SC 13G 1 d597945dsc13g.htm MARKWEST ENERGY PARTNERS LP MarkWest Energy Partners LP

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

SCHEDULE 13G

Under the Securities Exchange Act of 1934

(Amendment No. )*

MarkWest Energy Partners, L.P.

 

 

(Name of Issuer)

Common Units

 

 

(Title of Class of Securities)

570759100

 

 

(CUSIP Number)

September 13, 2013

 

 

(Date of Event Which Requires Filing of this Statement)

Check the appropriate box to designate the rule pursuant to which this Schedule is filed:

[X]

   Rule 13d-1(b)

[    ]

   Rule 13d-1(c)

[    ]

   Rule 13d-1(d)

*The remainder of this cover page shall be filled out for a reporting person’s initial filing on this form with respect to the subject class of securities, and for any subsequent amendment containing information which would alter the disclosures provided in a prior cover page.

The information required in the remainder of this cover page shall not be deemed to be “filed” for the purpose of Section 18 of the Securities Exchange Act of 1934 (“Act”) or otherwise subject to the liabilities of that section of the Act but shall be subject to all other provisions of the Act (however, see the Notes).


CUSIP No. 570759100  

 

   
      1.   

Names of Reporting Persons.

I.R.S. Identification Nos. of above persons (entities only).

 

            ALPS Advisors, Inc. (Tax ID: 84-1583423)

 

 

      2.

 

 

Check the Appropriate Box if a Member of a Group (See Instructions)

 

(a)

 

(b)    X

 

 

      3.

 

 

SEC Use Only

 

 

      4.

 

 

Citizenship or Place of Organization

 

            Colorado

 

Number of

Shares

Beneficially

Owned by

Each

Reporting

Person

With

  

 

5. 

  

 

Sole Voting Power

 

            0

 

  

 

6.

  

 

Shared Voting Power

 

            7,061,376 **see Note 1**

 

  

 

7.

  

 

Sole Dispositive Power

 

            0

 

  

 

8.

  

 

Shared Dispositive Power

 

            7,061,376 **see Note 1**

 

 

      9.

 

 

Aggregate Amount Beneficially Owned by Each Reporting Person

 

            7,061,376 **see Note 1**


 

      10.

 

 

Check if the Aggregate Amount in Row (9) Excludes Certain Shares (See

Instructions)

 

            N/A

 

 

      11.

 

 

Percent of Class Represented by Amount in Row (9)

 

            5.0%

 

 

      12.

 

 

Type of Reporting Person (See Instructions)

 

            IA

 

 

 

CUSIP No. 570759100

 

 

      1. 

 

 

Names of Reporting Persons.

I.R.S. Identification Nos. of above persons (entities only).

 

            Alerian MLP ETF (Tax ID: 27-3041076)

 

 

      2.

 

 

Check the Appropriate Box if a Member of a Group (See Instructions)

 

(a)

 

(b)    X

 

 

      3.

 

 

SEC Use Only

 

 

      4.

 

 

Citizenship or Place of Organization

 

            Delaware

 

  

 

5. 

  

 

Sole Voting Power

 

            0

 


Number of          

Shares

Beneficially

Owned by

Each

Reporting

Person With

    

 

6.

  

 

Shared Voting Power

 

            7,047,111**see Note 1**

 

    

 

7.

  

 

Sole Dispositive Power

 

            0

 

        

 

8.

  

 

Shared Dispositive Power

 

            7,047,111**see Note 1**

 

 

      9.

 

 

Aggregate Amount Beneficially Owned by Each Reporting Person

 

            7,047,111**see Note 1**

 

 

      10.

 

 

Check if the Aggregate Amount in Row (9) Excludes Certain Shares (See

Instructions)

 

            N/A

 

 

      11.

 

 

Percent of Class Represented by Amount in Row (9)

 

            5.0%

 

 

      12.

 

 

Type of Reporting Person (See Instructions)

 

            IV

 

Item 1.  

(a)

      Name of Issuer
      MarkWest Energy Partners, L.P.

(b)

      Address of Issuer’s Principal Executive Offices
      1515 Arapahoe Street, Tower 1, Suite 1600
      Denver, CO 80202-2137


Item 2.

 

 

                (a)

 

 

    Name of Person Filing

 

                (1) ALPS Advisors, Inc.

                (2) Alerian MLP ETF

 

                (b)

 

 

    Address of Principal Business Office or, if none, Residence

 

                (1) 1290 Broadway, Suite 1100, Denver, CO 80203

                (2) 1290 Broadway, Suite 1100, Denver, CO 80203

 

                (c)

 

 

    Citizenship

 

                (1) Colorado

                (2) Delaware

 

                (d)

 

 

    Title of Class of Securities

 

                Common Units

 

                (e)

 

 

    CUSIP Number

 

                 570759100

 

Item 3.       If this statement is filed pursuant to §§240.13d-1(b) or 240.13d-2(b) or (c), check whether the person filing is a:
  (a)   [    ]      Broker or dealer registered under section 15 of the Act (15 U.S.C. 78o);
  (b)   [    ]      Bank as defined in section 3(a)(6) of the Act (15 U.S.C. 78c);
  (c)   [    ]      Insurance company as defined in section 3(a)(19) of the Act (15 U.S.C. 78c);
  (d)   [X]      Investment company registered under section 8 of the Investment Company Act of 1940 (15 U.S.C 80a-8) - Alerian MLP ETF;
  (e)   [X]      An investment adviser in accordance with §240.13d-1(b)(1)(ii)(E) – ALPS Advisors, Inc.;
  (f)   [    ]      An employee benefit plan or endowment fund in accordance with §240.13d-1(b)(1)(ii)(F);
  (g)   [    ]      A parent holding company or control person in accordance with § 240.13d-1(b)(1)(ii)(G);
  (h)   [    ]      A savings associations as defined in Section 3(b) of the Federal Deposit Insurance Act (12 U.S.C. 1813);
  (i)   [    ]      A church plan that is excluded from the definition of an investment


         company under section 3(c)(14) of the Investment Company Act of 1940
(15 U.S.C. 80a-3);
  (j)   [    ]      A non-U.S. institution in accordance with § 240.13d-1(b)(1)(ii)(J);
 

 

(k)

 

 

[    ]

    

 

Group, in accordance with §240.13d-1(b)(1)(ii)(J).

Item 4.   Ownership.

 

Provide the following information regarding the aggregate number and percentage of the class of securities of the issuer identified in Item 1.

ALPS Advisors, Inc.

 

  (a) Amount beneficially owned:

    7,061,376**see Note 1**

 

  (b) Percent of class:

    5.0%

 

  (c) Number of shares as to which the person has:

 

  (i) Sole power to vote or to direct the vote:

        0

 

  (ii) Shared power to vote or to direct the vote:

        7,061,376 **see Note 1**

 

  (iii) Sole power to dispose or to direct the disposition of:

        0

 

  (iv) Shared power to dispose or to direct the disposition of:

        7,061,376 **see Note 1**

Alerian MLP ETF

 

  (a) Amount beneficially owned:

  7,047,111 **see Note 1**

 

  (b) Percent of class:

  5.0%


  (c) Number of shares as to which the person has:

 

  (i) Sole power to vote or to direct the vote:

        0

 

  (ii) Shared power to vote or to direct the vote:

        7,047,111 **see Note 1**

 

  (iii) Sole power to dispose or to direct the disposition of:

        0

 

  (iv) Shared power to dispose or to direct the disposition of:

        7,047,111 **see Note 1**

** Note 1 ** ALPS Advisors, Inc. (“AAI’), an investment adviser registered under Section 203 of the Investment Advisors Act of 1940, furnishes investment advice to investment companies registered under the Investment Company Act of 1940 (collectively referred to as the “Funds”). In its role as investment advisor, AAI has voting and/or investment power over the securities of the Issuer that are owned by the Funds, and may be deemed to be the beneficial owner of the shares of the Issuer held by the Funds. However, all securities reported in this schedule are owned by the Funds. AAI disclaims beneficial ownership of such securities. In addition, the filing of this Schedule 13G shall not be construed as an admission that the reporting person or any of its affiliates is the beneficial owner of any securities covered by this Schedule 13G for any other purposes than
Section 13(d) of the Securities Exchange Act of 1934.

Alerian MLP ETF is an investment company registered under the Investment Company Act of 1940 and is one of the Funds to which AAI provides investment advice.

 

Item 5. Ownership of Five Percent or Less of a Class

N/A

 

Item 6. Ownership of More than Five Percent on Behalf of Another Person.

The Funds described in Note 1 above have the right to receive or the power to direct the receipt of dividends from, or the proceeds from the sale of the securities held in their respective accounts. AAI disclaims beneficial ownership of all such securities. The interest of one person, Alerian MLP ETF, an investment company registered under the Investment Company Act of 1940, in MarkWest Energy Partners, L.P. Common Unit amounted to 7,047,111 shares or 5.0% of the total outstanding Common Units.


Item 7. Identification and Classification of the Subsidiary Which Acquired the Security Being Reported on By the Parent Holding Company or Control Person.

N/A

 

Item 8. Identification and Classification of Members of the Group

N/A

 

Item 9. Notice of Dissolution of Group

N/A

 

Item 10. Certification

By signing below I certify that, to the best of my knowledge and belief, the securities referred to above were acquired and are held in the ordinary course of business and were not acquired and are not held for the purpose of or with the effect of changing or influencing the control of the issuer of the securities and were not acquired and are not held in connection with or as a participant in any transaction having that purpose or effect, other than activities solely in connection with a nomination under § 240.14a-11.

SIGNATURE

After reasonable inquiry and to the best of my knowledge and belief, I certify that the information set forth in this statement is true, complete and correct.

 

ALPS ADVISORS, INC.
September 13, 2013
Date
/s/ Bradley J. Swenson
Signature
Chief Compliance Officer
Title


ALERIAN MLP ETF
September 13, 2013
Date
/s/ Melanie H. Zimdars
Signature
Chief Compliance Officer
Title


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Wilshire Micro-Cap

              6.13%
RiverFront Global Growth Fund   WMCR   70,133.00   23.88   1,674,776.04   1,600,800.00   2.72%   4.3811%
RiverFront Global Allocation Fund   WMCR   28,025.00   23.88   669,237.00   1,600,800.00   2.47%   1.7507%

Greenhaven Cont Cmdt

              5.72%
Ibbotson Growth ETF Asset All   GCC   269,600.00   26.72   7,203,712.00   13,550,000.00   4.06%   1.9897%
Ibbotson Balanced ETF Asset All   GCC   228,165.00   26.72   6,096,568.80   13,550,000.00   3.04%   1.6839%
Ibbotson Income & Growth ETF Asset All   GCC   135,655.00   26.72   3,624,701.60   13,550,000.00   3.15%   1.0011%
Ibbotson Aggressive Growth ETF Asset All   GCC   112,610.00   26.72   3,008,939.20   13,550,000.00   5.00%   0.8311%
Ibbotson Conservative ETF Asset All   GCC   29,280.00   26.72   782,361.60   13,550,000.00   2.02%   0.2161%

Penn Virginia Res.

              5.43%
338426 AMLP   PVR   5,190,316.00   23.30   120,934,362.80   95,724,740.00   1.68%   5.4221%
ALPS Alerian MLP Infras. Index Fund   PVR   6,427.00   23.30   149,749.10   95,724,740.00   1.66%   0.0067%

Buckeye Partners LP

              5.24%
338426 AMLP   BPL   5,117,339.00   69.06   353,403,431.34   97,796,050.00   4.92%   5.2327%
ALPS Alerian MLP Infras. Index Fund   BPL   6,337.00   69.06   437,633.22   97,796,050.00   4.84%   0.0065%

PwShs S&P500 H-Beta

              5.23%
RiverFront Moderate Growth/Income Fund   SPHB   347,464.00   26.50   9,207,796.00   17,350,100.00   7.80%   2.0027%
RiverFront Global Growth Fund   SPHB   276,932.00   26.50   7,338,698.00   17,350,100.00   11.92%   1.5961%
RiverFront Dynamic Equity Income Fund   SPHB   163,020.00   26.50   4,320,030.00   17,350,100.00   10.59%   0.9396%
RiverFront Global Allocation Fund   SPHB   112,588.00   26.50   2,983,582.00   17,350,100.00   10.99%   0.6489%
RiverFront Conserv. Income Builder Fund   SPHB   8,016.00   26.50   212,424.00   17,350,100.00   4.78%   0.0462%

Markwest Energy Part

              5.01%
338426 AMLP   MWE   7,047,111.00   68.67   483,925,112.37   140,976,500.00   6.73%   4.9988%
ALPS Alerian MLP Infras. Index Fund   MWE   8,726.00   68.67   599,214.42   140,976,500.00   6.62%   0.0062%
ALPS Alerian Energy Infrastructure   MWE   5,539.00   68.67   380,363.13   140,976,500.00   3.62%   0.0039%

Global X MLP & Ener.

              4.96%
RiverFront Moderate Growth/Income Fund   MLPX   39,869.00   14.57   580,851.46   1,100,000.00   0.49%   3.6245%
RiverFront Dynamic Equity Income Fund   MLPX   13,225.00   14.57   192,675.03   1,100,000.00   0.47%   1.2023%
RiverFront Conserv. Income Builder Fund   MLPX   1,444.00   14.57   21,037.64   1,100,000.00   0.47%   0.1313%

Atlas Pipeline Part.

              4.95%
338426 AMLP   APL   3,838,152.00   38.08   146,156,828.16   77,685,910.00   2.03%   4.9406%

 

1


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

ALPS Alerian MLP Infras. Index Fund   APL   4,753.00   38.08   180,994.24   77,685,910.00   2.00%   0.0061%

Tesoro Logistics LP

              4.91%
338426 AMLP   TLLP   1,555,422.00   54.89   85,377,113.58   31,722,570.00   1.19%   4.9032%
ALPS Alerian MLP Infras. Index Fund   TLLP   1,926.00   54.89   105,718.14   31,722,570.00   1.17%   0.0061%

FT DJ Sel. Micro Cap

              4.69%
RiverFront Global Growth Fund   FDM   85,451.00   27.70   2,366,992.70   4,655,000.00   3.84%   1.8357%
RiverFront Moderate Growth/Income Fund   FDM   69,844.00   27.70   1,934,678.80   4,655,000.00   1.64%   1.5004%
RiverFront Dynamic Equity Income Fund   FDM   30,888.00   27.70   855,597.60   4,655,000.00   2.10%   0.6635%
RiverFront Global Allocation Fund   FDM   30,646.00   27.70   848,894.20   4,655,000.00   3.13%   0.6583%
RiverFront Conserv. Income Builder Fund   FDM   1,697.00   27.70   47,006.90   4,655,000.00   1.06%   0.0365%

Targa Res. Partners

              4.54%
338426 AMLP   NGLS   4,805,388.00   48.87   234,839,311.56   106,080,200.00   3.27%   4.5300%
ALPS Alerian MLP Infras. Index Fund   NGLS   5,950.00   48.87   290,776.50   106,080,200.00   3.21%   0.0056%

NuStar LP

              4.50%
338426 AMLP   NS   3,500,131.00   40.84   142,945,350.04   77,886,000.00   1.99%   4.4939%
ALPS Alerian MLP Infras. Index Fund   NS   4,334.00   40.84   177,000.56   77,886,000.00   1.96%   0.0056%

Enbridge Energy

              4.39%
338426 AMLP   EEP   11,155,306.00   29.75   331,870,353.50   254,208,000.00   4.62%   4.3883%
ALPS Alerian MLP Infras. Index Fund   EEP   13,814.00   29.75   410,966.50   254,208,000.00   4.54%   0.0054%

Magellan Midstream

              4.33%
338426 AMLP   MMP   9,805,084.00   53.24   522,022,672.16   226,679,400.00   7.26%   4.3255%
ALPS Alerian MLP Infras. Index Fund   MMP   12,142.00   53.24   646,440.08   226,679,400.00   7.15%   0.0054%
ALPS Alerian Energy Infrastructure   MMP   7,224.00   53.24   384,605.76   226,679,400.00   3.66%   0.0032%

Oneok Partners LP

              4.31%
338426 AMLP   OKS   6,821,108.00   50.76   346,239,442.08   158,627,000.00   4.82%   4.3001%
ALPS Alerian MLP Infras. Index Fund   OKS   8,447.00   50.76   428,769.72   158,627,000.00   4.74%   0.0053%

TC Pipelines LP

              3.90%
338426 AMLP   TCP   2,429,447.00   46.90   113,941,064.30   62,327,770.00   1.58%   3.8979%
ALPS Alerian MLP Infras. Index Fund   TCP   3,008.00   46.90   141,075.20   62,327,770.00   1.56%   0.0048%

 

2


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Regency Energy Part

              3.72%
338426 AMLP   RGP   7,801,921.00   26.79   209,013,463.59   209,876,300.00   2.91%   3.7174%
ALPS Alerian MLP Infras. Index Fund   RGP   9,661.00   26.79   258,818.19   209,876,300.00   2.86%   0.0046%

Sunoco Logistics LP

              3.64%
338426 AMLP   SXL   3,768,747.00   64.71   243,875,618.37   103,797,600.00   3.39%   3.6309%
ALPS Alerian MLP Infras. Index Fund   SXL   4,667.00   64.71   302,001.57   103,797,600.00   3.34%   0.0045%

DCP Midstream Ptnrs

              3.57%
338426 AMLP   DPM   3,105,585.00   48.14   149,502,861.90   87,201,300.00   2.08%   3.5614%
ALPS Alerian MLP Infras. Index Fund   DPM   3,846.00   48.14   185,146.44   87,201,300.00   2.05%   0.0044%

El Paso Pipeline LP

              3.04%
338426 AMLP   EPB   6,757,392.00   41.00   277,053,072.00   222,272,700.00   3.85%   3.0401%
ALPS Alerian MLP Infras. Index Fund   EPB   8,368.00   41.00   343,088.00   222,272,700.00   3.79%   0.0038%

Boardwalk Pipeline

              2.87%
338426 AMLP   BWP   6,311,933.00   29.69   187,401,290.77   220,357,100.00   2.61%   2.8644%
ALPS Alerian Energy Infrastructure   BWP   12,906.00   29.69   383,179.14   220,357,100.00   3.64%   0.0059%
ALPS Alerian MLP Infras. Index Fund   BWP   7,816.00   29.69   232,057.04   220,357,100.00   2.57%   0.0035%

iShs Morningstar L.V

              2.79%
RiverFront Moderate Growth/Income Fund   JKF   88,373.00   73.85   6,525,992.56   5,900,000.00   5.53%   1.4978%
RiverFront Global Growth Fund   JKF   32,577.00   73.85   2,405,681.14   5,900,000.00   3.91%   0.5522%
RiverFront Dynamic Equity Income Fund   JKF   25,847.00   73.85   1,908,697.56   5,900,000.00   4.68%   0.4381%
RiverFront Global Allocation Fund   JKF   15,434.00   73.85   1,139,739.16   5,900,000.00   4.20%   0.2616%
RiverFront Conserv. Income Builder Fund   JKF   2,193.00   73.85   161,944.28   5,900,000.00   3.64%   0.0372%

Energy Transfer

              2.74%
338426 AMLP   ETP   10,276,765.00   51.27   526,889,741.55   376,218,400.00   7.33%   2.7316%
ALPS Alerian MLP Infras. Index Fund   ETP   12,726.00   51.27   652,462.02   376,218,400.00   7.21%   0.0034%
ALPS Alerian Energy Infrastructure   ETP   7,572.00   51.27   388,216.44   376,218,400.00   3.69%   0.0020%

Plains All American

              2.68%
338426 AMLP   PAA   9,165,312.00   49.80   456,432,537.60   342,735,900.00   6.35%   2.6742%
ALPS Alerian MLP Infras. Index Fund   PAA   11,349.00   49.80   565,180.20   342,735,900.00   6.25%   0.0033%
ALPS Alerian Energy Infrastructure   PAA   6,753.00   49.80   336,299.40   342,735,900.00   3.20%   0.0020%

 

3


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Kinder Morgan Energy

              2.67%
338426 AMLP   KMP   8,219,153.00   79.94   657,039,090.82   307,743,500.00   9.14%   2.6708%
ALPS Alerian MLP Infras. Index Fund   KMP   10,177.29   79.94   813,572.24   307,743,500.00   8.99%   0.0033%

Spectra Energy Ptnrs

              2.27%
338426 AMLP   SEP   2,468,910.00   42.00   103,694,220.00   108,808,700.00   1.44%   2.2690%
ALPS Alerian MLP Infras. Index Fund   SEP   3,057.00   42.00   128,394.00   108,808,700.00   1.42%   0.0028%

Access Midstream LP

              2.25%
338426 AMLP   ACMP   3,980,571.00   46.60   185,494,608.60   176,844,700.00   2.58%   2.2509%
ALPS Alerian MLP Infras. Index Fund   ACMP   4,929.00   46.60   229,691.40   176,844,700.00   2.54%   0.0028%

Williams Partners LP

              1.42%
338426 AMLP   WPZ   6,166,349.00   49.44   304,864,294.56   435,400,700.00   4.24%   1.4162%
ALPS Alerian MLP Infras. Index Fund   WPZ   7,636.00   49.44   377,523.84   435,400,700.00   4.17%   0.0018%

WT LargeCap Dividend

              1.30%
RiverFront Moderate Growth/Income Fund   DLN   245,449.00   60.45   14,837,392.05   27,100,000.00   12.56%   0.9057%
RiverFront Dynamic Equity Income Fund   DLN   102,111.00   60.45   6,172,609.95   27,100,000.00   15.14%   0.3768%
RiverFront Conserv. Income Builder Fund   DLN   3,819.00   60.45   230,858.55   27,100,000.00   5.19%   0.0141%

Enterprise Prods. LP

              1.26%
338426 AMLP   EPD   11,543,596.00   58.54   675,762,109.84   915,422,700.00   9.40%   1.2610%
ALPS Alerian MLP Infras. Index Fund   EPD   14,294.00   58.54   836,770.76   915,422,700.00   9.25%   0.0016%
ALPS Alerian Energy Infrastructure   EPD   6,264.00   58.54   366,694.56   915,422,700.00   3.49%   0.0007%

WT Japan S.C. Div.

              0.77%
RiverFront Moderate Growth/Income Fund   DFJ   18,032.00   47.54   857,241.28   5,600,000.00   0.73%   0.3220%
RiverFront Global Growth Fund   DFJ   11,604.00   47.54   551,654.16   5,600,000.00   0.90%   0.2072%
RiverFront Dynamic Equity Income Fund   DFJ   7,806.00   47.54   371,097.24   5,600,000.00   0.91%   0.1394%
RiverFront Global Allocation Fund   DFJ   5,246.00   47.54   249,394.84   5,600,000.00   0.92%   0.0937%
RiverFront Conserv. Income Builder Fund   DFJ   667.00   47.54   31,709.18   5,600,000.00   0.71%   0.0119%

PwShs FTSE RAFI Dev

              0.74%
RiverFront Moderate Growth/Income Fund   PXF   45,435.00   39.70   1,803,769.50   14,500,000.00   1.53%   0.3133%
RiverFront Global Growth Fund   PXF   29,344.00   39.70   1,164,956.80   14,500,000.00   1.89%   0.2024%
RiverFront Dynamic Equity Income Fund   PXF   21,821.00   39.70   866,293.70   14,500,000.00   2.12%   0.1505%
RiverFront Global Allocation Fund   PXF   9,835.00   39.70   390,449.50   14,500,000.00   1.44%   0.0678%

 

4


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

RiverFront Conserv. Income Builder Fund   PXF   1,121.00   39.70   44,503.70   14,500,000.00   1.00%   0.0077%

iShs MSCI EAFE SC

              0.73%
Ibbotson Growth ETF Asset All   SCZ   148,080.00   45.94   6,802,795.20   52,600,000.00   3.84%   0.2815%
Ibbotson Balanced ETF Asset All   SCZ   120,465.00   45.94   5,534,162.10   52,600,000.00   2.76%   0.2290%
Ibbotson Aggressive Growth ETF Asset All   SCZ   63,090.00   45.94   2,898,354.60   52,600,000.00   4.82%   0.1199%
Ibbotson Income & Growth ETF Asset All   SCZ   50,960.00   45.94   2,341,102.40   52,600,000.00   2.03%   0.0969%

Vgrd Total Bond Mkt

              0.59%
Ibbotson Balanced ETF Asset All   BND   475,101.00   79.16   37,608,995.16   210,423,000.00   18.76%   0.2258%
Ibbotson Income & Growth ETF Asset All   BND   310,848.00   79.16   24,606,727.68   210,423,000.00   21.36%   0.1477%
Ibbotson Growth ETF Asset All   BND   254,046.00   79.16   20,110,281.36   210,423,000.00   11.34%   0.1207%
Ibbotson Conservative ETF Asset All   BND   123,443.00   79.16   9,771,747.88   210,423,000.00   25.26%   0.0587%
Ibbotson Aggressive Growth ETF Asset All   BND   68,616.00   79.16   5,431,642.56   210,423,000.00   9.03%   0.0326%

Vgrd MSCI EAFE

              0.54%
Ibbotson Growth ETF Asset All   VEA   801,855.00   37.87   30,366,248.85   401,534,300.00   17.13%   0.1997%
Ibbotson Balanced ETF Asset All   VEA   650,085.00   37.87   24,618,718.95   401,534,300.00   12.28%   0.1619%
Ibbotson Aggressive Growth ETF Asset All   VEA   315,615.00   37.87   11,952,340.05   401,534,300.00   19.86%   0.0786%
Ibbotson Income & Growth ETF Asset All   VEA   262,055.00   37.87   9,924,022.85   401,534,300.00   8.62%   0.0653%
RiverFront Global Growth Fund   VEA   67,413.00   37.87   2,552,930.31   401,534,300.00   4.15%   0.0168%
Ibbotson Conservative ETF Asset All   VEA   62,370.00   37.87   2,361,951.90   401,534,300.00   6.11%   0.0155%
RiverFront Global Allocation Fund   VEA   28,073.00   37.87   1,063,124.51   401,534,300.00   3.92%   0.0070%

CS Cushing 30 MLP

              0.50%
RiverFront Moderate Growth/Income Fund   MLPN   77,236.00   28.64   2,212,039.04   20,307,720.00   1.87%   0.3803%
RiverFront Dynamic Equity Income Fund   MLPN   21,876.00   28.64   626,528.64   20,307,720.00   1.54%   0.1077%
RiverFront Conserv. Income Builder Fund   MLPN   2,410.00   28.64   69,022.40   20,307,720.00   1.55%   0.0119%

Vgrd Small-Cap

              0.48%
Ibbotson Growth ETF Asset All   VB   144,706.00   98.41   14,240,517.46   72,068,070.00   8.03%   0.2008%
Ibbotson Balanced ETF Asset All   VB   112,258.00   98.41   11,047,309.78   72,068,070.00   5.51%   0.1558%
Ibbotson Aggressive Growth ETF Asset All   VB   58,578.00   98.41   5,764,660.98   72,068,070.00   9.58%   0.0813%
Ibbotson Income & Growth ETF Asset All   VB   29,275.00   98.41   2,880,952.75   72,068,070.00   2.50%   0.0406%

Arch Coal Inc

              0.34%
Liberty All-Star Equity Fund   ACI   713,206.00   4.73   3,373,464.38   212,241,000.00   0.29%   0.3360%

 

5


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

iShs S&P MidCap 400

              0.31%
Ibbotson Growth ETF Asset All   IJH   195,170.00   119.58   23,338,428.60   158,850,000.00   13.16%   0.1229%
Ibbotson Balanced ETF Asset All   IJH   158,325.00   119.58   18,932,503.50   158,850,000.00   9.44%   0.0997%
Ibbotson Aggressive Growth ETF Asset All   IJH   72,500.00   119.58   8,669,550.00   158,850,000.00   14.41%   0.0456%
Ibbotson Income & Growth ETF Asset All   IJH   56,715.00   119.58   6,781,979.70   158,850,000.00   5.89%   0.0357%
Ibbotson Conservative ETF Asset All   IJH   9,715.00   119.58   1,161,719.70   158,850,000.00   3.00%   0.0061%

Cliffs Natural Res.

              0.26%
647103 SDOG   CLF   391,897.00   21.93   8,594,301.21   153,125,500.00   2.43%   0.2559%
186239 CRBQ   CLF   3,402.00   21.93   74,605.86   153,125,500.00   0.12%   0.0022%

Angang New Steel Co

              0.24%
Clough China Fund   347 HK   2,622,000.00   5.20   1,758,052.45   1,085,800,000.00   2.11%   0.2415%

Cablevision Systems

              0.22%
647103 SDOG   CVC   473,574.00   17.72   8,391,731.28   213,259,700.00   2.37%   0.2221%

Man Wah Holdings Ltd

              0.19%
Clough China Fund   1999 HK   1,716,988.00   9.26   2,050,095.27   885,569,600.00   2.47%   0.1939%

TECO Energy Inc

              0.18%
647103 SDOG   TE   401,176.00   16.55   6,639,462.80   217,310,100.00   1.88%   0.1846%

iShs MSCI EMU

              0.18%
RiverFront Global Growth Fund   EZU   72,819.00   35.28   2,569,054.32   102,200,000.00   4.17%   0.0713%
RiverFront Moderate Growth/Income Fund   EZU   55,873.00   35.28   1,971,199.44   102,200,000.00   1.67%   0.0547%
RiverFront Dynamic Equity Income Fund   EZU   28,885.00   35.28   1,019,062.80   102,200,000.00   2.50%   0.0283%
RiverFront Global Allocation Fund   EZU   27,127.00   35.28   957,040.56   102,200,000.00   3.53%   0.0265%
RiverFront Conserv. Income Builder Fund   EZU   2,043.00   35.28   72,077.04   102,200,000.00   1.62%   0.0020%

Taylor Morrison Home

              0.17%
Liberty All-Star Equity Fund   TMHC   56,539.00   20.19   1,141,522.41   32,857,800.00   0.10%   0.1721%

Zillow Inc

              0.16%
Liberty All-Star Equity Fund   Z   51,756.00   98.51   5,098,483.56   31,388,400.00   0.44%   0.1649%

Frontier Comm

              0.16%
647103 SDOG   FTR   1,643,533.00   4.36   7,165,803.88   999,723,000.00   2.03%   0.1644%

 

6


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

People’s United Fin.

              0.16%
647103 SDOG   PBCT   505,251.00   14.48   7,316,034.48   321,110,100.00   2.07%   0.1573%

Leggett & Platt Inc

              0.15%
647103 SDOG   LEG   215,392.00   29.22   6,293,754.24   141,900,000.00   1.78%   0.1518%

SPDR Energy Select

              0.15%
274147 EQL   XLE   138,186.00   82.83   11,445,946.38   94,774,200.00   11.27%   0.1458%

athenahealth Inc.

              0.14%
Liberty All-Star Equity Fund   ATHN   43,400.00   107.63   4,671,142.00   36,848,900.00   0.40%   0.1178%
Liberty All-Star Growth Fund   ATHN   7,600.00   107.63   817,988.00   36,848,900.00   0.64%   0.0206%

Pepco Holdings Inc

              0.14%
647103 SDOG   POM   342,816.00   18.39   6,304,386.24   249,142,500.00   1.78%   0.1376%

Lennar Corp

              0.12%
Liberty All-Star Equity Fund   LEN   192,840.00   31.53   6,080,245.20   161,708,800.00   0.52%   0.1193%
241142 BFOR   LEN   4,331.00   31.53   136,556.43   161,708,800.00   0.18%   0.0027%

Gannett Co Inc

              0.12%
647103 SDOG   GCI   278,166.00   24.84   6,909,643.44   229,139,800.00   1.95%   0.1214%

Safeway Inc

              0.12%
647103 SDOG   SWY   285,431.00   25.93   7,401,225.83   241,200,000.00   2.09%   0.1183%

MeadWestvaco Corp

              0.11%
647103 SDOG   MWV   194,580.00   37.10   7,218,918.00   177,543,400.00   2.04%   0.1096%

Splunk Inc

              0.10%
Liberty All-Star Equity Fund   SPLK   91,000.00   55.39   5,040,490.00   103,812,200.00   0.43%   0.0877%
Liberty All-Star Growth Fund   SPLK   16,100.00   55.39   891,779.00   103,812,200.00   0.70%   0.0155%

iShs Short Treasury

              0.10%
565019 GSAX   SHV   39,918.00   110.25   4,400,959.50   98,600,000.00   31.40%   0.0405%
565017 GSGO   SHV   37,710.00   110.25   4,157,527.50   98,600,000.00   49.97%   0.0382%
565018 GSMA   SHV   23,225.00   110.25   2,560,556.25   98,600,000.00   20.27%   0.0236%

 

7


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Zhaojin Mining Ind.

              0.10%
Clough China Fund   1818 HK   857,500.00   7.34   811,570.00   874,346,000.00   0.98%   0.0981%

iShs MSCI Switzerlnd

              0.10%
RiverFront Global Growth Fund   EWL   20,197.00   29.70   599,850.90   30,750,000.00   0.97%   0.0657%
RiverFront Global Allocation Fund   EWL   9,139.00   29.70   271,428.30   30,750,000.00   1.00%   0.0297%

Microchip Technology

              0.10%
647103 SDOG   MCHP   187,661.00   39.11   7,339,421.71   197,304,800.00   2.07%   0.0951%

Envestnet Inc.

              0.09%
Liberty All-Star Growth Fund   ENV   31,071.00   28.09   872,784.39   33,407,310.00   0.69%   0.0930%

Cincinnati Financial

              0.09%
647103 SDOG   CINF   150,580.00   46.02   6,929,691.60   163,668,300.00   1.96%   0.0920%

Dongfang Electric

              0.09%
Clough China Fund   1072 HK   307,400.00   11.30   447,896.95   340,000,000.00   0.54%   0.0904%

H&R Block Inc

              0.09%
647103 SDOG   HRB   242,848.00   27.04   6,566,609.92   272,701,000.00   1.86%   0.0891%

United Rentals Inc

              0.09%
Liberty All-Star Equity Fund   URI   81,497.00   56.95   4,641,254.15   93,284,510.00   0.40%   0.0874%

Cafe De Coral Hldgs

              0.09%
Clough China Fund   341 HK   500,000.00   25.05   1,615,003.74   575,718,000.00   1.94%   0.0868%

Stamps.com Inc

              0.09%
241142 BFOR   STMP   7,015.00   43.91   308,028.65   15,643,950.00   0.40%   0.0448%
Liberty All-Star Growth Fund   STMP   6,465.00   43.91   283,878.15   15,643,950.00   0.22%   0.0413%

Vgrd Large Cap

              0.08%
RiverFront Global Growth Fund   VV   28,694.00   76.18   2,185,908.92   54,528,500.00   3.55%   0.0526%
RiverFront Global Allocation Fund   VV   17,606.00   76.18   1,341,225.08   54,528,500.00   4.94%   0.0323%

Ameren Corp

              0.08%

 

8


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

647103 SDOG   AEE   203,932.00   32.84   6,697,126.88   242,634,700.00   1.89%   0.0840%

China South Loco.

              0.08%
Clough China Fund   1766 HK   1,666,000.00   5.77   1,239,500.22   2,024,000,000.00   1.49%   0.0823%

iShs MSCI Japan

              0.08%
RiverFront Moderate Growth/Income Fund   EWJ   301,893.00   11.28   3,405,353.04   954,000,000.00   2.88%   0.0316%
RiverFront Global Growth Fund   EWJ   240,042.00   11.28   2,707,673.76   954,000,000.00   4.40%   0.0252%
RiverFront Dynamic Equity Income Fund   EWJ   120,584.00   11.28   1,360,187.52   954,000,000.00   3.34%   0.0126%
RiverFront Global Allocation Fund   EWJ   99,747.00   11.28   1,125,146.16   954,000,000.00   4.15%   0.0105%
RiverFront Conserv. Income Builder Fund   EWJ   7,437.00   11.28   83,889.36   954,000,000.00   1.89%   0.0008%

iShs MSCI Canada

              0.08%
RiverFront Global Growth Fund   EWC   39,510.00   27.91   1,102,724.10   125,400,000.00   1.79%   0.0315%
RiverFront Moderate Growth/Income Fund   EWC   31,405.00   27.91   876,513.55   125,400,000.00   0.74%   0.0250%
RiverFront Global Allocation Fund   EWC   14,900.00   27.91   415,859.00   125,400,000.00   1.53%   0.0119%
RiverFront Dynamic Equity Income Fund   EWC   12,819.00   27.91   357,778.29   125,400,000.00   0.88%   0.0102%
RiverFront Conserv. Income Builder Fund   EWC   1,153.00   27.91   32,180.23   125,400,000.00   0.72%   0.0009%

Best Buy Co Inc

              0.08%
647103 SDOG   BBY   258,738.00   37.49   9,700,087.62   339,846,600.00   2.74%   0.0761%

Onconova Therapeutic

              0.07%
Liberty All-Star Growth Fund   ONTX   16,009.00   25.70   411,431.30   21,390,000.00   0.32%   0.0748%

Diamond Offshore

              0.07%
647103 SDOG   DO   103,476.00   63.90   6,612,116.40   139,035,200.00   1.87%   0.0744%

Edwards Lifesciences

              0.07%
Liberty All-Star Equity Fund   EW   79,665.00   71.79   5,719,150.35   112,272,600.00   0.49%   0.0710%
241142 BFOR   EW   2,013.00   71.79   144,513.27   112,272,600.00   0.19%   0.0018%

Vtech Holdings Ltd

              0.07%
Clough China Fund   303 HK   177,600.00   102.80   2,354,137.76   250,872,100.00   2.83%   0.0708%

BioMarin Pharma.

              0.07%
Liberty All-Star Equity Fund   BMRN   82,645.00   70.80   5,851,266.00   140,105,600.00   0.50%   0.0590%
Liberty All-Star Growth Fund   BMRN   15,655.00   70.80   1,108,374.00   140,105,600.00   0.87%   0.0112%

 

9


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Tiffany & Co

              0.07%
Liberty All-Star Equity Fund   TIF   76,210.00   77.91   5,937,521.10   127,945,000.00   0.51%   0.0596%
Liberty All-Star Growth Fund   TIF   13,345.00   77.91   1,039,708.95   127,945,000.00   0.82%   0.0104%

China Railway Constr

              0.07%
Clough China Fund   1186 HK   1,430,500.00   8.12   1,497,751.24   2,076,296,000.00   1.80%   0.0689%

Camden Property Trst

              0.07%
Liberty All-Star Equity Fund   CPT   44,521.00   60.91   2,711,774.11   85,260,620.00   0.23%   0.0522%
274027 GRI   CPT   14,038.00   60.91   855,054.58   85,260,620.00   0.81%   0.0165%

Fleetmatics Grp PLC

              0.07%
Liberty All-Star Growth Fund   FLTX   23,879.00   51.13   1,220,933.27   35,637,800.00   0.96%   0.0670%

Willis Group Holding

              0.07%
Liberty All-Star Equity Fund   WSH   115,350.00   41.64   4,803,174.00   175,277,000.00   0.41%   0.0658%

Sa Sa International

              0.06%
Clough China Fund   178 HK   1,840,000.00   8.20   1,945,483.15   2,831,965,000.00   2.34%   0.0650%

Echo Glbal Logistics

              0.06%
Liberty All-Star Growth Fund   ECHO   15,105.00   21.17   319,772.85   23,488,290.00   0.25%   0.0643%

TRW Automotive Hldgs

              0.06%
Liberty All-Star Equity Fund   TRW   70,550.00   70.71   4,988,590.50   117,193,100.00   0.43%   0.0602%
241142 BFOR   TRW   3,050.00   70.71   215,665.50   117,193,100.00   0.28%   0.0026%

Shutterfly Inc

              0.06%
Liberty All-Star Equity Fund   SFLY   19,627.00   54.44   1,068,493.88   37,738,660.00   0.09%   0.0520%
241142 BFOR   SFLY   3,965.00   54.44   215,854.60   37,738,660.00   0.28%   0.0105%

iShs MSCI UK

              0.06%
RiverFront Moderate Growth/Income Fund   EWU   50,119.00   19.16   960,280.04   144,000,000.00   0.81%   0.0348%
RiverFront Global Growth Fund   EWU   24,519.00   19.16   469,784.04   144,000,000.00   0.76%   0.0170%
RiverFront Global Allocation Fund   EWU   11,538.00   19.16   221,068.08   144,000,000.00   0.81%   0.0080%
RiverFront Conserv. Income Builder Fund   EWU   910.00   19.16   17,435.60   144,000,000.00   0.39%   0.0006%

 

10


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Catamaran Corp.

              0.06%
Liberty All-Star Equity Fund   CTRX   115,846.00   56.09   6,497,802.14   205,906,300.00   0.56%   0.0563%
565020 GSRA   CTRX   4,652.00   56.09   260,930.68   205,906,300.00   2.24%   0.0023%

Anhui Conch Cement

              0.06%
Clough China Fund   914 HK   753,500.00   26.25   2,550,400.37   1,299,600,000.00   3.07%   0.0580%

China Everbright

              0.06%
Clough China Fund   257 HK   2,346,000.00   7.09   2,144,717.23   4,053,712,000.00   2.58%   0.0579%

Entergy Corp

              0.06%
647103 SDOG   ETR   101,573.00   62.04   6,301,588.92   178,282,400.00   1.78%   0.0570%

Dril-Quip Inc

              0.06%
Liberty All-Star Equity Fund   DRQ   13,990.00   106.79   1,493,992.10   40,669,540.00   0.13%   0.0344%
Liberty All-Star Growth Fund   DRQ   9,009.00   106.79   962,071.11   40,669,540.00   0.76%   0.0222%

Chuy’s Holdings Inc.

              0.06%
Liberty All-Star Growth Fund   CHUY   9,187.00   36.00   330,732.00   16,312,820.00   0.26%   0.0563%

Geospace Tech. Corp.

              0.06%
Liberty All-Star Growth Fund   GEOS   5,502.00   71.58   393,833.16   12,911,320.00   0.31%   0.0426%
241142 BFOR   GEOS   1,647.00   71.58   117,892.26   12,911,320.00   0.15%   0.0128%

CA Inc

              0.05%
647103 SDOG   CA   245,987.00   29.44   7,241,857.28   455,629,300.00   2.05%   0.0540%

Hartford Financial

              0.05%
Liberty All-Star Equity Fund   HIG   245,660.00   30.74   7,551,588.40   455,033,000.00   0.65%   0.0540%

Barrett Business Svs

              0.05%
241142 BFOR   BBSI   3,843.00   64.94   249,564.42   7,121,680.00   0.32%   0.0540%

Medifast Inc

              0.05%
241142 BFOR   MED   7,381.00   25.77   190,208.37   13,863,040.00   0.25%   0.0532%

China State Const.

              0.05%
Clough China Fund   3311 HK   2,070,000.00   12.34   3,293,679.24   3,888,745,000.00   3.96%   0.0532%

 

11


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Paychex Inc

              0.05%
647103 SDOG   PAYX   187,242.00   38.95   7,293,075.90   365,531,900.00   2.06%   0.0512%
241142 BFOR   PAYX   5,307.00   38.95   206,707.65   365,531,900.00   0.27%   0.0015%

ING US Inc.

              0.05%
Liberty All-Star Equity Fund   VOYA   137,250.00   29.43   4,039,267.50   260,776,500.00   0.35%   0.0526%

Health Care REIT Inc

              0.05%
647103 SDOG   HCN   103,179.00   60.02   6,192,803.58   286,334,900.00   1.75%   0.0360%
274027 GRI   HCN   46,978.00   60.02   2,819,619.56   286,334,900.00   2.66%   0.0164%

Nucor Corp

              0.05%
647103 SDOG   NUE   155,553.00   46.60   7,248,769.80   318,186,600.00   2.05%   0.0489%
186239 CRBQ   NUE   7,107.00   46.60   331,186.20   318,186,600.00   0.51%   0.0022%

PulteGroup Inc

              0.05%
Liberty All-Star Equity Fund   PHM   197,099.00   15.25   3,005,759.75   388,348,700.00   0.26%   0.0508%

Pacific Texttiles

              0.05%
Clough China Fund   1382 HK   732,000.00   9.23   871,181.37   1,446,013,000.00   1.05%   0.0506%

NACCO Industries Inc

              0.05%
241142 BFOR   NC   3,233.00   54.30   175,551.90   6,417,200.00   0.23%   0.0504%

HCP Inc

              0.05%
647103 SDOG   HCP   151,269.00   39.71   6,006,891.99   454,486,200.00   1.70%   0.0333%
274027 GRI   HCP   75,043.00   39.71   2,979,957.53   454,486,200.00   2.81%   0.0165%

LIN Media LLC

              0.05%
241142 BFOR   LIN   16,472.00   16.72   275,411.84   33,471,860.00   0.36%   0.0492%

HomeStreet Inc.

              0.05%
241142 BFOR   HMST   7,076.00   19.89   140,741.64   14,384,450.00   0.18%   0.0492%

Crosstex Energy Inc.

              0.05%
ALPS Alerian Energy Infrastructure   XTXI   23,318.00   19.46   453,768.28   47,723,580.00   4.32%   0.0489%

 

12


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Rudolph Technologies

              0.05%
241142 BFOR   RTEC   15,738.00   10.89   171,386.82   32,840,210.00   0.22%   0.0479%

Peabody Energy Corp

              0.05%
Liberty All-Star Equity Fund   BTU   117,053.00   18.00   2,106,954.00   269,629,200.00   0.18%   0.0434%
565020 GSRA   BTU   11,484.00   18.00   206,712.00   269,629,200.00   1.78%   0.0043%

iShs Russell 1000

              0.05%
565018 GSMA   IWB   40,052.00   92.58   3,708,014.16   84,650,000.00   29.35%   0.0473%

Great Wall Motor Com

              0.05%
Clough China Fund   2333 HK   488,000.00   41.10   2,586,172.22   1,033,180,000.00   3.11%   0.0472%

CalAmp Corp

              0.05%
241142 BFOR   CAMP   16,348.00   17.69   289,196.12   35,105,600.00   0.37%   0.0466%

Seagate Technology

              0.05%
647103 SDOG   STX   159,008.00   39.52   6,283,996.16   356,816,900.00   1.78%   0.0446%
241142 BFOR   STX   5,612.00   39.52   221,786.24   356,816,900.00   0.29%   0.0016%

CME Group Inc.

              0.05%
647103 SDOG   CME   93,598.00   73.37   6,867,285.26   334,293,700.00   1.94%   0.0280%
Liberty All-Star Equity Fund   CME   58,112.00   73.37   4,263,677.44   334,293,700.00   0.37%   0.0174%

Taser International

              0.04%
241142 BFOR   TASR   22,509.00   12.26   275,960.34   51,063,990.00   0.36%   0.0441%

Genesis Energy

              0.04%
338426 AMLP   GEL   3,620,968.00   48.74   176,485,980.32   8,290,100,000.00   2.45%   0.0437%
ALPS Alerian MLP Infras. Index Fund   GEL   4,484.00   48.74   218,550.16   8,290,100,000.00   2.42%   0.0001%

Greenlight Capital

              0.04%
241142 BFOR   GLRE   7,442.00   27.39   203,836.38   30,617,160.00   0.26%   0.0243%
Liberty All-Star Growth Fund   GLRE   5,734.00   27.39   157,054.26   30,617,160.00   0.12%   0.0187%

MarketAxess Holdings

              0.04%
Liberty All-Star Growth Fund   MKTX   11,500.00   53.80   618,700.00   37,561,970.00   0.49%   0.0306%
241142 BFOR   MKTX   4,575.00   53.80   246,135.00   37,561,970.00   0.32%   0.0122%

 

13


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

PwShs DWA Tech

              0.04%
RiverFront Global Allocation Fund   PDP   12,089.00   32.59   393,980.51   28,300,000.00   1.45%   0.0427%

Higher One Holdings

              0.04%
241142 BFOR   ONE   19,947.00   7.28   145,214.16   46,995,170.00   0.19%   0.0424%

Lorillard Inc.

              0.04%
647103 SDOG   LO   158,362.00   43.30   6,857,074.60   373,914,000.00   1.94%   0.0424%

iShs MSCI Germany

              0.04%
RiverFront Global Growth Fund   EWG   56,908.00   25.85   1,471,071.80   181,800,000.00   2.39%   0.0313%
RiverFront Global Allocation Fund   EWG   19,508.00   25.85   504,281.80   181,800,000.00   1.86%   0.0107%

Tableau Software Inc

              0.04%
Liberty All-Star Growth Fund   DATA   3,822.00   72.97   278,891.34   9,430,000.00   0.22%   0.0405%

Advisory Board Co

              0.04%
Liberty All-Star Growth Fund   ABCO   14,160.00   56.62   801,739.20   35,843,780.00   0.63%   0.0395%

Synergy Resources

              0.04%
241142 BFOR   SYRG   26,718.00   9.90   264,508.20   68,952,530.00   0.34%   0.0387%

Celadon Group Inc

              0.04%
241142 BFOR   CGI   8,851.00   18.42   163,035.42   23,183,740.00   0.21%   0.0382%

First Republic Bank

              0.04%
Liberty All-Star Equity Fund   FRC   49,064.00   45.35   2,225,052.40   131,025,000.00   0.19%   0.0374%

KWG Property Holding

              0.04%
Clough China Fund   1813 HK   1,082,500.00   5.28   736,983.26   2,893,150,000.00   0.89%   0.0374%

Waste Management Inc

              0.04%
647103 SDOG   WM   175,222.00   39.85   6,982,596.70   468,776,200.00   1.97%   0.0374%

Hi-Tech Pharmacal Co

              0.04%
241142 BFOR   HITK   5,002.00   43.02   215,186.04   13,582,000.00   0.28%   0.0368%

 

14


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Northrop Grumman

              0.04%
647103 SDOG   NOC   83,896.00   93.56   7,849,309.76   230,165,200.00   2.22%   0.0365%

Francesca’s Holdings

              0.04%
Liberty All-Star Growth Fund   FRAN   9,138.00   18.37   167,865.06   43,995,030.00   0.13%   0.0208%
241142 BFOR   FRAN   6,893.00   18.37   126,624.41   43,995,030.00   0.16%   0.0157%

Altera Corp

              0.04%
Liberty All-Star Equity Fund   ALTR   115,260.00   37.46   4,317,639.60   319,472,200.00   0.37%   0.0361%

8x8 Inc.

              0.04%
241142 BFOR   EGHT   26,230.00   9.68   253,906.40   72,766,170.00   0.33%   0.0360%

ServiceSource Intl.

              0.04%
Liberty All-Star Growth Fund   SREV   28,456.00   12.84   365,375.04   79,411,510.00   0.29%   0.0358%

Hologic Inc

              0.04%
Liberty All-Star Equity Fund   HOLX   86,034.00   21.22   1,825,641.48   270,441,500.00   0.16%   0.0318%
565020 GSRA   HOLX   10,839.00   21.22   230,003.58   270,441,500.00   1.98%   0.0040%

SALESFORCE.COM

              0.04%
Liberty All-Star Equity Fund   CRM   204,531.00   48.60   9,940,206.60   589,934,800.00   0.85%   0.0347%
Liberty All-Star Growth Fund   CRM   5,670.00   48.60   275,562.00   589,934,800.00   0.22%   0.0010%

Liquidity Services

              0.03%
Liberty All-Star Growth Fund   LQDT   11,041.00   30.32   334,763.12   31,745,350.00   0.26%   0.0348%

Cardinal Financial

              0.03%
241142 BFOR   CFNL   10,370.00   16.75   173,697.50   30,265,060.00   0.22%   0.0343%

Hanmi Financial Corp

              0.03%
241142 BFOR   HAFC   10,797.00   16.22   175,127.34   31,607,090.00   0.23%   0.0342%

China Comm Constr

              0.03%
Clough China Fund   1800 HK   1,503,000.00   6.33   1,226,756.84   4,427,500,000.00   1.48%   0.0339%

Shenzhou Int’l Group

              0.03%
Clough China Fund   2313 HK   473,000.00   25.50   1,555,238.93   1,399,000,000.00   1.87%   0.0338%

 

15


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Foot Locker Inc

              0.03%
RiverFront Moderate Growth/Income Fund   FL   16,658.00   32.84   547,048.72   150,764,300.00   0.46%   0.0110%
RiverFront Global Growth Fund   FL   11,622.00   32.84   381,666.48   150,764,300.00   0.62%   0.0077%
RiverFront Dynamic Equity Income Fund   FL   6,574.00   32.84   215,890.16   150,764,300.00   0.53%   0.0044%
565020 GSRA   FL   6,563.00   32.84   215,528.92   150,764,300.00   1.85%   0.0044%
241142 BFOR   FL   5,115.00   32.84   167,976.60   150,764,300.00   0.22%   0.0034%
RiverFront Global Allocation Fund   FL   3,669.00   32.84   120,489.96   150,764,300.00   0.44%   0.0024%
RiverFront Conserv. Income Builder Fund   FL   610.00   32.84   20,032.40   150,764,300.00   0.45%   0.0004%

Stewart Information

              0.03%
241142 BFOR   STC   7,137.00   30.94   220,818.78   21,390,840.00   0.29%   0.0334%

Spectra Energy Corp.

              0.03%
647103 SDOG   SE   202,453.00   32.58   6,595,918.74   669,337,400.00   1.86%   0.0302%
ALPS Alerian Energy Infrastructure   SE   14,818.00   32.58   482,770.44   669,337,400.00   4.59%   0.0022%
186239 CRBQ   SE   5,895.00   32.58   192,059.10   669,337,400.00   0.30%   0.0009%

Parker Hannifin Corp

              0.03%
Liberty All-Star Equity Fund   PH   49,350.00   103.07   5,086,504.50   149,179,300.00   0.44%   0.0331%

Leapfrog Enterprises

              0.03%
241142 BFOR   LF   21,030.00   8.98   188,849.40   63,970,350.00   0.24%   0.0329%

Emergent Biosolution

              0.03%
241142 BFOR   EBS   11,834.00   18.51   219,047.34   36,269,720.00   0.28%   0.0326%

Multimedia Games Hld

              0.03%
241142 BFOR   MGAM   9,333.00   38.35   357,920.55   28,951,080.00   0.46%   0.0322%

Gentherm Inc

              0.03%
241142 BFOR   THRM   10,982.00   17.02   186,913.64   34,068,540.00   0.24%   0.0322%

Dice Holdings Inc.

              0.03%
241142 BFOR   DHX   19,032.00   8.44   160,630.08   59,044,080.00   0.21%   0.0322%

Orient Overseas Intl

              0.03%
Clough China Fund   316 HK   201,500.00   46.10   1,197,765.43   625,793,300.00   1.44%   0.0322%

 

16


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Arctic Cat Inc

              0.03%
241142 BFOR   ACAT   4,331.00   54.46   235,866.26   13,454,510.00   0.30%   0.0322%

Centurylink Inc

              0.03%
647103 SDOG   CTL   192,888.00   32.13   6,197,491.44   600,675,900.00   1.75%   0.0321%

Raytheon Co

              0.03%
647103 SDOG   RTN   103,159.00   75.80   7,819,452.20   322,491,000.00   2.21%   0.0320%

American Public Edu

              0.03%
241142 BFOR   APEI   5,551.00   39.65   220,097.15   17,654,110.00   0.28%   0.0314%

Virtusa Corporation

              0.03%
241142 BFOR   VRTU   8,174.00   28.63   234,021.62   26,214,270.00   0.30%   0.0312%

Computer Programs

              0.03%
241142 BFOR   CPSI   3,416.00   55.94   191,091.04   11,080,060.00   0.25%   0.0308%

Ebix Inc.

              0.03%
241142 BFOR   EBIX   11,529.00   11.42   131,661.18   37,966,220.00   0.17%   0.0304%

Anton Oilfield Svcs

              0.03%
Clough China Fund   3337 HK   648,000.00   4.21   351,765.22   2,154,973,000.00   0.42%   0.0301%

Air China Limited

              0.03%
Clough China Fund   753 HK   1,364,000.00   5.10   896,975.01   4,562,683,000.00   1.08%   0.0299%

Western Gas Partners

              0.03%
338426 AMLP   WES   3,305,319.00   58.49   193,328,108.31   11,213,200,000.00   2.69%   0.0295%
ALPS Alerian Energy Infrastructure   WES   6,365.00   58.49   372,288.85   11,213,200,000.00   3.54%   0.0001%
ALPS Alerian MLP Infras. Index Fund   WES   4,093.00   58.49   239,399.57   11,213,200,000.00   2.65%   0.0000%

PTC India Ltd

              0.03%
Kotak India Permier Equity Portfolio   PTCIN IN   87,448.00   46.05   60,862.70   296,008,320.00   1.04%   0.0295%

Aruba Networks Inc.

              0.03%
Liberty All-Star Growth Fund   ARUN   33,650.00   17.05   573,732.50   114,167,900.00   0.45%   0.0295%

 

17


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Sherwin-Williams Co

              0.03%
Liberty All-Star Equity Fund   SHW   29,035.00   174.36   5,062,542.60   102,683,100.00   0.44%   0.0283%
241142 BFOR   SHW   1,098.00   174.36   191,447.28   102,683,100.00   0.25%   0.0011%

Raymond Ltd.

              0.03%
Kotak India Permier Equity Portfolio   RW IN   18,000.00   187.55   51,022.44   61,380,850.00   0.87%   0.0293%

CAI International

              0.03%
241142 BFOR   CAP   6,344.00   22.02   139,694.88   22,143,690.00   0.18%   0.0286%

Standard Motor

              0.03%
241142 BFOR   SMP   6,527.00   30.33   197,963.91   22,991,900.00   0.26%   0.0284%

Smith & Wesson

              0.03%
241142 BFOR   SWHC   18,178.00   11.48   208,683.44   64,368,040.00   0.27%   0.0282%

Phosagro OAO

              0.03%
186239 CRBQ   PHOR LI   31,485.00   9.38   295,329.30   124,477,080.00   0.46%   0.0253%
813978 RUDR   PHOR LI   3,313.00   9.38   31,075.94   124,477,080.00   1.28%   0.0027%
813977 EMDR   PHOR LI   127.00   9.38   1,191.26   124,477,080.00   0.05%   0.0001%

Wabash National Corp

              0.03%
241142 BFOR   WNC   18,910.00   10.90   206,119.00   68,472,020.00   0.27%   0.0276%

Brookline Bancorp

              0.03%
241142 BFOR   BRKL   19,337.00   9.09   175,773.33   70,161,640.00   0.23%   0.0276%

USANA Health Science

              0.03%
241142 BFOR   USNA   3,782.00   77.75   294,050.50   13,789,640.00   0.38%   0.0274%

Rue21 Inc.

              0.03%
241142 BFOR   RUE   6,405.00   41.37   264,974.85   23,478,860.00   0.34%   0.0273%

Zumiez Inc

              0.03%
241142 BFOR   ZUMZ   8,174.00   25.29   206,720.46   30,175,050.00   0.27%   0.0271%

Exelon Corp

              0.03%

 

18


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

647103 SDOG   EXC   227,009.00   30.05   6,821,620.45   856,563,400.00   1.93%   0.0265%

Reynolds American

              0.03%
647103 SDOG   RAI   143,575.00   47.88   6,874,371.00   544,040,000.00   1.94%   0.0264%

Viasat Inc

              0.03%
Liberty All-Star Growth Fund   VSAT   11,850.00   65.25   773,212.50   45,030,290.00   0.61%   0.0263%

Oritani Financial Co

              0.03%
241142 BFOR   ORIT   11,909.00   15.59   185,661.31   45,383,030.00   0.24%   0.0262%

Onyx Pharmaceutical

              0.03%
Liberty All-Star Equity Fund   ONXX   19,057.00   123.82   2,359,637.74   73,338,780.00   0.20%   0.0260%

FEI Co

              0.03%
Liberty All-Star Growth Fund   FEIC   7,800.00   80.42   627,276.00   41,746,200.00   0.49%   0.0187%
241142 BFOR   FEIC   2,806.00   80.42   225,658.52   41,746,200.00   0.29%   0.0067%

Movado Group Inc

              0.03%
241142 BFOR   MOV   4,758.00   41.68   198,313.44   18,826,490.00   0.26%   0.0253%

PVH Corp.

              0.03%
Liberty All-Star Equity Fund   PVH   20,415.00   129.30   2,639,659.50   81,053,660.00   0.23%   0.0252%

Shimao Property

              0.02%
Clough China Fund   813 HK   867,000.00   19.12   2,137,483.56   3,472,571,000.00   2.57%   0.0250%

RealPage Inc.

              0.02%
Liberty All-Star Growth Fund   RP   19,086.00   20.90   398,897.40   77,036,540.00   0.31%   0.0248%

Cray Inc

              0.02%
241142 BFOR   CRAY   8,967.00   25.42   227,941.14   36,277,000.00   0.29%   0.0247%

LinkedIn Corp

              0.02%
Liberty All-Star Equity Fund   LNKD   23,074.00   248.35   5,730,427.90   93,898,720.00   0.49%   0.0246%

Spectrum Pharma

              0.02%
241142 BFOR   SPPI   15,501.00   8.10   125,558.10   63,307,720.00   0.16%   0.0245%

 

19


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Citrix Systems Inc

              0.02%
Liberty All-Star Equity Fund   CTXS   43,346.00   71.07   3,080,600.22   187,382,100.00   0.26%   0.0231%
241142 BFOR   CTXS   2,440.00   71.07   173,410.80   187,382,100.00   0.22%   0.0013%

RetailMeNot Inc.

              0.02%
Liberty All-Star Growth Fund   SALE   10,589.00   36.60   387,557.40   44,399,600.00   0.30%   0.0238%

Bio-Reference Labs

              0.02%
241142 BFOR   BRLI   6,588.00   28.94   190,656.72   27,724,810.00   0.25%   0.0238%

Rex Energy

              0.02%
241142 BFOR   REXX   12,627.00   21.13   266,808.51   53,596,420.00   0.35%   0.0236%

Ironwood Pharm. Inc

              0.02%
Liberty All-Star Growth Fund   IRWD   22,350.00   12.46   278,481.00   95,321,060.00   0.22%   0.0234%

Puma Biotech Inc

              0.02%
Liberty All-Star Growth Fund   PBYI   6,699.00   57.55   385,527.45   28,677,640.00   0.30%   0.0234%

Toll Brothers Inc

              0.02%
Liberty All-Star Equity Fund   TOL   39,290.00   30.10   1,182,629.00   169,066,600.00   0.10%   0.0232%

Fresh Market Inc.

              0.02%
Liberty All-Star Growth Fund   TFM   6,595.00   49.70   327,771.50   48,216,950.00   0.26%   0.0137%
241142 BFOR   TFM   4,575.00   49.70   227,377.50   48,216,950.00   0.29%   0.0095%

Consol Energy Inc

              0.02%
Liberty All-Star Equity Fund   CNX   52,476.00   33.31   1,747,975.56   228,848,900.00   0.15%   0.0229%

Equinix Inc

              0.02%
Liberty All-Star Equity Fund   EQIX   9,745.00   176.66   1,721,551.70   49,418,140.00   0.15%   0.0197%
Liberty All-Star Growth Fund   EQIX   1,585.00   176.66   280,006.10   49,418,140.00   0.22%   0.0032%

Encore Capital Group

              0.02%
241142 BFOR   ECPG   5,737.00   43.75   250,993.75   25,252,070.00   0.32%   0.0227%

iShs MSCI EAFE Index

              0.02%

 

20


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

RiverFront Global Growth Fund   EFA   44,091.00   60.77   2,679,410.07   712,800,000.00   4.35%   0.0062%
RiverFront Moderate Growth/Income Fund   EFA   42,923.00   60.77   2,608,430.71   712,800,000.00   2.21%   0.0060%
RiverFront Dynamic Equity Income Fund   EFA   40,938.00   60.77   2,487,802.26   712,800,000.00   6.10%   0.0057%
RiverFront Global Allocation Fund   EFA   30,539.00   60.77   1,855,855.03   712,800,000.00   6.84%   0.0043%
RiverFront Conserv. Income Builder Fund   EFA   1,456.00   60.77   88,481.12   712,800,000.00   1.99%   0.0002%

China Oilfield Svs

              0.02%
Clough China Fund   2883 HK   342,000.00   19.78   872,264.49   1,534,852,000.00   1.05%   0.0223%

American Campus

              0.02%
274027 GRI   ACC   17,234.00   33.39   575,443.26   104,781,300.00   0.54%   0.0164%
565020 GSRA   ACC   5,355.00   33.39   178,803.45   104,781,300.00   1.54%   0.0051%

Kulicke & Soffa Ind.

              0.02%
241142 BFOR   KLIC   16,226.00   11.37   184,489.62   75,277,540.00   0.24%   0.0216%

EI Du Pont de Nemour

              0.02%
647103 SDOG   DD   131,964.00   57.61   7,602,446.04   923,434,000.00   2.15%   0.0143%
Liberty All-Star Equity Fund   DD   67,000.00   57.61   3,859,870.00   923,434,000.00   0.33%   0.0073%

ViewPoint Financial

              0.02%
241142 BFOR   VPFG   8,601.00   20.00   172,020.00   39,931,520.00   0.22%   0.0215%

WD-40 Co

              0.02%
241142 BFOR   WDFC   3,294.00   59.02   194,411.88   15,314,880.00   0.25%   0.0215%

Albany International

              0.02%
241142 BFOR   AIN   6,100.00   32.45   197,945.00   28,400,000.00   0.26%   0.0215%

Rogers Corp

              0.02%
241142 BFOR   ROG   3,721.00   57.99   215,780.79   17,341,240.00   0.28%   0.0215%

Monotype Imaging

              0.02%
241142 BFOR   TYPE   8,066.00   26.02   209,877.32   38,783,500.00   0.27%   0.0208%

SHFL Entertainment

              0.02%
241142 BFOR   SHFL   11,590.00   22.78   264,020.20   56,405,420.00   0.34%   0.0205%

 

21


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

SemGroup Corp

              0.02%
ALPS Alerian Energy Infrastructure   SEMG   8,696.00   53.05   461,322.80   42,432,620.00   4.39%   0.0205%

Meridian Bioscience

              0.02%
241142 BFOR   VIVO   8,357.00   23.27   194,467.39   41,504,980.00   0.25%   0.0201%

Lockheed Martin Corp

              0.02%
647103 SDOG   LMT   64,580.00   124.14   8,016,961.20   320,936,600.00   2.27%   0.0201%

LSB Industries Inc.

              0.02%
241142 BFOR   LXU   4,514.00   31.03   140,069.42   22,441,530.00   0.18%   0.0201%

Deckers Outdoor Corp

              0.02%
241142 BFOR   DECK   3,660.00   61.92   226,627.20   34,492,930.00   0.29%   0.0106%
Liberty All-Star Growth Fund   DECK   3,197.00   61.92   197,958.24   34,492,930.00   0.16%   0.0093%

Belo Corp

              0.02%
241142 BFOR   BLC   18,927.00   14.25   269,709.75   95,587,050.00   0.35%   0.0198%

Fifth & Pacific Co

              0.02%
Liberty All-Star Growth Fund   FNP   23,800.00   24.36   579,768.00   122,662,900.00   0.46%   0.0194%

Redington India Ltd

              0.02%
Kotak India Permier Equity Portfolio   REDI IN   77,415.00   58.15   68,037.21   399,277,600.00   1.17%   0.0194%

Digital Realty Trust

              0.02%
274027 GRI   DLR   21,076.00   51.58   1,087,100.08   128,428,500.00   1.03%   0.0164%
565020 GSRA   DLR   3,796.00   51.58   195,797.68   128,428,500.00   1.68%   0.0030%

World Acceptance

              0.02%
241142 BFOR   WRLD   2,257.00   84.61   190,964.77   11,722,780.00   0.25%   0.0193%

Mahindra Holidays

              0.02%
Kotak India Permier Equity Portfolio   MHRL IN   17,000.00   209.95   53,943.17   88,780,850.00   0.92%   0.0191%

Kinder Morgan Inc

              0.02%
647103 SDOG   KMI   180,934.00   35.50   6,423,157.00   1,035,846,000.00   1.82%   0.0175%
ALPS Alerian Energy Infrastructure   KMI   11,464.00   35.50   406,972.00   1,035,846,000.00   3.87%   0.0011%

 

22


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

186239 CRBQ   KMI   5,880.00   35.50   208,740.00   1,035,846,000.00   0.32%   0.0006%

SKF India Ltd.

              0.02%
Kotak India Permier Equity Portfolio   SKF IN   10,000.00   490.80   74,178.19   52,732,510.00   1.27%   0.0190%

Team Inc

              0.02%
241142 BFOR   TISI   3,904.00   38.73   151,201.92   20,589,040.00   0.20%   0.0190%

Krispy Kreme Doughnt

              0.02%
241142 BFOR   KKD   12,200.00   18.82   229,604.00   65,486,520.00   0.30%   0.0186%

Nippon Building Fund

              0.02%
274027 GRI   8951 JP   114.00   1,107,000.00   1,260,278.62   613,000.00   1.19%   0.0186%

Abaxis Inc

              0.02%
241142 BFOR   ABAX   4,148.00   40.35   167,371.80   22,319,000.00   0.22%   0.0186%

American Railcar

              0.02%
241142 BFOR   ARII   3,965.00   35.45   140,559.25   21,352,300.00   0.18%   0.0186%

Select Comfort Corp

              0.02%
241142 BFOR   SCSS   10,370.00   25.65   265,990.50   55,903,000.00   0.34%   0.0185%

Vera Bradley Inc.

              0.02%
241142 BFOR   VRA   7,524.00   19.64   147,771.36   40,602,550.00   0.19%   0.0185%

Home Bancshares Inc.

              0.02%
241142 BFOR   HOMB   10,370.00   26.40   273,768.00   56,251,420.00   0.35%   0.0184%

Invensense Inc.

              0.02%
241142 BFOR   INVN   15,677.00   18.23   285,791.71   85,149,740.00   0.37%   0.0184%

AGCO Corp

              0.02%
Liberty All-Star Growth Fund   AGCO   10,550.00   57.26   604,093.00   97,344,300.00   0.48%   0.0108%
186239 CRBQ   AGCO   7,340.00   57.26   420,288.40   97,344,300.00   0.65%   0.0075%

Santarus Inc.

              0.02%
241142 BFOR   SNTS   11,773.00   22.89   269,483.97   64,934,200.00   0.35%   0.0181%

 

23


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

DXP Enterprises Inc.

              0.02%
241142 BFOR   DXPE   2,562.00   70.52   180,672.24   14,209,930.00   0.23%   0.0180%

VST Industries Ltd

              0.02%
Kotak India Permier Equity Portfolio   VST IN   2,780.00   1,471.10   61,809.99   15,441,920.00   1.06%   0.0180%

DSW Inc

              0.02%
Liberty All-Star Growth Fund   DSW   3,750.00   85.70   321,375.00   36,333,920.00   0.25%   0.0103%
241142 BFOR   DSW   2,623.00   85.70   224,791.10   36,333,920.00   0.29%   0.0072%

Deutsche Euroshop AG

              0.02%
274027 GRI   DEQ GY   7,679.00   30.76   309,855.62   44,114,570.00   0.29%   0.0174%

Dollar Tree Inc.

              0.02%
RiverFront Moderate Growth/Income Fund   DLTR   17,029.00   53.97   919,055.13   223,833,700.00   0.78%   0.0076%
RiverFront Global Growth Fund   DLTR   8,264.00   53.97   446,008.08   223,833,700.00   0.72%   0.0037%
RiverFront Dynamic Equity Income Fund   DLTR   5,574.00   53.97   300,828.78   223,833,700.00   0.74%   0.0025%
241142 BFOR   DLTR   3,965.00   53.97   213,991.05   223,833,700.00   0.28%   0.0018%
RiverFront Global Allocation Fund   DLTR   3,652.00   53.97   197,098.44   223,833,700.00   0.73%   0.0016%
RiverFront Conserv. Income Builder Fund   DLTR   454.00   53.97   24,502.38   223,833,700.00   0.55%   0.0002%

Deutsche Wohnen AG

              0.02%
274027 GRI   DWNI GY   27,923.00   13.17   482,226.78   160,660,000.00   0.46%   0.0174%

Dexus Property Group

              0.02%
274027 GRI   DXS AU   809,484.00   1.00   742,835.74   4,701,957,000.00   0.70%   0.0172%

Nordson Corp

              0.02%
Liberty All-Star Growth Fund   NDSN   8,300.00   69.24   574,692.00   64,214,780.00   0.45%   0.0129%
241142 BFOR   NDSN   2,745.00   69.24   190,063.80   64,214,780.00   0.25%   0.0043%

Dongfeng Motor Group

              0.02%
Clough China Fund   489 HK   486,000.00   11.26   705,619.31   2,855,732,000.00   0.85%   0.0170%

BR Malls Participac.

              0.02%
274027 GRI   BRML3 BZ   76,900.00   18.54   613,426.56   453,363,700.00   0.58%   0.0170%

 

24


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Dundee

              0.02%
274027 GRI   D-U CN   17,660.00   29.15   490,018.56   104,371,600.00   0.46%   0.0169%

Columbia Banking Sys

              0.02%
241142 BFOR   COLB   8,664.00   23.75   205,770.00   51,259,910.00   0.27%   0.0169%

Lifestyle Int’l Hldg

              0.02%
Clough China Fund   1212 HK   279,000.00   16.88   607,256.88   1,651,884,000.00   0.73%   0.0169%

Dow Chemical Co/The

              0.02%
647103 SDOG   DOW   204,400.00   38.41   7,851,004.00   1,210,214,000.00   2.22%   0.0169%

Joy Global Inc

              0.02%
Liberty All-Star Equity Fund   JOY   10,784.00   50.86   548,474.24   106,278,000.00   0.05%   0.0101%
565020 GSRA   JOY   4,222.00   50.86   214,730.92   106,278,000.00   1.85%   0.0040%
241142 BFOR   JOY   2,928.00   50.86   148,918.08   106,278,000.00   0.19%   0.0028%

Great Portland Est

              0.02%
274027 GRI   GPOR LN   57,834.00   5.29   476,465.61   343,926,140.00   0.45%   0.0168%

Castellum AB

              0.02%
274027 GRI   CAST SS   28,775.00   90.85   391,480.48   172,006,700.00   0.37%   0.0167%

UDR Inc.

              0.02%
274027 GRI   UDR   41,877.00   22.38   937,207.26   250,741,900.00   0.88%   0.0167%

British Land Co

              0.02%
274027 GRI   BLND LN   164,685.00   5.49   1,409,385.27   986,420,600.00   1.33%   0.0167%

Tanger Outlet Center

              0.02%
274027 GRI   SKT   15,748.00   31.10   489,762.80   94,415,140.00   0.46%   0.0167%

EPAM Systems Inc.

              0.02%
241142 BFOR   EPAM   7,686.00   32.14   247,028.04   46,091,440.00   0.32%   0.0167%

Sumitomo Rlty & Dev.

              0.02%
274027 GRI   8830 JP   79,000.00   4,605.00   3,633,045.39   476,085,970.00   3.43%   0.0166%

 

25


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

IPG Photonics Corp.

              0.02%
Liberty All-Star Growth Fund   IPGP   5,609.00   59.09   331,435.81   51,537,800.00   0.26%   0.0109%
241142 BFOR   IPGP   2,931.00   59.09   173,192.79   51,537,800.00   0.22%   0.0057%

RioCan

              0.02%
274027 GRI   REI-U CN   49,758.00   23.69   1,122,047.52   300,416,100.00   1.06%   0.0166%

Essex Property Trust

              0.02%
274027 GRI   ESS   6,289.00   142.11   893,729.79   38,032,560.00   0.84%   0.0165%

Ventas Inc

              0.02%
274027 GRI   VTR   48,423.00   60.44   2,926,686.12   293,228,500.00   2.76%   0.0165%

Prologis Inc.

              0.02%
274027 GRI   PLD   82,284.00   35.68   2,935,893.12   498,605,600.00   2.77%   0.0165%

Boston Properties

              0.02%
274027 GRI   BXP   25,120.00   102.48   2,574,297.60   152,389,000.00   2.43%   0.0165%

Stockland

              0.02%
274027 GRI   SGP AU   380,005.00   3.80   1,318,534.11   2,305,751,000.00   1.24%   0.0165%

Kimco Realty Corp

              0.02%
274027 GRI   KIM   67,501.00   19.83   1,338,544.83   409,639,500.00   1.26%   0.0165%

Realty Income Corp

              0.02%
274027 GRI   O   32,293.00   38.70   1,249,739.10   196,168,100.00   1.18%   0.0165%

Grand Canyon Edu Inc

              0.02%
241142 BFOR   LOPE   7,564.00   36.14   273,362.96   45,970,710.00   0.35%   0.0165%

Hammerson plc

              0.02%
274027 GRI   HMSO LN   117,225.00   4.88   891,750.58   712,865,700.00   0.84%   0.0164%

Land Securities Grp.

              0.02%
274027 GRI   LAND LN   129,115.00   8.81   1,773,192.75   785,288,400.00   1.67%   0.0164%

SL Green Realty Corp

              0.02%

 

26


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

274027 GRI   SLG   15,112.00   85.58   1,293,284.96   91,976,640.00   1.22%   0.0164%

Mirvac Group

              0.02%
274027 GRI   MGR AU   601,354.00   1.65   906,009.20   3,664,939,000.00   0.85%   0.0164%

Titan International

              0.02%
241142 BFOR   TWI   8,784.00   15.89   139,577.76   53,539,140.00   0.18%   0.0164%

Segro PLC

              0.02%
274027 GRI   SGRO LN   121,684.00   2.90   550,660.41   741,678,370.00   0.52%   0.0164%

Host Hotels & Resort

              0.02%
274027 GRI   HST   123,035.00   17.10   2,103,898.50   750,030,600.00   1.99%   0.0164%

Sturm Ruger & Co Inc

              0.02%
241142 BFOR   RGR   3,172.00   55.01   174,491.72   19,341,370.00   0.23%   0.0164%

Heartland Payment

              0.02%
241142 BFOR   HPY   6,039.00   37.34   225,496.26   36,825,610.00   0.29%   0.0164%

Regency Centers

              0.02%
274027 GRI   REG   15,126.00   46.70   706,384.20   92,291,030.00   0.67%   0.0164%

Targa Resources Corp

              0.02%
ALPS Alerian Energy Infrastructure   TRGP   6,929.00   69.80   483,644.20   42,331,490.00   4.60%   0.0164%

Impax Laboratories

              0.02%
241142 BFOR   IPXL   11,224.00   21.06   236,377.44   68,886,130.00   0.31%   0.0163%

Liberty Prop. Trust

              0.02%
274027 GRI   LRY   23,234.00   33.82   785,773.88   142,872,100.00   0.74%   0.0163%

Alexandria

              0.02%
274027 GRI   ARE   11,579.00   61.43   711,297.97   71,427,400.00   0.67%   0.0162%

Japan Retail Fund

              0.02%
274027 GRI   8953 JP   337.00   186,600.00   627,994.21   2,079,190.00   0.59%   0.0162%

 

27


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Unibail-Rodamco

              0.02%
274027 GRI   UL NA   15,737.00   169.60   3,501,194.00   97,201,790.00   3.30%   0.0162%

Century Text & Indus

              0.02%
Kotak India Permier Equity Portfolio   CENT IN   15,013.00   224.45   50,928.25   93,045,680.00   0.87%   0.0161%

The Macerich Co

              0.02%
274027 GRI   MAC   22,648.00   55.98   1,267,835.04   140,537,400.00   1.20%   0.0161%

Carpenter Technology

              0.02%
565020 GSRA   CRS   4,568.00   55.06   251,514.08   52,880,100.00   2.16%   0.0086%
241142 BFOR   CRS   3,843.00   55.06   211,595.58   52,880,100.00   0.27%   0.0073%

iGATE Corporation

              0.02%
241142 BFOR   IGTE   9,150.00   23.62   216,123.00   57,925,560.00   0.28%   0.0158%

Lindsay Corp.

              0.02%
241142 BFOR   LNN   2,013.00   79.15   159,328.95   12,861,550.00   0.21%   0.0157%

Ultratech Inc

              0.02%
241142 BFOR   UTEK   4,331.00   29.28   126,811.68   27,774,170.00   0.16%   0.0156%

Mitsui Fudosan Co

              0.02%
274027 GRI   8801 JP   137,000.00   3,305.00   4,521,745.64   881,424,700.00   4.27%   0.0155%

Douglas Emmett

              0.02%
274027 GRI   DEI   22,114.00   22.74   502,872.36   142,598,700.00   0.47%   0.0155%

AvalonBay Community

              0.02%
274027 GRI   AVB   20,052.00   123.65   2,479,429.80   129,402,900.00   2.34%   0.0155%

Westfield Group

              0.02%
274027 GRI   WDC AU   333,483.00   10.56   3,215,556.01   2,168,299,000.00   3.03%   0.0154%

GPT Group

              0.02%
274027 GRI   GPT AU   269,627.00   3.60   886,307.33   1,753,880,000.00   0.84%   0.0154%

Weingarten Realty

              0.02%

 

28


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

274027 GRI   WRI   18,671.00   27.54   514,199.34   121,931,600.00   0.49%   0.0153%

Helen of Troy

              0.02%
241142 BFOR   HELE   4,880.00   40.33   196,810.40   31,977,890.00   0.25%   0.0153%

AZZ Incorporated

              0.02%
241142 BFOR   AZZ   3,873.00   39.65   153,564.45   25,473,320.00   0.20%   0.0152%

Swift Transportation

              0.02%
241142 BFOR   SWFT   13,275.00   18.99   252,092.25   87,663,430.00   0.33%   0.0151%

Vornado Realty Trust

              0.02%
274027 GRI   VNO   28,129.00   80.75   2,271,416.75   186,991,100.00   2.14%   0.0150%

Cardtronics Inc.

              0.01%
241142 BFOR   CATM   6,710.00   36.09   242,163.90   44,907,810.00   0.31%   0.0149%

Alcoa Inc

              0.01%
Liberty All-Star Equity Fund   AA   135,030.00   7.87   1,062,686.10   1,069,551,000.00   0.09%   0.0126%
186239 CRBQ   AA   23,975.00   7.87   188,683.25   1,069,551,000.00   0.29%   0.0022%

Proto Labs Inc

              0.01%
241142 BFOR   PRLB   3,721.00   72.94   271,409.74   25,217,060.00   0.35%   0.0148%

Equity Residential

              0.01%
274027 GRI   EQR   52,922.00   51.74   2,738,184.28   360,334,600.00   2.58%   0.0147%

Wabtec Corp

              0.01%
Liberty All-Star Growth Fund   WAB   10,450.00   59.51   621,879.50   96,270,890.00   0.49%   0.0109%
241142 BFOR   WAB   3,660.00   59.51   217,806.60   96,270,890.00   0.28%   0.0038%

Acorda Therapeutics

              0.01%
241142 BFOR   ACOR   5,917.00   35.91   212,479.47   40,693,520.00   0.27%   0.0145%

C&J Energy Services

              0.01%
241142 BFOR   CJES   7,869.00   21.00   165,249.00   54,472,760.00   0.21%   0.0144%

Ralph Lauren Corp

              0.01%

 

29


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Liberty All-Star Equity Fund   RL   7,661.00   166.00   1,271,726.00   60,597,530.00   0.11%   0.0126%
241142 BFOR   RL   1,037.00   166.00   172,142.00   60,597,530.00   0.22%   0.0017%

Arbitron Inc

              0.01%
241142 BFOR   ARB   3,843.00   47.21   181,428.03   26,939,790.00   0.23%   0.0143%

Knight Trans.

              0.01%
241142 BFOR   KNX   11,346.00   16.42   186,301.32   80,018,600.00   0.24%   0.0142%

China Petro. & Chem.

              0.01%
Clough China Fund   386 HK   3,378,000.00   5.94   2,587,270.80   25,513,440,000.00   3.11%   0.0132%
186239 CRBQ   386 HK   212,137.00   5.94   162,479.53   25,513,440,000.00   0.25%   0.0008%

PSP Swiss Property

              0.01%
274027 GRI   PSPN SW   6,441.00   78.55   535,556.84   45,867,890.00   0.51%   0.0140%

Derwent London PLC

              0.01%
274027 GRI   DLN LN   14,364.00   22.90   512,760.09   102,379,800.00   0.48%   0.0140%

Public Storage

              0.01%
274027 GRI   PSA   23,802.00   151.26   3,600,290.52   172,007,100.00   3.40%   0.0138%

Boardwalk

              0.01%
274027 GRI   BEI-U CN   6,586.00   56.50   354,203.99   47,857,840.00   0.33%   0.0138%

Micron Technology

              0.01%
Liberty All-Star Equity Fund   MU   142,555.00   15.17   2,162,559.35   1,038,475,000.00   0.19%   0.0137%

Unifirst Corp/MA

              0.01%
241142 BFOR   UNF   2,074.00   96.77   200,700.98   15,122,080.00   0.26%   0.0137%

Sinclair Broadcast

              0.01%
241142 BFOR   SBGI   10,065.00   25.95   261,186.75   73,560,760.00   0.34%   0.0137%

China Overseas Grp

              0.01%
Clough China Fund   81 HK   312,000.00   10.36   416,783.14   2,282,240,000.00   0.50%   0.0137%

Gugg S&P500 Equal HC

              0.01%

 

30


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

RiverFront Moderate Growth/Income Fund   RYH   13,874.00   99.22   1,376,606.03   170,000,000.00   1.17%   0.0082%
RiverFront Global Growth Fund   RYH   4,617.00   99.22   458,107.97   170,000,000.00   0.74%   0.0027%
RiverFront Dynamic Equity Income Fund   RYH   2,555.00   99.22   253,512.21   170,000,000.00   0.62%   0.0015%
RiverFront Global Allocation Fund   RYH   1,779.00   99.22   176,515.94   170,000,000.00   0.65%   0.0010%
RiverFront Conserv. Income Builder Fund   RYH   389.00   99.22   38,597.36   170,000,000.00   0.87%   0.0002%

J&J Snack Foods Corp

              0.01%
241142 BFOR   JJSF   2,562.00   76.24   195,326.88   18,767,920.00   0.25%   0.0137%

Michael Kors Hldings

              0.01%
Liberty All-Star Equity Fund   KORS   24,527.00   75.84   1,860,127.68   203,049,300.00   0.16%   0.0121%
241142 BFOR   KORS   3,111.00   75.84   235,938.24   203,049,300.00   0.31%   0.0015%

Cyberonics Inc

              0.01%
241142 BFOR   CYBX   3,721.00   52.06   193,715.26   27,340,200.00   0.25%   0.0136%

Ann Inc

              0.01%
241142 BFOR   ANN   6,222.00   35.47   220,694.34   45,833,300.00   0.29%   0.0136%

Ascendas Real Estate

              0.01%
274027 GRI   AREIT SP   324,066.00   2.16   546,413.15   2,399,409,000.00   0.52%   0.0135%

Akorn Inc.

              0.01%
241142 BFOR   AKRX   12,993.00   18.75   243,618.75   96,206,310.00   0.32%   0.0135%

Devon Energy Corp

              0.01%
Liberty All-Star Equity Fund   DVN   51,210.00   58.73   3,007,563.30   406,000,000.00   0.26%   0.0126%
186239 CRBQ   DVN   3,419.00   58.73   200,797.87   406,000,000.00   0.31%   0.0008%

Jyothy Laboratories

              0.01%
Kotak India Permier Equity Portfolio   JYL IN   22,320.00   147.50   49,757.42   166,023,500.00   0.85%   0.0134%

Hexaware Tech Ltd

              0.01%
Kotak India Permier Equity Portfolio   HEXW IN   39,250.00   126.20   74,863.60   298,787,100.00   1.28%   0.0131%

Intu Properties PLC

              0.01%
274027 GRI   INTU LN   112,242.00   3.05   533,477.57   860,347,160.00   0.50%   0.0130%

 

31


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

IL&FS Transport

              0.01%
Kotak India Permier Equity Portfolio   ILFT IN   25,337.00   114.30   43,769.65   194,267,700.00   0.75%   0.0130%

Texas Roadhouse Inc.

              0.01%
241142 BFOR   TXRH   9,089.00   24.88   226,134.32   70,280,370.00   0.29%   0.0129%

OpenTable Inc.

              0.01%
241142 BFOR   OPEN   2,928.00   73.99   216,642.72   22,938,480.00   0.28%   0.0128%

Omnicare Inc

              0.01%
RiverFront Global Growth Fund   OCR   9,568.00   55.16   527,770.88   103,464,900.00   0.86%   0.0092%
RiverFront Global Allocation Fund   OCR   3,605.00   55.16   198,851.80   103,464,900.00   0.73%   0.0035%

CapitaMall Trust

              0.01%
274027 GRI   CT SP   423,347.00   1.85   611,367.20   3,329,984,310.00   0.58%   0.0127%

Hibbett Sports Inc.

              0.01%
241142 BFOR   HIBB   3,294.00   52.44   172,737.36   25,983,180.00   0.22%   0.0127%

Manhattan Associates

              0.01%
241142 BFOR   MANH   2,440.00   88.69   216,403.60   19,312,080.00   0.28%   0.0126%

TAL Int. Group Inc.

              0.01%
241142 BFOR   TAL   4,209.00   42.95   180,776.55   33,400,000.00   0.23%   0.0126%

Medidata Solutions

              0.01%
241142 BFOR   MDSO   3,355.00   93.29   312,987.95   26,676,850.00   0.40%   0.0126%

Celgene Corp.

              0.01%
Liberty All-Star Equity Fund   CELG   42,500.00   145.59   6,187,575.00   411,276,000.00   0.53%   0.0103%
Liberty All-Star Growth Fund   CELG   7,400.00   145.59   1,077,366.00   411,276,000.00   0.85%   0.0018%
241142 BFOR   CELG   1,647.00   145.59   239,786.73   411,276,000.00   0.31%   0.0004%

Arcos Dorados Hldgs.

              0.01%
Liberty All-Star Growth Fund   ARCO   16,200.00   11.31   183,222.00   129,529,400.00   0.14%   0.0125%

Magellan Health Svs.

              0.01%
241142 BFOR   MGLN   3,355.00   57.57   193,147.35   26,846,270.00   0.25%   0.0125%

 

32


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Crocs Inc.

              0.01%
241142 BFOR   CROX   11,407.00   13.73   156,618.11   91,593,000.00   0.20%   0.0125%

Nippon Elec Glass Co

              0.01%
241143 IDOG   5214 JP   61,841.00   528.00   326,080.27   497,616,230.00   2.21%   0.0124%

Cirrus Logic Inc.

              0.01%
241142 BFOR   CRUS   7,818.00   24.09   188,335.62   63,454,750.00   0.24%   0.0123%

Xinyi Glass Holdings

              0.01%
Clough China Fund   868 HK   466,000.00   6.84   410,996.21   3,795,629,000.00   0.49%   0.0123%

Starbucks Corp

              0.01%
Liberty All-Star Equity Fund   SBUX   84,827.00   72.05   6,111,785.35   751,400,000.00   0.53%   0.0113%
Liberty All-Star Growth Fund   SBUX   3,750.00   72.05   270,187.50   751,400,000.00   0.21%   0.0005%
241142 BFOR   SBUX   3,111.00   72.05   224,147.55   751,400,000.00   0.29%   0.0004%

Outerwall Inc.

              0.01%
241142 BFOR   OUTR   3,416.00   59.87   204,515.92   28,061,250.00   0.26%   0.0122%

New Jersey Resources

              0.01%
ALPS Alerian Energy Infrastructure   NJR   4,992.00   42.03   209,813.76   41,380,560.00   2.00%   0.0121%

First Financial

              0.01%
241142 BFOR   FFIN   3,843.00   58.06   223,124.58   31,967,420.00   0.29%   0.0120%

Portfolio Recovery

              0.01%
241142 BFOR   PRAA   4,392.00   56.14   246,566.88   50,712,360.00   0.32%   0.0087%
Liberty All-Star Growth Fund   PRAA   1,632.00   56.14   91,620.48   50,712,360.00   0.07%   0.0032%

Eli Lilly & Co

              0.01%
647103 SDOG   LLY   133,566.00   52.21   6,973,480.86   1,126,638,000.00   1.97%   0.0119%

Mitsubishi Estate Co

              0.01%
274027 GRI   8802 JP   164,000.00   2,767.00   4,531,762.12   1,390,397,090.00   4.28%   0.0118%

Veresen Inc.

              0.01%

 

33


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

ALPS Alerian Energy Infrastructure   VSN CN   23,354.00   11.72   260,538.65   199,576,900.00   2.48%   0.0117%

Biostime Intl Hold

              0.01%
Clough China Fund   1112 HK   70,000.00   48.80   440,467.29   602,294,000.00   0.53%   0.0116%

Cohen & Steers Inc

              0.01%
241142 BFOR   CNS   5,124.00   31.99   163,916.76   44,241,440.00   0.21%   0.0116%

Info Edge India Ltd

              0.01%
Kotak India Permier Equity Portfolio   INFOE IN   12,625.00   304.85   58,168.69   109,181,020.00   1.00%   0.0116%

Nvidia Corp

              0.01%
Liberty All-Star Growth Fund   NVDA   52,750.00   14.94   788,085.00   578,598,000.00   0.62%   0.0091%
241142 BFOR   NVDA   14,091.00   14.94   210,519.54   578,598,000.00   0.27%   0.0024%

Agilent Technologies

              0.01%
RiverFront Moderate Growth/Income Fund   A   16,387.00   47.68   781,332.16   344,476,000.00   0.66%   0.0048%
RiverFront Global Growth Fund   A   9,241.00   47.68   440,610.88   344,476,000.00   0.72%   0.0027%
RiverFront Dynamic Equity Income Fund   A   6,316.00   47.68   301,146.88   344,476,000.00   0.74%   0.0018%
241142 BFOR   A   4,148.00   47.68   197,776.64   344,476,000.00   0.26%   0.0012%
RiverFront Global Allocation Fund   A   2,950.00   47.68   140,656.00   344,476,000.00   0.52%   0.0009%
RiverFront Conserv. Income Builder Fund   A   511.00   47.68   24,364.48   344,476,000.00   0.55%   0.0001%

Vitamin Shoppe Inc.

              0.01%
241142 BFOR   VSI   3,477.00   42.51   147,807.27   30,400,590.00   0.19%   0.0114%

Ingredion Inc.

              0.01%
186239 CRBQ   INGR   6,162.00   62.97   388,021.14   77,538,000.00   0.60%   0.0079%
241142 BFOR   INGR   2,684.00   62.97   169,011.48   77,538,000.00   0.22%   0.0035%

First Cash Financial

              0.01%
241142 BFOR   FCFS   3,248.00   55.50   180,264.00   29,183,040.00   0.23%   0.0111%

Cerner Corp

              0.01%
Liberty All-Star Equity Fund   CERN   29,340.00   46.61   1,367,537.40   343,108,200.00   0.12%   0.0086%
Liberty All-Star Growth Fund   CERN   4,730.00   46.61   220,465.30   343,108,200.00   0.17%   0.0014%
241142 BFOR   CERN   3,904.00   46.61   181,965.44   343,108,200.00   0.24%   0.0011%

 

34


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

FXCM Inc.

              0.01%
Liberty All-Star Growth Fund   FXCM   4,119.00   19.21   79,125.99   38,046,270.00   0.06%   0.0108%

Morgan Stanley

              0.01%
Liberty All-Star Equity Fund   MS   208,467.00   26.65   5,555,645.55   1,958,539,000.00   0.48%   0.0106%

American Int’l Group

              0.01%
Liberty All-Star Equity Fund   AIG   157,091.00   48.67   7,645,618.97   1,476,351,000.00   0.66%   0.0106%

Spirit Airlines Inc.

              0.01%
241142 BFOR   SAVE   7,727.00   31.57   243,941.39   72,620,550.00   0.32%   0.0106%

Chaoda Modern Ag

              0.01%
186239 CRBQ   682 HK   348,000.00   0.01   448.72   3,291,302,490.00   0.00%   0.0106%

Gugg S&P Eq Wt Tech

              0.01%
RiverFront Moderate Growth/Income Fund   RYT   17,968.00   67.93   1,220,566.24   345,000,000.00   1.03%   0.0052%
RiverFront Global Growth Fund   RYT   8,735.00   67.93   593,368.55   345,000,000.00   0.96%   0.0025%
RiverFront Dynamic Equity Income Fund   RYT   5,855.00   67.93   397,730.15   345,000,000.00   0.98%   0.0017%
RiverFront Global Allocation Fund   RYT   3,879.00   67.93   263,500.47   345,000,000.00   0.97%   0.0011%

Polaris Industries

              0.01%
Liberty All-Star Growth Fund   PII   5,250.00   112.24   589,260.00   68,857,150.00   0.46%   0.0076%
241142 BFOR   PII   2,013.00   112.24   225,939.12   68,857,150.00   0.29%   0.0029%

Royal Gold Inc.

              0.01%
565020 GSRA   RGLD   4,045.00   55.39   224,052.55   64,378,020.00   1.93%   0.0063%
186239 CRBQ   RGLD   2,722.00   55.39   150,771.58   64,378,020.00   0.23%   0.0042%

MWI Vet. Supply

              0.01%
241142 BFOR   MWIV   1,342.00   145.15   194,791.30   12,793,060.00   0.25%   0.0105%

j2 Global Inc.

              0.01%
241142 BFOR   JCOM   4,819.00   49.20   237,094.80   46,270,010.00   0.31%   0.0104%

Lenovo Group Ltd

              0.01%
Clough China Fund   992 HK   1,070,000.00   7.60   1,048,559.71   10,390,380,000.00   1.26%   0.0103%

 

35


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

ICADE

              0.01%
274027 GRI   ICAD FP   5,324.00   64.12   447,816.35   51,996,280.00   0.42%   0.0102%

Baker Hughes Inc

              0.01%
Liberty All-Star Equity Fund   BHI   41,325.00   48.43   2,001,369.75   443,042,900.00   0.17%   0.0093%
186239 CRBQ   BHI   3,945.00   48.43   191,056.35   443,042,900.00   0.30%   0.0009%

ConocoPhillips

              0.01%
647103 SDOG   COP   113,937.00   67.77   7,721,510.49   1,223,007,000.00   2.18%   0.0093%
186239 CRBQ   COP   10,852.00   67.77   735,440.04   1,223,007,000.00   1.14%   0.0009%

Lumber Liquidators

              0.01%
241142 BFOR   LL   2,806.00   99.53   279,281.18   27,507,700.00   0.36%   0.0102%

Franks Intl N.V.

              0.01%
Liberty All-Star Growth Fund   FI   15,530.00   28.13   436,858.90   153,524,000.00   0.34%   0.0101%

ServiceNow Inc

              0.01%
Liberty All-Star Growth Fund   NOW   13,700.00   47.60   652,120.00   136,800,000.00   0.51%   0.0100%

Altria Group Inc

              0.01%
647103 SDOG   MO   195,431.00   34.25   6,693,511.75   2,008,662,000.00   1.89%   0.0097%
241142 BFOR   MO   5,307.00   34.25   181,764.75   2,008,662,000.00   0.24%   0.0003%

CF Industries Hldgs

              0.01%
186239 CRBQ   CF   4,806.00   192.51   925,203.06   57,282,620.00   1.43%   0.0084%
241142 BFOR   CF   915.00   192.51   176,146.65   57,282,620.00   0.23%   0.0016%

Gibson Energy Inc.

              0.01%
ALPS Alerian Energy Infrastructure   GEI CN   12,098.00   23.04   265,325.71   121,271,000.00   2.52%   0.0100%

Capitaland LTD

              0.01%
274027 GRI   CAPL SP   421,000.00   2.97   976,050.90   4,257,488,000.00   0.92%   0.0099%

Caterpillar Inc

              0.01%
Liberty All-Star Equity Fund   CAT   62,800.00   82.95   5,209,260.00   657,700,000.00   0.45%   0.0095%
241142 BFOR   CAT   2,013.00   82.95   166,978.35   657,700,000.00   0.22%   0.0003%

 

36


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

VMware Inc.

              0.01%
Liberty All-Star Equity Fund   VMW   10,800.00   84.90   916,920.00   129,517,200.00   0.08%   0.0083%
Liberty All-Star Growth Fund   VMW   1,900.00   84.90   161,310.00   129,517,200.00   0.13%   0.0015%

Questcor Pharma.

              0.01%
241142 BFOR   QCOR   5,856.00   66.78   391,063.68   59,993,870.00   0.51%   0.0098%

CapitalSource Inc

              0.01%
241142 BFOR   CSE   19,168.00   11.57   221,773.76   196,839,800.00   0.29%   0.0097%

Plantronics Inc

              0.01%
241142 BFOR   PLT   4,270.00   43.87   187,324.90   43,856,330.00   0.24%   0.0097%

Bunge Ltd

              0.01%
186239 CRBQ   BG   11,100.00   76.59   850,149.00   147,245,000.00   1.32%   0.0075%
565020 GSRA   BG   3,230.00   76.59   247,385.70   147,245,000.00   2.13%   0.0022%

Applied Industrial

              0.01%
241142 BFOR   AIT   4,087.00   49.19   201,039.53   42,207,810.00   0.26%   0.0097%

Wageworks Inc

              0.01%
Liberty All-Star Growth Fund   WAGE   3,255.00   43.53   141,690.15   33,820,480.00   0.11%   0.0096%

Air Methods Corp

              0.01%
241142 BFOR   AIRM   3,721.00   40.51   150,737.71   38,891,090.00   0.19%   0.0096%

Telecom Corp of New

              0.01%
241143 IDOG   TEL NZ   172,856.00   2.21   300,800.63   1,817,089,000.00   2.04%   0.0095%

Olin Corp

              0.01%
241142 BFOR   OLN   7,564.00   23.06   174,425.84   80,014,350.00   0.23%   0.0095%

Cheesecake Factory

              0.01%
241142 BFOR   CAKE   5,063.00   41.93   212,291.59   53,838,120.00   0.27%   0.0094%

Mentor Graphics Corp

              0.01%
241142 BFOR   MENT   10,553.00   22.62   238,708.86   112,862,800.00   0.31%   0.0094%

 

37


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Ind & Comm Bk China

              0.01%
Clough China Fund   1398 HK   8,047,967.00   5.29   5,489,561.52   86,794,044,550.00   6.60%   0.0093%

Bally Technologies

              0.01%
241142 BFOR   BYI   3,599.00   72.73   261,755.27   38,890,000.00   0.34%   0.0093%

InterDigital Inc.

              0.01%
241142 BFOR   IDCC   3,782.00   37.85   143,148.70   41,182,880.00   0.19%   0.0092%

Allegheny Tech.

              0.01%
Liberty All-Star Growth Fund   ATI   7,550.00   27.71   209,210.50   107,954,600.00   0.16%   0.0070%
186239 CRBQ   ATI   2,195.00   27.71   60,823.45   107,954,600.00   0.09%   0.0020%

Bristol-Myers Squibb

              0.01%
647103 SDOG   BMY   148,514.00   41.72   6,196,004.08   1,646,324,000.00   1.75%   0.0090%

Simon Property Group

              0.01%
274027 GRI   SPG   27,955.00   142.54   3,984,705.70   310,326,100.00   3.76%   0.0090%

Bata India Ltd

              0.01%
Kotak India Permier Equity Portfolio   BATA IN   5,780.00   827.45   72,283.85   64,263,770.00   1.24%   0.0090%

Deluxe Corp

              0.01%
241142 BFOR   DLX   4,514.00   39.06   176,316.84   50,390,550.00   0.23%   0.0090%

Myriad Genetics

              0.01%
241142 BFOR   MYGN   7,198.00   27.80   200,104.40   80,446,690.00   0.26%   0.0089%

Global Logistic Ppty

              0.01%
274027 GRI   GLP SP   424,000.00   2.75   910,190.86   4,759,270,000.00   0.86%   0.0089%

Idexx Laboratories

              0.01%
565020 GSRA   IDXX   2,716.00   95.25   258,699.00   52,543,090.00   2.23%   0.0052%
241142 BFOR   IDXX   1,952.00   95.25   185,928.00   52,543,090.00   0.24%   0.0037%

Valueclick Inc

              0.01%
241142 BFOR   VCLK   6,588.00   21.22   139,797.36   74,299,070.00   0.18%   0.0089%

 

38


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Kronos Worldwide Inc

              0.01%
241142 BFOR   KRO   10,248.00   15.00   153,720.00   115,913,600.00   0.20%   0.0088%

Cytec Industries Inc

              0.01%
565020 GSRA   CYT   3,218.00   76.66   246,691.88   36,486,980.00   2.12%   0.0088%

Freeport-McMoRan

              0.01%
Liberty All-Star Equity Fund   FCX   60,561.00   30.76   1,862,856.36   1,037,880,000.00   0.16%   0.0058%
186239 CRBQ   FCX   22,958.00   30.76   706,188.08   1,037,880,000.00   1.09%   0.0022%
241142 BFOR   FCX   7,991.00   30.76   245,803.16   1,037,880,000.00   0.32%   0.0008%

Thermax India Ltd.

              0.01%
Kotak India Permier Equity Portfolio   TMX IN   10,500.00   543.25   86,210.61   119,156,300.00   1.48%   0.0088%

Deere & Co

              0.01%
186239 CRBQ   DE   31,619.00   82.55   2,610,148.45   382,846,000.00   4.05%   0.0083%
241142 BFOR   DE   2,013.00   82.55   166,173.15   382,846,000.00   0.21%   0.0005%

Steve Madden Ltd

              0.01%
241142 BFOR   SHOO   4,026.00   55.13   221,953.38   46,099,380.00   0.29%   0.0087%

Bezeq Israeli Teleco

              0.01%
241143 IDOG   BEZQ IT   233,619.00   5.34   341,575.91   2,687,693,120.00   2.32%   0.0087%

Worthington Ind.

              0.01%
241142 BFOR   WOR   6,100.00   33.86   206,546.00   70,461,780.00   0.27%   0.0087%

Ariad Pharmaceutical

              0.01%
565020 GSRA   ARIA   12,640.00   20.75   262,280.00   185,106,700.00   2.26%   0.0068%
Liberty All-Star Growth Fund   ARIA   3,300.00   20.75   68,475.00   185,106,700.00   0.05%   0.0018%

CARBO Ceramics Inc

              0.01%
241142 BFOR   CRR   1,952.00   83.95   163,870.40   23,081,930.00   0.21%   0.0085%

Monsanto Co

              0.01%
186239 CRBQ   MON   43,285.00   101.49   4,392,994.65   533,109,300.00   6.81%   0.0081%
241142 BFOR   MON   1,769.00   101.49   179,535.81   533,109,300.00   0.23%   0.0003%

 

39


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Aaron’s Inc.

              0.01%
241142 BFOR   AAN   6,405.00   26.93   172,486.65   75,806,430.00   0.22%   0.0084%

Banque Audi

              0.01%
813977 EMDR   BQAD LI   409.00   6.25   2,556.25   4,843,000.00   0.11%   0.0084%

Starz - Liberty Cap.

              0.01%
241142 BFOR   STRZA   8,967.00   25.90   232,245.30   107,069,200.00   0.30%   0.0084%

NetSuite Inc.

              0.01%
Liberty All-Star Growth Fund   N   6,200.00   100.49   623,038.00   74,182,630.00   0.49%   0.0084%

Portugal Telecom SGP

              0.01%
241143 IDOG   PTC PL   74,858.00   3.07   301,568.81   896,512,000.00   2.05%   0.0083%

Brookfield Pptys

              0.01%
274027 GRI   BPO   42,111.00   16.09   677,565.99   505,322,400.00   0.64%   0.0083%

Buckle Inc/The

              0.01%
241142 BFOR   BKE   4,026.00   51.70   208,144.20   48,325,330.00   0.27%   0.0083%

Hongkong Land Hldgs

              0.01%
274027 GRI   HKL SP   194,600.00   6.39   1,243,494.00   2,338,131,460.00   1.17%   0.0083%

Pool Corp

              0.01%
241142 BFOR   POOL   3,843.00   53.31   204,870.33   46,621,930.00   0.26%   0.0082%

Wharf Holdings Ltd

              0.01%
274027 GRI   4 HK   249,700.00   66.25   2,133,046.01   3,029,727,000.00   2.01%   0.0082%

Klepierre

              0.01%
274027 GRI   LI FP   16,409.00   30.11   648,021.07   199,470,340.00   0.61%   0.0082%

Bank of Hawaii Corp

              0.01%
241142 BFOR   BOH   3,660.00   51.95   190,137.00   44,591,810.00   0.25%   0.0082%

China Shenhua Energy

              0.01%
Clough China Fund   1088 HK   248,500.00   26.10   836,301.16   3,398,582,500.00   1.01%   0.0073%

 

40


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

186239 CRBQ   1088 HK   30,216.00   26.10   101,688.84   3,398,582,500.00   0.16%   0.0009%

Sociedad Quimica

              0.01%
186239 CRBQ   SQM   9,701.00   28.69   278,321.69   120,377,000.00   0.43%   0.0081%

813977 EMDR

  SQM   142.00   28.69   4,073.98   120,377,000.00   0.17%   0.0001%

Potash Corporation

              0.01%
186239 CRBQ   POT CN   70,167.00   31.67   2,115,262.38   858,930,000.00   3.28%   0.0082%

Coromandel Intl Ltd

              0.01%
Kotak India Permier Equity Portfolio   CRIN IN   23,046.00   194.75   67,833.58   283,057,800.00   1.16%   0.0081%

Syngenta AG

              0.01%
186239 CRBQ   SYNN VX   7,579.00   369.80   2,966,776.97   93,126,150.00   4.60%   0.0081%

City Developments Lt

              0.01%
274027 GRI   CIT SP   74,000.00   9.91   572,452.29   909,301,330.00   0.54%   0.0081%

Incitec Pivot LTD

              0.01%
186239 CRBQ   IPL AU   131,818.00   2.63   316,554.82   1,628,730,100.00   0.49%   0.0081%

Sino Land Company

              0.01%
274027 GRI   83 HK   480,000.00   10.96   678,340.25   5,947,824,000.00   0.64%   0.0081%

Nutreco NV

              0.01%
186239 CRBQ   NUO NA   5,624.00   35.91   264,891.87   70,237,370.00   0.41%   0.0080%

Archer-Daniels

              0.01%
186239 CRBQ   ADM   52,612.00   36.19   1,904,028.28   659,185,600.00   2.95%   0.0080%

Prestige Estates Pro

              0.01%
Kotak India Permier Equity Portfolio   PEPL IN   27,800.00   117.75   49,474.04   350,000,000.00   0.85%   0.0079%

Zebra Technologies

              0.01%
241142 BFOR   ZBRA   4,026.00   45.93   184,914.18   50,768,810.00   0.24%   0.0079%

Textainer Group Hldg

              0.01%
241142 BFOR   TGH   4,392.00   35.39   155,432.88   55,749,090.00   0.20%   0.0079%

 

41


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

China Overseas

              0.01%
274027 GRI   688 HK   633,000.00   23.45   1,914,001.86   8,172,616,000.00   1.81%   0.0077%

Steris Corp

              0.01%
241142 BFOR   STE   4,575.00   40.97   187,437.75   59,086,340.00   0.24%   0.0077%

Delek US Holdings

              0.01%
241142 BFOR   DK   4,636.00   24.73   114,648.28   60,083,840.00   0.15%   0.0077%

DST Systems Inc

              0.01%
565020 GSRA   DST   3,315.00   72.30   239,674.50   43,029,830.00   2.06%   0.0077%

General Growth Pptys

              0.01%
274027 GRI   GGP   74,417.00   18.69   1,390,853.73   966,951,200.00   1.31%   0.0077%

Agrium Inc. CAD$

              0.01%
186239 CRBQ   AGU CN   12,089.00   88.85   1,022,424.11   157,820,000.00   1.58%   0.0077%

China Bluechemical

              0.01%
186239 CRBQ   3983 HK   134,000.00   4.29   74,123.84   1,771,000,000.00   0.11%   0.0076%

AmTrust Financial

              0.01%
241142 BFOR   AFSI   5,632.00   35.12   197,795.84   74,441,300.00   0.26%   0.0076%

The Mosiac Company

              0.01%
186239 CRBQ   MOS   22,465.00   42.07   945,102.55   297,061,300.00   1.46%   0.0076%

Pier 1 Imports Inc

              0.01%
241142 BFOR   PIR   8,052.00   22.16   178,432.32   106,743,300.00   0.23%   0.0075%

Nu Skin Enterprises

              0.01%
241142 BFOR   NUS   4,331.00   88.52   383,380.12   58,663,290.00   0.50%   0.0074%

K+S AG

              0.01%
186239 CRBQ   SDF GR   14,037.00   18.98   349,401.26   191,400,000.00   0.54%   0.0073%

Stora Enso Oyj

              0.01%

 

42


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241143 IDOG   STERV FH   44,472.00   6.26   364,907.14   612,386,060.00   2.48%   0.0073%

Verifone Systems Inc

              0.01%
Liberty All-Star Growth Fund   PAY   7,807.00   20.72   161,761.04   108,529,000.00   0.13%   0.0072%

PetroChina Co Ltd

              0.01%
Clough China Fund   857 HK   1,326,000.00   8.70   1,487,505.48   21,098,900,000.00   1.79%   0.0063%
186239 CRBQ   857 HK   186,119.00   8.70   208,788.11   21,098,900,000.00   0.32%   0.0009%

Dicks Sporting Goods

              0.01%
Liberty All-Star Growth Fund   DKS   3,600.00   48.34   174,024.00   100,609,000.00   0.14%   0.0036%
241142 BFOR   DKS   3,599.00   48.34   173,975.66   100,609,000.00   0.22%   0.0036%

Vgrd Short-Term Bond

              0.01%
Ibbotson Balanced ETF Asset All   BSV   355,100.00   79.61   28,269,511.00   16,631,200,000.00   14.10%   0.0021%
Ibbotson Income & Growth ETF Asset All   BSV   342,029.00   79.61   27,228,928.69   16,631,200,000.00   23.64%   0.0021%
Ibbotson Growth ETF Asset All   BSV   271,718.00   79.61   21,631,469.98   16,631,200,000.00   12.20%   0.0016%
Ibbotson Conservative ETF Asset All   BSV   165,052.00   79.61   13,139,789.72   16,631,200,000.00   33.96%   0.0010%
Ibbotson Aggressive Growth ETF Asset All   BSV   42,900.00   79.61   3,415,269.00   16,631,200,000.00   5.68%   0.0003%

Hang Lung Properties

              0.01%
274027 GRI   101 HK   316,000.00   25.85   1,053,279.01   4,478,479,000.00   0.99%   0.0071%

Middleby Corp

              0.01%
241142 BFOR   MIDD   1,220.00   196.16   239,315.20   18,791,450.00   0.31%   0.0065%
Liberty All-Star Growth Fund   MIDD   104.00   196.16   20,400.64   18,791,450.00   0.02%   0.0006%

Teleflex Inc

              0.01%
565020 GSRA   TFX   2,896.00   77.14   223,397.44   41,125,590.00   1.92%   0.0070%

Gecina SA

              0.01%
274027 GRI   GFC FP   4,405.00   87.10   503,306.40   62,650,440.00   0.47%   0.0070%

Discover Financial

              0.01%
RiverFront Moderate Growth/Income Fund   DFS   14,727.00   48.62   716,026.74   483,787,700.00   0.61%   0.0030%
RiverFront Global Growth Fund   DFS   7,042.00   48.62   342,382.04   483,787,700.00   0.56%   0.0015%
RiverFront Dynamic Equity Income Fund   DFS   4,763.00   48.62   231,577.06   483,787,700.00   0.57%   0.0010%
241142 BFOR   DFS   4,331.00   48.62   210,573.22   483,787,700.00   0.27%   0.0009%

 

43


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

RiverFront Global Allocation Fund   DFS   2,671.00   48.62   129,864.02   483,787,700.00   0.48%   0.0006%
RiverFront Conserv. Income Builder Fund   DFS   446.00   48.62   21,684.52   483,787,700.00   0.49%   0.0001%

Newfield Exploration

              0.01%
565020 GSRA   NFX   9,428.00   23.85   224,857.80   135,686,000.00   1.93%   0.0069%

Nufarm Limited

              0.01%
186239 CRBQ   NUF AU   18,158.00   4.96   82,237.17   262,142,240.00   0.13%   0.0069%

LG Display Co. Ltd.

              0.01%
Liberty All-Star Equity Fund   LPL   47,280.00   12.96   612,748.80   715,631,400.00   0.05%   0.0066%
813979 ASDR   LPL   1,511.00   12.96   19,582.56   715,631,400.00   0.76%   0.0002%
813977 EMDR   LPL   695.00   12.96   9,007.20   715,631,400.00   0.38%   0.0001%

American Vanguard Co

              0.01%
186239 CRBQ   AVD   1,974.00   25.77   50,869.98   28,664,460.00   0.08%   0.0069%

First American Finan

              0.01%
241142 BFOR   FAF   7,320.00   21.60   158,112.00   106,941,200.00   0.20%   0.0068%

Syntel Inc.

              0.01%
241142 BFOR   SYNT   2,867.00   73.71   211,326.57   41,920,160.00   0.27%   0.0068%

MAXIMUS Inc

              0.01%
241142 BFOR   MMS   4,662.00   38.45   179,253.90   68,192,350.00   0.23%   0.0068%

Trend Micro Inc.

              0.01%
241143 IDOG   4704 JP   9,568.00   3,625.00   346,372.40   140,293,000.00   2.35%   0.0068%

Masimo Corporation

              0.01%
Liberty All-Star Growth Fund   MASI   3,815.00   24.95   95,184.25   56,499,600.00   0.07%   0.0068%

Quanta Services Inc

              0.01%
565020 GSRA   PWR   8,021.00   26.08   209,187.68   210,240,400.00   1.80%   0.0038%
241142 BFOR   PWR   6,161.00   26.08   160,678.88   210,240,400.00   0.21%   0.0029%

Hewlett-Packard Co

              0.01%
Liberty All-Star Equity Fund   HPQ   130,000.00   22.12   2,875,600.00   1,928,552,000.00   0.25%   0.0067%

 

44


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Federal Bank Ltd

              0.01%
Kotak India Permier Equity Portfolio   FB IN   11,500.00   274.55   47,718.96   170,978,700.00   0.82%   0.0067%

Cobalt Int’l Energy

              0.01%
Liberty All-Star Equity Fund   CIE   18,786.00   24.54   461,008.44   411,236,500.00   0.04%   0.0046%
565020 GSRA   CIE   8,533.00   24.54   209,399.82   411,236,500.00   1.80%   0.0021%

AltaGas Ltd.

              0.01%
ALPS Alerian Energy Infrastructure   ALA CN   7,847.00   35.54   265,463.21   118,381,100.00   2.52%   0.0066%

Gentex Corp

              0.01%
241142 BFOR   GNTX   9,455.00   24.13   228,149.15   144,259,600.00   0.30%   0.0066%

Avis Budget Group

              0.01%
241142 BFOR   CAR   7,076.00   28.00   198,128.00   108,061,400.00   0.26%   0.0065%

Keyera Corp

              0.01%
ALPS Alerian Energy Infrastructure   KEY CN   5,109.00   57.75   280,847.89   78,307,260.00   2.67%   0.0065%

Chico’s FAS Inc

              0.01%
241142 BFOR   CHS   10,431.00   15.54   162,097.74   160,816,700.00   0.21%   0.0065%

Hexcel Corp

              0.01%
241142 BFOR   HXL   6,405.00   36.58   234,294.90   99,489,440.00   0.30%   0.0064%

Palo Alto Networks

              0.01%
Liberty All-Star Growth Fund   PANW   4,548.00   45.52   207,024.96   71,136,120.00   0.16%   0.0064%

Britannia Inds Ltd

              0.01%
Kotak India Permier Equity Portfolio   BRIT IN   7,629.00   750.00   86,476.99   119,700,800.00   1.48%   0.0064%

World Fuel Services

              0.01%
241142 BFOR   INT   4,636.00   38.36   177,836.96   72,774,000.00   0.23%   0.0064%

US Airways Group Inc

              0.01%
241142 BFOR   LCC   12,139.00   16.99   206,241.61   192,016,800.00   0.27%   0.0063%

 

45


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

AOL Inc.

              0.01%
241142 BFOR   AOL   4,819.00   33.29   160,424.51   76,774,870.00   0.21%   0.0063%

Neustar Inc.

              0.01%
241142 BFOR   NSR   4,026.00   50.81   204,561.06   64,360,390.00   0.26%   0.0063%

News Corp

              0.01%
Liberty All-Star Equity Fund   NWS   12,400.00   16.39   203,236.00   199,630,000.00   0.02%   0.0062%

Validus Holdings

              0.01%
565020 GSRA   VR   6,197.00   35.30   218,754.10   99,823,850.00   1.88%   0.0062%

HSN Inc.

              0.01%
241142 BFOR   HSNI   3,294.00   55.00   181,170.00   53,221,290.00   0.23%   0.0062%

Medivation Inc.

              0.01%
565020 GSRA   MDVN   4,613.00   60.50   279,086.50   75,212,040.00   2.40%   0.0061%

Mondelez Int’l Inc.

              0.01%
Liberty All-Star Equity Fund   MDLZ   109,209.00   30.75   3,358,176.75   1,780,666,000.00   0.29%   0.0061%

Madison Square Grdn

              0.01%
565020 GSRA   MSG   3,832.00   55.97   214,477.04   62,880,990.00   1.85%   0.0061%

Atmos Energy Corp

              0.01%
ALPS Alerian Energy Infrastructure   ATO   5,472.00   39.40   215,596.80   90,640,210.00   2.05%   0.0060%

Salix Pharmaceutical

              0.01%
241142 BFOR   SLXP   3,660.00   66.67   244,012.20   61,149,570.00   0.32%   0.0060%

Rosetta Resources

              0.01%
241142 BFOR   ROSE   3,599.00   48.03   172,859.97   61,114,230.00   0.22%   0.0059%

United Therapeutics

              0.01%
241142 BFOR   UTHR   2,928.00   74.14   217,081.92   49,923,520.00   0.28%   0.0059%

Occidental Petroleum

              0.01%
Liberty All-Star Equity Fund   OXY   39,500.00   89.74   3,544,730.00   805,763,900.00   0.30%   0.0049%

 

46


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

186239 CRBQ   OXY   7,150.00   89.74   641,641.00   805,763,900.00   0.99%   0.0009%

Intel Corp

              0.01%
647103 SDOG   INTC   278,931.00   22.61   6,306,629.91   4,982,000,000.00   1.78%   0.0056%
241142 BFOR   INTC   8,235.00   22.61   186,193.35   4,982,000,000.00   0.24%   0.0002%

SVB Financial Group

              0.01%
241142 BFOR   SIVB   2,623.00   84.13   220,672.99   45,551,220.00   0.29%   0.0058%

Taiwan Fertilizer

              0.01%
186239 CRBQ   1722 TT   56,400.00   68.40   129,524.58   980,000,000.00   0.20%   0.0058%

Nokian Renkaat Oyj

              0.01%
241143 IDOG   NRE1V FH   7,422.00   36.49   355,273.81   129,609,840.00   2.41%   0.0057%

Cubist Pharma Inc

              0.01%
241142 BFOR   CBST   3,782.00   63.98   241,972.36   66,083,230.00   0.31%   0.0057%

Atwood Oceanics Inc

              0.01%
241142 BFOR   ATW   3,660.00   55.88   204,520.80   63,963,900.00   0.26%   0.0057%

CBOE Holdings Inc.

              0.01%
241142 BFOR   CBOE   5,002.00   45.28   226,490.56   87,700,960.00   0.29%   0.0057%

Singapore Press Hld

              0.01%
241143 IDOG   SPH SP   90,301.00   3.95   278,434.84   1,597,014,220.00   1.89%   0.0057%

UPM-Kymmene Oyj

              0.01%
241143 IDOG   UPM1V FH   29,357.00   9.69   372,974.96   519,970,080.00   2.53%   0.0056%

Jones Lang LaSalle

              0.01%
565020 GSRA   JLL   2,480.00   82.35   204,228.00   44,433,510.00   1.76%   0.0056%

SPDR S&P Insurance

              0.01%
RiverFront Moderate Growth/Income Fund   KIE   15,437.00   55.17   851,659.29   615,000,000.00   0.72%   0.0025%
RiverFront Global Growth Fund   KIE   10,734.00   55.17   592,194.78   615,000,000.00   0.96%   0.0017%
RiverFront Dynamic Equity Income Fund   KIE   4,310.00   55.17   237,782.70   615,000,000.00   0.58%   0.0007%
RiverFront Global Allocation Fund   KIE   3,333.00   55.17   183,881.61   615,000,000.00   0.68%   0.0005%

 

47


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

RiverFront Conserv. Income Builder Fund   KIE   486.00   55.17   26,812.62   615,000,000.00   0.60%   0.0001%

Micros Systems Inc

              0.01%
241142 BFOR   MCRS   4,270.00   49.87   212,944.90   76,611,140.00   0.28%   0.0056%

Six Flags Entertain.

              0.01%
241142 BFOR   SIX   5,272.00   33.70   177,666.40   95,097,020.00   0.23%   0.0055%

Newmont Mining Corp

              0.01%
186239 CRBQ   NEM   20,407.00   30.30   618,332.10   492,822,900.00   0.96%   0.0041%
565020 GSRA   NEM   6,481.00   30.30   196,374.30   492,822,900.00   1.69%   0.0013%

CNOOC Ltd

              0.01%
Clough China Fund   883 HK   2,282,000.00   15.86   4,666,750.91   44,647,460,000.00   5.61%   0.0051%
186239 CRBQ   883 HK   140,987.00   15.86   288,322.18   44,647,460,000.00   0.45%   0.0003%

Metso Corporation

              0.01%
241143 IDOG   MEO1V FH   8,136.00   30.17   321,999.08   150,348,250.00   2.18%   0.0054%

TonenGeneral Sekiyu

              0.01%
241143 IDOG   5012 JP   30,568.00   922.00   281,456.99   565,180,000.00   1.91%   0.0054%

GMR Infrastructure

              0.01%
Kotak India Permier Equity Portfolio   GMRI IN   208,750.00   14.85   46,851.62   3,892,434,780.00   0.80%   0.0054%

Carter’s Inc

              0.01%
241142 BFOR   CRI   3,172.00   73.55   233,300.60   59,236,660.00   0.30%   0.0054%

China Resources Land

              0.01%
274027 GRI   1109 HK   311,500.00   22.05   885,650.64   5,828,874,000.00   0.84%   0.0053%

3D Systems Corp

              0.01%
241142 BFOR   DDD   5,429.00   53.23   288,985.67   101,611,500.00   0.37%   0.0053%

East West Bancorp

              0.01%
241142 BFOR   EWBC   7,137.00   29.21   208,471.77   137,742,400.00   0.27%   0.0052%

Commerce Bancshares

              0.01%

 

48


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241142 BFOR   CBSH   4,697.00   43.09   202,393.73   90,697,500.00   0.26%   0.0052%

Signature Bank

              0.01%
241142 BFOR   SBNY   2,379.00   89.16   212,111.64   46,172,000.00   0.27%   0.0052%

Under Armour Inc.

              0.01%
241142 BFOR   UA   3,538.00   76.89   272,036.82   85,055,840.00   0.35%   0.0042%
Liberty All-Star Growth Fund   UA   816.00   76.89   62,742.24   85,055,840.00   0.05%   0.0010%

Graco Inc

              0.01%
241142 BFOR   GGG   3,111.00   71.14   221,316.54   61,364,000.00   0.29%   0.0051%

RPC Inc

              0.01%
241142 BFOR   RES   11,102.00   14.55   161,534.10   219,356,400.00   0.21%   0.0051%

Rollins Inc

              0.01%
241142 BFOR   ROL   7,381.00   24.79   182,974.99   146,078,200.00   0.24%   0.0051%

NewMarket Corp

              0.01%
241142 BFOR   NEU   671.00   280.60   188,282.60   13,312,120.00   0.24%   0.0050%

Qualcomm Inc

              0.01%
Liberty All-Star Equity Fund   QCOM   83,200.00   67.83   5,643,456.00   1,715,426,000.00   0.49%   0.0049%
241142 BFOR   QCOM   2,684.00   67.83   182,055.72   1,715,426,000.00   0.24%   0.0002%
Liberty All-Star Growth Fund   QCOM   550.00   67.83   37,306.50   1,715,426,000.00   0.03%   0.0000%

Persistent Systems

              0.01%
Kotak India Permier Equity Portfolio   PSYS IN   2,000.00   583.30   17,631.68   40,000,000.00   0.30%   0.0050%

Tencent Holdings Ltd

              0.00%
Clough China Fund   700 HK   92,600.00   387.60   4,627,970.19   1,858,473,000.00   5.57%   0.0050%

Merck & Co Inc

              0.00%
647103 SDOG   MRK   145,015.00   47.51   6,889,662.65   2,926,376,000.00   1.95%   0.0050%

Israel Chemicals LTD

              0.00%
186239 CRBQ   ICL IT   34,693.00   25.10   238,247.41   1,272,642,000.00   0.37%   0.0027%
241143 IDOG   ICL IT   28,124.00   25.10   193,136.09   1,272,642,000.00   1.31%   0.0022%

 

49


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Oneok Inc

              0.00%
ALPS Alerian Energy Infrastructure   OKE   10,136.00   51.17   518,659.12   206,201,100.00   4.93%   0.0049%

LSI Corp.

              0.00%
241142 BFOR   LSI   26,385.00   7.78   205,275.30   547,075,100.00   0.27%   0.0048%

Olam Int’l Ltd

              0.00%
186239 CRBQ   OLAM SP   115,000.00   1.42   127,473.56   2,390,214,000.00   0.20%   0.0048%

Delhaize Group

              0.00%
241143 IDOG   DELB BB   4,824.00   46.00   291,094.17   100,583,280.00   1.98%   0.0048%

Church & Dwight Inc

              0.00%
565020 GSRA   CHD   3,717.00   56.65   210,568.05   138,565,300.00   1.81%   0.0027%
241142 BFOR   CHD   2,928.00   56.65   165,871.20   138,565,300.00   0.21%   0.0021%

Erie Indemnity Co

              0.00%
241142 BFOR   ERIE   2,440.00   74.44   181,633.60   51,203,000.00   0.23%   0.0048%

Yes Bank Ltd.

              0.00%
Kotak India Permier Equity Portfolio   YES IN   17,100.00   287.50   74,302.88   359,720,900.00   1.27%   0.0048%

Union Bank of India

              0.00%
Kotak India Permier Equity Portfolio   UNBK IN   28,000.00   110.65   46,825.36   596,794,200.00   0.80%   0.0047%

Triumph Group Inc

              0.00%
241142 BFOR   TGI   2,440.00   74.35   181,414.00   52,013,580.00   0.23%   0.0047%

Jack Henry & Assoc.

              0.00%
241142 BFOR   JKHY   4,026.00   50.67   203,997.42   86,112,300.00   0.26%   0.0047%

Yara International

              0.00%
186239 CRBQ   YAR NO   13,000.00   242.00   513,716.53   278,500,900.00   0.80%   0.0047%

Bank of China Ltd.

              0.00%
Clough China Fund   3988 HK   3,890,000.00   3.45   1,730,471.67   83,622,276,390.00   2.08%   0.0047%

 

50


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Alaska Air Group Inc

              0.00%
241142 BFOR   ALK   3,233.00   57.96   187,384.68   69,869,020.00   0.24%   0.0046%

Hanesbrands Inc.

              0.00%
241142 BFOR   HBI   4,577.00   61.64   282,126.28   99,003,010.00   0.36%   0.0046%

Fortinet Inc.

              0.00%
241142 BFOR   FTNT   7,503.00   19.81   148,634.43   162,586,500.00   0.19%   0.0046%

American Eagle

              0.00%
241142 BFOR   AEO   8,801.00   14.86   130,782.86   192,728,200.00   0.17%   0.0046%

Skyworks Solutions

              0.00%
241142 BFOR   SWKS   8,540.00   25.91   221,271.40   187,738,400.00   0.29%   0.0045%

Axiall Corp.

              0.00%
241142 BFOR   AXLL   3,172.00   39.99   126,848.28   69,801,680.00   0.16%   0.0045%

Canadian Utilities

              0.00%
ALPS Alerian Energy Infrastructure   CU CN   8,076.00   34.75   267,137.21   179,523,100.00   2.54%   0.0045%

Copart Inc

              0.00%
241142 BFOR   CPRT   5,612.00   31.96   179,359.52   125,443,600.00   0.23%   0.0045%

Wynn Resorts Ltd

              0.00%
Liberty All-Star Growth Fund   WYNN   4,500.00   142.69   642,105.00   101,102,400.00   0.51%   0.0045%

Google Inc

              0.00%
Liberty All-Star Equity Fund   GOOG   11,720.00   879.56   10,308,443.20   273,938,200.00   0.89%   0.0043%
241142 BFOR   GOOG   244.00   879.56   214,612.64   273,938,200.00   0.28%   0.0001%
Liberty All-Star Growth Fund   GOOG   165.00   879.56   145,127.40   273,938,200.00   0.11%   0.0001%

Cadence Design Sys

              0.00%
241142 BFOR   CDNS   12,383.00   13.46   166,675.18   282,627,300.00   0.22%   0.0044%

QEP Resources Inc.

              0.00%
565020 GSRA   QEP   7,854.00   28.27   222,032.58   179,289,600.00   1.91%   0.0044%

 

51


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

BOK Financial Corp.

              0.00%
241142 BFOR   BOKF   2,989.00   64.36   192,372.04   68,687,720.00   0.25%   0.0044%

Fastenal Co

              0.00%
Liberty All-Star Equity Fund   FAST   9,285.00   48.60   451,251.00   296,868,400.00   0.04%   0.0031%
241142 BFOR   FAST   3,538.00   48.60   171,946.80   296,868,400.00   0.22%   0.0012%

Belgacom

              0.00%
241143 IDOG   BELG BB   14,581.00   18.56   354,908.71   338,025,130.00   2.41%   0.0043%

Capital One Finl.

              0.00%
Liberty All-Star Equity Fund   COF   25,200.00   65.58   1,652,616.00   585,340,800.00   0.14%   0.0043%

Reinsurance Grp Amer

              0.00%
241142 BFOR   RGA   3,050.00   65.88   200,934.00   70,984,450.00   0.26%   0.0043%

Herbalife LTD

              0.00%
241142 BFOR   HLF   4,392.00   64.20   281,966.40   103,066,300.00   0.36%   0.0043%

Superior Energy Svs

              0.00%
241142 BFOR   SPN   6,771.00   25.09   169,884.39   159,556,800.00   0.22%   0.0042%

Osisko Mining CAD$

              0.00%
186239 CRBQ   OSK CN   18,504.00   5.16   90,886.34   437,068,500.00   0.14%   0.0042%

Allied Nevada Gold

              0.00%
186239 CRBQ   ANV   4,392.00   4.69   20,598.48   103,940,700.00   0.03%   0.0042%

Silver Wheaton Corp

              0.00%
186239 CRBQ   SLW CN   14,737.00   27.16   380,997.50   353,497,000.00   0.59%   0.0042%
Liberty All-Star Equity Fund   SLW   15,520.00   25.75   399,640.00   35,492,100,000.00   0.03%   0.0000%
Liberty All-Star Growth Fund   SLW   4,505.00   25.75   116,003.75   35,492,100,000.00   0.09%   0.0000%

Hindustan Petroleum

              0.00%
Kotak India Permier Equity Portfolio   HPCL IN   14,300.00   174.00   37,605.99   338,627,250.00   0.64%   0.0042%

Factset Research Sys

              0.00%
241142 BFOR   FDS   1,830.00   105.96   193,906.80   43,354,420.00   0.25%   0.0042%

 

52


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

MSC Indust’l Direct

              0.00%
241142 BFOR   MSM   2,074.00   79.35   164,571.90   49,223,990.00   0.21%   0.0042%

China Agri-Industrie

              0.00%
186239 CRBQ   606 HK   170,000.00   3.76   82,419.99   4,038,369,830.00   0.13%   0.0042%

Oil States Intl Inc

              0.00%
241142 BFOR   OIS   2,318.00   93.64   217,057.52   55,153,850.00   0.28%   0.0042%

China Pacific Ins.

              0.00%
Clough China Fund   2601 HK   116,400.00   27.90   418,748.23   2,775,300,000.00   0.50%   0.0042%

Golden Agri-Resource

              0.00%
186239 CRBQ   GGR SP   538,000.00   0.55   230,982.40   12,837,550,000.00   0.36%   0.0042%

Agnico Eagle Mines

              0.00%
186239 CRBQ   AEM CN   7,164.00   30.34   206,897.11   171,169,000.00   0.32%   0.0042%

Goldcorp Inc.

              0.00%
186239 CRBQ   G CN   33,891.00   30.48   983,292.26   809,991,000.00   1.52%   0.0042%

Yamana Gold CAD$

              0.00%
186239 CRBQ   YRI CN   31,138.00   11.59   343,524.27   746,492,000.00   0.53%   0.0042%

Kinross Gold Corp

              0.00%
186239 CRBQ   K CN   47,384.00   5.73   258,445.88   1,138,736,000.00   0.40%   0.0042%

Lear Corp

              0.00%
241142 BFOR   LEA   3,355.00   71.00   238,205.00   80,642,470.00   0.31%   0.0042%

Bajaj Hlds & Inv.

              0.00%
Kotak India Permier Equity Portfolio   BJHI IN   4,619.00   795.00   55,499.21   111,293,510.00   0.95%   0.0042%

Barrick Gold $CAD

              0.00%
186239 CRBQ   ABX CN   41,508.00   19.95   788,239.11   1,000,236,000.00   1.22%   0.0041%

Eldorado Gold CAD$

              0.00%

 

53


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

186239 CRBQ   ELD CN   29,441.00   8.72   244,372.49   709,642,000.00   0.38%   0.0041%

Carlisle Cos Inc

              0.00%
241142 BFOR   CSL   2,623.00   66.83   175,295.09   63,521,260.00   0.23%   0.0041%

Coeur Mining Inc.

              0.00%
186239 CRBQ   CDE   4,184.00   13.92   58,241.28   101,572,500.00   0.09%   0.0041%

Newcrest Mining Ltd

              0.00%
186239 CRBQ   NCM AU   31,563.00   13.20   380,426.42   766,511,000.00   0.59%   0.0041%

Pan Amer Silver CAD$

              0.00%
186239 CRBQ   PAA CN   6,232.00   12.59   74,685.53   151,410,700.00   0.12%   0.0041%

Valmont Industries

              0.00%
241142 BFOR   VMI   1,098.00   137.80   151,304.40   26,772,120.00   0.20%   0.0041%

Intl Game Tech

              0.00%
241142 BFOR   IGT   10,675.00   19.31   206,134.25   260,800,000.00   0.27%   0.0041%

Wabco Holdings

              0.00%
241142 BFOR   WBC   2,562.00   80.63   206,574.06   62,602,190.00   0.27%   0.0041%

IAMGOLD Corp

              0.00%
186239 CRBQ   IMG CN   15,407.00   6.14   90,047.10   376,564,300.00   0.14%   0.0041%

Alliant Energy Corp

              0.00%
565020 GSRA   LNT   4,533.00   48.55   220,077.15   110,943,700.00   1.89%   0.0041%

Faro Technologies

              0.00%
Liberty All-Star Growth Fund   FARO   698.00   38.60   26,942.80   17,107,970.00   0.02%   0.0041%

Williams-Sonoma Inc

              0.00%
241142 BFOR   WSM   3,965.00   55.82   221,326.30   97,183,890.00   0.29%   0.0041%

Detour Gold Corp

              0.00%
186239 CRBQ   DGC CN   5,627.00   10.90   58,383.04   138,018,800.00   0.09%   0.0041%

 

54


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Whiting Petroleum Co

              0.00%
565020 GSRA   WLL   4,825.00   51.28   247,426.00   118,654,200.00   2.13%   0.0041%

Solarwinds Inc.

              0.00%
241142 BFOR   SWI   3,050.00   37.91   115,625.50   75,413,380.00   0.15%   0.0040%

Transdigm Group Inc

              0.00%
241142 BFOR   TDG   1,230.00   138.02   169,764.60   52,540,420.00   0.22%   0.0023%
Liberty All-Star Growth Fund   TDG   892.00   138.02   123,113.84   52,540,420.00   0.10%   0.0017%

Israel Corp Ltd/The

              0.00%
186239 CRBQ   ILCO IT   310.00   1,525.00   129,343.37   7,698,460.00   0.20%   0.0040%

Verisk Analytics Inc

              0.00%
Liberty All-Star Equity Fund   VRSK   3,700.00   63.08   233,396.00   167,915,400.00   0.02%   0.0022%
241142 BFOR   VRSK   3,050.00   63.08   192,394.00   167,915,400.00   0.25%   0.0018%

AngloGold Ashanti

              0.00%
186239 CRBQ   AU   14,728.00   13.48   198,533.44   383,935,100.00   0.31%   0.0038%
813977 EMDR   AU   598.00   13.48   8,061.04   383,935,100.00   0.34%   0.0002%

Credit Acceptance

              0.00%
241142 BFOR   CACC   1,464.00   108.78   159,253.92   36,897,000.00   0.21%   0.0040%

Chevron Corp

              0.00%
647103 SDOG   CVX   57,772.00   121.37   7,011,787.64   1,932,024,000.00   1.98%   0.0030%
186239 CRBQ   CVX   17,347.00   121.37   2,105,405.39   1,932,024,000.00   3.26%   0.0009%
241142 BFOR   CVX   1,525.00   121.37   185,089.25   1,932,024,000.00   0.24%   0.0001%

SPDR Materials

              0.00%
274147 EQL   XLB   278,961.00   41.12   11,470,876.32   7,317,300,000.00   11.29%   0.0038%
RiverFront Global Growth Fund   XLB   7,265.00   41.12   298,736.80   7,317,300,000.00   0.49%   0.0001%
RiverFront Global Allocation Fund   XLB   3,214.00   41.12   132,159.68   7,317,300,000.00   0.49%   0.0000%

Petronet LNG Ltd.

              0.00%
Kotak India Permier Equity Portfolio   PLNG IN   29,500.00   117.60   52,432.55   750,000,000.00   0.90%   0.0039%

Panera Bread Co

              0.00%

 

55


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241142 BFOR   PNRA   1,098.00   166.15   182,432.70   28,115,820.00   0.24%   0.0039%

Lincoln Electric Hld

              0.00%
241142 BFOR   LECO   3,205.00   63.35   203,036.75   82,204,380.00   0.26%   0.0039%

New Gold Inc.

              0.00%
186239 CRBQ   NGD CN   19,252.00   6.72   123,148.29   499,463,000.00   0.19%   0.0039%

Gold Fields Limited

              0.00%
186239 CRBQ   GFI SJ   26,913.00   52.90   139,359.60   729,507,130.00   0.22%   0.0037%
813977 EMDR   GFI   1,143.00   5.08   5,806.44   739,809,000.00   0.25%   0.0002%

Compania de Buenaven

              0.00%
186239 CRBQ   BVN   10,259.00   12.54   128,647.86   274,889,900.00   0.20%   0.0037%
813977 EMDR   BVN   289.00   12.54   3,624.06   274,889,900.00   0.15%   0.0001%

CVR Energy Inc.

              0.00%
241142 BFOR   CVI   3,306.00   42.97   142,058.82   86,831,050.00   0.18%   0.0038%

Emami Limited

              0.00%
Kotak India Permier Equity Portfolio   HMN IN   8,625.00   434.60   56,652.69   226,967,600.00   0.97%   0.0038%

Gartner Inc

              0.00%
241142 BFOR   IT   3,538.00   57.51   203,470.38   93,158,580.00   0.26%   0.0038%

Snap-On Inc

              0.00%
241142 BFOR   SNA   2,196.00   96.08   210,991.68   58,169,130.00   0.27%   0.0038%

Amazon.Com Inc

              0.00%
Liberty All-Star Equity Fund   AMZN   15,406.00   294.10   4,530,904.60   456,883,500.00   0.39%   0.0034%
Liberty All-Star Growth Fund   AMZN   1,755.00   294.10   516,145.50   456,883,500.00   0.41%   0.0004%

Amcor LTD

              0.00%
241143 IDOG   AMC AU   32,930.00   10.64   319,927.68   879,844,830.00   2.17%   0.0037%

Rangold Resources

              0.00%
186239 CRBQ   RRS LN   3,406.00   50.55   268,391.74   91,818,220.00   0.42%   0.0037%

 

56


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Bajaj Finance Ltd

              0.00%
Kotak India Permier Equity Portfolio   BAF IN   1,839.00   1,066.50   29,642.46   49,778,330.00   0.51%   0.0037%

Zijin Mining Group

              0.00%
186239 CRBQ   2899 HK   221,000.00   1.96   55,852.70   6,008,160,000.00   0.09%   0.0037%

AT&T Inc

              0.00%
647103 SDOG   T   193,648.00   33.34   6,456,224.32   5,311,000,000.00   1.83%   0.0036%

Mechel OAO

              0.00%
186239 CRBQ   MTL   10,769.00   3.07   33,060.83   416,271,000.00   0.05%   0.0026%
813978 RUDR   MTL   4,142.00   3.07   12,715.94   416,271,000.00   0.53%   0.0010%
813977 EMDR   MTL   215.00   3.07   660.05   416,271,000.00   0.03%   0.0001%

Pfizer Inc

              0.00%
647103 SDOG   PFE   239,032.00   28.27   6,757,434.64   6,620,300,000.00   1.91%   0.0036%

Robert Half Intl

              0.00%
241142 BFOR   RHI   5,002.00   36.80   184,073.60   138,844,800.00   0.24%   0.0036%

IOI Corp. Berhad

              0.00%
186239 CRBQ   IOI MK   227,900.00   5.30   365,467.47   6,423,289,990.00   0.57%   0.0035%

Monster Beverage Co

              0.00%
241142 BFOR   MNST   3,782.00   56.14   212,321.48   167,403,700.00   0.27%   0.0023%
Liberty All-Star Growth Fund   MNST   2,150.00   56.14   120,701.00   167,403,700.00   0.09%   0.0013%

Thor Industries Inc

              0.00%
Liberty All-Star Growth Fund   THO   1,878.00   52.17   97,975.26   53,045,330.00   0.08%   0.0035%

Orkla ASA

              0.00%
241143 IDOG   ORK NO   36,377.00   45.00   267,303.23   1,028,930,970.00   1.81%   0.0035%

Intuitive Surgical

              0.00%
Liberty All-Star Growth Fund   ISRG   1,000.00   384.44   384,440.00   39,709,910.00   0.30%   0.0025%
241142 BFOR   ISRG   366.00   384.44   140,705.04   39,709,910.00   0.18%   0.0009%

PPB Group

              0.00%

 

57


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

186239 CRBQ   PEP MK   40,700.00   13.34   164,277.76   1,185,499,880.00   0.25%   0.0034%

Hoya Corp

              0.00%
241143 IDOG   7741 JP   15,428.00   2,175.00   335,106.61   449,396,020.00   2.27%   0.0034%

China Construction

              0.00%
Clough China Fund   939 HK   8,150,080.00   5.93   6,231,783.58   240,417,300,000.00   7.49%   0.0034%

OGE Energy Corp

              0.00%
ALPS Alerian Energy Infrastructure   OGE   6,676.00   34.81   232,391.56   197,581,500.00   2.21%   0.0034%

Timken Co

              0.00%
241142 BFOR   TKR   3,172.00   60.26   191,144.72   95,006,240.00   0.25%   0.0033%

Advance Auto Parts

              0.00%
241142 BFOR   AAP   2,379.00   80.04   190,415.16   72,837,140.00   0.25%   0.0033%

Magnit OJSC

              0.00%
813978 RUDR   MGNT LI   2,434.00   58.60   142,632.40   88,975,070.00   5.90%   0.0027%
813977 EMDR   MGNT LI   456.00   58.60   26,721.60   88,975,070.00   1.13%   0.0005%

Ocwen Financial Corp

              0.00%
241142 BFOR   OCN   4,392.00   53.12   233,303.04   135,755,000.00   0.30%   0.0032%

Goodman Group

              0.00%
274027 GRI   GMG AU   249,053.00   4.73   1,075,650.99   7,735,816,740.00   1.01%   0.0032%

Expedia Inc

              0.00%
565020 GSRA   EXPE   3,912.00   48.18   188,480.16   123,193,400.00   1.62%   0.0032%

FleetCor Tech.

              0.00%
241142 BFOR   FLT   2,562.00   104.01   266,473.62   81,835,610.00   0.34%   0.0031%

Fidelity Natl. Finan

              0.00%
241142 BFOR   FNF   7,137.00   24.52   174,999.24   228,247,000.00   0.23%   0.0031%

Ulitimate Software

              0.00%
Liberty All-Star Growth Fund   ULTI   866.00   141.41   122,461.06   27,835,470.00   0.10%   0.0031%

 

58


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Home Depot Inc

              0.00%
Liberty All-Star Equity Fund   HD   41,841.00   72.99   3,053,974.59   1,432,443,000.00   0.26%   0.0029%
241142 BFOR   HD   2,562.00   72.99   187,000.38   1,432,443,000.00   0.24%   0.0002%

BJ’s Restaurants Inc

              0.00%
Liberty All-Star Growth Fund   BJRI   873.00   31.46   27,464.58   28,194,740.00   0.02%   0.0031%

Schlumberger Ltd

              0.00%
Liberty All-Star Equity Fund   SLB   28,590.00   84.22   2,407,849.80   1,323,183,000.00   0.21%   0.0022%
186239 CRBQ   SLB   11,895.00   84.22   1,001,796.90   1,323,183,000.00   1.55%   0.0009%

Hecla Mining Co.

              0.00%
186239 CRBQ   HL   10,462.00   3.35   35,047.70   342,638,200.00   0.05%   0.0031%

Shree Cement Ltd.

              0.00%
Kotak India Permier Equity Portfolio   SRCM IN   1,060.00   3,820.90   61,212.94   34,837,220.00   1.05%   0.0030%

PwShs Buyback Achv.

              0.00%
RiverFront Moderate Growth/Income Fund   PKW   50,830.00   38.09   1,936,114.70   3,445,000,000.00   1.64%   0.0015%
RiverFront Global Growth Fund   PKW   25,299.00   38.09   963,638.91   3,445,000,000.00   1.57%   0.0007%
RiverFront Dynamic Equity Income Fund   PKW   16,473.00   38.09   627,456.57   3,445,000,000.00   1.54%   0.0005%
RiverFront Global Allocation Fund   PKW   11,062.00   38.09   421,351.58   3,445,000,000.00   1.55%   0.0003%
RiverFront Conserv. Income Builder Fund   PKW   1,029.00   38.09   39,194.61   3,445,000,000.00   0.88%   0.0000%

Motherson Sumi Sys

              0.00%
Kotak India Permier Equity Portfolio   MSS IN   17,800.00   200.05   53,818.33   587,877,800.00   0.92%   0.0030%

Fossil Group Inc.

              0.00%
241142 BFOR   FOSL   1,708.00   114.50   195,566.00   56,468,640.00   0.25%   0.0030%

Swire Property Ltd.

              0.00%
274027 GRI   1972 HK   176,400.00   21.85   496,987.91   5,850,000,000.00   0.47%   0.0030%

Pembina Pipeline

              0.00%
ALPS Alerian Energy Infrastructure   PPL CN   9,290.00   32.27   285,363.19   309,450,100.00   2.71%   0.0030%

Kuala Lumpur Kepong

              0.00%

 

59


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

186239 CRBQ   KLK MK   32,020.00   21.44   207,718.25   1,067,504,690.00   0.32%   0.0030%

Huntington Bancshare

              0.00%
241142 BFOR   HBAN   24,522.00   8.47   207,701.34   829,674,900.00   0.27%   0.0030%

Resmed Inc

              0.00%
241142 BFOR   RMD   4,148.00   49.19   204,040.12   142,054,300.00   0.26%   0.0029%

Alleghany Corp

              0.00%
241142 BFOR   Y   488.00   389.51   190,080.88   16,766,190.00   0.25%   0.0029%

Tesla Motors Inc.

              0.00%
Liberty All-Star Growth Fund   TSLA   3,500.00   169.93   594,755.00   121,449,600.00   0.47%   0.0029%

X5 Retail Group NV

              0.00%
813978 RUDR   FIVE LI   1,807.00   16.60   29,996.20   67,893,210.00   1.24%   0.0027%
813977 EMDR   FIVE LI   135.00   16.60   2,241.00   67,893,210.00   0.10%   0.0002%

Mettler-Toledo Inter

              0.00%
241142 BFOR   MTD   854.00   223.96   191,261.84   29,945,250.00   0.25%   0.0029%

ArcelorMittal

              0.00%
241143 IDOG   MT NA   25,217.00   10.33   341,713.49   1,665,392,000.00   2.32%   0.0015%
186239 CRBQ   MT NA   22,002.00   10.33   298,147.29   1,665,392,000.00   0.46%   0.0013%

JSC MMC Norilsk

              0.00%
186239 CRBQ   MNOD LI   38,672.00   13.56   524,392.32   1,582,455,000.00   0.81%   0.0024%
813978 RUDR   MNOD LI   5,104.00   13.56   69,210.24   1,582,455,000.00   2.86%   0.0003%
813977 EMDR   MNOD LI   913.00   13.56   12,380.28   1,582,455,000.00   0.53%   0.0001%

Impala Platinum Hldg

              0.00%
186239 CRBQ   IMP SJ   17,816.00   117.50   204,911.90   632,214,300.00   0.32%   0.0028%

McDonald’s Corp

              0.00%
Liberty All-Star Equity Fund   MCD   26,000.00   95.66   2,487,160.00   999,645,800.00   0.21%   0.0026%
241142 BFOR   MCD   1,830.00   95.66   175,057.80   999,645,800.00   0.23%   0.0002%

Williams Cos Inc

              0.00%

 

60


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

ALPS Alerian Energy Infrastructure   WMB   12,867.00   35.13   452,017.71   682,693,300.00   4.30%   0.0019%
186239 CRBQ   WMB   6,033.00   35.13   211,939.29   682,693,300.00   0.33%   0.0009%

Petsmart Inc

              0.00%
241142 BFOR   PETM   2,867.00   69.87   200,317.29   103,907,700.00   0.26%   0.0028%

NRG Energy Inc

              0.00%
565020 GSRA   NRG   8,820.00   25.73   226,938.60   322,487,500.00   1.95%   0.0027%

PIK Group

              0.00%
813978 RUDR   PIK LI   13,037.00   1.89   24,639.93   493,260,400.00   1.02%   0.0026%
813977 EMDR   PIK LI   449.00   1.89   848.61   493,260,400.00   0.04%   0.0001%

TripAdvisor Inc.

              0.00%
241142 BFOR   TRIP   3,538.00   74.67   264,182.46   130,185,600.00   0.34%   0.0027%

Exide Industries Ltd

              0.00%
Kotak India Permier Equity Portfolio   EXID IN   23,056.00   122.30   42,616.92   850,000,000.00   0.73%   0.0027%

Family Dollar Stores

              0.00%
241142 BFOR   FDO   3,111.00   71.18   221,440.98   114,999,900.00   0.29%   0.0027%

Vgrd European

              0.00%
RiverFront Moderate Growth/Income Fund   VGK   156,740.00   52.04   8,156,749.60   15,923,500,000.00   6.91%   0.0010%
RiverFront Global Growth Fund   VGK   139,757.00   52.04   7,272,954.28   15,923,500,000.00   11.81%   0.0009%
RiverFront Dynamic Equity Income Fund   VGK   80,576.00   52.04   4,193,175.04   15,923,500,000.00   10.28%   0.0005%
RiverFront Global Allocation Fund   VGK   45,579.00   52.04   2,371,931.16   15,923,500,000.00   8.74%   0.0003%
RiverFront Conserv. Income Builder Fund   VGK   4,488.00   52.04   233,555.52   15,923,500,000.00   5.25%   0.0000%

Illumina Inc

              0.00%
241142 BFOR   ILMN   3,355.00   79.47   266,621.85   125,120,800.00   0.34%   0.0027%

Eisai Co. Ltd

              0.00%
241143 IDOG   4523 JP   7,940.00   4,200.00   333,030.41   296,566,940.00   2.26%   0.0027%

IndusInd Bank Ltd

              0.00%
Kotak India Permier Equity Portfolio   IIB IN   14,000.00   397.50   84,107.91   523,998,300.00   1.44%   0.0027%

 

61


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Oceaneering Intl.

              0.00%
241142 BFOR   OII   2,867.00   80.57   230,994.19   108,150,600.00   0.30%   0.0027%

DAIICHI SANKYO

              0.00%
241143 IDOG   4568 JP   18,628.00   1,831.00   340,618.84   709,011,340.00   2.31%   0.0026%

Sun TV Network Ltd

              0.00%
Kotak India Permier Equity Portfolio   SUNTV IN   10,350.00   401.35   62,782.02   394,084,620.00   1.08%   0.0026%

Energias de Portugal

              0.00%
241143 IDOG   EDP PL   91,764.00   2.69   323,812.04   3,496,537,710.00   2.20%   0.0026%

The ADT Corporation

              0.00%
565020 GSRA   ADT   5,506.00   39.95   219,964.70   210,519,600.00   1.89%   0.0026%

Pharmacyclics Inc

              0.00%
241142 BFOR   PCYC   1,891.00   118.42   223,932.22   73,148,990.00   0.29%   0.0026%

Helmerich & Payne

              0.00%
241142 BFOR   HP   2,745.00   64.50   177,052.50   106,488,500.00   0.23%   0.0026%

Li & Fung Limited

              0.00%
241143 IDOG   494 HK   214,856.00   11.58   320,812.91   8,360,398,000.00   2.18%   0.0026%

Pharmstandard

              0.00%
813978 RUDR   PHST LI   852.00   15.20   12,950.40   37,792,600.00   0.54%   0.0023%
813977 EMDR   PHST LI   109.00   15.20   1,656.80   37,792,600.00   0.07%   0.0003%

NiSource Inc

              0.00%
ALPS Alerian Energy Infrastructure   NI   7,944.00   29.01   230,455.44   312,580,900.00   2.19%   0.0025%

Glenmark Pharma Ltd

              0.00%
Kotak India Permier Equity Portfolio   GNP IN   6,885.00   513.80   53,465.02   270,939,500.00   0.92%   0.0025%

Calpine Corp

              0.00%
565020 GSRA   CPN   11,097.00   19.06   211,508.82   439,024,000.00   1.82%   0.0025%

TransCanada Corp.

              0.00%

 

62


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

ALPS Alerian Energy Infrastructure   TRP CN   11,562.00   45.89   505,049.91   706,373,700.00   4.80%   0.0016%
186239 CRBQ   TRP CN   6,268.00   45.89   273,798.03   706,373,700.00   0.42%   0.0009%

Scripps Networks

              0.00%
241142 BFOR   SNI   2,806.00   74.54   209,159.24   111,558,600.00   0.27%   0.0025%

Cipla Ltd/India

              0.00%
Kotak India Permier Equity Portfolio   CIPLA IN   20,103.00   418.60   127,183.80   802,921,350.00   2.18%   0.0025%

iShs Core S&P 500

              0.00%
Ibbotson Growth ETF Asset All   IVV   226,492.00   166.76   37,769,805.92   26,385,000,000.00   21.30%   0.0009%
Ibbotson Balanced ETF Asset All   IVV   220,776.00   166.76   36,816,605.76   26,385,000,000.00   18.36%   0.0008%
Ibbotson Income & Growth ETF Asset All   IVV   102,968.00   166.76   17,170,943.68   26,385,000,000.00   14.91%   0.0004%
Ibbotson Aggressive Growth ETF Asset All   IVV   75,376.00   166.76   12,569,701.76   26,385,000,000.00   20.89%   0.0003%
Ibbotson Conservative ETF Asset All   IVV   20,607.00   166.76   3,436,423.32   26,385,000,000.00   8.88%   0.0001%
535338 SPXH   IVV   8,819.00   166.76   1,470,656.44   26,385,000,000.00   24.69%   0.0000%
535337 TRSK   IVV   2,176.00   166.76   362,869.76   26,385,000,000.00   24.40%   0.0000%

Wilmar Intl Ltd

              0.00%
186239 CRBQ   WIL SP   159,000.00   3.08   382,280.16   6,396,424,000.00   0.59%   0.0025%

Solera Holdings Inc.

              0.00%
Liberty All-Star Growth Fund   SLH   1,699.00   51.42   87,362.58   68,805,760.00   0.07%   0.0025%

Tractor Supply Co

              0.00%
241142 BFOR   TSCO   1,708.00   124.71   213,004.68   69,808,880.00   0.28%   0.0024%

Pitney Bowes Inc

              0.00%
647103 SDOG   PBI   476,510.00   16.65   7,933,891.50   20,181,300,000.00   2.24%   0.0024%
241142 BFOR   PBI   12,810.00   16.65   213,286.50   20,181,300,000.00   0.28%   0.0001%

Sinofert Holdings

              0.00%
186239 CRBQ   297 HK   170,000.00   1.28   28,057.87   7,022,590,130.00   0.04%   0.0024%

F5 Networks Inc

              0.00%
241142 BFOR   FFIV   1,891.00   86.52   163,609.32   78,303,640.00   0.21%   0.0024%

Emerson Electric Co

              0.00%

 

63


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Liberty All-Star Equity Fund   EMR   14,000.00   61.67   863,380.00   714,531,400.00   0.07%   0.0020%
241142 BFOR   EMR   3,172.00   61.67   195,617.24   714,531,400.00   0.25%   0.0004%

Alliance Data Sys

              0.00%
241142 BFOR   ADS   1,159.00   197.97   229,447.23   48,742,780.00   0.30%   0.0024%

Gerdau S.A.

              0.00%
186239 CRBQ   GGB   25,755.00   7.38   190,071.90   1,146,031,000.00   0.29%   0.0022%
813977 EMDR   GGB   1,400.00   7.38   10,332.00   1,146,031,000.00   0.44%   0.0001%

SBA Communications

              0.00%
565020 GSRA   SBAC   2,996.00   75.33   225,688.68   127,786,900.00   1.94%   0.0023%

DR Horton Inc

              0.00%
241142 BFOR   DHI   7,564.00   17.77   134,412.28   322,837,800.00   0.17%   0.0023%

Aviva PLC

              0.00%
241143 IDOG   AV/LN   59,291.00   3.94   364,249.15   2,543,772,030.00   2.47%   0.0023%

Cia Siderurgica Nacl

              0.00%
186239 CRBQ   SID   32,747.00   4.00   130,988.00   1,457,970,000.00   0.20%   0.0022%
813977 EMDR   SID   1,187.00   4.00   4,748.00   1,457,970,000.00   0.20%   0.0001%

Varian Medical Sys.

              0.00%
241142 BFOR   VAR   2,501.00   71.89   179,796.89   107,653,700.00   0.23%   0.0023%

eBay Inc

              0.00%
Liberty All-Star Equity Fund   EBAY   30,047.00   51.95   1,560,941.65   1,294,532,000.00   0.13%   0.0023%

Vale SA

              0.00%
186239 CRBQ   VALE   73,184.00   15.53   1,136,547.52   3,256,724,000.00   1.76%   0.0022%
813977 EMDR   VALE   2,141.00   15.53   33,249.73   3,256,724,000.00   1.41%   0.0001%

Green Mtn Coffee

              0.00%
241142 BFOR   GMCR   3,477.00   84.88   295,127.76   150,739,200.00   0.38%   0.0023%

Tesoro Corp

              0.00%
241142 BFOR   TSO   3,111.00   46.40   144,350.40   135,082,900.00   0.19%   0.0023%

 

64


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

First Quantum Min.

              0.00%
186239 CRBQ   FM CN   13,079.00   18.15   225,961.50   575,178,200.00   0.35%   0.0023%

Western Union Co

              0.00%
241142 BFOR   WU   12,505.00   18.03   225,465.15   551,935,700.00   0.29%   0.0023%

Cameco Corp CAD$

              0.00%
186239 CRBQ   CCO CN   8,902.00   20.50   173,709.96   395,310,000.00   0.27%   0.0023%

JB Hunt Transport

              0.00%
241142 BFOR   JBHT   2,623.00   72.81   190,980.63   117,067,000.00   0.25%   0.0022%

Genting Plantations

              0.00%
186239 CRBQ   GENP MK   16,900.00   9.65   49,344.93   758,847,000.00   0.08%   0.0022%

United States Steel

              0.00%
186239 CRBQ   X   3,219.00   18.72   60,259.68   144,657,400.00   0.09%   0.0022%

PIMCO Enhan Shrt Mat

              0.00%
Ibbotson Income & Growth ETF Asset All   MINT   46,085.00   101.19   4,663,341.15   4,035,000,000.00   4.05%   0.0011%
Ibbotson Conservative ETF Asset All   MINT   23,050.00   101.19   2,332,429.50   4,035,000,000.00   6.03%   0.0006%
Ibbotson Balanced ETF Asset All   MINT   20,065.00   101.19   2,030,377.35   4,035,000,000.00   1.01%   0.0005%

Ensco PLC

              0.00%
241142 BFOR   ESV   3,111.00   55.63   173,064.93   233,530,800.00   0.22%   0.0013%
186239 CRBQ   ESV   2,048.00   55.63   113,930.24   233,530,800.00   0.18%   0.0009%

Wyndham Worldwide

              0.00%
241142 BFOR   WYN   2,928.00   60.43   176,939.04   132,960,200.00   0.23%   0.0022%

Hain Celestial Group

              0.00%
Liberty All-Star Growth Fund   HAIN   1,050.00   79.29   83,254.50   47,698,530.00   0.07%   0.0022%

Mead Johnson Nutr.

              0.00%
241142 BFOR   MJN   2,379.00   74.92   178,234.68   202,475,000.00   0.23%   0.0012%
Liberty All-Star Equity Fund   MJN   2,000.00   74.92   149,840.00   202,475,000.00   0.01%   0.0010%

 

65


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Oracle Corp

              0.00%
Liberty All-Star Equity Fund   ORCL   94,950.00   32.26   3,063,087.00   4,630,807,000.00   0.26%   0.0021%
241142 BFOR   ORCL   5,002.00   32.26   161,364.52   4,630,807,000.00   0.21%   0.0001%

FMC Corp

              0.00%
241142 BFOR   FMC   2,928.00   67.34   197,171.52   136,361,000.00   0.25%   0.0021%

BHP Billiton PLC

              0.00%
186239 CRBQ   BLT LN   45,210.00   19.13   1,347,842.95   2,112,071,790.00   2.09%   0.0021%

Iluka Resources

              0.00%
186239 CRBQ   ILU AU   8,904.00   10.97   89,188.78   418,700,500.00   0.14%   0.0021%

Jiangxi Copper

              0.00%
186239 CRBQ   358 HK   29,000.00   15.62   58,408.33   1,387,482,000.00   0.09%   0.0021%

Sterlite Industries

              0.00%
186239 CRBQ   SLT   16,637.00   6.27   104,313.99   840,164,600.00   0.16%   0.0020%
813979 ASDR   SLT   652.00   6.27   4,088.04   840,164,600.00   0.16%   0.0001%

Royal Dutch Shell

              0.00%
Liberty All-Star Equity Fund   RDS/A   17,614.00   64.70   1,139,625.80   1,910,806,000.00   0.10%   0.0009%
186239 CRBQ   RDSA NA   33,752.00   24.67   1,092,066.32   3,821,612,000.00   1.69%   0.0009%
241143 IDOG   RDSA NA   9,467.00   24.67   306,310.50   3,821,612,000.00   2.08%   0.0002%

SPDR Utilities

              0.00%
274147 EQL   XLU   295,686.00   36.72   10,857,589.92   14,502,400,000.00   10.69%   0.0020%

BorgWarner Inc

              0.00%
241142 BFOR   BWA   2,318.00   99.28   230,131.04   114,476,800.00   0.30%   0.0020%

SPDR Consumer Staple

              0.00%
274147 EQL   XLP   273,948.00   39.67   10,867,517.16   13,552,100,000.00   10.70%   0.0020%

Cameron Inter. Corp.

              0.00%
241142 BFOR   CAM   2,806.00   58.81   165,020.86   246,117,900.00   0.21%   0.0011%
186239 CRBQ   CAM   2,144.00   58.81   126,088.64   246,117,900.00   0.20%   0.0009%

 

66


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

SPDR Industrial

              0.00%
274147 EQL   XLI   255,379.00   44.88   11,461,409.52   12,762,600,000.00   11.29%   0.0020%

Liberty Interactive

              0.00%
565020 GSRA   LINTA   9,785.00   23.44   229,360.40   491,514,100.00   1.97%   0.0020%

CH Robinson WW

              0.00%
241142 BFOR   CHRW   3,172.00   57.84   183,468.48   159,343,900.00   0.24%   0.0020%

Kla-Tencor Corp

              0.00%
241142 BFOR   KLAC   3,294.00   58.54   192,830.76   165,885,700.00   0.25%   0.0020%

PNC Financial Svs.

              0.00%
Liberty All-Star Equity Fund   PNC   10,525.00   73.35   772,008.75   531,512,000.00   0.07%   0.0020%

Anglo American PLC

              0.00%
186239 CRBQ   AAL LN   27,525.00   15.71   674,072.88   1,394,135,000.00   1.04%   0.0020%

Rio Tinto PLC

              0.00%
186239 CRBQ   RIO LN   27,611.00   30.99   1,333,634.97   1,411,024,580.00   2.07%   0.0020%

Snam Rete Gas SpA

              0.00%
241143 IDOG   SRG IM   65,764.00   3.53   304,530.86   3,381,638,000.00   2.07%   0.0019%

Sigma-Aldrich Corp

              0.00%
241142 BFOR   SIAL   2,318.00   83.53   193,622.54   120,239,300.00   0.25%   0.0019%

Nippon Steel & Sumit

              0.00%
186239 CRBQ   5401 JP   182,000.00   313.00   568,892.00   9,503,214,000.00   0.88%   0.0019%

Teradata Corp.

              0.00%
241142 BFOR   TDC   3,111.00   57.51   178,913.61   163,100,000.00   0.23%   0.0019%

Cognizant Technology

              0.00%
565020 GSRA   CTSH   3,471.00   76.00   263,796.00   301,368,700.00   2.27%   0.0012%
241142 BFOR   CTSH   2,257.00   76.00   171,532.00   301,368,700.00   0.22%   0.0007%

SPDR Consumer Disc.

              0.00%

 

67


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

274147 EQL   XLY   196,478.00   58.72   11,537,188.16   10,355,300,000.00   11.36%   0.0019%

FirstEnergy Corp

              0.00%
Liberty All-Star Equity Fund   FE   7,860.00   36.56   287,361.60   418,216,000.00   0.02%   0.0019%

Shriram Trans Fin Co

              0.00%
Kotak India Permier Equity Portfolio   SHTF IN   4,250.00   499.60   32,090.98   226,863,900.00   0.55%   0.0019%

Cummins Inc

              0.00%
Liberty All-Star Growth Fund   CMI   1,950.00   127.11   247,864.50   187,229,100.00   0.19%   0.0010%
241142 BFOR   CMI   1,525.00   127.11   193,842.75   187,229,100.00   0.25%   0.0008%

JFE Holdings Inc.

              0.00%
186239 CRBQ   5411 JP   11,400.00   2,416.00   275,052.68   614,438,390.00   0.43%   0.0019%

Repsol YPF S.A.

              0.00%
241143 IDOG   REP SM   13,745.00   18.23   328,700.07   1,220,863,460.00   2.23%   0.0011%
186239 CRBQ   REP SM   8,583.00   18.23   205,255.20   1,220,863,460.00   0.32%   0.0007%

Teck Cominco

              0.00%
186239 CRBQ   TCK/B CN   10,504.00   27.63   276,260.55   576,625,000.00   0.43%   0.0018%

Posco

              0.00%
186239 CRBQ   005490KS   1,577.00   327,500.00   470,210.54   87,186,830.00   0.73%   0.0018%

Republic Services

              0.00%
565020 GSRA   RSG   6,538.00   32.38   211,700.44   362,022,900.00   1.82%   0.0018%

Walt Disney Co

              0.00%
Liberty All-Star Equity Fund   DIS   28,996.00   61.30   1,777,454.80   1,786,442,000.00   0.15%   0.0016%
241142 BFOR   DIS   3,172.00   61.30   194,443.60   1,786,442,000.00   0.25%   0.0002%

Fortum OYJ

              0.00%
241143 IDOG   FUM1V FH   15,957.00   15.43   322,987.38   888,367,040.00   2.19%   0.0018%

Chipotle Mexican

              0.00%
241142 BFOR   CMG   549.00   408.72   224,387.28   30,869,460.00   0.29%   0.0018%

 

68


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Uralkali

              0.00%
186239 CRBQ   URKA LI   47,605.00   24.75   1,178,223.75   2,936,015,890.00   1.83%   0.0016%
813978 RUDR   URKA LI   4,009.00   24.75   99,222.75   2,936,015,890.00   4.10%   0.0001%
813977 EMDR   URKA LI   545.00   24.75   13,488.75   2,936,015,890.00   0.57%   0.0000%

China Mobile HK Ltd

              0.00%
Clough China Fund   941 HK   357,000.00   84.90   3,908,154.32   20,101,090,000.00   4.70%   0.0018%
813979 ASDR   CHL   3,536.00   55.23   195,293.28   2,010,121,700,000.00   7.59%   0.0000%
813977 EMDR   CHL   1,662.00   55.23   91,792.26   2,010,121,700,000.00   3.90%   0.0000%

Vgrd ST Corp Bond

              0.00%
RiverFront Moderate Growth/Income Fund   VCSH   134,842.00   78.80   10,625,549.60   8,490,000,000.00   9.00%   0.0016%
RiverFront Conserv. Income Builder Fund   VCSH   8,823.00   78.80   695,252.40   8,490,000,000.00   15.63%   0.0001%
RiverFront Global Allocation Fund   VCSH   6,862.00   78.80   540,725.60   8,490,000,000.00   1.99%   0.0001%

Polymetal Intl

              0.00%
186239 CRBQ   POLY LN   6,800.00   7.47   79,130.16   385,081,000.00   0.12%   0.0018%

Noble Energy Inc

              0.00%
241142 BFOR   NBL   3,180.00   62.90   200,022.00   357,547,400.00   0.26%   0.0009%
186239 CRBQ   NBL   3,094.00   62.90   194,612.60   357,547,400.00   0.30%   0.0009%

Ametek Inc

              0.00%
241142 BFOR   AME   4,270.00   43.86   187,282.20   244,224,400.00   0.24%   0.0017%

Harmony Gold Mining

              0.00%
186239 CRBQ   HAR SJ   6,913.00   39.96   27,040.28   431,564,230.00   0.04%   0.0016%
813977 EMDR   HMY   574.00   3.88   2,227.12   435,289,900.00   0.09%   0.0001%

Kobe Steel Ltd.

              0.00%
186239 CRBQ   5406 JP   54,000.00   169.00   91,136.97   3,115,061,100.00   0.14%   0.0017%

Perrigo Co

              0.00%
241142 BFOR   PRGO   1,586.00   123.38   195,680.68   94,235,100.00   0.25%   0.0017%

Nike Inc

              0.00%
Liberty All-Star Equity Fund   NKE   8,671.00   65.38   566,909.98   712,394,600.00   0.05%   0.0012%
241142 BFOR   NKE   3,233.00   65.38   211,373.54   712,394,600.00   0.27%   0.0005%

 

69


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Hindustan Zinc Ltd.

              0.00%
Kotak India Permier Equity Portfolio   HZ IN   69,227.00   124.00   129,738.50   4,225,319,000.00   2.22%   0.0016%

Clorox Co

              0.00%
241142 BFOR   CLX   2,135.00   82.34   175,795.90   130,429,800.00   0.23%   0.0016%

Moody’s Corp

              0.00%
241142 BFOR   MCO   3,599.00   63.62   228,968.38   220,400,000.00   0.30%   0.0016%

Liberty Media Corp.

              0.00%
565020 GSRA   LMCA   1,803.00   143.88   259,415.64   110,639,400.00   2.23%   0.0016%

ThyssenKrupp AG

              0.00%
186239 CRBQ   TKA GR   8,380.00   15.86   174,292.48   514,489,000.00   0.27%   0.0016%

Lupin Limited

              0.00%
Kotak India Permier Equity Portfolio   LPC IN   7,215.00   854.60   93,190.34   447,810,100.00   1.60%   0.0016%

Itochu Corp.

              0.00%
241143 IDOG   8001 JP   25,324.00   1,148.00   290,327.58   1,584,889,500.00   1.97%   0.0016%

Western Digital

              0.00%
241142 BFOR   WDC   3,782.00   65.08   246,132.56   236,996,100.00   0.32%   0.0016%

ConAgra Foods Inc

              0.00%
565020 GSRA   CAG   6,731.00   33.82   227,642.42   422,076,200.00   1.96%   0.0016%

HollyFrontier Corp

              0.00%
241142 BFOR   HFC   3,172.00   44.06   139,758.32   199,857,000.00   0.18%   0.0016%

CHI Steel Corp

              0.00%
186239 CRBQ   2002 TT   238,638.00   26.00   208,319.50   15,046,209,350.00   0.32%   0.0016%

Genuine Parts Co

              0.00%
241142 BFOR   GPC   2,440.00   78.32   191,100.80   154,859,400.00   0.25%   0.0016%

O’Reilly Automotive

              0.00%

 

70


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241142 BFOR   ORLY   1,708.00   123.50   210,938.00   108,554,700.00   0.27%   0.0016%

Amphenol Corp

              0.00%
241142 BFOR   APH   2,501.00   75.63   189,150.63   159,158,400.00   0.24%   0.0016%

SPDR Health Care

              0.00%
274147 EQL   XLV   228,555.00   50.18   11,468,889.90   14,636,500,000.00   11.29%   0.0016%

Weatherford Intl Ltd

              0.00%
Liberty All-Star Equity Fund   WFT   11,975.00   15.61   186,929.75   767,710,900.00   0.02%   0.0016%

Turquoise Hill Res.

              0.00%
186239 CRBQ   TRQ CN   15,496.00   5.41   79,799.50   1,005,610,000.00   0.12%   0.0015%

Gazprom

              0.00%
186239 CRBQ   OGZD LI   105,375.00   8.32   876,720.00   11,836,760,000.00   1.36%   0.0009%
813978 RUDR   OGZD LI   64,974.00   8.32   540,583.68   11,836,760,000.00   22.35%   0.0005%
813977 EMDR   OGZD LI   9,416.00   8.32   78,341.12   11,836,760,000.00   3.33%   0.0001%

Precision Castparts

              0.00%
Liberty All-Star Equity Fund   PCP   2,000.00   216.99   433,980.00   145,535,000.00   0.04%   0.0014%
Liberty All-Star Growth Fund   PCP   200.00   216.99   43,398.00   145,535,000.00   0.03%   0.0001%

iShs Barclays TIPS

              0.00%
Ibbotson Balanced ETF Asset All   TIP   82,531.00   108.71   8,971,945.01   12,940,000,000.00   4.47%   0.0006%
Ibbotson Income & Growth ETF Asset All   TIP   77,563.00   108.71   8,431,873.73   12,940,000,000.00   7.32%   0.0006%
Ibbotson Conservative ETF Asset All   TIP   34,999.00   108.71   3,804,741.29   12,940,000,000.00   9.83%   0.0003%

Edison International

              0.00%
565020 GSRA   EIX   4,883.00   44.36   216,609.88   325,811,000.00   1.86%   0.0015%

iShs MSCI Asia ExJpn

              0.00%
RiverFront Global Growth Fund   AAXJ   39,169.00   56.60   2,216,965.40   4,030,000,000.00   3.60%   0.0010%
RiverFront Dynamic Equity Income Fund   AAXJ   12,534.00   56.60   709,424.40   4,030,000,000.00   1.74%   0.0003%
RiverFront Global Allocation Fund   AAXJ   8,356.00   56.60   472,949.60   4,030,000,000.00   1.74%   0.0002%

SPDR BC HY Bond

              0.00%
Ibbotson Balanced ETF Asset All   JNK   166,685.00   39.25   6,542,386.25   22,677,300,000.00   3.26%   0.0007%

 

71


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Ibbotson Income & Growth ETF Asset All   JNK   102,150.00   39.25   4,009,387.50   22,677,300,000.00   3.48%   0.0005%
Ibbotson Conservative ETF Asset All   JNK   36,755.00   39.25   1,442,633.75   22,677,300,000.00   3.73%   0.0002%
RiverFront Moderate Growth/Income Fund   JNK   29,272.00   39.25   1,148,926.00   22,677,300,000.00   0.97%   0.0001%
RiverFront Conserv. Income Builder Fund   JNK   1,071.00   39.25   42,036.75   22,677,300,000.00   0.95%   0.0000%

Ross Stores Inc

              0.00%
241142 BFOR   ROST   3,233.00   69.56   224,887.48   218,677,600.00   0.29%   0.0015%

Larsen & Toubro Ltd.

              0.00%
Kotak India Permier Equity Portfolio   LT IN   13,595.00   727.80   149,541.92   925,256,300.00   2.56%   0.0015%

Enbridge Inc.

              0.00%
ALPS Alerian Energy Infrastructure   ENB CN   12,063.00   43.19   495,931.63   823,730,000.00   4.72%   0.0015%

Etalon Group Ltd

              0.00%
813978 RUDR   ETLN LI   4,133.00   4.55   18,805.15   294,958,000.00   0.78%   0.0014%
813977 EMDR   ETLN LI   186.00   4.55   846.30   294,958,000.00   0.04%   0.0001%

Polycom Inc

              0.00%
Liberty All-Star Growth Fund   PLCM   2,441.00   10.43   25,459.63   169,622,800.00   0.02%   0.0014%

BB&T Corp

              0.00%
241142 BFOR   BBT   5,795.00   33.93   196,624.35   703,868,700.00   0.25%   0.0008%
Liberty All-Star Equity Fund   BBT   4,300.00   33.93   145,899.00   703,868,700.00   0.01%   0.0006%

Dr. Reddy’s Labs Ltd

              0.00%
Kotak India Permier Equity Portfolio   DRRD IN   2,428.00   2,294.10   84,184.61   169,996,400.00   1.44%   0.0014%

Mahindra & Mah Ltd

              0.00%
Kotak India Permier Equity Portfolio   MM IN   8,780.00   777.05   103,113.41   615,892,400.00   1.77%   0.0014%

Windstream Holdings

              0.00%
647103 SDOG   WIN   836,602.00   8.23   6,885,234.46   59,281,200,000.00   1.95%   0.0014%

Bed Bath & Beyond

              0.00%
241142 BFOR   BBBY   3,050.00   72.68   221,674.00   217,765,600.00   0.29%   0.0014%

Rockwell Automation

              0.00%

 

72


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241142 BFOR   ROK   1,952.00   99.77   194,751.04   139,803,700.00   0.25%   0.0014%

Mail.ru Group Ltd

              0.00%
813978 RUDR   MAIL LI   1,283.00   35.50   45,546.50   101,008,500.00   1.88%   0.0013%
813977 EMDR   MAIL LI   125.00   35.50   4,437.50   101,008,500.00   0.19%   0.0001%

American Tower Corp

              0.00%
565020 GSRA   AMT   2,902.00   68.75   199,512.50   394,997,200.00   1.72%   0.0007%
Liberty All-Star Equity Fund   AMT   2,100.00   68.75   144,375.00   394,997,200.00   0.01%   0.0005%
Liberty All-Star Growth Fund   AMT   500.00   68.75   34,375.00   394,997,200.00   0.03%   0.0001%

Comcast Corp

              0.00%
Liberty All-Star Equity Fund   CMCSA   23,660.00   42.55   1,006,733.00   2,133,605,000.00   0.09%   0.0011%
565020 GSRA   CMCSA   5,574.00   42.55   237,173.70   2,133,605,000.00   2.04%   0.0003%

LKQ Corporation

              0.00%
Liberty All-Star Growth Fund   LKQ   4,056.00   29.74   120,625.44   300,119,800.00   0.09%   0.0014%

BofI Holding Inc

              0.00%
Liberty All-Star Growth Fund   BOFI   13,376.00   63.18   845,095.68   1,378,500,000.00   0.66%   0.0010%
241142 BFOR   BOFI   5,124.00   63.18   323,734.32   1,378,500,000.00   0.42%   0.0004%

Infosys Technologies

              0.00%
Kotak India Permier Equity Portfolio   INFO IN   7,643.00   3,004.80   347,097.20   574,236,160.00   5.95%   0.0013%

HDFC Bank Ltd

              0.00%
Kotak India Permier Equity Portfolio   HDFCB IN   31,673.00   609.50   291,765.94   2,389,358,000.00   5.00%   0.0013%
813979 ASDR   HDB   1,320.00   30.46   40,207.20   238,935,800,000.00   1.56%   0.0000%
813977 EMDR   HDB   618.00   30.46   18,824.28   238,935,800,000.00   0.80%   0.0000%

Halliburton Co

              0.00%
186239 CRBQ   HAL   7,747.00   49.77   385,568.19   913,580,900.00   0.60%   0.0008%
241142 BFOR   HAL   4,331.00   49.77   215,553.87   913,580,900.00   0.28%   0.0005%

Coach Inc

              0.00%
241142 BFOR   COH   3,721.00   53.40   198,701.40   281,933,900.00   0.26%   0.0013%

Hershey Co/The

              0.00%

 

73


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241142 BFOR   HSY   2,135.00   90.19   192,555.65   162,563,700.00   0.25%   0.0013%

Danaher Corp

              0.00%
RiverFront Global Growth Fund   DHR   6,555.00   67.22   440,627.10   692,707,100.00   0.72%   0.0009%
RiverFront Global Allocation Fund   DHR   2,523.00   67.22   169,596.06   692,707,100.00   0.62%   0.0004%

Ameriprise Financial

              0.00%
241142 BFOR   AMP   2,562.00   87.79   224,917.98   197,850,200.00   0.29%   0.0013%

iShs MSCI EAFE Value

              0.00%
RiverFront Moderate Growth/Income Fund   EFV   27,274.00   51.72   1,410,611.28   4,000,000,000.00   1.19%   0.0007%
RiverFront Global Growth Fund   EFV   11,170.00   51.72   577,712.40   4,000,000,000.00   0.94%   0.0003%
RiverFront Dynamic Equity Income Fund   EFV   7,508.00   51.72   388,313.76   4,000,000,000.00   0.95%   0.0002%
RiverFront Global Allocation Fund   EFV   4,957.00   51.72   256,376.04   4,000,000,000.00   0.94%   0.0001%
RiverFront Conserv. Income Builder Fund   EFV   829.00   51.72   42,875.88   4,000,000,000.00   0.96%   0.0000%

Industrias Penoles

              0.00%
186239 CRBQ   PE&OLES*   5,069.00   406.38   153,887.66   397,475,740.00   0.24%   0.0013%

Rexnord Corp

              0.00%
Liberty All-Star Growth Fund   RXN   1,241.00   19.20   23,827.20   97,403,720.00   0.02%   0.0013%

PwShs Senior Loan

              0.00%
RiverFront Moderate Growth/Income Fund   BKLN   175,554.00   24.76   4,346,717.04   21,490,000,000.00   3.68%   0.0008%
RiverFront Dynamic Equity Income Fund   BKLN   51,499.00   24.76   1,275,115.24   21,490,000,000.00   3.13%   0.0002%
RiverFront Global Allocation Fund   BKLN   40,013.00   24.76   990,721.88   21,490,000,000.00   3.65%   0.0002%
RiverFront Conserv. Income Builder Fund   BKLN   6,523.00   24.76   161,509.48   21,490,000,000.00   3.63%   0.0000%

Southern Copper Corp

              0.00%
565020 GSRA   SCCO   7,139.00   27.31   194,966.09   842,128,300.00   1.68%   0.0008%
186239 CRBQ   SCCO   3,542.00   27.31   96,732.02   842,128,300.00   0.15%   0.0004%

ExamWorks Group Inc.

              0.00%
Liberty All-Star Growth Fund   EXAM   44,876.00   23.98   1,076,126.48   3,544,200,000.00   0.85%   0.0013%

Tech Mahindra

              0.00%
Kotak India Permier Equity Portfolio   TECHM IN   2,930.00   1,382.40   61,217.14   232,313,600.00   1.05%   0.0013%

 

74


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Tata Motors Ltd.

              0.00%
Kotak India Permier Equity Portfolio   TTMT IN   33,950.00   318.10   163,220.66   2,694,081,000.00   2.80%   0.0013%

Mattel Inc

              0.00%
241142 BFOR   MAT   4,333.00   41.11   178,129.63   344,556,200.00   0.23%   0.0013%

Diageo PLC

              0.00%
Liberty All-Star Equity Fund   DEO   7,858.00   123.08   967,162.64   627,738,900.00   0.08%   0.0013%

Globaltrans Invest

              0.00%
813978 RUDR   GLTR LI   2,067.00   13.85   28,627.95   178,740,900.00   1.18%   0.0012%
813977 EMDR   GLTR LI   159.00   13.85   2,202.15   178,740,900.00   0.09%   0.0001%

Discovery Comm.

              0.00%
Liberty All-Star Growth Fund   DISCA   1,800.00   77.59   139,662.00   147,220,400.00   0.11%   0.0012%

Fifth Third Bancorp

              0.00%
241142 BFOR   FITB   11,102.00   18.53   205,720.06   910,173,900.00   0.27%   0.0012%

Omnicom Group

              0.00%
241142 BFOR   OMC   3,111.00   62.52   194,499.72   257,193,000.00   0.25%   0.0012%

Orange

              0.00%
241143 IDOG   ORA FP   31,613.00   8.42   349,301.86   2,648,890,000.00   2.37%   0.0012%

Waste Connections

              0.00%
Liberty All-Star Growth Fund   WCN   1,472.00   42.60   62,707.20   123,484,500.00   0.05%   0.0012%

iShs Core MSCI EMKT

              0.00%
RiverFront Global Growth Fund   IEMG   24,990.00   46.88   1,171,531.20   4,080,000,000.00   1.90%   0.0006%
RiverFront Dynamic Equity Income Fund   IEMG   12,338.00   46.88   578,405.44   4,080,000,000.00   1.42%   0.0003%
RiverFront Global Allocation Fund   IEMG   11,292.00   46.88   529,368.96   4,080,000,000.00   1.95%   0.0003%

T-Mobile US Inc.

              0.00%
241142 BFOR   TMUS   8,479.00   24.58   208,413.82   726,716,600.00   0.27%   0.0012%

Estee Lauder Co

              0.00%
241142 BFOR   EL   2,745.00   67.37   184,930.65   238,430,100.00   0.24%   0.0012%

 

75


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Housing Dev. Finance

              0.00%
Kotak India Permier Equity Portfolio   HDFC IN   17,850.00   750.40   202,442.98   1,554,560,000.00   3.47%   0.0011%

WW Grainger Inc

              0.00%
241142 BFOR   GWW   793.00   259.55   205,823.15   69,497,220.00   0.27%   0.0011%

Reliance Inusdries

              0.00%
186239 CRBQ   RIGD LI   14,376.00   26.00   373,776.00   1,614,776,000.00   0.58%   0.0009%
813979 ASDR   RIGD LI   2,673.00   26.00   69,498.00   1,614,776,000.00   2.70%   0.0002%
813977 EMDR   RIGD LI   1,264.00   26.00   32,864.00   1,614,776,000.00   1.40%   0.0001%

NovaTek OAO

              0.00%
186239 CRBQ   NVTK LI   2,667.00   128.10   341,642.70   303,630,600.00   0.53%   0.0009%
813978 RUDR   NVTK LI   627.00   128.10   80,318.70   303,630,600.00   3.32%   0.0002%
813977 EMDR   NVTK LI   131.00   128.10   16,781.10   303,630,600.00   0.71%   0.0000%

ITC Limited

              0.00%
Kotak India Permier Equity Portfolio   ITC IN   87,650.00   312.15   413,510.88   7,907,941,000.00   7.09%   0.0011%

Virtus Investment

              0.00%
Liberty All-Star Growth Fund   VRTS   90.00   175.57   15,801.30   8,145,830.00   0.01%   0.0011%

Axis Bank Ltd

              0.00%
Kotak India Permier Equity Portfolio   AXSB IN   3,854.00   927.50   54,025.32   468,973,600.00   0.93%   0.0008%
813979 ASDR   AXB LI   780.00   13.60   10,608.00   414,291,000.00   0.41%   0.0002%
813977 EMDR   AXB LI   359.00   13.60   4,882.40   414,291,000.00   0.21%   0.0001%

Crown Castle Intl Co

              0.00%
565020 GSRA   CCI   3,169.00   69.22   219,358.18   292,683,900.00   1.89%   0.0011%

Groupo Mexico SA de

              0.00%
186239 CRBQ   GMEXICOB   83,984.00   38.97   244,498.47   7,785,000,000.00   0.38%   0.0011%

Motorola Solutions

              0.00%
241142 BFOR   MSI   2,867.00   56.17   161,039.39   265,854,500.00   0.21%   0.0011%

Sands China Ltd.

              0.00%

 

76


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Clough China Fund   1928 HK   86,800.00   46.30   518,198.93   8,058,879,000.00   0.62%   0.0011%

Regeneron Pharma.

              0.00%
241142 BFOR   REGN   1,037.00   268.64   278,579.68   96,710,120.00   0.36%   0.0011%

Oil India Ltd.

              0.00%
Kotak India Permier Equity Portfolio   OINL IN   6,444.00   432.60   42,132.16   601,135,900.00   0.72%   0.0011%

Fortescue Metals

              0.00%
186239 CRBQ   FMG AU   33,192.00   4.42   133,959.70   3,113,798,150.00   0.21%   0.0011%

Philip Morris Intl.

              0.00%
Liberty All-Star Equity Fund   PM   15,467.00   84.10   1,300,774.70   1,635,507,000.00   0.11%   0.0009%
241142 BFOR   PM   1,952.00   84.10   164,163.20   1,635,507,000.00   0.21%   0.0001%

Symantec Corp

              0.00%
241142 BFOR   SYMC   7,320.00   25.45   186,294.00   698,622,000.00   0.24%   0.0010%

Becton Dickinson&Co.

              0.00%
241142 BFOR   BDX   2,013.00   98.82   198,924.66   194,212,300.00   0.26%   0.0010%

Rosneft Oil

              0.00%
186239 CRBQ   ROSN LI   94,358.00   7.73   729,387.34   10,598,177,810.00   1.13%   0.0009%
813978 RUDR   ROSN LI   13,420.00   7.73   103,736.60   10,598,177,810.00   4.29%   0.0001%
813977 EMDR   ROSN LI   1,659.00   7.73   12,824.07   10,598,177,810.00   0.54%   0.0000%

LUKOIL

              0.00%
186239 CRBQ   LKOD LI   6,278.00   59.50   373,541.00   850,563,250.00   0.58%   0.0007%
813978 RUDR   LKOD LI   1,660.00   59.50   98,770.00   850,563,250.00   4.08%   0.0002%
813977 EMDR   LKOD LI   823.00   59.50   48,968.50   850,563,250.00   2.08%   0.0001%

Total SA

              0.00%
186239 CRBQ   FP FP   18,211.00   42.14   1,006,692.21   2,376,735,000.00   1.56%   0.0008%
241143 IDOG   FP FP   6,216.00   42.14   343,616.43   2,376,735,000.00   2.33%   0.0003%

Petroleo Brasileiro

              0.00%
186239 CRBQ   PBR   33,152.00   14.56   482,693.12   3,721,227,000.00   0.75%   0.0009%
813977 EMDR   PBR   2,631.00   14.56   38,307.36   3,721,227,000.00   1.63%   0.0001%

 

77


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813977 EMDR   PBR/A   3,382.00   15.28   51,676.96   5,602,043,000.00   2.19%   0.0001%

DLF Ltd

              0.00%
Kotak India Permier Equity Portfolio   DLFU IN   18,080.00   137.85   37,668.37   1,780,467,000.00   0.65%   0.0010%

Vinci SA

              0.00%
241143 IDOG   DG FP   6,032.00   40.40   319,637.22   598,977,000.00   2.17%   0.0010%

ENI Spa

              0.00%
186239 CRBQ   ENI IM   22,508.00   17.27   509,914.81   3,634,185,330.00   0.79%   0.0006%
241143 IDOG   ENI IM   13,824.00   17.27   313,180.31   3,634,185,330.00   2.12%   0.0004%

VF Corp

              0.00%
241142 BFOR   VFC   1,098.00   193.30   212,243.40   109,919,200.00   0.27%   0.0010%

Alexion Pharma Inc.

              0.00%
241142 BFOR   ALXN   1,952.00   112.49   219,580.48   195,558,000.00   0.28%   0.0010%

SPDR Technology

              0.00%
274147 EQL   XLK   354,268.00   31.75   11,248,009.00   36,090,500,000.00   11.08%   0.0010%

Bajaj Auto Limited

              0.00%
Kotak India Permier Equity Portfolio   BJAUT IN   2,788.00   1,901.00   80,102.59   289,367,020.00   1.37%   0.0010%

PPG Industries Inc

              0.00%
241142 BFOR   PPG   1,342.00   160.57   215,484.94   142,646,400.00   0.28%   0.0009%

Global Ports Inv PLC

              0.00%
813978 RUDR   GLPR LI   1,412.00   11.19   15,800.28   156,667,000.00   0.65%   0.0009%
813977 EMDR   GLPR LI   61.00   11.19   682.59   156,667,000.00   0.03%   0.0000%

Exxon Mobil Corp

              0.00%
186239 CRBQ   XOM   39,723.00   87.35   3,469,804.05   4,446,376,000.00   5.38%   0.0009%
241142 BFOR   XOM   2,013.00   87.35   175,835.55   4,446,376,000.00   0.23%   0.0000%

T. Rowe Price Group

              0.00%
241142 BFOR   TROW   2,379.00   70.94   168,766.26   260,135,400.00   0.22%   0.0009%

 

78


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Visa Inc.

              0.00%
Liberty All-Star Equity Fund   V   4,100.00   176.21   722,461.00   514,589,400.00   0.06%   0.0008%
Liberty All-Star Growth Fund   V   600.00   176.21   105,726.00   514,589,400.00   0.08%   0.0001%

Metlife Inc

              0.00%
Liberty All-Star Equity Fund   MET   10,000.00   48.40   484,000.00   1,097,145,000.00   0.04%   0.0009%

Samsung Electronics

              0.00%
813979 ASDR   SMSD LI   155.00   410.70   63,658.50   45,700,000.00   2.47%   0.0003%
813979 ASDR   SMSN LI   817.00   619.00   505,723.00   294,598,700.00   19.65%   0.0003%
813977 EMDR   SMSD LI   73.00   410.70   29,981.10   45,700,000.00   1.27%   0.0002%
813977 EMDR   SMSN LI   385.00   619.00   238,315.00   294,598,700.00   10.12%   0.0001%

Sirius XM Radio Inc.

              0.00%
241142 BFOR   SIRI   56,107.00   3.80   213,206.60   6,209,264,000.00   0.28%   0.0009%

BP PLC

              0.00%
186239 CRBQ   BP/ LN   168,509.00   4.46   1,170,894.57   18,844,510,000.00   1.81%   0.0009%
Liberty All-Star Equity Fund   BP   2,844.00   41.55   118,168.20   1,884,950,600,000.00   0.01%   0.0000%

E.ON AG

              0.00%
241143 IDOG   EOAN GR   17,881.00   12.11   284,056.24   2,001,000,000.00   1.93%   0.0009%

National-Oilwell Inc

              0.00%
186239 CRBQ   NOV   3,815.00   77.52   295,738.80   427,518,300.00   0.46%   0.0009%

Valero Energy Corp

              0.00%
186239 CRBQ   VLO   4,819.00   36.75   177,098.25   542,142,700.00   0.27%   0.0009%

Apache Corp

              0.00%
186239 CRBQ   APA   3,459.00   86.19   298,131.21   389,422,900.00   0.46%   0.0009%

EnCana Corp

              0.00%
186239 CRBQ   ECA CN   6,524.00   18.38   114,141.28   736,300,000.00   0.18%   0.0009%

Suncor Energy

              0.00%
186239 CRBQ   SU CN   13,380.00   36.26   461,814.10   1,513,324,000.00   0.72%   0.0009%

 

79


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Intuit Inc

              0.00%
241142 BFOR   INTU   2,623.00   64.18   168,344.14   296,925,300.00   0.22%   0.0009%

Marathon Oil Corp

              0.00%
186239 CRBQ   MRO   6,260.00   35.89   224,671.40   708,817,000.00   0.35%   0.0009%

EOG Resources Inc

              0.00%
186239 CRBQ   EOG   2,405.00   161.43   388,239.15   272,419,300.00   0.60%   0.0009%

iShs Barclays 1-3 CB

              0.00%
RiverFront Moderate Growth/Income Fund   CSJ   82,818.00   104.62   8,664,419.16   10,610,000,000.00   7.34%   0.0008%
RiverFront Conserv. Income Builder Fund   CSJ   6,231.00   104.62   651,887.22   10,610,000,000.00   14.66%   0.0001%
RiverFront Global Allocation Fund   CSJ   4,446.00   104.62   465,140.52   10,610,000,000.00   1.71%   0.0000%

Anadarko Petroleum

              0.00%
186239 CRBQ   APC   4,422.00   92.75   410,140.50   502,705,700.00   0.64%   0.0009%

LSR Group OJSC

              0.00%
813978 RUDR   LSRG LI   4,250.00   4.25   18,058.28   515,151,100.00   0.75%   0.0008%
813977 EMDR   LSRG LI   262.00   4.25   1,113.24   515,151,100.00   0.05%   0.0001%

Ericsson LM-B SHS

              0.00%
241143 IDOG   ERICB SS   25,916.00   83.65   324,641.29   2,964,695,750.00   2.20%   0.0009%

Takeda Pharma Co

              0.00%
241143 IDOG   4502 JP   6,888.00   4,630.00   318,484.45   789,666,090.00   2.16%   0.0009%

Goldman Sachs Group

              0.00%
Liberty All-Star Equity Fund   GS   3,875.00   156.17   605,158.75   449,103,600.00   0.05%   0.0009%

Canadian Natural Res

              0.00%
186239 CRBQ   CNQ CN   9,355.00   32.54   289,764.12   1,087,269,000.00   0.45%   0.0009%

Norsk Hydro ASA

              0.00%
186239 CRBQ   NHY NO   17,700.00   25.12   72,603.53   2,068,998,270.00   0.11%   0.0009%

Microsoft Corp

              0.00%
Liberty All-Star Equity Fund   MSFT   64,550.00   31.24   2,016,542.00   8,328,000,000.00   0.17%   0.0008%

 

80


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241142 BFOR   MSFT   6,405.00   31.24   200,092.20   8,328,000,000.00   0.26%   0.0001%

Transocean Ltd.

              0.00%
186239 CRBQ   RIG   3,045.00   46.45   141,440.25   360,410,800.00   0.22%   0.0008%

Pioneer Natural Res.

              0.00%
186239 CRBQ   PXD   1,170.00   182.00   212,940.00   138,546,600.00   0.33%   0.0008%

Wesfarmers Limited

              0.00%
241143 IDOG   WES AU   8,413.00   40.20   308,812.88   1,005,148,010.00   2.10%   0.0008%

iShs MSCI Pac Ex-Jpn

              0.00%
RiverFront Global Growth Fund   EPP   31,383.00   45.83   1,438,282.89   6,690,000,000.00   2.34%   0.0005%
RiverFront Dynamic Equity Income Fund   EPP   13,584.00   45.83   622,554.72   6,690,000,000.00   1.53%   0.0002%
RiverFront Global Allocation Fund   EPP   10,734.00   45.83   491,939.22   6,690,000,000.00   1.81%   0.0002%

Woolworths Limited

              0.00%
241143 IDOG   WOW AU   10,058.00   35.33   324,469.39   1,226,894,810.00   2.20%   0.0008%

Zurich Financial Svs

              0.00%
241143 IDOG   ZURN VX   1,188.00   236.50   297,408.70   148,300,100.00   2.02%   0.0008%

EMC Corp

              0.00%
565020 GSRA   EMC   9,117.00   26.32   239,959.44   2,080,854,000.00   2.06%   0.0004%
241142 BFOR   EMC   7,503.00   26.32   197,478.96   2,080,854,000.00   0.26%   0.0004%

Antofagasta plc

              0.00%
186239 CRBQ   ANTO LN   7,818.00   8.81   107,368.01   985,856,690.00   0.17%   0.0008%

Chesapeake Energy Co

              0.00%
186239 CRBQ   CHK   5,277.00   26.17   138,099.09   665,524,200.00   0.21%   0.0008%

iShs MSCI ACWI ex-US

              0.00%
RiverFront Global Growth Fund   ACWX   23,538.00   42.96   1,011,192.48   4,320,000,000.00   1.64%   0.0005%
RiverFront Global Allocation Fund   ACWX   10,582.00   42.96   454,602.72   4,320,000,000.00   1.67%   0.0002%

Norfolk Southern

              0.00%
241142 BFOR   NSC   2,440.00   74.13   180,877.20   311,952,800.00   0.23%   0.0008%

 

81


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Anglo Platinum

              0.00%
186239 CRBQ   AMS SJ   2,108.00   410.00   84,600.63   269,681,880.00   0.13%   0.0008%

CSX Corp

              0.00%
241142 BFOR   CSX   7,930.00   25.43   201,659.90   1,018,837,000.00   0.26%   0.0008%

Kazakhmys PLC

              0.00%
186239 CRBQ   KAZ LN   4,064.00   3.15   19,949.40   523,718,350.00   0.03%   0.0008%

Hess Corp

              0.00%
186239 CRBQ   HES   2,635.00   76.53   201,656.55   343,401,300.00   0.31%   0.0008%

Severstal

              0.00%
813978 RUDR   SVST LI   3,246.00   8.59   27,883.14   837,718,700.00   1.15%   0.0004%
186239 CRBQ   SVST LI   2,854.00   8.59   24,515.86   837,718,700.00   0.04%   0.0003%
813977 EMDR   SVST LI   275.00   8.59   2,362.25   837,718,700.00   0.10%   0.0000%

State Bank of India

              0.00%
Kotak India Permier Equity Portfolio   SBIN IN   4,750.00   1,638.15   117,603.15   684,034,000.00   2.02%   0.0007%
813979 ASDR   SBID LI   227.00   50.25   11,406.75   634,999,590.00   0.44%   0.0000%
813977 EMDR   SBID LI   105.00   50.25   5,276.25   634,999,590.00   0.22%   0.0000%

Ultrapar Participaco

              0.00%
813977 EMDR   UGP   647.00   22.94   14,842.18   86,666,000.00   0.63%   0.0007%

SPDR Financial

              0.00%
274147 EQL   XLF   565,953.00   19.80   11,205,869.40   76,179,500,000.00   11.03%   0.0007%

Rostelecom OJSC

              0.00%
813978 RUDR   RKMD LI   3,254.00   18.57   60,426.78   490,641,200.00   2.50%   0.0007%
813977 EMDR   RKMD LI   376.00   18.57   6,982.32   490,641,200.00   0.30%   0.0001%

IHS Inc - Class A

              0.00%
Liberty All-Star Growth Fund   IHS   481.00   108.26   52,073.06   65,733,000.00   0.04%   0.0007%

FedEx Corp

              0.00%
565020 GSRA   FDX   2,307.00   109.05   251,578.35   316,117,300.00   2.16%   0.0007%

 

82


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Tesco PLC

              0.00%
241143 IDOG   TSCO LN   58,869.00   3.67   336,971.11   8,081,510,000.00   2.29%   0.0007%

Stratasys Inc

              0.00%
Liberty All-Star Equity Fund   SSYS   31,393.00   107.06   3,360,934.58   4,319,900,000.00   0.29%   0.0007%

Stryker Corp

              0.00%
241142 BFOR   SYK   2,745.00   67.79   186,083.55   378,132,200.00   0.24%   0.0007%

Maruti Suzuki India

              0.00%
Kotak India Permier Equity Portfolio   MSIL IN   2,180.00   1,299.60   42,819.13   302,080,100.00   0.73%   0.0007%

ACE Ltd

              0.00%
Liberty All-Star Equity Fund   ACE   2,400.00   88.19   211,656.00   340,118,500.00   0.02%   0.0007%

Canon Inc

              0.00%
241143 IDOG   7751 JP   9,400.00   3,115.00   292,415.24   1,333,763,000.00   1.98%   0.0007%

Dominion Resources

              0.00%
ALPS Alerian Energy Infrastructure   D   4,073.00   57.51   234,238.23   579,020,100.00   2.23%   0.0007%

Avon Products Inc

              0.00%
647103 SDOG   AVP   304,167.00   19.80   6,022,506.60   43,365,700,000.00   1.70%   0.0007%

NextEra Energy Inc.

              0.00%
565020 GSRA   NEE   2,936.00   79.96   234,762.56   424,662,300.00   2.02%   0.0007%

Hon Hai Precision

              0.00%
813979 ASDR   HHPD LI   18,878.00   4.94   93,257.32   4,031,932,460.00   3.62%   0.0005%
813977 EMDR   HHPD LI   8,928.00   4.94   44,104.32   4,031,932,460.00   1.87%   0.0002%

Woodside Petroleum

              0.00%
186239 CRBQ   WPL AU   5,676.00   38.95   201,868.39   823,910,700.00   0.31%   0.0007%

TAL Education Group

              0.00%
813979 ASDR   XRS   111.00   12.43   1,379.73   24,000,000.00   0.05%   0.0005%
813977 EMDR   XRS   53.00   12.43   658.79   24,000,000.00   0.03%   0.0002%

 

83


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Vgrd Info Technology

              0.00%
RiverFront Moderate Growth/Income Fund   VGT   16,468.00   78.85   1,298,501.80   4,504,200,000.00   1.10%   0.0004%
RiverFront Global Growth Fund   VGT   8,022.00   78.85   632,534.70   4,504,200,000.00   1.03%   0.0002%
RiverFront Dynamic Equity Income Fund   VGT   5,369.00   78.85   423,345.65   4,504,200,000.00   1.04%   0.0001%
RiverFront Conserv. Income Builder Fund   VGT   429.00   78.85   33,826.65   4,504,200,000.00   0.76%   0.0000%

Sun Pharmaceutical

              0.00%
Kotak India Permier Equity Portfolio   SUNP IN   13,750.00   518.60   107,772.24   2,067,964,000.00   1.85%   0.0007%

Marathon Petroleum

              0.00%
241142 BFOR   MPC   2,013.00   72.10   145,137.30   313,074,200.00   0.19%   0.0006%

Illinois Tool Works

              0.00%
241142 BFOR   ITW   2,867.00   72.57   208,058.19   447,880,500.00   0.27%   0.0006%

O’Key Group SA

              0.00%
813978 RUDR   OKEY LI   1,660.00   12.90   21,414.00   269,074,000.00   0.89%   0.0006%
813977 EMDR   OKEY LI   58.00   12.90   748.20   269,074,000.00   0.03%   0.0000%

Cairn India Ltd

              0.00%
Kotak India Permier Equity Portfolio   CAIR IN   11,991.00   335.10   60,729.75   1,910,442,000.00   1.04%   0.0006%

GDF Suez

              0.00%
241143 IDOG   GSZ FP   15,072.00   16.64   328,898.64   2,412,824,080.00   2.23%   0.0006%

Hennes & Mauritz AB

              0.00%
241143 IDOG   HMB SS   9,024.00   247.20   334,054.55   1,460,672,000.00   2.27%   0.0006%

Inpex Corp.

              0.00%
186239 CRBQ   1605 JP   22.00   463,000.00   101,722.67   3,655,800.00   0.16%   0.0006%

Automatic Data

              0.00%
241142 BFOR   ADP   2,867.00   72.34   207,398.78   485,222,400.00   0.27%   0.0006%

Vgrd REIT

              0.00%
Ibbotson Growth ETF Asset All   VNQ   65,852.00   63.81   4,202,016.12   26,067,300,000.00   2.37%   0.0003%
Ibbotson Balanced ETF Asset All   VNQ   59,238.00   63.81   3,779,976.78   26,067,300,000.00   1.89%   0.0002%

 

84


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Ibbotson Aggressive Growth ETF Asset All   VNQ   26,954.00   63.81   1,719,934.74   26,067,300,000.00   2.86%   0.0001%

Mobile Telesystems

              0.00%
813978 RUDR   MBT   5,210.00   21.22   110,556.20   1,033,207,000.00   4.57%   0.0005%
813977 EMDR   MBT   793.00   21.22   16,827.46   1,033,207,000.00   0.71%   0.0001%

Sasol

              0.00%
186239 CRBQ   SOL SJ   3,766.00   486.75   179,434.27   648,904,500.00   0.28%   0.0006%

Reliance Industries

              0.00%
Kotak India Permier Equity Portfolio   RIL IN   18,675.00   862.55   243,453.81   3,229,552,000.00   4.17%   0.0006%

Franklin Resources

              0.00%
241142 BFOR   BEN   3,672.00   46.14   169,426.08   637,828,100.00   0.22%   0.0006%

NQ Mobile Inc

              0.00%
813979 ASDR   NQ   99.00   17.27   1,709.73   27,335,320.00   0.07%   0.0004%
813977 EMDR   NQ   58.00   17.27   1,001.66   27,335,320.00   0.04%   0.0002%

Bharti Airtel Ltd.

              0.00%
Kotak India Permier Equity Portfolio   BHARTIIN   22,850.00   296.20   102,292.30   3,997,400,000.00   1.75%   0.0006%

Vgrd FTSE Emerge Mkt

              0.00%
Ibbotson Growth ETF Asset All   VWO   294,734.00   39.05   11,509,362.70   123,238,800,000.00   6.49%   0.0002%
Ibbotson Balanced ETF Asset All   VWO   223,314.00   39.05   8,720,411.70   123,238,800,000.00   4.35%   0.0002%
Ibbotson Aggressive Growth ETF Asset All   VWO   118,627.00   39.05   4,632,384.35   123,238,800,000.00   7.70%   0.0001%
Ibbotson Income & Growth ETF Asset All   VWO   60,366.00   39.05   2,357,292.30   123,238,800,000.00   2.05%   0.0000%
RiverFront Conserv. Income Builder Fund   VWO   933.00   39.05   36,433.65   123,238,800,000.00   0.82%   0.0000%

Glencore Intl PLC

              0.00%
186239 CRBQ   GLEN LN   75,048.00   3.16   369,741.55   13,263,410,000.00   0.57%   0.0006%

TJX Cos Inc

              0.00%
241142 BFOR   TJX   4,026.00   54.12   217,887.12   715,235,600.00   0.28%   0.0006%

WNS Holdings Ltd ADR

              0.00%
813979 ASDR   WNS   140.00   20.61   2,885.40   39,802,000.00   0.11%   0.0004%
813977 EMDR   WNS   80.00   20.61   1,648.80   39,802,000.00   0.07%   0.0002%

 

85


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Eurasia Drilling Co

              0.00%
813978 RUDR   EDCL LI   716.00   41.65   29,821.40   146,759,500.00   1.23%   0.0005%
813977 EMDR   EDCL LI   49.00   41.65   2,040.85   146,759,500.00   0.09%   0.0000%

Facebook Inc

              0.00%
565020 GSRA   FB   9,419.00   42.67   401,908.73   1,817,515,000.00   3.46%   0.0005%

Carnival Corp

              0.00%
Liberty All-Star Equity Fund   CCL   3,060.00   35.94   109,976.40   591,569,000.00   0.01%   0.0005%

Nat. Australia

              0.00%
241143 IDOG   NAB AU   10,985.00   32.74   328,395.50   2,133,340,700.00   2.23%   0.0005%

Trina Solar LTD ADR

              0.00%
813979 ASDR   TSL   254.00   11.14   2,829.56   73,651,000.00   0.11%   0.0003%
813977 EMDR   TSL   120.00   11.14   1,336.80   73,651,000.00   0.06%   0.0002%

Mindray Medical Intl

              0.00%
813979 ASDR   MR   298.00   40.77   12,149.46   86,093,000.00   0.47%   0.0003%
813977 EMDR   MR   134.00   40.77   5,463.18   86,093,000.00   0.23%   0.0002%

China Petro & Chem

              0.00%
813979 ASDR   SNP   865.00   76.96   66,570.40   255,134,000.00   2.59%   0.0003%
813977 EMDR   SNP   412.00   76.96   31,707.52   255,134,000.00   1.35%   0.0002%

China Life Insurance

              0.00%
813979 ASDR   LFC   1,679.00   39.80   66,824.20   496,078,300.00   2.60%   0.0003%
813977 EMDR   LFC   803.00   39.80   31,959.40   496,078,300.00   1.36%   0.0002%

Shinhan Fin Group

              0.00%
813979 ASDR   SHG   1,603.00   38.97   62,468.91   474,199,600.00   2.43%   0.0003%
813977 EMDR   SHG   768.00   38.97   29,928.96   474,199,600.00   1.27%   0.0002%

Silicon Motion Tech.

              0.00%
813979 ASDR   SIMO   115.00   11.67   1,342.05   33,713,240.00   0.05%   0.0003%
813977 EMDR   SIMO   53.00   11.67   618.51   33,713,240.00   0.03%   0.0002%

 

86


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

China Telecom Corp

              0.00%
813979 ASDR   CHA   474.00   53.78   25,491.72   138,774,100.00   0.99%   0.0003%
813977 EMDR   CHA   216.00   53.78   11,616.48   138,774,100.00   0.49%   0.0002%

PetroChina Co Ltd.

              0.00%
813979 ASDR   PTR   712.00   111.30   79,245.60   210,989,000.00   3.08%   0.0003%
813977 EMDR   PTR   336.00   111.30   37,396.80   210,989,000.00   1.59%   0.0002%

KB Financial Group

              0.00%
813979 ASDR   KB   1,299.00   33.15   43,061.85   386,352,000.00   1.67%   0.0003%
813977 EMDR   KB   620.00   33.15   20,553.00   386,352,000.00   0.87%   0.0002%

E-Com China Dangdang

              0.00%
813979 ASDR   DANG   180.00   7.96   1,432.80   53,881,630.00   0.06%   0.0003%
813977 EMDR   DANG   87.00   7.96   692.52   53,881,630.00   0.03%   0.0002%

Baidu Inc.

              0.00%
813979 ASDR   BIDU   914.00   132.99   121,552.86   272,244,500.00   4.72%   0.0003%
813977 EMDR   BIDU   432.00   132.99   57,451.68   272,244,500.00   2.44%   0.0002%

YY Inc

              0.00%
813979 ASDR   YY   32.00   43.70   1,398.40   8,970,000.00   0.05%   0.0004%
813977 EMDR   YY   12.00   43.70   524.40   8,970,000.00   0.02%   0.0001%

Youku Tudou Inc.

              0.00%
813979 ASDR   YOKU   431.00   24.32   10,481.92   129,207,400.00   0.41%   0.0003%
813977 EMDR   YOKU   199.00   24.32   4,839.68   129,207,400.00   0.21%   0.0002%

Sinopec Shanghai Pet

              0.00%
813979 ASDR   SHI   76.00   37.78   2,871.28   23,300,000.00   0.11%   0.0003%
813977 EMDR   SHI   37.00   37.78   1,397.86   23,300,000.00   0.06%   0.0002%

Baxter International

              0.00%
241142 BFOR   BAX   2,623.00   69.78   183,032.94   542,786,700.00   0.24%   0.0005%

Cambrex Corp

              0.00%
241142 BFOR   CBM   14,532.00   12.76   185,428.32   3,017,600,000.00   0.24%   0.0005%

 

87


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Wuxi Pharmatech

              0.00%
813979 ASDR   WX   227.00   25.19   5,718.13   70,392,600.00   0.22%   0.0003%
813977 EMDR   WX   110.00   25.19   2,770.90   70,392,600.00   0.12%   0.0002%

O2Micro Intl

              0.00%
813979 ASDR   OIIM   97.00   3.05   295.85   29,974,280.00   0.01%   0.0003%
813977 EMDR   OIIM   46.00   3.05   140.30   29,974,280.00   0.01%   0.0002%

Guangshen Railway Co

              0.00%
813979 ASDR   GSH   92.00   25.58   2,353.36   28,626,000.00   0.09%   0.0003%
813977 EMDR   GSH   44.00   25.58   1,125.52   28,626,000.00   0.05%   0.0002%

Priceline.com Inc

              0.00%
241142 BFOR   PCLN   244.00   957.33   233,588.52   51,500,530.00   0.30%   0.0005%

Posco-ADR

              0.00%
813979 ASDR   PKX   1,122.00   74.94   84,082.68   348,747,300.00   3.27%   0.0003%
813977 EMDR   PKX   529.00   74.94   39,643.26   348,747,300.00   1.68%   0.0002%

FT DJ Internet Index

              0.00%
RiverFront Global Growth Fund   FDN   9,683.00   51.16   495,382.28   2,710,000,000.00   0.80%   0.0004%
RiverFront Global Allocation Fund   FDN   3,128.00   51.16   160,028.48   2,710,000,000.00   0.59%   0.0001%

Duke Energy

              0.00%
565020 GSRA   DUK   3,331.00   64.80   215,848.80   706,000,000.00   1.86%   0.0005%

United Microelec.

              0.00%
813979 ASDR   UMC   8,357.00   1.99   16,630.43   2,587,573,000.00   0.65%   0.0003%
813977 EMDR   UMC   3,809.00   1.99   7,579.91   2,587,573,000.00   0.32%   0.0001%

PwShs S&P 500 Low

              0.00%
RiverFront Moderate Growth/Income Fund   SPLV   65,133.00   30.69   1,998,931.77   14,180,000,000.00   1.69%   0.0005%
RiverFront Conserv. Income Builder Fund   SPLV   1,347.00   30.69   41,339.43   14,180,000,000.00   0.93%   0.0000%

Siliconware Precisio

              0.00%
813979 ASDR   SPIL   1,996.00   5.69   11,357.24   623,272,200.00   0.44%   0.0003%
813977 EMDR   SPIL   918.00   5.69   5,223.42   623,272,200.00   0.22%   0.0001%

 

88


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Daimler AG

              0.00%
241143 IDOG   DAI GR   4,926.00   54.07   349,396.99   1,069,436,000.00   2.37%   0.0005%

Perfect World Co Ltd

              0.00%
813979 ASDR   PWRD   131.00   20.54   2,690.74   42,524,300.00   0.10%   0.0003%
813977 EMDR   PWRD   62.00   20.54   1,273.48   42,524,300.00   0.05%   0.0001%

Acer Inc

              0.00%
813979 ASDR   ACID LI   1,705.00   3.41   5,805.53   566,945,000.00   0.23%   0.0003%
813977 EMDR   ACID LI   826.00   3.41   2,812.53   566,945,000.00   0.12%   0.0001%

Ctrip.com Intl.

              0.00%
813979 ASDR   CTRP   438.00   47.15   20,651.70   143,397,900.00   0.80%   0.0003%
813977 EMDR   CTRP   200.00   47.15   9,430.00   143,397,900.00   0.40%   0.0001%

Hindustan Unilever

              0.00%
Kotak India Permier Equity Portfolio   HUVR IN   9,605.00   628.00   91,165.12   2,162,533,000.00   1.56%   0.0004%

Tata Consultancy

              0.00%
Kotak India Permier Equity Portfolio   TCS IN   8,650.00   1,990.75   260,258.26   1,957,220,990.00   4.46%   0.0004%

Korea Electric Power

              0.00%
813979 ASDR   KEP   1,926.00   13.63   26,251.38   641,964,000.00   1.02%   0.0003%
813977 EMDR   KEP   884.00   13.63   12,048.92   641,964,000.00   0.51%   0.0001%

Pactera Tech Intl

              0.00%
813979 ASDR   PACT   272.00   6.93   1,884.96   90,714,460.00   0.07%   0.0003%
813977 EMDR   PACT   125.00   6.93   866.25   90,714,460.00   0.04%   0.0001%

Biogen Idec Inc

              0.00%
241142 BFOR   BIIB   1,037.00   227.70   236,124.90   237,671,600.00   0.31%   0.0004%

Target Corp

              0.00%
241142 BFOR   TGT   2,745.00   63.46   174,197.70   631,124,900.00   0.23%   0.0004%

Phoenix New Media

              0.00%
813979 ASDR   FENG   111.00   9.82   1,090.02   38,262,000.00   0.04%   0.0003%
813977 EMDR   FENG   52.00   9.82   510.64   38,262,000.00   0.02%   0.0001%

 

89


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Camelot Info Sys

              0.00%
813979 ASDR   CIS   127.00   1.79   227.33   44,405,340.00   0.01%   0.0003%
813977 EMDR   CIS   62.00   1.79   110.98   44,405,340.00   0.00%   0.0001%

China Digital TV

              0.00%
813979 ASDR   STV   165.00   1.37   226.05   58,244,000.00   0.01%   0.0003%
813977 EMDR   STV   82.00   1.37   112.34   58,244,000.00   0.00%   0.0001%

Infosys Tech Ltd

              0.00%
813979 ASDR   INFY   1,629.00   46.14   75,162.06   574,236,200.00   2.92%   0.0003%
813977 EMDR   INFY   779.00   46.14   35,943.06   574,236,200.00   1.53%   0.0001%

Las Vegas Sands Corp

              0.00%
241142 BFOR   LVS   3,416.00   58.90   201,202.40   824,061,800.00   0.26%   0.0004%

New Oriental Edu.

              0.00%
813979 ASDR   EDU   446.00   21.37   9,531.02   158,379,400.00   0.37%   0.0003%
813977 EMDR   EDU   206.00   21.37   4,402.22   158,379,400.00   0.19%   0.0001%

OI SA

              0.00%
813977 EMDR   OIBR   1,313.00   1.61   2,113.93   399,597,000.00   0.09%   0.0003%
813977 EMDR   OIBR/C   425.00   1.87   794.75   514,757,900.00   0.03%   0.0001%

Banco Santander SA

              0.00%
241143 IDOG   SAN SM   45,350.00   5.48   326,065.97   11,092,110,000.00   2.21%   0.0004%

Charm Comm.

              0.00%
813979 ASDR   CHRM   21.00   3.94   82.74   7,599,800.00   0.00%   0.0003%
813977 EMDR   CHRM   10.00   3.94   39.40   7,599,800.00   0.00%   0.0001%

ChinaEdu Corp

              0.00%
813979 ASDR   CEDU   49.00   6.67   326.83   18,131,730.00   0.01%   0.0003%
813977 EMDR   CEDU   24.00   6.67   160.08   18,131,730.00   0.01%   0.0001%

Advanced Semi Engr.

              0.00%
813979 ASDR   ASX   4,084.00   4.59   18,745.56   1,520,424,000.00   0.73%   0.0003%
813977 EMDR   ASX   1,858.00   4.59   8,528.22   1,520,424,000.00   0.36%   0.0001%

 

90


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

China Steel Corp

              0.00%
813979 ASDR   CNSD LI   2,022.00   17.21   34,798.62   763,600,000.00   1.35%   0.0003%
813977 EMDR   CNSD LI   958.00   17.21   16,487.18   763,600,000.00   0.70%   0.0001%

Pike Electric Corp.

              0.00%
241142 BFOR   PIKE   12,322.00   10.40   128,148.80   3,176,200,000.00   0.17%   0.0004%

The9 Limited

              0.00%
813979 ASDR   NCTY   60.00   3.06   183.60   23,275,000.00   0.01%   0.0003%
813977 EMDR   NCTY   29.00   3.06   88.74   23,275,000.00   0.00%   0.0001%

Core Laboratories

              0.00%
Liberty All-Star Growth Fund   CLB   174.00   155.92   27,130.08   45,639,250.00   0.02%   0.0004%

Semiconductor Mfg

              0.00%
813979 ASDR   SMI   1,607.00   3.76   6,042.32   639,972,400.00   0.23%   0.0003%
813977 EMDR   SMI   732.00   3.76   2,752.32   639,972,400.00   0.12%   0.0001%

Westpac Banking Corp

              0.00%
241143 IDOG   WBC AU   11,150.00   31.48   320,500.01   3,080,091,490.00   2.17%   0.0004%

Accenture PLC

              0.00%
241142 BFOR   ACN   2,318.00   74.00   171,532.00   644,848,600.00   0.22%   0.0004%

Hyundai Motor Co

              0.00%
813979 ASDR   HYUD LI   121.00   47.30   5,723.30   50,200,000.00   0.22%   0.0002%
813977 EMDR   HYUD LI   59.00   47.30   2,790.70   50,200,000.00   0.12%   0.0001%

Taiwan Semi Mfg Co

              0.00%
813979 ASDR   TSM   12,451.00   17.18   213,908.18   5,185,647,000.00   8.31%   0.0002%
813977 EMDR   TSM   5,878.00   17.18   100,984.04   5,185,647,000.00   4.29%   0.0001%

NTPC Ltd.

              0.00%
Kotak India Permier Equity Portfolio   NTPC IN   29,000.00   130.45   57,176.00   8,245,464,000.00   0.98%   0.0004%

Renesola Ltd

              0.00%
813979 ASDR   SOL   204.00   5.69   1,160.76   86,304,830.00   0.05%   0.0002%

 

91


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813977 EMDR   SOL   99.00   5.69   563.31   86,304,830.00   0.02%   0.0001%

MV Oil Services

              0.00%
RiverFront Global Growth Fund   OIH   9,746.00   46.41   452,311.86   3,636,000,000.00   0.73%   0.0003%
RiverFront Global Allocation Fund   OIH   2,859.00   46.41   132,686.19   3,636,000,000.00   0.49%   0.0001%

Changyou.com

              0.00%
813979 ASDR   CYOU   34.00   28.66   974.44   15,000,000.00   0.04%   0.0002%
813977 EMDR   CYOU   17.00   28.66   487.22   15,000,000.00   0.02%   0.0001%

Colgate-Palmolive Co

              0.00%
241142 BFOR   CL   3,111.00   57.53   178,975.83   927,677,400.00   0.23%   0.0003%

UnitedHealth Group

              0.00%
241142 BFOR   UNH   3,355.00   74.04   248,404.20   1,016,700,000.00   0.32%   0.0003%

PepsiCo Inc

              0.00%
565020 GSRA   PEP   2,768.00   79.07   218,865.76   1,542,214,000.00   1.88%   0.0002%
241142 BFOR   PEP   2,318.00   79.07   183,284.26   1,542,214,000.00   0.24%   0.0002%

Yingli Green Energy

              0.00%
813979 ASDR   YGE   342.00   5.51   1,884.42   157,575,800.00   0.07%   0.0002%
813977 EMDR   YGE   166.00   5.51   914.66   157,575,800.00   0.04%   0.0001%

JA Solar Holdings

              0.00%
813979 ASDR   JASO   95.00   8.72   828.40   43,225,050.00   0.03%   0.0002%
813977 EMDR   JASO   44.00   8.72   383.68   43,225,050.00   0.02%   0.0001%

LG Electronics Inc

              0.00%
813979 ASDR   LGLD LI   74.00   12.98   960.52   34,400,000.00   0.04%   0.0002%
813977 EMDR   LGLD LI   36.00   12.98   467.28   34,400,000.00   0.02%   0.0001%

Mastercard Inc

              0.00%
241142 BFOR   MA   366.00   629.00   230,214.00   115,994,200.00   0.30%   0.0003%

VisionChina Media

              0.00%
813979 ASDR   VISN   11.00   1.94   21.34   5,112,500.00   0.00%   0.0002%
813977 EMDR   VISN   5.00   1.94   9.70   5,112,500.00   0.00%   0.0001%

 

92


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Noah Holdings Ltd.

              0.00%
813979 ASDR   NOAH   59.00   15.24   899.16   27,874,000.00   0.03%   0.0002%
813977 EMDR   NOAH   27.00   15.24   411.48   27,874,000.00   0.02%   0.0001%

WT Japan Hedged Eq.

              0.00%
RiverFront Global Growth Fund   DXJ   28,795.00   46.31   1,333,496.45   22,330,000,000.00   2.17%   0.0001%
RiverFront Moderate Growth/Income Fund   DXJ   21,988.00   46.31   1,018,264.28   22,330,000,000.00   0.86%   0.0001%
RiverFront Dynamic Equity Income Fund   DXJ   9,554.00   46.31   442,445.74   22,330,000,000.00   1.08%   0.0000%
RiverFront Global Allocation Fund   DXJ   7,294.00   46.31   337,785.14   22,330,000,000.00   1.24%   0.0000%

RDA Microelectronics

              0.00%
813979 ASDR   RDA   110.00   11.81   1,299.10   45,700,000.00   0.05%   0.0002%
813977 EMDR   RDA   28.00   11.81   330.68   45,700,000.00   0.01%   0.0001%

Abbott Laboratories

              0.00%
Liberty All-Star Equity Fund   ABT   4,675.00   33.74   157,734.50   1,554,125,000.00   0.01%   0.0003%

China Southern Airls

              0.00%
813979 ASDR   ZNH   111.00   17.94   1,991.34   55,898,340.00   0.08%   0.0002%
813977 EMDR   ZNH   55.00   17.94   986.70   55,898,340.00   0.04%   0.0001%

KongZhong Corp

              0.00%
813979 ASDR   KONG   83.00   11.86   984.38   41,548,480.00   0.04%   0.0002%
813977 EMDR   KONG   40.00   11.86   474.40   41,548,480.00   0.02%   0.0001%

Boeing Co

              0.00%
241142 BFOR   BA   2,196.00   106.65   234,203.40   754,444,300.00   0.30%   0.0003%

Cigna Corp

              0.00%
Liberty All-Star Equity Fund   CI   78,025.00   81.25   6,339,531.25   28,283,900,000.00   0.55%   0.0003%
241142 BFOR   CI   3,050.00   81.25   247,812.50   28,283,900,000.00   0.32%   0.0000%

iShs MSCI S. Korea

              0.00%
RiverFront Global Growth Fund   EWY   8,965.00   59.36   532,162.40   5,900,000,000.00   0.86%   0.0002%
RiverFront Dynamic Equity Income Fund   EWY   4,656.00   59.36   276,380.16   5,900,000,000.00   0.68%   0.0001%
RiverFront Global Allocation Fund   EWY   3,107.00   59.36   184,431.52   5,900,000,000.00   0.68%   0.0001%

 

93


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

CVS/Caremark Corp

              0.00%
241142 BFOR   CVS   3,477.00   58.46   203,265.42   1,228,369,000.00   0.26%   0.0003%

Union Pacific Corp

              0.00%
241142 BFOR   UNP   1,292.00   156.12   201,707.04   463,844,300.00   0.26%   0.0003%

E-House China Hlds

              0.00%
813979 ASDR   EJ   223.00   7.86   1,752.78   119,955,000.00   0.07%   0.0002%
813977 EMDR   EJ   111.00   7.86   872.46   119,955,000.00   0.04%   0.0001%

Renren Inc

              0.00%
813979 ASDR   RENN   456.00   3.42   1,559.52   242,308,200.00   0.06%   0.0002%
813977 EMDR   RENN   211.00   3.42   721.62   242,308,200.00   0.03%   0.0001%

Ninetowns

              0.00%
813979 ASDR   NINE   71.00   1.66   117.86   38,791,830.00   0.00%   0.0002%
813977 EMDR   NINE   35.00   1.66   58.10   38,791,830.00   0.00%   0.0001%

CNinsure Inc

              0.00%
813979 ASDR   CISG   92.00   4.93   453.56   50,140,500.00   0.02%   0.0002%
813977 EMDR   CISG   44.00   4.93   216.92   50,140,500.00   0.01%   0.0001%

Megafon

              0.00%
813978 RUDR   MFON LI   1,510.00   35.25   53,227.50   620,000,000.00   2.20%   0.0002%
813977 EMDR   MFON LI   145.00   35.25   5,111.25   620,000,000.00   0.22%   0.0000%

China Finance Online

              0.00%
813979 ASDR   JRJC   40.00   1.80   72.00   22,177,580.00   0.00%   0.0002%
813977 EMDR   JRJC   19.00   1.80   34.20   22,177,580.00   0.00%   0.0001%

Vimicro Intl

              0.00%
813979 ASDR   VIMC   62.00   1.48   91.76   34,988,320.00   0.00%   0.0002%
813977 EMDR   VIMC   30.00   1.48   44.40   34,988,320.00   0.00%   0.0001%

BrasilAgro

              0.00%
813977 EMDR   LND   153.00   4.15   634.95   58,400,000.00   0.03%   0.0003%

American Express Co

              0.00%

 

94


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241142 BFOR   AXP   2,806.00   73.80   207,082.80   1,078,864,000.00   0.27%   0.0003%

Amgen Inc

              0.00%
241142 BFOR   AMGN   1,952.00   112.93   220,439.36   753,356,200.00   0.29%   0.0003%

China Eastern Airls

              0.00%
813979 ASDR   CEA   131.00   15.33   2,008.23   69,886,500.00   0.08%   0.0002%
813977 EMDR   CEA   50.00   15.33   766.50   69,886,500.00   0.03%   0.0001%

Daqo New Energy Corp

              0.00%
813979 ASDR   DQ   12.00   11.00   132.00   7,017,390.00   0.01%   0.0002%
813977 EMDR   DQ   6.00   11.00   66.00   7,017,390.00   0.00%   0.0001%

3M Co

              0.00%
241142 BFOR   MMM   1,708.00   114.87   196,197.96   683,468,000.00   0.25%   0.0002%

China Ming Yang Wind

              0.00%
813979 ASDR   MY   209.00   1.77   369.93   125,000,000.00   0.01%   0.0002%
813977 EMDR   MY   101.00   1.77   178.77   125,000,000.00   0.01%   0.0001%

Concord Medical Svs

              0.00%
813979 ASDR   CCM   80.00   5.05   404.00   47,451,180.00   0.02%   0.0002%
813977 EMDR   CCM   37.00   5.05   186.85   47,451,180.00   0.01%   0.0001%

Chunghwa Telecom Co

              0.00%
813979 ASDR   CHT   1,280.00   31.61   40,460.80   775,744,700.00   1.57%   0.0002%
813977 EMDR   CHT   610.00   31.61   19,282.10   775,744,700.00   0.82%   0.0001%

Mahindra & Mahindra

              0.00%
813979 ASDR   MHID LI   1,022.00   11.69   11,947.18   614,000,000.00   0.46%   0.0002%
813977 EMDR   MHID LI   472.00   11.69   5,517.68   614,000,000.00   0.23%   0.0001%

SK Telecom CO LTD

              0.00%
813979 ASDR   SKM   1,202.00   22.02   26,468.04   726,711,400.00   1.03%   0.0002%
813977 EMDR   SKM   557.00   22.02   12,265.14   726,711,400.00   0.52%   0.0001%

GlaxoSmithKline PLC

              0.00%
241143 IDOG   GSK LN   11,829.00   16.52   304,714.30   4,898,774,000.00   2.07%   0.0002%

 

95


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

KT Corporation

              0.00%
813979 ASDR   KT   852.00   16.57   14,117.64   522,200,000.00   0.55%   0.0002%
813977 EMDR   KT   401.00   16.57   6,644.57   522,200,000.00   0.28%   0.0001%

Cisco Systems Inc

              0.00%
241142 BFOR   CSCO   8,235.00   23.69   195,087.15   5,344,336,000.00   0.25%   0.0002%
Liberty All-Star Equity Fund   CSCO   4,500.00   23.69   106,605.00   5,344,336,000.00   0.01%   0.0001%

LDK Solar Company

              0.00%
813979 ASDR   LDK   214.00   1.61   344.54   133,519,000.00   0.01%   0.0002%
813977 EMDR   LDK   103.00   1.61   165.83   133,519,000.00   0.01%   0.0001%

Shanda Games Ltd.

              0.00%
813979 ASDR   GAME   276.00   4.01   1,106.76   167,000,000.00   0.04%   0.0002%
813977 EMDR   GAME   119.00   4.01   477.19   167,000,000.00   0.02%   0.0001%

Rediff.Com India Ltd

              0.00%
813979 ASDR   REDF   47.00   2.42   113.74   29,620,000.00   0.00%   0.0002%
813977 EMDR   REDF   23.00   2.42   55.66   29,620,000.00   0.00%   0.0001%

Lotte Shopping Co

              0.00%
813979 ASDR   LOTS LI   936.00   16.45   15,397.20   580,900,000.00   0.60%   0.0002%
813977 EMDR   LOTS LI   433.00   16.45   7,122.85   580,900,000.00   0.30%   0.0001%

Le Gaga Holdings Ltd

              0.00%
813979 ASDR   GAGA   73.00   3.62   264.26   45,870,000.00   0.01%   0.0002%
813977 EMDR   GAGA   34.00   3.62   123.08   45,870,000.00   0.01%   0.0001%

VimpelCom Ltd.

              0.00%
813978 RUDR   VIP   3,674.00   11.03   40,524.22   1,756,731,000.00   1.68%   0.0002%
813977 EMDR   VIP   356.00   11.03   3,926.68   1,756,731,000.00   0.17%   0.0000%

Hanwha SolarOne Co

              0.00%
813979 ASDR   HSOL   122.00   4.00   488.00   84,129,090.00   0.02%   0.0001%
813977 EMDR   HSOL   67.00   4.00   268.00   84,129,090.00   0.01%   0.0001%

Philippine Long Dist

              0.00%

 

96


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813979 ASDR   PHI   286.00   62.38   17,840.68   186,797,000.00   0.69%   0.0002%
813977 EMDR   PHI   130.00   62.38   8,109.40   186,797,000.00   0.34%   0.0001%

China Hydroelectric

              0.00%
813979 ASDR   CHC   80.00   2.62   209.60   53,996,370.00   0.01%   0.0001%
813977 EMDR   CHC   38.00   2.62   99.56   53,996,370.00   0.00%   0.0001%

Woori Finance Hldg

              0.00%
813979 ASDR   WF   399.00   31.25   12,468.75   268,644,900.00   0.48%   0.0001%
813977 EMDR   WF   182.00   31.25   5,687.50   268,644,900.00   0.24%   0.0001%

Mechel

              0.00%
813977 EMDR   MTL/P   178.00   0.78   138.22   83,254,000.00   0.01%   0.0002%

Kingtone Wireless

              0.00%
813979 ASDR   KONE   2.00   2.76   5.52   1,405,000.00   0.00%   0.0001%
813977 EMDR   KONE   1.00   2.76   2.76   1,405,000.00   0.00%   0.0001%

Sify Tech. Ltd. ADR

              0.00%
813979 ASDR   SIFY   80.00   1.90   152.00   55,637,000.00   0.01%   0.0001%
813977 EMDR   SIFY   38.00   1.90   72.20   55,637,000.00   0.00%   0.0001%

Kumba Iron Ore Ltd

              0.00%
186239 CRBQ   KIO SJ   673.00   471.99   31,093.31   322,086,000.00   0.05%   0.0002%

Bitauto Holdings Ltd

              0.00%
813979 ASDR   BITA   57.00   15.52   884.64   41,253,000.00   0.03%   0.0001%
813977 EMDR   BITA   28.00   15.52   434.56   41,253,000.00   0.02%   0.0001%

Banco Bradesco S.A.

              0.00%
813977 EMDR   BBD   3,344.00   12.18   40,729.92   2,103,637,000.00   1.73%   0.0002%
813977 EMDR   BBDO   790.00   14.25   11,257.50   1,912,400,000.00   0.48%   0.0000%

QIWI plc

              0.00%
813977 EMDR   QIWI   25.00   30.24   756.00   12,500,000.00   0.03%   0.0002%

Gravity Co. Ltd

              0.00%
813979 ASDR   GRVY   37.00   1.14   42.18   27,795,600.00   0.00%   0.0001%

 

97


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813977 EMDR   GRVY   18.00   1.14   20.52   27,795,600.00   0.00%   0.0001%

Xinyuan Real Estate

              0.00%
813979 ASDR   XIN   104.00   5.92   615.68   78,403,810.00   0.02%   0.0001%
813977 EMDR   XIN   51.00   5.92   301.92   78,403,810.00   0.01%   0.0001%

Giant Interactive

              0.00%
813979 ASDR   GA   316.00   8.15   2,575.40   239,393,600.00   0.10%   0.0001%
813977 EMDR   GA   156.00   8.15   1,271.40   239,393,600.00   0.05%   0.0001%

IFM Investments Ltd

              0.00%
813979 ASDR   CTC   20.00   2.44   48.80   14,832,110.00   0.00%   0.0001%
813977 EMDR   CTC   9.00   2.44   21.96   14,832,110.00   0.00%   0.0001%

Linktone Ltd

              0.00%
813979 ASDR   LTON   53.00   2.36   125.08   40,924,380.00   0.00%   0.0001%
813977 EMDR   LTON   27.00   2.36   63.72   40,924,380.00   0.00%   0.0001%

Ossen Innovation Co

              0.00%
813979 ASDR   OSN   26.00   0.62   16.12   20,000,000.00   0.00%   0.0001%
813977 EMDR   OSN   13.00   0.62   8.06   20,000,000.00   0.00%   0.0001%

Autonavi Hlds Ltd

              0.00%
813979 ASDR   AMAP   88.00   12.95   1,139.60   69,144,970.00   0.04%   0.0001%
813977 EMDR   AMAP   43.00   12.95   556.85   69,144,970.00   0.02%   0.0001%

Oil & Nat. Gas Corp.

              0.00%
Kotak India Permier Equity Portfolio   ONGC IN   16,000.00   270.10   65,315.50   8,555,490,120.00   1.12%   0.0002%

Lentuo International

              0.00%
813979 ASDR   LAS   37.00   3.35   123.95   29,469,000.00   0.00%   0.0001%
813977 EMDR   LAS   18.00   3.35   60.30   29,469,000.00   0.00%   0.0001%

NIC Inc.

              0.00%
241142 BFOR   EGOV   10,004.00   21.95   219,587.80   6,490,800,000.00   0.28%   0.0002%
Liberty All-Star Growth Fund   EGOV   1,947.00   21.95   42,736.65   6,490,800,000.00   0.03%   0.0000%

China Xiniya Fashion

              0.00%

 

98


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813979 ASDR   XNY   71.00   1.23   87.33   57,690,000.00   0.00%   0.0001%
813977 EMDR   XNY   34.00   1.23   41.82   57,690,000.00   0.00%   0.0001%

Larsen & Toubro Ltd

              0.00%
813979 ASDR   LTOD LI   766.00   11.04   8,456.64   611,161,090.00   0.33%   0.0001%
813977 EMDR   LTOD LI   345.00   11.04   3,808.80   611,161,090.00   0.16%   0.0001%

Noah Education Hldg

              0.00%
813979 ASDR   NED   45.00   1.93   86.85   37,193,000.00   0.00%   0.0001%
813977 EMDR   NED   22.00   1.93   42.46   37,193,000.00   0.00%   0.0001%

SPS Commerce Inc

              0.00%
Liberty All-Star Growth Fund   SPSC   2,720.00   65.32   177,670.40   1,514,300,000.00   0.14%   0.0002%

TMK OAO

              0.00%
813978 RUDR   TMKS LI   1,580.00   12.89   20,366.20   937,586,090.00   0.84%   0.0002%
813977 EMDR   TMKS LI   84.00   12.89   1,082.76   937,586,090.00   0.05%   0.0000%

Vgrd S&P 500

              0.00%
535338 SPXH   VOO   19,369.00   75.90   1,470,107.10   14,369,100,000.00   24.68%   0.0001%
535337 TRSK   VOO   4,779.00   75.90   362,726.10   14,369,100,000.00   24.39%   0.0000%

Wal-Mart Stores Inc

              0.00%
565020 GSRA   WMT   2,970.00   72.67   215,829.90   3,276,678,000.00   1.86%   0.0001%
241142 BFOR   WMT   2,440.00   72.67   177,314.80   3,276,678,000.00   0.23%   0.0001%

Federal

              0.00%
274027 GRI   FRT   10,830.00   97.19   1,052,567.70   6,569,500,000.00   0.99%   0.0002%

Airmedia Group Inc.

              0.00%
813979 ASDR   AMCN   144.00   1.81   260.64   129,426,000.00   0.01%   0.0001%
813977 EMDR   AMCN   67.00   1.81   121.27   129,426,000.00   0.01%   0.0001%

Solidere

              0.00%
813977 EMDR   SLED LI   166.00   10.45   1,734.70   103,333,330.00   0.07%   0.0002%

iShs S&P SC600 Index

              0.00%
RiverFront Global Growth Fund   IJR   13,486.00   95.46   1,287,373.56   12,070,000,000.00   2.09%   0.0001%

 

99


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

RiverFront Global Allocation Fund   IJR   5,855.00   95.46   558,918.30   12,070,000,000.00   2.06%   0.0000%

Vale SA Preferred

              0.00%
813977 EMDR   VALE/P   3,377.00   13.89   46,906.53   2,108,580,000.00   1.99%   0.0002%

Cemex S.A. de C.V.

              0.00%
813977 EMDR   CX   1,816.00   11.09   20,139.44   1,135,390,000.00   0.86%   0.0002%

Itau Unibanco Hldg.

              0.00%
813977 EMDR   ITUB   4,011.00   12.68   50,859.48   2,509,815,000.00   2.16%   0.0002%

DRDGOLD Ltd

              0.00%
813977 EMDR   DRD   61.00   6.47   394.67   38,538,380.00   0.02%   0.0002%

Novartis AG

              0.00%
241143 IDOG   NOVN VX   4,273.00   70.75   320,011.38   2,706,193,000.00   2.17%   0.0002%

Grupo FIN Santander

              0.00%
813977 EMDR   BSMX   1,041.00   13.48   14,032.68   664,417,200.00   0.60%   0.0002%

Banco Santander BRL

              0.00%
813977 EMDR   BSBR   822.00   5.98   4,915.56   525,000,000.00   0.21%   0.0002%

Comm Intl Bk Egypt

              0.00%
813977 EMDR   CBKD LI   934.00   4.81   4,492.54   597,227,500.00   0.19%   0.0002%

CEMIG SA

              0.00%
813977 EMDR   CIG   847.00   8.14   6,894.58   541,907,700.00   0.29%   0.0002%

Bancolombia S.A.

              0.00%
813977 EMDR   CIB   133.00   55.75   7,414.75   85,530,600.00   0.31%   0.0002%

Sibanye Gold

              0.00%
813977 EMDR   SBGL   285.00   4.15   1,182.75   183,435,900.00   0.05%   0.0002%

Guaranty Trust Bank

              0.00%
813977 EMDR   GRTB LI   913.00   7.40   6,756.20   588,623,600.00   0.29%   0.0002%

 

100


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Zuoan Fashion Ltd

              0.00%
813979 ASDR   ZA   27.00   2.17   58.59   27,819,030.00   0.00%   0.0001%
813977 EMDR   ZA   14.00   2.17   30.38   27,819,030.00   0.00%   0.0001%

iShs R2K Index Fund

              0.00%
565018 GSMA   IWM   35,709.00   102.11   3,646,245.99   24,345,000,000.00   28.86%   0.0001%

SouFun Holdings Ltd.

              0.00%
813979 ASDR   SFUN   56.00   50.91   2,850.96   56,013,710.00   0.11%   0.0001%
813977 EMDR   SFUN   26.00   50.91   1,323.66   56,013,710.00   0.06%   0.0000%

Prestige Brands Hldg

              0.00%
241142 BFOR   PBH   7,442.00   32.48   241,716.16   5,117,200,000.00   0.31%   0.0001%

China New Borun Corp

              0.00%
813979 ASDR   BORN   25.00   1.23   30.75   25,725,000.00   0.00%   0.0001%
813977 EMDR   BORN   12.00   1.23   14.76   25,725,000.00   0.00%   0.0000%

Ranbaxy Labs Ltd

              0.00%
813979 ASDR   RBXD LI   405.00   6.58   2,662.88   421,506,900.00   0.10%   0.0001%
813977 EMDR   RBXD LI   198.00   6.58   1,301.85   421,506,900.00   0.06%   0.0000%

China Zenix AutoIntl

              0.00%
813979 ASDR   ZX   50.00   2.94   147.00   51,610,000.00   0.01%   0.0001%
813977 EMDR   ZX   23.00   2.94   67.62   51,610,000.00   0.00%   0.0000%

Sky-mobi Ltd

              0.00%
813979 ASDR   MOBI   31.00   3.51   108.81   32,673,730.00   0.00%   0.0001%
813977 EMDR   MOBI   15.00   3.51   52.65   32,673,730.00   0.00%   0.0000%

Himax Tech ADR

              0.00%
813979 ASDR   HIMX   350.00   8.62   3,017.00   353,999,000.00   0.12%   0.0001%
813977 EMDR   HIMX   148.00   8.62   1,275.76   353,999,000.00   0.05%   0.0000%

Cia Brasileira Dist

              0.00%
813977 EMDR   CBD   222.00   42.31   9,392.82   158,094,000.00   0.40%   0.0001%

Fomento Economico

              0.00%

 

101


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813977 EMDR   FMX   302.00   96.01   28,995.02   216,117,800.00   1.23%   0.0001%

Nortel Inversora SA

              0.00%
813977 EMDR   NTL   41.00   18.70   766.70   29,409,100.00   0.03%   0.0001%

Sappi Ltd

              0.00%
813977 EMDR   SPP   747.00   2.41   1,800.27   541,446,200.00   0.08%   0.0001%

Vipshop Holdings Ltd

              0.00%
813979 ASDR   VIPS   46.00   42.94   1,975.24   50,579,850.00   0.08%   0.0001%
813977 EMDR   VIPS   23.00   42.94   987.62   50,579,850.00   0.04%   0.0000%

Grupo Finance Galici

              0.00%
813977 EMDR   GGAL   130.00   7.16   930.80   96,018,540.00   0.04%   0.0001%

ATA Inc/China

              0.00%
813979 ASDR   ATAI   20.00   4.96   99.20   22,300,000.00   0.00%   0.0001%
813977 EMDR   ATAI   10.00   4.96   49.60   22,300,000.00   0.00%   0.0000%

Eletrobras

              0.00%
813977 EMDR   EBR/B   357.00   4.26   1,520.82   265,436,900.00   0.06%   0.0001%

Jiayuan.com Intl Ltd

              0.00%
813979 ASDR   DATE   42.00   7.28   305.76   46,889,000.00   0.01%   0.0001%
813977 EMDR   DATE   21.00   7.28   152.88   46,889,000.00   0.01%   0.0000%

Tatneft

              0.00%
813978 RUDR   ATAD LI   2,569.00   38.54   99,009.26   2,178,690,700.00   4.09%   0.0001%
813977 EMDR   ATAD LI   352.00   38.54   13,566.08   2,178,690,700.00   0.58%   0.0000%

US Silica Hldgs Inc

              0.00%
241142 BFOR   SLCA   7,015.00   23.53   165,062.95   5,317,700,000.00   0.21%   0.0001%

Embraer SA

              0.00%
813977 EMDR   ERJ   244.00   34.15   8,332.60   185,116,300.00   0.35%   0.0001%

Taomee Holdings Ltd

              0.00%
813979 ASDR   TAOM   32.00   5.15   164.80   36,744,190.00   0.01%   0.0001%

 

102


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813977 EMDR   TAOM   16.00   5.15   82.40   36,744,190.00   0.00%   0.0000%

Ku6 Media Co Ltd

              0.00%
813979 ASDR   KUTV   43.00   1.47   63.21   50,197,860.00   0.00%   0.0001%
813977 EMDR   KUTV   21.00   1.47   30.87   50,197,860.00   0.00%   0.0000%

Tata Steel Ltd.

              0.00%
813979 ASDR   TTST LI   754.00   4.34   3,273.12   887,214,060.00   0.13%   0.0001%
813977 EMDR   TTST LI   366.00   4.34   1,588.81   887,214,060.00   0.07%   0.0000%

Sasol Ltd

              0.00%
813977 EMDR   SSL   813.00   47.49   38,609.37   648,904,500.00   1.64%   0.0001%

Spreadtrum Comm. Inc

              0.00%
813979 ASDR   SPRD   122.00   30.31   3,697.82   145,522,000.00   0.14%   0.0001%
813977 EMDR   SPRD   60.00   30.31   1,818.60   145,522,000.00   0.08%   0.0000%

China Distance Edu

              0.00%
813979 ASDR   DL   28.00   9.47   265.16   33,596,710.00   0.01%   0.0001%
813977 EMDR   DL   14.00   9.47   132.58   33,596,710.00   0.01%   0.0000%

Coca-Cola Co/The

              0.00%
565020 GSRA   KO   5,525.00   38.24   211,276.00   4,433,154,000.00   1.82%   0.0001%

Gail India Ltd

              0.00%
813979 ASDR   GAID LI   183.00   27.00   4,941.00   211,400,000.00   0.19%   0.0001%
813977 EMDR   GAID LI   79.00   27.00   2,133.00   211,400,000.00   0.09%   0.0000%

Wipro Limited

              0.00%
813979 ASDR   WIT   2,050.00   9.35   19,167.50   2,464,461,000.00   0.74%   0.0001%
813977 EMDR   WIT   995.00   9.35   9,303.25   2,464,461,000.00   0.40%   0.0000%

Gol - Linhas Aereas

              0.00%
813977 EMDR   GOL   166.00   4.11   682.26   134,858,600.00   0.03%   0.0001%

BRF-Brasil Foods SA

              0.00%
813977 EMDR   BRFS   1,071.00   24.11   25,821.81   872,473,200.00   1.10%   0.0001%

 

103


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Cia Paranaense de En

              0.00%
813977 EMDR   ELP   157.00   13.03   2,045.71   128,240,000.00   0.09%   0.0001%

ICICI Bank Ltd

              0.00%
813979 ASDR   IBN   955.00   30.45   29,079.75   1,152,918,000.00   1.13%   0.0001%
813977 EMDR   IBN   456.00   30.45   13,885.20   1,152,918,000.00   0.59%   0.0000%

Agria Corp ADR

              0.00%
813979 ASDR   GRO   89.00   1.15   102.35   110,767,000.00   0.00%   0.0001%
813977 EMDR   GRO   43.00   1.15   49.45   110,767,000.00   0.00%   0.0000%

Gazprom Neft JSC

              0.00%
813978 RUDR   GAZ LI   1,049.00   21.34   22,385.66   948,259,900.00   0.93%   0.0001%
813977 EMDR   GAZ LI   59.00   21.34   1,259.06   948,259,900.00   0.05%   0.0000%

Navistar Intl

              0.00%
Liberty All-Star Equity Fund   NAV   9,365.00   34.13   319,627.45   8,042,300,000.00   0.03%   0.0001%

Express Inc.

              0.00%
241142 BFOR   EXPR   9,577.00   21.70   207,820.90   8,385,400,000.00   0.27%   0.0001%

Grupo Aeroportuario

              0.00%
813977 EMDR   ASR   28.00   113.03   3,164.84   27,705,000.00   0.13%   0.0001%
813977 EMDR   PAC   58.00   51.08   2,962.64   476,850,000.00   0.13%   0.0000%

Grupo Televisa SAB

              0.00%
813977 EMDR   TV   629.00   25.72   16,177.88   571,220,000.00   0.69%   0.0001%

Acorn International

              0.00%
813979 ASDR   ATV   24.00   2.32   55.57   30,000,000.00   0.00%   0.0001%
813977 EMDR   ATV   9.00   2.32   20.84   30,000,000.00   0.00%   0.0000%

Cooper Tire & Rubber

              0.00%
241142 BFOR   CTB   7,137.00   32.50   231,952.50   6,527,600,000.00   0.30%   0.0001%

EFG-Hermes Hldg

              0.00%
813977 EMDR   EFGD LI   250.00   2.01   502.50   239,147,400.00   0.02%   0.0001%

 

104


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

AmBev

              0.00%
813977 EMDR   ABV   1,208.00   35.20   42,521.60   1,374,440,000.00   1.81%   0.0001%
813977 EMDR   ABV/C   247.00   35.14   8,679.58   1,755,466,000.00   0.37%   0.0000%

Latam Airlines Group

              0.00%
813977 EMDR   LFL   484.00   13.39   6,480.76   483,555,800.00   0.28%   0.0001%

Xueda Education Grp.

              0.00%
813979 ASDR   XUE   91.00   3.86   351.26   138,329,000.00   0.01%   0.0001%
813977 EMDR   XUE   45.00   3.86   173.70   138,329,000.00   0.01%   0.0000%

Questar Corp

              0.00%
ALPS Alerian Energy Infrastructure   STR   9,274.00   21.80   202,173.20   17,509,400,000.00   1.92%   0.0001%
241142 BFOR   STR   7,625.00   21.80   166,225.00   17,509,400,000.00   0.21%   0.0000%

Embotelladora Andina

              0.00%
813977 EMDR   AKO/B   50.00   32.25   1,612.50   78,881,500.00   0.07%   0.0001%
813977 EMDR   AKO/A   26.00   23.90   621.40   78,881,500.00   0.03%   0.0000%

Banco Macro SA

              0.00%
813977 EMDR   BMA   55.00   19.68   1,082.40   57,324,950.00   0.05%   0.0001%

JPMorgan Chase & Co

              0.00%
241142 BFOR   JPM   3,538.00   52.11   184,365.18   3,764,198,000.00   0.24%   0.0001%

Wells Fargo & Co

              0.00%
241142 BFOR   WFC   4,941.00   41.82   206,632.62   5,309,782,000.00   0.27%   0.0001%

Ulta Salon Inc

              0.00%
Liberty All-Star Growth Fund   ULTA   3,900.00   98.00   382,200.00   6,376,700,000.00   0.30%   0.0001%
241142 BFOR   ULTA   2,013.00   98.00   197,274.00   6,376,700,000.00   0.26%   0.0000%

OMA

              0.00%
813977 EMDR   OMAB   39.00   27.04   1,054.56   42,540,940.00   0.04%   0.0001%

Simcere Pharm. Group

              0.00%
813979 ASDR   SCR   65.00   9.50   617.50   108,508,000.00   0.02%   0.0001%
813977 EMDR   SCR   31.00   9.50   294.50   108,508,000.00   0.01%   0.0000%

 

105


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Thoratec Corporation

              0.00%
241142 BFOR   THOR   5,063.00   35.97   182,116.11   5,752,800,000.00   0.24%   0.0001%

Johnson Controls Inc

              0.00%
Liberty All-Star Equity Fund   JCI   60,000.00   41.37   2,482,200.00   68,415,900,000.00   0.21%   0.0001%

Turkiye Garanti Bank

              0.00%
813977 EMDR   TGBD LI   3,617.00   3.80   13,726.52   4,200,000,000.00   0.58%   0.0001%

Webster Financial Co

              0.00%
241142 BFOR   WBS   7,686.00   26.04   200,143.44   9,027,500,000.00   0.26%   0.0001%

Procter & Gamble Co

              0.00%
241142 BFOR   PG   2,318.00   77.14   178,810.52   2,738,761,000.00   0.23%   0.0001%

iShs iBoxx HY Corp

              0.00%
RiverFront Moderate Growth/Income Fund   HYG   12,802.00   90.27   1,155,636.54   15,720,000,000.00   0.98%   0.0001%
RiverFront Conserv. Income Builder Fund   HYG   468.00   90.27   42,246.36   15,720,000,000.00   0.95%   0.0000%

WSP Holdings Ltd.

              0.00%
813979 ASDR   WH   12.00   2.75   33.00   20,437,520.00   0.00%   0.0001%
813977 EMDR   WH   5.00   2.75   13.75   20,437,520.00   0.00%   0.0000%

Vina Concha y Toro

              0.00%
813977 EMDR   VCO   30.00   38.51   1,155.30   37,350,300.00   0.05%   0.0001%

Gafisa SA - ADR

              0.00%
813977 EMDR   GFA   340.00   2.60   884.00   432,516,000.00   0.04%   0.0001%

Orascom Telecom

              0.00%
813977 EMDR   OTLD LI   822.00   3.00   2,466.00   1,049,138,000.00   0.10%   0.0001%

Companhia de Saneam

              0.00%
813977 EMDR   SBS   534.00   9.43   5,035.62   683,509,900.00   0.21%   0.0001%

Intl Bus Machines

              0.00%
241142 BFOR   IBM   854.00   184.15   157,264.10   1,095,426,000.00   0.20%   0.0001%

 

106


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Cherkizovo Group

              0.00%
813977 EMDR   CHE LI   51.00   10.40   530.40   65,900,000.00   0.02%   0.0001%

AFP Provida SA

              0.00%
813977 EMDR   PVD   17.00   91.75   1,559.75   22,098,820.00   0.07%   0.0001%

IG Seismic Service

              0.00%
813977 EMDR   IGSS LI   8.00   26.50   212.00   10,400,000.00   0.01%   0.0001%

YPF SA

              0.00%
813977 EMDR   YPF   302.00   17.58   5,309.16   393,312,800.00   0.23%   0.0001%

Orascom Tele Med&Tec

              0.00%
813977 EMDR   OTMT LI   788.00   0.35   275.80   1,049,140,000.00   0.01%   0.0001%

51Job Inc.

              0.00%
813979 ASDR   JOBS   28.00   66.49   1,861.72   56,023,000.00   0.07%   0.0000%
813977 EMDR   JOBS   14.00   66.49   930.86   56,023,000.00   0.04%   0.0000%

Corpbanca

              0.00%
813977 EMDR   BCA   163.00   15.84   2,581.92   226,905,500.00   0.11%   0.0001%

TGS

              0.00%
813977 EMDR   TGS   54.00   1.89   102.06   77,860,540.00   0.00%   0.0001%

Cementos Pacasmayo

              0.00%
813977 EMDR   CPAC   72.00   12.50   900.00   106,292,300.00   0.04%   0.0001%

Cencosud SA

              0.00%
813977 EMDR   CNCO   556.00   12.06   6,705.36   834,701,100.00   0.28%   0.0001%

Emera Inc.

              0.00%
ALPS Alerian Energy Infrastructure   EMA CN   8,795.00   29.70   248,642.62   13,238,200,000.00   2.36%   0.0001%

Fibria Celulose S.A.

              0.00%
813977 EMDR   FBR   349.00   11.90   4,153.10   553,934,600.00   0.18%   0.0001%

 

107


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Empresa Nacional

              0.00%
813977 EMDR   EOC   171.00   40.53   6,930.63   273,391,800.00   0.29%   0.0001%

Actions Semiconduct

              0.00%
813979 ASDR   ACTS   216.00   2.70   583.20   516,000,000.00   0.02%   0.0000%
813977 EMDR   ACTS   106.00   2.70   286.20   516,000,000.00   0.01%   0.0000%

Intrepid Potash

              0.00%
186239 CRBQ   IPI   4,711.00   12.81   60,347.91   7,576,800,000.00   0.09%   0.0001%

Enersis S.A

              0.00%
813977 EMDR   ENI   606.00   15.58   9,441.48   981,855,400.00   0.40%   0.0001%

Kazmunaigas

              0.00%
813977 EMDR   KMG LI   258.00   13.50   3,483.00   420,559,300.00   0.15%   0.0001%

Telef Brasil

              0.00%
813977 EMDR   VIV   455.00   20.99   9,550.45   744,014,800.00   0.41%   0.0001%

China Nepstar Chain

              0.00%
813979 ASDR   NPD   86.00   1.52   130.72   206,250,000.00   0.01%   0.0000%
813977 EMDR   NPD   40.00   1.52   60.80   206,250,000.00   0.00%   0.0000%

iShs MSCI Emerg Mkts

              0.00%
RiverFront Global Growth Fund   EEM   38,252.00   39.42   1,507,893.84   89,730,000,000.00   2.45%   0.0000%
RiverFront Global Allocation Fund   EEM   9,223.00   39.42   363,570.66   89,730,000,000.00   1.34%   0.0000%
RiverFront Dynamic Equity Income Fund   EEM   6,315.00   39.42   248,937.30   89,730,000,000.00   0.61%   0.0000%

Bona Film Group Ltd

              0.00%
813979 ASDR   BONA   23.00   4.54   104.42   58,699,000.00   0.00%   0.0000%
813977 EMDR   BONA   12.00   4.54   54.48   58,699,000.00   0.00%   0.0000%

VTB Bank OJSC

              0.00%
813978 RUDR   VTBR LI   35,924.00   2.72   97,533.70   67,241,385,090.00   4.03%   0.0001%
813977 EMDR   VTBR LI   4,065.00   2.72   11,036.48   67,241,385,090.00   0.47%   0.0000%

Bank Muscat S.A.O.G. GDR

              0.00%
813977 EMDR   BKM LI   303.00   6.35   1,924.05   509,627,700.00   0.08%   0.0001%

 

108


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

IRSA

              0.00%
813977 EMDR   IRS   34.00   7.33   249.22   57,867,650.00   0.01%   0.0001%

eLong Inc

              0.00%
813979 ASDR   LONG   6.00   14.86   89.16   17,475,300.00   0.00%   0.0000%
813977 EMDR   LONG   4.00   14.86   59.44   17,475,300.00   0.00%   0.0000%

Kazkommertsbank

              0.00%
813977 EMDR   KKB LI   220.00   1.74   382.80   389,669,100.00   0.02%   0.0001%

Turkell Iletisim

              0.00%
813977 EMDR   TKC   496.00   12.95   6,423.20   880,000,000.00   0.27%   0.0001%

AFI Development PLC

              0.00%
813977 EMDR   AFID LI   295.00   0.59   174.05   523,847,000.00   0.01%   0.0001%

Gilead Sciences Inc

              0.00%
Liberty All-Star Equity Fund   GILD   80,824.00   61.07   4,935,921.68   153,062,600,000.00   0.42%   0.0001%
241142 BFOR   GILD   4,026.00   61.07   245,867.82   153,062,600,000.00   0.32%   0.0000%

Home Inns & Hotels

              0.00%
813979 ASDR   HMIN   33.00   34.64   1,143.12   90,758,000.00   0.04%   0.0000%
813977 EMDR   HMIN   15.00   34.64   519.60   90,758,000.00   0.02%   0.0000%

Banco Santander Chil

              0.00%
813977 EMDR   BSAC   244.00   23.46   5,724.24   471,100,000.00   0.24%   0.0001%

Petrobas Argentina

              0.00%
813977 EMDR   PZE   104.00   5.17   537.68   201,923,700.00   0.02%   0.0001%

Commvault Systems

              0.00%
241142 BFOR   CVLT   2,379.00   85.26   202,833.54   4,673,200,000.00   0.26%   0.0001%

Zhaikmunai LP

              0.00%
813977 EMDR   ZKM LI   95.00   12.75   1,211.25   186,761,900.00   0.05%   0.0001%

BLOM Bank

              0.00%

 

109


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813977 EMDR   BLBD LI   108.00   8.34   900.72   215,000,000.00   0.04%   0.0001%

AU Optronics Corp.

              0.00%
813979 ASDR   AUO   2,974.00   3.84   11,420.16   8,827,046,000.00   0.44%   0.0000%
813977 EMDR   AUO   1,401.00   3.84   5,379.84   8,827,046,000.00   0.23%   0.0000%

Yanzhou Coal Mining

              0.00%
813979 ASDR   YZC   633.00   9.35   5,918.55   1,958,400,000.00   0.23%   0.0000%
813977 EMDR   YZC   307.00   9.35   2,870.45   1,958,400,000.00   0.12%   0.0000%

Verizon Comm.

              0.00%
647103 SDOG   VZ   136,140.00   46.64   6,349,569.60   286,173,200,000.00   1.79%   0.0000%

GNC Acquisition Hldg

              0.00%
241142 BFOR   GNC   4,514.00   52.01   234,773.14   9,529,600,000.00   0.30%   0.0000%

Apple Inc.

              0.00%
241142 BFOR   AAPL   427.00   495.27   211,480.29   908,497,000.00   0.27%   0.0000%

HMS Hydraulic

              0.00%
813977 EMDR   HMSG LI   52.00   2.50   129.95   117,163,400.00   0.01%   0.0000%

Towers Watson & Co.

              0.00%
241142 BFOR   TW   2,684.00   84.78   227,549.52   6,535,100,000.00   0.29%   0.0000%

iSoftStone Hldgs Ltd

              0.00%
813979 ASDR   ISS   143.00   5.14   735.02   523,954,000.00   0.03%   0.0000%
813977 EMDR   ISS   69.00   5.14   354.66   523,954,000.00   0.02%   0.0000%

Centrais Eletricas

              0.00%
813977 EMDR   EBR   426.00   2.36   1,005.36   1,087,050,000.00   0.04%   0.0000%

Ros Agro PLC

              0.00%
813977 EMDR   AGRO LI   46.00   5.05   232.30   119,278,400.00   0.01%   0.0000%

Telecom Argentina SA

              0.00%
813977 EMDR   TEO   37.00   19.53   722.61   96,373,000.00   0.03%   0.0000%

 

110


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Ansys Inc

              0.00%
Liberty All-Star Growth Fund   ANSS   3,500.00   85.10   297,850.00   9,243,700,000.00   0.23%   0.0000%

BBVA Banco Frances

              0.00%
813977 EMDR   BFR   67.00   5.19   347.73   178,959,300.00   0.01%   0.0000%

Surgutneftegaz SP

              0.00%
813978 RUDR   SGGD LI   11,467.00   8.05   92,309.35   35,725,994,700.00   3.82%   0.0000%
813977 EMDR   SGGD LI   1,509.00   8.05   12,147.45   35,725,994,700.00   0.52%   0.0000%

Avangardco Invest.

              0.00%
813977 EMDR   AVGR LI   23.00   10.18   234.14   63,871,850.00   0.01%   0.0000%

Magnitogorsk GDR

              0.00%
813978 RUDR   MMK LI   3,600.00   3.24   11,674.76   11,174,330,000.00   0.48%   0.0000%
813977 EMDR   MMK LI   398.00   3.24   1,290.71   11,174,330,000.00   0.05%   0.0000%

MHP SA

              0.00%
813977 EMDR   MHPC LI   37.00   15.50   573.50   105,666,900.00   0.02%   0.0000%

Empresas ICA S.A.B.

              0.00%
813977 EMDR   ICA   224.00   7.98   1,787.52   642,868,000.00   0.08%   0.0000%

Novorossiysk Sea

              0.00%
813977 EMDR   NCSP LI   88.00   7.71   678.48   256,797,500.00   0.03%   0.0000%

Tata Motors Ltd

              0.00%
813979 ASDR   TTM   633.00   23.89   15,122.37   2,707,604,000.00   0.59%   0.0000%
813977 EMDR   TTM   294.00   23.89   7,023.66   2,707,604,000.00   0.30%   0.0000%

Braskem S.A.

              0.00%
813977 EMDR   BAK   116.00   15.81   1,833.96   346,118,000.00   0.08%   0.0000%

Iron Mountain Inc.

              0.00%
565020 GSRA   IRM   6,356.00   25.74   163,603.44   19,111,000,000.00   1.41%   0.0000%

FirstService Corp.

              0.00%
Liberty All-Star Growth Fund   FSRV   1,046.00   35.90   37,551.40   3,193,100,000.00   0.03%   0.0000%

 

111


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Cntry Style Cooking

              0.00%
813979 ASDR   CCSC   21.00   7.38   154.98   100,080,000.00   0.01%   0.0000%
813977 EMDR   CCSC   11.00   7.38   81.18   100,080,000.00   0.00%   0.0000%

JSFC Sistema

              0.00%
813978 RUDR   SSA LI   2,656.00   22.75   60,424.00   9,650,000,000.00   2.50%   0.0000%
813977 EMDR   SSA LI   273.00   22.75   6,210.75   9,650,000,000.00   0.26%   0.0000%

Grupo Simec SAB

              0.00%
813977 EMDR   SIM   50.00   10.62   531.00   165,886,500.00   0.02%   0.0000%

Johnson & Johnson

              0.00%
647103 SDOG   JNJ   81,908.00   87.04   7,129,272.32   281,807,400,000.00   2.02%   0.0000%

CEMIG

              0.00%
813977 EMDR   CIG/C   104.00   7.96   827.77   372,837,100.00   0.04%   0.0000%

Novolipetsk Steel

              0.00%
813978 RUDR   NLMK LI   1,508.00   16.47   24,836.76   5,993,227,240.00   1.03%   0.0000%
813977 EMDR   NLMK LI   103.00   16.47   1,696.41   5,993,227,240.00   0.07%   0.0000%

Bank of America Corp

              0.00%
Liberty All-Star Equity Fund   BAC   278,605.00   14.37   4,003,553.85   1,074,312,700,000.00   0.34%   0.0000%

Neogen Corp

              0.00%
Liberty All-Star Growth Fund   NEOG   593.00   55.60   32,970.80   2,407,700,000.00   0.03%   0.0000%

Banco de Chile

              0.00%
813977 EMDR   BCH   36.00   87.74   3,158.64   146,729,700.00   0.13%   0.0000%

Centerpoint Energy

              0.00%
ALPS Alerian Energy Infrastructure   CNP   9,690.00   22.76   220,544.40   42,862,100,000.00   2.10%   0.0000%

Waters Corp

              0.00%
241142 BFOR   WAT   1,891.00   101.70   192,314.70   8,521,800,000.00   0.25%   0.0000%

China Techfaith Wire

              0.00%

 

112


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

813979 ASDR   CNTF   117.00   1.29   150.93   794,003,000.00   0.01%   0.0000%
813977 EMDR   CNTF   57.00   1.29   73.53   794,003,000.00   0.00%   0.0000%

Ecopetrol SA

              0.00%
813977 EMDR   EC   401.00   45.18   18,117.18   2,055,835,000.00   0.77%   0.0000%

Aluminum Corp China

              0.00%
813979 ASDR   ACH   509.00   9.01   4,586.09   3,943,966,000.00   0.18%   0.0000%
813977 EMDR   ACH   246.00   9.01   2,216.46   3,943,966,000.00   0.09%   0.0000%

Nordgold NV

              0.00%
813977 EMDR   NORD LI   66.00   2.00   132.00   378,053,000.00   0.01%   0.0000%

Compania Cervecerias

              0.00%
813977 EMDR   CCU   86.00   26.67   2,293.62   497,884,000.00   0.10%   0.0000%

Nordstrom Inc

              0.00%
241142 BFOR   JWN   3,355.00   56.19   188,517.45   19,488,600,000.00   0.24%   0.0000%

Desarrolladora Homex

              0.00%
813977 EMDR   HXM   57.00   1.97   112.29   335,640,000.00   0.00%   0.0000%

ChinaCache Intl Hldg

              0.00%
813979 ASDR   CCIH   39.00   5.00   195.00   371,297,000.00   0.01%   0.0000%
813977 EMDR   CCIH   22.00   5.00   110.00   371,297,000.00   0.00%   0.0000%

Nomos-Bank

              0.00%
813977 EMDR   NMOS LI   15.00   12.97   194.55   92,422,370.00   0.01%   0.0000%

Mylan Inc

              0.00%
241142 BFOR   MYL   5,856.00   35.88   210,113.28   38,181,200,000.00   0.27%   0.0000%

Tim Participacoes SA

              0.00%
813977 EMDR   TSU   249.00   21.75   5,415.75   1,632,454,000.00   0.23%   0.0000%

Coca-Cola Femsa ADR

              0.00%
813977 EMDR   KOF   40.00   124.69   4,987.60   270,906,000.00   0.21%   0.0000%

 

113


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

SPDR S&P 500

              0.00%
535338 SPXH   SPY   8,859.00   165.86   1,469,353.74   81,873,200,000.00   24.67%   0.0000%
535337 TRSK   SPY   2,186.00   165.86   362,569.96   81,873,200,000.00   24.38%   0.0000%

Huaneng Power Intl

              0.00%
813979 ASDR   HNP   271.00   38.35   10,392.85   3,055,383,000.00   0.40%   0.0000%
813977 EMDR   HNP   124.00   38.35   4,755.40   3,055,383,000.00   0.20%   0.0000%

Dollar General Corp

              0.00%
241142 BFOR   DG   3,782.00   57.38   217,011.16   32,360,800,000.00   0.28%   0.0000%

Macy’s Inc.

              0.00%
241142 BFOR   M   4,383.00   46.02   201,705.66   37,790,000,000.00   0.26%   0.0000%

Activision Blizzard

              0.00%
241142 BFOR   ATVI   12,017.00   17.17   206,331.89   111,945,800,000.00   0.27%   0.0000%

Gap Inc/The

              0.00%
241142 BFOR   GPS   5,002.00   40.65   203,331.30   46,770,000,000.00   0.26%   0.0000%

Gruma S.A. - ADR

              0.00%
813977 EMDR   GMK   59.00   21.41   1,263.19   563,651,000.00   0.05%   0.0000%

China Sunergy Co.

              0.00%
813979 ASDR   CSUN   16.00   2.98   47.68   237,704,000.00   0.00%   0.0000%
813977 EMDR   CSUN   8.00   2.98   23.84   237,704,000.00   0.00%   0.0000%

Cresud SACIFyA - ADR

              0.00%
813977 EMDR   CRESY   49.00   7.86   385.14   501,540,000.00   0.02%   0.0000%

China Unicom Ltd ADR

              0.00%
813979 ASDR   CHU   1,445.00   15.64   22,599.80   23,562,093,000.00   0.88%   0.0000%
813977 EMDR   CHU   665.00   15.64   10,400.60   23,562,093,000.00   0.44%   0.0000%

Southwestern Energy

              0.00%
186239 CRBQ   SWN   3,119.00   37.96   118,397.24   35,151,200,000.00   0.18%   0.0000%

Cabot Oil & Gas Corp

              0.00%

 

114


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

186239 CRBQ   COG   3,600.00   38.45   138,420.00   42,152,800,000.00   0.21%   0.0000%

America Movil Ser. A

              0.00%
813977 EMDR   AMOV   60.00   19.27   1,156.20   743,384,000.00   0.05%   0.0000%

Industrias Bachoco

              0.00%
813977 EMDR   IBA   12.00   37.94   455.28   150,000,000.00   0.02%   0.0000%

Prince Frog Intl Hld

              0.00%
Clough China Fund   1259 HK   737,000.00   5.30   503,661.96   10,105,640,000,000.00   0.61%   0.0000%

Alto Palermo SA

              0.00%
813977 EMDR   APSA   2.00   18.40   36.80   31,497,160.00   0.00%   0.0000%

Pampa Energia SA

              0.00%
813977 EMDR   PAM   82.00   3.78   309.96   1,314,311,000.00   0.01%   0.0000%

Allergan Inc

              0.00%
241142 BFOR   AGN   1,647.00   89.07   146,698.29   29,685,500,000.00   0.19%   0.0000%

Mecox Lane Ltd.

              0.00%
813979 ASDR   MCOX   14.00   3.78   52.92   401,192,000.00   0.00%   0.0000%
813977 EMDR   MCOX   7.00   3.78   26.46   401,192,000.00   0.00%   0.0000%

Phillips 66

              0.00%
241142 BFOR   PSX   2,745.00   57.80   158,661.00   61,103,100,000.00   0.21%   0.0000%

Ternium SA

              0.00%
813977 EMDR   TX   83.00   25.07   2,080.81   2,004,743,000.00   0.09%   0.0000%

Medtronic Inc

              0.00%
241142 BFOR   MDT   3,915.00   53.66   210,078.90   99,746,800,000.00   0.27%   0.0000%

ARM Holdings plc

              0.00%
Liberty All-Star Equity Fund   ARMH   4,400.00   42.11   185,284.00   139,923,900,000.00   0.02%   0.0000%
Liberty All-Star Growth Fund   ARMH   850.00   42.11   35,793.50   139,923,900,000.00   0.03%   0.0000%

Marriott Intl

              0.00%

 

115


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

Liberty All-Star Equity Fund   MAR   1,120.00   40.77   45,662.40   30,318,100,000.00   0.00%   0.0000%

Empresa Distribuidor

              0.00%
813977 EMDR   EDN   14.00   2.49   34.86   442,210,000.00   0.00%   0.0000%

Qihoo 360 Tech. Co.

              0.00%
813979 ASDR   QIHU   258.00   84.20   21,723.60   12,347,300,000.00   0.84%   0.0000%
813977 EMDR   QIHU   120.00   84.20   10,104.00   12,347,300,000.00   0.43%   0.0000%

Giordano Intl Ltd

              0.00%
Clough China Fund   709 HK   476,000.00   7.51   460,938.19   15,611,745,180,000.00   0.55%   0.0000%

Dr. Reddy’s Labs

              0.00%
813979 ASDR   RDY   283.00   34.57   9,783.31   16,976,400,000.00   0.38%   0.0000%
813977 EMDR   RDY   130.00   34.57   4,494.10   16,976,400,000.00   0.19%   0.0000%

Techtronic Ind

              0.00%
Clough China Fund   669 HK   349,500.00   18.90   851,735.56   18,301,169,410,000.00   1.02%   0.0000%

CNOOC Limited

              0.00%
813979 ASDR   CEO   544.00   203.35   110,622.40   44,646,306,000.00   4.30%   0.0000%
813977 EMDR   CEO   256.00   203.35   52,057.60   44,646,306,000.00   2.21%   0.0000%

Japan Real Estate

              0.00%
274027 GRI   8952 JP   98.00   1,076,000.00   1,053,058.37   5,900,400,000.00   0.99%   0.0000%

Corio NV

              0.00%
274027 GRI   CORA NA   16,078.00   29.12   614,069.04   982,953,910,000.00   0.58%   0.0000%

The Link

              0.00%
274027 GRI   823 HK   377,664.00   35.15   1,711,696.31   23,108,895,610,000.00   1.62%   0.0000%

Halyk Savings Bank

              0.00%
813977 EMDR   HSBK LI   140.00   7.39   1,033.90   10,911,224,990.00   0.04%   0.0000%

Sun Hung Kai Ppty Lt

              0.00%
274027 GRI   16 HK   256,000.00   102.50   3,383,448.95   26,709,586,050,000.00   3.19%   0.0000%

 

116


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

21Vianet Group Inc

              0.00%
813979 ASDR   VNET   141.00   14.82   2,089.62   28,296,000,000.00   0.08%   0.0000%
813977 EMDR   VNET   98.00   14.82   1,452.36   28,296,000,000.00   0.06%   0.0000%

Brilliance China

              0.00%
Clough China Fund   1114 HK   416,000.00   11.20   600,768.50   50,257,693,880,000.00   0.72%   0.0000%

JinkoSolar Hldg Co

              0.00%
813979 ASDR   JKS   37.00   18.88   698.56   8,905,100,000.00   0.03%   0.0000%
813977 EMDR   JKS   18.00   18.88   339.84   8,905,100,000.00   0.01%   0.0000%

China Lodging Group

              0.00%
813979 ASDR   HTHT   57.00   19.83   1,130.31   24,775,800,000.00   0.04%   0.0000%
813977 EMDR   HTHT   28.00   19.83   555.24   24,775,800,000.00   0.02%   0.0000%

Lonmin Plc

              0.00%
186239 CRBQ   LMI LN   18,876.00   3.42   100,573.92   5,694,543,120,000.00   0.16%   0.0000%

Chow Tai Fook Jewe

              0.00%
Clough China Fund   1929 HK   321,200.00   10.84   448,952.73   100,000,000,000,000.00   0.54%   0.0000%

ICICI Bank Limited

              0.00%
Kotak India Permier Equity Portfolio   ICICIBCI   21,940.00   893.70   296,346.68   11,541,854,790,000.00   5.08%   0.0000%

CPFL Energia S.A.

              0.00%
813977 EMDR   CPL   173.00   16.72   2,892.56   96,227,400,000.00   0.12%   0.0000%

BAE Systems plc

              0.00%
241143 IDOG   BA/ LN   51,188.00   4.45   355,164.13   32,297,576,740,000.00   2.41%   0.0000%

China Unicom Ltd.

              0.00%
Clough China Fund   762 HK   322,000.00   12.22   507,367.77   237,061,232,200,000.00   0.61%   0.0000%

NetEase Inc.

              0.00%
813979 ASDR   NTES   248.00   72.21   17,908.08   324,604,200,000.00   0.70%   0.0000%
813977 EMDR   NTES   114.00   72.21   8,231.94   324,604,200,000.00   0.35%   0.0000%

Imperial Tobacco Grp

              0.00%

 

117


      

AAI Report of 13D and 13G

 

As of:      September 05, 2013

  LOGO

 

Fund

 

Symbol

 

QTY Booked

 

Price

 

Market Value

 

Shares Outstanding

 

% of Total Assets

 

% Shares Outstanding

241143 IDOG   IMT LN   8,430.00   22.34   293,571.63   9,692,043,490,000.00   1.99%   0.0000%

BG Group PLC

              0.00%
186239 CRBQ   BG/ LN   29,073.00   12.80   580,100.39   34,071,186,440,000.00   0.90%   0.0000%

America Movil S.A.

              0.00%
813977 EMDR   AMX   2,666.00   19.43   51,800.38   4,747,589,600,000.00   2.20%   0.0000%

Sberbank of Russia

              0.00%
813978 RUDR   SBER LI   28,443.00   11.09   315,432.87   215,869,480,000,000.00   13.04%   0.0000%
813977 EMDR   SBER LI   4,132.00   11.09   45,823.88   215,869,480,000,000.00   1.95%   0.0000%

 

118