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

Form 13F

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number: ____
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:

Name: BARCLAYS PLC
Address: 1 CHURCHILL
         LONDON, ENGLAND EC3P3AH
Form 13F File Number: 	28-826

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Patrick Gonsalves
Title: Deputy Secretary, Barclays PLC
Phone: 020-7116-2901

Signature, Place, and Date of Signing:

Patrick Gonsalves                London, England      February 14, 2006

Report Type (Check only one.):

[ ] 	13F HOLDINGS REPORT.
[ ] 	13F NOTICE.
[X] 	13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:
Form 13F File Number   Name
  *                      Barclays Global Investors UK Holdings Limited
  *   File Number not yet available.



Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number: ____
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: BARCLAYS PRIVATE BANK LIMITED
Address: 59/60 GROSVENOR STREET
         LONDON WIX 9DA ENGLAND

Form 13F File Number: 	28-826

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Alex Wade
Title: Acting Head of Client Support
Phone: 020 7487 2170

Signature, Place, and Date of Signing:

Alex Wade                    London, England    January 5, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[ x  ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:
Form 13F File Number     Name
28-826                   Barclays PLC


Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number: ___
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: BARCLAYS BANK TRUST COMPANY LIMITED
Address: 1 Churchill Place
         London, E14 5HP, England

Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Rose Mead
Title: Head of Operations, Peterborough
Phone: 00 44 1733 412194

Signature, Place, and Date of Signing:

Rose Mead          London, England      January 4, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC
*   File Number not yet available.

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number: ___
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: BARCLAYS PRIVATE BANK & TRUST (ISLE OF MAN) LIMITED
Address:  4th Floor, Queen Victoria House
	  Isle of Man, IM99 IDF

Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:  Scott Madden
Title: Finance Services Manager
Phone: 01534 812858

Signature, Place, and Date of Signing:

Scott Madden          Jersey, C.I.       January 5, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC
*   File Number not yet available.

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number: ___
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: BARCLAYS PRIVATE BANK AND TRUST LIMITED
Address: 39/41 Broad Street, St. Helier
	 Jersey, Channel Islands JE4 8PU

Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:  Scott Madden
Title: Finance Services Manager
Phone: 01534 812858

Signature, Place, and Date of Signing:

Scott Madden          Jersey, C.I.       January 5, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC
*   File Number not yet available.




Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number:
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name:		Palomino Ltd
Address:	Walkers SPV Ltd
		Walker House
		Mary Street
		PO Box 908 GT
		George Town
		Grand Cayman
		Cayman Islands

Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Michael Stern
Title: Director Financial Reporting
Phone: 1 973 576 6949

Signature, Place, and Date of Signing:

Michael Stern               New York, USA    January 5, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC
*   File Number not yet available.

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number:
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:
Name:		HYMF INC
Address:	200 Park Avenue
		New York, New York 10166


Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Michael Stern
Title: Director Financial Reporting
Phone: 1 973 576 6949

Signature, Place, and Date of Signing:

Michael Stern              New York, USA     January 5, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC
*   File Number not yet available.

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number:
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: BARCLAYS BANK (Suisse) SA
Address: 10 rue d'Italie
	 CH-1204 Geneva
	 Switzerland

Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Yi-Hsiang Allistone		Michelle Etienne
Title: Head of Securities Settlement	Assistant Manager
Phone: 41 22 819 5723			41 22 819 5705

Signature, Place, and Date of Signing:

Yi-Hsiang Allistone Michelle Etienne Geneva,Switzerland Jan. 4, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.


List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC
*   File Number not yet available.

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number:
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: BARCLAYS CAPITAL SECURITIES LIMITED
Address: 5 The North Colonnade
	 Canary Wharf, London
	 England, E14 4BB

Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Oliver Cox
Title: Compliance Officer
Phone: 44 207 773 2598

Signature, Place, and Date of Signing:

Oliver Cox    London, United Kingdom  February 14, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC


Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2005

Check here if Amendment [   ];	 Amendment Number:
This Amendment (Check only one.): 	[   ] is a restatement.
                                   	[   ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: BARCLAYS BANK PLC
Address: 54 Lombard Street
	 London, England EC3P 3AH

Form 13F File Number: 	*

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the report
is authorized to submit it, that all information contained herein is
true, correct and complete, and that it is understood that all required
items, statements, schedules, lists, and tables, are considered
integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: Oliver Cox
Title: Compliance Officer
Phone: 44 207 773 2598

Signature, Place, and Date of Signing:

Oliver Cox    London, United Kingdom  February 14, 2006

Report Type (Check only one.):

[    ] 	13F HOLDINGS REPORT.
[  X ] 	13F NOTICE.
[    ] 	13F COMBINATION REPORT.

List of Other Managers Reporting for this Manager:
Form 13F File Number          Name
28-826                        Barclays PLC
 *  		            Barclays Global Investors UK Holdings Limited
*   File Number not yet available.




						FORM 13F SUMMARY PAGE




Report Summary:

Number of Other Included Managers:              9
Form 13F Information Table Entry Total:		1310
Form 13F Information Table Value Total:		$5,999,411 (thousands)
List of Other Included Managers:

No.    Form 13F File Number   NAME
1		    28-827    Barclays Bank PLC
9               *             Barclays Capital Securities LTD
10		    *	      Barclays Bank Trust Company LTD
11		    *         Barclays Private Bank & Trust (Isle of Man) LTD
12		    *         Barclays Private Bank & Trust Limited (Jersey)
17		    *         Barclays Private Bank LTD
20		    *	      Barclays Bank (Suisse) SA
31		    *	      Palomino LTD
32		    *	      HYMF INC

		* File number not yet available



FORM 13F INFORMATION TABLE


                              CLASS                  VALUE SHARES       SH/ PUT/ INVSTMT OTHER            VOTING AUTHORITY
NAME OF ISSUER                TITLE CUSIP         (X$1000) PRN AMT      PRN CALL DSCRETN MGRS       SOLE      SHARED        NONE
----------------------------- ----- --------- ------------ ------------ --- ---- ------- -- ------------ ------------ ------------
                                                                                     
ACCO BRANDS CORP COM           COM  00081T108          798        32713 S        D       9         32713            0            0
AES CORP COM                   COM  00130H105          651        41659 S        D       9         41659            0            0
AT&T INC                       COM  00206R102            5          210 SH       D       12          210            0            0
AT&T INC COM                   COM  00206R102        66988      2753346 S        D       9       2753346            0            0
ACTUANT CORPORATION USD 0.2    Com  00508X203         3219        57700 S        D       31        57700            0            0
ADAPTEC INC USD 0.001          Com  00651F108          136        23400 S        D       31        23400            0            0
ADAPTEC INC COM                COM  00651F108           34         6000 S        D       9          6000            0            0
ADAPTEC INC NOTE 0.750%12/2    NOT  00651FAG3        10824     12500000 P        D       9      12500000            0            0
ADOBE SYS INC COM              COM  00724F101          280         7600 S        D       1          7600            0            0
ADOBE SYSTEMS INCORPORATED USD Com  00724F101            0            5 S        D       31            5            0            0
ADOBE SYS INC COM              COM  00724F101         1440        39025 S        D       9         39025            0            0
ADTRAN INC USD 0.01            Com  00738A106           11          400 S        D       31          400            0            0
ADVANCE AMERICA CASH ADVANCE C Com  00739W107            1          100 S        D       31          100            0            0
ADVANCE AUTO PARTS USD 0.0001  Com  00751Y106         4615       106200 S        D       31       106200            0            0
ADVISORY BOARD CO USD 0.01     Com  00762W107          119         2504 S        D       31         2504            0            0
AETNA INC USD 0.01             Com  00817Y108        16147       171212 S        D       31       171212            0            0
AETNA INC NEW COM              COM  00817Y108        13879       146028 S        D       9        146028            0            0
AGILENT TECHNOLOGY INC USD 0.0 Com  00846U101        31439       944401 S        D       31       944401            0            0
AGILENT TECHNOLOGIES INC COM   COM  00846U101          882        26565 S        D       9         26565            0            0
ALCOA INC                      COM  013817101           29         1000 SH       D       12         1000            0            0
ALKERMES INC USD 0.01          Com  01642T108          561        29391 S        D       31        29391            0            0
ALLEGHENY TECHNOLOGIES INC COM COM  01741R102          200         5610 S        D       9          5610            0            0
ALLIANCE ATLANTIS COMMUNICATIO Com  01853E204            2          100 S        D       31          100            0            0
ALLIED CAPITAL CORP USD 0.0001 Com  01903Q108         5107       173900 S        D       31       173900            0            0
ALPHA NATURAL RESOURCES INC CO Com  02076X102            9          500 S        D       31          500            0            0
ALTRIA GROUP INC               COM  02209S103          473         6332 SH       D       12         6332            0            0
ALTRIA GROUP INC               COM  02209S103           50          670 SH       D       17          670            0            0
Altria Group Inc.              COM  02209S103         1053        14104 SH       D       20        14104            0            0
ALTRIA GROUP INC               Com  02209S103        90411      1210000 S        D       32      1210000            0            0
ALTRIA GROUP INC COM           COM  02209S103       113092      1510120 S        D       9       1510120            0            0
AMAZON COM INC                 COM  023135106           11          250 SH       D       11          250            0            0
AMERICA MOVIL S A DE C V SPON  SHS  02364W105       153711      5264082 S        D       1       5264082            0            0
AMER EXPRESS CO                COM  025816109            7          150 SH       D       12          150            0            0
American Express C             COM  025816109           53         1048 SH       D       20         1048            0            0
AMER EXPRESS CO                Com  025816109        13328       259000 S        D       32       259000            0            0
AMERICAN FINANCIAL REALTY TRUS Com  02607P305          218        18200 S        D       31        18200            0            0
AMERICAN HEALTHWAYS USD 0.001  Com  02649V104         1024        22649 S        D       31        22649            0            0
AMER INTL GRP                  COM  026874107         1378        20206 SH       D       17            0        20206            0
American Int. Grou             COM  026874107           47          700 SH       D       20          700            0            0
AMERISTAR CASINOS INC USD 0.01 Com  03070Q101         1137        50101 S        D       31        50101            0            0
AMERISOURCEBERGEN CORPORATION  Com  03073E105         1113        26906 S        D       31        26906            0            0
AMERIGROUP CORPORATION USD 0.0 Com  03073T102          398        20500 S        D       31        20500            0            0
AMERITRADE HOLDING CORPORATION Com  03074K100        22071       919627 S        D       31       919627            0            0
Ameriprise Financi             COM  03076C106            8          208 SH       D       20          208            0            0
AMERIPRISE FINL INC - COM      Com  03076C106         2123        51800 S        D       32        51800            0            0
AMERIPRISE FINL INC COM        COM  03076C106         2265        55665 S        D       9         55665            0            0
AMGEN INC                      COM  031162100          821        10413 SH       D       12        10413            0            0
AMGEN INC                      COM  031162100         2574        32651 SH       D       17            0            0        32651
Amgen Inc.                     COM  031162100         1357        17214 SH       D       20        17214            0            0
ANSYS INC USD 0.01             Com  03662Q105         1106        25923 S        D       31        25923            0            0
AO TATNEFT SPON ADR REG S      ADR  03737P306          133         2012 S        D       9          2012            0            0
APARTMENT INVT & MGMT CO CL A  CL   03748R101          223         5872 S        D       9          5872            0            0
APPLE COMPUTER CO              COM  037833100           30          430 SH       D       12          430            0            0
APPLE COMPUTER CO              COM  037833100           48          670 SH       D       17          670            0            0
APPLIED INDUSTRIAL TECHNOLOGIE Com  03820C105          774        23000 S        D       31        23000            0            0
APPLIED MATERIALS              COM  038222105            5          300 SH       D       17            0            0          300
APPLIED MICROCIRCUITS CORP USD Com  03822W109           75        29263 S        D       31        29263            0            0
APPLIED MICRO CIRCUITS CORP CO COM  03822W109           49        19365 S        D       9         19365            0            0
AQUILA INC COM                 COM  03840P102          340        94200 S        D       9         94200            0            0
ARBITRON INC USD 0.5           Com  03875Q108         1055        27800 S        D       31        27800            0            0
ARBITRON INC COM               COM  03875Q108          571        15000 S        D       9         15000            0            0
ARIBA INC USD 0.002            Com  04033V203           23         3233 S        D       31         3233            0            0
ASSURANT INC USD 0.01          Com  04621X108         5079       116800 S        D       31       116800            0            0
AUDIBLE INC USD 0.01           Com  05069A302           71         5565 S        D       31         5565            0            0
AUTONATION INC COM             COM  05329W102          262        11990 S        D       9         11990            0            0
AVANEX CORP                    COM  05348W109            1         1220 SH       D       17         1220            0            0
AVID TECHNOLOGIES INC USD 0.01 Com  05367P100         3801        69413 S        D       31        69413            0            0
AVISTA CORP USD NPV            Com  05379B107          359        20300 S        D       31        20300            0            0
BT GROUP ADR REP 10 ORD        Com  05577E101          445        11600 S        D       31        11600            0            0
BALLARD POWER SYSTEMS INC CAD  Com  05858H104            0          200 S        D       31          200            0            0
BANCOLOMBIA S A SPON ADR PREF  ADR  05968L102         1957        68800 S        D       9         68800            0            0
BK OF AMERICA CORP             COM  060505104         1780        38573 SH       D       12        38573            0            0
BK OF AMERICA CORP             COM  060505104         3660        79310 SH       D       17        79310            0            0
Bank of America, N             COM  060505104          513        11123 SH       D       20        11123            0            0
BILL BARRETT CORPORATION USD 0 Com  06846N104          864        22400 S        D       31        22400            0            0
BEAZER HOMES USA USD 0.001     Com  07556Q105          444         6100 S        D       31         6100            0            0
BEMA GOLD CORP CAD NPV         Com  08135F107            2          800 S        D       31          800            0            0
BERKSHIRE HATHAWAY             CLA  084670108           88            1 SH       D       12            1            0            0
BERKSHIRE HATHAWAY             COM  084670207          234           80 SH       D       12           80            0            0
BIOGEN IDEC INC USD 0.0005     Com  09062X103         1366        30151 S        D       31        30151            0            0
BIOGEN IDEC INC COM            COM  09062X103         9414       208383 S        D       9        208383            0            0
BIOVAIL CORPORATION CAD NPV    Com  09067J109         2960       124700 S        D       31       124700            0            0
BIOVAIL CORP COM               COM  09067J109        30008      1273700 S        D       9       1273700            0            0
BLACKROCK INC USD 0.01         Com  09247X101         5684        52400 S        D       31        52400            0            0
BLYTH INC USD 0.02             Com  09643P108          178         8500 S        D       31         8500            0            0
BOOKHAM INC                    COM  09856E105           39         8168 SH       D       17         8168            0            0
BOSTON PROPERTIES INC REIT USD Com  101121101         7190        97000 S        D       31        97000            0            0
BOSTON SCIENTIFIC              COM  101137107          161         6579 SH       D       12         6579            0            0
BOSTON SCIENTIFIC              COM  101137107         1450        59248 SH       D       17        59248            0            0
Boston Scientific              COM  101137107          452        18468 SH       D       20        18468            0            0
BOYD GAMING CORP USD 0.01      Com  103304101          948        19900 S        D       31        19900            0            0
BRADY CORP USD 0.01            Com  104674106          430        11900 S        D       31        11900            0            0
BRANDYWINE REALTY TRUST REIT U Com  105368203         7136       255700 S        D       31       255700            0            0
BROOKFIELD ASSET MANAGEMENT IN Com  10549P606          863        16900 S        D       31        16900            0            0
BRASIL TELECOM PARTICIPACOES S Com  105530109          769        20600 S        D       31        20600            0            0
BRIGHTPOINT INC USD 0.01       Com  109473405          758        27353 S        D       31        27353            0            0
BRINKER INTERNATIONAL USD 0.1  Com  109641100          224         5800 S        D       31         5800            0            0
BRINKS CO USD 1                Com  109696104         2740        57200 S        D       31        57200            0            0
Bristol Myers Squi             COM  110122108            9          400 SH       D       20          400            0            0
BRITESMILE INC                 COM  110415205           28        37835 SH       D       12        37835            0            0
BROADWING CORPORATION USD 0.01 Com  11161E101          202        33433 S        D       31        33433            0            0
BROCADE COMMUNICATIONS USD 0.0 Com  111621108          806       198071 S        D       31       198071            0            0
BROOKFIELD HOMES CORP USD 0.01 Com  112723101         1678        33749 S        D       31        33749            0            0
BROOKS AUTOMATION INC USD 0.01 Com  114340102          410        32800 S        D       31        32800            0            0
BROWN-FORMAN CORP              COM  115637100          141         2000 SH       D       17            0         2000            0
BRUNSWICK CORP USD 0.75        Com  117043109         1032        25400 S        D       31        25400            0            0
BURLINGTON COAT FACT.WAREHSE C Com  121579106           16          400 S        D       31          400            0            0
BURLINGTON NORTHN SANTA FE C C COM  12189T104         1703        24077 S        D       9         24077            0            0
BUSINESS OBJECTS SA ADR REP 1  Com  12328X107          149         3700 S        D       31         3700            0            0
CAE INC CAD NPV                Com  124765108          602        82100 S        D       31        82100            0            0
CBL & ASSOCIATES PROPERTIES IN Com  124830100         6527       165200 S        D       31       165200            0            0
CBRL GROUP INC COM             COM  12489V106         2324        66218 S        D       9         66218            0            0
CBRL GROUP INC NOTE 4/0        NOT  12489VAB2         7763     17000000 P        D       9      17000000            0            0
CB RICHARD ELLIS GROUP INC COM Com  12497T101         8127       138100 S        D       31       138100            0            0
CEC ENTERTAINMENT USD 0.1      Com  125137109          605        17800 S        D       31        17800            0            0
CHC HELICOPTER CORPORATION CAD Com  12541C203          277        11800 S        D       31        11800            0            0
CIGNA CORP USD 0.25            Com  125509109        24518       219503 S        D       31       219503            0            0
CIT GROUP INC USD 0.01         Com  125581108         3106        60000 S        D       31        60000            0            0
CKE RESTAURANTS INC USD 0.01   Com  12561E105           83         6202 S        D       31         6202            0            0
CLECO CORPORATION USD 1        Com  12561W105          504        24200 S        D       31        24200            0            0
CMGI INC USD 0.01              Com  125750109          274       182000 S        D       31       182000            0            0
CMS ENERGY CORP USD 0.01       Com  125896100         3521       242700 S        D       31       242700            0            0
CSK AUTO INC USD 0.01          Com  125965103          224        14900 S        D       31        14900            0            0
CNA FINANCIAL CORP USD 2.5     Com  126117100          854        26100 S        D       31        26100            0            0
CNF INC. USD 0.625             Com  12612W104         4773        85400 S        D       31        85400            0            0
CSX CORP USD 1                 Com  126408103         3965        78100 S        D       31        78100            0            0
CVS Corp.                      COM  126650100           44         1696 SH       D       20         1696            0            0
CVS CORP USD 0.01              Com  126650100         9705       367355 S        D       31       367355            0            0
CABLEVISION SYS CORP CL A NY C CL   12686C109         1173        50000 S        D       9         50000            0            0
CABOT OIL & GAS CORP USD 0.1   Com  127097103         3993        88550 S        D       31        88550            0            0
CABOT MICROELECTRONICS CORP US Com  12709P103          140         4800 S        D       31         4800            0            0
CACI INTERNATIONAL INC USD 0.1 Com  127190304         7637       133100 S        D       31       133100            0            0
CADBURY SCHWEPPES PLC ADR REP  Com  127209302         3951       103200 S        D       31       103200            0            0
CADENCE DESIGN SYSTEMS INC. US Com  127387108          688        40690 S        D       31        40690            0            0
CAL DIVE INTERNATIONAL INC USD Com  127914109          554        15460 S        D       31        15460            0            0
CALAMOS ASSET MANAGEMENT, INC  Com  12811R104          787        25053 S        D       31        25053            0            0
CAMECO CORPORATION CAD NPV     Com  13321L108         8249       130200 S        D       31       130200            0            0
CAMPBELL SOUP CO USD 0.0375    Com  134429109         2195        73732 S        D       31        73732            0            0
CANADIAN NATIONAL RAILWAY COMP Com  136375102         2594        32350 S        D       31        32350            0            0
CANADIAN NATIONAL RECOURCES CA Com  136385101         3247        65400 S        D       31        65400            0            0
CANADIAN PACIFIC RAILWAY LTD N Com  13645T100         3433        81800 S        D       31        81800            0            0
CANARGO ENERGY CORP USD 0.1    Com  137225108           97        73000 S        D       31        73000            0            0
CAPITAL ONE FINL CORP COM      COM  14040H105         1667        19295 S        D       9         19295            0            0
CAPSTONE TURBINE CORPORATION U Com  14067D102           49        16591 S        D       31        16591            0            0
CARBO CERAMICS INC COM STK USD Com  140781105          813        14400 S        D       31        14400            0            0
CARDINAL HEALTH INC COM        COM  14149Y108         2292        33275 S        D       9         33275            0            0
CARDIOME PHARMA CORP CAD NPV   Com  14159U202           27         2700 S        D       31         2700            0            0
CARNIVAL CORP                  COM  143658300          607        11368 SH       D       12        11368            0            0
Carnival Corp.                 COM  143658300         1244        23278 SH       D       20        23278            0            0
CARNIVAL PLC ADR               ADR  14365C103        25324       446204 S        D       9        446204            0            0
CARPENTER TECHNOLOGY CORPORATI Com  144285103         4961        70400 S        D       31        70400            0            0
CARRAMERICA REALTY CORPORATION Com  144418100         2077        60000 S        D       31        60000            0            0
CARTER`S INC USD 0.01          Com  146229109         1388        23600 S        D       31        23600            0            0
CATALINA MARKETING CORPORATION Com  148867104         1736        68500 S        D       31        68500            0            0
CATERPILLAR INC                COM  149123101          670        11599 SH       D       12        11599            0            0
CATERPILLAR INC                COM  149123101         3278        56748 SH       D       17        56748            0            0
Caterpillar Inc.               COM  149123101         1144        19817 SH       D       20        19817            0            0
CCE SPINCO INC COM             COM  14985W109          144        10911 S        D       9         10911            0            0
CELANESE CORPORATION USD 0.000 Com  150870103          619        32400 S        D       31        32400            0            0
CELL THERAPEUTIC INC COM NPV   Com  150934107          457       206852 S        D       31       206852            0            0
CELGENE CORP USD 0.01          Com  151020104          483         7458 S        D       31         7458            0            0
CENDANT CORP USD 0.01          Com  151313103         9121       528800 S        D       31       528800            0            0
CENTERPOINT ENERGY INC COM     COM  15189T107          262        20504 S        D       9         20504            0            0
CENTRAL FUND CANADA            Com  153501101            2          400 S        D       31          400            0            0
CENTURY ALUMINIUM COMPANY USD  Com  156431108           36         1400 S        D       31         1400            0            0
CEPHALON INC NOTE 2.000% 6/0   NOT  156708AP4        19970     13500000 P        D       9      13500000            0            0
CERTEGY INC USD 0.01           Com  156880106         2328        57398 S        D       31        57398            0            0
CHARMING SHOPPES INC USD 0.1   Com  161133103          402        30457 S        D       31        30457            0            0
CHECKFREE CORPORATION USD 0.01 Com  162813109         4642       101138 S        D       31       101138            0            0
CHEMED CORP USD 1              Com  16359R103          114         2300 S        D       31         2300            0            0
CHESAPEAKE ENERGY CORP USD 0.0 Com  165167107         2262        71300 S        D       31        71300            0            0
CHEVRON CORP                   COM  166764100          401         7076 SH       D       12         7076            0            0
CHEVRON CORP                   COM  166764100         1634        28783 SH       D       17            0        28783            0
Chevron Corporatio             COM  166764100          693        12224 SH       D       20        12224            0            0
CHICAGO BRIDGE & IRON CO NV NY Com  167250109          849        33700 S        D       31        33700            0            0
CHILDRENS PLACE RETAIL STORE I Com  168905107          259         5252 S        D       31         5252            0            0
CHINA MOBILE (HK)              ADR  16941M109           93         3900 SH       D       12         3900            0            0
CHOICE HOTELS INTERNATIONAL IN Com  169905106           83         2000 S        D       31         2000            0            0
CHOICEPOINT INC USD 0.1        Com  170388102         5318       119500 S        D       31       119500            0            0
CHRISTOPHER & BANKS CORP USD 0 Com  171046105          167         8900 S        D       31         8900            0            0
CHUBB CORP USD 1               Com  171232101         1826        18700 S        D       31        18700            0            0
CHUNGHWA TELECOM CO., LTD. ADR Com  17133Q205         2695       146900 S        D       31       146900            0            0
CHURCH & DWIGHT CO INC USD 1   Com  171340102         2219        67200 S        D       31        67200            0            0
CIMAREX ENERGY CO USD 0.01     Com  171798101         2183        50764 S        D       31        50764            0            0
CINCINNATI BELL INC USD 0.01   Com  171871106           22         6300 S        D       31         6300            0            0
CISCO SYSTEMS                  COM  17275R102         1118        65326 SH       D       12        65326            0            0
CISCO SYSTEMS                  COM  17275R102         2387       139476 SH       D       17       139476            0            0
Cisco Systems Inc.             COM  17275R102         1589        92832 SH       D       20        92832            0            0
CISCO SYS INC COM              COM  17275R102        36011      2101042 S        D       9       2101042            0            0
CITIGROUP INC                  COM  172967101         1339        27600 SH       D       12        27600            0            0
CITIGROUP INC                  COM  172967101         2996        61754 SH       D       17        61754            0            0
Citigroup Inc.                 COM  172967101          732        15091 SH       D       20        15091            0            0
CITIZENS COMMUNICATIONS CO COM COM  17453B101          250        20563 S        D       9         20563            0            0
CITRIX SYSTEMS USD 0.001       Com  177376100        10918       379393 S        D       31       379393            0            0
CLAIRES STORES INC USD 0.05    Com  179584107           26          900 S        D       31          900            0            0
CLARCOR INC USD 1              Com  179895107           68         2300 S        D       31         2300            0            0
CLEVELAND CLIFFS INC USD 0.5   Com  185896107        10725       121100 S        D       31       121100            0            0
CLOROX CO USD 1                Com  189054109          199         3500 S        D       31         3500            0            0
COACH INC USD 0.01             Com  189754104         2320        69600 S        D       31        69600            0            0
COCA-COLA CO                   COM  191216100           32          810 SH       D       12          810            0            0
COCA-COLA CO USD 0.25          Com  191216100        18883       468456 S        D       31       468456            0            0
COCA-COLA ENTERPRISES USD 1    Com  191219104           67         3512 S        D       31         3512            0            0
COGENT INC COM USD0.001        Com  19239Y108         1021        45054 S        D       31        45054            0            0
COGNEX CORP USD 0.002          Com  192422103            0           22 S        D       31           22            0            0
COGNOS INC CAD NPV             Com  19244C109        14208       409416 S        D       31       409416            0            0
COHERENT INC USD 0.01          Com  192479103          268         9032 S        D       31         9032            0            0
COINSTAR INC USD 0.001         Com  19259P300            7          331 S        D       31          331            0            0
COLGATE-PALMOLIVE              COM  194162103          333         6080 SH       D       17         6080            0            0
COMCAST CORP                   COM  20030N101           19          753 SH       D       17          753            0            0
COMCAST CORP NEW CL A          CL   20030N101         9994       383944 S        D       9        383944            0            0
Comcast Corp.                  CLA  20030N200          304        11868 SH       D       20        11868            0            0
COMCAST CORP USD 1             Com  20030N200         1326        51626 S        D       31        51626            0            0
COMMERCE BANCSHARES INC USD 5  Com  200525103            4           83 S        D       31           83            0            0
COMMERCE GROUP INC USD 0.5     Com  200641108         3671        64100 S        D       31        64100            0            0
COMMONWEALTH TELEPHONE USD 1   Com  203349105          634        18801 S        D       31        18801            0            0
COMMSCOPE INC USD 0.01         Com  203372107         1237        61500 S        D       31        61500            0            0
COMPANHIA SIDERURGICA NACIONAL Com  20440W105          584        27300 S        D       31        27300            0            0
COMPANHIA SIDERURGICA NACION S ADR  20440W105           59         2832 S        D       9          2832            0            0
COMPANHIA VALE DO RIO DOCE ADR Com  204412209        13481       327700 S        D       31       327700            0            0
COMPASS BANCSHARES INC COM     COM  20449H109          370         7684 S        D       9          7684            0            0
COMPUCREDIT CORP USD NPV       Com  20478N100          957        24888 S        D       31        24888            0            0
COMPUTER ASSOCIATES INTERNATIO Com  204912109        15245       540827 S        D       31       540827            0            0
Computer Sciences              COM  205363104           15          300 SH       D       20          300            0            0
COMPUTER SCIENCES CORP USD 1   Com  205363104          925        18268 S        D       31        18268            0            0
COMPUWARE CORP USD 0.01        Com  205638109         1307       145739 S        D       31       145739            0            0
CONAGRA FOODS INC USD 5        Com  205887102         4393       216634 S        D       31       216634            0            0
CONEXANT SYSTEMS INC USD 0.01  Com  207142100         1042       461350 S        D       31       461350            0            0
CONMED CORP USD 0.01           Com  207410101          270        11429 S        D       31        11429            0            0
CONNETICS CORPORATION USD 0.00 Com  208192104           69         4837 S        D       31         4837            0            0
CONOCOPHILLIPS                 COM  20825C104          674        11587 SH       D       12        11587            0            0
CONOCOPHILLIPS                 COM  20825C104         1672        28749 SH       D       17            0        28749            0
ConocoPhillips                 COM  20825C104         1347        23155 SH       D       20        23155            0            0
CONOCOPHILLIPS USD 0.01        Com  20825C104         7656       131600 S        D       31       131600            0            0
CONOCOPHILLIPS COM             COM  20825C104        21065       364766 S        D       9        364766            0            0
CONSECO INC COM USD0.01        Com  208464883         3116       134500 S        D       31       134500            0            0
CONSTELLATION BRDS             CLA  21036P108          392        14975 SH       D       12        14975            0            0
CONSTELLATION BRAN             COM  21036P108          973        37122 SH       D       17            0            0        37122
Constellation Bran             CLA  21036P108         1067        40710 SH       D       20        40710            0            0
CONSTELLATION BRANDS INC CL A  CL   21036P108         1041        40018 S        D       9         40018            0            0
CONSTELLATION ENERGY GRP USD N Com  210371100         7159       124300 S        D       31       124300            0            0
COOPER CAMERON CORPORATION USD Com  216640102         6027       145600 S        D       31       145600            0            0
COOPER COS INC                 COM  216648402          120         2341 SH       D       12         2341            0            0
THE COOPER COS INC             COM  216648402            8          174 SH       D       17          174            0            0
Cooper Companies I             COM  216648402          215         4206 SH       D       20         4206            0            0
COOPER TIRE AND RUBBER USD 1   Com  216831107          197        12876 S        D       31        12876            0            0
COPART INC USD NPV             Com  217204106         1695        73535 S        D       31        73535            0            0
CORNING INC USD 0.5            Com  219350105         1356        69000 S        D       31        69000            0            0
CORUS ENTERTAINMENT INC NPV    Com  220874101          301        11400 S        D       31        11400            0            0
COSTCO WHOLESALE CORP USD 0.00 Com  22160K105         3899        78828 S        D       31        78828            0            0
COSTCO WHSL CORP NEW COM       COM  22160K105         1507        30275 S        D       9         30275            0            0
COTT CORPORATION CAD NPV       Com  22163N106           29         2000 S        D       31         2000            0            0
COUNTRYWIDE FINL               COM  222372104          444        13000 SH       D       12        13000            0            0
COUSINS PROPERTIES INC REIT US Com  222795106         2065        73000 S        D       31        73000            0            0
COVANCE USD 0.01               Com  222816100          116         2400 S        D       31         2400            0            0
CRANE COMPANY INC USD 1        Com  224399105          268         7600 S        D       31         7600            0            0
CREE INC USD 0.00125           Com  225447101         1083        42947 S        D       31        42947            0            0
CROWN CASTLE INTL CORP USD 0.0 Com  228227104         6609       245600 S        D       31       245600            0            0
CROWN HOLDINGS INC USD 5       Com  228368106         7116       364400 S        D       31       364400            0            0
CRYPTOLOGIC INC NPV            Com  228906103          450        22689 S        D       31        22689            0            0
CUMMINS INC USD 2.5            Com  231021106          502         5600 S        D       31         5600            0            0
CUMULUS MEDIA INC USD 0.01     Com  231082108          110         8884 S        D       31         8884            0            0
CYMER INC USD 0.001            Com  232572107         3295        92793 S        D       31        92793            0            0
CYTEC INDUSTRIES INC USD 0.01  Com  232820100         1576        33100 S        D       31        33100            0            0
DPL INC USD 0.01               Com  233293109         1126        43300 S        D       31        43300            0            0
D R HORTON INC COM             COM  23331A109          625        17514 S        D       9         17514            0            0
DARDEN RESTAURANTS INC USD NPV Com  237194105          252         6500 S        D       31         6500            0            0
DAVITA INC USD 0.001           Com  23918K108         9165       181000 S        D       31       181000            0            0
DAVITA INC COM                 COM  23918K108         3587        71272 S        D       9         71272            0            0
DEL MONTE FOODS COMPANY INC US Com  24522P103         5690       545600 S        D       31       545600            0            0
DELL INC                       COM  24702R101           20          690 SH       D       12          690            0            0
DELL INC                       COM  24702R101            0           10 SH       D       17           10            0            0
DELL INC. USD 0.01             Com  24702R101            1           40 S        D       31           40            0            0
DELL INC COM                   COM  24702R101        23945       798153 S        D       9        798153            0            0
DELTA & PINE LAND CO USD 0.1   Com  247357106          398        17300 S        D       31        17300            0            0
DENDREON CORP USD 0.001        Com  24823Q107            0           68 S        D       31           68            0            0
DENTSPLY INTERNATIONAL INC USD Com  249030107         1786        33276 S        D       31        33276            0            0
DESARROLLADORA HOMEX S.A. DE C Com  25030W100          589        19200 S        D       31        19200            0            0
DEUTSCHE TELEKOM AG ADR REP 1  Com  251566105         4036       242700 S        D       31       242700            0            0
DEVON ENERGY CORP USD 0.1      Com  25179M103         2311        36957 S        D       31        36957            0            0
DEVON ENERGY CORP NEW COM      COM  25179M103         4288        69011 S        D       9         69011            0            0
DEX MEDIA INC USD 0.01         Com  25212E100           43         1600 S        D       31         1600            0            0
DIAGEO PLC ADR 4 ORD GBX28.935 Com  25243Q205         2786        47800 S        D       31        47800            0            0
DIAGEO P L C SPON ADR NEW      ADR  25243Q205          724        12429 S        D       9         12429            0            0
DILLARDS INC NPV               Com  254067101         2251        90700 S        D       31        90700            0            0
DIODES INCORPORATED USD 0.667  Com  254543101          828        26667 S        D       31        26667            0            0
DIRECTV GROUP INC USD 0.01     Com  25459L106          893        63300 S        D       31        63300            0            0
WALT DISNEY CO USD 0.01        Com  254687106         2907       121300 S        D       31       121300            0            0
DISCOVERY HOLDING CO CL A COM  COM  25468Y107         1201        78814 S        D       9         78814            0            0
DOLLAR GENERAL CORP. USD 0.5   Com  256669102          398        20900 S        D       31        20900            0            0
DOLLAR THRIFTY AUTOMOTIVE GROU Com  256743105            3          100 S        D       31          100            0            0
DOLLAR TREE STORES INC USD 0.0 Com  256747106          162         6771 S        D       31         6771            0            0
DOMINION RES INC VA NEW        Com  25746U109        77200      1000000 S        D       32      1000000            0            0
DOMINION RES INC VA NEW COM    COM  25746U109         1713        22280 S        D       9         22280            0            0
DOMINOS PIZZA USD 0.01         Com  25754A201          917        37900 S        D       31        37900            0            0
DONALDSON CO INC USD 5         Com  257651109         2404        75600 S        D       31        75600            0            0
DORAL FINANCIAL CORP USD 1     Com  25811P100          446        42150 S        D       31        42150            0            0
DOVER CORPORATION USD 1        Com  260003108          631        15600 S        D       31        15600            0            0
DOW CHEMICAL CO                COM  260543103          540        12338 SH       D       12        12338            0            0
DOW CHEMICAL CO                COM  260543103         2812        64190 SH       D       17        64190            0            0
Dow Chemical Co.               COM  260543103          962        21974 SH       D       20        21974            0            0
DOW CHEMICAL CO (USA) USD 2.5  Com  260543103         6577       150100 S        D       31       150100            0            0
DREAMWORKS ANIMATION SKG INC C CL   26153C103            0           15 S        D       9            15            0            0
DUN & BRADSTREET CORPORATION U Com  26483E100          187         2800 S        D       31         2800            0            0
DUSA PHARMACEUTICL             COM  266898105          107        10000 SH       D       12        10000            0            0
DYNEGY INC NEW CL A            CL   26816Q101           17         3614 S        D       1          3614            0            0
DYNEGY INC USD NPV             Com  26816Q101            1          212 S        D       31          212            0            0
DYNEGY INC NEW CL A            CL   26816Q101          228        47533 S        D       9         47533            0            0
EMC Corp.                      COM  268648102           16         1200 SH       D       20         1200            0            0
EMC CORPORATION USD 0.01       Com  268648102        19481      1430386 S        D       31      1430386            0            0
ENSCO INTERNATIONAL INC USD 0. Com  26874Q100          961        21678 S        D       31        21678            0            0
ENSCO INTL INC COM             COM  26874Q100         3818        86376 S        D       9         86376            0            0
ENI SPA ADR REP 5 ORD          Com  26874R108          948         6800 S        D       31         6800            0            0
EOG RES INC COM                COM  26875P101         2054        28142 S        D       9         28142            0            0
E.ON AG SPON ADR REP 1/3 ORD N Com  268780103           17          500 S        D       31          500            0            0
EAGLE MATERIALS INC USD 0.01   Com  26969P108         9544        78000 S        D       31        78000            0            0
EAGLE MATERIALS INC COM        COM  26969P108          927         7598 S        D       9          7598            0            0
EAGLE MATLS INC CL B           Com  26969P207        24613       209000 S        D       32       209000            0            0
EARTHLINK INC USD 0.01         Com  270321102          182        16453 S        D       31        16453            0            0
EAST WEST BANCORP INC USD 0.00 Com  27579R104          750        20573 S        D       31        20573            0            0
EATON CORP                     COM  278058102          448         6687 SH       D       12         6687            0            0
EATON CORP                     COM  278058102         1999        29810 SH       D       17            0        29810            0
Eaton Corp                     COM  278058102          479         7152 SH       D       20         7152            0            0
EATON CORPORATION USD 0.5      Com  278058102        10405       155100 S        D       31       155100            0            0
EBAY INC                       COM  278642103           33          780 SH       D       12          780            0            0
ECHOSTAR COMMUNICATIONS USD 0. Com  278762109         4613       169811 S        D       31       169811            0            0
EDO CORP USD 1                 Com  281347104          454        16800 S        D       31        16800            0            0
EDUCATION MANAGEMENT CORP USD  Com  28139T101          169         5060 S        D       31         5060            0            0
EDWARDS(A.G)INC USD 1          Com  281760108         4981       106300 S        D       31       106300            0            0
EDWARDS LIFESCIENCES CORP USD  Com  28176E108         5467       131400 S        D       31       131400            0            0
EL PASO CORP COM               COM  28336L109         2310       190802 S        D       9        190802            0            0
ELAN CORP ADR REP 1 ORD        Com  284131208         1172        84200 S        D       31        84200            0            0
ELDORADO GOLD CORPORATION COM  Com  284902103            0          100 S        D       31          100            0            0
ELECTRONIC DATA SYSTEMS CORP U Com  285661104        13365       555957 S        D       31       555957            0            0
EMCOR GROUP INC USD 0.01       Com  29084Q100          668         9900 S        D       31         9900            0            0
EMULEX CORPORATION USD 0.1     Com  292475209        13765       695600 S        D       31       695600            0            0
ENCANA CORPORATION CAD NPV     Com  292505104         6795       150600 S        D       31       150600            0            0
ENBRIDGE INC COM               COM  29250N105          374        12000 S        D       9         12000            0            0
ENCORE ACQUISITION CO USD 0.01 Com  29255W100          378        11800 S        D       31        11800            0            0
ENERGIZER HLDGS INC USD 0.01   Com  29266R108         9689       194600 S        D       31       194600            0            0
ENERGY PARTNERS LIMITED USD 0. Com  29270U105          189         8700 S        D       31         8700            0            0
ENERSIS SA ADR REP 50 ORD      Com  29274F104          435        39600 S        D       31        39600            0            0
ENGELHARD CORPORATION USD 1    Com  292845104         1622        53804 S        D       31        53804            0            0
ENGINEERED SUPPORT SYSTEMS INC Com  292866100         2405        57777 S        D       31        57777            0            0
ENPRO INDS INC COM             COM  29355X107         1466        54400 S        D       9         54400            0            0
ENTEGRIS INC USD 0.01          Com  29362U104          282        30016 S        D       31        30016            0            0
ENTERCOM COMMUNICATIONS CORP U Com  293639100         1640        55300 S        D       31        55300            0            0
ENTERGY CORP USD 0.01          Com  29364G103          336         4900 S        D       31         4900            0            0
ENTERGY CORP NEW COM           COM  29364G103          932        13612 S        D       9         13612            0            0
ENTERTAINMENT PROPERTY TRUST S Com  29380T105          513        12600 S        D       31        12600            0            0
ENZON INC USD 0.01             Com  293904108          415        56203 S        D       31        56203            0            0
EPICOR SOFTWARE CORP USD 0.001 Com  29426L108            0           25 S        D       31           25            0            0
EQUITY LIFESTYLE PROPERTIES IN Com  29472R108           57         1300 S        D       31         1300            0            0
EQUITY OFFICE PROPERTIES TRUST Com  294741103         8477       279500 S        D       31       279500            0            0
EQUITY RESIDENTIAL SH BEN INT  SH   29476L107         3706        93904 S        D       9         93904            0            0
ERESEARCH TECHNOLOGY INC USD 0 Com  29481V108           48         3200 S        D       31         3200            0            0
ERICSSON LM TELEFON AB ADR REP Com  294821608         5347       155437 S        D       31       155437            0            0
ESCO TECHNOLOGIES INC USD 0.01 Com  296315104         2402        54000 S        D       31        54000            0            0
ESTERLINE TECHNOLOGIES CORPORA Com  297425100          777        20900 S        D       31        20900            0            0
ETHAN ALLEN INTERIORS INC USD  Com  297602104          138         3800 S        D       31         3800            0            0
EURONET WORLDWIDE INC USD 0.02 Com  298736109          173         6245 S        D       31         6245            0            0
EVERGREEN SOLAR INC USD 0.01   Com  30033R108           45         4300 S        D       31         4300            0            0
EXAR CORP USD 0.0001           Com  300645108          108         8656 S        D       31         8656            0            0
EXELON CORP COM                COM  30161N101         4547        85633 S        D       9         85633            0            0
EXPEDIA INC DEL COM            COM  30212P105         1182        49385 S        D       9         49385            0            0
EXPRESS SCRIPTS INC USD 0.01   Com  302182100        17848       212993 S        D       31       212993            0            0
EXPRESSJET HOLDINGS INC CL A   CL   30218U108          233        29200 S        D       9         29200            0            0
EXTENDICARE INC CAD NPV        Com  30224T871            3          200 S        D       31          200            0            0
EXXON MOBIL CORP               COM  30231G102         1857        33063 SH       D       12        33063            0            0
EXXON MOBIL CORP               COM  30231G102         3362        59858 SH       D       17        59858            0            0
Exxon Mobil Corp.              COM  30231G102         1274        22695 SH       D       20        22695            0            0
EXXON MOBIL CORP USD NPV       Com  30231G102         9178       163400 S        D       31       163400            0            0
EXXON MOBIL CORP COM           COM  30231G102        55246       980421 S        D       9        980421            0            0
FMC CORP USD 0.1               Com  302491303         4030        75800 S        D       31        75800            0            0
FPL GROUP INC USD 0.01         Com  302571104        13047       313940 S        D       31       313940            0            0
FACTSET RESEARCH SYSTEMS USD 0 Com  303075105         2988        72600 S        D       31        72600            0            0
FAIR ISAAC & CO INC USD 0.01   Com  303250104         5671       128400 S        D       31       128400            0            0
FAIRCHILD SEMICONDUCTOR CORP N NOT  303727AJ0        23613     24250000 P        D       9      24250000            0            0
FAIRFAX FINANCIAL HOLDINGS LTD Com  303901102         2226        15500 S        D       31        15500            0            0
FED NATL MORT ASSC             COM  313586109            4          100 SH       D       12          100            0            0
FEDERAL NATIONAL MTG ASSN      Com  313586109       459165      9407500 S        D       32      9407500            0            0
FEDERAL REALTY INVESTMENT TRUS Com  313747206         3044        50200 S        D       31        50200            0            0
FEDERATED DEPT STORES USD 0.01 Com  31410H101        12676       191106 S        D       31       191106            0            0
FEDERATED DEPT STORES INC DE C COM  31410H101         1158        17610 S        D       9         17610            0            0
FEDERATED INVESTORS INC NPV    Com  314211103          238         6447 S        D       31         6447            0            0
FEDEX CORP                     COM  31428X106          773         7484 SH       D       12         7484            0            0
FEDEX CORP                     COM  31428X106         1739        16829 SH       D       17        16829            0            0
Fedex Corp.                    COM  31428X106         1387        13421 SH       D       20        13421            0            0
FEDEX CORP USD 0.1             Com  31428X106         8612        83300 S        D       31        83300            0            0
FEDEX CORP COM                 COM  31428X106         2469        23855 S        D       9         23855            0            0
FELCOR LODGING TRUST INC. REIT Com  31430F101          256        14900 S        D       31        14900            0            0
FIDELITY NATL TITLE GROUP IN C CL   31620R105          863        36025 S        D       9         36025            0            0
FIDELITY NATIONAL FINANCIAL US Com  316326107        21372       580930 S        D       31       580930            0            0
FILENET CORP USD 0.01          Com  316869106          785        30399 S        D       31        30399            0            0
FINISH LINE INC USD 0.01       Com  317923100          103         5958 S        D       31         5958            0            0
FIRSTSERVICE CORP CAD NPV      Com  33761N109           33         1300 S        D       31         1300            0            0
FISERV INC COM USD0.01         Com  337738108          177         4099 S        D       31         4099            0            0
FIRSTFED FINANCIAL CORP USD 0. Com  337907109         2333        42800 S        D       31        42800            0            0
FIRSTENERGY CORP USD 0.1       Com  337932107        11755       239967 S        D       31       239967            0            0
FISHER SCIENTIFIC INTL USD 0.0 Com  338032204        25992       420175 S        D       31       420175            0            0
FLORIDA ROCK INDUSTRIES INC US Com  341140101        14465       294850 S        D       31       294850            0            0
FOMENTO ECONOMIC MEXICANO SA D Com  344419106         2334        32200 S        D       31        32200            0            0
FORTUNE BRANDS INC USD 3.125   Com  349631101         8683       111300 S        D       31       111300            0            0
FORWARD-INDUSTRIES INC USD 0.0 Com  349862300          426        47944 S        D       31        47944            0            0
FRANCE TELECOM ADR REP 1 ORD   Com  35177Q105         1455        58600 S        D       31        58600            0            0
FRANKLIN RESOURCES INC USD 0.1 Com  354613101         5997        63800 S        D       31        63800            0            0
FREEPORT -MCMORAN C&G USD 0.1  Com  35671D857        12885       239500 S        D       31       239500            0            0
FREEPORT-MCMORAN COPPER & GO C CL   35671D857          947        17530 S        D       9         17530            0            0
FREESCALE SEMICONDUCTOR COM ST Com  35687M107         2647       105100 S        D       31       105100            0            0
FREESCALE SEMICONDUCTOR COM ST Com  35687M206         6745       268000 S        D       31       268000            0            0
FREESCALE SEMICONDUCTOR INC CL CL   35687M206          914        36296 S        D       9         36296            0            0
FRONTIER OIL CORPORATION USD N Com  35914P105        11112       296100 S        D       31       296100            0            0
FULLER(H.B.)CO USD 1           Com  359694106          272         8500 S        D       31         8500            0            0
FURNITURE BRANDS INTL INC USD  Com  360921100         1726        77300 S        D       31        77300            0            0
GATX CORPORATION USD 0.625     Com  361448103          840        23300 S        D       31        23300            0            0
GAMESTOP CORP NEW CL B         CL   36467W208          488        16983 S        D       9         16983            0            0
GANNETT CO USD 1               Com  364730101        23943       395300 S        D       31       395300            0            0
GAP INC USD 0.05               Com  364760108        10338       586100 S        D       31       586100            0            0
GARDNER DENVER INC USD 0.01    Com  365558105         1020        20700 S        D       31        20700            0            0
GEN-PROBE INC NEW COM          COM  36866T103          732        15000 S        D       9         15000            0            0
GENCORP INC USD 0.1            Com  368682100          262        14800 S        D       31        14800            0            0
GENENTECH INC                  COM  368710406           18          200 SH       D       12          200            0            0
GENERAL CABLE CORPORATION USD  Com  369300108          102         5200 S        D       31         5200            0            0
General Dynamics C             COM  369550108           22          200 SH       D       20          200            0            0
GENERAL DYNAMICS CORP USD 1    Com  369550108         6329        55500 S        D       31        55500            0            0
GENERAL ELECTRIC               COM  369604103           87         2491 SH       D       10         2491            0            0
GEN ELEC CO                    COM  369604103          506        14442 SH       D       12        14442            0            0
GEN ELEC CO                    COM  369604103         4945       141109 SH       D       17       141109            0            0
General Electric C             COM  369604103          586        16744 SH       D       20        16744            0            0
GENERAL ELECTRIC CO USD 0.06   Com  369604103         6512       185800 S        D       31       185800            0            0
GENERAL GROWTH PROPERTIES REIT Com  370021107         1997        42500 S        D       31        42500            0            0
GENERAL MILLS INC              COM  370334104          157         3200 SH       D       17            0            0         3200
GENERAL MILLS INC (USA) USD 0. Com  370334104         6592       133665 S        D       31       133665            0            0
GENERAL MOTORS CORP            Com  370442105         7768       400000 S        D       32       400000            0            0
GENESCO INC USD 1              Com  371532102          182         4700 S        D       31         4700            0            0
GENESEE & WYOMING INC-CL A USD Com  371559105          214         5700 S        D       31         5700            0            0
GENESIS HEALTHCARE CORP USD 0. Com  37184D101          383        10511 S        D       31        10511            0            0
GENESIS HEALTHCARE CORP COM    COM  37184D101          728        20000 S        D       9         20000            0            0
GENTEX CORP USD 0.06           Com  371901109         1248        64028 S        D       31        64028            0            0
GENUINE PARTS CO USD 1         Com  372460105         5037       114700 S        D       31       114700            0            0
GENWORTH FINANCIAL INC USD 0.0 Com  37247D106         4816       139300 S        D       31       139300            0            0
GENWORTH FINL INC COM CL A     COM  37247D106          846        24502 S        D       9         24502            0            0
GENZYME CORP USD 0.01          Com  372917104        10957       154816 S        D       31       154816            0            0
GERDAU SA ADR REP 1 ORD        Com  373737105           83         5000 S        D       31         5000            0            0
GETTY IMAGES INC USD 0.01      Com  374276103        12578       140900 S        D       31       140900            0            0
GILDAN ACTIVEWAER INC NPV      Com  375916103         1298        30200 S        D       31        30200            0            0
GLAXOSMITHKLINE PLC SPONSORED  ADR  37733W105        36597       723569 S        D       9        723569            0            0
GLENBOROUGH REALTY TRUST INC R Com  37803P105          202        11200 S        D       31        11200            0            0
GLIMCHER REALTY TRUST REIT USD Com  379302102          741        30500 S        D       31        30500            0            0
GLOBAL INDUSTIRES USD 0.01     Com  379336100          219        19313 S        D       31        19313            0            0
GLOBAL PMTS INC USD NPV        Com  37940X102         5770       123800 S        D       31       123800            0            0
GLOBAL SIGNAL INC REIT USD 0.0 Com  37944Q103          768        17800 S        D       31        17800            0            0
GOL - LINHAS AEREAS INTELIGENT Com  38045R107          442        15700 S        D       31        15700            0            0
GOLD FIELDS LTD NEW SPONSORED  ADR  38059T106          346        19590 S        D       9         19590            0            0
GOLD KIST HOLDINGS INC USD 0.0 Com  380614107          137         9202 S        D       31         9202            0            0
GOLDMAN SACHS GROUP INC COM    CL   38141G104         6799        53322 S        D       9         53322            0            0
GOODYEAR TIRE & RUBBER USD NPV Com  382550101         7313       420800 S        D       31       420800            0            0
GOOGLE INC CL A                CL   38259P508         1115         2691 S        D       9          2691            0            0
W.R GRACE AND CO. USD 0.01     Com  38388F108           52         5600 S        D       31         5600            0            0
GRAINGER(W.W.) INC USD 0.5     Com  384802104         9370       131800 S        D       31       131800            0            0
GRANT PRIDECO INC USD 0.01     Com  38821G101          169         3853 S        D       31         3853            0            0
GREAT ATLANTIC & PAC TEA USD 1 Com  390064103          330        10400 S        D       31        10400            0            0
GREAT PLAINS ENERGY INCORPORAT Com  391164100         2846       101800 S        D       31       101800            0            0
GREATBATCH TECHNOLOGIES INC US Com  39153L106          582        22400 S        D       31        22400            0            0
GREATER BAY BANCORP INC USD NP Com  391648102            0           33 S        D       31           33            0            0
GREIF INC. USD NPV             Com  397624107          258         3900 S        D       31         3900            0            0
GREY WOLF INC FRNT 4/0         FRN  397888AF5        10333      7500000 P        D       9       7500000            0            0
GTECH HOLDINGS CORPORATION USD Com  400518106        15552       490000 S        D       31       490000            0            0
GUESS INC USD 0.01             Com  401617105         5229       146900 S        D       31       146900            0            0
GUIDANT CORP.                  Com  401698105        22533       348000 S        D       32       348000            0            0
HDFC BANK LTD ADR REP 3 ORD    Com  40415F101         3369        66200 S        D       31        66200            0            0
HANOVER COMPRESSOR CO USD 0.00 Com  410768105          601        42600 S        D       31        42600            0            0
HANSEN NATURAL CORP USD 0.005  Com  411310105          859        10900 S        D       31        10900            0            0
HARMAN INTERNATIONAL INDUSTRIE Com  413086109         7143        73000 S        D       31        73000            0            0
HARMONIC INC USD 0.001         Com  413160102            2          586 S        D       31          586            0            0
HARRIS CORPORATION USD 1       Com  413875105          361         8400 S        D       31         8400            0            0
HARSCO CORPORATION USD 1.25    Com  415864107          222         3300 S        D       31         3300            0            0
HARTE-HANKS INC USD 1          Com  416196103          564        21400 S        D       31        21400            0            0
HARTFORD FINANCIAL SERVICES GR Com  416515104         1966        22900 S        D       31        22900            0            0
HASBRO INC USD 0.5             Com  418056107          180         8958 S        D       31         8958            0            0
HEALTH CARE PROPERTY INVESTORS Com  421915109           48         1900 S        D       31         1900            0            0
HEALTH MANAGEMENT ASSOCIATES U Com  421933102        10118       460771 S        D       31       460771            0            0
HEALTHCARE REALITY TRUST REIT  Com  421946104           73         2200 S        D       31         2200            0            0
HEADWATERS INC COM USD0.001    Com  42210P102         1358        38326 S        D       31        38326            0            0
HEALTHCARE REIT INC REIT USD 1 Com  42217K106          125         3700 S        D       31         3700            0            0
HEALTH NET INC USD 0.001       Com  42222G108         1536        29800 S        D       31        29800            0            0
HEARTLAND EXPRESS INC USD 0.01 Com  422347104          869        42846 S        D       31        42846            0            0
HEINZ (H.J) CO USD 0.25        Com  423074103        11140       330388 S        D       31       330388            0            0
HERITAGE PROPERTY INVESTMENT T Com  42725M107          240         7200 S        D       31         7200            0            0
HERSHEY CO USD 1               Com  427866108         3000        54300 S        D       31        54300            0            0
HEWITT ASSOCIATES INC USD 0.01 Com  42822Q100         1642        58634 S        D       31        58634            0            0
HEWLETT PACKARD CO             COM  428236103          439        15335 SH       D       12        15335            0            0
HEWLETT-PACKARD CO USD 0.01    Com  428236103        43626      1519967 S        D       31      1519967            0            0
HIGHWOODS PROPERTIES INC REIT  Com  431284108         1559        54800 S        D       31        54800            0            0
HILLENBRAND INDUSTRIES INC USD Com  431573104         1457        29500 S        D       31        29500            0            0
HITACHI LTD ADR REP 10 ORD     Com  433578507         2871        42600 S        D       31        42600            0            0
HOLLY CORP USD 0.01            Com  435758305         2272        38600 S        D       31        38600            0            0
HOLOGIC INC USD 0.01           Com  436440101         1089        28720 S        D       31        28720            0            0
Home Depot Inc.                COM  437076102           21          543 SH       D       20          543            0            0
HOME DEPOT INC USD 0.05        Com  437076102            0           19 S        D       31           19            0            0
HOME PROPERTIES OF NEW YORK IN Com  437306103         3210        78700 S        D       31        78700            0            0
HORACE MANN EDUCATORS USD 0.00 Com  440327104           28         1500 S        D       31         1500            0            0
HOSPIRA INC USD 0.01           Com  441060100         2691        62904 S        D       31        62904            0            0
HOST MARRIOTT CORP REIT USD 0. Com  44107P104         1633        86200 S        D       31        86200            0            0
HUB GROUP INC USD 0.01         Com  443320106            1           55 S        D       31           55            0            0
HUDSON CITY BANCORP INC USD 0. Com  443683107         1782       147042 S        D       31       147042            0            0
HUGHES SUPPLY INC USD 1        Com  444482103          681        19000 S        D       31        19000            0            0
HUMANA INC USD 0.166           Com  444859102        15913       292900 S        D       31       292900            0            0
HUMAN GENOME SCIENCES INC USD  Com  444903108          115        13480 S        D       31        13480            0            0
HUNTSMAN CORP COM USD0.01      Com  447011107          320        18600 S        D       31        18600            0            0
HUTCHINSON TECHNOLOGY USD 0.01 Com  448407106         3023       106272 S        D       31       106272            0            0
HYDRIL COMPANY USD 0.5         Com  448774109         2343        37433 S        D       31        37433            0            0
IDT CORP NPV                   Com  448947309          291        24900 S        D       31        24900            0            0
HYPERION SOLUTIONS CORP USD 0. Com  44914M104          298         8333 S        D       31         8333            0            0
IAC INTERACTIVECORP COM NEW    COM  44919P300          143         5100 S        D       9          5100            0            0
ISTAR FINANCIAL INC REIT USD 0 Com  45031U101         3525        98900 S        D       31        98900            0            0
ITT EDUCATIONAL SERVICES INC U Com  45068B109          360         6100 S        D       31         6100            0            0
ITT INDUSTRIES INC USD 1       Com  450911102          257         2500 S        D       31         2500            0            0
IAMGOLD CORPORATION CAD NPV    Com  450913108          485        61700 S        D       31        61700            0            0
IDEX CORP USD 0.01             Com  45167R104          935        22750 S        D       31        22750            0            0
IKON OFFICE SOLUTIONS INC USD  Com  451713101           31         2985 S        D       31         2985            0            0
ILLINOIS TOOL WKS              COM  452308109            5           60 SH       D       12           60            0            0
Illinois Tool Work             COM  452308109            2           30 SH       D       20           30            0            0
ILLINOIS TOOL WORKS USD 0.01   Com  452308109         5631        64000 S        D       31        64000            0            0
IMATION CORP USD 0.01          Com  45245A107         1944        42200 S        D       31        42200            0            0
IMCLONE SYS INC COM            COM  45245W109          462        13517 S        D       9         13517            0            0
INCO                           COM  453258402           80         1855 SH       D       10         1855            0            0
INCO LTD CAD NPV               Com  453258402         7093       162800 S        D       31       162800            0            0
INCYTE CORP USD 0.001          Com  45337C102           64        12157 S        D       31        12157            0            0
INCYTE CORP COM                COM  45337C102          371        69200 S        D       9         69200            0            0
INCYTE CORP NOTE 5.500% 2/0    NOT  45337CAC6        18314     18500000 P        D       9      18500000            0            0
INFINEON TECHNOLOGIES AG ADR E Com  45662N103         2044       224700 S        D       31       224700            0            0
INFINEON TECHNOLOGIES AG SPONS ADR  45662N103         3665       402419 S        D       9        402419            0            0
INFORMATICA CORP USD 0.001     Com  45666Q102           53         4457 S        D       31         4457            0            0
INFOSPACE INC USD 0.0001       Com  45678T201          251         9753 S        D       31         9753            0            0
INSIGHT ENTERPRISE INC USD 0.0 Com  45765U103           12          620 S        D       31          620            0            0
INSIGHT ENTERPRISES INC COM    COM  45765U103         2524       128825 S        D       9        128825            0            0
INTEGRATED SILICON SOLUTIONS I Com  45812P107            0           31 S        D       31           31            0            0
INTEL CORP                     COM  458140100          924        37047 SH       D       12        37047            0            0
INTEL CORP                     COM  458140100         2283        91505 SH       D       17        91505            0            0
Intel Corp.                    COM  458140100         1292        51784 SH       D       20        51784            0            0
INTEL  CORPORATION USD 0.001   Com  458140100        35154      1405126 S        D       31      1405126            0            0
INTER TEL INC USD NPV          Com  458372109           46         2379 S        D       31         2379            0            0
INTERACTIVE DATA CORP USD 0.01 Com  45840J107            9          400 S        D       31          400            0            0
INTERDIGITAL COMMUNICATIONS CO Com  45866A105           72         3965 S        D       31         3965            0            0
INTERGRAPH CORP USD 0.1        Com  458683109         1940        38958 S        D       31        38958            0            0
INTL BUSINESS MCHN             COM  459200101         1208        14705 SH       D       12        14705            0            0
INTL BUSINESS MCHN             COM  459200101         1924        23414 SH       D       17            0        23414            0
Intl. Business Mac             COM  459200101         1426        17353 SH       D       20        17353            0            0
INTERNATIONAL BUSINESS MACHINE Com  459200101        15001       182500 S        D       31       182500            0            0
INTERNATIONAL FLAVOURS AND FRA Com  459506101         7711       230200 S        D       31       230200            0            0
INTL GAME TECHNOLOGY USD 0.000 Com  459902102         4380       142306 S        D       31       142306            0            0
INTERNATIONAL RECTIFIER CORP N NOT  460254AE5        21212     21729000 P        D       9      21729000            0            0
INTERNET INITIATIVE JAPAN INC  Com  46059T109           32         2900 S        D       31         2900            0            0
INTERNET SECURITY SYSTEMS INC  Com  46060X107          691        32998 S        D       31        32998            0            0
INTERPUBLIC GROUP              COM  460690100           24         2550 SH       D       11         2550            0            0
INTERPUBLIC GROUP              COM  460690100            0          100 SH       D       12          100            0            0
INTERPUBLIC GROUP COS USD 0.1  Com  460690100        11194      1160000 S        D       31      1160000            0            0
INTERSIL CORP CL A             CL   46069S109            0            1 S        D       9             1            0            0
INTUITIVE SURGICAL INC. USD 0. Com  46120E602         7992        68154 S        D       31        68154            0            0
INVESTMENT TECHNOLOGY  GROUP U Com  46145F105         1141        32200 S        D       31        32200            0            0
INVITROGEN CORP COM            COM  46185R100           79         1200 S        D       9          1200            0            0
IPSCO INC CAD NPV              Com  462622101        17240       207700 S        D       31       207700            0            0
IPAYMENT INC USD 0.01          Com  46262E105          186         4480 S        D       31         4480            0            0
ISHARES INC                    COM  464286673         1443       182729 SH       D       17       182729            0            0
ISHARES INC                    COM  464286699          125         2800 SH       D       11         2800            0            0
ISHARES INC                    COM  464286699         1948       104340 SH       D       12       104340            0            0
ISHARES INC                    COM  464286806           78         3888 SH       D       12         3888            0            0
ISHARES INC                    COM  464286848         1189        87970 SH       D       12        87970            0            0
ISHARES INC                    COM  464286871         1730       137089 SH       D       17       137089            0            0
ISHARES TRUST                  COM  464287101        16331       286626 SH       D       12       286626            0            0
ISHARES TRUST                  COM  464287101          289         5077 SH       D       17         5077            0            0
ISHARES TRUST                  COM  464287200        26506       233013 SH       D       12       233013            0            0
ISHARES TRUST                  COM  464287200        14990       120242 SH       D       17       120242            0            0
ISHARES TST EMG MK             COM  464287234         4864        55120 SH       D       12        55120            0            0
ISHARES TRUST                  COM  464287234        35510       402381 SH       D       17       402381            0            0
ISHARES GOLDMAN SA             COM  464287549           36          772 SH       D       17          772            0            0
ISHARES TR RUSSELL 2000        Com  464287655       113424      1700000 S        D       32      1700000            0            0
ITRON INC USD NPV              Com  465741106         1183        29553 S        D       31        29553            0            0
IVANHOE ENERGY INC CAD NPV     Com  465790103           25        24400 S        D       31        24400            0            0
JDS UNIPHASE CORP              COM  46612J101            1          487 SH       D       12          487            0            0
JDS UNIPHASE CORP              COM  46612J101            6         2800 SH       D       17            0         2800            0
JDS Uniphase Corp.             COM  46612J101            0          300 SH       D       20          300            0            0
JDS UNIPHASE CORPORATION USD 0 Com  46612J101          664       281650 S        D       31       281650            0            0
JDS UNIPHASE CORP COM          COM  46612J101          273       115556 S        D       9        115556            0            0
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JANUS CAP GROUP INC COM        COM  47102X105          265        14335 S        D       9         14335            0            0
JARDEN CORPORATION USD 0.01    Com  471109108          159         5300 S        D       31         5300            0            0
JEFFERIES GROUP INC USD 0.0001 Com  472319102         1578        35100 S        D       31        35100            0            0
JOHNSON & JOHNSON              COM  478160104          690        11490 SH       D       12        11490            0            0
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Johnson & Johnson              COM  478160104         1122        18674 SH       D       20        18674            0            0
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JOY GLOBAL INC USD 1           Com  481165108          617        15438 S        D       31        15438            0            0
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KLA TENCOR CORP USD 0.001      Com  482480100          648        13144 S        D       31        13144            0            0
K-SWISS INC USD 0.01           Com  482686102          782        24124 S        D       31        24124            0            0
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KB HOME COM                    COM  48666K109          357         4940 S        D       9          4940            0            0
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KEYSPAN CORP COM               COM  49337W100          384        10865 S        D       9         10865            0            0
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KING PHARMACEUTICALS INC DBCV  DBC  495582AG3        19475     20000000 P        D       9      20000000            0            0
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KOHLS CORPORATION USD 0.01     Com  500255104         1219        25100 S        D       31        25100            0            0
KRAFT FOODS INC NPV            Com  50075N104         1105        39300 S        D       31        39300            0            0
KRAFT FOODS INC CL A           CL   50075N104         2509        89100 S        D       9         89100            0            0
KROGER COMPANY USD 1           Com  501044101          660        35000 S        D       31        35000            0            0
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L-3 COMMUNICATIONS HOLDINGS US Com  502424104        15717       211400 S        D       31       211400            0            0
LA QUINTA CORPORATION USD 0.01 Com  50419U202         8369       751300 S        D       31       751300            0            0
LA QUINTA CORP PAIRED CTF      CTF  50419U202         7302       656100 S        D       9        656100            0            0
LABOR READY INC USD NPV        Com  505401208          162         7800 S        D       31         7800            0            0
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LAIDLAW INTERNATIONAL INC USD  Com  50730R102          664        28600 S        D       31        28600            0            0
LANCASTER COLONY CORP USD NPV  Com  513847103          301         8147 S        D       31         8147            0            0
LANDAMERICA FINANCIAL GROUP US Com  514936103         6009        96300 S        D       31        96300            0            0
LANDRY`S RESTAURANTS INC USD 0 Com  51508L103           69         2600 S        D       31         2600            0            0
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LEAR CORP USD 0.01             Com  521865105         3651       128300 S        D       31       128300            0            0
LEE ENTERPRISES INC USD 2      Com  523768109          114         3100 S        D       31         3100            0            0
LEHMAN BROS HOLDINGS INC USD 0 Com  524908100          704         5500 S        D       31         5500            0            0
LENNAR CORP USD 0.1            Com  526057104        11758       192700 S        D       31       192700            0            0
LENNAR CORP USD 0.1            Com  526057302          634        11200 S        D       31        11200            0            0
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LEVEL 3 COMMUNICATIONS INC COM COM  52729N100            0            8 S        D       9             8            0            0
LEXINGTON CORPORATE PROPERTY T Com  529043101          140         6600 S        D       31         6600            0            0
LIBERTY GLOBAL INC 0.01        Com  530555101         2263       100613 S        D       31       100613            0            0
LIBERTY MEDIA CORPORATION USD  Com  530718105        21086      2679300 S        D       31      2679300            0            0
LIFEPOINT HOSPITALS INC COM    COM  53219L109         1607        42930 S        D       9         42930            0            0
ELI LILLY AND CO               COM  532457108         2250        39773 SH       D       17            0            0        39773
Eli Lilly & Co.                COM  532457108          536         9483 SH       D       20         9483            0            0
LIMITED BRANDS INC USD 0.5     Com  532716107          965        43200 S        D       31        43200            0            0
LINCARE HOLDINGS INC USD 0.01  Com  532791100         6828       162926 S        D       31       162926            0            0
LINCOLN NATIONAL CORP USD NPV  Com  534187109          356         6714 S        D       31         6714            0            0
LIONS GATE ENTERTAINMENT CAD N Com  535919203          242        31600 S        D       31        31600            0            0
LIZ CLAIBORN INC USD 1         Com  539320101         4588       128100 S        D       31       128100            0            0
LOCKHEED MARTIN CORP USD 1     Com  539830109        27722       436200 S        D       31       436200            0            0
LOEWS CORP USD 1               Com  540424108        25486       268700 S        D       31       268700            0            0
LOGITECH INTERNATIONAL SA ADS  Com  541419107          336         7200 S        D       31         7200            0            0
LONE STAR TECHNOLOGIES USD 1   Com  542312103          991        19200 S        D       31        19200            0            0
LONGS DRUG STORES INC(MD) USD  Com  543162101         2056        56500 S        D       31        56500            0            0
LONGVIEW FIBRE CO USD 1.5      Com  543213102           12          600 S        D       31          600            0            0
LOWE'S COS INC                 COM  548661107          769        11542 SH       D       12        11542            0            0
LOWE'S COS INC                 COM  548661107         1998        29975 SH       D       17            0        29975            0
Lowe's Companies I             COM  548661107         1392        20888 SH       D       20        20888            0            0
LUBRIZOL CORP USD NPV          Com  549271104         7035       162000 S        D       31       162000            0            0
LUCENT TECHNOLOGIE             COM  549463107           17         6400 SH       D       12         6400            0            0
LUCENT TECHNOLOGIE             COM  549463107            8         3150 SH       D       17            0            0         3150
LUFKIN INDUSTRIES INC USD 1    Com  549764108           14          300 S        D       31          300            0            0
WILLIAM LYON HOMES INC USD 0.0 Com  552074106          131         1300 S        D       31         1300            0            0
LYONDELL CHEMICAL              COM  552078107           17          744 SH       D       10          744            0            0
LYONDELL CHEMICAL CO USD 1     Com  552078107          865        36320 S        D       31        36320            0            0
M & T BK CORP COM              COM  55261F104         1164        10696 S        D       9         10696            0            0
MBIA INC COM                   COM  55262C100          860        14520 S        D       9         14520            0            0
MBNA CORP COM                  COM  55262L100        24810       914501 S        D       9        914501            0            0
MDC HOLDINGS INC USD 0.01      Com  552676108          276         4466 S        D       31         4466            0            0
MGM MIRAGE INC USD 0.01        Com  552953101          696        19000 S        D       31        19000            0            0
MKS INSTRUMENTS INC USD NPV    Com  55306N104          502        28066 S        D       31        28066            0            0
MPS GROUP INC. USD 0.01        Com  553409103          518        37942 S        D       31        37942            0            0
MSC INDUSTRIAL DIRECT CO USD 0 Com  553530106         2582        64200 S        D       31        64200            0            0
MACK-CALI REALTY L.P REIT USD  Com  554489104         1222        28300 S        D       31        28300            0            0
MAGELLAN HEALTH SERVICES USD 0 Com  559079207         1931        61410 S        D       31        61410            0            0
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MAGUIRE PROPERTIES INC REIT US Com  559775101           21          700 S        D       31          700            0            0
MANHATTAN ASSOCIATES INC USD 0 Com  562750109          214        10451 S        D       31        10451            0            0
MANNKIND CORP COM              COM  56400P201          343        29648 S        D       9         29648            0            0
MANTECH INTERNATIONAL CORP USD Com  564563104            1           37 S        D       31           37            0            0
MANULIFE FINANCIAL CORPORATION Com  56501R106          556         9462 S        D       31         9462            0            0
MARKEL CORP USD NPV            Com  570535104         4977        15700 S        D       31        15700            0            0
MARSH & MCLENNAN               COM  571748102           66         2088 SH       D       17            0         2088            0
MARSHALL & ILSLEY CORP USD 1   Com  571834100            1           30 S        D       31           30            0            0
MARTIN MARIETTA MATERIALS INC  Com  573284106         6935        90400 S        D       31        90400            0            0
MASCO CORP USD 1               Com  574599106         6515       215800 S        D       31       215800            0            0
MATSUSHITA ELECTRIC INDUSTRIAL Com  576879209         1709        88200 S        D       31        88200            0            0
MAXTOR CORP USD 0.01           Com  577729205          834       120200 S        D       31       120200            0            0
MAXIM INTEGRATED PRODS INC COM COM  57772K101          762        21006 S        D       9         21006            0            0
MAVERICK TUBE CORPORATION USD  Com  577914104         2379        59700 S        D       31        59700            0            0
MAYTAG CORPORATION USD 1.25    Com  578592107           33         1800 S        D       31         1800            0            0
MCAFEE INC. USD 0.01           Com  579064106          417        15400 S        D       31        15400            0            0
MCCLATCHY CO USD 0.01          Com  579489105         3380        57200 S        D       31        57200            0            0
MCCORMICK & CO INC             COM  579780107            5          170 SH       D       10          170            0            0
MCCORMICK & COMPANY INC USD NP Com  579780206            6          200 S        D       31          200            0            0
McDATA Corp.                   CLA  580031201            0           44 SH       D       20           44            0            0
MCDATA CORPORATION USD 0.01    Com  580031201           64        17035 S        D       31        17035            0            0
MCDERMOTT INTERNATIONAL INC US Com  580037109         4835       108400 S        D       31       108400            0            0
MCDONALD'S CORP                COM  580135101          532        15800 SH       D       12        15800            0            0
MCDONALD'S CORP                COM  580135101          205         6100 SH       D       17         6100            0            0
MCDONALD`S CORP USD 0.01       Com  580135101        19884       589700 S        D       31       589700            0            0
McGraw-Hill Compan             COM  580645109           82         1600 SH       D       20         1600            0            0
MCGRAW-HILL COS INC (THE) USD  Com  580645109          593        11500 S        D       31        11500            0            0
MCKESSON CORP USD 0.01         Com  58155Q103            0           12 S        D       31           12            0            0
MCKESSON CORP COM              COM  58155Q103         1012        19566 S        D       9         19566            0            0
MCMORAN EXPLORATION CO COM USD Com  582411104          591        29900 S        D       31        29900            0            0
OAO MECHEL ADR REP 3 ORD       Com  583840103          188         7800 S        D       31         7800            0            0
MEDCO HEALTH SOLUTIONS INC COM COM  58405U102         1086        19406 S        D       9         19406            0            0
MEDIA GENERAL INCORPORATED NPV Com  584404107          780        15400 S        D       31        15400            0            0
MEDICIS PHARMACEUTICAL USD 0.0 Com  584690309        18675       582710 S        D       31       582710            0            0
MEDTRONIC INC                  COM  585055106            8          150 SH       D       12          150            0            0
Medtronic Inc.                 COM  585055106           40          700 SH       D       20          700            0            0
MELLON FINL CORP COM           COM  58551A108          919        26934 S        D       9         26934            0            0
MENS WEARHOUSE USD 0.01        Com  587118100          643        21850 S        D       31        21850            0            0
MENTOR CORPORATION USD 0.1     Com  587188103         1460        31700 S        D       31        31700            0            0
MERCK & CO INC                 COM  589331107           56         1766 SH       D       10         1766            0            0
MERCK & CO INC                 COM  589331107          318        10000 SH       D       12        10000            0            0
MERCURY COMPUTER SYSTEMS INC U Com  589378108            1           91 S        D       31           91            0            0
MERISTAR HOSPITALITY CORP REIT Com  58984Y103           80         8600 S        D       31         8600            0            0
MERRILL LYNCH & CO             COM  590188108          599         8857 SH       D       12         8857            0            0
MERRILL LYNCH & CO             COM  590188108         1971        29102 SH       D       17            0        29102            0
Merrill Lynch & Co             COM  590188108          334         4935 SH       D       20         4935            0            0
MESA AIR GROUP INC COM         COM  590479101          808        76968 S        D       9         76968            0            0
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METLIFE INC                    COM  59156R108           91         1874 SH       D       12         1874            0            0
METLIFE INC USD 0.01           Com  59156R108        29596       604000 S        D       31       604000            0            0
METLIFE INC COM                COM  59156R108         2370        48441 S        D       9         48441            0            0
METTLER TOLEDO USD 0.01        Com  592688105         2163        39200 S        D       31        39200            0            0
MICHAELS STORES INC USD 0.1    Com  594087108          134         3800 S        D       31         3800            0            0
MICROS SYSTEMS INC USD 0.0125  Com  594901100          859        17778 S        D       31        17778            0            0
MICROSOFT CORP                 COM  594918104          699        26733 SH       D       12        26733            0            0
MICROSOFT CORP                 COM  594918104         2493        95358 SH       D       17        95358            0            0
Microsoft Corp.                COM  594918104         1286        49191 SH       D       20        49191            0            0
MICROSOFT CORPORATION USD 0.00 Com  594918104        21027       804126 S        D       31       804126            0            0
MICROSTRATEGY USD 0.001        Com  594972408         6393        77268 S        D       31        77268            0            0
MICROMUSE INC USD 0.01         Com  595094103         1521       153833 S        D       31       153833            0            0
MIDCAP SPDR TRUST              COM  595635103          117          875 SH       D       12          875            0            0
MIDWAY GAMES INC USD 0.01      Com  598148104         2403       126700 S        D       31       126700            0            0
MILLER (HERMAN) INC USD 0.2    Com  600544100         1505        53406 S        D       31        53406            0            0
MILLIPORE CORP USD 1           Com  601073109         8070       122200 S        D       31       122200            0            0
MINEFINDERS CORPORATION LTD CA Com  602900102          101        18700 S        D       31        18700            0            0
MINERALS TECHNOLOGIES INC USD  Com  603158106          994        17800 S        D       31        17800            0            0
MIRAMAR MINING CORP CAD NPV    Com  60466E100            7         3100 S        D       31         3100            0            0
MITTAL STEEL COMPANY NV NY REG Com  60684P101         9905       376200 S        D       31       376200            0            0
MOBILE TELESYSTEMS ADS EA REP  Com  607409109          231         6600 S        D       31         6600            0            0
MODINE MANUFACTURING CO USD 0. Com  607828100            3          100 S        D       31          100            0            0
MOLEX INC USD 0.05             Com  608554101           59         2287 S        D       31         2287            0            0
MOLINA HEALTHCARE INC. USD 0.0 Com  60855R100          194         7300 S        D       31         7300            0            0
MOLSON COORS BREWING CO CL B   CL   60871R209          242         3616 S        D       9          3616            0            0
MONARCH CASINO & RESORT INC US Com  609027107            1           45 S        D       31           45            0            0
MONEYGRAM INTERNATIONAL INC US Com  60935Y109         1019        39100 S        D       31        39100            0            0
MONEYGRAM INTL INC COM         COM  60935Y109         1161        45000 S        D       9         45000            0            0
Monsanto Co.                   COM  61166W101            7           92 SH       D       20           92            0            0
MONSANTO CO USD 0.01           Com  61166W101        48011       620100 S        D       31       620100            0            0
MONSANTO CO NEW COM            COM  61166W101         1326        17271 S        D       9         17271            0            0
MONSTER WORLDWIDE INC USD 0.00 Com  611742107         2125        52070 S        D       31        52070            0            0
MOOG INC. USD 1                Com  615394202          408        14400 S        D       31        14400            0            0
MORGAN STAN INDIA              COM  61745C105          171         4600 SH       D       11         4600            0            0
MOSAIC CO/THE USD 0.01         Com  61945A107          629        43000 S        D       31        43000            0            0
MOTOROLA INC                   COM  620076109          247        10950 SH       D       12        10950            0            0
MOTOROLA INC USD 3             Com  620076109        29998      1327974 S        D       31      1327974            0            0
MUELLER INDUSTRIES INC USD 0.0 Com  624756102         1776        64800 S        D       31        64800            0            0
MULTIMEDIA GAMES INC USD 0.01  Com  625453105            0            3 S        D       31            3            0            0
NBTY INC USD 0.008             Com  628782104         1603        98700 S        D       31        98700            0            0
NCO GROUP INC NOTE 4.750% 4/1  NOT  628858AB8        15000     15000000 P        D       9      15000000            0            0
NCR CORPORATION USD 0.01       Com  62886E108        14808       436301 S        D       31       436301            0            0
NS GROUP INC USD NPV           Com  628916108         1099        26300 S        D       31        26300            0            0
NRG ENERGY INC USD 0.01        Com  629377508         4858       103100 S        D       31       103100            0            0
NABI USD 0.1                   Com  629519109          246        73025 S        D       31        73025            0            0
NABORS INDS INC DBCV 2/0       DBC  629568AF3         3422      5000000 P        D       9       5000000            0            0
NALCO COMPANY COM USD0.01      Com  62985Q101          699        39500 S        D       31        39500            0            0
NALCO HOLDING COMPANY COM      COM  62985Q101         1693        96000 S        D       9         96000            0            0
NASDAQ 100 TRUST               COM  631100104          109         2700 SH       D       12         2700            0            0
NASH-FINCH COMPANY INC USD 1.6 Com  631158102          247         9723 S        D       31         9723            0            0
NATIONWIDE HEALTH PROPERTIES R Com  638620104           59         2800 S        D       31         2800            0            0
NAVISTAR INTERNATIONAL CORP US Com  63934E108         3983       139200 S        D       31       139200            0            0
NAVIGANT CONSULTING INC USD 0. Com  63935N107           52         2400 S        D       31         2400            0            0
NDCHEALTH CORP USD 0.125       Com  639480102          688        35800 S        D       31        35800            0            0
NEKTAR THERAPEUTICS USD 0.0001 Com  640268108          717        43568 S        D       31        43568            0            0
NETFLIX INC COM USD0.001       Com  64110L106         6911       255405 S        D       31       255405            0            0
NETWORK APPLIANCE INC USD 0.00 Com  64120L104         9436       349485 S        D       31       349485            0            0
NETWORK APPLIANCE INC COM      COM  64120L104          650        23984 S        D       9         23984            0            0
NEVSUN RESOURCES LTD CAD NPV   Com  64156L101          127        73500 S        D       31        73500            0            0
NEW JERSEY RESOURCES CORP USD  Com  646025106          360         8600 S        D       31         8600            0            0
NEW PLAN EXCEL REALTY TRUST RE Com  648053106         2236        96500 S        D       31        96500            0            0
NEWCASTLE INVT CORP COM        Com  65105M108        29298      1179000 S        D       32      1179000            0            0
NEWELL RUBBERMAID INC USD 1    Com  651229106         2864       120440 S        D       31       120440            0            0
NEWFIELD EXPLORATION CO COM US Com  651290108         2183        43600 S        D       31        43600            0            0
NEWPORT CORPORATION USD 0.1167 Com  651824104            0           21 S        D       31           21            0            0
NEWS CORPORATION               CLA  65248E104         1510        97168 SH       D       17        97168            0            0
News Corp                      COM  65248E104          877        56454 SH       D       20        56454            0            0
News Corp                      COM  65248E203           40         2420 SH       D       20         2420            0            0
NEWS CORPORATION INC COM USD0. Com  65248E203        15234       917175 S        D       31       917175            0            0
NEXTEL PARTNERS INC CL A       CL   65333F107          955        34289 S        D       9         34289            0            0
NIKE INC USD NPV               Com  654106103        22365       257700 S        D       31       257700            0            0
NIKE INC  -CL B                Com  654106103        15795       182000 S        D       32       182000            0            0
NISOURCE INC USD 0.01          Com  65473P105         1768        84800 S        D       31        84800            0            0
NISOURCE INC COM               COM  65473P105          336        16391 S        D       9         16391            0            0
NOKIA OYJ                      ADR  654902204          174         9550 SH       D       12         9550            0            0
NORDSTROM INC USD NPV          Com  655664100         7240       193600 S        D       31       193600            0            0
NORFOLK SOUTHERN CORP USD 1    Com  655844108          650        14500 S        D       31        14500            0            0
NORTEL NETWORKS CORP CAD NPV   Com  656568102         6765      2209400 S        D       31      2209400            0            0
NORTH AMERICAN PALLADIUM LIMIT Com  656912102          118        13400 S        D       31        13400            0            0
NORTHEAST UTILITIES USD 5      Com  664397106         6021       305800 S        D       31       305800            0            0
Northern Trust Cor             COM  665859104           24          475 SH       D       20          475            0            0
NORTHERN TRUST CORP USD 1.667  Com  665859104            2           50 S        D       31           50            0            0
NORTHGATE EXPLORATION LTD CAD  Com  666416102          190       103400 S        D       31       103400            0            0
NORTHWESTERN CORPORATION USD 0 Com  668074305          183         5900 S        D       31         5900            0            0
NOVARTIS AG ADR REP 1 ORD      Com  66987V109          472         9000 S        D       31         9000            0            0
NOVELL INC USD 0.1             Com  670006105         9243      1046796 S        D       31      1046796            0            0
NOVELLUS SYSTEMS INC USD NPV   Com  670008101          128         5337 S        D       31         5337            0            0
NOVELIS INC COM NPV            Com  67000X106         1255        60100 S        D       31        60100            0            0
NOVELIS INC COM                COM  67000X106         1380        66300 S        D       9         66300            0            0
NU SKIN ENTERPRISES INC USD 0. Com  67018T105         1002        57000 S        D       31        57000            0            0
NSTAR USD 1                    Com  67019E107         2844        99100 S        D       31        99100            0            0
NUCOR CORP                     COM  670346105          593         8900 SH       D       12         8900            0            0
NUCOR CORP USD 0.4             Com  670346105         5878        88100 S        D       31        88100            0            0
NVIDIA CORP USD 0.001          Com  67066G104         1793        49059 S        D       31        49059            0            0
NVIDIA CORP COM                COM  67066G104          389        10659 S        D       9         10659            0            0
NUTRI/SYSTEMS INC USD 0.001    Com  67069D108            7          200 S        D       31          200            0            0
NUVEEN INVESTMENTS USD 0.01    Com  67090F106          596        14000 S        D       31        14000            0            0
OCCIDENTAL PETROLEUM USD 0.2   Com  674599105        16950       212200 S        D       31       212200            0            0
ODYSSEY HEALTHCARE USD 0.001   Com  67611V101          234        12600 S        D       31        12600            0            0
OFFICEMAX INC USD 2.5          Com  67622P101         2685       105900 S        D       31       105900            0            0
OFFICEMAX INC DEL COM          COM  67622P101          109         4277 S        D       9          4277            0            0
OFFSHORE LOGISTICS INC USD 0.0 Com  676255102          181         6200 S        D       31         6200            0            0
OMNICOM GROUP INC              COM  681919106           14          167 SH       D       17          167            0            0
Omnicom Group Inc.             COM  681919106          216         2540 SH       D       20         2540            0            0
OMNICOM GROUP INC USD 0.15     Com  681919106        52399       614000 S        D       31       614000            0            0
OMNIVISION TECHNOLOGIES USD 0. Com  682128103         2967       148679 S        D       31       148679            0            0
ONEOK INC USD 0.01             Com  682680103         1826        68600 S        D       31        68600            0            0
OPEN TEXT CO USD NPV           Com  683715106          193        13697 S        D       31        13697            0            0
ORACLE CORPORATION USD 0.01    Com  68389X105         9435       772793 S        D       31       772793            0            0
ORACLE CORP COM                COM  68389X105         4709       385400 S        D       9        385400            0            0
OVERSEAS SHIPHOLDING GROUP INC Com  690368105         5124       101700 S        D       31       101700            0            0
OWENS & MINOR INC USD 2        Com  690732102           33         1200 S        D       31         1200            0            0
OWENS-ILLINOIS INC USD 0.01    Com  690768403          420        20000 S        D       31        20000            0            0
OXIGENE INC COM USD0.01        Com  691828107          291        72400 S        D       31        72400            0            0
PG&E CORP COM                  COM  69331C108          801        21591 S        D       9         21591            0            0
PHH CORP USD 0.01              Com  693320202         2513        89700 S        D       31        89700            0            0
PMC-SIERRA INC COM             COM  69344F106           82        10644 S        D       9         10644            0            0
POSCO ADR REP 0.25 ORD         Com  693483109        20586       415800 S        D       31       415800            0            0
PNM RESOURCES USD NPV          Com  69349H107         6090       248700 S        D       31       248700            0            0
PPG INDUSTRIES INC USD 1.67    Com  693506107         5239        90485 S        D       31        90485            0            0
PPL CORP USD 0.01              Com  69351T106         9963       338892 S        D       31       338892            0            0
PPL CORP COM                   COM  69351T106          706        24130 S        D       9         24130            0            0
PACER INTERNATIONAL INC USD 0. Com  69373H106            0           21 S        D       31           21            0            0
PACIFIC SUNWEAR OF CALIFORNIA  Com  694873100         1480        59412 S        D       31        59412            0            0
PACKAGING CORPORATION OF AMERI Com  695156109          325        14200 S        D       31        14200            0            0
PACTIV CORPORATION USD 0.01    Com  695257105         5057       229877 S        D       31       229877            0            0
PALL CORPORATION USD 0.1       Com  696429307         2514        93600 S        D       31        93600            0            0
PALM INC USD 0.001             Com  696643105         1046        32920 S        D       31        32920            0            0
PAN PACIFIC RETAIL PROPERTY RE Com  69806L104         1103        16500 S        D       31        16500            0            0
PANERA BREAD COMPANY USD 0.000 Com  69840W108         1494        22748 S        D       31        22748            0            0
PANTRY INC USD 0.01            Com  698657103         1319        28081 S        D       31        28081            0            0
PAR PHARMACEUTICAL COS INC COM COM  69888P106          283         9000 S        D       9          9000            0            0
PARAMETRIC TECHNOLOGY CORP USD Com  699173100         2102       344669 S        D       31       344669            0            0
PARKER DRILLING CO USD 0.167   Com  701081101           10         1000 S        D       31         1000            0            0
PARKER-HANNIFIN CORP USD 0.5   Com  701094104        13145       199300 S        D       31       199300            0            0
PARKWAY PROPERTIES INC REIT US Com  70159Q104          132         3300 S        D       31         3300            0            0
PAYLESS SHOESOURCE INC USD 0.0 Com  704379106         1568        62500 S        D       31        62500            0            0
PEDIATRIX MEDICAL GROUP INC US Com  705324101         5438        61400 S        D       31        61400            0            0
PENN NATIONAL GAMING INC USD 0 Com  707569109         1410        42813 S        D       31        42813            0            0
PENN VIRGINIA CORP USD 0.01    Com  707882106          424         7400 S        D       31         7400            0            0
PENNSYLVANIA REAL ESTAT INVES  Com  709102107        13531       362200 S        D       31       362200            0            0
PEOPLE ENERGY CORP USD NPV     Com  711030106          665        18969 S        D       31        18969            0            0
PEPSI BOTTLING GROUP INC USD 0 Com  713409100         3175       110999 S        D       31       110999            0            0
PEPSIAMERICAS INC USD 0.01     Com  71343P200         1053        45300 S        D       31        45300            0            0
PEPSICO INC                    COM  713448108          317         5380 SH       D       12         5380            0            0
PEPSICO INC                    COM  713448108          663        11227 SH       D       17        11227            0            0
Pepsico Inc.                   COM  713448108           42          718 SH       D       20          718            0            0
PERKINELMER INC USD 1          Com  714046109         1503        63837 S        D       31        63837            0            0
PEROT SYSTEMS USD 0.01         Com  714265105          497        35200 S        D       31        35200            0            0
PERRIGO COMPANY USD NPV        Com  714290103          245        16438 S        D       31        16438            0            0
TELEKOMUNIKASI INDONESIA PT AD Com  715684106          541        22700 S        D       31        22700            0            0
PETRO-CANADA CAD NPV           Com  71644E102         7312       182700 S        D       31       182700            0            0
PETROCHINA COMPANY LIMITED ADR Com  71646E100        10884       132800 S        D       31       132800            0            0
PETROFUND ENERGY TRUST CAD NPV Com  71648W108         1061        60100 S        D       31        60100            0            0
PETROLEO BRASILEIRO SA ADR REP Com  71654V101         1081        16800 S        D       31        16800            0            0
PETROLEO BRASILEIRO SA ADR REP Com  71654V408        13291       186500 S        D       31       186500            0            0
PETROLEO BRASILEIRO SA PETRO S ADR  71654V408          358         5125 S        D       9          5125            0            0
PETROLEUM DEVELOPMENT CORP COM Com  716578109          984        29531 S        D       31        29531            0            0
PETSMART INC USD 0.0001        Com  716768106         3863       150549 S        D       31       150549            0            0
PFIZER INC                     COM  717081103          592        25389 SH       D       12        25389            0            0
PFIZER INC                     COM  717081103         1716        73611 SH       D       17        73611            0            0
Pfizer Inc.                    COM  717081103         1067        45782 SH       D       20        45782            0            0
PFIZER INC USD 0.05            Com  717081103         9913       425100 S        D       31       425100            0            0
PHARMACEUTICAL RES INC NOTE 2. NOT  717125AC2        14481     17500000 P        D       9      17500000            0            0
PHARMACEUTICAL HOL             COM  71712A206          602         8652 SH       D       12         8652            0            0
PHELPS DODGE CORP USD 6.25     Com  717265102        15063       104700 S        D       31       104700            0            0
PHILADELPHIA CONSOLIDATED HOLD Com  717528103          259         2685 S        D       31         2685            0            0
PHILIPPINE LONG DISTANCE TELEP Com  718252604         5644       168300 S        D       31       168300            0            0
PHILLIPS-VAN HEUSEN CORPORATIO Com  718592108         3544       109400 S        D       31       109400            0            0
PHOTRONICS INC USD 0.01        Com  719405102          973        64624 S        D       31        64624            0            0
PILGRIM`S PRIDE CORP USD 0.01  Com  721467108         3329       100400 S        D       31       100400            0            0
PIONEER NATURAL RESOURCE USD 0 Com  723787107           56         1100 S        D       31         1100            0            0
PIPER JAFFRAY COS USD 0.01     Com  724078100          638        15800 S        D       31        15800            0            0
PITNEY BOWES INC USD 1         Com  724479100         3735        88416 S        D       31        88416            0            0
PLACER DOME INC                Com  725906101           53         2371 S        D       31         2371            0            0
PLANTRONICS INC USD 0.01       Com  727493108         2037        72000 S        D       31        72000            0            0
PLAYTEX PRODUCTS INC USD 0.01  Com  72813P100           38         2800 S        D       31         2800            0            0
PLUM CREEK TIMBER CO INC REIT  Com  729251108          252         7000 S        D       31         7000            0            0
POLARIS INDUSTRIES INC USD 0.0 Com  731068102         6646       132400 S        D       31       132400            0            0
POLO RALPH LAUREN CORP USD 0.0 Com  731572103         6124       109100 S        D       31       109100            0            0
POPULAR INC USD 6              Com  733174106            0            2 S        D       31            2            0            0
PORTFOLIO RECOVERY ASSOCIATE U Com  73640Q105         1242        26765 S        D       31        26765            0            0
POST PROPERTIES INC REIT USD 0 Com  737464107           35          900 S        D       31          900            0            0
POTASH CORPORATION OF SASKETCH Com  73755L107         8046       100300 S        D       31       100300            0            0
POTLATCH CORPORATION USD 1     Com  737628107          219         4300 S        D       31         4300            0            0
POWERWAVE TECHNOLOGIES INC USD Com  739363109          349        27823 S        D       31        27823            0            0
PRAXAIR INC COM                COM  74005P104         1091        20553 S        D       9         20553            0            0
PRECISION CASTPARTS CORPORATIO Com  740189105         6600       127400 S        D       31       127400            0            0
PREMIERE GLOBAL SERVICES INC U Com  740585104           85        10543 S        D       31        10543            0            0
PRENTISS PROPERTIES TRUST REIT Com  740706106         1220        30000 S        D       31        30000            0            0
T ROWE PRICE ASSOCIATES INC US Com  74144T108          479         6661 S        D       31         6661            0            0
PRICE T ROWE GROUP INC COM     COM  74144T108          612         8478 S        D       9          8478            0            0
PRICELINE.COM INCORPORATED USD Com  741503403         1187        53196 S        D       31        53196            0            0
PRINCIPAL FINANCIAL GROUP INC  Com  74251V102          317         6700 S        D       31         6700            0            0
PRINCIPAL FINANCIAL GROUP IN C COM  74251V102          863        18146 S        D       9         18146            0            0
PROASSURANCE CORP USD 0.01     Com  74267C106         3181        65400 S        D       31        65400            0            0
PROCTER & GAMBLE               COM  742718109          650        11242 SH       D       12        11242            0            0
PROCTER & GAMBLE               COM  742718109         3201        55317 SH       D       17        55317            0            0
Procter & Gamble C             COM  742718109          778        13455 SH       D       20        13455            0            0
PROGRESS SOFTWARE CORP USD 0.0 Com  743312100         1139        40151 S        D       31        40151            0            0
PROLIANCE INTL INC COM         COM  74340R104          902       173611 S        D       9        173611            0            0
PROTECTIVE LIFE CORP USD 0.5   Com  743674103         3295        75300 S        D       31        75300            0            0
PROVIDENT ENERGY TRUST-UTS TRU Com  74386K104            1          100 S        D       31          100            0            0
PRUDENTIAL  FINANCIAL INC USD  Com  744320102        48455       658300 S        D       31       658300            0            0
PUBLIC STORAGE INC REIT USD 0. Com  74460D109         8654       127804 S        D       31       127804            0            0
PUBLIC STORAGE INC COM         COM  74460D109          345         5059 S        D       9          5059            0            0
PUGET ENERGY INC USD 0.01      Com  745310102           26         1300 S        D       31         1300            0            0
QUALCOMM INC USD 0.0001        Com  747525103        11311       262562 S        D       31       262562            0            0
QUALITY SYSTEMS INC USD 0.01   Com  747582104          134         1752 S        D       31         1752            0            0
QUANEX CROP USD 0.5            Com  747620102        11133       222800 S        D       31       222800            0            0
QUANTA SERVICES INC USD 0.0000 Com  74762E102          899        68300 S        D       31        68300            0            0
QUANTA SVCS INC NOTE 4.000% 7/ NOT  74762EAA0        10642     11000000 P        D       9      11000000            0            0
QUANTA SVCS INC SDCV 4.500%10/ SDC  74762EAC6        11882      9000000 P        D       9       9000000            0            0
QUEBECOR WORLD INC CAD NPV     Com  748203106          514        37500 S        D       31        37500            0            0
QUEST DIAGNOSTIC INC COM USD0. Com  74834L100        13034       253189 S        D       31       253189            0            0
QUEST DIAGNOSTICS INC COM      COM  74834L100          558        10834 S        D       9         10834            0            0
QUEST SOFTWARE INC USD NPV     Com  74834T103          696        47762 S        D       31        47762            0            0
QUIKSILVER INC USD 0.01        Com  74838C106          210        15214 S        D       31        15214            0            0
RAIT INVESTMENT TRUST REIT USD Com  749227104         1099        42400 S        D       31        42400            0            0
RH DONNELLEY CORP USD 1        Com  74955W307         8676       140800 S        D       31       140800            0            0
RLI CORPORATION USD 1          Com  749607107         1890        37900 S        D       31        37900            0            0
RSA SECURITY INC USD 0.01      Com  749719100          340        30358 S        D       31        30358            0            0
RADIO ONE INC USD 0.001        Com  75040P405         1029        99428 S        D       31        99428            0            0
RALCORP HOLDINGS INC USD 0.01  Com  751028101          450        11300 S        D       31        11300            0            0
RANDGOLD RESOURCES LIMITED ADR Com  752344309          297        18467 S        D       31        18467            0            0
RARE HOSPITALITY INC USD NPV   Com  753820109          618        20354 S        D       31        20354            0            0
RAYMOND JAMES FINANCIAL INC US Com  754730109         3397        90200 S        D       31        90200            0            0
RAYONIER INC REIT USD NPV      Com  754907103         6294       157950 S        D       31       157950            0            0
RAYTHEON CO USD 0.01           Com  755111507         2319        57774 S        D       31        57774            0            0
READERS DIGEST ASSOCIATION INC Com  755267101          290        19100 S        D       31        19100            0            0
RED HAT INC USD 0.0001         Com  756577102         9830       360873 S        D       31       360873            0            0
REEBOK INTERNATIONAL USD 0.01  Com  758110100         2043        35100 S        D       31        35100            0            0
REGENCY CENTERS CORPORATION RE Com  758849103          424         7200 S        D       31         7200            0            0
REGIS CORP USD 0.05            Com  758932107          725        18800 S        D       31        18800            0            0
REGIONS FINANCIAL CORP NEW COM COM  7591EP100         1590        46795 S        D       9         46795            0            0
REINSURANCE GROUP OF AMERICA U Com  759351109          186         3900 S        D       31         3900            0            0
RELIANCE STEEL & ALUMINIUM USD Com  759509102         1228        20100 S        D       31        20100            0            0
REMINGTON OIL & GAS CORP USD 0 Com  759594302         4157       113900 S        D       31       113900            0            0
RENAL CARE GROUP INC USD 0.01  Com  759930100         6803       143800 S        D       31       143800            0            0
REPSOL YPF SA ADR REP 1 ORD    Com  76026T205         1817        61800 S        D       31        61800            0            0
REPUBLIC SERVICES INC USD 0.01 Com  760759100         4667       124300 S        D       31       124300            0            0
RETAIL VENTURES INC USD NPV    Com  76128Y102           48         3900 S        D       31         3900            0            0
REYNOLDS & REYNOLDS CO NPV     Com  761695105         2366        84300 S        D       31        84300            0            0
REYNOLDS AMERICAN INC USD 0.00 Com  761713106        27418       288097 S        D       31       288097            0            0
RIO TINTO SPON ADR(CNV 4 ORD 1 Com  767204100        13764        75300 S        D       31        75300            0            0
RITE AID CORP USD 1            Com  767754104          429       123400 S        D       31       123400            0            0
ROCKWELL AUTOMATION INC USD 1  Com  773903109        12364       209000 S        D       31       209000            0            0
ROCKWELL COLLINS INC USD 0.01  Com  774341101            0           13 S        D       31           13            0            0
ROFIN-SINAR TECHNOLOGIES INC U Com  775043102            8          194 S        D       31          194            0            0
ROHM & HAAS CO USD 2.5         Com  775371107         6604       136400 S        D       31       136400            0            0
ROPER INDUSTRIES INC USD 0.01  Com  776696106         3461        87600 S        D       31        87600            0            0
ROYAL DUTCH SHELL PLC ADR REP  Com  780259107         4282        66364 S        D       31        66364            0            0
ROYAL DUTCH SHELL PLC ADR REP  Com  780259206        33936       551900 S        D       31       551900            0            0
RUDDICK CORP USD NPV           Com  781258108          174         8200 S        D       31         8200            0            0
RYANAIR HOLDINGS PLC ADR REPR  Com  783513104          227         4059 S        D       31         4059            0            0
RYDER SYSTEM INC USD 0.5       Com  783549108         8733       212907 S        D       31       212907            0            0
SBA COMMUNICATIONS CORP USD 0. Com  78388J106          631        35297 S        D       31        35297            0            0
SCI SYS INC NOTE 3.000% 3/1    NOT  783890AF3        26399     27500000 P        D       9      27500000            0            0
SEI INVESTMENTS MANAGEMENT  CO Com  784117103         2283        61719 S        D       31        61719            0            0
SK TELECOM CO LTD ADR REP 0.11 Com  78440P108         7742       381600 S        D       31       381600            0            0
SK TELECOM LTD SPONSORED ADR   ADR  78440P108            0            1 S        D       9             1            0            0
SLM CORP USD 0.2               Com  78442P106        18977       344488 S        D       31       344488            0            0
SLM CORP COM                   COM  78442P106         1486        27125 S        D       9         27125            0            0
SPDR TRUST                     COM  78462F103        14410       115741 SH       D       12       115741            0            0
SPDR TR UNIT SER 1             UNI  78462F103        13525       108501 S        D       9        108501            0            0
SVB FINANCIAL GROUP USD 0.001  Com  78486Q101            0            1 S        D       31            1            0            0
SAFECO CORPORATION USD NPV     Com  786429100         1376        24358 S        D       31        24358            0            0
SAFENET INC USD 0.01           Com  78645R107            5          162 S        D       31          162            0            0
SAFETY INS GROUP INC COM       COM  78648T100          863        21357 S        D       9         21357            0            0
Safeway Inc.                   COM  786514208           14          600 SH       D       20          600            0            0
ST JOE CO USD NPV              Com  790148100          194         2900 S        D       31         2900            0            0
ST JUDE MEDICAL INC USD 0.1    Com  790849103        15090       300600 S        D       31       300600            0            0
ST MARY LAND & EXPLORATATION U Com  792228108          235         6400 S        D       31         6400            0            0
SALIX PHARMACEUTICALS USD 0.00 Com  795435106          135         7701 S        D       31         7701            0            0
SAN JUAN BASIN ROYALTY TRUST R Com  798241105         4362       100100 S        D       31       100100            0            0
SANDERSON FARM INC USD 1       Com  800013104          592        19397 S        D       31        19397            0            0
SANDISK CORPORATION USD 0.001  Com  80004C101         9432       150148 S        D       31       150148            0            0
SANDISK CORP COM               COM  80004C101          199         3174 S        D       9          3174            0            0
SANOFI AVENTIS SPONSORED ADR   ADR  80105N105         2829        64816 S        D       9         64816            0            0
SAP AG SPON ADR-EACH 4 REP 1 O Com  803054204          495        11000 S        D       31        11000            0            0
SARA LEE CORP USD 0.01         Com  803111103          407        21539 S        D       31        21539            0            0
SASOL LIMITED ADR REP 1 ORD    Com  803866300         1407        39500 S        D       31        39500            0            0
SATYAM COMPUTER                COM  804098101           65         1800 SH       D       12         1800            0            0
SCHERING-PLOUGH CORP USD 0.5   Com  806605101        12481       598652 S        D       31       598652            0            0
SCHLUMBERGER AG USD 0.01       Com  806857108           69          707 S        D       31          707            0            0
SCHNITZER STEEL USD 1          Com  806882106          600        19643 S        D       31        19643            0            0
SCHOLASTIC CORP USD 0.01       Com  807066105          635        22288 S        D       31        22288            0            0
SCHOOL SPECIALTY INC USD 0.001 Com  807863105            8          226 S        D       31          226            0            0
CHARLES SCHWAB CORP USD 0.01   Com  808513105        12406       845698 S        D       31       845698            0            0
SCIENTIFIC ATLANTA USD 0.5     Com  808655104         8928       207305 S        D       31       207305            0            0
SCIENTIFIC GAMES CORP-A USD 0. Com  80874P109          721        26437 S        D       31        26437            0            0
SCRIPPS(EW)CO USD 0.01         Com  811054204         6626       138000 S        D       31       138000            0            0
SCS TRANSN INC COM             COM  81111T102         1150        53744 S        D       9         53744            0            0
SEALED AIR CORP NEW COM        COM  81211K100          284         5055 S        D       9          5055            0            0
SELECT SECTOR SPDR             COM  81369Y605         3425       108164 SH       D       12       108164            0            0
SELECT SECTOR SPDR             COM  81369Y605         5450       172117 SH       D       17       172117            0            0
SECURE COMPUTING CORP USD 0.01 Com  813705100           73         6023 S        D       31         6023            0            0
SELECT COMFORT CORP USD 0.01   Com  81616X103          140         5145 S        D       31         5145            0            0
SELECTIVE INSURANCE GROUP INC  Com  816300107         1354        25511 S        D       31        25511            0            0
SEMICONDUCTOR HOLD             COM  816636203         4136       112900 SH       D       12       112900            0            0
SEMTECH CORPORATION USD 0.01   Com  816850101           97         5330 S        D       31         5330            0            0
SEPRACOR INC USD 0.1           Com  817315104         8534       165402 S        D       31       165402            0            0
SEPRACOR INC SDCV 5.000% 2/1   SDC  817315AL8        15461     15500000 P        D       9      15500000            0            0
SEPRACOR INC NOTE 10/1         NOT  817315AW4        11824     12500000 P        D       9      12500000            0            0
SERENA SOFTWARE INC USD 0.001  Com  817492101         1320        56316 S        D       31        56316            0            0
SERVICE CORP INTL USD 1        Com  817565104          358        43800 S        D       31        43800            0            0
SERVICEMASTER CO USD 0.01      Com  81760N109         1388       116200 S        D       31       116200            0            0
SHAW GROUP INC USD NPV         Com  820280105         1396        48000 S        D       31        48000            0            0
SHAW COMMUNICATIONS INC NPV    Com  82028K200          934        42300 S        D       31        42300            0            0
SHIRE PLC ADR REP 3 ORD        Com  82481R106         1690        43585 S        D       31        43585            0            0
SHIRE PLC SPONSORED ADR        ADR  82481R106          525        14195 S        D       9         14195            0            0
SIEBEL SYSTEMS INC USD 0.001   Com  826170102        16732      1581541 S        D       31      1581541            0            0
SIEMENS AG ADR REP 1 ORD       Com  826197501        17058       199300 S        D       31       199300            0            0
SIERRA HEALTH SERVICES INC USD Com  826322109          927        11600 S        D       31        11600            0            0
SIERRA PACIFIC RESOURCES USD 1 Com  826428104          874        67100 S        D       31        67100            0            0
SIGNET GROUP PLC SP ADR REP 10 ADR  82668L872         2994      1620477 S        D       9       1620477            0            0
SILICON LABORATORIES USD 0.000 Com  826919102         3120        85113 S        D       31        85113            0            0
SILICON IMAGE INC USD 0.001    Com  82705T102          569        62954 S        D       31        62954            0            0
SIMON PROPERTY GROUP INC REIT  Com  828806109        14498       189200 S        D       31       189200            0            0
SIMPSON MFG CO INC USD 0.01    Com  829073105          149         4100 S        D       31         4100            0            0
SIRIUS SATELLITE RADIO USD 0.0 Com  82966U103         7842      1170535 S        D       31      1170535            0            0
SIRIUS SATELLITE RADIO INC COM COM  82966U103        13989      2091098 S        D       9       2091098            0            0
SIRF TECHNOLOGY HOLDINGS INC U Com  82967H101         1730        58078 S        D       31        58078            0            0
SIX FLAGS INC USD 0.025        Com  83001P109         1174       152300 S        D       31       152300            0            0
SKY FINANCIAL GROUP INC USD NP Com  83080P103            1           43 S        D       31           43            0            0
SMITH(A.O.)CORP USD 1          Com  831865209          754        21500 S        D       31        21500            0            0
SMUCKER(JM)CO                  COM  832696405            4           98 SH       D       17           98            0            0
SMUCKER(J.M.)CO USD NPV        Com  832696405          721        16403 S        D       31        16403            0            0
SOCIEDAD QUIMICA Y MINERA DE C Com  833635105         1310        12000 S        D       31        12000            0            0
SOFTWARE HOLDERS T             COM  83404B103         1037        27845 SH       D       12        27845            0            0
Software Holdrs Tr             COM  83404B103         1979        53100 SH       D       20        53100            0            0
SOHU.COM INC. USD 0.001        Com  83408W103         4041       220382 S        D       31       220382            0            0
SOLECTRON CORP USD 0.001       Com  834182107         1349       368800 S        D       31       368800            0            0
SOLECTRON CORP NOTE 0.500% 2/1 NOT  834182AT4         7250     10000000 P        D       9      10000000            0            0
SONIC CORP USD 0.01            Com  835451105         2612        88556 S        D       31        88556            0            0
SONIC AUTOMOTIVE INC USD 0.01  Com  83545G102          247        11100 S        D       31        11100            0            0
SONIC SOLUTIONS USD NPV        Com  835460106          359        23762 S        D       31        23762            0            0
SOUTHERN COPPER CORP COM       COM  84265V105          944        14232 S        D       9         14232            0            0
SOUTHERN UNION CO USD 1        Com  844030106         3537       149723 S        D       31       149723            0            0
SOUTHWESTERN ENERGY COMPANY US Com  845467109        17833       496200 S        D       31       496200            0            0
SOVEREIGN BANCORP USD NPV      Com  845905108            0           42 S        D       31           42            0            0
SPRINT CORP                    Com  852061100        15160       649000 S        D       32       649000            0            0
STAGE STORES INC. USD 0.01     Com  85254C305           44         1491 S        D       31         1491            0            0
STANCORP FINANCIAL GROUP USD N Com  852891100         9950       199200 S        D       31       199200            0            0
STANTEC INC CAD NPV            Com  85472N109          266         7800 S        D       31         7800            0            0
STAPLES INC USD 0.0006         Com  855030102         2267        99827 S        D       31        99827            0            0
STARBUCKS CORPORATION USD 0.00 Com  855244109         3999       133266 S        D       31       133266            0            0
STARWOOD HOTELS&RESORTS WRLD P CTF  85590A203          890        13928 S        D       9         13928            0            0
STATOIL ASA ADR (EACH REP 1 OR Com  85771P102         4350       189500 S        D       31       189500            0            0
STEEL DYNAMICS INC USD 0.01    Com  858119100          302         8531 S        D       31         8531            0            0
STERIS CORP USD NPV            Com  859152100           10          400 S        D       31          400            0            0
STILLWATER MINING CO USD 0.01  Com  86074Q102          531        45900 S        D       31        45900            0            0
ST MICROELECTRONICS NY REG SHR Com  861012102          867        48200 S        D       31        48200            0            0
STOLT OFFSHORE S/ADS EACH REP  Com  861567105          154        13273 S        D       31        13273            0            0
STRYKER CORP USD 0.1           Com  863667101         3376        76000 S        D       31        76000            0            0
SUN LIFE FINANCIAL OF CANADA C Com  866796105          143         3600 S        D       31         3600            0            0
Sun Microsystems               COM  866810104            6         1600 SH       D       20         1600            0            0
SUNCOR ENERGY INC CAD NPV      Com  867229106         2152        34100 S        D       31        34100            0            0
SUNCOM WIRELESS HLDGS INC CL A CL   86722Q108         3259      1180900 S        D       9       1180900            0            0
SUNOCO INC USD 1               Com  86764P109        39785       507600 S        D       31       507600            0            0
SUNOCO INC COM                 COM  86764P109          672         8640 S        D       9          8640            0            0
SUNSTONE HOTEL INVESTORS REIT  Com  867892101           45         1700 S        D       31         1700            0            0
SUNTRUST BANKS INC USD 1       Com  867914103            0           12 S        D       31           12            0            0
SURMODICS INC USD 0.05         Com  868873100          372        10060 S        D       31        10060            0            0
SWIFT TRANSPORTATION CO INC US Com  870756103         1225        60360 S        D       31        60360            0            0
SYBASE INC USD 0.001           Com  871130100          174         8000 S        D       31         8000            0            0
SYCAMORE NETWORKS INC USD 0.00 Com  871206108            0           98 S        D       31           98            0            0
SYMBOL TECHNOLOGIES INC USD 0. Com  871508107         5397       421025 S        D       31       421025            0            0
SYNAPTICS INC USD 0.001        Com  87157D109           89         3628 S        D       31         3628            0            0
SYNOPSYS INC USD 0.01          Com  871607107         2378       118553 S        D       31       118553            0            0
SYNGENTA AG ADR(1/5TH CHF5.60( Com  87160A100           29         1200 S        D       31         1200            0            0
SYNOVUS FINANCIAL USD 1        Com  87161C105            2           92 S        D       31           92            0            0
SYNOVUS FINL CORP COM          COM  87161C105          542        20113 S        D       9         20113            0            0
TD BANKNORTH INC COM           COM  87235A101         1356        46875 S        D       9         46875            0            0
TECO ENERGY INC USD 1          Com  872375100         1133        66000 S        D       31        66000            0            0
TRW AUTOMOTIVE HOLDINGS CORPOR Com  87264S106          669        25400 S        D       31        25400            0            0
TXU CORP USD NPV               Com  873168108        25079       496900 S        D       31       496900            0            0
THE TALBOTS INC USD 0.01       Com  874161102         3494       125600 S        D       31       125600            0            0
TALISMAN ENERGY INC CAD NPV    Com  87425E103        10501       198600 S        D       31       198600            0            0
TAN RANGE EXPLORATION CORPORAT Com  87535D102            4          700 S        D       31          700            0            0
TASER INTL INC COM             COM  87651B104         1248       182997 S        D       9        182997            0            0
TAUBMAN CENTRES INC REIT USD 0 Com  876664103          566        16300 S        D       31        16300            0            0
TECH DATA CORPORATION USD 0.00 Com  878237106          351         8857 S        D       31         8857            0            0
TECH OLYMPIC USA INC USD 0.01  Com  878483106          548        26000 S        D       31        26000            0            0
TEKELEC INC USD NPV            Com  879101103          651        46880 S        D       31        46880            0            0
TEKTRONIX USD NPV              Com  879131100         1063        37704 S        D       31        37704            0            0
TELECOM ARGENT STET FRAN ADR R Com  879273209          341        26500 S        D       31        26500            0            0
TELEDYNE TECHNOLOGIES INC USD  Com  879360105          934        32100 S        D       31        32100            0            0
TELEFLEX INC USD 1             Com  879369106         3736        57500 S        D       31        57500            0            0
TELEFONICA SA ADR REP 3 ORD    Com  879382208         2516        55900 S        D       31        55900            0            0
TELEWEST GLOBAL INC COM        COM  87956T107         6310       265930 S        D       9        265930            0            0
TELUS CORPORATION CAD NPV      Com  87971M202         1047        25700 S        D       31        25700            0            0
TENARIS SA ADR REP 10 ORD      Com  88031M109        33743       294700 S        D       31       294700            0            0
TENET HEALTHCARE CORP COM      COM  88033G100          332        43985 S        D       9         43985            0            0
TEREX CORP USD 0.01            Com  880779103         2073        34900 S        D       31        34900            0            0
TERRA INDUSTRIES USD NPV       Com  880915103          643       114900 S        D       31       114900            0            0
TESORO PETROLEUM CORP USD 0.16 Com  881609101        19154       311200 S        D       31       311200            0            0
TETRA TECH INC USD 0.01        Com  88162G103            4          300 S        D       31          300            0            0
TESSERA TECHNOLOGIES INC USD 0 Com  88164L100         1414        54729 S        D       31        54729            0            0
TEXAS INDUSTRIES INC USD 1     Com  882491103         1903        38200 S        D       31        38200            0            0
THOR INDUSTRIES USD 0.1        Com  885160101         1873        46745 S        D       31        46745            0            0
THORATEC CORPORATION USD NPV   Com  885175307            1           62 S        D       31           62            0            0
3 COM CORP USD 0.01            Com  885535104          210        58579 S        D       31        58579            0            0
3M COMPANY                     COM  88579Y101          186         2408 SH       D       12         2408            0            0
3M COMPANY                     COM  88579Y101           11          150 SH       D       17          150            0            0
3M CO                          COM  88579Y101           73          950 SH       D       20          950            0            0
3M COMPANY USD 0.01            Com  88579Y101        20948       270300 S        D       31       270300            0            0
3M CO COM                      COM  88579Y101         5192        66784 S        D       9         66784            0            0
TIBCO SOFTWARE INC USD 0.001   Com  88632Q103         1726       231073 S        D       31       231073            0            0
TOO INC USD 0.01               Com  890333107          112         4000 S        D       31         4000            0            0
TORO CO USD 1                  Com  891092108         5278       120600 S        D       31       120600            0            0
TRANSACTION SYSTEMS ARCHITECTS Com  893416107          189         6565 S        D       31         6565            0            0
TRANSCANADA CORPORATION CAD NP Com  89353D107           87         2700 S        D       31         2700            0            0
TREEHOUSE FOODS INC COM        COM  89469A104          993        53000 S        D       9         53000            0            0
TRIDENT MICROSYSTEMS INC USD 0 Com  895919108          184        10236 S        D       31        10236            0            0
TRIBUNE CO(DELAWARE) USD 0.01  Com  896047107         5952       196700 S        D       31       196700            0            0
TRIZEC PROPERTIES INC REIT USD Com  89687P107          788        34400 S        D       31        34400            0            0
TUESDAY MORNING CORP USD 0.01  Com  899035505          405        19392 S        D       31        19392            0            0
TYCO INTERNATIONAL LTD USD 0.2 Com  902124106        46369      1604900 S        D       31      1604900            0            0
UICI USD 0.01                  Com  902737105           56         1600 S        D       31         1600            0            0
UST INC USD 0.5                Com  902911106        21624       529632 S        D       31       529632            0            0
USANA HEALTH SCIENCES INC USD  Com  90328M107           44         1166 S        D       31         1166            0            0
USG CORP USD 0.1               Com  903293405        18414       283300 S        D       31       283300            0            0
USEC INC USD 0.1               Com  90333E108         1809       151400 S        D       31       151400            0            0
UNION PACIFIC CORPORATION USD  Com  907818108        16755       207200 S        D       31       207200            0            0
UNIONBANCAL CORPORATION USD 1  Com  908906100           96         1400 S        D       31         1400            0            0
UNIT CORP USD 0.2              Com  909218109          847        15400 S        D       31        15400            0            0
UNITED MICROELECTRONICS CORP.  Com  910873207         1597       511936 S        D       31       511936            0            0
UNITED NATURAL FOODS USD 0.01  Com  911163103          513        19432 S        D       31        19432            0            0
UNITED ONLINE INC USD 0.0001   Com  911268100          780        54920 S        D       31        54920            0            0
UNITED STATES STEEL CORPORATIO Com  912909108        35393       736300 S        D       31       736300            0            0
UNITED STATIONERS INC USD 0.1  Com  913004107            1           25 S        D       31           25            0            0
UNITED HEALTHCARE CORP USD 0.0 Com  91324P102            1           26 S        D       31           26            0            0
UNITEDHEALTH GROUP INC COM     COM  91324P102        10084       161736 S        D       9        161736            0            0
UNITRIN INC USD 0.1            Com  913275103          360         8000 S        D       31         8000            0            0
UNIVERSAL AMER FINANCIAL CRP U Com  913377107          154        10252 S        D       31        10252            0            0
UNIVERSAL COMPRESSION HOLDINGS Com  913431102         1472        35800 S        D       31        35800            0            0
UNIVERSAL CORP (ZW) USD NPV    Com  913456109          724        16700 S        D       31        16700            0            0
UNIVERSAL TECHNICAL INSTITUTE  Com  913915104           52         1700 S        D       31         1700            0            0
UNIZAN FINANCIAL CORP COM      COM  91528W101         2425        92055 S        D       9         92055            0            0
UNOVA INC COM                  COM  91529B106         1628        48400 S        D       9         48400            0            0
UNUMPROVIDENT CORPORATION USD  Com  91529Y106         1976        86888 S        D       31        86888            0            0
UNUMPROVIDENT CORP             Com  91529Y106        15106       664000 S        D       32       664000            0            0
UNUMPROVIDENT CORP COM         COM  91529Y106          429        18832 S        D       9         18832            0            0
URBAN OUTFITTERS INC COM USD0. Com  917047102          413        16320 S        D       31        16320            0            0
UTSTARCOM INC. USD 0.00125     Com  918076100         1280       158813 S        D       31       158813            0            0
VAALCO ENERGY INC COM NEW      COM  91851C201          954       226091 S        D       9        226091            0            0
VAIL RESORTS INC USD 0.01      Com  91879Q109         1023        31000 S        D       31        31000            0            0
VALASSIS COMMUNICATIONS USD 0. Com  918866104         2308        79400 S        D       31        79400            0            0
VALEANT PHARMACEUTICALS INTERN Com  91911X104          421        23300 S        D       31        23300            0            0
VALERO LP LTD PART NPV         Com  91913W104         1055        20400 S        D       31        20400            0            0
Valero Energy Corp             COM  91913Y100          203         3940 SH       D       20         3940            0            0
VALERO ENERGY CORP USD 0.01    Com  91913Y100        75890      1470748 S        D       31      1470748            0            0
VALERO ENERGY CORP NEW COM     COM  91913Y100         3335        65468 S        D       9         65468            0            0
VALSPAR CORP USD 0.5           Com  920355104         2568       104100 S        D       31       104100            0            0
VALUECLICK INC USD 0.001       Com  92046N102         2805       154895 S        D       31       154895            0            0
VALUECLICK INC COM             COM  92046N102          844        46602 S        D       9         46602            0            0
VARIAN INC USD 0.01            Com  922206107          178         4474 S        D       31         4474            0            0
VENTIV HEALTH INC USD 0.001    Com  922793104          496        21005 S        D       31        21005            0            0
VERIFONE HOLDINGS INC USD 0.01 Com  92342Y109          204         8100 S        D       31         8100            0            0
VERITAS DGC USD 0.01           Com  92343P107         1050        29600 S        D       31        29600            0            0
VERIZON COMMUN                 COM  92343V104          762        25322 SH       D       12        25322            0            0
VERIZON COMMUN                 COM  92343V104         2647        87907 SH       D       17        87907            0            0
Verizon Communicat             COM  92343V104          873        29002 SH       D       20        29002            0            0
VERIZON COMMUNICATIONS USD 0.1 Com  92343V104        85886      2840012 S        D       31      2840012            0            0
VERIZON COMMUNICATIONS COM     COM  92343V104        22069       733451 S        D       9        733451            0            0
Viacom Inc.                    CLA  925524100          194         5935 SH       D       20         5935            0            0
VIACOM INC USD 0.01            Com  925524100          147         4500 S        D       31         4500            0            0
VIACOM INC                     COM  925524308          472        14501 SH       D       12        14501            0            0
VIACOM INC                     COM  925524308         1822        55896 SH       D       17        55896            0            0
Viacom Inc.                    COM  925524308          307         9438 SH       D       20         9438            0            0
VIAD CORPORATION USD 1.5       Com  92552R406            0           25 S        D       31           25            0            0
VIASYS HEALTHCARE USD 0.01     Com  92553Q209           59         2300 S        D       31         2300            0            0
VIROPHARMA INC USD 0.002       Com  928241108         1117        60222 S        D       31        60222            0            0
VISHAY INTERTECHNOLOGY INC USD Com  928298108         1740       126500 S        D       31       126500            0            0
VISTEON CORP COM               COM  92839U107          101        16100 S        D       1         16100            0            0
VISTEON CORP COM               COM  92839U107           50         8079 S        D       9          8079            0            0
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VIVENDI UNIVERSAL SPON ADR NEW ADR  92851S204        20308       650579 S        D       9        650579            0            0
VODAFONE GROUP                 ADR  92857W100          166         7750 SH       D       12         7750            0            0
VODAFONE GROUP PLC ADR REP 10  Com  92857W100         3725       173500 S        D       31       173500            0            0
VODAFONE GROUP PLC NEW SPONSOR ADR  92857W100        38757      1793489 S        D       9       1793489            0            0
VORNADO REALTY TRUST REIT USD  Com  929042109        31084       372400 S        D       31       372400            0            0
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W&T OFFSHORE INC USD 0.00001   Com  92922P106         1061        36100 S        D       31        36100            0            0
WGL HOLDINGS INC. USD NPV      Com  92924F106         1076        35800 S        D       31        35800            0            0
WPS RESOURCES CORP USD 1       Com  92931B106         8462       153000 S        D       31       153000            0            0
WABASH NATIONAL CORP USD 0.01  Com  929566107          603        31700 S        D       31        31700            0            0
WADDELL & REED FIN             CLA  930059100          398        19000 SH       D       12        19000            0            0
WADDELL & REED FINANCIAL INC U Com  930059100         1109        52900 S        D       31        52900            0            0
WAL-MART STORES IN             COM  931142103           55         1190 SH       D       12         1190            0            0
WARNACO INC USD 0.01           Com  934390402          122         4600 S        D       31         4600            0            0
WASHINGTON GROUP INTERNATIONAL Com  938862208         1044        19721 S        D       31        19721            0            0
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WASTE MGMT INC DEL COM         COM  94106L109         1064        35082 S        D       9         35082            0            0
WATERS CORP USD 0.01           Com  941848103          103         2737 S        D       31         2737            0            0
WATSCO INC USD 0.5             Com  942622200         1608        26900 S        D       31        26900            0            0
WATSON PHARMACEUTICALS INC USD Com  942683103         7845       241331 S        D       31       241331            0            0
WAVE SYSTEMS CORP              CLA  943526103            0          560 SH       D       11          560            0            0
WEIGHT WATCHERS INTL INC USD N Com  948626106         5462       110500 S        D       31       110500            0            0
WELLCARE GROUP INC USD 0.01    Com  94946T106         1147        28100 S        D       31        28100            0            0
WELLPOINT INC USD 0.01         Com  94973V107        11750       147269 S        D       31       147269            0            0
WELLPOINT INC COM              COM  94973V107        12708       160139 S        D       9        160139            0            0
WELLS FARGO & CO               COM  949746101         1325        21095 SH       D       12        21095            0            0
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Wells Fargo and Co             COM  949746101          464         7385 SH       D       20         7385            0            0
WESCO INTERNATIONAL INC USD 0. Com  95082P105         1012        23700 S        D       31        23700            0            0
WESTAIM CORP CAD NPV           Com  956909105           19         5300 S        D       31         5300            0            0
WESTERN DIGITAL CORPORATION US Com  958102105         1663        89400 S        D       31        89400            0            0
WESTLAKE CHEMICAL CORPORATION  Com  960413102          593        20600 S        D       31        20600            0            0
WESTWOOD ONE INC USD 0.01      Com  961815107         1268        77800 S        D       31        77800            0            0
WEYERHAEUSER CO. USD 1.25      Com  962166104        10037       151300 S        D       31       151300            0            0
WINNEBAGO INDUSTRIES INC USD 0 Com  974637100         5484       164800 S        D       31       164800            0            0
WORLD FUEL SERVICES CORP USD 0 Com  981475106          660        19600 S        D       31        19600            0            0
WM WRIGLEY JR. COMPANY USD NPV Com  982526105         9236       138916 S        D       31       138916            0            0
WYETH                          COM  983024100          273         5940 SH       D       12         5940            0            0
WYETH                          COM  983024100         1498        32524 SH       D       17            0            0        32524
Wyeth                          COM  983024100          468        10165 SH       D       20        10165            0            0
XTO ENERGY INC COM             COM  98385X106         1012        23208 S        D       9         23208            0            0
XCEL ENERGY INC COM            COM  98389B100          449        24392 S        D       9         24392            0            0
YAHOO INC USD 0.001            Com  984332106        17633       446194 S        D       31       446194            0            0
YELLOW ROADWAY CORPORATION USD Com  985577105         4731       106064 S        D       31       106064            0            0
YUM! BRANDS INC USD NPV        Com  988498101        26360       562300 S        D       31       562300            0            0
ZALE CORP USD 0.01             Com  988858106         2530       100600 S        D       31       100600            0            0
ZARLINK SEMICONDUCTOR INC CAD  Com  989139100           47        23100 S        D       31        23100            0            0
ZENITH NATIONAL INSURANCE CORP Com  989390109            2           50 S        D       31           50            0            0
Zimmer Holdings In             COM  98956P102            2           40 SH       D       20           40            0            0
ZIMMER HLDGS INC COM           COM  98956P102         1064        15806 S        D       9         15806            0            0
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ACE LTD                        COM  G0070K103          438         8200 SH       D       12         8200            0            0
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ARCH CAPITAL GROUP COM USD0.01 Com  G0450A105         2113        38601 S        D       31        38601            0            0
ASPEN INSURANCE HOLDINGS LIMIT Com  G05384105         1564        66100 S        D       31        66100            0            0
AXIS CAPITAL HOLDINGS LIMITED  Com  G0692U109         3981       127300 S        D       31       127300            0            0
ACCENTURE LTD BERM             COM  G1150G111          433        15000 SH       D       12        15000            0            0
ACCENTURE LTD BERMUDA CL A     CL   G1150G111          985        34351 S        D       9         34351            0            0
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COOPER INDS LTD CL A           CL   G24182100          428         5935 S        D       9          5935            0            0
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GARMIN LTD ORD                 ORD  G37260109          885        13750 S        D       9         13750            0            0
GLOBALSANTAFE CORP SHS         SHS  G3930E101           30          635 S        D       9           635            0            0
INGERSOLL-RAND CO USD 1        Com  G4776G101        22320       552900 S        D       31       552900            0            0
INGERSOLL-RAND COMPANY LTD CL  CL   G4776G101          875        21643 S        D       9         21643            0            0
IPC HOLDINGS LTD USD 0.01      Com  G4933P101         1386        50637 S        D       31        50637            0            0
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PARTNERRE USD 1                Com  G6852T105         5627        85700 S        D       31        85700            0            0
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SCOTTISH ANNUITY & LIFE HLDG U Com  G7885T104          216         8800 S        D       31         8800            0            0
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TOMMY HILFIGER USA INC USD 0.0 Com  G8915Z102           50         3100 S        D       31         3100            0            0
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WHITE MOUNTAINS INSURANCE GROU Com  G9618E107         2401         4300 S        D       31         4300            0            0
WILLIS GROUP HOLDINGS LIMITED  Com  G96655108          121         3300 S        D       31         3300            0            0
XL CAP LTD CL A                CL   G98255105          758        11325 S        D       9         11325            0            0
ALCON INC COM CHF0.20          Com  H01301102         1062         8200 S        D       31         8200            0            0
ALCON INC COM SHS              COM  H01301102          790         6105 S        D       9          6105            0            0
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SYNERON MEDICAL LIMITED COM IL Com  M87245102         1014        31960 S        D       31        31960            0            0
ASML HOLDINGS NV EUR0.02(NY RE Com  N07059111         6151       306335 S        D       31       306335            0            0
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