SEC NEWS DIGEST Issue 2005-195 October 11, 2005 ENFORCEMENT PROCEEDINGS COMMISSION SUSTAINS FINES IMPOSED ON CASTLE SECURITIES CORP. BY NASD On October 11, the Commission sustained fines totaling $80,000 imposed on Castle Securities Corp., a Freeport, N.Y., brokerage firm, by NASD. The Commission set aside NASD's suspension of the firm from membership in light of the facts that Castle had previously been expelled from NASD membership and had withdrawn its broker-dealer registration. The Commission found that Castle failed to transmit required order information to NASD's Order Audit Trail System, that Castle's supervisory procedures with respect to that system were deficient, and that Castle failed to comply with the requirements of NASD's Automated Confirmation Transaction Service. In light of those infractions and Castle's lengthy disciplinary history, the Commission concluded that the fines assessed by NASD were not excessive. (Rel. 34-52580; File No. 3-11847) IN THE MATTER OF JOHN HOULDSWORTH, CA On October 11, the Commission issued an Order Instituting Administrative Proceedings Pursuant to Rule 102(e) of the Commission’s Rules of Practice, Making Findings, and Imposing Remedial Sanctions against John Houldsworth, CA based on the entry of a consent judgment of permanent injunction against him. The Order suspends Houldsworth from appearing or practicing before the Commission as an accountant effective immediately. Houldsworth consented to the issuance of the Order without admitting or denying any of the findings therein, except as to the Commission’s jurisdiction over him and over the matters set forth in the Order and the entry of the consent judgment. The Order finds that on Aug. 12, 2005, the United States District Court for the Southern District of New York entered a Partial Final Consent Judgment as to John Houldsworth that, among other things, permanently enjoins Houldsworth from future violations of Sections 10(b), 13(a), 13(b)(2) and 13(b)(5) of the Securities Exchange Act of 1934 and Rules 10b-5, 12b-20, 13a-1, 13a-13 and 13b2-1 thereunder. Houldsworth consented to the entry of the Partial Final Judgment without admitting or denying the allegations in the underlying complaint, except as to jurisdiction. As stated in the Order, the Commission filed the complaint against Houldsworth on June 6, 2005, alleging, among other things, that Houldsworth aided and abetted a securities fraud committed by American International Group, Inc. (AIG) by helping AIG structure two sham reinsurance transactions. Houldsworth was the Chief Executive Officer of Cologne Re Dublin, a subsidiary, located in Dublin, Ireland, of Cologne Re Germany, which is a subsidiary of General Re Corporation (Gen Re). The fraudulent transactions allowed AIG to add a total of $500 million in phony loss reserves to its balance sheet in the fourth quarter of 2000 and the first quarter of 2001. The complaint further alleged that the two transactions had no economic substance (Gen Re was paying $500 million in premiums in return for AIG reinsuring a $500 million risk) and that the only economic benefit to either party to the transactions at issue was a $5.2 million fee – agreed to in an undisclosed side agreement – to be paid by AIG to Gen Re for putting the deal together. In addition, the complaint alleged that without the phony loss reserves that AIG added to its balance sheet, AIG’s financial statements in both quarters would have shown further declines in AIG’s loss reserves, but as a result of the transactions, AIG’s financial statements showed a false increase in reserves that AIG’s then Chairman touted in AIG’s quarterly earnings releases. (Rels. 34-52582; AAER- 2334; File No. 3-12073) IN THE MATTER OF SPECTRUM BRANDS CORP. An Administrative Law Judge has issued an Order Making Findings and Revoking Registration by Default in Spectrum Brands Corp., Administrative Proceeding No. 3-11981. The Order Instituting Proceedings alleged that Respondent Spectrum Brands Corp. failed to comply with Section 13(a) of the Securities Exchange Act of 1934 and Rules 13a-1 and 13a-13 thereunder by failing to file required periodic reports while its securities were registered with the Securities and Exchange Commission. The Default Order finds these allegations to be true and, pursuant to Section 12(j) of the Exchange Act, revokes the registration of each class of securities of Spectrum Brands Corp. (Rel. 34-52583; File No. 3-11981) HOLDING COMPANY ACT RELEASE GEORGIA POWER COMPANY ET AL. An order has been issued authorizing a proposal by Georgia Power Company and Savannah Electric and Power Company, both utility subsidiary companies of The Southern Company, a registered holding company. The order authorizes Georgia Power and Savannah Power to complete a sale/leaseback agreement regarding certain utility assets and a municipal authority. (Rel. 35-28044) SELF REGULATORY ORGANIZATIONS IMMEDIATE EFFECTIVENESS OF PROPOSED RULE CHANGES The Commission issued notice of filing and immediate effectiveness of a proposed rule change and Amendment No. 1 thereto (SR-Phlx-2005-58) filed by the Philadelphia Stock Exchange under Rule 19b-4 of the Securities Exchange Act of 1934 relating to its October 2005 equity payment for order flow program. Publication of the proposal is expected in the Federal Register during the week of October 10. (Rel. 34-52568) A proposed rule change and Amendment No. 2 thereto filed by the New York Stock Exchange relating to an interpretation of Exchange Rule 452 has become effective under Section 19(b)(3)(A)(i) of the Securities Exchange Act of 1934 (SR-NYSE-2005-61). Publication of the proposal is expected in the Federal Register during the week of October 10. (Rel. 34-52569) ACCELERATED EFFECTIVENESS OF PROPOSED RULE CHANGE The Commission noticed and granted accelerated approval to a proposed rule change (SR-Phlx-2005-57) submitted by the Philadelphia Stock Exchange under Rule 19b-4 of the Securities Exchange Act of 1934. The proposal provides that the current value of an index underlying a Trust Share and Index Fund Share must be widely disseminated at least every 15 seconds by one or more major market data vendors during the time the Trust Share or Index Fund Share trades on the Phlx. Publication is expected in the Federal Register during the week of October 10. (Rel. 34-52572) PROPOSED RULE CHANGES Pursuant to Rule 19b-4 under the Securities Exchange Act of 1934, the National Stock Exchange has filed a proposed rule change (SR-NSX-2005- 07), and Amendment Nos. 1, 2, and 3 thereto, relating to the creation of a Regulatory Oversight Committee. Publication of the proposal is expected in the Federal Register during the week of October 10. (Rel. 34-52573) NASD through its subsidiary, The Nasdaq Stock Market, Inc., has filed a proposed rule change under Rule 19b-4 (SR-NASD-2005-099) and Amendment No. 1 thereto relating to amendments to the Restated Certificate of Incorporation of The Nasdaq Stock Market, Inc. Publication of the proposal is expected in the Federal Register during the week of October 10. (Rel. 34-52574) APPROVAL OF PROPOSED RULE CHANGE The Commission approved a proposed rule change (SR-NYSE-2004-73) and Amendment Nos.1 and 2 thereto submitted under Rule 19b-4 of the Securities Exchange Act of 1934 by the New York Stock Exchange to amend NYSE Rule 440A (Telephone Solicitation). Publication of the order is expected in the Federal Register during the week of October 10. (Rel. 34-52579) SECURITIES ACT REGISTRATIONS The following registration statements have been filed with the SEC under the Securities Act of 1933. The reported information appears as follows: Form, Name, Address and Phone Number (if available) of the issuer of the security; Title and the number and/or face amount of the securities being offered; Name of the managing underwriter or depositor (if applicable); File number and date filed; Assigned Branch; and a designation if the statement is a New Issue. Registration statements may be obtained in person or by writing to the Commission's Public Reference Branch at 450 Fifth Street, N.W., Washington, D.C. 20549 or at the following e-mail box address: . In most cases, this information is also available on the Commission's website: . S-3 EVEREST RE GROUP LTD, WESSEX HOUSE - 2ND FLOOR, 45 REID STREET PO BOX HM 845, HAMILTON, D0, HM DX, 4412950006 - 0 ($76,000,000.00) Other, (File 333-128868 - Oct. 7) (BR. 01C) S-4 Harry & David Operations Corp., 2500 SOUTH PACIFIC HWY, MEDFORD, OR, 97504, 541-864-2362 - 0 ($245,000,000.00) Non-Convertible Debt, (File 333-128870 - Oct. 7) (BR. 02) S-1 Somaxon Pharmaceuticals, Inc., 12750 HIGH BLUFF DRIVE, SUITE 310, SAN DIEGO, CA, 92130, (858) 509-3670 - 0 ($86,250,000.00) Equity, (File 333-128871 - Oct. 7) (BR. 01) S-B PANAMA REPUBLIC OF, 2862 MCGILL TERRACE NW, C/O AMBASSADOR OF PANAMA, WASHINGTON, DC, 20008, 0 ($2,000,000,000.00) Non-Convertible Debt, (File 333-128872 - Oct. 7) (BR. DN) S-8 FUTUREMEDIA PLC, MEDIA HOUSE ARUNDEL RD, WALBERTON ARUNDEL, WEST SUSSEX ENGLAND, X0, BN180QP, 4401243555000 - 2,398,803 ($1,415,294.00) Equity, (File 333-128873 - Oct. 7) (BR. 03) S-3 HUMAN GENOME SCIENCES INC, 14200 SHADY GROVE ROAD, ROCKVILLE, MD, 20850-3338, 3013098504 - 0 ($230,000,000.00) Debt Convertible into Equity, (File 333-128874 - Oct. 7) (BR. 01A) S-8 FUTUREMEDIA PLC, MEDIA HOUSE ARUNDEL RD, WALBERTON ARUNDEL, WEST SUSSEX ENGLAND, X0, BN180QP, 4401243555000 - 10,610,000 ($6,259,900.00) Equity, (File 333-128875 - Oct. 7) (BR. 03) S-4 GSC Holdings Corp., 625 WESTPORT PARKWAY, GRAPEVINE, TX, 76051, 817-424-2000 - 0 ($9,190,148.00) Equity, (File 333-128876 - Oct. 7) (BR. 02) S-8 RS GROUP OF COMPANIES INC, 200 YORKLAND BLVD, SUITE 200, TORONTO, A6, M2J 5C1, 4163914223 - 500,000 ($880,000.00) Equity, (File 333-128877 - Oct. 7) (BR. 08C) SB-2 Phelps Engineered Plastics Corp., 40 WALL STREET, NEW YORK, NY, 10005, (212) 480-3220 - 64,500,000 ($3,225,000.00) Equity, (File 333-128878 - Oct. 7) (BR. 09) S-1 Calumet Specialty Products Partners, L.P., 2780 WATERFRONT, PARKWAY E. DRIVE, SUITE 200, INDIANAPOLIS, IN, 46214, 317-328-5660 - 0 ($169,280,000.00) Limited Partnership Interests, (File 333-128880 - Oct. 7) (BR. 04) S-8 Williams Partners L.P., ONE WILLIAMS CENTER, TULSA, OK, 74172-0172, (918) 573-2000 - 0 ($3,367,000.00) Equity, (File 333-128881 - Oct. 7) (BR. 02) S-8 IDENIX PHARMACEUTICALS INC, 60 HAMPSHIRE STREET, ., CAMBRIDGE, MA, 02139, (617) 250-3100 - 2,300,000 ($60,467,000.00) Equity, (File 333-128882 - Oct. 7) (BR. 01) SB-2 K MAC ENTERPRISES INC, 1209A HEMPSTEAD TURNPIKE, FRANKLIN SQUARE, NY, 11010, 516 238 4936 - 2,000,000 ($2,400,000.00) Equity, (File 333-128883 - Oct. 7) (BR. 09) S-11 DESERT CAPITAL REIT INC, 2381 RENAISSANCE DR, SUITE C, LAS VEGAS, NV, 89119, 7027399090 - 0 ($225,000,000.00) Equity, (File 333-128885 - Oct. 7) (BR. 08) S-8 COGNOS INC, 3755 RIVERSIDE DR, PO BOX 9707, OTTAWA ONTARIO CAN K, A6, 00000, 6137381440 - 1,800,000 ($68,976,000.00) Equity, (File 333-128886 - Oct. 7) (BR. 03C) N-2 Eaton Vance Credit Opportunities Fund, THE EATON VANCE BUILDING, 255 STATE STREET, BOSTON, MA, 02109, 617-482-8260 - 50,000 ($1,000,000.00) Equity, (File 333-128887 - Oct. 7) (BR. 16) S-1 Rosetta Resources Inc., 717 TEXAS, SUITE 2800, HOUSTON, TX, 77002, 7133354008 - 50,000,000 ($950,000,000.00) Equity, (File 333-128888 - Oct. 7) (BR. 04) N-2 Eaton Vance Tax-Managed Buy-Write Research Fund, THE EATON VANCE BUILDING, 255 STATE STREET, BOSTON, MA, 02109, 617-482-8260 - 50,000 ($1,000,000.00) Equity, (File 333-128889 - Oct. 7) (BR. 16) S-8 Vyteris Holdings (Nevada), Inc., 1390 SOUTH 1100 EAST SUITE 204, SALT LAKE CITY, UT, 84105-2463, 2017032299 - 2,901,902 ($5,513,614.00) Equity, (File 333-128890 - Oct. 7) (BR. 01) SB-2 Alliance Distributors Holding Inc., 15-15 132ND STREET, COLLEGE POINT, NY, 11356, 718-747-1500 - 48,597,113 ($19,681,830.77) Equity, (File 333-128892 - Oct. 7) (BR. 03C) S-3 JAMESON INNS INC, 8 PERIMETER CENTER E, STE 8050, ATLANTA, GA, 30346-1603, 7709019020 - 0 ($28,353,788.00) Equity, (File 333-128893 - Oct. 7) (BR. 08B) S-4 FULTON FINANCIAL CORP, ONE PENN SQ, PO BOX 4887, LANCASTER, PA, 17604, 7172912411 - 14,382,332 ($246,015,191.73) Equity, (File 333-128894 - Oct. 7) (BR. 07B) S-8 SIGMA DESIGNS INC, 1221 CALIFORNIA CIRCLE, MILPITAS, CA, 95035, 4082629003 - 866,506 ($9,110,803.36) Equity, (File 333-128895 - Oct. 7) (BR. 03C) S-8 GENERAL MARITIME CORP/, 299 PARK AVENUE, NEW YORK, NY, 10171, 2127635600 - 1,500,000 ($52,770,000.00) Equity, (File 333-128896 - Oct. 7) (BR. 05A) S-8 EXIDE TECHNOLOGIES, 13000 DEERFIELD PARKWAY, BUILDING 200, ALPHARETTA, GA, 30004, 6785669000 - 3,125,000 ($15,812,500.00) Equity, (File 333-128897 - Oct. 7) (BR. 10B) S-8 WebMD Health Corp., 669 RIVER DR., CENTER 2, ELMWOOD PARK, NJ, 07407, 201-703-3400 - 0 ($141,807,314.20) Equity, (File 333-128898 - Oct. 7) (BR. 08B) S-1 Tandem Health Care, Inc., 800 CONCOURSE PARKWAY SOUTH, SUITE 200, MAITLAND, FL, 32751, (407) 571-1550 - 0 ($143,750,000.00) Equity, (File 333-128900 - Oct. 7) (BR. 11) S-8 UNITED FINANCIAL CORP \MN\, 120 1ST AVENUE NORTH, GREAT FALLS, MT, 59401, 4067276106 - 60,000 ($1,488,600.00) Equity, (File 333-128901 - Oct. 7) (BR. 07B) SB-2 E ENERGY ADAMS LLC, 105 EAST VETERANS STREET, TOMAH, WI, 68301, 6083725755 - 5,810 ($58,100,000.00) Equity, (File 333-128902 - Oct. 7) (BR. 09) S-3 WEATHERFORD INTERNATIONAL LTD, 515 POST OAK BLVD, STE 600, HOUSTON, TX, 77027-3415, 7136934000 - 26,000,000 ($1,641,120,000.00) Equity, (File 333-128903 - Oct. 7) (BR. 04B) S-8 AVALON PHARMACEUTICALS INC, 20358 SENECA MEADOWS PARKWAY, GERMANTOWN, MD, 20876, 3015569900 - 0 ($10,540,550.00) Equity, (File 333-128904 - Oct. 7) (BR. 01) S-3 IPC HOLDINGS LTD, 29 RICHMOND RD, C/O AMERICAN INTERNATIONAL BLDG, PEMBROKE HM 08 BERMU, D0, 00000, 4412952121 - 0 ($1,250,000,000.00) Other, (File 333-128905 - Oct. 7) (BR. 01A) SB-2 BLUE HOLDINGS, INC., 5804 E. SLAUSON AVE., COMMERCE, CA, 90040, (323) 725-5555 - 3,000,000 ($25,575,000.00) Equity, (File 333-128906 - Oct. 7) (BR. 02C) SB-2 Triangle Petroleum CORP, SUN LIFE PLAZA, SUITE 1600, 144-4TH AVENUE SW, CALGARY, A0, R2P 3N4, 403-269-3537 - 12,300,000 ($49,507,500.00) Equity, (File 333-128907 - Oct. 7) (BR. 09B) S-8 POPULAR INC, 209 MUNOZ RIVERA AVE, POPULAR CENTER BUILDING, HATO REY, PR, 00918, 7877659800 - 0 ($11,565,000.00) Equity, (File 333-128909 - Oct. 7) (BR. 07B) SB-2 INTELLIPHARMACEUTICS LTD, 405 BRITTANIA ROAD EAST, SUITE 106, MISSISSAUGA, A6, L4Z 3E7, 905-507-3001 - 21,247,446 ($42,494,892.00) Equity, (File 333-128911 - Oct. 7) (BR. 09) RECENT 8K FILINGS Form 8-K is used by companies to file current reports on the following events: 1.01 Entry into a Material Definitive Agreement 1.02 Termination of a Material Definitive Agreement 1.03 Bankruptcy or Receivership 2.01 Completion of Acquisition or Disposition of Assets 2.02 Results of Operations and Financial Condition 2.03 Creation of a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement of a Registrant 2.04 Triggering Events That Accelerate or Increase a Direct Financial Obligation under an Off-Balance Sheet Arrangement 2.05 Cost Associated with Exit or Disposal Activities 2.06 Material Impairments 3.01 Notice of Delisting or Failure to Satisfy a Continued Listing Rule or Standard; Transfer of Listing 3.02 Unregistered Sales of Equity Securities 3.03 Material Modifications to Rights of Security Holders 4.01 Changes in Registrant’s Certifying Accountant 4.02 Non-Reliance on Previously Issued Financial Statements or a Related Audit Report or Completed Interim Review 5.01 Changes in Control of Registrant 5.02 Departure of Directors or Principal Officers; Election of Directors; Appointment of Principal Officers 5.03 Amendments to Articles of Incorporation or Bylaws; Change in Fiscal Year 5.04 Temporary Suspension of Trading Under Registrant's Employee Benefit Plans 5.05 Amendments to the Registrant’s Code of Ethics, or Waiver of a Provision of the Code of Ethics 6.01. ABS Informational and Computational Material. 6.02. Change of Servicer or Trustee. 6.03. Change in Credit Enhancement or Other External Support. 6.04. Failure to Make a Required Distribution. 6.05. Securities Act Updating Disclosure. 7.01 Regulation FD Disclosure 8.01 Other Events 9.01 Financial Statements and Exhibits 8-K reports may be obtained in person or by writing to the Commission's Public Reference Branch at 450 Fifth Street, N.W., Washington, D.C. 20549 or at the following e-mail box address: . In most cases, this information is also available on the Commission's website: . STATE 8K ITEM NO. NAME OF ISSUER CODE DATE COMMENT 24HOLDINGS INC DE 1.01,2.01,3.02,5.01,5.02,9.01 09/30/05 AMEND A.C. Moore Arts & Crafts, Inc. PA 2.02,9.01 10/06/05 ABOVENET INC DE 8.01,9.01 10/07/05 ADOLOR CORP 1.01,9.01 10/07/05 ADVANCED ENERGY INDUSTRIES INC DE 1.01,9.01 10/03/05 Advaxis, Inc. CO 8.01 10/07/05 ADVENTRX PHARMACEUTICALS INC DE 1.01,8.01,9.01 10/03/05 AHPC Holdings, Inc. MD 1.01,2.03,3.02,9.01 10/03/05 AIMS WORLDWIDE INC NV 8.01,9.01 10/07/05 AMEND ALASKA AIR GROUP INC DE 7.01 10/07/05 ALLETE INC MN 2.03 10/06/05 ALLIANCE BANKSHARES CORP 8.01,9.01 10/07/05 ALPHA INNOTECH CORP DE 2.01,3.02,3.03,5.01,5.02,5.03,9.01 10/03/05 AMC ENTERTAINMENT INC DE 8.01,9.01 10/07/05 AMERICA ONLINE LATIN AMERICA INC DE 1.01,9.01 10/03/05 AMERICAN EXPRESS CO NY 8.01,9.01 10/06/05 AMERICAN INTERNATIONAL GROUP INC DE 8.01,9.01 10/06/05 AMERICAN PACIFIC CORP DE 1.01 10/06/05 AMERICAN SEAFOODS GROUP LLC DE 1.01 10/06/05 AMERICAN SOIL TECHNOLOGIES INC NV 1.01,9.01 10/07/05 AMERICAN TOWER CORP /MA/ DE 5.02,9.01 10/07/05 AMERICANA PUBLISHING INC CO 2.04 10/04/05 AMSCAN HOLDINGS INC DE 8.01 09/26/05 AQUA AMERICA INC PA 5.02 10/04/05 ARIES VENTURES INC NV 8.01,9.01 10/07/05 ART BOUTIQUE INC WY 3.02 09/09/05 ARTESIAN RESOURCES CORP DE 4.01 10/06/05 ASG Consolidated LLC DE 1.01 10/06/05 ASPEN INSURANCE HOLDINGS LTD D0 1.01,9.01 10/04/05 ASPENBIO INC CO 1.01,8.01,9.01 10/03/05 ASTRATA GROUP INC NV 1.01,2.03,3.02,9.01 10/07/05 AVON PRODUCTS INC NY 1.01 10/07/05 BANC OF AMERICA FUNDING CORP DE 8.01,9.01 10/06/05 BAYCORP HOLDINGS LTD DE 2.03,9.01 10/07/05 BCB BANCORP INC 8.01,9.01 10/07/05 BEAR STEARNS ASSET BACKED SECURITIES DE 2.01,8.01,9.01 10/07/05 BEAR STEARNS COMPANIES INC DE 8.01,9.01 09/21/05 BECKMAN COULTER INC DE 1.01,8.01 10/04/05 BELDEN & BLAKE CORP /OH/ OH 5.02 10/03/05 BERKSHIRE HATHAWAY INC DE 8.01,9.01 10/07/05 BIG 5 SPORTING GOODS CORP DE 5.02,8.01 10/03/05 BIMINI MORTGAGE MANAGEMENT INC MD 7.01,9.01 10/07/05 BIONUTRICS INC NV 1.01,8.01,9.01 10/07/05 BLOCKBUSTER INC DE 2.02,9.01 10/06/05 BLUE HOLDINGS, INC. NV 1.01,9.01 10/06/05 BOWATER INC DE 2.02,9.01 10/04/05 BPZ ENERGY INC CO 7.01,9.01 10/06/05 BRE PROPERTIES INC /MD/ MD 2.02,9.01 10/06/05 BROOKSTONE INC DE 5.01,9.01 10/04/05 BRUKER BIOSCIENCES CORP DE 1.01 10/03/05 BUSINESS OBJECTS S.A. 5.03,8.01,9.01 10/03/05 CABCO TRUST FOR TEXACO CAPITAL INC. G DE 8.01,9.01 10/01/05 CABOT MICROELECTRONICS CORP DE 8.01,9.01 10/06/05 CAGLES INC GA 2.03 10/06/05 CANARGO ENERGY CORP DE 7.01,9.01 10/06/05 CANTEL MEDICAL CORP DE 2.02,9.01 09/29/05 CAPITAL LEASE FUNDING INC 9.01 09/30/05 AMEND CAPITAL TRUST INC MD 3.01 10/05/05 CARDIODYNAMICS INTERNATIONAL CORP CA 2.02,9.01 10/05/05 CARMAX INC VA 5.02,9.01 10/06/05 CELERITY SYSTEMS INC DE 1.01,3.02,9.01 10/07/05 Cellu Tissue Holdings, Inc. DE 2.02,9.01 10/06/05 CENTURY PACIFIC FINANCIAL CORP AZ 5.02 10/07/05 CHASE BANK USA, NATIONAL ASSOCIATION DE 8.01,9.01 10/06/05 CHASE BANK USA, NATIONAL ASSOCIATION 8.01,9.01 10/06/05 CHECKERS DRIVE IN RESTAURANTS INC /DE DE 7.01,9.01 10/05/05 CHEESECAKE FACTORY INCORPORATED DE 8.01,9.01 10/05/05 CHEESECAKE FACTORY INCORPORATED DE 8.01,9.01 10/06/05 CHENIERE ENERGY INC DE 8.01,9.01 10/07/05 CHESAPEAKE ENERGY CORP OK 5.03,9.01 10/06/05 CHINA GRANITE CORP NV 2.04,4.02,9.01 09/22/05 AMEND CHINA MEDIA1 CORP. NV 4.01,5.02,9.01 05/05/05 CINERGY CORP DE 1.01,9.01 10/03/05 CITIGROUP INC DE 9.01 10/07/05 CLECO CORP LA 8.01,9.01 10/07/05 COLGATE PALMOLIVE CO DE 5.02 10/06/05 Commercial Vehicle Group, Inc. DE 1.02 10/03/05 CORNING INC /NY NY 1.01,5.02,8.01 10/05/05 COVAD COMMUNICATIONS GROUP INC DE 1.01,3.02,9.01 10/04/05 CRESCENT FINANCIAL CORP NC 8.01,9.01 10/05/05 CRIIMI MAE INC MD 1.01,9.01 10/07/05 CROSSTEX ENERGY LP DE 2.02,9.01 10/06/05 CSFB Mortgage-Backed Pass-Through Cer DE 8.01,9.01 07/25/05 AMEND CYTRX CORP DE 1.01,9.01 10/06/05 DANKA BUSINESS SYSTEMS PLC 5.02,9.01 10/07/05 DECKERS OUTDOOR CORP DE 3.01,7.01,9.01 10/03/05 DECORIZE INC DE 3.01,7.01,9.01 10/03/05 DELPHI CORP DE 1.01,9.01 10/04/05 DELTA AIR LINES INC /DE/ DE 3.01,8.01,9.01 10/04/05 DENNYS CORP DE 2.02,9.01 09/28/05 DEVELOPERS DIVERSIFIED REALTY CORP OH 8.01,9.01 10/04/05 DEX MEDIA INC DE 1.01,9.01 10/03/05 DISCOVER CARD MASTER TRUST I DE 8.01,9.01 10/05/05 DRUGSTORE COM INC DE 1.01,9.01 10/03/05 DUKE ENERGY CORP NC 1.01,7.01,8.01,9.01 01/07/05 DYNECO CORP MN 2.04,8.01 09/01/05 E TRADE FINANCIAL CORP DE 2.01,9.01 10/06/05 EARTHFIRST TECHNOLOGIES INC FL 5.02 10/03/05 ECB BANCORP INC NC 8.01,9.01 10/06/05 EDENTIFY, INC. NV 1.01,9.01 10/03/05 ELDORADO ARTESIAN SPRINGS INC CO 1.01 10/07/05 ELECTRONIC DATA SYSTEMS CORP /DE/ DE 1.01 10/06/05 Electronic Sensor Technology, Inc 1.01,1.02,9.01 10/03/05 ELECTRONICS BOUTIQUE HOLDINGS CORP DE 7.01,8.01,9.01 10/06/05 EMAK Worldwide, Inc. DE 1.01 10/03/05 Encore Credit Receivables Trust 2005- DE 9.01 09/26/05 ENDO PHARMACEUTICALS HOLDINGS INC DE 1.01,8.01,9.01 10/06/05 ENDURANCE SPECIALTY HOLDINGS LTD 1.01,9.01 10/03/05 ENERGY WEST INC MT 7.01,9.01 10/06/05 ENNIS, INC. TX 5.02,9.01 10/06/05 Enterprise GP Holdings L.P. DE 1.01,2.03,9.01 10/05/05 ENTERPRISE PRODUCTS PARTNERS L P DE 1.01,2.03,9.01 10/05/05 EPIX Pharmaceuticals, Inc. 1.01,9.01 10/04/05 ESPEY MFG & ELECTRONICS CORP NY 8.01 10/07/05 EVEREST RE GROUP LTD D0 7.01,9.01 10/07/05 EXCO RESOURCES INC TX 1.01,5.02,9.01 09/30/05 FEDERAL NATIONAL MORTGAGE ASSOCIATION 8.01 10/07/05 FEDERATED DEPARTMENT STORES INC /DE/ DE 1.02,9.01 10/03/05 FIFTH THIRD BANCORP OH 1.01,9.01 10/06/05 FINANCIAL ASSET SECURITIES CORP DE 8.01,9.01 10/07/05 FINANCIAL ASSET SECURITIES CORP DE 8.01,9.01 10/07/05 FINANCIAL ASSET SECURITIES CORP DE 8.01,9.01 10/07/05 FIRST HORIZON ASSET SECURITIES INC DE 8.01,9.01 09/30/05 FIRST HORIZON ASSET SECURITIES INC DE 8.01,9.01 09/30/05 FIRST INDIANA CORP IN 8.01,9.01 10/06/05 FIRST REGIONAL BANCORP CA 2.02,7.01,9.01 10/06/05 FIRST UNION REAL ESTATE EQUITY & MORT OH 7.01,9.01 10/06/05 FIRSTBANK NW CORP WA 8.01,9.01 10/07/05 FISHER COMMUNICATIONS INC WA 1.01,5.02,9.01 10/03/05 FLYI INC DE 5.02 10/07/05 FNB FINANCIAL SERVICES CORP NC 7.01,9.01 10/04/05 FONIX CORP DE 1.01,3.02,5.03 10/06/05 FORD MOTOR CREDIT CO DE 8.01,9.01 10/06/05 Fortune Partners, Inc. NV 1.01,2.01,5.01,5.02,9.01 09/30/05 GE Commercial Mortgage Corp. Series 2 DE 8.01,9.01 09/12/05 AMEND GENCORP INC OH 2.02,7.01,9.01 10/07/05 GENZYME CORP MA 1.01 08/25/05 GIBRALTAR INDUSTRIES, INC. DE 1.01,1.02,2.01,7.01,9.01 10/03/05 GLOBAL MATRECHS, INC. DE 1.01,2.03,3.02,9.01 10/03/05 GLOWPOINT INC DE 3.01,9.01 10/03/05 GOLDSTRIKE INC NV 1.01,3.02,9.01 10/07/05 AMEND Great Wolf Resorts, Inc. DE 1.01,8.01,9.01 10/03/05 GS MORTGAGE SECURITIES CORP DE 8.01,9.01 10/05/05 GS MORTGAGE SECURITIES CORP DE 8.01 10/04/05 GS MORTGAGE SECURITIES CORP DE 8.01 10/07/05 GSR Mortgage Loan Trust 2005-7F DE 8.01,9.01 09/26/05 GSR Mortgage Loan Trust 2005-AR2 DE 8.01,9.01 09/26/05 HEARTLAND OIL & GAS CORP NV 5.02 10/05/05 HEMISPHERX BIOPHARMA INC DE 1.01 10/07/05 HEWITT ASSOCIATES INC DE 1.01,9.01 10/03/05 HORNBECK OFFSHORE SERVICES INC /LA DE 1.01,2.03,8.01,9.01 10/04/05 HSBC Finance CORP 5.02 10/01/05 HSBC USA INC /MD/ MD 5.02 10/01/05 ICO INC TX 1.01,9.01 10/03/05 ICONIX BRAND GROUP, INC. DE 9.01 07/22/05 AMEND IDEX CORP /DE/ DE 8.01 10/06/05 IDT CORP DE 5.02,9.01 10/03/05 IMERGENT INC DE 4.01,9.01 10/07/05 INDEPENDENT BANK CORP /MI/ MI 1.01,9.01 10/06/05 INERGY HOLDINGS, L.P. 1.01,7.01,8.01 10/04/05 INERGY L P DE 1.01,7.01,8.01,9.01 10/04/05 INFORM WORLDWIDE HOLDINGS INC CO 4.01,5.02 09/08/05 AMEND INTERNATIONAL PAPER CO /NEW/ NY 2.01,9.01 10/04/05 INTERNET CAPITAL GROUP INC DE 7.01,9.01 10/07/05 INTERWOVEN INC CA 1.01 10/03/05 Investors Bancorp Inc DE 8.01,9.01 10/07/05 IPC HOLDINGS LTD 8.01,9.01 10/07/05 IPEX, INC NV 5.02,9.01 09/07/05 AMEND Irwin Whole Loan Home Equity Trust 20 DE 8.01,9.01 09/26/05 IT&E INTERNATIONAL GROUP 1.02,9.01 10/06/05 ITEC ATTRACTIONS INC NV 1.01,9.01 07/12/05 ITERIS, INC. DE 5.02 10/03/05 JOHNSON CONTROLS INC WI 8.01 10/07/05 JPMorgan Chase Commercial Mortgage Se DE 8.01,9.01 09/29/05 K-SEA TRANSPORTATION PARTNERS LP DE 8.01,9.01 10/07/05 K2 DIGITAL INC DE 1.02 10/01/05 KAISER GROUP HOLDINGS INC DE 8.01,9.01 10/06/05 Kearny Financial Corp. X1 8.01 10/07/05 KEY ENERGY SERVICES INC MD 1.02,2.03,2.04,9.01 10/07/05 KNOT INC DE 5.02 10/05/05 KODIAK ENERGY, INC. DE 1.01,2.01 10/03/05 KOMAG INC /DE/ DE 1.01,5.02 10/03/05 LA JOLLA PHARMACEUTICAL CO DE 1.01,3.02,9.01 10/06/05 LABRANCHE & CO INC DE 5.02,8.01,9.01 10/07/05 LAKES ENTERTAINMENT INC MN 8.01,9.01 10/06/05 LASALLE HOTEL PROPERTIES MD 7.01,9.01 10/07/05 LIFESTREAM TECHNOLOGIES INC NV 1.01 10/01/05 LIFEWAY FOODS INC IL 7.01,9.01 10/06/05 LIGHTING SCIENCE GROUP CORP DE 1.02,5.02,9.01 10/04/05 LONE STAR STEAKHOUSE & SALOON INC DE 2.02,9.01 10/06/05 LOUDEYE CORP DE 1.01,9.01 10/05/05 M POWER ENTERTAINMENT INC. DE 8.01 05/26/05 MAIN STREET BANKS INC /NEW/ GA 1.01,8.01,9.01 10/04/05 MAIR HOLDINGS INC MN 8.01 10/07/05 MANATRON INC MI 7.01 10/07/05 MARATHON OIL CORP DE 2.02,9.01 10/05/05 MARKLAND TECHNOLOGIES INC FL 1.01,1.02,3.02,9.01 10/04/05 MARLIN BUSINESS SERVICES CORP 7.01,9.01 10/07/05 MAYTAG CORP DE 7.01,9.01 10/06/05 MCI INC DE 8.01,9.01 10/06/05 MDC HOLDINGS INC DE 2.02,7.01,9.01 10/06/05 MDC HOLDINGS INC DE 7.01,9.01 10/06/05 MECHANICAL TECHNOLOGY INC NY 5.02,9.01 10/06/05 MED GEN INC NV 8.01 10/07/05 MERCURY INTERACTIVE CORP DE 8.01,9.01 10/07/05 MERIDIAN RESOURCE CORP TX 2.02,9.01 10/07/05 MERIX CORP OR 1.01 09/29/05 MERRILL LYNCH MORTGAGE INVESTORS INC DE 8.01,9.01 10/05/05 METROCORP BANCSHARES INC 1.01,2.01,9.01 10/05/05 METROCORP BANCSHARES INC 8.01 10/03/05 MFB CORP IN 1.01,9.01 09/29/05 MGI PHARMA INC MN 1.01,2.01,2.03,2.04,5.02,9.01 10/03/05 MGIC INVESTMENT CORP WI 1.01,8.01,9.01 10/04/05 MICROFIELD GROUP INC OR 5.02 10/05/05 MIDWAY GAMES INC DE 1.01,9.01 10/06/05 MIRANT AMERICAS GENERATING LLC DE 8.01,9.01 10/06/05 MIRANT CORP DE 8.01,9.01 10/06/05 MIRANT MID ATLANTIC LLC DE 8.01,9.01 10/06/05 MKS INSTRUMENTS INC MA 1.01,9.01 10/03/05 MOHEGAN TRIBAL GAMING AUTHORITY 5.02 10/03/05 AMEND Morningstar, Inc. IL 7.01 10/07/05 MORTGAGE ASSET SECURITIZATION TRANSAC DE 8.01,9.01 10/07/05 Mortgage Asset-Backed Pass-Through Ce DE 8.01,9.01 10/04/05 NANOPIERCE TECHNOLOGIES INC NV 7.01,9.01 10/07/05 NASTECH PHARMACEUTICAL CO INC DE 1.01,9.01 10/05/05 NATHANIEL ENERGY CORP NV 1.01 10/04/05 National Collegiate Student Loan Trus 9.01 10/07/05 NATIONAL FUEL GAS CO NJ 2.02,2.06,7.01,9.01 10/06/05 NATIONWIDE HEALTH PROPERTIES INC MD 1.01,9.01 10/06/05 NATURAL GAS SYSTEMS INC/NEW NV 1.01,9.01 09/29/05 NESCO INDUSTRIES INC NV 1.01 10/03/05 NEW HORIZONS WORLDWIDE INC DE 2.04,9.01 10/05/05 New York & Company, Inc. 5.02,9.01 10/07/05 NEWCOM INTERNATIONAL INC 5.01,5.02,8.01,9.01 08/01/05 NewPage CORP DE 4.02 10/03/05 NEWPOWER HOLDINGS INC DE 8.01,9.01 10/04/05 NEXT INC/TN DE 2.02,9.01 10/06/05 NNN 2003 VALUE FUND LLC 2.01,9.01 09/30/05 NORTH FORK BANCORPORATION INC DE 8.01,9.01 10/07/05 NOVASTAR MORTGAGE FUNDING CORP DE 2.01,8.01,9.01 09/22/05 NS GROUP INC KY 7.01,9.01 10/07/05 OCEAN WEST HOLDING CORP DE 1.01,9.01 09/27/05 OFFICEMAX INC DE 1.01,5.02,9.01 10/03/05 ON SEMICONDUCTOR CORP DE 8.01 09/30/05 ONEIDA LTD NY 5.02 10/03/05 ONYX PHARMACEUTICALS INC DE 1.01,5.02,9.01 10/03/05 ORION HEALTHCORP INC DE 2.01,8.01,9.01 09/30/05 OXIS INTERNATIONAL INC DE 5.02,9.01 10/05/05 PACIFIC GAS & ELECTRIC CO CA 8.01 10/07/05 PAINCARE HOLDINGS INC CT 2.01,7.01,9.01 10/03/05 PALOMAR ENTERPRISES INC NV 1.01,3.02,9.01 08/01/05 PATHFINDER BANCORP INC DE 8.01 08/27/05 PEERLESS MANUFACTURING CO TX 1.02,5.02,9.01 10/03/05 PENN TRAFFIC CO DE 1.03,9.01 03/17/05 AMEND PERINI CORP MA 1.01,2.01 10/03/05 PERKINELMER INC MA 1.01,9.01 10/06/05 PERVASIVE SOFTWARE INC DE 4.01,9.01 10/03/05 PETROGEN CORP NV 5.02,9.01 10/07/05 PETROLEUM DEVELOPMENT CORP NV 5.03,9.01 10/07/05 PG&E CORP CA 8.01 10/07/05 POLYONE CORP 5.02,9.01 10/06/05 POMEROY IT SOLUTIONS INC DE 8.01,9.01 10/04/05 PRIME GROUP REALTY TRUST MD 4.01,9.01 10/05/05 PROVECTUS PHARMACEUTICALS INC NV 8.01 10/07/05 PSE&G Transition Funding II LLC DE 8.01,9.01 09/23/05 PUGET SOUND ENERGY INC WA 8.01,9.01 10/06/05 PULASKI FINANCIAL CORP MO 1.01 10/03/05 PW EAGLE INC MN 8.01,9.01 10/03/05 PXRE GROUP LTD 8.01,9.01 10/03/05 QUANTA CAPITAL HOLDINGS LTD 2.02,9.01 10/04/05 QUANTA CAPITAL HOLDINGS LTD 8.01,9.01 10/06/05 QUEST OIL CORP NV 1.01,1.02,3.02,5.02,8.01,9.01 08/30/05 QUEST RESOURCE CORP NV 1.02,5.01,5.02 09/30/05 RAAC Series 2005-SP1 Trust DE 8.01,9.01 10/05/05 RAILAMERICA INC /DE DE 7.01,9.01 10/05/05 RALI Series 2005-Q56 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA1 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA2 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA3 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA4 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA5 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA6 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA7 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA8 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QA9 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QO1 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QR1 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS1 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS1 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS10 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS11 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS12 Trust DE 8.01,9.01 10/04/05 Rali Series 2005-QS2 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS3 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS4 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS5 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS7 Trust DE 8.01,9.01 10/04/05 RALI Series 2005-QS8 Trust DE 8.01,9.01 10/04/05 RAMP Series 2005 SL2 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-EFC1 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-EFC2 DE 8.01,9.01 10/05/05 RAMP Series 2005-EFC3 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-RS1 Trust 8.01,9.01 10/05/05 RAMP Series 2005-RS2 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-RS3 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-RS4 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-RS5 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-RS6 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-RS7 Trust DE 8.01,9.01 09/01/05 RAMP Series 2005-RZ1 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-RZ2 Trust DE 8.01,9.01 10/05/05 RAMP Series 2005-SL1 Trust DE 8.01,9.01 10/05/05 RASC Series 2005-EMX1 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-EMX2 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS1 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS2 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS3 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS4 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS5 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS6 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS7 Trust DE 8.01,9.01 10/04/05 RASC Series 2005-KS8 Trust DE 8.01,9.01 10/04/05 RAYTECH CORP IN 8.01,9.01 10/06/05 RENTRAK CORP OR 9.01 10/07/05 RES CARE INC /KY/ KY 1.01,2.03,9.01 10/03/05 RESIDENTIAL ASSET SECURITIES CORP DE 8.01,9.01 10/07/05 RICKS CABARET INTERNATIONAL INC TX 7.01,9.01 10/06/05 ROBOTIC VISION SYSTEMS INC DE 2.01,8.01,9.01 10/03/05 SAFE TRANSPORTATION SYSTEMS INC FL 5.02 09/20/05 AMEND SAKS INC TN 8.01,9.01 10/06/05 SAVVIS, Inc. DE 3.01 10/03/05 SCANSOURCE INC SC 2.02,9.01 10/07/05 SELIGMAN NEW TECHNOLOGIES FUND INC 7.01 10/07/05 SEQUENOM INC DE 1.01,1.02,9.01 10/04/05 SHEFFIELD PHARMACEUTICALS INC DE 8.01 10/03/05 SHIRE PHARMACEUTICALS GROUP PLC 8.01,9.01 10/07/05 SHOPKO STORES INC WI 5.04,9.01 08/16/05 SIEBERT FINANCIAL CORP NY 5.02 10/03/05 SIERRA PACIFIC RESOURCES /NV/ NV 7.01,9.01 10/06/05 SIGNATURE EYEWEAR INC CA 1.02 10/03/05 SIRNA THERAPEUTICS INC CO 1.01,9.01 09/28/05 SKYLINE CORP IN 2.02,9.01 10/07/05 SMART ONLINE INC 1.01,2.01,9.01 10/04/05 SMITH & WOLLENSKY RESTAURANT GROUP IN DE 2.02,9.01 10/06/05 SONIC AUTOMOTIVE INC DE 1.01 10/06/05 SPECTRANETICS CORP DE 5.02,9.01 10/06/05 ST JUDE MEDICAL INC MN 8.01,9.01 10/07/05 STAGE STORES INC NV 2.02,9.01 10/06/05 STAKTEK HOLDINGS INC DE 1.01 10/06/05 State National Bancshares, Inc. TX 8.01,9.01 10/06/05 STERLING BANCORP NY 7.01,9.01 10/06/05 STRATTEC SECURITY CORP WI 1.01,5.03,9.01 10/04/05 STRATUS SERVICES GROUP INC DE 1.01 10/06/05 SUPERCONDUCTOR TECHNOLOGIES INC 3.01,9.01 10/05/05 SUREWEST COMMUNICATIONS CA 1.01,5.02,8.01,9.01 10/07/05 T REIT INC VA 9.01 08/03/05 AMEND TECHNEST HOLDINGS INC NV 1.01,3.02,9.01 10/03/05 Tectonic Network, Inc DE 1.01,2.03 10/03/05 Telesis Technology Corp 9.01 10/06/05 TENNANT CO MN 1.01,5.02,9.01 10/04/05 TETON ENERGY CORP DE 1.01,1.02,5.02,9.01 10/07/05 TGC INDUSTRIES INC TX 1.01,9.01 10/05/05 THINKPATH INC A6 4.02,5.02 09/15/05 THORNBURG MORTGAGE INC MD 2.02,9.01 10/06/05 TORTUGA MEXICAN IMPORTS INC NV 5.02 10/07/05 TRANSACTION SYSTEMS ARCHITECTS INC DE 2.05,5.02,9.01 10/05/05 TRICO MARINE SERVICES INC DE 7.01,8.01,9.01 10/07/05 TWEETER HOME ENTERTAINMENT GROUP INC DE 2.02,9.01 10/06/05 TXU CORP /TX/ TX 8.01 10/04/05 U. S. Premium Beef, Inc. DE 7.01,9.01 10/07/05 UNION PACIFIC CORP UT 2.02,9.01 10/07/05 UNION PACIFIC RAILROAD CO/DE DE 2.02,9.01 10/07/05 UNIT CORP DE 7.01,9.01 10/07/05 UNIVERSAL CITY DEVELOPMENT PARTNERS L 5.02 10/03/05 Universal City Florida Holding Co. I FL 5.02 10/03/05 URS CORP /NEW/ DE 1.01,9.01 10/04/05 URSTADT BIDDLE PROPERTIES INC MD 8.01,9.01 10/07/05 USA VIDEO INTERACTIVE CORP WY 8.01,9.01 09/13/05 VERMONT PURE HOLDINGS LTD/DE DE 5.02 10/03/05 VERSO TECHNOLOGIES INC MN 5.03,8.01,9.01 10/03/05 VERTICALNET INC PA 9.01 07/22/05 AMEND VIRTGAME COM CORP DE 2.01,5.01 10/07/05 Visiphor CORP A1 7.01 10/05/05 Vistula Communications Services, Inc. DE 1.01,3.02,9.01 10/03/05 VITAL LIVING INC AZ 5.02 09/30/05 WACCAMAW BANKSHARES INC NC 8.01,9.01 10/07/05 WASHINGTON REAL ESTATE INVESTMENT TRU MD 1.01,5.02,9.01 10/07/05 WCI COMMUNITIES INC 1.01 10/03/05 WELLCO ENTERPRISES INC NC 2.02 10/07/05 WENDYS INTERNATIONAL INC OH 1.01 10/03/05 WHERIFY WIRELESS INC DE 2.01,9.01 10/07/05 AMEND Whos Your Daddy Inc NV 1.01,9.01 10/05/05 WILLIAM LYON HOMES DE 2.02,9.01 10/05/05 WINFIELD CAPITAL CORP NY 8.01 10/03/05 WNC HOUSING TAX CREDIT FUND VI LP SER 8.01,9.01 08/24/05 XETHANOL CORP CO 5.02,9.01 03/27/05 ZAPATA CORP NV 1.01 10/03/05 ZYNEX MEDICAL HOLDINGS INC NV 1.01,2.03 10/05/05