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U.S. Securities and Exchange Commission

SEC News Digest

Issue 2011-157
August 15, 2011

Rules and Related Matters

Order Temporarily Exempting the Floor Broker Operations of Broker-Dealers With Market Access That Handle Orders on a Manual Basis From the Automated Controls Requirement of Rule 15c3-5(c)(1)(ii) and Rule 15c3-5(c)(2)

The Commission issued an order temporarily exempting the floor broker operations of broker-dealers with market access that handle orders on a manual basis from the automated controls requirement of Rule 15c3-5(c)(1)(ii) and Rule 15c3-5(c)(2) under the Securities Exchange Act of 1934. This temporary exemption will be effective until November 30, 2011. Publication of the order is expected in the Federal Register during the week of August 15. (Rel. 34-65132)

ENFORCEMENT PROCEEDINGS

In the Matter of Samaritan Pharmaceuticals, Inc., et al.

An Administrative Law Judge has issued an Order Making Findings and Revoking Registrations by Default as to Five Respondents (Default Order) in Samaritan Pharmaceuticals, Inc., Admin. Proc. No. 3-14423. The Order Instituting Proceedings alleged that Respondents repeatedly failed to file required annual and quarterly reports while their securities were registered with the Securities and Exchange Commission. The Default Order finds these allegations to be true and revokes the registrations of each class of registered securities of Samaritan Pharmaceuticals, Inc., Seaena, Inc., Seirios International, Inc. (f/k/a Exactly Sportswear, Inc.), Sento Corp., and Shoe Pavilion, Inc., pursuant to Section 12(j) of the Securities Exchange Act of 1934.

The proceeding is still pending as to Silver Eagle Resources Ltd. (n/k/a Mercator Minerals Ltd.). The proceeding has ended as to Simex Technologies, Inc. (n/k/a CT Holdings, Inc.) and Sola Resource Corp. (n/k/a Cancana Resources Corp.). See Samaritan Pharmaceuticals, Inc., Exchange Act Release Nos. 64866 (July 13, 2011) and 64951 (July 25, 2011), respectively. (Rel. 34-65129; File No. 3-14423)

In the Matter of SHC Corp. (f/k/a Victormaxx Technologies, Inc.), et al.

An Administrative Law Judge has issued an Order Making Findings and Revoking Registrations by Default as to Six Respondents (Default Order) in SHC Corp. (f/k/a Victormaxx Technologies, Inc.), Admin. Proc. No. 3-14426. The Order Instituting Proceedings alleged that Respondents repeatedly failed to file required annual and quarterly reports while their securities were registered with the Securities and Exchange Commission. The Default Order finds these allegations to be true and revokes the registrations of each class of registered securities of SHC Corp. (f/k/a Victormaxx Technologies, Inc.), Shells Seafood Restaurants, Inc., SLS Industries, Inc., Softlock.com, Inc. (n/k/a The Cap One Group, Inc.), Solar Satellite Communication, Inc., and Sonoran Energy, Inc., pursuant to Section 12(j) of the Securities Exchange Act of 1934.

The proceeding has ended as to SI Restructuring, Inc. (f/k/a Schlotzsky’s, Inc.). See SHC Corp. (f/k/a Victormaxx Technologies, Inc.), Exchange Act Release No. 64894 (July 15, 2011). (Rel. 34-65130; File No. 3-14426)

In the Matter of SFH II Acquisition Corp., et al.

On August 15, 2011, an Administrative Law Judge issued an Order Making Findings and Revoking Registrations by Default as to Six Respondents (Default Order) in SFH II Acquisition Corp., Admin. Proc. No. 3-14453. The Default Order finds that Respondents failed to comply with Section 13(a) of the Securities Exchange Act of 1934 (Exchange Act) and Exchange Act Rules 13a-1 and 13a-13 because each failed to make periodic filings with the Commission for a number of years. Based on these findings, the Default Order, pursuant to Section 12(j) of the Exchange Act, revokes the registration of each class of registered securities of SFH II Acquisition Corp., Sforza Enterprises, Inc., Silverzipper.com, Inc., Sky Scientific, Inc., Snake Eyes Golf Clubs, Inc. (f/k/a Golf Technology Holding, Inc.), and Soccer Concepts, Inc.

The proceeding remains open as to Silver Star Capital Holdings, Inc. (Rel. 34-65131; File No. 3-14453)

SELF-REGULATORY ORGANIZATIONS

Immediate Effectiveness of Proposed Rule Changes

A proposed rule change filed by NASDAQ OMX PHLX to amend the clearly erroneous rule in light of changes to the single stock trading pause process (SR-PHLX-2011-114) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65106)

A proposed rule change filed by BATS Y-Exchange to amend BYX Rule 11.17, entitled “Clearly Erroneous Executions,” (SR-BYX-2011-019) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65112)

A proposed rule change filed by BATS Exchange to amend BATS Rule 11.17, entitled “Clearly Erroneous Executions,” (SR-BATS-2011-028) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65113)

A proposed rule change filed by National Stock Exchange to amend NSX Rule 11.19(c) relating to clearly erroneous transactions (SR-NSX-2011-10) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65114)

A proposed rule change filed by Chicago Stock Exchange to amend Article 20, Rule 10, Governing Clearly Erroneous Executions (SR-CHX-2011-22) has become effective pursuant to Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65115)

Proposed Rule Changes

The Options Clearing Corporation filed a proposed rule change (SR-OCC-2011-10) under Section 19(b)(1) of the Exchange Act that would revise its By-Laws and Rules to establish a clearing fund amount intended to support losses under a defined set of default scenarios. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65119)

The NASDAQ Stock Market filed a proposed rule change (SR-NASDAQ-2011-105) under Section 19(b)(1) of the Securities Exchange Act of 1934 to establish an Acceptable Trade Range for quotes and orders entered on The NASDAQ Options Market. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65125)

NYSE Arca filed a proposed rule change (SR-NYSEArca-2011-51) under Section 19(b)(1) of the Securities Exchange Act of 1934 to list and trade TrimTabs Float Shrink ETF under NYSE Arca Equities Rule 8.600. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65126)

Approval of Proposed Rule Change

The Commission approved a proposed rule change (SR-NYSE-2011-20) submitted by the New York Stock Exchange to add new section 907.00 to the Listed Company Manual setting forth certain complimentary products and services that are offered to currently and newly listed issuers. Publication is expected in the Federal Register during the week of August 15. (Rel. 34-65127)

SECURITIES ACT REGISTRATIONS

The following registration statements have been filed with the SEC under the Securities Act of 1933. The reported information appears as follows: Form, Name, Address and Phone Number (if available) of the issuer of the security; Title and the number and/or face amount of the securities being offered; Name of the managing underwriter or depositor (if applicable); File number and date filed; Assigned Branch; and a designation if the statement is a New Issue.

Registration statements may be viewed in person in the Commission's Public Reference Branch at 100 F Street, N.E., Washington, D.C. To obtain paper copies, please refer to information on the Commission's Web site at http://www.sec.gov/answers/publicdocs.htm. In most cases, you can view and download this information by using the search function located at http://www.sec.gov/edgar/searchedgar/companysearch.html.


S-8     GEORGIA GULF CORP /DE/, 115 PERIMETER CENTER PLACE, STE. 460, ATLANTA,   
        GA, 30346, 7703954500 - 0 ($28,854,000.00) Equity, (File 333-176255 -   
        Aug. 12) (BR. 06B)
  
S-1     Meganet Corp, 2510 E. SUNSET RD., UNIT 5-777, LAS VEGAS, NV, 89120,   
        702-987-0087 - 10,000,000 ($2,000,000.00) Equity, (File 333-176256 -   
        Aug. 12) (BR. 11)
  
S-1     ATLANTIC POWER CORP, 200 CLARENDON STREET, FLOOR 25, BOSTON, MA, 02116,   
        617-977-2701 - 0 ($230,000,000.00) Equity, (File 333-176257 - Aug. 12)   
        (BR. 02B)
  
S-1     Dream Homes Ltd, PO BOX 627, FORKED RIVER, X1, 08731, 7323005619 -   
        5,000,000 ($5,000,000.00) Equity, (File 333-176258 - Aug. 12) (BR. )
  
S-4     EXTERRAN HOLDINGS INC., 1209 ORANGE STREET, WILMINGTON, DE, 19801,   
        713-335-7000 - 0 ($350,000,000.00) Non-Convertible Debt,   
        (File 333-176259 - Aug. 12) (BR. 06B)
  
S-1     Rose Rock Midstream, L.P., TWO WARREN PLACE,   
        6120 S. YALE AVENUE, SUITE 700, TULSA, OK, 74136-4216, (918) 524-8100 -   
        0 ($181,125,000.00) Equity, (File 333-176260 - Aug. 12) (BR. )
  
S-8     SONDE RESOURCES CORP., SUITE 3200, 500 - 4TH AVENUE S.W.,   
        CALGARY ALBERTA CANADA, A0, T2P2V6, 403-294-1411 -   
        6,230,144 ($14,547,386.00) Equity, (File 333-176261 - Aug. 12) (BR. 04B)
  
S-1     CYOPTICS INC, 9999 HAMILTON BLVD, BREINIGSVILLE, PA, 18031,   
        484-397-2000 - 0 ($100,000,000.00) Equity, (File 333-176262 - Aug. 12)   
        (BR. )
  
S-1     Matador Resources Co, 5400 LBJ FREEWAY, STE. 1500, DALLAS, TX, 75240,   
        972-371-5200 - 0 ($150,000,000.00) Equity, (File 333-176263 - Aug. 12)   
        (BR. )
  
S-8     SYSTEMAX INC, 11 HARBOR PARK DR, PORT WASHINGTON, NY, 11050,   
        5166087000 - 7,482,500 ($100,190,675.00) Equity, (File 333-176264 -   
        Aug. 12) (BR. 02C)
  
S-1     Mid-Con Energy Partners, LP, 2431 E. 61ST STREET, SUITE 850, TULSA, OK,   
        74136, 918-743-7575 -   
        0 ($140,000,000.00) Limited Partnership Interests, (File 333-176265 -   
        Aug. 12) (BR. 04)
  
S-8     WELLS FARGO & CO/MN, 420 MONTGOMERY STREET, SAN FRANCISCO, CA, 94163,   
        6126671234 - 0 ($30,000,000.00) Other, (File 333-176266 - Aug. 12)   
        (BR. )
  
S-8     SEALED AIR CORP/DE, 200 RIVERFRONT BOULEVARD, ELMWOOD PARK, NJ,   
        07407-1033, 201-791-7600 - 0 ($3,666,000.00) Equity, (File 333-176267 -   
        Aug. 12) (BR. 09A)
  
S-8     OCEAN BIO CHEM INC, 4041 SW 47TH AVE, FORT LAUDERDALE, FL, 33314,   
        9545876280 - 964,200 ($2,632,266.00) Equity, (File 333-176268 -   
        Aug. 12) (BR. 06C)
  
S-3     AMTECH SYSTEMS INC, 131 S CLARK DR, TEMPE, AZ, 85281, 6029675146 -   
        153,090 ($1,757,473.20) Equity, (File 333-176269 - Aug. 12) (BR. 10A)
  
S-8     INTERLEUKIN GENETICS INC, 135 BEAVER ST, WATHAM, MA, 02452,   
        1-781-398-0700 - 2,000,000 ($700,000.00) Equity, (File 333-176270 -   
        Aug. 12) (BR. 01C)
  
S-8     QUINSTREET, INC, 950 TOWER LANE, 6TH FLOOR, FOSTER CITY, CA, 94404,   
        650-578-7700 - 2,689,371 ($34,047,436.86) Equity, (File 333-176272 -   
        Aug. 12) (BR. 03)
  
S-8     HELIX BIOMEDIX INC, 22118 20TH AVE SE, SUITE 204, BOTHELL, WA, 98021,   
        425 402 8400 - 12,000,000 ($2,711,350.00) Equity, (File 333-176273 -   
        Aug. 12) (BR. 01A)
  
S-3     Orsus Xelent Technologies Inc, 12TH FL, TOWER B, CHAOWAI MEN OFF BLDG,   
        26 CHAOWAI STREET,, CHAOYANG DISC, BEIJING, F4, 100020, 86-10-8563777 -   
        0 ($6,000,000.00) Equity, (File 333-176274 - Aug. 12) (BR. 11A)
  
S-8     SEALED AIR CORP/DE, 200 RIVERFRONT BOULEVARD, ELMWOOD PARK, NJ,   
        07407-1033, 201-791-7600 - 0 ($76,986,000.00) Equity,   
        (File 333-176275 - Aug. 12) (BR. 09A)
  
S-3ASR  Extra Space Storage Inc., 2795 COTTONWOOD PARKWAY, SUITE 400,   
        SALT LAKE CITY, UT, 84121, 801-562-5556 - 0 ($0.00) Other,   
        (File 333-176276 - Aug. 12) (BR. 08B)
  
S-3ASR  Extra Space Storage Inc., 2795 COTTONWOOD PARKWAY, SUITE 400,   
        SALT LAKE CITY, UT, 84121, 801-562-5556 - 0 ($1.00) Equity,   
        (File 333-176277 - Aug. 12) (BR. 08B)
  
S-8     FAMOUS DAVES OF AMERICA INC, 12701 WHITEWATER DRIVE, SUITE 200,   
        MINNETONKA, MN, 55343, 952-294-1300 - 0 ($8,103,500.00) Equity,   
        (File 333-176278 - Aug. 12) (BR. 05A)
  
S-1     WESTMOUNTAIN INDEX ADVISOR INC, 2186 S. HOLLY ST., SUITE 104, DENVER,   
        CO, 80222, (303) 800-0678 - 8,357,619 ($8,357,619.00) Equity,   
        (File 333-176280 - Aug. 12) (BR. 08A)
  
S-8     Globalstar, Inc., 300 HOLIDAY SQUARE BLVD.,, COVINGTON,, LA, 70433,   
        408-933-4000 - 7,000,000 ($3,850,000.00) Equity, (File 333-176281 -   
        Aug. 12) (BR. 11C)
  
S-8     SKYWORKS SOLUTIONS, INC., 20 SYLVAN ROAD, WOBURN, MA, 01801,   
        6179355150 - 0 ($281,010,000.00) Equity, (File 333-176282 - Aug. 12)   
        (BR. 10C)
  
S-8     REGAL BELOIT CORP, 200 STATE ST, BELOIT, WI, 53511, 6083648800 -   
        500,000 ($25,485,000.00) Equity, (File 333-176283 - Aug. 12) (BR. 10C)
  
S-8     CALIPER LIFE SCIENCES INC, 68 ELM STREET, ., HOPKINTON, MA, 01748,   
        508-435-9500 - 0 ($10,575,000.00) Equity, (File 333-176284 - Aug. 12)   
        (BR. 10A)
  
S-8     SKYWORKS SOLUTIONS, INC., 20 SYLVAN ROAD, WOBURN, MA, 01801,   
        6179355150 - 0 ($14,790,000.00) Equity, (File 333-176285 - Aug. 12)   
        (BR. 10C)
  
S-8     SKYWORKS SOLUTIONS, INC., 20 SYLVAN ROAD, WOBURN, MA, 01801,   
        6179355150 - 2,550,000 ($50,286,000.00) Equity, (File 333-176286 -   
        Aug. 12) (BR. 10C)
  
S-1     Carbon Natural Gas Co, 1700 BROADWAY, SUITE 2020, DENVER, CO, 80290,   
        720-407-7043 - 0 ($42,222,222.00) Equity, (File 333-176287 - Aug. 12)   
        (BR. 08C)
  
S-8     CENVEO, INC, ONE CANTERBURY GREEN, 201 BROAD STREET, STAMFORD, CT,   
        06901, 2035953000 - 1,290,839 ($6,339,416.00) Equity,   
        (File 333-176289 - Aug. 12) (BR. 05A)
  
S-3ASR  TANGER FACTORY OUTLET CENTERS INC, 3200 NORTHLINE AVENUE SUITE 360,   
        GREENSBORO, NC, 27408, 3362923010 -   
        12,133,220 ($280,884,043.00) Equity, (File 333-176290 - Aug. 12)   
        (BR. 08C)
  
S-8     BioScrip, Inc., 100 CLEARBROOK ROAD, ELMSFORD, NY, 10523,   
        914 460 1600 - 6,837,476 ($5.51) Equity, (File 333-176291 - Aug. 12)   
        (BR. 01B)
  
S-3     QUANTUM FUEL SYSTEMS TECHNOLOGIES WORLDWIDE, INC.,   
        17872 CARTWRIGHT ROAD, IRVINE, CA, 92614, 949-399-4500 -   
        0 ($4,252,727.00) Equity, (File 333-176292 - Aug. 12) (BR. 05B)
  
S-11    Pembrook Realty Capital LLC, 767 THIRD AVENUE, 18TH FLOOR, NEW YORK,   
        NY, 10017, 646-388-5906 - 0 ($100,000,000.00) Equity,   
        (File 333-176293 - Aug. 12) (BR. )
  
S-3     CUMULUS MEDIA INC, 3280 PEACHTREE ROAD N.W., SUITE 2300, ATLANTA, GA,   
        30305, 4049490700 - 0 ($76,036,868.16) Equity, (File 333-176294 -   
        Aug. 12) (BR. 11C)
  
S-4     PHOTOMEDEX INC, 147 KEYSTONE DRIVE, MONTGOMERYVILLE, PA, 18936,   
        2156193600 - 0 ($178,874,579.91) Equity, (File 333-176295 - Aug. 12)   
        (BR. 10C)
  
S-3ASR  Extra Space Storage Inc., 2795 COTTONWOOD PARKWAY, SUITE 400,   
        SALT LAKE CITY, UT, 84121, 801-562-5556 - 0 ($82,914,749.07) Equity,   
        (File 333-176296 - Aug. 12) (BR. 08B)
  
S-1     FusionStorm Global, Inc., 8 CEDAR STREET, SUITE 54A, WOBURN, MA, 01801,   
        781-782-1900 - 0 ($175,000,000.00) Equity, (File 333-176297 - Aug. 12)   
        (BR. )
  
S-1     Stratus Media Group, Inc, 3 EAST DE LA GUERRA ST., SANTA BARBARA, CA,   
        93101, 805-884-9977 - 58,975,000 ($30,077,250.00) Equity,   
        (File 333-176298 - Aug. 12) (BR. 09)
  
S-1     Bay Peak 1 Opportunity Corp., 169 BOLSA AVENUE, MILL VALLEY, CA, 94941,   
        415-287-4080 - 2,457,016 ($6,314,531.12) Equity, (File 333-176299 -   
        Aug. 12) (BR. )

RECENT 8K FILINGS

Form 8-K is used by companies to file current reports on the following events:

1.01

Entry into a Material Definitive Agreement

1.02

Termination of a Material Definitive Agreement

1.03

Bankruptcy or Receivership

2.01

Completion of Acquisition or Disposition of Assets

2.02

Results of Operations and Financial Condition

2.03

Creation of a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement of a Registrant

2.04

Triggering Events That Accelerate or Increase a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement

2.05

Cost Associated with Exit or Disposal Activities

2.06

Material Impairments

3.01

Notice of Delisting or Failure to Satisfy a Continued Listing Rule or Standard; Transfer of Listing

3.02

Unregistered Sales of Equity Securities

3.03

Material Modifications to Rights of Security Holders

4.01

Changes in Registrant's Certifying Accountant

4.02

Non-Reliance on Previously Issued Financial Statements or a Related Audit Report or Completed Interim Review

5.01

Changes in Control of Registrant

5.02

Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers; Compensatory Arrangements of Certain Officer

5.03

Amendments to Articles of Incorporation or Bylaws; Change in Fiscal Year

5.04

Temporary Suspension of Trading Under Registrant's Employee Benefit Plans

5.05

Amendments to the Registrant's Code of Ethics, or Waiver of a Provision of the Code of Ethics

5.06

Change in Shell Company Status

6.01

ABS Informational and Computational Material.

6.02

Change of Servicer or Trustee.

6.03

Change in Credit Enhancement or Other External Support.

6.04

Failure to Make a Required Distribution.

6.05

Securities Act Updating Disclosure.

7.01

Regulation FD Disclosure

8.01

Other Events

9.01

Financial Statements and Exhibits

8-K reports may be viewed in person in the Commission's Public Reference Branch at 100 F Street, N.E., Washington, D.C. To obtain paper copies, please refer to information on the Commission's Web site at http://www.sec.gov/answers/publicdocs.htm. In most cases, you can view and download this information by using the search function located at http://www.sec.gov/edgar/searchedgar/companysearch.html.

                                        STATE  
NAME OF ISSUER                          CODE     8K ITEM NO.          DATE        COMMENT
  
3DICON CORP                                      5.02,9.01            08/08/11
  
57th Street General Acquisition Corp    DE       2.02,9.01            08/11/11
  
AASTROM BIOSCIENCES INC                 MI       1.01,3.03,9.01       08/11/11
  
ACELRX PHARMACEUTICALS INC              DE       2.02,9.01            08/11/11
  
ADAMS RESOURCES & ENERGY, INC.          DE       2.02                 08/12/11
  
AGY Holding Corp.                       DE       2.02,5.02,9.01       08/12/11
  
ALASKA AIR GROUP INC                    DE       7.01,9.01            08/12/11
  
ALLIANT ENERGY CORP                     WI       5.02,9.01            08/12/11
  
Alto Group Holdings Inc.                NV       1.01,3.02            08/11/11
  
AMBASSADORS GROUP INC                   DE       5.02                 08/12/11
  
AMERICA WEST RESOURCES, INC.            NV       5.02                 08/12/11
  
American Caresource Holdings, Inc.      DE       2.02,9.01            08/11/11
  
American Casino & Entertainment Prope   DE       2.02,9.01            08/12/11
  
AMERISERV FINANCIAL INC /PA/            PA       1.01,3.02,3.03,5.02, 08/12/11  
                                                 5.03,8.01,9.01
  
AMERISOURCEBERGEN CORP                  DE       8.01,9.01            08/11/11
  
AMPAL-AMERICAN ISRAEL CORP              NY       3.01                 08/12/11
  
ANIXTER INTERNATIONAL INC               DE       8.01,9.01            08/08/11
  
APOLLO INVESTMENT CORP                  MD       8.01,9.01            08/11/11
  
APPLIED ENERGETICS, INC.                DE       8.01                 08/02/11
  
APPLIED INDUSTRIAL TECHNOLOGIES INC     OH       5.02,9.01            08/09/11
  
ARENA PHARMACEUTICALS INC               DE       5.02                 08/12/11
  
ARETE INDUSTRIES INC                    CO       4.01,9.01            08/09/11
  
ARKANOVA ENERGY CORP.                   NV       7.01,9.01            08/12/11
  
ATLANTIC POWER CORP                     A1       2.02,8.01,9.01       08/12/11
  
AVANIR PHARMACEUTICALS, INC.            DE       8.01,9.01            08/11/11
  
BARRETT BUSINESS SERVICES INC           MD       7.01                 08/11/11
  
BB&T CORP                               NC       8.01,9.01            08/12/11
  
BIGLARI HOLDINGS INC.                   IN       2.02,9.01            08/12/11
  
BION ENVIRONMENTAL TECHNOLOGIES INC     CO       7.01,9.01            08/11/11
  
BLUE RIDGE REAL ESTATE CO               PA       1.01,2.03            08/10/11
  
Bluerock Enhanced Multifamily Trust,    MD       5.07,8.01            08/08/11
  
BMB MUNAI INC                           NV       5.02                 08/08/11
  
Booz Allen Hamilton Holding Corp        DE       5.07                 08/10/11
  
BORGWARNER INC                          DE       5.02                 08/10/11
  
BRAINY BRANDS COMPANY, INC.             DE       1.01,2.03,3.02,9.01  08/11/11
  
BROADVIEW INSTITUTE INC                 MN       5.07                 08/10/11
  
Brookdale Senior Living Inc.            DE       7.01,9.01            08/11/11
  
CALECO PHARMA CORP.                     NV       5.02                 08/08/11
  
CAMBIUM LEARNING GROUP, INC.                     2.02,3.02,9.01       08/09/11
  
CANTERBURY PARK HOLDING CORP            MN       2.02,9.01            08/12/11
  
CAPELLA EDUCATION CO                             5.02,9.01            08/11/11
  
CAPITAL ONE FINANCIAL CORP              DE       1.01,8.01,9.01       08/08/11
  
CASELLA WASTE SYSTEMS INC               DE       7.01,9.01            08/12/11
  
CATERPILLAR INC                         DE       7.01                 08/12/11
  
CENTRAL FEDERAL CORP                    DE       2.02,9.01            08/12/11
  
CENTURY CASINOS INC /CO/                DE       2.02                 06/30/11
  
CH ENERGY GROUP INC                     NY       8.01,9.01            08/11/11
  
CHINA AUTOMOTIVE SYSTEMS INC            DE       2.02,9.01            08/09/11
  
China CGame, Inc.                       DE       1.01,7.01,9.01       08/12/11
  
CHINA JO-JO DRUGSTORES, INC.                     8.01,9.01            08/12/11
  
China TransInfo Technology Corp.        NV       2.02,7.01,9.01       08/12/11
  
CHINACAST EDUCATION CORP                DE       2.02,9.01            08/09/11
  
CHURCHILL DOWNS INC                     KY       8.01                 08/09/11
  
CIB MARINE BANCSHARES INC               WI       8.01,9.01            08/12/11
  
Citibank, N.A., as depositor of Citib   X1       1.01,9.01            08/09/11
  
CITIZENS BANCSHARES CORP /GA/           GA       2.02,9.01            08/12/11
  
Clear Channel Outdoor Holdings, Inc.    DE       5.02,9.01            08/11/11
  
CLIFTON SAVINGS BANCORP INC                      5.07,8.01,9.01       08/11/11
  
CLOUD PEAK ENERGY INC.                  DE       1.01,2.03,9.01       08/11/11
  
CNB FINANCIAL CORP/PA                   PA       5.02                 08/09/11
  
Cobalt International Energy, Inc.                5.07                 04/28/11    AMEND
  
CommonWealth REIT                       MD       5.07                 08/12/11    AMEND
  
Community Partners Bancorp              NJ       1.01,3.03,5.02,5.03, 08/08/11  
                                                 8.01,9.01  
       
COMSCORE, INC.                          DE       1.01,2.01,3.02,9.01  08/11/11
  
Comstock Homebuilding Companies, Inc.   DE       2.02,9.01            08/12/11
  
Conmed Healthcare Management, Inc.      DE       2.02,9.01            08/12/11
  
CONTINUCARE CORP                                 8.01                 08/12/11
  
CTI INDUSTRIES CORP                     DE       2.02,9.01            08/12/11
  
CTPARTNERS EXECUTIVE SEARCH INC.        DE       8.01,9.01            08/11/11
  
CUMULUS MEDIA INC                       DE       2.02,9.01            08/12/11
  
CUMULUS MEDIA INC                       DE       2.01,8.01,9.01       08/01/11    AMEND
  
DATAMILL MEDIA CORP.                             1.02                 06/22/11    AMEND
  
DAWSON GEOPHYSICAL CO                   TX       7.01,9.01            08/12/11
  
Deep Down, Inc.                         NV       2.02,9.01            08/11/11
  
Delta Tucker Holdings, Inc.             DE       1.01,9.01            08/10/11
  
DEVRY INC                               DE       8.01,9.01            08/11/11
  
DEVRY INC                               DE       2.02,9.01            08/11/11
  
Diamond Resorts Corp                    MD       8.01,9.01            08/12/11
  
DIGITAL ALLY INC                                 2.02,9.01            08/11/11
  
DILLARDS INC                            DE       2.02,9.01            08/11/11
  
DIODES INC /DEL/                        DE       2.02,7.01,9.01       08/09/11
  
DIRECT INSITE CORP                      DE       2.02,9.01            08/11/11
  
DMH INTERNATIONAL, INC.                 NV       1.01,2.03,9.01       08/11/11
  
DOLLAR TREE INC                         VA       7.01,9.01            08/12/11
  
Eagle Ford Oil & Gas Corp               NV       1.01,2.01,9.01       08/11/11
  
EARTHSTONE ENERGY INC                   DE       2.02,9.01            08/12/11
  
EASTMAN CHEMICAL CO                     DE       5.07                 08/12/11    AMEND
  
EASTON-BELL SPORTS, INC.                DE       2.02,9.01            08/11/11
  
Edgen Murray II, L.P.                   DE       2.02                 08/12/11
  
EL PASO CORP/DE                         DE       8.01                 08/10/11
  
ELECTRO SCIENTIFIC INDUSTRIES INC       OR       5.02,5.07,9.01       08/11/11
  
Electromed, Inc.                        MN       5.02,9.01            08/08/11
  
ELECTRONIC ARTS INC.                    DE       2.01,3.02,9.01       08/12/11
  
Empeiria Acquisition Corp               DE       8.01,9.01            08/11/11
  
ENTERGY CORP /DE/                       DE       8.01                 08/09/11
  
ENTERPRISE PRODUCTS PARTNERS L P        DE       8.01,9.01            08/10/11
  
EVERGREEN ENERGY INC                    DE       2.02,9.01            08/12/11
  
EVERTEC, Inc.                           PR       2.02,9.01            08/12/11
  
FIRST BANCORP /PR/                      PR       2.02,8.01,9.01       08/08/11
  
FIRST UNITED CORP/MD/                   MD       5.02                 08/12/11
  
Firsthand Technology Value Fund, Inc.            8.01,9.01            08/12/11
  
FIVE STAR QUALITY CARE INC                       5.07                 08/12/11    AMEND
  
FLIR SYSTEMS INC                        OR       1.01,9.01            08/09/11
  
FOREST OIL CORP                         NY       5.07                 05/11/11    AMEND
  
Fortegra Financial Corp                 DE       2.02                 08/11/11
  
FOSSIL INC                              DE       5.02,9.01            08/11/11
  
FPIC INSURANCE GROUP INC                FL       5.07,9.01            08/12/11
  
FROZEN FOOD EXPRESS INDUSTRIES INC      TX       8.01                 08/09/11
  
FS Energy & Power Fund                  DE       2.02,9.01            08/10/11
  
FS Investment CORP                      MD       2.02,5.07,9.01       06/22/11
  
FUSION TELECOMMUNICATIONS INTERNATION   DE       1.01,2.03,9.01       08/11/11
  
FUSION-IO, INC.                         DE       2.01,9.01            08/11/11
  
GAYLORD ENTERTAINMENT CO /DE            DE       1.01,3.03,7.01,9.01  08/12/11
  
Geeknet, Inc                            DE       5.02,5.03,8.01,9.01  08/11/11
  
GENCOR INDUSTRIES INC                   DE       2.02,9.01            08/12/11
  
GENVEC INC                              DE       1.01,3.03,5.03,9.01  08/11/11
  
GEORESOURCES INC                        CO       7.01,9.01            08/10/11
  
GLOBAL AXCESS CORP                      NV       2.02,9.01            08/11/11
  
Global Pharm Holdings Group, Inc.       DE       2.02,9.01            08/12/11
  
Government Properties Income Trust      MD       5.07                 08/12/11    AMEND
  
Grubb & Ellis Healthcare REIT II, Inc   MD       9.01                 05/26/11    AMEND
  
GSI GROUP INC                           A3       2.02,9.01            08/11/11
  
GSI GROUP INC                           A3       5.02                 08/08/11
  
Harbin Electric, Inc                             2.02,9.01            08/09/11
  
Harbor BioSciences, Inc.                DE       5.02                 08/11/11
  
HDS INTERNATIONAL CORP.                 NV       1.01,2.03,9.01       08/11/11
  
HEALTHWAYS, INC                         DE       5.05,9.01            08/10/11
  
HFF, Inc.                               DE       8.01,9.01            08/09/11
  
HICKOK INC                              OH       2.02,9.01            06/30/11
  
HICKORY TECH CORP                       MN       2.03,9.01            08/12/11
  
HOSPITALITY PROPERTIES TRUST            MD       5.07                 08/12/11    AMEND
  
HSBC Finance Corp                                1.01,9.01            08/10/11
  
HSBC USA INC /MD/                       MD       1.01,9.01            08/10/11
  
Huifeng Bio-Pharmaceutical Technology   NV       4.01                 08/09/11
  
IEC ELECTRONICS CORP                    DE       2.02,9.01            08/08/11
  
IMPERIAL INDUSTRIES INC                 DE       2.02,9.01            08/12/11
  
INDEPENDENCE HOLDING CO                 DE       2.02,9.01            06/30/11
  
INGLES MARKETS INC                      NC       2.02,9.01            08/12/11
  
INOVIO PHARMACEUTICALS, INC.                     5.03,9.01            08/10/11
  
interclick, inc.                        DE       5.02,9.01            08/09/11
  
INTERNATIONAL FUEL TECHNOLOGY INC       NV       3.02                 08/09/11
  
INTL FCSTONE INC.                       DE       7.01                 08/12/11
  
INVESTMENT TECHNOLOGY GROUP INC         DE       5.02                 08/12/11
  
iTech Medical, Inc.                     DE       8.01,9.01            08/12/11
  
J C PENNEY CO INC                       DE       2.02,9.01            08/12/11
  
JBI, INC.                               NV       5.02,9.01            08/08/11
  
John Bean Technologies CORP             DE       5.07                 08/12/11    AMEND
  
JONES GROUP INC                         PA       8.01,9.01            08/12/11
  
Kearny Financial Corp.                  X1       2.02,9.01            08/12/11
  
KEYSTONE CONSOLIDATED INDUSTRIES INC    DE       2.02,7.01,9.01       08/12/11
  
KNOLOGY INC                             DE       8.01,9.01            08/12/11
  
KULICKE & SOFFA INDUSTRIES INC          PA       5.02,9.01            08/09/11
  
LEXARIA CORP.                           NV       1.01,7.01,9.01       08/12/11
  
LIFE PARTNERS HOLDINGS INC              TX       8.01,9.01            08/11/11
  
LIGHTING SCIENCE GROUP CORP             DE       1.01,2.03,5.07,9.01  08/08/11
  
LIGHTSTONE VALUE PLUS REAL ESTATE INV   MD       8.01                 08/12/11
  
Lightstone Value Plus Real Estate Inv   MD       8.01                 08/12/11
  
LITHIA MOTORS INC                       OR       8.01,9.01            08/12/11
  
LL&E ROYALTY TRUST                      TX       8.01,9.01            08/12/11
  
LML PAYMENT SYSTEMS INC                 A1       2.02,5.07,7.01,9.01  08/10/11
  
LMP CAPITAL & INCOME FUND INC.                   8.01,9.01            08/12/11
  
LUFKIN INDUSTRIES INC                   TX       8.01,9.01            08/12/11
  
Max Cash Media Inc                      NV       1.01,2.03,3.02       08/09/11
  
Mayflower Bancorp Inc                   MA       5.02,5.03,9.01       08/11/11
  
MCJUNKIN RED MAN HOLDING CORP           DE       2.02,9.01            08/12/11
  
Measurement Specialties Inc             NJ       8.01,9.01            08/11/11
  
MEDIACOM BROADBAND LLC                  DE       2.02,9.01            08/12/11
  
MEDIACOM LLC                            NY       2.02,9.01            08/12/11
  
MEXCO ENERGY CORP                       CO       2.02,9.01            08/12/11
  
MF Global Holdings Ltd.                 DE       5.07                 08/11/11
  
MICROSEMI CORP                          DE       5.03,9.01            08/09/11
  
MID AMERICA APARTMENT COMMUNITIES INC   TN       7.01,9.01            08/12/11
  
MIDAS INC                               DE       8.01                 08/11/11
  
Midway Gold Corp                        A1       7.01,9.01            06/27/11
  
MINDSPEED TECHNOLOGIES, INC             DE       5.07                 04/05/11    AMEND
  
Mojo Ventures, Inc.                     DE       1.01,9.01            05/24/11
  
Momentive Performance Materials Inc.    DE       2.02,9.01            08/12/11
  
MOMENTIVE SPECIALTY CHEMICALS INC.      NJ       2.02,9.01            08/12/11
  
MONRO MUFFLER BRAKE INC                 NY       5.07                 08/09/11
  
MORGANS FOODS INC                       OH       1.01                 08/10/11
  
MUNICIPAL MORTGAGE & EQUITY LLC         DE       5.02,9.01            08/10/11
  
MYMETICS CORP                           DE       1.01                 08/04/11
  
National Interstate CORP                OH       8.01,9.01            08/10/11
  
NATURAL ALTERNATIVES INTERNATIONAL IN   DE       1.01,8.01,9.01       08/08/11
  
NETWORK EQUIPMENT TECHNOLOGIES INC      DE       5.02,5.07            08/09/11
  
NEW FRONTIER ENERGY INC                 CO       7.01                 08/12/11
  
New Generation Biofuels Holdings, Inc   FL       1.01,8.01            08/10/11
  
New York & Company, Inc.                         1.01,2.03            08/10/11
  
NORTH EUROPEAN OIL ROYALTY TRUST        DE       2.02,9.01            07/31/11
  
NORTHERN OIL & GAS, INC.                         1.01,2.03,9.01       08/08/11
  
NOVADEL PHARMA INC                      DE       2.02,9.01            08/12/11
  
Nutrastar International Inc.            NV       2.02,7.01,9.01       08/12/11
  
OMNI BIO PHARMACEUTICAL, INC.           CO       1.01,3.02,5.02       08/08/11
  
optionsXpress Holdings, Inc.            DE       8.01,9.01            08/11/11
  
ORBIT INTERNATIONAL CORP                DE       2.02,9.01            08/09/11
  
Orbitz Worldwide, Inc.                  DE       5.02,9.01            08/08/11
  
OSI RESTAURANT PARTNERS, LLC            DE       7.01                 08/11/11
  
PDL BIOPHARMA, INC.                     DE       7.01,9.01            08/12/11
  
PENN MILLERS HOLDING CORP                        2.02,9.01            08/12/11
  
PFSWEB INC                              DE       2.02                 08/11/11
  
PLY GEM HOLDINGS INC                    DE       2.02,9.01            08/12/11
  
PNM RESOURCES INC                       NM       8.01,9.01            08/11/11
  
PostRock Energy Corp                    DE       1.01,1.02,2.01,3.02, 08/08/11  
                                                 7.01,9.01  
       
POW! ENTERTAINMENT, INC.                DE       7.01,9.01            08/09/11
  
POWER SOLUTIONS INTERNATIONAL, INC.              9.01                 04/29/11    AMEND
  
PRIMUS TELECOMMUNICATIONS GROUP INC     DE       5.07,8.01,9.01       08/08/11
  
Prologis, Inc.                          MD       7.01                 08/11/11
  
PSM HOLDINGS INC                        NV       1.01,2.01,3.02,9.01  08/08/11
  
PSYCHEMEDICS CORP                       DE       2.02,9.01            08/10/11
  
RALCORP HOLDINGS INC /MO                MO       1.01,9.01            08/08/11
  
RAMTRON INTERNATIONAL CORP              DE       2.02,9.01            07/20/11    AMEND
  
REAL ESTATE ASSOCIATES LTD II           CA       1.01,2.01,9.01       08/10/11
  
RECOVERY ENERGY, INC.                   NV       1.01,9.01            02/26/10    AMEND
  
RED ROBIN GOURMET BURGERS INC           DE       5.02,8.01,9.01       08/09/11
  
RMD Technologies, Inc.                  CA       1.01                 05/01/11
  
ROCKY MOUNTAIN CHOCOLATE FACTORY INC    CO       5.07                 08/11/11
  
RODMAN & RENSHAW CAPITAL GROUP, INC.    DE       2.02,9.01            08/12/11
  
Rosetta Resources Inc.                  DE       7.01,9.01            08/11/11
  
ROYAL BANCSHARES OF PENNSYLVANIA INC    PA       2.02,9.01            08/11/11
  
Sagebrush Gold Ltd.                     NV       5.02                 08/08/11
  
SALIX PHARMACEUTICALS LTD                        2.02,9.01            08/08/11
  
SAN DIEGO GAS & ELECTRIC CO             CA       5.07                 08/12/11    AMEND
  
SANDRIDGE ENERGY INC                    DE       1.01,9.01            08/10/11
  
SandRidge Permian Trust                          1.01,9.01            08/10/11
  
Savoy Energy Corp                       NV       4.01,9.01            08/11/11
  
SBT Bancorp, Inc.                       CT       1.01,3.02,3.03,5.02, 08/08/11  
                                                 5.03,8.01,9.01
  
SCHIFF NUTRITION INTERNATIONAL, INC.    DE       9.01                 05/31/11    AMEND
  
SENIOR HOUSING PROPERTIES TRUST         MD       5.07                 08/12/11    AMEND
  
SERVOTRONICS INC /DE/                   DE       2.02,9.01            08/12/11
  
Shiner International, Inc.              NV       2.02,9.01            08/12/11
  
Shire plc                                        8.01,9.01            08/12/11
  
SIONIX CORP                             NV       5.02                 08/09/11
  
SKY PETROLEUM, INC.                     NV       1.01,2.03,7.01,8.01, 08/10/11  
                                                 9.01  
            
SOLIGENIX, INC.                         DE       2.02,9.01            08/12/11
  
SOUPMAN, INC.                           DE       1.01,9.01            07/29/11
  
SOUTHWALL TECHNOLOGIES INC /DE/         DE       2.02,9.01            08/12/11
  
SPANISH BROADCASTING SYSTEM INC         DE       2.02,9.01            08/12/11
  
SPHERIX INC                             DE       2.02,9.01            08/12/11
  
STAGE STORES INC                        NV       8.01,9.01            08/11/11
  
Steadfast Income REIT, Inc.             MD       9.01                 06/28/11    AMEND
  
STEPAN CO                               DE       5.02                 08/11/11
  
Strategic Storage Trust, Inc.           MD       7.01,9.01            08/12/11
  
SUFFOLK BANCORP                         NY       4.02                 08/10/11
  
SunOpta Inc.                                     5.07                 08/12/11    AMEND
  
SUNTRUST BANKS INC                      GA       5.02,8.01,9.01       08/08/11
  
SUPERIOR UNIFORM GROUP INC              FL       8.01                 08/12/11
  
SYNALLOY CORP                           DE       5.02                 08/12/11
  
SYSTEMAX INC                            DE       5.07                 06/14/11    AMEND
  
TACTICAL AIR DEFENSE SERVICES, INC.              1.01,3.02,5.03,7.01, 08/12/11  
                                                 9.01  
            
TANDY LEATHER FACTORY INC               DE       2.02,9.01            08/11/11
  
TECHS LOANSTAR, INC.                    NV       1.01,3.02,5.01,5.02, 08/12/11  
                                                 5.03,9.01  
       
TESSERA TECHNOLOGIES INC                DE       5.02,5.03,7.01,9.01  08/10/11
  
THERMADYNE HOLDINGS CORP /DE            DE       2.02,9.01            08/12/11
  
TITANIUM METALS CORP                    DE       7.01,9.01            08/12/11
  
TIVO INC                                DE       8.01,9.01            08/11/11
  
TNP Strategic Retail Trust, Inc.        MD       9.01                 05/26/11    AMEND
  
TOPSPIN MEDICAL INC                              5.02                 08/10/11
  
TORTOISE CAPITAL RESOURCES CORP                  8.01,9.01            08/08/11
  
TRANSATLANTIC HOLDINGS INC              DE       8.01,9.01            08/12/11
  
TRANSCEND SERVICES INC                  DE       1.01,9.01            08/10/11
  
TRANSCONTINENTAL GAS PIPE LINE COMPAN   DE       1.01,2.03,9.01       08/12/11
  
Tree.com, Inc.                          DE       2.02,9.01            08/12/11
  
Tree.com, Inc.                          DE       9.01                 05/12/11    AMEND
  
TRIAD GUARANTY INC                      DE       2.02,9.01            08/12/11
  
TRW AUTOMOTIVE HOLDINGS CORP            DE       5.07                 05/18/11    AMEND
  
TUFCO TECHNOLOGIES INC                  DE       2.02,7.01,9.01       08/11/11
  
U. S. Premium Beef, LLC                          7.01,9.01            08/12/11
  
UMPQUA HOLDINGS CORP                    OR       5.02                 08/12/11
  
UNICO AMERICAN CORP                     NV       2.02                 06/30/11
  
UNISOURCE ENERGY CORP                   AZ       2.03,9.01            08/08/11
  
United Community Bancorp                X1       8.01,9.01            08/11/11
  
UNITED COMMUNITY FINANCIAL CORP         OH       2.02,9.01            08/12/11
  
UNITEDHEALTH GROUP INC                  MN       5.07                 05/23/11    AMEND
  
URANERZ ENERGY CORP.                    NV       5.03,9.01            08/08/11
  
UROLOGIX INC                            MN       3.01,5.02            08/09/11
  
US HOME SYSTEMS INC                     DE       2.02,9.01            08/11/11
  
Valley Commerce Bancorp                 CA       5.07                 05/25/11
  
VALLEY FINANCIAL CORP /VA/              VA       8.01,9.01            08/12/11
  
VALLEY FORGE COMPOSITE TECHNOLOGIES,    FL       5.02                 08/08/11
  
VALPEY FISHER CORP                      MD       2.02,9.01            08/12/11
  
VARIAN SEMICONDUCTOR EQUIPMENT ASSOCI   DE       5.07,8.01,9.01       08/11/11
  
Venture Lending & Leasing V, Inc.       MD       5.02                 08/10/11
  
VirnetX Holding Corp                    DE       5.07                 05/26/11    AMEND
  
VistaGen Therapeutics, Inc.             NV       2.01,9.01            05/11/11    AMEND
  
VSE CORP                                DE       9.01                 06/06/11    AMEND
  
Vulcan Materials CO                     NJ       5.07                 05/13/11    AMEND
  
WELLS FARGO & CO/MN                     DE       9.01                 08/12/11
  
WELLS FARGO & CO/MN                     DE       9.01                 08/12/11
  
WELLS REAL ESTATE INVESTMENT TRUST II   MD       2.02,9.01            08/12/11
  
WILLIAMS CONTROLS INC                   DE       2.02,9.01            08/04/11
  
XcelMobility Inc.                       NV       5.02                 08/12/11
  
YAHOO INC                               DE       9.01                 07/29/11    AMEND
  
ZION OIL & GAS INC                      DE       8.01,9.01            08/12/11
  
Zumiez Inc                              WA       5.02                 08/08/11
  
Zurvita Holdings, Inc.                  DE       1.01,3.02            08/08/11

 

http://www.sec.gov/news/digest/2011/dig081511.htm


Modified: 08/15/2011