25,161
ABOVENET INC COMMON00374N107 710 10,942SH SOLE 0 10,942
ABRAXAS PETROLEUM CORP COMMON003830106 230 39,380SH SOLE 0 39,380
ACACIA RESEARCH ACACIA TEC TRACKI003881307 615 17,961SH SOLE 0 17,961
ACADIA REALTY TRUST REIT U004239109 368 19,475SH SOLE 0 19,475
ACCELRYS INC COMMON00430U103 215 26,868SH SOLE 0 26,868
ACCENTURE PLC CL A COMMONG1151C101 58,385 1,062,133SH SOLE 0 1,062,133
ACCO BRANDS CORP COMMON00081T108 254 26,574SH SOLE 0 26,574
ACCRETIVE HEALTH INC COMMON00438V103 155 5,600SH SOLE 0 5,600
ACCURAY INC COMMON004397105 239 26,466SH SOLE 0 26,466
ACE LTD COMMONH0023R105 37,118 573,687SH SOLE 0 573,687
ACETO CORP COMMON004446100 99 12,362SH SOLE 0 12,362
ACI WORLDWIDE INC COMMON004498101 541 16,479SH SOLE 0 16,479
ACME PACKET INC COMMON004764106 1,616 22,769SH SOLE 0 22,769
ACORDA THERAPEUTICS INC COMMON00484M106 436 18,789SH SOLE 0 18,789
ACTIVISION BLIZZARD INC COMMON00507V109 9,673 881,780SH SOLE 0 881,780
ACTUANT CORP A COMMON00508X203 954 32,910SH SOLE 0 32,910
ACTUATE CORP COMMON00508B102 115 22,138SH SOLE 0 22,138
ACUITY BRANDS INC COMMON00508Y102 1,236 21,130SH SOLE 0 21,130
ACURA PHARMACEUTICALS INC COMMON00509L703 14 4,503SH SOLE 0 4,503
ACXIOM CORP COMMON005125109 475 33,129SH SOLE 0 33,129
ADOBE SYSTEMS INC COMMON00724F101 30,330 914,642SH SOLE 0 914,642
ADTRAN INC COMMON00738A106 1,277 30,081SH SOLE 0 30,081
ADVANCE AMERICA CASH ADVANCE COMMON00739W107 142 26,862SH SOLE 0 26,862
ADVANCE AUTO PARTS INC COMMON00751Y106 9,345 142,414SH SOLE 0 142,414
ADVANCED ANALOGIC TECHNOLOGI COMMON00752J108 79 20,989SH SOLE 0 20,989
ADVANCED BATTERY TECHNOLOGIE COMMON00752H102 62 32,160SH SOLE 0 32,160
ADVANCED ENERGY INDUSTRIES COMMON007973100 290 17,748SH SOLE 0 17,748
ADVANCED MICRO DEVICES COMMON007903107 8,811 1,024,530SH SOLE 0 1,024,530
ADVENT SOFTWARE INC COMMON007974108 438 15,270SH SOLE 0 15,270
ADVISORY BOARD CO/THE COMMON00762W107 385 7,484SH SOLE 0 7,484
AECOM TECHNOLOGY CORP COMMON00766T100 4,789 172,693SH SOLE 0 172,693
AEGERION PHARMACEUTICALS INC COMMON00767E102 46 2,800SH SOLE 0 2,800
AEP INDUSTRIES INC COMMON001031103 60 2,003SH SOLE 0 2,003
AEROPOSTALE INC COMMON007865108 3,717 152,837SH SOLE 0 152,837
AEROVIRONMENT INC COMMON008073108 280 8,011SH SOLE 0 8,011
AES CORP COMMON00130H105 14,680 1,129,197SH SOLE 0 1,129,197
AETNA INC COMMON00817Y108 25,251 674,625SH SOLE 0 674,625
AFC ENTERPRISES COMMON00104Q107 188 12,434SH SOLE 0 12,434
AFFILIATED MANAGERS GROUP COMMON008252108 9,710 88,779SH SOLE 0 88,779
AFFYMAX INC COMMON00826A109 78 13,283SH SOLE 0 13,283
AFFYMETRIX INC COMMON00826T108 180 34,539SH SOLE 0 34,539
AFLAC INC COMMON001055102 42,991 814,533SH SOLE 0 814,533
AGCO CORP COMMON001084102 8,624 156,882SH SOLE 0 156,882
AGILENT TECHNOLOGIES INC COMMON00846U101 27,093 605,020SH SOLE 0 605,020
AGILYSYS INC COMMON00847J105 50 8,698SH SOLE 0 8,698
AGL RESOURCES INC COMMON001204106 5,229 131,243SH SOLE 0 131,243
AGREE REALTY CORP REIT U008492100 96 4,271SH SOLE 0 4,271
AH BELO CORP A COMMON001282102 74 8,822SH SOLE 0 8,822
AIR METHODS CORP COMMON009128307 362 5,376SH SOLE 0 5,376
AIR PRODUCTS + CHEMICALS INC COMMON009158106 33,277 369,003SH SOLE 0 369,003
AIR TRANSPORT SERVICES GROUP COMMON00922R105 224 26,453SH SOLE 0 26,453
AIRCASTLE LTD COMMONG0129K104 297 24,586SH SOLE 0 24,586
AIRGAS INC COMMON009363102 9,634 145,049SH SOLE 0 145,049
AIRTRAN HOLDINGS INC COMMON00949P108 488 65,531SH SOLE 0 65,531
AK STEEL HOLDING CORP COMMON001547108 2,937 186,123SH SOLE 0 186,123
AKAMAI TECHNOLOGIES INC COMMON00971T101 11,993 315,604SH SOLE 0 315,604
AKORN INC COMMON009728106 156 26,966SH SOLE 0 26,966
ALAMO GROUP INC COMMON011311107 87 3,169SH SOLE 0 3,169
ALASKA AIR GROUP INC COMMON011659109 1,100 17,341SH SOLE 0 17,341
ALASKA COMM SYSTEMS GROUP COMMON01167P101 230 21,555SH SOLE 0 21,555
ALBANY INTL CORP CL A COMMON012348108 329 13,203SH SOLE 0 13,203
ALBANY MOLECULAR RESEARCH COMMON012423109 49 11,474SH SOLE 0 11,474
ALBEMARLE CORP COMMON012653101 9,495 158,860SH SOLE 0 158,860
ALBERTO CULVER CO COMMON013078100 5,415 145,300SH SOLE 0 145,300
ALCOA INC COMMON013817101 30,520 1,729,154SH SOLE 0 1,729,154
ALCON INC COMMONH01301102 19,951 120,540SH SOLE 0 120,540
ALERE INC COMMON01449J105 5,595 142,937SH SOLE 0 142,937
ALEXANDER + BALDWIN INC COMMON014482103 3,165 69,323SH SOLE 0 69,323
ALEXANDER S INC REIT U014752109 411 1,009SH SOLE 0 1,009
ALEXANDRIA REAL ESTATE EQUIT REIT U015271109 7,206 92,420SH SOLE 0 92,420
ALEXION PHARMACEUTICALS INC COMMON015351109 15,364 155,691SH SOLE 0 155,691
ALEXZA PHARMACEUTICALS INC COMMON015384100 37 21,519SH SOLE 0 21,519
ALICO INC COMMON016230104 47 1,750SH SOLE 0 1,750
ALIGN TECHNOLOGY INC COMMON016255101 589 28,759SH SOLE 0 28,759
ALIMERA SCIENCES INC COMMON016259103 25 3,213SH SOLE 0 3,213
ALKERMES INC COMMON01642T108 596 46,028SH SOLE 0 46,028
ALLEGHANY CORP COMMON017175100 3,805 11,495SH SOLE 0 11,495
ALLEGHENY TECHNOLOGIES INC COMMON01741R102 11,596 171,238SH SOLE 0 171,238
ALLEGIANT TRAVEL CO COMMON01748X102 322 7,353SH SOLE 0 7,353
ALLERGAN INC COMMON018490102 37,521 528,322SH SOLE 0 528,322
ALLETE INC COMMON018522300 586 15,047SH SOLE 0 15,047
ALLIANCE DATA SYSTEMS CORP COMMON018581108 7,964 92,724SH SOLE 0 92,724
ALLIANCE FINANCIAL CORP COMMON019205103 76 2,287SH SOLE 0 2,287
ALLIANCE HEALTHCARE SERVICE COMMON018606202 60 13,479SH SOLE 0 13,479
ALLIANT ENERGY CORP COMMON018802108 7,270 186,735SH SOLE 0 186,735
ALLIANT TECHSYSTEMS INC COMMON018804104 4,049 57,298SH SOLE 0 57,298
ALLIED HEALTHCARE INTL INC COMMON01923A109 56 22,018SH SOLE 0 22,018
ALLIED NEVADA GOLD CORP COMMON019344100 1,287 36,280SH SOLE 0 36,280
ALLIED WORLD ASSURANCE CO COMMONH01531104 4,023 64,180SH SOLE 0 64,180
ALLOS THERAPEUTICS INC COMMON019777101 122 38,349SH SOLE 0 38,349
ALLSCRIPTS HEALTHCARE SOLUTI COMMON01988P108 4,235 201,755SH SOLE 0 201,755
ALLSTATE CORP COMMON020002101 28,823 906,968SH SOLE 0 906,968
ALMOST FAMILY INC COMMON020409108 151 4,010SH SOLE 0 4,010
ALNYLAM PHARMACEUTICALS INC COMMON02043Q107 170 17,762SH SOLE 0 17,762
ALON USA ENERGY INC COMMON020520102 51 3,746SH SOLE 0 3,746
ALPHA + OMEGA SEMICONDUCTOR COMMONG6331P104 32 2,491SH SOLE 0 2,491
ALPHA NATURAL RESOURCES INC COMMON02076X102 12,166 204,911SH SOLE 0 204,911
ALPHATEC HOLDINGS INC COMMON02081G102 68 25,012SH SOLE 0 25,012
ALTERA CORP COMMON021441100 24,471 555,898SH SOLE 0 555,898
ALTERRA CAPITAL HOLDINGS LTD COMMONG0229R108 917 41,040SH SOLE 0 41,040
ALTRA HOLDINGS INC COMMON02208R106 306 12,944SH SOLE 0 12,944
AMAG PHARMACEUTICALS INC COMMON00163U106 172 10,304SH SOLE 0 10,304
AMAZON.COM INC COMMON023135106 109,502 607,903SH SOLE 0 607,903
AMB PROPERTY CORP REIT U00163T109 10,227 284,323SH SOLE 0 284,323
AMBASSADORS GROUP INC COMMON023177108 96 8,754SH SOLE 0 8,754
AMCOL INTERNATIONAL CORP COMMON02341W103 417 11,589SH SOLE 0 11,589
AMDOCS LTD COMMONG02602103 9,473 328,345SH SOLE 0 328,345
AMEDISYS INC COMMON023436108 483 13,806SH SOLE 0 13,806
AMER NATL BNKSHS/DANVILLE VA COMMON027745108 68 3,003SH SOLE 0 3,003
AMERCO COMMON023586100 407 4,193SH SOLE 0 4,193
AMEREN CORPORATION COMMON023608102 11,278 401,782SH SOLE 0 401,782
AMERESCO INC CL A COMMON02361E108 59 4,200SH SOLE 0 4,200
AMERICA S CAR MART INC COMMON03062T105 118 4,595SH SOLE 0 4,595
AMERICA SERVICE GROUP INC COMMON02364L109 110 4,306SH SOLE 0 4,306
AMERICAN APPAREL INC COMMON023850100 16 16,187SH SOLE 0 16,187
AMERICAN ASSETS TRUST INC REIT 024013104 332 15,600SH SOLE 0 15,600
AMERICAN AXLE + MFG HOLDINGS COMMON024061103 367 29,129SH SOLE 0 29,129
AMERICAN CAMPUS COMMUNITIES REIT U024835100 1,045 31,664SH SOLE 0 31,664
AMERICAN CAPITAL AGENCY CORP REIT U02503X105 1,759 60,366SH SOLE 0 60,366
AMERICAN CAPITAL LTD COMMON02503Y103 1,630 164,659SH SOLE 0 164,659
AMERICAN DENTAL PARTNERS INC COMMON025353103 101 7,713SH SOLE 0 7,713
AMERICAN DG ENERGY INC COMMON025398108 20 9,226SH SOLE 0 9,226
AMERICAN EAGLE OUTFITTERS COMMON02553E106 5,280 332,254SH SOLE 0 332,254
AMERICAN ELECTRIC POWER COMMON025537101 28,376 807,499SH SOLE 0 807,499
AMERICAN EQUITY INVT LIFE HL COMMON025676206 372 28,382SH SOLE 0 28,382
AMERICAN EXPRESS CO COMMON025816109 82,363 1,822,199SH SOLE 0 1,822,199
AMERICAN FINANCIAL GROUP INC COMMON025932104 4,797 136,974SH SOLE 0 136,974
AMERICAN GREETINGS CORP CL A COMMON026375105 453 19,185SH SOLE 0 19,185
AMERICAN INTERNATIONAL GROUP COMMON026874784 7,163 203,844SH SOLE 0 203,844
AMERICAN INTL GROUP INC WTS CALL E026874156 6 570SH SOLE 0 570
AMERICAN MEDICAL SYS HLDGS COMMON02744M108 791 36,566SH SOLE 0 36,566
AMERICAN NATIONAL INSURANCE COMMON028591105 938 11,853SH SOLE 0 11,853
AMERICAN PUBLIC EDUCATION COMMON02913V103 361 8,913SH SOLE 0 8,913
AMERICAN RAILCAR INDUSTRIES COMMON02916P103 113 4,517SH SOLE 0 4,517
AMERICAN REPROGRAPHICS CO COMMON029263100 186 17,941SH SOLE 0 17,941
AMERICAN SAFETY INS HOLDINGS COMMONG02995101 107 4,976SH SOLE 0 4,976
AMERICAN SCIENCE + ENGINEERI COMMON029429107 398 4,313SH SOLE 0 4,313
AMERICAN SOFTWARE INC CL A COMMON029683109 80 10,821SH SOLE 0 10,821
AMERICAN STATES WATER CO COMMON029899101 323 9,006SH SOLE 0 9,006
AMERICAN SUPERCONDUCTOR CORP COMMON030111108 612 24,596SH SOLE 0 24,596
AMERICAN TOWER CORP CL A COMMON029912201 36,324 700,961SH SOLE 0 700,961
AMERICAN VANGUARD CORP COMMON030371108 87 9,973SH SOLE 0 9,973
AMERICAN WATER WORKS CO INC COMMON030420103 8,264 294,608SH SOLE 0 294,608
AMERICAN WOODMARK CORP COMMON030506109 90 4,332SH SOLE 0 4,332
AMERIGON INC COMMON03070L300 162 10,597SH SOLE 0 10,597
AMERIGROUP CORP COMMON03073T102 1,610 25,056SH SOLE 0 25,056
AMERIPRISE FINANCIAL INC COMMON03076C106 26,689 436,944SH SOLE 0 436,944
AMERIS BANCORP COMMON03076K108 117 11,487SH SOLE 0 11,487
AMERISAFE INC COMMON03071H100 202 9,139SH SOLE 0 9,139
AMERISOURCEBERGEN CORP COMMON03073E105 19,421 490,934SH SOLE 0 490,934
AMERISTAR CASINOS INC COMMON03070Q101 228 12,870SH SOLE 0 12,870
AMERON INTERNATIONAL CORP COMMON030710107 309 4,422SH SOLE 0 4,422
AMES NATIONAL CORP COMMON031001100 76 3,997SH SOLE 0 3,997
AMETEK INC COMMON031100100 12,159 277,166SH SOLE 0 277,166
AMGEN INC COMMON031162100 86,335 1,615,251SH SOLE 0 1,615,251
AMKOR TECHNOLOGY INC COMMON031652100 343 50,849SH SOLE 0 50,849
AMN HEALTHCARE SERVICES INC COMMON001744101 165 19,074SH SOLE 0 19,074
AMPCO PITTSBURGH CORP COMMON032037103 115 4,181SH SOLE 0 4,181
AMPHENOL CORP CL A COMMON032095101 16,405 301,625SH SOLE 0 301,625
AMR CORP COMMON001765106 3,660 566,493SH SOLE 0 566,493
AMSURG CORP COMMON03232P405 381 14,964SH SOLE 0 14,964
AMTRUST FINANCIAL SERVICES COMMON032359309 207 10,844SH SOLE 0 10,844
AMYLIN PHARMACEUTICALS INC COMMON032346108 2,837 249,490SH SOLE 0 249,490
AMYRIS INC COMMON03236M101 86 3,000SH SOLE 0 3,000
ANACOR PHARMACEUTICALS INC COMMON032420101 43 6,200SH SOLE 0 6,200
ANADARKO PETROLEUM CORP COMMON032511107 68,339 834,213SH SOLE 0 834,213
ANADIGICS INC COMMON032515108 143 31,884SH SOLE 0 31,884
ANALOG DEVICES INC COMMON032654105 20,391 517,792SH SOLE 0 517,792
ANALOGIC CORP COMMON032657207 352 6,221SH SOLE 0 6,221
ANAREN INC COMMON032744104 143 7,108SH SOLE 0 7,108
ANCESTRY.COM INC COMMON032803108 346 9,772SH SOLE 0 9,772
ANDERSONS INC/THE COMMON034164103 435 8,924SH SOLE 0 8,924
ANGIODYNAMICS INC COMMON03475V101 182 12,026SH SOLE 0 12,026
ANIXTER INTERNATIONAL INC COMMON035290105 949 13,573SH SOLE 0 13,573
ANN INC COMMON035623107 767 26,333SH SOLE 0 26,333
ANNALY CAPITAL MANAGEMENT IN REIT U035710409 23,330 1,336,977SH SOLE 0 1,336,977
ANSYS INC COMMON03662Q105 8,524 157,298SH SOLE 0 157,298
ANTARES PHARMA INC COMMON036642106 65 36,042SH SOLE 0 36,042
ANTHERA PHARMACEUTICALS INC COMMON03674U102 19 2,811SH SOLE 0 2,811
ANWORTH MORTGAGE ASSET CORP REIT U037347101 408 57,560SH SOLE 0 57,560
AOL INC COMMON00184X105 3,515 179,970SH SOLE 0 179,970
AON CORP COMMON037389103 29,507 557,163SH SOLE 0 557,163
AOXING PHARMACEUTICAL CO INC COMMON03740A106 26 11,849SH SOLE 0 11,849
APAC CUSTOMER SERVICES INC COMMON00185E106 93 15,501SH SOLE 0 15,501
APACHE CORP COMMON037411105 84,305 643,942SH SOLE 0 643,942
APARTMENT INVT + MGMT CO A REIT U03748R101 5,094 199,991SH SOLE 0 199,991
APCO OIL AND GAS INTL INC COMMONG0471F109 375 4,375SH SOLE 0 4,375
APOGEE ENTERPRISES INC COMMON037598109 180 13,670SH SOLE 0 13,670
APOLLO COMMERCIAL REAL ESTAT REIT U03762U105 139 8,532SH SOLE 0 8,532
APOLLO GLOBAL MANAGEMENT A COMMON037612306 1,800 100,000SH SOLE 0 100,000
APOLLO GROUP INC CL A COMMON037604105 8,862 212,466SH SOLE 0 212,466
APOLLO INVESTMENT CORP COMMON03761U106 1,133 93,964SH SOLE 0 93,964
APPLE INC COMMON037833100 550,947 1,581,136SH SOLE 0 1,581,136
APPLIED ENERGETICS INC COMMON03819M106 25 38,120SH SOLE 0 38,120
APPLIED INDUSTRIAL TECH INC COMMON03820C105 684 20,563SH SOLE 0 20,563
APPLIED MATERIALS INC COMMON038222105 36,458 2,334,090SH SOLE 0 2,334,090
APPLIED MICRO CIRCUITS CORP COMMON03822W406 329 31,702SH SOLE 0 31,702
APPROACH RESOURCES INC COMMON03834A103 284 8,467SH SOLE 0 8,467
APTARGROUP INC COMMON038336103 5,739 114,474SH SOLE 0 114,474
AQUA AMERICA INC COMMON03836W103 5,285 230,907SH SOLE 0 230,907
ARBITRON INC COMMON03875Q108 515 12,853SH SOLE 0 12,853
ARCH CAPITAL GROUP LTD COMMONG0450A105 7,767 78,304SH SOLE 0 78,304
ARCH CHEMICALS INC COMMON03937R102 457 10,984SH SOLE 0 10,984
ARCH COAL INC COMMON039380100 10,087 279,890SH SOLE 0 279,890
ARCHER DANIELS MIDLAND CO COMMON039483102 39,046 1,084,299SH SOLE 0 1,084,299
ARCHIPELAGO LEARNING INC COMMON03956P102 49 5,750SH SOLE 0 5,750
ARCTIC CAT INC COMMON039670104 92 5,944SH SOLE 0 5,944
ARDEA BIOSCIENCES INC COMMON03969P107 351 12,223SH SOLE 0 12,223
ARDEN GROUP INC A COMMON039762109 45 588SH SOLE 0 588
ARENA PHARMACEUTICALS INC COMMON040047102 82 59,243SH SOLE 0 59,243
ARES CAPITAL CORP COMMON04010L103 5,825 344,655SH SOLE 0 344,655
ARGAN INC COMMON04010E109 32 3,792SH SOLE 0 3,792
ARGO GROUP INTERNATIONAL COMMONG0464B107 440 13,327SH SOLE 0 13,327
ARIAD PHARMACEUTICALS INC COMMON04033A100 462 61,479SH SOLE 0 61,479
ARIBA INC COMMON04033V203 1,488 43,581SH SOLE 0 43,581
ARKANSAS BEST CORP COMMON040790107 319 12,310SH SOLE 0 12,310
ARLINGTON ASSET INVESTMENT A COMMON041356205 101 3,306SH SOLE 0 3,306
ARMSTRONG WORLD INDUSTRIES COMMON04247X102 1,570 33,922SH SOLE 0 33,922
ARQULE INC COMMON04269E107 172 23,960SH SOLE 0 23,960
ARRAY BIOPHARMA INC COMMON04269X105 84 27,344SH SOLE 0 27,344
ARRIS GROUP INC COMMON04269Q100 783 61,491SH SOLE 0 61,491
ARROW ELECTRONICS INC COMMON042735100 8,135 194,248SH SOLE 0 194,248
ARROW FINANCIAL CORP COMMON042744102 115 4,667SH SOLE 0 4,667
ARTESIAN RESOURCES CORP CL A COMMON043113208 60 3,097SH SOLE 0 3,097
ARTHROCARE CORP COMMON043136100 434 13,020SH SOLE 0 13,020
ARTHUR J GALLAGHER + CO COMMON363576109 5,362 176,334SH SOLE 0 176,334
ARTIO GLOBAL INVESTORS INC COMMON04315B107 218 13,514SH SOLE 0 13,514
ARUBA NETWORKS INC COMMON043176106 1,266 37,419SH SOLE 0 37,419
ASBURY AUTOMOTIVE GROUP COMMON043436104 260 14,036SH SOLE 0 14,036
ASCENA RETAIL GROUP INC COMMON04351G101 934 28,817SH SOLE 0 28,817
ASCENT MEDIA CORP A COMMON043632108 338 6,910SH SOLE 0 6,910
ASHFORD HOSPITALITY TRUST REIT U044103109 242 22,002SH SOLE 0 22,002
ASHLAND INC COMMON044209104 7,665 132,706SH SOLE 0 132,706
ASPEN INSURANCE HOLDINGS LTD COMMONG05384105 3,276 118,850SH SOLE 0 118,850
ASPEN TECHNOLOGY INC COMMON045327103 451 30,109SH SOLE 0 30,109
ASPENBIO PHARMA INC COMMON045346103 15 17,512SH SOLE 0 17,512
ASSET ACCEPTANCE CAPITAL COMMON04543P100 40 7,369SH SOLE 0 7,369
ASSISTED LIVING CONCEPTS I A COMMON04544X300 185 4,720SH SOLE 0 4,720
ASSOCIATED BANC CORP COMMON045487105 4,330 291,577SH SOLE 0 291,577
ASSOCIATED ESTATES REALTY CP REIT U045604105 320 20,173SH SOLE 0 20,173
ASSURANT INC COMMON04621X108 6,489 168,503SH SOLE 0 168,503
ASSURED GUARANTY LTD COMMONG0585R106 4,633 310,907SH SOLE 0 310,907
ASTA FUNDING INC COMMON046220109 44 5,183SH SOLE 0 5,183
ASTEC INDUSTRIES INC COMMON046224101 359 9,631SH SOLE 0 9,631
ASTORIA FINANCIAL CORP COMMON046265104 601 41,844SH SOLE 0 41,844
ASTRONICS CORP COMMON046433108 113 4,483SH SOLE 0 4,483
AT+T INC COMMON00206R102 304,884 9,963,517SH SOLE 0 9,963,517
ATHENAHEALTH INC COMMON04685W103 723 16,031SH SOLE 0 16,031
ATHEROS COMMUNICATIONS COMMON04743P108 5,426 121,525SH SOLE 0 121,525
ATLANTIC TELE NETWORK INC COMMON049079205 166 4,472SH SOLE 0 4,472
ATLAS AIR WORLDWIDE HOLDINGS COMMON049164205 876 12,565SH SOLE 0 12,565
ATLAS ENERGY LP LTD PA04930A104 34 1,501SH SOLE 0 1,501
ATMEL CORP COMMON049513104 10,877 798,019SH SOLE 0 798,019
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