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

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 03/31/2013 Check Here if Amendment / /; Amendment Number:

This Amendment (Check only one.): / / is a restatement.
/ / adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:         Commerzbank Aktiengesellschaft
                 ------------------------------------------------
Address:      Kaiserplatz
              ------------------------------------------------
              60261 Frankfurt am Main
              ------------------------------------------------
              Germany
              ------------------------------------------------

Form 13F File Number: 28-6198

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:    Daniel Bruk
         -------------------------------
Title:   Attorney-in-Fact
         -------------------------------
Phone:   212-266-7503
         -------------------------------

Signature, Place, and Date of Signing:

        /s/ Daniel Bruk                  New York, NY              05/15/2013
------------------------------- ----------------------------- ------------------
          [Signature]                   [City, State]                [Date]

Report Type (Check only one.):

/X/ 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager are reported in this report.)

/ / 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).)

/ / 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manager are reported in this report and a portion are reported by other reporting manager(s).)


FORM 13F SUMMARY PAGE

Report Sum:

Number of Other Included Managers:                  0
                                        ---------------

Form 13F Information Table Entry Total:         1,304
                                        ---------------

Form 13F Information Table Value Total:    21,281,379
                                        ---------------
                                          (thousands)


FORM 13F INFORMATION TABLE

       COLUMN 1             COLUMN 2     COLUMN 3    COLUMN 4          COLUMN 5       COLUMN 6  COLUMN 7          COLUMN 8
--------------------- ------------------ --------- ------------- ------------------- ---------- -------- --------------------------
                                                       VALUE      SHRS OR   SH/ PUT/ INVESTMENT  OTHER        VOTING AUTHORITY
    NAME OF ISSUER      TITLE OF CLASS     CUSIP      (x$1000)    PRN AMT   PRN CALL DISCRETION MANAGERS   SOLE     SHARED   NONE
--------------------- ------------------ --------- ------------- ---------- --- ---- ---------- -------- ---------- ------ --------
3-D SYS CORP DEL          COM NEW        88554D205      1,277.40     39,622  SH                                   X              0
3M CO                     COM            88579Y101     40,702.70    382,868  SH                             377,552          5,316
7 DAYS GROUP HLDGS
 LTD                      ADR            81783J101        194.79     14,504  SH                                   X              0
ABB LTD                   SPONSORED ADR  000375204        208.53      9,162  SH                                   X              0
ABBOTT LABS               COM            002824100     25,271.57    715,503  SH                             710,728          4,775
ABBVIE INC                COM            00287Y109     28,201.82    691,560  SH                             686,785          4,775
ABERCROMBIE & FITCH
 CO                       CL A           002896207      1,491.29     32,279  SH                                   X              0
ABERCROMBIE & FITCH
 CO                       PUT            002896957        452.76      9,800  SH PUT                               X              0
ACCENTURE PLC IRELAND     SHS CLASS A    G1151C101     19,456.37    256,106  SH                             251,076          5,030
ACE LTD                   SHS            H0023R105     12,254.28    137,735  SH                                   X              0
ACHILLION
 PHARMACEUTICALS IN       COM            00448Q201        336.17     38,419  SH                                   X              0
ACME PACKET INC           COM            004764106        376.37     12,874  SH                                   X              0
ACTAVIS INC               COM            00507K103      4,626.96     50,233  SH                                   X              0
ACTIVISION BLIZZARD
 INC                      COM            00507V109      3,448.02    236,652  SH                             235,602          1,050
ADOBE SYS INC             COM            00724F101      9,449.80    217,162  SH                                   X              0
ADT CORPORATION           COM            00101J106      4,374.89     89,393  SH                                   X              0
ADVANCE AUTO PARTS
 INC                      COM            00751Y106        405.15      4,902  SH                                   X              0
ADVANCED MICRO
 DEVICES INC,
 SUNNYVALE, CA            COM            007903107      2,916.76  1,143,829  SH                                   X              0
ADVANCED MICRO
 DEVICES INC,
 SUNNYVALE, CA            PUT            007903957         31.88     12,500  SH PUT                               X              0
AEP INDS INC              COM            001031103      4,380.48     61,001  SH                                   X              0
AEROPOSTALE               COM            007865108        169.58     12,469  SH                                   X              0
AES CORP, ARLINGTON,
 VA                       COM            00130H105      3,038.22    241,704  SH                                   X              0
AETNA INC NEW             COM            00817Y108      5,713.93    111,753  SH                                   X              0
AFFILIATED MANAGERS
 GROUP                    COM            008252108        423.24      2,756  SH                                   X              0
AFFYMAX INC               COM            00826A109         27.45     19,961  SH                                   X              0
AFFYMETRIX INC            COM            00826T108        136.12     28,839  SH                                   X              0
AFLAC INC                 COM            001055102     18,327.27    352,312  SH                                   X              0
AG MTG INVT TR INC        COM            001228105        359.69     14,122  SH                                   X              0
AGCO CORP                 COM            001084102     26,682.78    511,949  SH                                   X              0
AGILENT TECHNOLOGIES
 INC                      COM            00846U101      5,911.35    140,847  SH                                   X              0
AGL RES INC               COM            001204106      1,849.37     44,085  SH                                   X              0
AGNICO-EAGLE MINES
 LTD, TORONTO ON          COM            008474108      6,819.95    166,178  SH                                   X              0
AGRIUM INC                COM            008916108      2,215.49     22,723  SH                                   X              0
AIR PRODS & CHEMS INC     COM            009158106      8,278.93     95,029  SH                                   X              0
AIRGAS INC                COM            009363102      3,137.82     31,644  SH                                   X              0
AK STL HLDG CORP          COM            001547108      2,516.78    760,358  SH                                   X              0
AKAMAI TECHNOLOGIES
 INC                      COM            00971T101      3,078.74     87,167  SH                                   X              0
ALASKA AIR GROUP INC      COM            011659109      3,221.86     50,373  SH                                   X              0
ALBEMARLE CORP            COM            012653101        296.84      4,748  SH                                   X              0
ALCATEL-LUCENT            SPONSORED ADR  013904305        222.98    167,655  SH                                   X              0
ALCOA INC                 COM            013817101     16,420.58  1,927,298  SH                                   X              0
ALCOA INC                 CALL           013817901        132.06     15,500  SH CALL                              X              0
ALCOA INC                 PUT            013817951        346.76     40,700  SH PUT                               X              0
ALEXION
 PHARMACEUTICALS INC      COM            015351109      7,770.07     84,329  SH                                   X              0
ALLEGHANY CORP DEL        COM            017175100        266.06        672  SH                                   X              0
ALLEGHENY
 TECHNOLOGIES INC         COM            01741R102      1,732.16     54,625  SH                                   X              0
ALLERGAN INC              COM            018490102     13,296.47    119,112  SH                                   X              0
ALLIANCE DATA SYSTEMS
 CORP                     COM            018581108        645.94      3,990  SH                                   X              0
ALLIANT ENERGY CORP       COM            018802108        304.64      6,071  SH                                   X              0
ALLIED NEVADA GOLD
 CORP                     COM            019344100      3,146.02    191,131  SH                                   X              0
ALLIED WRLD ASSUR COM
 HLDG A                   SHS            H01531104      1,323.49     14,274  SH                                   X              0
ALLSCRIPTS HEALTHCARE
 SOLUTN                   COM            01988P108     46,443.89  3,417,505  SH                                   X              0
ALLSTATE CORP             COM            020002101      9,171.92    186,915  SH                                   X              0
ALON USA ENERGY INC       COM            020520102      4,898.48    257,138  SH                                   X              0
ALON USA PARTNERS LP      UT LTDPART INT 02052T109      3,993.00    150,000  SH                                   X              0
ALPHA NATURAL
 RESOURCES INC            COM            02076X102      2,496.64    304,097  SH                                   X              0
ALTERA CORP               COM            021441100      6,358.19    179,306  SH                                   X              0
ALTRIA GROUP INC,
 RICHMOND, VA             COM            02209S103     47,386.32  1,377,910  SH                                   X              0
ALTRIA GROUP INC,
 RICHMOND, VA             CALL           02209S903     44,418.12  1,291,600  SH CALL                              X              0
ALTRIA GROUP INC,
 RICHMOND, VA             PUT            02209S953     14,828.97    431,200  SH PUT                               X              0
ALUMINA LTD               SPONSORED ADR  022205108         52.09     11,300  SH                                   X              0
AMARIN CORP PLC           SPONS ADR NEW  023111206      1,087.62    146,777  SH                                   X              0
AMAZON COM INC            COM            023135106     62,162.79    233,265  SH                                   X              0
AMAZON COM INC            CALL           023135906      1,465.70      5,500  SH CALL                              X              0
AMAZON COM INC            PUT            023135956      1,492.34      5,600  SH PUT                               X              0
AMDOCS LTD                ORD            G02602103      1,679.61     46,334  SH                                   X              0
AMEREN CORP               COM            023608102      3,283.05     93,748  SH                                   X              0
AMERICA MOVIL SAB DE
 CV                       SPON ADR L SHS 02364W105      1,264.77     60,342  SH                                   X              0
AMERICAN AXLE & MFG
 HLDGS IN                 COM            024061103        215.19     15,765  SH                                   X              0
AMERICAN CAP LTD          COM            02503Y103        702.72     48,148  SH                                   X              0
AMERICAN CAP MTG INVT
 CORP                     COM            02504A104        832.64     32,223  SH                                   X              0
AMERICAN CAPITAL
 AGENCY CORP              COM            02503X105      2,340.49     71,400  SH                                   X              0
AMERICAN ELEC PWR INC     COM            025537101     12,183.66    250,538  SH                                   X              0
AMERICAN EXPRESS CO       COM            025816109     52,978.50    785,332  SH                             766,164         19,168
AMERICAN INTL GROUP
 INC                      COM NEW        026874784     24,687.81    635,956  SH                                   X              0
AMERICAN INTL GROUP
 INC                      CALL           026874904      9,138.23    235,400  SH CALL                              X              0
AMERICAN INTL GROUP
 INC                      PUT            026874954        714.29     18,400  SH PUT                               X              0
AMERICAN RAILCAR INDS
 INC                      COM            02916P103        336.48      7,199  SH                                   X              0
AMERICAN TOWER CORP
 NEW                      COM            03027X100     12,109.44    157,429  SH                                   X              0
AMERICAN WTR WKS CO
 INC NEW                  COM            030420103        374.87      9,046  SH                                   X              0
AMERIPRISE FINL INC       COM            03076C106      8,505.18    115,481  SH                                   X              0
AMERISOURCEBERGEN
 CORP                     COM            03073E105      7,050.35    137,033  SH                                   X              0
AMERISTAR CASINOS INC     COM            03070Q101      3,998.03    152,422  SH                                   X              0
AMETEK INC NEW            COM            031100100        596.72     13,762  SH                                   X              0
AMGEN INC                 COM            031162100     37,143.99    362,345  SH                             359,335          3,010
AMGEN INC                 PUT            031162950        215.27      2,100  SH PUT                               X              0
AMPHENOL CORP NEW         CL A           032095101      4,521.77     60,573  SH                                   X              0
ANADARKO PETE CORP        COM            032511107    100,443.32  1,148,580  SH                                   X              0
ANALOG DEVICES INC        COM            032654105      8,541.19    183,721  SH                                   X              0
ANGIES LIST INC           COM            034754101      1,042.02     52,734  SH                                   X              0
ANGLOGOLD ASHANTI LTD     SPONSORED ADR  035128206      3,940.79    167,337  SH                                   X              0
ANN INC                   COM            035623107        795.87     27,425  SH                                   X              0
ANNALY CAP MGMT INC       COM            035710409      1,131.00     71,177  SH                                   X              0
ANSYS INC                 COM            03662Q105        372.33      4,573  SH                                   X              0
AON PLC, LONDON           SHS CL A       G0408V102      7,404.29    120,395  SH                                   X              0
APACHE CORP               COM            037411105     14,082.16    182,506  SH                             182,206            300
APACHE CORP               PUT            037411955        200.62      2,600  SH PUT                               X              0
APARTMENT INVT & MGMT
 CO                       CL A           03748R101      1,616.92     52,737  SH                                   X              0
APOLLO COML REAL EST
 FIN INC                  COM            03762U105      4,365.20    248,164  SH                                   X              0
APOLLO GROUP INC          CL A           037604105      1,413.62     81,336  SH                                   X              0
APOLLO INVT CORP          COM            03761U106        598.34     71,572  SH                                   X              0
APPLE INC, CUPERTINO,
 CA                       COM            037833100  1,782,609.97  4,027,041  SH                           4,020,617          6,424
APPLE INC, CUPERTINO,
 CA                       CALL           037833900    214,867.16    485,400  SH CALL                              X              0
APPLE INC, CUPERTINO,
 CA                       PUT            037833950     21,734.61     49,100  SH PUT                               X              0
APPLIED MATLS INC         COM            038222105      7,198.29    533,998  SH                                   X              0
ARBITRON INC,
 COLUMBIA, MARYLAND       COM            03875Q108      9,486.77    202,406  SH                                   X              0
ARCELORMITTAL SA
 LUXEMBOURG               NY REGISTRY SH 03938L104      4,804.30    368,711  SH                                   X              0
ARCH CAP GROUP LTD        ORD            G0450A105        471.29      8,965  SH                                   X              0
ARCH COAL INC             COM            039380100        321.09     59,132  SH                                   X              0
ARCHER DANIELS
 MIDLAND CO               COM            039483102      8,558.31    253,730  SH                                   X              0
ARENA PHARMACEUTICALS
 INC                      COM            040047102      1,150.97    140,191  SH                                   X              0
ARES CAP CORP             COM            04010L103        439.32     24,272  SH                                   X              0
ARMOUR RESIDENTIAL
 REIT INC                 COM            042315101        484.64     74,218  SH                                   X              0
ARROW ELECTRS INC         COM            042735100      1,315.15     32,377  SH                                   X              0
ASM INTL N V              NY REGISTER SH N07045102     16,650.00    500,000  SH                                   X              0
ASML HOLDING N V          N Y REGISTRY
                           SHS           N07059210     20,403.80    300,100  SH                                   X              0
ASSURANT INC              COM            04621X108      1,752.42     38,934  SH                                   X              0
ASTRAZENECA PLC           SPONSORED ADR  046353108      1,090.96     21,828  SH                                   X              0
AT&T INC, DALLAS, TX      COM            00206R102     97,745.98  2,664,104  SH                           2,658,994          5,110
AT&T INC, DALLAS, TX      CALL           00206R902     17,269.98    470,700  SH CALL                              X              0
AT&T INC, DALLAS, TX      PUT            00206R952     17,688.25    482,100  SH PUT                               X              0
ATHENAHEALTH INC          COM            04685W103      3,802.71     39,187  SH                                   X              0
ATLAS AIR WORLDWIDE
 HLDGS IN                 COM NEW        049164205        206.12      5,057  SH                                   X              0
ATLAS ENERGY LP           COM UNITS LP   04930A104     97,205.09  2,207,200  SH                                   X              0
ATLAS PIPELINE
 PARTNERS LP              UNIT L P INT   049392103      9,948.67    287,700  SH                                   X              0
ATMEL CORP                COM            049513104        344.06     49,441  SH                                   X              0
AUGUSTA RES CORP          COM NEW        050912203         37.49     14,646  SH                                   X              0
AURICO GOLD INC           PUT            05155C955        132.09     21,000  SH PUT                               X              0
AURIZON MINES LTD         COM            05155P106        108.49     24,600  SH                                   X              0
AUTODESK INC              COM            052769106      4,096.79     99,316  SH                                   X              0
AUTOLIV INC               COM            052800109        356.00      5,149  SH                                   X              0
AUTOMATIC DATA
 PROCESSING IN            COM            053015103     13,990.42    215,138  SH                                   X              0
AUTONATION INC            COM            05329W102        637.13     14,563  SH                                   X              0
AUTOZONE INC              COM            053332102      8,542.85     21,531  SH                                   X              0
AVAGO TECHNOLOGIES
 LTD                      SHS            Y0486S104      1,046.52     29,151  SH                                   X              0
AVALON RARE METALS
 INC                      COM            053470100        435.19    399,254  SH                                   X              0
AVALONBAY CMNTYS INC      COM            053484101      5,645.68     44,570  SH                                   X              0
AVERY DENNISON CORP,
 CA                       COM            053611109      1,654.58     38,416  SH                                   X              0
AVNET INC                 COM            053807103        256.80      7,094  SH                                   X              0
AVON PRODS INC            COM            054303102      4,108.62    198,197  SH                                   X              0
AXIALL CORP               COM            05463D100     12,487.82    200,898  SH                                   X              0
AXIS CAPITAL HOLDINGS
 INV                      SHS            G0692U109      2,186.67     52,539  SH                                   X              0
B/E AEROSPACE INC         COM            073302101      5,948.91     98,688  SH                                   X              0
BAIDU INC                 SPON ADR REP A 056752108      9,958.25    113,549  SH                                   X              0
BAIDU INC                 PUT            056752958        877.00     10,000  SH PUT                               X              0
BAKER HUGHES INC          COM            057224107     33,309.25    717,717  SH                                   X              0
BAKER HUGHES INC          CALL           057224907      2,357.63     50,800  SH CALL                              X              0
BALL CORP                 COM            058498106      3,278.21     68,899  SH                                   X              0
BANCO BILBAO VIZCAYA
 ARGENTARIA SA, BILBAO    SPONSORED ADR  05946K101      1,850.48    211,001  SH                                   X              0
BANCO BRADESCO S A        SP ADR PFD NEW 059460303      3,993.85    234,656  SH                                   X              0
BANCO BRADESCO S A        CALL           059460903      8,583.97    504,346  SH CALL                              X              0
BANCO BRADESCO S A        PUT            059460953      1,872.20    110,000  SH PUT                               X              0
BANCO MACRO SA            SPON ADR B     05961W105        672.07     45,657  SH                                   X              0
BANCO SANTANDER SA,
 SANTANDER                ADR            05964H105     12,779.36  1,876,558  SH                                   X              0
BANCORPSOUTH INC          COM            059692103        259.19     15,901  SH                                   X              0
BANK OF AMERICA CORP,
 CHARLOTTE (NC)           COM            060505104     57,753.46  4,741,663  SH                           4,721,663         20,000
BANK OF AMERICA CORP,
 CHARLOTTE (NC)           CALL           060505904     12,849.90  1,055,000  SH CALL                              X              0
BANK OF AMERICA CORP,
 CHARLOTTE (NC)           PUT            060505954      1,327.62    109,000  SH PUT                               X              0
BANK OF IRELAND (THE
 GOVERNOR AND COMPANY
 OF THE BANK OF
 IRELAND), DUBLIN         SPNSRD ADR NEW 46267Q202        210.06     24,800  SH                                   X              0
BANK OF MONTREAL,
 MONTREAL QC              COM            063671101      6,170.49     98,022  SH                                   X              0
BANK OF MONTREAL,
 MONTREAL QC              CALL           063671901      7,868.75    125,000  SH CALL                              X              0
BANK OF NEW YORK
 MELLON CORP, NEW
 YORK, NY                 COM            064058100     12,814.89    457,838  SH                                   X              0
BANK OF NOVA SCOTIA,
 HALIFAX NS               COM            064149107        723.13     12,410  SH                              12,110            300
BANRO CORP                COM            066800103         19.76     11,490  SH                                   X              0
BARCLAYS BANK PLC,
 LONDON                   IPATH S&P500
                           VIX           06740C188      3,858.66    190,551  SH                                   X              0
BARCLAYS BANK PLC,
 LONDON                   PUT            06740C958        210.60     10,400  SH PUT                               X              0
BARCLAYS PLC              ADR            06738E204      2,547.16    143,421  SH                                   X              0
BARD C R INC              COM            067383109      2,939.95     29,172  SH                                   X              0
BARRICK GOLD
 CORPORATION, TORONTO
 ON                       COM            067901108     23,971.11    815,344  SH                             812,144          3,200
BARRICK GOLD
 CORPORATION, TORONTO
 ON                       CALL           067901908        308.70     10,500  SH CALL                              X              0
BARRICK GOLD
 CORPORATION, TORONTO
 ON                       PUT            067901958      5,791.80    197,000  SH PUT                               X              0
BAXTER INTL INC           COM            071813109     15,354.82    211,383  SH                                   X              0
BB&T CORP                 COM            054937107      8,519.21    271,399  SH                                   X              0
BCE INC                   COM NEW        05534B760      9,054.50    193,928  SH                             193,196            732
BCE INC                   CALL           05534B900      7,003.50    150,000  SH CALL                              X              0
BCE INC                   PUT            05534B950      7,937.30    170,000  SH PUT                               X              0
BEACON ROOFING SUPPLY
 INC                      COM            073685109     11,048.56    285,788  SH                                   X              0
BEAM INC                  COM            073730103      3,861.71     60,776  SH                                   X              0
BECTON DICKINSON & CO     COM            075887109      7,448.21     77,902  SH                              77,325            577
BED BATH & BEYOND INC     COM            075896100      6,650.33    103,234  SH                                   X              0
BEMIS INC                 COM            081437105      1,980.14     49,062  SH                                   X              0
BERKLEY W R CORP          COM            084423102        269.41      6,072  SH                                   X              0
BERKSHIRE HATHAWAY
 INC DEL                  CL A           084670108      5,938.64         38  SH                                   X              0
BERKSHIRE HATHAWAY
 INC DEL                  CL B NEW       084670702    230,638.16  2,213,418  SH                                   X              0
BERKSHIRE HATHAWAY
 INC DEL                  CALL           084670902     28,655.00    275,000  SH CALL                              X              0
BERKSHIRE HATHAWAY
 INC DEL                  PUT            084670952     28,655.00    275,000  SH PUT                               X              0
BEST BUY INC              COM            086516101      2,425.31    109,495  SH                                   X              0
BGC PARTNERS INC          CL A           05541T101        127.08     30,548  SH                                   X              0
BHP BILLITON LTD          SPONSORED ADR  088606108      1,505.80     22,005  SH                                   X              0
BHP BILLITON LTD          CALL           088606908        355.84      5,200  SH CALL                              X              0
BHP BILLITON LTD          PUT            088606958        253.19      3,700  SH  PUT                              X              0
BIOCRYST
 PHARMACEUTICALS          COM            09058V103         40.82     34,299  SH                                   X              0
BIOGEN IDEC INC           COM            09062X103     20,735.14    107,649  SH                                   X              0
BIOGEN IDEC INC           PUT            09062X953     10,593.99     55,000  SH  PUT                              X              0
BIOMARIN
 PHARMACEUTICAL INC       COM            09061G101        364.66      5,857  SH                                   X              0
BLACKROCK CR ALLCTN
 INC TR                   COM            092508100      4,489.09    320,649  SH                                   X              0
BLACKROCK INC             COM            09247X101     12,588.66     49,006  SH                                   X              0
BLACKSTONE GROUP L P      COM UNIT LTD   09253U108     93,909.31  4,747,690  SH                                   X              0
BLOCK H & R INC           COM            093671105      4,363.34    148,312  SH                                   X              0
BMC SOFTWARE INC          COM            055921100      2,788.05     60,178  SH                                   X              0
BOEING CO, CHICAGO,
 IL                       COM            097023105     42,895.90    499,661  SH                             499,371            290
BOEING CO, CHICAGO,
 IL                       CALL           097023905        480.76      5,600  SH CALL                              X              0
BORGWARNER INC            COM            099724106      3,439.85     44,477  SH                                   X              0
BOSTON PROPERTIES INC     COM            101121101      6,439.95     63,724  SH                                   X              0
BOSTON SCIENTIFIC
 CORP                     COM            101137107      4,674.94    598,584  SH                                   X              0
BP PLC                    SPONSORED ADR  055622104      5,658.85    133,621  SH                                   X              0
BP PLC                    PUT            055622954        338.80      8,000  SH  PUT                              X              0
BRF - BRASIL FOODS
 SA, ITAJAI, SC           SPONSORED ADR  10552T107      1,414.75     63,987  SH                                   X              0
BRISTOL MYERS SQUIBB
 CO                       COM            110122108    109,644.86  2,661,929  SH                           2,652,429          9,500
BRISTOL MYERS SQUIBB
 CO                       CALL           110122908     12,447.62    302,200  SH CALL                              X              0
BRISTOL MYERS SQUIBB
 CO                       PUT            110122958      4,296.12    104,300  SH  PUT                              X              0
BROADCOM CORPORATION,
 IRVINE CA                CL A           111320107     10,360.07    298,742  SH                                   X              0
BROCADE
 COMMUNICATIONS SYS I     COM NEW        111621306         76.08     13,185  SH                                   X              0
BROOKFIELD ASSET MGMT
 INC                      CL A LTD VT SH 112585104        404.05     11,438  SH                                   X              0
BROWN & BROWN INC         COM            115236101     12,015.58    375,018  SH                                   X              0
BROWN FORMAN CORP         CL B           115637209      4,313.77     60,417  SH                                   X              0
BUNGE LIMITED             COM            G16962105      2,229.59     30,199  SH                                   X              0
BURGER KING WORLDWIDE
 INC                      COM            121220107        328.25     17,186  SH                                   X              0
C H ROBINSON
 WORLDWIDE INC            COM NEW        12541W209      4,187.47     70,425  SH                                   X              0
C&J ENERGY SVCS INC       COM            12467B304        359.78     15,711  SH                                   X              0
CA INC                    COM            12673P105      4,654.95    184,867  SH                                   X              0
CABLEVISION SYS CORP      CL A NY CABLVS 12686C109      1,255.85     83,947  SH                                   X              0
CABOT OIL & GAS CORP      COM            127097103     25,140.98    371,853  SH                                   X              0
CADIZ INC                 COM NEW        127537207      1,246.23    184,353  SH                                   X              0
CALPINE CORP              COM NEW        131347304        306.80     14,893  SH                                   X              0
CALUMET SPECIALTY
 PRODS PTNR               UT LTD PARTNER 131476103      1,862.50     50,000  SH                                   X              0
CAMDEN PPTY TR            SH BEN INT     133131102        248.07      3,612  SH                                   X              0
CAMECO CORP               COM            13321L108        358.97     17,275  SH                                   X              0
CAMERON INTERNATIONAL
 CORP                     COM            13342B105     12,915.86    198,096  SH                                   X              0
CAMPBELL SOUP CO          COM            134429109      3,583.39     78,999  SH                                   X              0
CANADIAN IMPERIAL
 BANK OF COMMERCE
 CIBC, TORONTO ON         COM            136069101      5,595.43     71,343  SH                              71,093            250
CANADIAN NATL RY CO       COM            136375102        465.79      4,644  SH                                   X              0
CANADIAN NATURAL
 RESOURCES LTD,
 CALGARY AB               COM            136385101      1,039.73     32,360  SH                                   X              0
CANADIAN PAC RY LTD       COM            13645T100        270.86      2,076  SH                                   X              0
CAPITAL ONE FINL CORP     COM            14040H105     52,337.79    952,462  SH                                   X              0
CARBO CERAMICS INC        COM            140781105        379.58      4,168  SH                                   X              0
CARDINAL HEALTH INC       COM            14149Y108      5,545.57    133,243  SH                                   X              0
CAREFUSION CORP           COM            14170T101      2,950.71     84,330  SH                                   X              0
CARMAX INC                COM            143130102      3,613.85     86,663  SH                                   X              0
CARNIVAL CORP             PAIRED CTF     143658300      5,902.69    172,090  SH                                   X              0
CARTER INC                COM            146229109      2,773.13     48,422  SH                                   X              0
CATAMARAN CORP            COM            148887102        779.43     14,698  SH                                   X              0
CATERPILLAR INC DEL       COM            149123101     82,377.11    947,190  SH                             946,690            500
CATERPILLAR INC DEL       PUT            149123951        304.40      3,500  SH PUT                               X              0
CBOE HLDGS INC            COM            12503M108        247.35      6,696  SH                                   X              0
CBRE GROUP INC            CL A           12504L109      2,990.38    118,431  SH                                   X              0
CBS CORP NEW              CL B           124857202     10,671.51    228,561  SH                                   X              0
CELADON GROUP INC         COM            150838100        251.45     12,054  SH                                   X              0
CELANESE CORP DEL         COM SER A      150870103        385.26      8,746  SH                                   X              0
CELGENE CORP              COM            151020104     27,762.42    239,517  SH                                   X              0
CELGENE CORP              CALL           151020904      4,056.85     35,000  SH CALL                              X              0
CELSION CORPORATION       COM NEW        15117N305         10.50     10,000  SH                                   X              0
CEMEX SAB DE CV           SPON ADR NEW   151290889      3,257.34    277,447  SH                                   X              0
CEMEX SAB DE CV           PUT            151290959        587.02     50,000  SH PUT                               X              0
CENOVUS ENERGY INC        COM            15135U109        235.59      7,602  SH                                   X              0
CENTENE CORP DEL          COM            15135B101      4,191.24     95,169  SH                                   X              0
CENTERPOINT ENERGY
 INC                      COM            15189T107      4,041.67    168,684  SH                                   X              0
CENTURY ALUM CO           COM            156431108        275.56     35,625  SH                                   X              0
CENTURYLINK INC           COM            156700106     18,716.46    532,777  SH                                   X              0
CERNER CORP               COM            156782104      6,340.76     66,928  SH                                   X              0
CF INDS HLDGS INC         COM            125269100      5,925.65     31,127  SH                                   X              0
CH ENERGY GROUP INC       COM            12541M102      6,122.20     93,626  SH                                   X              0
CHANGYOU COM LTD          ADS REP CL A   15911M107        397.90     13,773  SH                                   X              0
CHARTER
 COMMUNICATIONS INC D     CL A NEW       16117M305        495.48      4,756  SH                                   X              0
CHECK POINT SOFTWARE
 TECH LT                  ORD            M22465104        633.05     13,472  SH                                   X              0
CHESAPEAKE ENERGY
 CORP                     COM            165167107     45,138.18  2,211,572  SH                                   X              0
CHEVRON CORP NEW          COM            166764100    133,388.76  1,122,612  SH                           1,121,732            880
CHEVRON CORP NEW          CALL           166764900      2,376.40     20,000  SH CALL                              X              0
CHICAGO BRIDGE & IRON
 CO N V                   N Y REGISTRY
                           SH            167250109      4,921.18     79,246  SH                                   X              0
CHICOS FAS INC            COM            168615102      3,849.94    229,163  SH                                   X              0
CHIMERA INVT CORP         COM            16934Q109     24,008.91  7,526,305  SH                                   X              0
CHINA GERUI ADV MAT
 GR LTD                   SHS            G21101103         48.34     24,917  SH                                   X              0
CHIPOTLE MEXICAN
 GRILL INC                COM            169656105      4,566.09     14,012  SH                                   X              0
CHIPOTLE MEXICAN
 GRILL INC                CALL           169656905      1,629.35      5,000  SH CALL                              X              0
CHUBB CORP                COM            171232101      8,904.16    101,727  SH                                   X              0
CHURCH & DWIGHT INC       COM            171340102        484.92      7,503  SH                                   X              0
CIENA CORP                COM NEW        171779309        202.32     12,637  SH                                   X              0
CIGNA CORPORATION         COM            125509109      6,871.55    110,174  SH                                   X              0
CIMAREX ENERGY CO         COM            171798101        338.42      4,486  SH                                   X              0
CINCINNATI FINL CORP      COM            172062101      2,663.92     56,415  SH                                   X              0
CINTAS CORP               COM            172908105      1,787.35     40,502  SH                                   X              0
CIRRUS LOGIC INC          COM            172755100      1,554.85     68,345  SH                                   X              0
CISCO SYS INC             COM            17275R102     51,522.77  2,465,794  SH                           2,424,194         41,600
CISCO SYS INC             CALL           17275R902      2,632.77    126,000  SH CALL                              X              0
CISCO SYS INC             PUT            17275R952        679.09     32,500  SH PUT                               X              0
CIT GROUP INC             COM NEW        125581801        430.76      9,907  SH                                   X              0
CITIGROUP INC, NEW
 YORK NY                  COM NEW        172967424    171,101.87  3,867,583  SH                           3,811,493         56,090
CITIGROUP INC, NEW
 YORK NY                  CALL           172967904      1,371.44     31,000  SH CALL                              X              0
CITIGROUP INC, NEW
 YORK NY                  PUT            172967954      4,525.75    102,300  SH PUT                               X              0
CITRIX SYS INC            COM            177376100      5,873.37     81,405  SH                                   X              0
CITRIX SYS INC            PUT            177376950      1,803.75     25,000  SH PUT                               X              0
CLEARWIRE CORP NEW        CL A           18538Q105         82.85     25,571  SH                                   X              0
CLIFFS NAT RES INC        COM            18683K101      3,187.58    167,679  SH                                   X              0
CLOROX CO DEL             COM            189054109      4,627.82     52,274  SH                                   X              0
CME GROUP INC             COM            12572Q105     11,204.44    182,453  SH                                   X              0
CMS ENERGY CORP           COM            125896100      4,783.52    171,207  SH                                   X              0
CNH GLOBAL N V            SHS NEW        N20935206        241.47      5,844  SH                                   X              0
COACH INC                 COM            189754104      5,790.79    115,839  SH                                   X              0
COBALT INTL ENERGY
 INC                      COM            19075F106      1,941.88     68,861  SH                                   X              0
COCA COLA CO              COM            191216100    164,319.57  4,063,293  SH                           3,891,931        171,362
COCA COLA CO              CALL           191216900     22,419.94    554,400  SH CALL                              X              0
COCA COLA CO              PUT            191216950     22,464.42    555,500  SH PUT                               X              0
COCA COLA FEMSA S A B
 DE C V                   SPON ADR REP L 191241108        702.90      4,292  SH                                   X              0
COCA-COLA ENTERPRISES
 INC                      COM            19122T109      3,723.16    100,844  SH                                   X              0
COEUR D'ALENE MINES
 CORP, COEUR D ALENE,
 ID                       COM NEW        192108504      4,332.18    229,702  SH                                   X              0
COGNIZANT TECHNOLOGY
 SOLUTIO                  CL A           192446102     10,598.45    138,323  SH                                   X              0
COLGATE-PALMOLIVE CO,
 NEW YORK, NY             COM            194162103     30,673.05    259,875  SH                             257,958          1,917
COLGATE-PALMOLIVE CO,
 NEW YORK, NY             CALL           194162903     30,687.80    260,000  SH CALL                              X              0
COLGATE-PALMOLIVE CO,
 NEW YORK, NY             PUT            194162953      4,721.20     40,000  SH PUT                               X              0
COMCAST CORP,
 PHILADELPHIA, PA         CL A           20030N101     51,052.89  1,216,124  SH                           1,210,510          5,614
COMCAST CORP,
 PHILADELPHIA, PA         CL A SPL       20030N200     32,574.51    822,381  SH                                   X              0
COMERICA INC              COM            200340107      2,595.16     72,188  SH                                   X              0
COMPANHIA DE BEBIDAS
 DAS AME                  SPON ADR PFD   20441W203      3,131.40     73,976  SH                                   X              0
COMPANHIA ENERGETICA
 DE MINA                  SP ADR N-V PFD 204409601        805.33     76,697  SH                                   X              0
COMPANHIA SIDERURGICA
 NACION                   SPONSORED ADR  20440W105     10,164.30  2,268,816  SH                                   X              0
COMPANIA DE MINAS
 BUENAVENTU               SPONSORED ADR  204448104      4,135.53    159,304  SH                                   X              0
COMPUTER SCIENCES
 CORP                     COM            205363104      3,502.62     71,148  SH                                   X              0
CONAGRA FOODS INC         COM            205887102     29,021.61    810,433  SH                                   X              0
CONCHO RES INC            COM            20605P101        512.68      5,262  SH                                   X              0
CONCUR TECHNOLOGIES
 INC                      PUT            206708959        274.64      4,000  SH PUT                               X              0
CONOCOPHILLIPS            COM            20825C104     36,552.10    608,188  SH                             564,100         44,088
CONOCOPHILLIPS            CALL           20825C904     11,941.87    198,700  SH CALL                              X              0
CONOCOPHILLIPS            PUT            20825C954      1,292.15     21,500  SH PUT                               X              0
CONSOL ENERGY INC         COM            20854P109      5,104.37    151,690  SH                                   X              0
CONSOLIDATED EDISON
 INC                      COM            209115104      7,116.59    116,608  SH                                   X              0
CONSOLIDATED EDISON
 INC                      CALL           209115904     15,739.64    257,900  SH CALL                              X              0
CONSOLIDATED EDISON
 INC                      PUT            209115954      5,669.69     92,900  SH PUT                               X              0
CONSTELLATION BRANDS
 INC                      CL A           21036P108      2,881.31     60,481  SH                                   X              0
CONTINENTAL RESOURCES
 INC, ENID, OK            COM            212015101        202.55      2,330  SH                                   X              0
CONTINENTAL RESOURCES
 INC, ENID, OK            PUT            212015951        260.79      3,000  SH PUT                               X              0
COPA HOLDINGS SA          CL A           P31076105      1,525.86     12,757  SH                                   X              0
COPANO ENERGY L L C       COM UNITS      217202100      4,052.00    100,000  SH                                   X              0
CORE LABORATORIES N V     COM            N22717107      1,395.61     10,119  SH                                   X              0
CORNING INC               COM            219350105     19,938.27  1,495,744  SH                                   X              0
COSAN LTD                 SHS A          G25343107     26,535.97  1,360,819  SH                                   X              0
COSTCO WHSL CORP NEW      COM            22160K105     43,311.34    408,174  SH                                   X              0
COUNTERPATH CORP          COM NEW        22228P203         52.45     25,000  SH                                   X              0
COVENTRY HEALTH CARE
 INC                      COM            222862104     13,937.25    296,348  SH                                   X              0
COVIDIEN PLC              SHS            G2554F113     12,335.28    181,829  SH                                   X              0
CREDICORP LTD             COM            G2519Y108        553.94      3,336  SH                                   X              0
CREE INC                  COM            225447101      3,271.93     59,805  SH                                   X              0
CRH PLC                   ADR            12626K203      5,522.50    250,000  SH                                   X              0
CROCS INC                 COM            227046109        293.24     19,787  SH                                   X              0
CROSSTEX ENERGY L P       COM            22765U102        920.00     50,000  SH                                   X              0
CROWN CASTLE INTL
 CORP                     COM            228227104      8,000.17    114,879  SH                                   X              0
CROWN HOLDINGS INC        COM            228368106     59,163.05  1,421,847  SH                                   X              0
CSX CORP                  COM            126408103     22,085.99    896,711  SH                                   X              0
CTC MEDIA INC             COM            12642X106      6,859.42    581,800  SH                                   X              0
CUMMINS INC               COM            231021106      7,948.39     68,633  SH                                   X              0
CVR REFNG LP              COMUNIT REP LT 12663P107     35,439.37  1,021,602  SH                                   X              0
CVS CAREMARK
 CORPORATION              COM            126650100     45,932.71    835,292  SH                                   X              0
CYMER INC                 COM            232572107     39,998.85    415,996  SH                                   X              0
CYPRESS SEMICONDUCTOR
 CORP                     COM            232806109        154.32     13,991  SH                                   X              0
CYS INVTS INC             COM            12673A108        366.23     31,195  SH                                   X              0
D R HORTON INC            COM            23331A109      2,601.22    107,046  SH                                   X              0
DANAHER CORP DEL          COM            235851102     13,961.81    224,647  SH                                   X              0
DARDEN RESTAURANTS
 INC                      COM            237194105      2,572.89     49,785  SH                                   X              0
DAVITA HEALTHCARE
 PARTNERS I               COM            23918K108      4,058.39     34,222  SH                                   X              0
DEAN FOODS CO NEW         COM            242370104      1,798.79     99,216  SH                                   X              0
DECKERS OUTDOOR CORP      COM            243537107        206.16      3,702  SH                                   X              0
DEERE & CO                COM            244199105     68,014.74    791,053  SH                             693,944         97,109
DEERE & CO                PUT            244199955        515.88      6,000  SH PUT                               X              0
DELEK US HLDGS INC        COM            246647101        630.37     15,975  SH                                   X              0
DELL INC                  COM            24702R101     82,609.73  5,764,810  SH                                   X              0
DELL INC                  CALL           24702R901      1,090.51     76,100  SH CALL                              X              0
DELL INC                  PUT            24702R951      1,089.08     76,000  SH PUT                               X              0
DELPHI AUTOMOTIVE PLC     SHS            G27823106      4,953.57    111,567  SH                                   X              0
DELTA AIR LINES INC
 DEL                      COM NEW        247361702        452.94     27,434  SH                                   X              0
DENBURY RES INC           COM NEW        247916208      5,601.47    300,347  SH                                   X              0
DENISON MINES CORP        COM            248356107         53.90     39,059  SH                                   X              0
DENTSPLY INTL INC NEW     COM            249030107      2,682.46     63,206  SH                                   X              0
DEUTSCHE BANK AG,
 FRANKFURT AM MAIN        NAMEN AKT      D18190898    781,845.08 19,985,815  SH                          19,834,353        151,462
DEUTSCHE BANK AG,
 FRANKFURT AM MAIN        CALL           D18190908    102,294.89  2,614,900  SH CALL                              X              0
DEUTSCHE BANK AG,
 FRANKFURT AM MAIN        PUT            D18190958    117,312.43  2,998,784  SH PUT                               X              0
DEVON ENERGY CORP NEW     COM            25179M103     11,005.91    195,071  SH                                   X              0
DIAMOND OFFSHORE
 DRILLING IN              COM            25271C102      4,227.44     60,774  SH                                   X              0
DICE HLDGS INC            PUT            253017957        506.50     50,000  SH PUT                               X              0
DICKS SPORTING GOODS
 INC                      COM            253393102        246.67      5,215  SH                                   X              0
DIGITAL REALTY TRUST
 INC                      COM            253868103        985.72     14,732  SH                                   X              0
DIRECTV                   COM            25490A309     16,198.66    286,246  SH                                   X              0
DIREXION SHS ETF TR       DLY SMCAP
                           BEAR3X        25459W110        184.96     20,061  SH                                   X              0
DIREXION SHS ETF TR       DLY FIN BEAR
                           NEW           25459W144      2,016.96    192,275  SH                                   X              0
DIREXION SHS ETF TR       GLD MNRS BULL
                           3X            25459W250      1,041.61    185,340  SH                                   X              0
DIREXION SHS ETF TR       DLY SMCAP BULL
                           3X            25459W847      1,358.95     30,552  SH                                   X              0
DIREXION SHS ETF TR       20YR TRES BEAR 25459Y678     13,836.89    243,179  SH                                   X              0
DIREXION SHS ETF TR       DLY EMRGMKT
                           BULL          25459Y686      2,164.66     67,491  SH                                   X              0
DIREXION SHS ETF TR       DLY FIN BULL
                           NEW           25459Y694        256.68      4,661  SH                                   X              0
DISCOVER FINL SVCS        COM            254709108      8,793.53    196,109  SH                                   X              0
DISCOVERY
 COMMUNICATNS NEW         COM SER A      25470F104      7,942.58    100,871  SH                                   X              0
DISCOVERY
 COMMUNICATNS NEW         COM SER C      25470F302     15,916.94    228,889  SH                                   X              0
DISH NETWORK CORP         CL A           25470M109     34,473.54    909,592  SH                                   X              0
DISNEY WALT CO            COM DISNEY     254687106     46,820.13    824,298  SH                             818,224          6,074
DISNEY WALT CO            CALL           254687906      1,300.72     22,900  SH CALL                              X              0
DISNEY WALT CO            PUT            254687956        908.80     16,000  SH PUT                               X              0
DOLLAR GENERAL
 CORPORATION              COM            256677105     14,642.66    289,495  SH                                   X              0
DOLLAR TREE INC           COM            256746108      5,294.85    109,330  SH                                   X              0
DOMINION RES INC VA
 NEW                      COM            25746U109     13,280.17    228,260  SH                                   X              0
DOMINOS PIZZA INC         COM            25754A201        313.37      6,092  SH                                   X              0
DOVER CORP                COM            260003108      4,868.97     66,808  SH                                   X              0
DOW CHEMICAL CO           COM            260543103     27,561.47    865,624  SH                                   X              0
DOW CHEMICAL CO           CALL           260543903      6,581.33    206,700  SH CALL                              X              0
DR PEPPER SNAPPLE
 GROUP INC                COM            26138E109      3,646.56     77,669  SH                                   X              0
DR REDDYS LABS LTD        ADR            256135203        718.17     22,200  SH                                   X              0
DRESSER-RAND GROUP
 INC                      COM            261608103      6,820.89    110,621  SH                                   X              0
DRYSHIPS INC              SHS            Y2109Q101        312.96    153,412  SH                                   X              0
DTE ENERGY CO             COM            233331107      6,179.92     90,429  SH                                   X              0
DU PONT E I DE
 NEMOURS & CO             COM            263534109     24,147.59    491,204  SH                             481,029         10,175
DU PONT E I DE
 NEMOURS & CO             CALL           263534909        353.95      7,200  SH CALL                              X              0
DU PONT E I DE
 NEMOURS & CO             PUT            263534959        275.30      5,600  SH PUT                               X              0
DUKE ENERGY CORP NEW      COM NEW        26441C204     25,487.66    351,118  SH                                   X              0
DUKE ENERGY CORP NEW      CALL           26441C904     24,003.12    330,667  SH CALL                              X              0
DUKE ENERGY CORP NEW      PUT            26441C954     20,228.36    278,666  SH PUT                               X              0
DUKE REALTY CORP          COM NEW        264411505        262.95     15,486  SH                                   X              0
DUN & BRADSTREET CORP
 DEL NE                   COM            26483E100      1,337.56     15,990  SH                                   X              0
DYNAVAX TECHNOLOGIES
 CORP                     COM            268158102         57.92     26,090  SH                                   X              0
E M C CORP MASS           COM            268648102     21,330.50    892,863  SH                             887,463          5,400
E M C CORP MASS           CALL           268648902        977.10     40,900  SH CALL                              X              0
E M C CORP MASS           PUT            268648952      4,488.93    187,900  SH PUT                               X              0
E TRADE FINANCIAL
 CORP                     COM NEW        269246401      1,213.79    113,332  SH                                   X              0
EASTMAN CHEM CO           COM            277432100      4,964.47     71,053  SH                                   X              0
EATON CORP PLC            SHS            G29183103     11,228.90    183,329  SH                                   X              0
EATON VANCE CORP          COM NON VTG    278265103        255.16      6,100  SH                                   X              0
EBAY INC                  COM            278642103     61,894.19  1,141,538  SH                           1,139,708          1,830
EBIX INC                  COM NEW        278715206        323.59     19,950  SH                                   X              0
ECOLAB INC                COM            278865100      9,760.47    121,732  SH                                   X              0
ECOPETROL S A             SPONSORED ADS  279158109        813.93     14,929  SH                                   X              0
EDISON INTL               COM            281020107      7,805.03    155,108  SH                                   X              0
EDWARDS LIFESCIENCES
 CORP                     COM            28176E108      3,557.28     43,297  SH                                   X              0
ELAN PLC                  ADR            284131208      2,263.49    191,821  SH                                   X              0
ELDORADO GOLD CORP
 NEW                      COM            284902103      4,288.27    449,976  SH                                   X              0
ELECTRONIC ARTS INC       COM            285512109      2,342.31    132,334  SH                                   X              0
EMERSON ELEC CO           COM            291011104     15,597.00    279,166  SH                                   X              0
ENBRIDGE INC, CALGARY
 AB                       COM            29250N105        264.30      5,679  SH                                   X              0
ENCANA CORP               COM            292505104        392.88     20,189  SH                                   X              0
ENDEAVOUR
 INTERNATIONAL CORP,
 HOUSTON, TX              COM NEW        29259G200        298.21    101,088  SH                                   X              0
ENERGIZER HLDGS INC       COM            29266R108        324.02      3,249  SH                                   X              0
ENERGY TRANSFER
 EQUITY L P               COM UT LTD PTN 29273V100      3,157.92     54,000  SH                                   X              0
ENERGY TRANSFER
 PRTNRS L P               UNIT LTD PARTN 29273R109      5,249.51    103,561  SH                                   X              0
ENERSYS                   COM            29275Y102      2,573.17     56,454  SH                                   X              0
ENI SPA, ROMA             SPONSORED ADR  26874R108        574.59     12,800  SH                                   X              0
ENSCO PLC                 SHS CLASS A    G3157S106      8,023.38    133,723  SH                                   X              0
ENTERGY CORP NEW          COM            29364G103      7,625.73    120,584  SH                                   X              0
ENTERGY CORP NEW          CALL           29364G903      7,588.80    120,000  SH CALL                              X              0
ENTERGY CORP NEW          PUT            29364G953      3,231.56     51,100  SH PUT                               X              0
ENTERPRISE PRODS
 PARTNERS L               COM            293792107        547.19      9,076  SH                                   X              0
EOG RES INC               COM            26875P101     23,067.84    180,119  SH                                   X              0
EPL OIL & GAS INC         COM            26883D108        483.87     18,048  SH                                   X              0
EQT CORP                  COM            26884L109     39,862.81    588,381  SH                                   X              0
EQUIFAX INC               COM            294429105      5,001.46     86,846  SH                                   X              0
EQUINIX INC               COM NEW        29444U502     13,607.63     62,908  SH                                   X              0
EQUITY RESIDENTIAL        SH BEN INT     29476L107      7,138.80    129,655  SH                                   X              0
ERICSSON                  ADR B SEK 10   294821608        414.67     32,910  SH                                   X              0
EV ENERGY PARTNERS LP     COM UNITS      26926V107      5,457.00    100,000  SH                                   X              0
EVERBANK FINL CORP        COM            29977G102        787.53     51,138  SH                                   X              0
EVEREST RE GROUP LTD      COM            G3223R108      1,401.58     10,793  SH                                   X              0
EXCEL MARITIME
 CARRIERS LTD             COM            V3267N107         37.35     32,200  SH                                   X              0
EXELIXIS INC              COM            30161Q104         88.17     19,084  SH                                   X              0
EXELON CORP               COM            30161N101     11,843.98    343,503  SH                                   X              0
EXETER RES CORP           COM            301835104         12.24     10,200  SH                                   X              0
EXPEDIA INC DEL           COM NEW        30212P303      3,616.68     60,263  SH                                   X              0
EXPEDITORS INTL WASH
 INC                      COM            302130109      3,213.20     89,930  SH                                   X              0
EXPRESS SCRIPTS HLDG
 CO                       COM            30219G108     45,730.52    793,657  SH                                   X              0
EXXON MOBIL CORP          COM            30231G102    206,523.47  2,291,904  SH                           2,289,929          1,975
EXXON MOBIL CORP          PUT            30231G952      5,478.69     60,800  SH PUT                               X              0
F M C CORP                COM NEW        302491303      3,628.65     63,627  SH                                   X              0
F5 NETWORKS INC           COM            315616102      3,720.96     41,771  SH                                   X              0
FACEBOOK INC              CL A           30303M102     16,990.59    664,214  SH                                   X              0
FAMILY DLR STORES INC     COM            307000109      4,165.86     70,548  SH                                   X              0
FASTENAL CO               COM            311900104      6,204.51    120,875  SH                                   X              0
FEDERAL REALTY
 INVESTMENT TRUST         SH BEN INT NEW 313747206        305.97      2,832  SH                                   X              0
FEDEX CORP, MEMPHIS,
 TN                       COM            31428X106     11,392.38    116,012  SH                                   X              0
FERRO CORP                COM            315405100        358.74     53,146  SH                                   X              0
FIDELITY NATIONAL
 FINANCIAL                CL A           31620R105        319.26     12,654  SH                                   X              0
FIDELITY NATIONAL
 INFORMATION SERVICES
 INC                      COM            31620M106      6,003.02    151,515  SH                                   X              0
FIFTH THIRD BANCORP       COM            316773100      6,672.37    409,097  SH                                   X              0
FIRST HORIZON NATL
 CORP                     COM            320517105      2,017.17    188,874  SH                                   X              0
FIRST SOLAR INC           COM            336433107      2,321.23     86,099  SH                                   X              0
FIRSTENERGY CORP          COM            337932107      7,007.73    166,060  SH                                   X              0
FISERV INC                COM            337738108      5,240.32     59,644  SH                                   X              0
FISHER COMMUNICATIONS
 INC                      COM            337756209        552.34     14,076  SH                                   X              0
FLEXTRONICS
 INTERNATIONAL LTD,
 SINGAPORE                ORD            Y2573F102     20,497.41  3,032,161  SH                                   X              0
FLIR SYS INC              COM            302445101      1,469.43     56,495  SH                                   X              0
FLOWSERVE CORP            COM            34354P105      3,092.74     18,441  SH                                   X              0
FLUOR CORP NEW            COM            343412102      4,139.72     62,411  SH                                   X              0
FMC TECHNOLOGIES INC      COM            30249U101     11,378.61    209,204  SH                                   X              0
FOCUS MEDIA HLDG LTD      SPONSORED ADR  34415V109        254.72      9,501  SH                                   X              0
FOMENTO ECONOMICO
 MEXICANO SAB DE CV,
 MEXICO                   SPON ADR UNITS 344419106      2,069.90     18,237  SH                                   X              0
FORD MTR CO DEL           COM PAR $0.01  345370860     21,637.43  1,645,432  SH                                   X              0
FOREST LABS INC           COM            345838106      6,126.68    161,059  SH                                   X              0
FORTINET INC              COM            34959E109      6,930.33    292,666  SH                                   X              0
FOSSIL INC                COM            349882100      2,338.59     24,209  SH                                   X              0
FRANCO NEVADA CORP        COM            351858105        220.75      4,842  SH                                   X              0
FRANKLIN RES INC          COM            354613101      8,100.91     53,716  SH                                   X              0
FREEPORT-MCMORAN
 COPPER & GO              COM            35671D857     24,494.26    740,008  SH                                   X              0
FREEPORT-MCMORAN
 COPPER & GO              CALL           35671D907      3,022.03     91,300  SH CALL                              X              0
FREEPORT-MCMORAN
 COPPER & GO              PUT            35671D957        383.96     11,600  SH PUT                               X              0
FRESENIUS MED CARE
 AG&CO KGA                SPONSORED ADR  358029106        956.41     28,246  SH                                   X              0
FRONTIER
 COMMUNICATIONS CORP      COM            35906A108      1,508.26    378,010  SH                                   X              0
FRONTLINE LTD             SHS            G3682E127        152.82     65,309  SH                                   X              0
GAFISA S A                SPONS ADR      362607301        662.79    169,512  SH                                   X              0
GAMESTOP CORP NEW         CL A           36467W109      1,516.28     54,211  SH                                   X              0
GANNETT INC               COM            364730101      1,889.31     86,388  SH                                   X              0
GAP INC DEL               COM            364760108      5,669.06    160,143  SH                                   X              0
GARDNER DENVER INC        COM            365558105      1,292.57     17,209  SH                                   X              0
GARMIN LTD                SHS            H2906T109      1,906.03     57,671  SH                                   X              0
GENCORP INC               COM            368682100      6,370.14    478,958  SH                                   X              0
GENERAC HLDGS INC         COM            368736104      5,597.22    158,382  SH                                   X              0
GENERAL DYNAMICS CORP     COM            369550108     11,986.56    169,998  SH                                   X              0
GENERAL ELECTRIC CO       COM            369604103    185,160.91  8,008,690  SH                           7,718,576        290,114
GENERAL ELECTRIC CO       CALL           369604903        728.28     31,500  SH CALL                              X              0
GENERAL ELECTRIC CO       PUT            369604953        423.10     18,300  SH PUT                               X              0
GENERAL GROWTH PPTYS
 INC NEW                  COM            370023103        367.16     18,469  SH                                   X              0
GENERAL MLS INC           COM            370334104     15,784.57    320,109  SH                                   X              0
GENERAL MTRS CO           COM            37045V100      1,826.33     65,648  SH                                   X              0
GENUINE PARTS CO          COM            372460105      4,571.27     58,606  SH                                   X              0
GENWORTH FINL INC         COM CL A       37247D106      1,862.34    186,234  SH                                   X              0
GERDAU S A                SPON ADR REP
                           PFD           373737105       5,385.2    698,459  SH                                   X              0
GERDAU S A                PUT            373737955        385.50     50,000  SH PUT                               X              0
GIANT INTERACTIVE
 GROUP INC                ADR            374511103        756.36    116,363  SH                                   X              0
GILEAD SCIENCES INC       COM            375558103     36,026.30    736,132  SH                                   X              0
GILEAD SCIENCES INC       CALL           375558903        303.43      6,200  SH CALL                              X              0
GILEAD SCIENCES INC       PUT            375558953      3,998.40     81,700  SH PUT                               X              0
GLAXOSMITHKLINE PLC       SPONSORED ADR  37733W105        769.79     16,410  SH                                   X              0
GLOBAL X FDS              CHINA CONS ETF 37950E408        189.64     13,500  SH                                   X              0
GLOBAL X FDS              GLB X URANIUM  37950E754         82.24     12,790  SH                                   X              0
GLOBAL X FDS              SILVER MNR ETF 37950E853        211.88     11,674  SH                                   X              0
GOLAR LNG LTD BERMUDA     SHS            G9456A100      5,099.33    137,857  SH                                   X              0
GOLD FIELDS LTD NEW       SPONSORED ADR  38059T106      4,085.61    527,176  SH                                   X              0
GOLDCORP INC NEW          COM            380956409     16,955.51    504,178  SH                                   X              0
GOLDEN STAR RES LTD
 CDA                      COM            38119T104         16.89     10,555  SH                                   X              0
GOLDMAN SACHS GROUP
 INC, NEW YORK NY         COM            38141G104     70,212.92    477,152  SH                                   X              0
GOLDMAN SACHS GROUP
 INC, NEW YORK NY         CALL           38141G904      1,486.22     10,100  SH CALL                              X              0
GOODYEAR TIRE & RUBR
 CO                       COM            382550101      2,411.50    191,313  SH                                   X              0
GOODYEAR TIRE & RUBR
 CO                       CALL           382550901      5,042.00    400,000  SH CALL                              X              0
GOOGLE INC                CL A           38259P508    188,351.21    237,162  SH                             236,944            218
GOOGLE INC                PUT            38259P958     20,092.96     25,300  SH PUT                               X              0
GRAINGER W W INC          COM            384802104      5,111.77     22,721  SH                                   X              0
GREAT PANTHER SILVER
 LTD                      COM            39115V101         15.64     12,032  SH                                   X              0
GREEN MTN COFFEE
 ROASTERS IN              COM            393122106      1,936.88     34,124  SH                                   X              0
GREEN MTN COFFEE
 ROASTERS IN              CALL           393122906        357.59      6,300  SH CALL                              X              0
GROUP 1 AUTOMOTIVE
 INC                      COM            398905109        805.36     13,407  SH                                   X              0
GROUPE CGI INC            CL A SUB VTG   39945C109        310.57     11,435  SH                                   X              0
GROUPON INC               COM CL A       399473107        498.16     81,399  SH                                   X              0
GRUPO FINANCIERO
 GALICIA S A              SP ADR 10 SH B 399909100        137.50     25,000  SH                                   X              0
GT ADVANCED
 TECHNOLOGIES INC         COM            36191U106        124.00     37,575  SH                                   X              0
HALLIBURTON CO            COM            406216101     33,401.25    826,559  SH                                   X              0
HARLEY DAVIDSON INC       COM            412822108      4,727.39     88,694  SH                                   X              0
HARMAN INTL INDS INC      COM            413086109      1,106.47     24,792  SH                                   X              0
HARMONY GOLD MNG LTD      SPONSORED ADR  413216300      4,188.93    653,499  SH                                   X              0
HARRIS CORP DEL           COM            413875105      2,303.14     49,701  SH                                   X              0
HASBRO INC                COM            418056107      1,970.75     44,851  SH                                   X              0
HAWAIIAN HOLDINGS INC     COM            419879101      1,485.68    257,484  SH                                   X              0
HCA HOLDINGS INC          COM            40412C101     48,506.78  1,193,866  SH                                   X              0
HCP INC                   COM            40414L109      9,130.06    183,114  SH                                   X              0
HDFC BANK LTD             ADR REPS 3 SHS 40415F101      1,718.89     45,935  SH                                   X              0
HEADWATERS INC            COM            42210P102      5,501.42    504,717  SH                                   X              0
HEALTH CARE REIT INC      COM            42217K106      7,010.35    103,230  SH                                   X              0
HECLA MNG CO              COM            422704106         86.88     21,995  SH                                   X              0
HECLA MNG CO              PUT            422704956         98.75     25,000  SH PUT                               X              0
HEINZ H J CO              COM            423074103     30,665.97    424,325  SH                                   X              0
HEINZ H J CO              PUT            423074953      5,058.90     70,000  SH PUT                               X              0
HELMERICH & PAYNE INC     COM            423452101      4,244.69     69,929  SH                                   X              0
HERBALIFE LTD             COM USD SHS    G4412G101        649.68     17,348  SH                                   X              0
HERSHEY CO                COM            427866108      5,180.20     59,182  SH                                   X              0
HERTZ GLOBAL HOLDINGS
 INC, PARK RIDGE NJ       COM            42805T105        430.13     19,323  SH                                   X              0
HESS CORP                 COM            42809H107     12,581.09    175,689  SH                                   X              0
HEWLETT-PACKARD CO,
 PALO ALTO, CA            COM            428236103     45,168.22  1,894,640  SH                           1,869,640         25,000
HEWLETT-PACKARD CO,
 PALO ALTO, CA            CALL           428236903     11,104.67    465,800  SH CALL                              X              0
HEWLETT-PACKARD CO,
 PALO ALTO, CA            PUT            428236953      3,769.10    158,100  SH PUT                               X              0
HILLSHIRE BRANDS CO       COM            432589109     20,628.94    586,883  SH                                   X              0
HOLLYFRONTIER CORP        COM            436106108      3,167.21     61,559  SH                                   X              0
HOLOGIC INC               COM            436440101        317.06     14,029  SH                                   X              0
HOME DEPOT INC,
 ATLANTA, GA              COM            437076102     57,575.06    825,094  SH                                   X              0
HOME INNS & HOTELS
 MGMT INC                 SPON ADR       43713W107        357.42     11,998  SH                                   X              0
HONEYWELL INTL INC        COM            438516106     40,372.61    535,801  SH                             530,192          5,609
HORMEL FOODS CORP         COM            440452100      2,139.18     51,771  SH                                   X              0
HOSPIRA INC               COM            441060100      2,101.42     64,009  SH                                   X              0
HOST HOTELS & RESORTS
 INC                      COM            44107P104      5,029.83    287,583  SH                                   X              0
HOT TOPIC INC             COM            441339108        568.55     40,962  SH                                   X              0
HOWARD HUGHES CORP        COM            44267D107     32,716.99    390,371  SH                                   X              0
HSBC HLDGS PLC            SPON ADR NEW   404280406      6,745.43    126,461  SH                                   X              0
HUDBAY MINERALS INC       COM            443628102        110.76     11,537  SH                                   X              0
HUDSON CITY BANCORP       COM            443683107      1,607.89    186,098  SH                                   X              0
HUMANA INC                COM            444859102     18,592.87    269,033  SH                                   X              0
HUNT J B TRANS SVCS
 INC                      COM            445658107      2,108.68     28,312  SH                                   X              0
HUNTINGTON BANCSHARES
 INC                      COM            446150104      2,308.32    313,205  SH                                   X              0
HUNTINGTON INGALLS
 INDS INC                 COM            446413106        271.18      5,085  SH                                   X              0
IAMGOLD CORP              COM            450913108      4,642.79    644,832  SH                                   X              0
ICICI BK LTD              ADR            45104G104      4,574.08    106,622  SH                                   X              0
IHS INC                   CL A           451734107        299.81      2,863  SH                                   X              0
ILLINOIS TOOL WKS INC     COM            452308109      9,759.85    160,155  SH                                   X              0
ILLUMINA INC              COM            452327109        949.40     17,588  SH                                   X              0
ILLUMINA INC              PUT            452327959      1,349.50     25,000  SH PUT                               X              0
INDIA FD INC              COM            454089103      2,244.39    105,668  SH                                   X              0
INERGY L P                UNIT LTD PTNR  456615103      2,043.00    100,000  SH                                   X              0
INFOSYS LTD               SPONSORED ADR  456788108        926.66     17,189  SH                                   X              0
ING GROEP N V             SPONSORED ADR  456837103        108.15     15,000  SH                                   X              0
INGERSOLL-RAND PLC        SHS            G47791101      5,891.24    107,094  SH                                   X              0
INGRAM MICRO INC          CL A           457153104     12,871.72    654,051  SH                                   X              0
INGREDION INC             COM            457187102      3,152.07     43,585  SH                                   X              0
INTEGRYS ENERGY GROUP
 INC                      COM            45822P105      1,813.31     31,178  SH                                   X              0
INTEL CORP                COM            458140100     73,836.69  3,381,575  SH                           3,372,575          9,000
INTEL CORP                CALL           458140900        209.62      9,600  SH CALL                              X              0
 INTERCONTINENTALEXCHANGE
 INC                      COM            45865V100      4,638.85     28,447  SH                                   X              0
INTERMEC INC              COM            458786100      4,674.77    475,562  SH                                   X              0
INTERNATIONAL
 BUSINESS MACHINES
 CORP, ARMONK (NY)        COM            459200101    194,226.29    910,578  SH                             902,641          7,937
INTERNATIONAL
 BUSINESS MACHINES
 CORP, ARMONK (NY)        CALL           459200901      5,716.44     26,800  SH CALL                              X              0
INTERNATIONAL
 BUSINESS MACHINES
 CORP, ARMONK (NY)        PUT            459200951      7,892.10     37,000  SH PUT                               X              0
INTERNATIONAL FLAVORS
 & FRAGRANCES INC         COM            459506101      2,910.78     37,965  SH                                   X              0
INTERNATIONAL GAME
 TECHNOLOG                COM            459902102      1,687.74    102,287  SH                                   X              0
INTEROIL CORP             COM            460951106      1,887.60     24,801  SH                                   X              0
INTERPUBLIC GROUP COS
 INC                      COM            460690100      2,056.00    157,790  SH                                   X              0
INTL PAPER CO             COM            460146103      9,504.28    204,042  SH                                   X              0
INTUIT                    COM            461202103      8,074.08    122,968  SH                             122,878             90
INTUITIVE SURGICAL
 INC                      COM NEW        46120E602      9,764.86     19,880  SH                                   X              0
INVESCO LTD               SHS            G491BT108     16,475.05    568,890  SH                                   X              0
INVESTMENT TECHNOLOGY
 GRP NE                   COM            46145F105        147.01     13,316  SH                                   X              0
IPG PHOTONICS CORP        COM            44980X109        341.68      5,145  SH                                   X              0
IRON MTN INC              COM            462846106      2,290.91     63,093  SH                                   X              0
ISHARES INC               MSCI SINGAPORE 464286673        295.34     21,156  SH                                   X              0
ISHARES INC               MSCI SPAIN
                           CAPP          464286764        342.01     12,085  SH                                   X              0
ISHARES INC               MSCI MEXICO
                           CAP           464286822      7,437.59     99,713  SH                                   X              0
ISHARES INC               MSCI MALAYSIA  464286830        329.34     22,000  SH                                   X              0
ISHARES INC               MSCI JAPAN     464286848        326.27     30,210  SH                                   X              0
ISHARES INC               CALL           464286900      3,763.53     69,081  SH CALL                              X              0
ISHARES INC               PUT            464286950     11,626.03    213,400  SH PUT                               X              0
ISHARES INC               PUT            464286950        209.58     14,000  SH PUT                               X              0
ISHARES INC               PUT            464286953        139.60     10,000  SH PUT                               X              0
ISHARES INC               MSCI BRAZIL
                           CAPP          464286400     42,019.28    771,279  SH                                   X              0
ISHARES INC               MSCI THAI
                           CAPPED        464286624        276.85      3,039  SH                                   X              0
ISHARES INC               MSCI TAIWAN    464286731      3,714.72    278,465  SH                                   X              0
ISHARES SILVER TRUST      CALL           46428Q909        211.21      7,700  SH CALL                              X              0
ISHARES SILVER TRUST      ISHARES        46428Q109      2,907.39    105,993  SH                                   X              0
ISHARES TR                CALL           464287904      8,793.51    205,600  SH CALL                              X              0
ISHARES TR                PUT            464287952     14,720.00    125,000  SH PUT                               X              0
ISHARES TR                PUT            464287954      3,635.45     85,000  SH PUT                               X              0
ISHARES TR                FTSE CHINA25
                           IDX           464287184      7,317.49    198,145  SH                                   X              0
ISHARES TR                MSCI EMERG MKT 464287234     31,997.78    748,136  SH                                   X              0
ISHARES TR                IBOXX INV CPBD 464287242        743.98      6,205  SH                                   X              0
ISHARES TR                BARCLYS 20+ YR 464287432      1,230.59     10,450  SH                                   X              0
ISHARES TR                DJ US REAL EST 464287739      7,469.66    107,508  SH                                   X              0
ISHARES TR                DJ US HEALTHCR 464287762      9,661.28    100,200  SH                                   X              0
ISHARES TR                JPMORGAN USD   464288281      6,498.35     55,244  SH                                   X              0
ISHARES TR                EPRA/NAR NA IN 464288455        231.84      4,600  SH                                   X              0
ISHARES TR                HIGH YLD CORP  464288513      8,216.75     87,088  SH                                   X              0
ISHARES TR                US PFD STK IDX 464288687        269.46      6,650  SH                                   X              0
ISHARES TR                DJ BROKER-DEAL 464288794      4,168.50    150,000  SH                                   X              0
ISHARES TR                INDONE INVS
                           MRKT          46429B309      1,745.48     50,100  SH                                   X              0
ISHARES TR                PHILL INVSTMRK 46429B408        218.45      5,310  SH                                   X              0
ITAU UNIBANCO HLDG SA     SPON ADR REP
                           PFD           465562106      8,136.99    457,134  SH                                   X              0
JA SOLAR HOLDINGS CO
 LTD                      SPON ADR
                           REP5ORD       466090206         66.32     18,320  SH                                   X              0
JABIL CIRCUIT INC         COM            466313103      1,760.37     95,258  SH                                   X              0
JACOBS ENGR GROUP INC
 DEL                      COM            469814107      2,854.29     50,752  SH                                   X              0
JAGUAR MNG INC            COM            47009M103         15.24     25,612  SH                                   X              0
JDS UNIPHASE CORP         COM PAR $0.001 46612J507      1,340.94    100,332  SH                                   X              0
JOHNSON & JOHNSON         COM            478160104    179,501.75  2,201,665  SH                           2,196,811          4,854
JOHNSON & JOHNSON         CALL           478160904     37,626.10    461,500  SH CALL                              X              0
JOHNSON & JOHNSON         PUT            478160954     11,422.35    140,100  SH PUT                               X              0
JOHNSON CTLS INC          COM            478366107      9,451.47    269,503  SH                                   X              0
JOS A BANK CLOTHIERS
 INC                      COM            480838101        439.98     11,027  SH                                   X              0
JOY GLOBAL INC            COM            481165108      4,995.16     83,924  SH                                   X              0
JPMORGAN CHASE & CO,
 NEW YORK, NY             COM            46625H100    290,236.69  6,115,396  SH                           6,112,596          2,800
JUNIPER NETWORKS INC      COM            48203R104      3,794.75    204,679  SH                                   X              0
KANSAS CITY SOUTHERN      COM NEW        485170302      1,481.51     13,359  SH                                   X              0
KAPSTONE PAPER &
 PACKAGING C              COM            48562P103        741.59     26,676  SH                                   X              0
KB HOME                   COM            48666K109        912.95     41,936  SH                                   X              0
KBR INC                   COM            48242W106        257.63      8,031  SH                                   X              0
KELLOGG CO                COM            487836108     17,998.46    279,349  SH                                   X              0
KEMET CORP                COM NEW        488360207      4,957.37    793,179  SH                                   X              0
KEYCORP NEW               COM            493267108      3,859.99    387,549  SH                                   X              0
KIMBERLY CLARK CORP       COM            494368103     18,071.53    184,441  SH                                   X              0
KIMBERLY CLARK CORP       CALL           494368903      5,878.80     60,000  SH CALL                              X              0
KIMBERLY CLARK CORP       PUT            494368953      3,929.00     40,100  SH PUT                               X              0
KIMCO REALTY CORP         COM            49446R109      3,541.33    158,095  SH                                   X              0
KINDER MORGAN INC DEL     COM            49456B101     15,817.68    408,937  SH                                   X              0
KINDER MORGAN INC DEL     CALL           49456B901      3,868.00    100,000  SH CALL                              X              0
KINDER MORGAN
 MANAGEMENT LLC           SHS            49455U100        419.18      4,842  SH                                   X              0
KINROSS GOLD CORP         COM NO PAR     496902404      5,185.23    653,875  SH                                   X              0
KINROSS GOLD CORP         PUT            496902954        179.22     22,600  SH PUT                               X              0
KKR & CO L P DEL          COM UNITS      48248M102      2,836.41    146,812  SH                                   X              0
KLA-TENCOR CORP           COM            482480100      3,876.71     73,506  SH                                   X              0
KNIGHT CAP GROUP INC      CL A COM       499005106        224.58     60,372  SH                                   X              0
KOHLS CORP                COM            500255104      3,787.64     82,108  SH                                   X              0
KRAFT FOODS GROUP INC     COM            50076Q106     24,800.92    481,291  SH                                   X              0
KRAFT FOODS GROUP INC     CALL           50076Q906      6,183.34    119,995  SH CALL                              X              0
KROGER CO                 COM            501044101      6,677.38    201,490  SH                                   X              0
L-3 COMMUNICATIONS
 HLDGS INC                COM            502424104      2,795.14     34,542  SH                                   X              0
LABORATORY CORP AMER
 HLDGS                    COM NEW        50540R409      3,411.45     37,821  SH                                   X              0
LAM RESEARCH CORP         COM            512807108      2,596.76     62,633  SH                                   X              0
LAS VEGAS SANDS CORP      COM            517834107    145,495.81  2,582,002  SH                                   X              0
LAS VEGAS SANDS CORP      PUT            517834957        957.95     17,000  SH PUT                               X              0
LAUDER ESTEE COS INC      CL A           518439104      6,019.65     94,013  SH                              93,613            400
LDK SOLAR CO LTD          SPONSORED ADR  50183L107         12.99     11,810  SH                                   X              0
LDK SOLAR CO LTD          PUT            50183L957         22.00     20,000  SH PUT                               X              0
LEAPFROG ENTERPRISES
 INC                      CL A           52186N106        555.75     64,924  SH                                   X              0
LEAR CORP                 COM NEW        521865204      7,496.61    136,625  SH                                   X              0
LEGG MASON INC            COM            524901105      1,466.81     45,624  SH                                   X              0
LEGG MASON INC            CALL           524901905     12,538.50    390,000  SH CALL                              X              0
LEGG MASON INC            PUT            524901955      4,501.00    140,000  SH PUT                               X              0
LEGGETT & PLATT INC       COM            524660107      1,858.14     55,007  SH                                   X              0
LENDER PROCESSING
 SVCS INC                 COM            52602E102      2,653.49    104,222  SH                                   X              0
LENNAR CORP               CL A           526057104      2,589.89     62,437  SH                                   X              0
LEUCADIA NATL CORP        COM            527288104      3,118.93    113,705  SH                                   X              0
LEXICON
 PHARMACEUTICALS INC      COM            528872104         40.54     18,598  SH                                   X              0
LIBERTY GLOBAL INC        COM SER A      530555101     65,223.30    888,843  SH                                   X              0
LIBERTY GLOBAL INC        COM SER C      530555309     15,362.35    223,843  SH                                   X              0
LIBERTY INTERACTIVE
 CORP                     INT COM SER A  53071M104      2,282.23    106,796  SH                                   X              0
LIBERTY INTERACTIVE
 CORP                     LBT VENT COM A 53071M880      1,653.92     21,883  SH                                   X              0
LIBERTY MEDIA CORP
 DELAWARE                 CL A           531229102        683.18      6,120  SH                                   X              0
LIBERTY PPTY TR           SH BEN INT     531172104        231.11      5,814  SH                                   X              0
LIFE TECHNOLOGIES
 CORP                     COM            53217V109      5,326.16     82,410  SH                                   X              0
LILLY ELI & CO            COM            532457108     54,633.23    962,022  SH                             961,852            170
LILLY ELI & CO            PUT            532457958      9,654.30    170,000  SH PUT                               X              0
LIMITED BRANDS INC        COM            532716107      8,892.97    199,126  SH                                   X              0
LINCOLN NATIONAL
 CORP, RADNOR, PA         COM            534187109      6,555.43    201,025  SH                                   X              0
LINEAR TECHNOLOGY
 CORP                     COM            535678106      3,897.85    101,586  SH                                   X              0
LINKEDIN CORP             COM CL A       53578A108      4,353.26     24,726  SH                                   X              0
LKQ CORP                  COM            501889208        547.24     25,149  SH                                   X              0
LLOYDS BANKING GROUP
 PLC                      SPONSORED ADR  539439109      1,145.38    381,793  SH                                   X              0
LOCKHEED MARTIN CORP,
 BETHESDA, MD             COM            539830109     10,225.43    105,941  SH                             105,781            160
LOEWS CORP,
 MOORESVILLE, NC          COM            540424108      5,260.46    119,366  SH                                   X              0
LOGITECH INTL S A         SHS            H50430232        992.35    142,375  SH                                   X              0
LONE PINE RES INC         COM            54222A106        181.24    151,030  SH                                   X              0
LORILLARD INC             COM            544147101      6,268.09    155,343  SH                                   X              0
LOWES COS INC             COM            548661107     25,377.47    669,237  SH                                   X              0
LSI CORPORATION           COM            502161102      1,597.65    235,642  SH                                   X              0
LUFKIN INDS INC           COM            549764108        293.71      4,424  SH                                   X              0
LULULEMON ATHLETICA
 INC                      COM            550021109      1,993.76     31,979  SH                                   X              0
LYONDELLBASELL
 INDUSTRIES N             SHS - A -      N53745100     11,038.85    174,417  SH                                   X              0
M & T BK CORP             COM            55261F104      4,928.88     47,779  SH                                   X              0
MACERICH CO               COM            554382101        375.34      5,830  SH                                   X              0
MACYS INC                 COM            55616P104     21,533.58    514,665  SH                                   X              0
MAGELLAN MIDSTREAM
 PRTNRS LP                COM UNIT RP LP 559080106        572.93     10,723  SH                                   X              0
MAGELLAN PETE CORP        COM            559091301         10.70     10,000  SH                                   X              0
MAGNA INTL INC            COM            559222401        226.05      3,851  SH                                   X              0
MANCHESTER UTD PLC
 NEW                      ORD CL A       G5784H106        422.10     25,200  SH                                   X              0
MANNKIND CORP             COM            56400P201        647.62    191,037  SH                                   X              0
MANPOWERGROUP INC         COM            56418H100        269.53      4,752  SH                                   X              0
MANULIFE FINL CORP        COM            56501R106        665.90     45,238  SH                                   X              0
MARATHON OIL CORP         COM            565849106     12,446.36    369,109  SH                                   X              0
MARATHON PETE CORP        COM            56585A102     49,395.05    551,284  SH                                   X              0
MARKET VECTORS ETF TR     PUT            57060U950      8,894.75    235,000  SH PUT                               X              0
MARKET VECTORS ETF TR     GOLD MINER ETF 57060U100     18,086.74    477,853  SH                                   X              0
MARKET VECTORS ETF TR     OIL SVCS ETF   57060U191     42,935.75  1,000,600  SH                                   X              0
MARKET VECTORS ETF TR     MINOR METALS   57060U472        111.51     10,110  SH                                   X              0
MARKET VECTORS ETF TR     RUSSIA ETF     57060U506     12,040.50    433,892  SH                                   X              0
MARKET VECTORS ETF TR     JR GOLD MINERS
                           E             57060U589        939.26     56,109  SH                                   X              0
MARKET VECTORS ETF TR     AGRIBUS ETF    57060U605        672.81     12,425  SH                                   X              0
MARKET VECTORS ETF TR     INDONESIA ETF  57060U753        346.39     10,754  SH                                   X              0
MARKET VECTORS ETF TR     VIETNAM ETF    57060U761        347.99     17,050  SH                                   X              0
MARKETAXESS HLDGS INC     COM            57060D108      3,866.74    103,666  SH                                   X              0
MARRIOTT INTL INC NEW     CL A           571903202      3,979.63     94,237  SH                                   X              0
MARSH & MCLENNAN COS
 INC                      COM            571748102     22,232.42    585,526  SH                                   X              0
MARTIN MARIETTA MATLS
 INC                      COM            573284106        386.66      3,790  SH                                   X              0
MARVELL TECHNOLOGY
 GROUP LTD                ORD            G5876H105        866.66     81,954  SH                                   X              0
MASCO CORP                COM            574599106      2,735.09    135,066  SH                                   X              0
MASTERCARD INC            CL A           57636Q104     27,144.16     50,162  SH                              50,122             40
MASTERCARD INC            CALL           57636Q904     35,444.02     65,500  SH CALL                              X              0
MASTERCARD INC            PUT            57636Q954      1,677.50      3,100  SH PUT                               X              0
MATTEL INC                COM            577081102      6,562.74    149,937  SH                                   X              0
MAXIM INTEGRATED
 PRODS INC                COM            57772K101      1,094.22     33,524  SH                                   X              0
MB FINANCIAL INC NEW      COM            55264U108        339.32     14,039  SH                                   X              0
MBIA INC                  COM            55262C100      1,514.83    147,500  SH                                   X              0
MCCORMICK & CO INC        COM NON VTG    579780206      3,689.12     50,158  SH                                   X              0
MCDERMOTT INTL INC        COM            580037109        531.58     48,369  SH                                   X              0
MCDONALD'S CORP, OAK
 BROOK, IL                COM            580135101    152,961.25  1,534,369  SH                           1,518,348         16,021
MCDONALD'S CORP, OAK
 BROOK, IL                CALL           580135901     32,798.01    329,000  SH CALL                              X              0
MCDONALD'S CORP, OAK
 BROOK, IL                PUT            580135951     18,582.22    186,400  SH PUT                               X              0
MCGRAW-HILL COMPANIES
 INC, NEW YORK, NY        COM            580645109     24,322.71    467,026  SH                                   X              0
MCKESSON CORP             COM            58155Q103      9,711.76     89,957  SH                                   X              0
MDU RES GROUP INC         COM            552690109        215.66      8,630  SH                                   X              0
MEAD JOHNSON
 NUTRITION CO             COM            582839106      6,025.69     77,801  SH                                   X              0
MEADWESTVACO CORP         COM            583334107      2,987.71     82,306  SH                                   X              0
MECHEL OJSC, MOSCOW       SPONSORED ADR  583840103      1,406.88    278,040  SH                                   X              0
MEDGENICS INC             COM NEW        58436Q203        424.38     87,500  SH                                   X              0
MEDIVATION INC            COM            58501N101        376.75      8,057  SH                                   X              0
MEDLEY CAP CORP           COM            58503F106        462.00     29,148  SH                                   X              0
MEDTRONIC INC             COM            585055106     32,583.43    693,855  SH                             692,345          1,510
MELCO CROWN ENTMT LTD     ADR            585464100        678.74     29,068  SH                                   X              0
MELLANOX TECHNOLOGIES
 LTD                      SHS            M51363113      4,496.37     81,001  SH                                   X              0
MEMC ELECTR MATLS INC     COM            552715104        760.00    172,727  SH                                   X              0
MERCADOLIBRE INC          COM            58733R102        381.03      3,946  SH                                   X              0
MERCK & CO INC NEW        COM            58933Y105     90,881.65  2,056,146  SH                           2,050,146          6,000
MERCK & CO INC NEW        CALL           58933Y905     11,713.00    265,000  SH CALL                              X              0
METLIFE INC               COM            59156R108     29,181.87    767,540  SH                                   X              0
METROPCS
 COMMUNICATIONS INC       COM            591708102     16,443.47  1,508,575  SH                                   X              0
MFA FINANCIAL INC         COM            55272X102     28,219.38  3,027,831  SH                                   X              0
MGIC INVT CORP WIS        COM            552848103        276.82     55,923  SH                                   X              0
MGM RESORTS
 INTERNATIONAL, LAS
 VEGAS, NV                COM            552953101     18,127.49  1,378,516  SH                                   X              0
MGM RESORTS
 INTERNATIONAL, LAS
 VEGAS, NV                CALL           552953901      1,315.00    100,000  SH CALL                              X              0
MGM RESORTS
 INTERNATIONAL, LAS
 VEGAS, NV                PUT            552953951      1,545.13    117,500  SH PUT                               X              0
MICHAEL KORS HLDGS
 LTD                      SHS            G60754101      1,813.59     31,935  SH                                   X              0
MICROCHIP TECHNOLOGY
 INC                      COM            595017104      3,137.92     85,339  SH                                   X              0
MICRON TECHNOLOGY INC     COM            595112103      4,924.81    493,715  SH                                   X              0
MICROSOFT CORP,
 REDMOND WA               COM            594918104    115,191.39  4,026,967  SH                           3,943,730         83,237
MICROSOFT CORP,
 REDMOND WA               CALL           594918904        523.47     18,300  SH CALL                              X              0
MICROSOFT CORP,
 REDMOND WA               PUT            594918954      6,519.08    227,900  SH PUT                               X              0
MOBILE TELESYSTEMS
 OJSC, MOSCOW             SPONSORED ADR  607409109      4,655.05    224,448  SH                                   X              0
MOHAWK INDS INC           COM            608190104        353.16      3,122  SH                                   X              0
MOLEX INC                 COM            608554101      1,494.16     51,030  SH                                   X              0
MOLSON COORS BREWING
 CO                       CL B           60871R209      3,230.85     66,030  SH                                   X              0
MOLYCORP INC DEL          COM            608753109      3,415.95    656,913  SH                                   X              0
MOLYCORP INC DEL          PUT            608753959         61.36     11,800  SH PUT                               X              0
MONDELEZ INTL INC         CL A           609207105     59,206.35  1,933,900  SH                                   X              0
MONDELEZ INTL INC         CALL           609207905     19,899.75    650,000  SH CALL                              X              0
MONSANTO CO NEW           COM            61166W101     25,926.36    245,445  SH                             245,245            200
MONSTER BEVERAGE CORP     COM            611740101      5,443.70    114,028  SH                                   X              0
MONSTER WORLDWIDE INC     COM            611742107      1,029.54    203,065  SH                                   X              0
MOODYS CORP               COM            615369105      4,249.55     79,699  SH                                   X              0
MORGAN STANLEY, NEW
 YORK                     COM NEW        617446448     29,004.57  1,319,589  SH                                   X              0
MORGAN STANLEY, NEW
 YORK                     CALL           617446908      7,253.40    330,000  SH CALL                              X              0
MORGAN STANLEY, NEW
 YORK                     PUT            617446958      8,792.00    400,000  SH PUT                               X              0
MOSAIC CO NEW             COM            61945C103     11,585.44    194,354  SH                                   X              0
MOSAIC CO NEW             PUT            61945C953        238.44      4,000  SH PUT                               X              0
MOTOROLA SOLUTIONS
 INC                      COM NEW        620076307      6,944.37    108,455  SH                                   X              0
MOTRICITY INC             COM            620107102          4.41     12,081  SH                                   X              0
MOUNTAIN PROV
 DIAMONDS INC             COM NEW        62426E402         95.55     21,766  SH                                   X              0
MURPHY OIL CORP           COM            626717102      5,276.27     82,791  SH                                   X              0
MYLAN INC                 COM            628530107     27,422.90    947,087  SH                                   X              0
NABORS INDUSTRIES LTD     SHS            G6359F103      5,412.00    333,662  SH                                   X              0
NASDAQ OMX GROUP INC      COM            631103108      1,492.49     46,207  SH                                   X              0
NATIONAL BK GREECE S
 A                        ADR PRF SER A  633643507        149.00     20,000  SH                                   X              0
NATIONAL OILWELL
 VARCO INC                COM            637071101     34,252.20    484,130  SH                             483,940            190
NATIONAL OILWELL
 VARCO INC                PUT            637071951     12,735.00    180,000  SH PUT                               X              0
NAVIDEA
 BIOPHARMACEUTICALS I     COM            63937X103      4,092.37  1,510,100  SH                                   X              0
NCR CORP                  COM            62886E108        275.19      9,985  SH                                   X              0
NETAPP INC                COM            64110D104     10,567.05    309,340  SH                                   X              0
NETEASE INC               SPONSORED ADR  64110W102        808.57     14,763  SH                                   X              0
NETFLIX INC               COM            64110L106      4,244.23     22,423  SH                                   X              0
NEW GOLD INC,
 VANCOUVER BC             COM            644535106      4,077.76    448,106  SH                                   X              0
NEW YORK CMNTY
 BANCORP INC              COM            649445103        332.96     23,203  SH                                   X              0
NEWCASTLE INVT CORP       COM            65105M108     17,712.86  1,585,753  SH                                   X              0
NEWELL RUBBERMAID INC     COM            651229106      2,844.06    108,968  SH                                   X              0
NEWFIELD EXPL CO          COM            651290108      1,395.08     62,225  SH                                   X              0
NEWMONT MINING CORP       COM            651639106     45,800.98  1,093,363  SH                           1,078,660         14,703
NEWMONT MINING CORP       PUT            651639956        301.61      7,200  SH PUT                               X              0
NEWS CORP                 CL A           65248E104     41,017.77  1,344,404  SH                                   X              0
NEWS CORP                 CL B           65248E203        903.76     29,381  SH                                   X              0
NEXTERA ENERGY INC        COM            65339F101     16,651.25    214,357  SH                                   X              0
NEXTERA ENERGY INC        CALL           65339F901      9,570.18    123,200  SH CALL                              X              0
NIELSEN HOLDINGS N V      COM            N63218106        345.30      9,640  SH                                   X              0
NII HLDGS INC             CL B NEW       62913F201         55.59     12,854  SH                                   X              0
NIKE INC, BEAVERTON,
 OR                       CL B           654106103     19,469.23    329,931  SH                             328,931          1,000
NISOURCE INC              COM            65473P105      4,090.61    139,421  SH                                   X              0
NOBLE CORPORATION
 BAAR                     NAMEN -AKT     H5833N103      6,642.68    174,120  SH                                   X              0
NOBLE ENERGY INC          COM            655044105     12,269.33    106,081  SH                                   X              0
NOKIA CORP                SPONSORED ADR  654902204      1,780.12    542,721  SH                                   X              0
NOKIA CORP                PUT            654902954      1,929.62    588,300  SH PUT                               X              0
NORDSTROM INC             COM            655664100      3,252.11     58,883  SH                                   X              0
NORFOLK SOUTHERN
 CORP, NORFOLK, VA        COM            655844108      9,394.59    121,881  SH                                   X              0
NORTH AMERN PALLADIUM
 LTD                      COM            656912102         25.41     17,831  SH                                   X              0
NORTHEAST UTILITIES
 INC                      COM            664397106      5,306.94    122,111  SH                                   X              0
NORTHERN DYNASTY
 MINERALS LT              COM NEW        66510M204         48.03     15,152  SH                                   X              0
NORTHERN OIL & GAS
 INC NEV                  PUT            665531959        201.32     14,000  SH PUT                               X              0
NORTHERN TIER ENERGY
 LP                       COM UN REPR
                           PART          665826103     15,707.97    525,350  SH                                   X              0
NORTHERN TR CORP          COM            665859104      4,664.58     85,496  SH                                   X              0
NORTHROP GRUMMAN CORP     COM            666807102      8,722.66    124,343  SH                                   X              0
NORWEGIAN CRUISE LINE
 HLDGS                    SHS            G66721104      7,412.50    250,000  SH                                   X              0
NOVAGOLD RES INC          COM NEW        66987E206         98.66     27,180  SH                                   X              0
NOVAVAX INC               COM            670002104         69.31     30,398  SH                                   X              0
NOVO-NORDISK A S          ADR            670100205    122,379.37    757,767  SH                                   X              0
NRG ENERGY INC            COM NEW        629377508      3,314.16    125,110  SH                                   X              0
NU SKIN ENTERPRISES
 INC                      CL A           67018T105      1,182.97     26,764  SH                                   X              0
NUANCE COMMUNICATIONS
 INC                      COM            67020Y100      1,143.88     56,684  SH                                   X              0
NUANCE COMMUNICATIONS
 INC                      PUT            67020Y950      1,513.50     75,000  SH PUT                               X              0
NUCOR CORP                COM            670346105      6,818.15    147,739  SH                             145,739          2,000
NVIDIA CORP               COM            67066G104      4,599.21    358,473  SH                                   X              0
NXP SEMICONDUCTORS N
 V                        COM            N6596X109        687.58     22,700  SH                                   X              0
NYSE EURONEXT             COM            629491101      3,815.74     98,751  SH                                   X              0
O REILLY AUTOMOTIVE
 INC NEW                  COM            67103H107     12,001.24    117,155  SH                                   X              0
OCCIDENTAL PETE CORP
 DEL                      COM            674599105     48,669.57    621,023  SH                                   X              0
OCEANEERING INTL INC      COM            675232102      1,617.95     24,363  SH                                   X              0
OCLARO INC                COM NEW        67555N206         35.92     28,511  SH                                   X              0
OCZ TECHNOLOGY GROUP
 INC                      COM            67086E303         67.80     37,665  SH                                   X              0
ODYSSEY MARINE
 EXPLORATION I            COM            676118102         41.57     12,751  SH                                   X              0
OFFICE DEPOT INC          COM            676220106         58.30     14,834  SH                                   X              0
OFFICE DEPOT INC          CALL           676220906         39.30     10,000  SH CALL                                       0
OGE ENERGY CORP           COM            670837103        306.02      4,373  SH                                   X              0
OIL STS INTL INC          COM            678026105        915.38     11,222  SH                                   X              0
OMNICARE CAP TR II        PFD B TR 4.00% 68214Q200      2,168.15     42,100  SH                                   X              0
OMNICARE INC              COM            681904108      1,681.04     41,283  SH                                   X              0
OMNICOM GROUP INC         COM            681919106      5,975.58    101,453  SH                                   X              0
ONEOK INC NEW             COM            682680103      3,836.00     80,470  SH                                   X              0
ONYX PHARMACEUTICALS
 INC                      COM            683399109      4,266.26     48,011  SH                                   X              0
ORACLE CORP               COM            68389X105     93,985.06  2,907,054  SH                           2,861,519         45,535
ORACLE CORP               CALL           68389X905      5,056.41    156,400  SH CALL                              X              0
ORBCOMM INC               COM            68555P100         70.34     13,501  SH                                   X              0
OWENS ILL INC             COM NEW        690768403      2,606.56     97,807  SH                                   X              0
PACCAR INC                COM            693718108      7,696.70    152,229  SH                                   X              0
PACCAR INC                CALL           693718908        273.02      5,400  SH CALL                              X              0
PACIFIC BIOSCIENCES
 CALIF IN                 COM            69404D108        249.00    100,001  SH                                   X              0
PACIFIC ETHANOL INC       COM NEW        69423U206          4.22     12,529  SH                                   X              0
PALL CORP                 COM            696429307      2,878.58     42,103  SH                                   X              0
PALO ALTO NETWORKS
 INC                      COM            697435105        215.70      3,811  SH                                   X              0
PAN AMERICAN SILVER
 CORP                     COM            697900108      2,189.06    133,642  SH                                   X              0
PARKER HANNIFIN CORP      COM            701094104      5,181.32     56,577  SH                                   X              0
PARTNERRE LTD             COM            G6852T105      1,213.13     13,029  SH                                   X              0
PATTERSON COMPANIES
 INC                      COM            703395103      1,222.49     32,137  SH                                   X              0
PATTERSON UTI ENERGY
 INC                      COM            703481101        751.22     31,511  SH                                   X              0
PAYCHEX INC               COM            704326107      5,316.43    151,638  SH                                   X              0
PEABODY ENERGY CORP       COM            704549104     10,688.13    505,349  SH                             496,349          9,000
PENDRELL CORP             COM            70686R104        376.11    226,573  SH                                   X              0
PENGROWTH ENERGY CORP     COM            70706P104        145.47     28,524  SH                                   X              0
PENNEY J C INC            COM            708160106      5,744.46    380,176  SH                                   X              0
PENNYMAC MTG INVT TR      COM            70931T103        441.92     17,069  SH                                   X              0
PENTAIR LTD               SHS            H6169Q108      6,019.88    114,121  SH                                   X              0
PEOPLES UNITED
 FINANCIAL INC            COM            712704105      1,813.77    135,154  SH                                   X              0
PEP BOYS MANNY MOE &
 JACK                     COM            713278109        143.59     12,179  SH                                   X              0
PEPCO HOLDINGS INC        COM            713291102      2,026.90     94,715  SH                                   X              0
PEPSICO INC               COM            713448108     51,466.12    650,564  SH                             647,092          3,472
PEPSICO INC               CALL           713448908     12,673.42    160,200  SH CALL                              X              0
PERKINELMER INC           COM            714046109      1,400.53     41,633  SH                                   X              0
PERRIGO CO                COM            714290103      4,649.15     39,154  SH                                   X              0
PETROLEO BRASILEIRO
 SA PETRO                 SP ADR NON VTG 71654V101        454.93     25,065  SH                                   X              0
PETROLEO BRASILEIRO
 SA PETRO                 SPONSORED ADR  71654V408      5,366.41    323,863  SH                                   X              0
PETROLEO BRASILEIRO
 SA PETRO                 CALL           71654V908      8,285.00    500,000  SH CALL                              X              0
PETSMART INC              COM            716768106      2,571.62     41,411  SH                                   X              0
PFIZER INC                COM            717081103    105,671.96  3,661,537  SH                           3,653,177          8,360
PFIZER INC                CALL           717081903     21,385.26    741,000  SH CALL                              X              0
PFIZER INC                PUT            717081953     16,623.36    576,000  SH    PUT                            X              0
PG&E CORP                 COM            69331C108      7,785.54    174,838  SH                                   X              0
PHILIP MORRIS INTL
 INC                      COM            718172109     80,073.81    863,702  SH                             862,552          1,150
PHILIP MORRIS INTL
 INC                      CALL           718172909      2,781.30     30,000  SH CALL                              X              0
PHILIP MORRIS INTL
 INC                      PUT            718172959     10,661.65    115,000  SH PUT                               X              0
PHILLIPS 66               COM            718546104     28,447.70    406,570  SH                             398,271          8,299
PHILLIPS 66               PUT            718546954        419.82      6,000  SH PUT                               X              0
PIMCO MUN INCOME FD
 II                       COM            72200W106        147.48     11,450  SH                                   X              0
PINNACLE WEST CAP
 CORP                     COM            723484101      2,564.01     44,291  SH                                   X              0
PIONEER NAT RES CO        COM            723787107     17,023.87    137,013  SH                                   X              0
PITNEY BOWES INC          COM            724479100      1,186.44     79,841  SH                                   X              0
PLAINS ALL AMERN
 PIPELINE L               UNIT LTD PARTN 726503105        663.41     11,746  SH                                   X              0
PLAINS EXPL& PRODTN
 CO                       COM            726505100     18,138.76    382,110  SH                                   X              0
PLUM CREEK TIMBER CO
 INC                      COM            729251108      3,310.89     63,427  SH                                   X              0
PNC FINANCIAL
 SERVICES GROUP INC,
 PITTSBURGH, PA           COM            693475105     15,599.37    234,577  SH                                   X              0
PNM RES INC               COM            69349H107        938.12     40,280  SH                                   X              0
POLARIS INDS INC          COM            731068102        339.62      3,672  SH                                   X              0
POLYMET MINING CORP       COM            731916102        135.41    114,748  SH                                   X              0
POPULAR INC               COM NEW        733174700     20,582.51    745,743  SH                                   X              0
POSCO                     SPONSORED ADR  693483109      1,074.62     14,579  SH                                   X              0
POTASH CORP SASK INC      COM            73755L107      3,847.21     98,018  SH                                   X              0
POTASH CORP SASK INC      PUT            73755L957        333.63      8,500  SH PUT                               X              0
POWER ONE INC NEW         COM            73930R102        182.55     44,093  SH                                   X              0
POWERSHARES ETF TRUST     DYN FD & BEV   73935X849        657.72     28,000  SH                                   X              0
PPG INDS INC              COM            693506107      8,742.67     65,273  SH                                   X              0
PPL CORP                  COM            69351T106     10,003.95    319,513  SH                                   X              0
PPL CORP                  PUT            69351T956      7,044.75    225,000  SH PUT                               X              0
PRAXAIR INC, DANBURY
 CT                       COM            74005P104     15,147.69    135,805  SH                                   X              0
PRECISION CASTPARTS
 CORP                     COM            740189105     10,659.87     56,217  SH                                   X              0
PRICE T ROWE GROUP
 INC                      COM            74144T108      7,392.89     98,743  SH                                   X              0
PRICELINE COM INC         COM NEW        741503403     15,656.37     22,751  SH                                   X              0
PRIMERO MNG CORP          COM            74164W106        189.19     28,279  SH                                   X              0
PRINCIPAL FINL GROUP
 INC                      COM            74251V102      4,082.10    119,956  SH                                   X              0
PROASSURANCE CORP         COM            74267C106      4,768.69    100,754  SH                                   X              0
PROCTER & GAMBLE CO       COM            742718109    106,871.05  1,386,855  SH                           1,370,305         16,550
PROCTER & GAMBLE CO       CALL           742718909      8,877.31    115,200  SH CALL                              X              0
PROCTER & GAMBLE CO       PUT            742718959      6,187.92     80,300  SH PUT                               X              0
PROGRESSIVE CORP OHIO     COM            743315103      5,369.62    212,490  SH                                   X              0
PROLOGIS INC              COM            74340W103      7,464.35    186,702  SH                                   X              0
PROSHARES TR              PSHS ULTSH
                           20YRS         74347B201      4,919.12     74,861  SH                                   X              0
PROSHARES TR              PSHS ULTRA
                           DOW30         74347R305        236.29      2,690  SH                                   X              0
PROSHARES TR              SHRT 20+YR TRE 74347X849      3,738.75    125,000  SH                                   X              0
PROSHARES TR              ULT FTSE
                           CHINA25       74347X880      1,138.94     22,000  SH                                   X              0
PROSHARES TR              PSHS ULPROSH
                           NEW           74348A632        446.63     16,200  SH                                   X              0
PROSHARES TR II           ULT VIX S/T
                           ETF           74347W411        945.10    122,900  SH                                   X              0
PROSHARES TR II           VIX SHTTRM FUT 74347W692      1,387.06    127,253  SH                                   X              0
PROSHARES TR II           ULTRA SILVER   74347W841        333.52      8,835  SH                                   X              0
PROTECTIVE LIFE CORP      COM            743674103        475.78     13,290  SH                                   X              0
PRUDENTIAL FINANCIAL
 INC, NEWARK, NJ          COM            744320102     10,937.34    185,410  SH                                   X              0
PUBLIC STORAGE            COM            74460D109      8,763.73     57,535  SH                                   X              0
PUBLIC SVC ENTERPRISE
 GROUP                    COM            744573106      6,836.96    199,096  SH                                   X              0
PULTE GROUP INC           COM            745867101      5,768.87    285,023  SH                                   X              0
PVH CORP                  COM            693656100      8,585.07     80,377  SH                                   X              0
QEP RES INC               COM            74733V100      2,150.89     67,553  SH                                   X              0
QIAGEN NV                 REG SHS        N72482107      9,056.85    429,642  SH                             408,442         21,200
QIAGEN NV                 CALL           N72482907      2,065.84     98,000  SH CALL                              X              0
QIAGEN NV                 PUT            N72482957        238.20     11,300  SH PUT                               X              0
QUALCOMM INC              COM            747525103    145,864.40  2,179,032  SH                           2,178,212            820
QUALCOMM INC              CALL           747525903      2,075.14     31,000  SH CALL                              X              0
QUALCOMM INC              PUT            747525953      1,686.89     25,200  SH PUT                               X              0
QUANTA SVCS INC           COM            74762E102      2,324.24     81,324  SH                                   X              0
QUEST DIAGNOSTICS INC     COM            74834L100      3,505.16     62,081  SH                                   X              0
QUEST RARE MINERALS
 LTD                      COM            74836T101         96.23    165,893  SH                                   X              0
QUIKSILVER INC            COM            74838C106        134.20     22,109  SH                                   X              0
RACKSPACE HOSTING INC     COM            750086100      1,665.18     32,987  SH                                   X              0
RADIOSHACK CORP           COM            750438103        218.89     65,145  SH                                   X              0
RALPH LAUREN CORP         CL A           751212101      6,277.17     37,075  SH                                   X              0
RAMBUS INC DEL            COM            750917106         82.55     14,714  SH                                   X              0
RANDGOLD RES LTD          ADR            752344309      4,724.34     54,947  SH                                   X              0
RANGE RES CORP            COM            75281A109      8,532.94    105,293  SH                                   X              0
RAPTOR PHARMACEUTICAL
 CORP                     COM            75382F106        120.86     20,660  SH                                   X              0
RARE ELEMENT RES LTD      COM            75381M102        454.66    198,540  SH                                   X              0
RAYMOND JAMES
 FINANCIAL INC            COM            754730109        276.19      5,991  SH                                   X              0
RAYONIER INC              COM            754907103        323.53      5,422  SH                                   X              0
RAYTHEON CO               COM NEW        755111507      7,415.36    126,133  SH                                   X              0
REALTY INCOME CORP        COM            756109104        380.12      8,382  SH                                   X              0
RED HAT INC               COM            756577102     17,588.66    347,877  SH                                   X              0
RED LION HOTELS CORP      COM            756764106      1,723.75    242,440  SH                                   X              0
REGENCY CTRS CORP         COM            758849103        248.47      4,696  SH                                   X              0
REGENERON
 PHARMACEUTICALS          COM            75886F107      1,803.72     10,225  SH                                   X              0
REGIONS FINANCIAL
 CORP, BIRMINGHAM, AL     COM            7591EP100      9,723.03  1,187,183  SH                                   X              0
REGULUS THERAPEUTICS
 INC                      COM            75915K101        770.45     99,413  SH                                   X              0
RENAISSANCERE
 HOLDINGS LTD             COM            G7496G103        273.85      2,977  SH                                   X              0
RENESOLA LTD              SPONS ADS      75971T103         22.83     16,542  SH                                   X              0
RENREN INC                SPONSORED ADR  759892102         66.91     23,152  SH                                   X              0
REPUBLIC SVCS INC         COM            760759100      3,834.93    116,210  SH                                   X              0
RESEARCH IN MOTION
 LTD                      COM            760975102     17,703.24  1,225,562  SH                                   X              0
RESMED INC                COM            761152107        352.89      7,612  SH                                   X              0
RESOLUTE FOREST
 PRODUCTS INC             COM            76117W109        253.90     15,692  SH                                   X              0
REYNOLDS AMERICAN INC     COM            761713106      9,023.86    202,829  SH                                   X              0
REYNOLDS AMERICAN INC     CALL           761713906        489.39     11,000  SH CALL                              X              0
RF MICRODEVICES INC       COM            749941100         59.48     11,180  SH                                   X              0
RIO ALTO MNG LTD NEW      COM            76689T104        182.80     40,000  SH                                   X              0
RIO TINTO PLC             SPONSORED ADR  767204100        641.65     13,629  SH                                   X              0
ROBERT HALF INTL INC      COM            770323103      2,012.40     53,621  SH                                   X              0
ROCK-TENN CO              CL A           772739207        351.12      3,784  SH                                   X              0
ROCKWELL AUTOMATION
 INC                      COM            773903109      4,608.50     53,370  SH                                   X              0
ROCKWELL COLLINS INC      COM            774341101      3,285.84     52,057  SH                                   X              0
ROPER INDS INC NEW        COM            776696106      4,837.91     38,001  SH                                   X              0
ROSS STORES INC           COM            778296103      6,455.30    106,488  SH                                   X              0
ROWAN COMPANIES PLC       SHS CL A       G7665A101      5,439.04    153,819  SH                                   X              0
ROYAL BANK OF CANADA,
 MONTREAL QC              COM            780087102      4,823.58     79,993  SH                                   X              0
ROYAL CARIBBEAN
 CRUISES LTD              COM            V7780T103      4,729.43    142,367  SH                                   X              0
ROYAL GOLD INC            COM            780287108        276.66      3,895  SH                                   X              0
RYANAIR HLDGS PLC         SPONSORED ADR  783513104        238.56      5,710  SH                                   X              0
RYDER SYS INC             COM            783549108      1,156.70     19,359  SH                                   X              0
RYMAN HOSPITALITY
 PPTYS INC                COM            78377T107      6,936.89    151,626  SH                                   X              0
SAFEWAY INC               COM NEW        786514208      2,632.92     99,921  SH                                   X              0
SAIC INC                  COM            78390X101      1,911.92    141,101  SH                                   X              0
SALESFORCE COM INC        COM            79466L302      2,994.51     66,980  SH                                   X              0
SALLY BEAUTY HLDGS
 INC                      COM            79546E104      3,673.53    125,035  SH                                   X              0
SANDISK CORP              COM            80004C101      6,581.13    119,744  SH                                   X              0
SANDRIDGE ENERGY INC      COM            80007P307        184.78     35,062  SH                                   X              0
SANOFI SA, PARIS          SPONSORED ADR  80105N105        462.27      9,050  SH                                   X              0
SAP AG                    SPON ADR       803054204        711.65      8,836  SH                                   X              0
SASOL LTD                 SPONSORED ADR  803866300        253.85      5,725  SH                                   X              0
SBA COMMUNICATIONS
 CORP                     COM            78388J106      1,098.72     15,260  SH                              14,925            335
SCANA CORP NEW            COM            80589M102      2,632.90     51,464  SH                                   X              0
SCHEIN HENRY INC          COM            806407102        984.36     10,636  SH                                   X              0
SCHLUMBERGER LTD          COM            806857108     60,562.94    808,692  SH                             797,000         11,692
SCHLUMBERGER LTD          CALL           806857908      1,340.53     17,900  SH CALL                              X              0
SCHLUMBERGER LTD          PUT            806857958        322.03      4,300  SH PUT                               X              0
SCHWAB CHARLES CORP
 NEW                      COM            808513105      7,491.08    423,464  SH                                   X              0
SCRIPPS NETWORKS
 INTERACT IN              CL A COM       811065101      2,122.25     32,985  SH                                   X              0
SEADRILL LIMITED          SHS            G7945E105      7,658.34    205,814  SH                                   X              0
SEAGATE TECHNOLOGY
 PLC                      SHS            G7945M107      6,363.46    174,079  SH                                   X              0
SEALED AIR CORP NEW       COM            81211K100      2,227.76     92,400  SH                                   X              0
SEARS HLDGS CORP          COM            812350106        519.49     10,396  SH                                   X              0
SEI INVESTMENTS CO        COM            784117103        215.94      7,485  SH                                   X              0
SELECT SECTOR SPDR TR     CALL           81369Y909      6,901.35    150,000  SH CALL                              X              0
SELECT SECTOR SPDR TR     PUT            81369Y958      4,772.40    120,000  SH PUT                               X              0
SELECT SECTOR SPDR TR     PUT            81369Y959      4,600.90    100,000  SH PUT                               X              0
SELECT SECTOR SPDR TR     SBI MATERIALS  81369Y100    156,720.00  4,000,000  SH                                   X              0
SELECT SECTOR SPDR TR     SBI HEALTHCARE 81369Y209    234,942.06  5,106,437  SH                                   X              0
SELECT SECTOR SPDR TR     SBI CONS STPLS 81369Y308    200,716.68  5,046,937  SH                                   X              0
SELECT SECTOR SPDR TR     SBI CONS DISCR 81369Y407    225,580.19  4,256,230  SH                                   X              0
SELECT SECTOR SPDR TR     SBI INT-ENERGY 81369Y506    536,365.60  6,762,900  SH                                   X              0
SELECT SECTOR SPDR TR     SBI INT-INDS   81369Y704    167,053.36  4,000,320  SH                                   X              0
SELECT SECTOR SPDR TR     TECHNOLOGY     81369Y803        524.31     17,321  SH                                   X              0
SELECT SECTOR SPDR TR     SBI INT-UTILS  81369Y886     68,469.10  1,751,128  SH                                   X              0
SEMPRA ENERGY             COM            816851109      7,173.58     89,737  SH                                   X              0
SENSATA TECHNOLOGIES
 HLDG BV                  SHS            N7902X106      4,221.33    128,425  SH                                   X              0
SENSIENT TECHNOLOGIES
 CORP                     COM            81725T100        806.62     20,635  SH                                   X              0
SHERWIN WILLIAMS CO       COM            824348106      7,080.71     41,925  SH                                   X              0
SHIP FINANCE
 INTERNATIONAL L          SHS            G81075106        513.32     29,100  SH                                   X              0
SIBANYE GOLD LTD          SPONSORED ADR  825724206        559.37     99,004  SH                                   X              0
SIEMENS A G               SPONSORED ADR  826197501        883.96      8,200  SH                                   X              0
SIGMA ALDRICH CORP        COM            826552101      4,363.15     56,190  SH                                   X              0
SILICON MOTION
 TECHNOLOGY CO            SPONSORED ADR  82706C108        273.67     23,371  SH                                   X              0
SILVER WHEATON CORP       COM            828336107      2,545.96     81,211  SH                                   X              0
SILVER WHEATON CORP       CALL           828336907        423.23     13,500  SH CALL                              X              0
SILVER WHEATON CORP       PUT            828336957        316.64     10,100  SH PUT                               X              0
SILVERCORP METALS INC     COM            82835P103        274.31     69,800  SH                                   X              0
SIMON PPTY GROUP INC
 NEW                      COM            828806109     20,260.48    127,778  SH                                   X              0
SIRIUS XM RADIO INC,
 NEW YORK, NY             COM            82967N108      1,795.13    582,834  SH                                   X              0
SK TELECOM LTD            SPONSORED ADR  78440P108      1,137.10     63,632  SH                                   X              0
SKYWORKS SOLUTIONS
 INC                      COM            83088M102      1,802.17     81,824  SH                                   X              0
SL GREEN RLTY CORP        COM            78440X101        409.71      4,758  SH                                   X              0
SLM CORP                  COM            78442P106      3,541.83    172,772  SH                                   X              0
SMUCKER J M CO            COM NEW        832696405      4,075.08     41,096  SH                                   X              0
SNAP ON INC               COM            833034101      2,163.10     26,156  SH                                   X              0
SODASTREAM
 INTERNATIONAL LTD        USD SHS        M9068E105        333.48      6,718  SH                                   X              0
SONY CORP                 ADR NEW        835699307        330.79     19,011  SH                                   X              0
SOTHEBYS                  COM            835898107        212.04      5,668  SH                                   X              0
SOUTHERN CO               COM            842587107     37,824.37    806,146  SH                                   X              0
SOUTHERN CO               CALL           842587907      7,507.20    160,000  SH CALL                              X              0
SOUTHERN CO               PUT            842587957      6,765.86    144,200  SH PUT                               X              0
SOUTHWEST AIRLS CO        COM            844741108      3,697.33    274,283  SH                                   X              0
SOUTHWESTERN ENERGY
 CO                       COM            845467109      7,284.55    195,506  SH                                   X              0
SPDR DOW JONES INDL
 AVRG ETF                 UT SER 1       78467X109      2,382.23     16,393  SH                                   X              0
SPDR GOLD TRUST           CALL           78463V907      1,050.40      6,800  SH CALL                              X              0
SPDR GOLD TRUST           GOLD SHS       78463V107      3,603.63     23,329  SH                                   X              0
SPDR S&P 500 ETF TR       TR UNIT        78462F103  2,799,257.67 17,867,222  SH                                   X              0
SPDR SERIES TRUST         BRC HGH YLD BD 78464A417        707.13     17,201  SH                                   X              0
SPDR SERIES TRUST         S&P METALS MNG 78464A755        269.04      6,661  SH                                   X              0
SPECTRA ENERGY CORP       COM            847560109     12,015.47    390,747  SH                                   X              0
SPECTRUM
 PHARMACEUTICALS INC      COM            84763A108         98.92     13,260  SH                                   X              0
SPRINT NEXTEL CORP        COM SER 1      852061100     10,689.12  1,721,276  SH                                   X              0
SPX CORP                  COM            784635104        213.03      2,698  SH                                   X              0
ST JUDE MED INC           COM            790849103      4,435.22    109,674  SH                                   X              0
STANLEY BLACK &
 DECKER INC               COM            854502101      5,667.82     69,999  SH                                   X              0
STAPLES INC               COM            855030102      4,163.84    310,271  SH                                   X              0
STAR SCIENTIFIC INC       COM            85517P101         62.54     37,676  SH                                   X              0
STARBUCKS CORP            COM            855244109     34,463.46    605,153  SH                             576,762         28,391
STARBUCKS CORP            CALL           855244909      3,211.98     56,400  SH CALL                              X              0
STARBUCKS CORP            PUT            855244959      1,993.25     35,000  SH PUT                               X              0
STARWOOD
 HOTELS&RESORTS WRLD      COM            85590A401      4,792.81     75,205  SH                                   X              0
STATE STREET CORP,
 BOSTON, MA               COM            857477103     10,542.60    178,416  SH                             177,016          1,400
STERICYCLE INC            COM            858912108      4,130.19     38,898  SH                                   X              0
STERLITE INDS INDIA
 LTD                      ADS            859737207      1,170.29    167,663  SH                                   X              0
STIFEL FINL CORP          COM            860630102        371.77     10,723  SH                                   X              0
STILLWATER MNG CO         COM            86074Q102        183.94     14,226  SH                                   X              0
STRYKER CORP              COM            863667101      7,286.92    111,694  SH                                   X              0
SUN LIFE FINL INC         COM            866796105        279.67     10,248  SH                                   X              0
SUNCOR ENERGY INC NEW     COM            867224107      5,290.82    176,302  SH                             175,662            640
SUNCOR ENERGY INC NEW     PUT            867224957        339.11     11,300  SH PUT                               X              0
SUNTECH PWR HLDGS CO
 LTD                      ADR            86800C104         43.31    111,050  SH                                   X              0
SUNTRUST BKS INC          COM            867914103      6,675.08    231,693  SH                                   X              0
SUPERIOR ENERGY SVCS
 INC                      COM            868157108        897.81     34,571  SH                                   X              0
SUPERMEDIA INC            COM            868447103         90.17     23,300  SH                                   X              0
SUPERVALU INC             COM            868536103         64.93     12,882  SH                                   X              0
SYMANTEC CORP             COM            871503108      7,724.20    312,974  SH                                   X              0
SYNOPSYS INC              COM            871607107        277.64      7,738  SH                                   X              0
SYSCO CORP                COM            871829107      9,098.55    258,702  SH                                   X              0
SYSCO CORP                CALL           871829907      3,517.00    100,000  SH CALL                              X              0
TAIWAN SEMICONDUCTOR
 MFG LTD                  SPONSORED ADR  874039100        186.01     10,821  SH                                   X              0
TAKE-TWO INTERACTIVE
 SOFTWAR                  COM            874054109      1,360.80     84,260  SH                                   X              0
TAL INTL GROUP INC        COM            874083108        825.87     18,227  SH                                   X              0
TALISMAN ENERGY INC       COM            87425E103        218.50     17,837  SH                                   X              0
TARGET CORP               COM            87612E106     17,485.21    255,445  SH                                   X              0
TASEKO MINES LTD          COM            876511106        166.10     59,965  SH                                   X              0
TATA MTRS LTD             SPONSORED ADR  876568502      1,579.79     64,719  SH                                   X              0
TD AMERITRADE HLDG
 CORP                     COM            87236Y108        301.36     14,615  SH                                   X              0
TE CONNECTIVITY LTD       REG SHS        H84989104      6,769.22    161,441  SH                                   X              0
TECK RESOURCES LTD        CL B           878742204      2,006.57     71,256  SH                                   X              0
TECK RESOURCES LTD        PUT            878742954        290.05     10,300  SH PUT                               X              0
TECO ENERGY INC           COM            872375100      1,387.02     77,835  SH                                   X              0
TELEFONICA BRASIL SA      SPONSORED ADR  87936R106      1,005.54     37,689  SH                                   X              0
TELEFONICA SA, MADRID     SPONSORED ADR  879382208      1,218.09     90,162  SH                                   X              0
TELLABS INC               COM            879664100         27.19     13,008  SH                                   X              0
TENARIS S A               SPONSORED ADR  88031M109      1,821.23     44,660  SH                                   X              0
TENET HEALTHCARE CORP     COM NEW        88033G407      1,860.66     39,106  SH                                   X              0
TERADATA CORP DEL         COM            88076W103      3,718.19     63,548  SH                                   X              0
TERADYNE INC              COM            880770102      1,626.69    100,289  SH                                   X              0
TEREX CORP NEW            COM            880779103        739.24     21,477  SH                                   X              0
TERRA NITROGEN CO L P     COM UNIT       881005201        532.67      2,421  SH                                   X              0
TESLA MTRS INC            COM            88160R101      1,337.55     35,301  SH                                   X              0
TESORO CORP               COM            881609101      9,738.68    166,331  SH                                   X              0
TESORO LOGISTICS LP       COM UNIT LP    88160T107      5,397.00    100,000  SH                                   X              0
TEVA PHARMACEUTICAL
 INDS LTD                 ADR            881624209    995,839.71 25,096,767  SH                          25,086,767         10,000
TEVA PHARMACEUTICAL
 INDS LTD                 CALL           881624909      1,984.00     50,000  SH CALL                              X              0
TEXAS INSTRUMENTS
 INC, DALLAS, TX          COM            882508104     17,124.63    482,656  SH                                   X              0
TEXTRON INC               COM            883203101      3,080.21    103,328  SH                                   X              0
THE HARTFORD
 FINANCIAL SERVICES
 GROUP INC, HARTFORD,
 CT                       COM            416515104      4,254.83    164,916  SH                             164,821             95
THE TORONTO-DOMINION
 BANK, TORONTO ON         COM NEW        891160509      1,003.24     12,048  SH                              11,748            300
THERMO FISHER
 SCIENTIFIC INC           COM            883556102     67,271.50    879,481  SH                             738,626        140,855
THOMPSON CREEK METALS
 CO INC                   COM            884768102        136.50     45,501  SH                                   X              0
THRESHOLD
 PHARMACEUTICAL INC       COM NEW        885807206        671.80    145,726  SH                                   X              0
TIBCO SOFTWARE INC,
 PALO ALTO, CA            COM            88632Q103      1,782.40     88,172  SH                                   X              0
TIDEWATER INC             COM            886423102        510.61     10,111  SH                                   X              0
TIFFANY & CO NEW          COM            886547108      4,051.75     58,265  SH                                   X              0
TIME WARNER CABLE INC     COM            88732J207     13,947.24    145,193  SH                                   X              0
TIME WARNER INC           COM NEW        887317303     24,863.32    431,505  SH                                   X              0
TITAN INTL INC ILL        COM            88830M102        293.81     13,938  SH                                   X              0
TIVO INC                  COM            888706108        525.03     42,375  SH                                   X              0
TJX COS INC,
 FRAMINGHAM, MA           COM            872540109     15,223.11    325,628  SH                                   X              0
TOLL BROTHERS INC         COM            889478103     11,203.36    327,201  SH                                   X              0
TORCHMARK CORP            COM            891027104      2,559.74     42,805  SH                                   X              0
TOTAL S A                 SPONSORED ADR  89151E109        388.64      8,100  SH                                   X              0
TOTAL SYS SVCS INC        COM            891906109      1,501.59     60,597  SH                                   X              0
TOWERS WATSON & CO        CL A           891894107        290.52      4,191  SH                                   X              0
TOYOTA MOTOR CORP         SP ADR REP2COM 892331307        813.42      7,925  SH                                   X              0
TRACTOR SUPPLY CO         COM            892356106        670.81      6,442  SH                                   X              0
TRANSALTA CORP            COM            89346D107        235.47     16,150  SH                                   X              0
TRANSCANADA CORP          COM            89353D107        529.52     11,057  SH                                   X              0
TRANSDIGM GROUP INC       COM            893641100        489.19      3,199  SH                                   X              0
TRANSOCEAN LTD            REG SHS        H8817H100     21,859.05    420,690  SH                                   X              0
TRAVELERS COMPANIES
 INC                      COM            89417E109     23,198.72    275,552  SH                                   X              0
TRIMBLE NAVIGATION
 LTD                      COM            896239100        373.49     12,458  SH                                   X              0
TRINA SOLAR LIMITED       SPON ADR       89628E104        228.57     62,966  SH                                   X              0
TRIPADVISOR INC           COM            896945201     16,789.17    319,672  SH                                   X              0
TRIQUINT
 SEMICONDUCTOR INC        COM            89674K103         60.37     11,930  SH                                   X              0
TRIUMPH GROUP INC NEW     COM            896818101      1,204.66     15,346  SH                                   X              0
TRW AUTOMOTIVE HLDGS
 CORP                     COM            87264S106     18,621.90    338,580  SH                                   X              0
TURQUOISE HILL RES
 LTD                      COM            900435108        107.45     16,895  SH                                   X              0
TW TELECOM INC            COM            87311L104      4,178.39    165,875  SH                                   X              0
TWO HBRS INVT CORP        COM            90187B101        134.67     10,680  SH                                   X              0
TYCO INTERNATIONAL
 LTD                      SHS            H89128104      5,986.69    187,084  SH                                   X              0
TYSON FOODS INC           CL A           902494103      3,764.75    151,682  SH                                   X              0
U S AIRWAYS GROUP INC     COM            90341W108        380.14     22,401  SH                                   X              0
U S G CORP                COM NEW        903293405      3,019.69    114,209  SH                                   X              0
UBS INC, ZURICH AND
 BASEL                    SHS NEW        H89231338     34,471.63  2,239,872  SH                           2,211,648         28,224
UBS INC, ZURICH AND
 BASEL                    CALL           H89231908     14,390.79    935,074  SH CALL                              X              0
UBS INC, ZURICH AND
 BASEL                    PUT            H89231958     11,250.09    731,000  SH PUT                               X              0
UDR INC                   COM            902653104        259.73     10,737  SH                                   X              0
ULTA SALON COSMETCS &
 FRAG I                   COM            90384S303        298.17      3,668  SH                                   X              0
ULTRA PETROLEUM CORP      COM            903914109        514.08     25,576  SH                                   X              0
ULTRAPAR
 PARTICIPACOES S A        SP ADR REP COM 90400P101        284.64     11,215  SH                                   X              0
UNDER ARMOUR INC          CL A           904311107        846.44     16,532  SH                                   X              0
UNION PAC CORP            COM            907818108     45,303.04    318,117  SH                                   X              0
UNITED PARCEL SERVICE
 INC                      CL B           911312106     27,534.90    320,546  SH                                   X              0
UNITED PARCEL SERVICE
 INC                      CALL           911312906      5,154.00     60,000  SH CALL                              X              0
UNITED RENTALS INC        COM            911363109        220.65      4,014  SH                                   X              0
UNITED STATES NATL
 GAS FUND                 UNIT PAR
                           $0.001        912318201        353.23     16,144  SH                                   X              0
UNITED STATES STL
 CORP NEW                 COM            912909108     10,186.35    522,377  SH                                   X              0
UNITED TECHNOLOGIES
 CORP                     COM            913017109     40,124.35    429,459  SH                             425,661          3,798
UNITEDHEALTH GROUP
 INC                      COM            91324P102     30,395.10    531,290  SH                                   X              0
UNUM GROUP                COM            91529Y106      4,779.02    169,169  SH                                   X              0
URANERZ ENERGY CORP       COM            91688T104         12.70     10,000  SH                                   X              0
URANIUM ENERGY CORP       COM            916896103         25.30     11,500  SH                                   X              0
URBAN OUTFITTERS INC      COM            917047102      1,701.38     43,918  SH                                   X              0
US BANCORP                COM NEW        902973304     24,754.99    729,590  SH                                   X              0
V F CORP                  COM            918204108      5,802.14     34,588  SH                                   X              0
VALE S A                  ADR            91912E105      5,253.34    303,837  SH                                   X              0
VALE S A                  ADR REPSTG PFD 91912E204      1,721.35    104,135  SH                                   X              0
VALE S A                  CALL           91912E905      5,897.62    341,100  SH CALL                              X              0
VALE S A                  PUT            91912E955      3,791.70    219,300  SH PUT                               X              0
VALEANT
 PHARMACEUTICALS INTL     COM            91911K102        312.91      4,171  SH                                   X              0
VALERO ENERGY CORP
 NEW                      COM            91913Y100     46,421.25  1,117,136  SH                                   X              0
VALIDUS HOLDINGS LTD      COM SHS        G9319H102     11,192.02    299,492  SH                                   X              0
VARIAN MED SYS INC        COM            92220P105      3,021.12     41,960  SH                                   X              0
VEECO INSTRS INC DEL      COM            922417100        378.34      9,850  SH                                   X              0
VENTAS INC                COM            92276F100      8,533.22    116,574  SH                                   X              0
VERIFONE SYS INC          COM            92342Y109        332.80     16,093  SH                                   X              0
VERIFONE SYS INC          PUT            92342Y959      3,722.40    180,000  SH PUT                               X              0
VERISIGN INC,
 MOUNTAIN VIEW, CA        COM            92343E102      2,980.47     63,052  SH                                   X              0
VERISK ANALYTICS INC      CL A           92345Y106      1,146.99     18,614  SH                                   X              0
VERIZON
 COMMUNICATIONS INC       COM            92343V104     93,342.19  1,899,129  SH                                   X              0
VERIZON
 COMMUNICATIONS INC       CALL           92343V904     12,238.35    249,000  SH CALL                              X              0
VERIZON
 COMMUNICATIONS INC       PUT            92343V954     10,621.32    216,100  SH PUT                               X              0
VERTEX
 PHARMACEUTICALS INC      COM            92532F100      1,908.45     34,718  SH                                   X              0
VIACOM INC NEW            CL B           92553P201     12,055.98    196,096  SH                                   X              0
VIMPELCOM LTD             SPONSORED ADR  92719A106        296.63     24,948  SH                                   X              0
VIRGIN MEDIA INC          COM            92769L101    186,880.20  3,816,218  SH                                   X              0
VIRNETX HLDG CORP         COM            92823T108        471.64     24,603  SH                                   X              0
VISA INC                  COM CL A       92826C839     41,847.05    246,391  SH                                   X              0
VISA INC                  CALL           92826C909      4,093.14     24,100  SH CALL                              X              0
VISTAPRINT N V            SHS            N93540107        362.51      9,377  SH                                   X              0
VIVUS INC                 COM            928551100        155.97     14,179  SH                                   X              0
VMWARE INC                CL A COM       928563402        673.24      8,535  SH                               7,035          1,500
VODAFONE GROUP PLC
 NEW                      SPONS ADR NEW  92857W209      2,888.56    101,710  SH                                   X              0
VORNADO RLTY TR           SH BEN INT     929042109      5,749.58     68,742  SH                                   X              0
VULCAN MATLS CO           COM            929160109      3,115.39     60,259  SH                                   X              0
WABCO HLDGS INC           COM            92927K102     15,940.77    225,822  SH                                   X              0
WALGREEN CO               COM            931422109     15,754.76    330,427  SH                             329,927            500
WAL-MART STORES INC,
 BENTONVILLE, AR          COM            931142103     63,778.43    852,311  SH                             852,171            140
WAL-MART STORES INC,
 BENTONVILLE, AR          CALL           931142903      9,727.90    130,000  SH CALL                              X              0
WALTER ENERGY INC         COM            93317Q105        769.87     27,013  SH                                   X              0
WARNER CHILCOTT PLC
 IRELAND                  SHS A          G94368100     12,601.70    930,015  SH                                   X              0
WASHINGTON POST CO        CL B           939640108        712.52      1,594  SH                                   X              0
WASTE MGMT INC DEL        COM            94106L109      6,713.46    171,218  SH                                   X              0
WASTE MGMT INC DEL        CALL           94106L909      5,901.11    150,500  SH CALL                              X              0
WATERS CORP               COM            941848103      3,069.35     32,684  SH                                   X              0
WEATHERFORD
 INTERNATIONAL LT         REG SHS        H27013103      2,013.93    165,892  SH                                   X              0
WEATHERFORD
 INTERNATIONAL LT         PUT            H27013953      1,821.00    150,000  SH PUT                               X              0
WEBMD HEALTH CORP         COM            94770V102        720.97     29,645  SH                                   X              0
WEIGHT WATCHERS INTL
 INC NEW                  COM            948626106        304.79      7,238  SH                                   X              0
WELLCARE HEALTH PLANS
 INC                      COM            94946T106      9,013.24    155,508  SH                                   X              0
WELLPOINT INC             COM            94973V107      9,460.89    142,849  SH                                   X              0
WELLS FARGO & CO, SAN
 FRANCISCO CA             COM            949746101     63,100.46  1,705,879  SH                           1,697,737          8,142
WELLS FARGO & CO, SAN
 FRANCISCO CA             PUT            949746951      3,713.80    100,400  SH PUT                               X              0
WESTERN ASSET MTG CAP
 CORP                     COM            95790D105        383.25     16,491  SH                                   X              0
WESTERN DIGITAL CORP      COM            958102105      4,902.37     97,482  SH                                   X              0
WESTERN GAS EQUITY
 PARTNERS                 COMUNT LTD PT  95825R103     30,758.40    900,000  SH                                   X              0
WESTERN REFNG INC         COM            959319104        591.70     16,710  SH                                   X              0
WESTERN UN CO             COM            959802109      3,361.00    223,471  SH                                   X              0
WEYERHAEUSER CO           COM            962166104      7,037.37    224,263  SH                                   X              0
WHIRLPOOL CORP            COM            963320106      4,701.09     39,685  SH                                   X              0
WHITING PETE CORP NEW     COM            966387102        350.69      6,898  SH                                   X              0
WHOLE FOODS MKT INC       COM            966837106     26,393.69    304,250  SH                                   X              0
WHOLE FOODS MKT INC       PUT            966837956        954.25     11,000  SH PUT                               X              0
WILLIAMS COS INC DEL      COM            969457100     84,288.90  2,250,104  SH                                   X              0
WILLIAMS PARTNERS L P     COM UNIT L P   96950F104        290.08      5,600  SH                                   X              0
WILLIAMS SONOMA INC       COM            969904101        326.53      6,338  SH                                   X              0
WILLIS GROUP HOLDINGS
 PUBLIC                   SHS            G96666105        366.31      9,276  SH                                   X              0
WINDSTREAM CORP           COM            97381W104      2,006.96    253,084  SH                                   X              0
WINTRUST FINANCIAL
 CORP                     COM            97650W108        600.97     16,225  SH                                   X              0
WIPRO LTD                 SPON ADR 1 SH  97651M109        100.53     11,160  SH                                   X              0
WISCONSIN ENERGY CORP     COM            976657106      3,802.33     88,653  SH                                   X              0
WISDOMTREE TRUST          INDIA ERNGS FD 97717W422      4,981.46    277,287  SH                                   X              0
WPX ENERGY INC            COM            98212B103      1,496.12     93,391  SH                                   X              0
WYNDHAM WORLDWIDE
 CORP                     COM            98310W108      3,408.41     52,860  SH                                   X              0
WYNN RESORTS LTD          COM            983134107      8,360.56     66,799  SH                                   X              0
WYNN RESORTS LTD          PUT            983134957      1,001.28      8,000  SH PUT                               X              0
XCEL ENERGY INC           COM            98389B100      6,245.85    210,298  SH                                   X              0
XEROX CORP                COM            984121103      5,415.51    629,711  SH                                   X              0
XILINX INC                COM            983919101      5,581.37    146,224  SH                                   X              0
XL GROUP PLC              SHS            G98290102      3,460.50    114,208  SH                                   X              0
XYLEM INC                 COM            98419M100      1,945.79     70,602  SH                                   X              0
YAHOO INC                 COM            984332106     26,960.85  1,145,856  SH                                   X              0
YAHOO INC                 CALL           984332906        289.41     12,300  SH CALL                              X              0
YAMANA GOLD INC           COM            98462Y100      5,428.48    353,647  SH                                   X              0
YAMANA GOLD INC           PUT            98462Y950        199.55     13,000  SH PUT                               X              0
YANDEX N V                SHS CLASS A    N97284108        293.83     12,698  SH                                   X              0
YINGLI GREEN ENERGY
 HLDG CO                  ADR            98584B103        451.47    237,615  SH                                   X              0
YONGYE INTL INC           COM            98607B106        422.20     79,360  SH                                   X              0
YOUKU TUDOU INC           SPONSORED ADR  98742U100      3,616.03    215,625  SH                                   X              0
YUM BRANDS INC            COM            988498101     27,401.15    380,889  SH                                   X              0
YUM BRANDS INC            CALL           988498901      8,445.76    117,400  SH CALL                              X              0
YUM BRANDS INC            PUT            988498951      8,604.02    119,600  SH PUT                               X              0
ZALICUS INC               COM            98887C105          7.67     11,500  SH                                   X              0
ZIMMER HLDGS INC          COM            98956P102      4,910.36     65,280  SH                                   X              0
ZIONS BANCORPORATION      COM            989701107      1,682.13     67,312  SH                                   X              0
ZWEIG TOTAL RETURN FD
 INC                      COM NEW        989837208      4,973.55    381,700  SH                                   X              0
ZYNGA INC                 CL A           98986T108        535.24    159,298  SH                                   X              0

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