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U.S. Securities and Exchange Commission


                           SEC NEWS DIGEST


Issue 2007-170                                       September 4, 2007


COMMISSION ANNOUNCEMENTS


COMMISSION MEETINGS

Following  is  a  schedule  of  Commission  meetings,  which  will  be
conducted under provisions of the  Government  in  the  Sunshine  Act.
Meetings will be scheduled according to  the  requirements  of  agenda
items under consideration.

Open meetings will be held  in  the  Auditorium,  Room  L-002  at  the
Commission's headquarters building, 100 F  Street,  N.E.,  Washington,
D.C. Visitors are welcome at all open meetings, insofar  as  space  is
available. Persons  wishing  to  photograph  or  videotape  Commission
meetings must obtain permission in advance from the Secretary  of  the
Commission. Persons wishing to tape record a Commission meeting should
notify the Secretary's office 48 hours in advance of the meeting.

Any member of the public who requires auxiliary aids such  as  a  sign
language interpreter or material on tape to attend  a  public  meeting
should contact Rochelle Franks, Office of  Human  Resources,  to  make
arrangements. Ms. Franks can be reached at TTY number (202)  551-4106.
In  the  event  Ms.  Franks  cannot  be  reached,  you  may  call  the
interpreter directly at (202) 551-4158. If you are calling from a  non
TTY number, please call the Relay Service at 1 866 377 8642.

OPEN MEETING - MONDAY, SEPTEMBER 10, 2007 - 10:00 A.M.

The subject matter of the open meeting scheduled for September 10 will
be:

The  SEC  will  hold  its  second  annual  Seniors   Summit   at   its
headquarters, 100 F Street, NE, Washington DC 20549.  The  event  will
further examine how regulators, community  organizations,  and  others
can increasingly coordinate efforts to protect  older  Americans  from
abusive sales practices and investment fraud.  (Sunshine  Act  Notice;
Press Release No. 2007-160)

At times, changes in Commission priorities require alterations in  the
scheduling of meeting items. For further information and to  ascertain
what, if any, matters have been added, deleted  or  postponed,  please
contact: The Office of the Secretary at (202) 551-5400.

ERIK SIRRI TO TESTIFY

Erik Sirri, Director  of  the  Division  of  Market  Regulation,  U.S.
Securities and Exchange Commission,  will  testify  before  the  House
Financial Services Committee on Wednesday, Sept. 5, 2007. Mr.  Sirri's
testimony, which concerns recent events in  the  credit  and  mortgage
markets, will be delivered at a hearing of the Committee which will be
held in Room 2128 of the Rayburn House Office Building at 10:30 a.m.

CHAIRMAN COX TO TESTIFY

Christopher Cox, Chairman, U.S. Securities  and  Exchange  Commission,
will  testify  before  the  Senate  Special  Committee  on  Aging   on
Wednesday, Sept. 5, 2007. Chairman  Cox's  testimony,  which  concerns
Commission efforts to protect senior citizens from  investment  fraud,
will be delivered at a hearing of the Committee which will be held  in
Room 628 of the Dirksen Senate Office Building at 3:00 p.m.


ENFORCEMENT PROCEEDINGS


IN THE MATTER OF ANTHONY M. RAMUNNO, JR.

On  September  4,  the  Commission   issued   an   Order   Instituting
Administrative  Proceedings  Pursuant  to  Section   203(f)   of   the
Investment Advisers Act of 1940 and Notice of Hearing (Order)  against
Anthony M. Ramunno, Jr. The Division  of  Enforcement  alleges,  among
other things, that on May 1, 2007, Ramunno pleaded guilty to one count
each of wire fraud and mail fraud in violation  of  Title  18,  United
States Code, Sections 1343 and 1341,  respectively,  in  the  criminal
action entitled U.S. v.  Anthony  Michael  Ramunno,  Jr.,  a/k/a  Mick
Ramunno, Criminal Indictment No. 1:07-CR-061,  in  the  U.S.  District
Court for the Northern District of Georgia. The  indictment  to  which
Ramunno pleaded guilty alleged that from in or about November 2003  up
to on or about Jan. 18, 2007, Ramunno defrauded investors in a private
investment pool he controlled. The  indictment  further  alleged  that
Ramunno  failed  to  disclose  to  pool  participants  that   he   was
consistently losing  money  in  commodity  futures  trading,  was  not
generating profits for investors, and was misappropriating substantial
amounts of victim funds to pay for purely personal expenses, including
a luxury home and multiple high-end automobiles and  motorcycles.  The
indictment also alleged that, to keep existing  investors  and  entice
potential new ones, Ramunno crafted and  distributed  false  financial
statements for the private investment pool, as well as forged  opinion
letters from a national public accounting firm.

A hearing will be scheduled before  an  administrative  law  judge  to
determine whether the allegations contained in the Order are true, and
to provide Ramunno an opportunity to dispute the  allegations  and  to
determine what remedial sanctions, if any, are appropriate and in  the
public interest.

The Order requires the Administrative Law Judge to  issue  an  initial
decision no later than 210 days from the date of the  service  of  the
Order, pursuant  to  Rule  360(a)(2)  of  the  Commission's  Rules  of
Practice. (Rel. IA-2640; File No. 3-12742)


INVESTMENT COMPANY ACT RELEASES


NOTICES OF DEREGISTRATION UNDER THE INVESTMENT COMPANY ACT

For the month of  August,  2007,  a  notice  has  been  issued  giving
interested persons until September 25 to request a hearing on  any  of
the following applications for an order  under  Section  8(f)  of  the
Investment Company Act declaring that the applicant has ceased  to  be
an investment company:

     Alliance World Dollar Government Fund, Inc. [File No. 811-7108]
     Alliance Global Environment Fund, Inc. [File No. 811-5993]
     First American Strategic Income Portfolio  Inc.  [File  No.  811-
     21271]
     Highland Corporate Opportunities Fund [File No. 811-21766]
     Prudential Pacific Growth Fund, Inc. [File No. 811-6391]
     J.P. Morgan Fleming Series Trust [File No. 811-21276]
     Torrey Multi-Strategy Partners, LLC [File No. 811-21068]
     The Valiant Fund [File No. 811-7582]
     Oppenheimer High Yield Fund [File No. 811-2849]
     Equipointe Funds [File No. 811-21508]
     First Investors Cash Management Fund, Inc. [File No. 811-2860]
     Capitol Life Separate Account M [File  No.  811-2873]
     (Rel. IC-27962 - August 31)

SPA ETF TRUST and SPA ETF Inc.

A notice has been issued giving interested persons until September  25
to request a hearing on an application filed by SPA ETF Trust and  SPA
ETF Inc.  for  an  order  to  permit  series  of  open-end  management
investment companies to issue shares  of  limited  redeemability  that
would trade in the secondary market at negotiated  prices.  The  order
would permit dealers to sell shares of the  series  in  the  secondary
market unaccompanied by a prospectus when prospectus delivery  is  not
required by the Securities Act of 1933. The order  also  would  permit
certain affiliated persons of the series to deposit  securities  into,
and receive securities from, the series. (Rel. IC-27963 - August 31)


SELF-REGULATORY ORGANIZATIONS


APPROVAL OF PROPOSED RULE CHANGE

The Commission approved a proposed  rule  change  (SR-NASDAQ-2007-042)
submitted by The NASDAQ Stock Market to modify the  entry  and  annual
fees paid by a  company  that  lists  on  Nasdaq  upon  emerging  from
bankruptcy. Publication is expected in the Federal Register during the
week of September 3. (Rel. 34-56339)

PROPOSED RULE CHANGE

The American Stock Exchange filed a  proposed  rule  change  (SR-Amex-
2007-95) relating to the execution of NDX and RUT combination  orders.
Publication is expected in the Federal Register  during  the  week  of
September 3. (Rel. 34-56343)


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  100   F   Street,   N.E.,
Washington, D.C. 20549-1090 or at the following  e-mail  box  address:
publicinfo@sec.gov. In most cases, this information is also  available
on the Commission's website: www.sec.gov.


S-8     LML PAYMENT SYSTEMS INC, 1680 1140 WEST PENDER ST, 
        VANCOUVER, BRITISH COLUMBIA, CANADA V6E 4GI, A1, 00000, 6046894440 - 
        6,000,000 ($19,500,000.00) Equity, (File 333-11404 - Aug. 31) (BR. 08B)

S-8     CALYPSO WIRELESS INC, 5979 NW 151ST STREET, MIAMI LAKES, FL, 33014, 
        7136547777 - 1,800,000 ($306,000.00) Equity, (File 333-145814 - 
        Aug. 31) (BR. 11C)

S-8     TRIMAS CORP, 2486315400 - 0 ($56,883,177.48) Other, (File 333-145815 - 
        Aug. 31) (BR. 06C)

S-8     FIRST STATE BANCORPORATION, 7900 JEFFERSON NE, ALBUQUERQUE, NM, 87109, 
        5052417500 - 0 ($9,827,500.00) Equity, (File 333-145816 - Aug. 31) 
        (BR. 07A)

S-8     ATMOS ENERGY CORP, 1800 THREE LINCOLN CTR, 5430 LBJ FREEWAY, DALLAS, 
        TX, 75240, 9729349227 - 0 ($69,575,000.00) Equity, (File 333-145817 - 
        Aug. 31) (BR. 02B)

S-1     ITC DELTACOM INC, 7037 OLD MADISON PIKE, HUNTSVILLE, AL, 35806, 
        256-382-5900 - 0 ($41,221,498.65) Equity, (File 333-145818 - Aug. 31) 
        (BR. 11C)

S-8     NORTECH SYSTEMS INC, 1120 WAYZATA BLVD EAST, SUITE 201, WAYZATA, MN, 
        55391, 9523452277 - 0 ($1,594,000.00) Equity, (File 333-145819 - 
        Aug. 31) (BR. 10B)

S-4     HARLEYSVILLE NATIONAL CORP, 483 MAIN ST, P O BOX 195, HARLEYSVILLE, PA, 
        19438, 2152568851 - 3,139,008 ($40,386,322.00) Equity, 
        (File 333-145820 - Aug. 31) (BR. 07B)

S-8     AEROSONIC CORP /DE/, 1212 N HERCULES AVE, CLEARWATER, FL, 33765, 
        727-461-3000 - 200,000 ($1,460,000.00) Equity, (File 333-145825 - 
        Aug. 31) (BR. 05A)

S-8     PARALLEL PETROLEUM CORP, 1004 N. BIG SPRING, SUITE 400, MIDLAND, TX, 
        79701, 9156843727 - 0 ($3,396,000.00) Equity, (File 333-145827 - 
        Aug. 31) (BR. 04C)

SB-2    No Show, Inc., 3415 OCATILLO MESA WAY, NORTH LAS VEGAS, NV, 89031, 
        702-277-7366 - 6,050,000 ($121,000.00) Equity, (File 333-145830 - 
        Aug. 31) (BR. )

SB-1    SURFACE COATINGS, INC., 2010 INDUSTRIAL #605, ROCKWALL, TX, 75087, 
        972-722-7351 - 1,000,000 ($500,000.00) Other, (File 333-145831 - 
        Aug. 31) (BR. )

S-3     JAVELIN PHARMACEUTICALS, INC, 125 CAMBRIDGEPARK DRIVE, CAMBRIDGE, MA, 
        02140, 617-349-4500 - 0 ($10,772,548.80) Equity, (File 333-145832 - 
        Aug. 31) (BR. 01A)

S-3ASR  ST JUDE MEDICAL INC, ONE LILLEHEI PLAZA, ST PAUL, MN, 55117, 
        6514832000 - 0 ($1,200,000,000.00) Debt Convertible into Equity, 
        (File 333-145833 - Aug. 31) (BR. 10C)

F-3ASR  CDC CORP, 33/F CITICORP CENTRE 18 WHITFIELD RD, CAUSEWAY BAY, 
        HONG KONG, K3, 00000, 8522893820 - 
        0 ($0.00) Unallocated (Universal) Shelf, (File 333-145834 - Aug. 31) 
        (BR. 03C)

S-1     El Paso Pipeline Partners, L.P., 1001 LOUISIANA ST., HOUSTON, TX, 
        77002, (713) 420-2600 - 
        0 ($603,750,000.00) Limited Partnership Interests, (File 333-145835 - 
        Aug. 31) (BR. )

S-3     DYNAVAX TECHNOLOGIES CORP, 2929 SEVENTH STREET, SUITE 100, BERKELEY, 
        CA, 94710, 5108485100 - 0 ($26,924,044.00) Equity, (File 333-145836 - 
        Aug. 31) (BR. 01A)

S-1     CRDENTIA CORP, 14114 DALLAS PARKWAY, SUITE 600, DALLAS, TX, 75254, 
        972-850-0780 - 0 ($2,901,655.00) Equity, (File 333-145837 - Aug. 31) 
        (BR. 08B)

S-1     Plains GP Holdings LP, 333 CLAY STREET SUITE 1600, HOUSTON, TX, 77002, 
        713 646 4100 - 0 ($400,000,000.00) Equity, (File 333-145839 - Aug. 31) 
        (BR. )

S-3     NOVACEA INC, 601 GATEWAY BOULEVARD, SUITE 800, SO SAN FRANCISCO, CA, 
        94080, (650) 228-1800 - 1,490,868 ($12,150,574.20) Equity, 
        (File 333-145840 - Aug. 31) (BR. 01C)

S-3     IA GLOBAL INC, 101 CALIFORNIA STREET, SUITE 2450, SAN FRANCISCO, CA, 
        94111, 415-946-8828 - 5,059,476 ($2,529,738.00) Equity, 
        (File 333-145841 - Aug. 31) (BR. 11B)

S-3     NOVACEA INC, 601 GATEWAY BOULEVARD, SUITE 800, SO SAN FRANCISCO, CA, 
        94080, (650) 228-1800 - 
        0 ($100,000,000.00) Debt Convertible into Equity, (File 333-145842 - 
        Aug. 31) (BR. 01C)

S-8     PROVIDENCE SERVICE CORP, 5524 E. FOURTH ST., TUSCON, AZ, 85711, 
        5207487108 - 0 ($1,000,000.00) Other, (File 333-145843 - Aug. 31) 
        (BR. 09B)

S-1     Anacor Pharmaceuticals Inc, 1060 E. MEADOW CIRCLE, PALO ALTO, CA, 
        94303, 650-739-0700 - 0 ($57,500,000.00) Equity, (File 333-145844 - 
        Aug. 31) (BR. )

F-3ASR  BARCLAYS BANK PLC /ENG/, 1 CHURCHILL PLACE, E14 5HP, LONDON ENGLAND, 
        X0, E14 5HP, 2124124000 - 0 ($0.00) Unallocated (Universal) Shelf, 
        (File 333-145845 - Aug. 31) (BR. 07C)

S-4     People's United Financial, Inc., C/O PEOPLE'S BANK, 850 MAIN STREET, 
        BRIDGEPORT, CT, 06604, 203-338-4114 - 
        53,020,467 ($834,786,045.00) Equity, (File 333-145846 - Aug. 31) 
        (BR. 07)

S-8     RAINING DATA CORP, 25A TECHNOLOGY DRIVE, IRVINE, CA, 92618, 
        949-442-4400 - 0 ($1,925,662.00) Equity, (File 333-145847 - Aug. 31) 
        (BR. 03B)

F-3ASR  ASTRAZENECA PLC, ZENECA GROUP PLC, 15 STANHOPE GATE - LEGAL DEPARTMENT, 
        LONDON W1Y 6LN ENGLA, X0, 00000, 0 ($0.00) Non-Convertible Debt, 
        (File 333-145848 - Aug. 31) (BR. 01C)

S-4     New Giant CORP, 814 LIVINGSTON COURT, MARIETTA, GA, 30067, 
        (770) 644-3000 - 230,297,656 ($1,089,307,912.88) Equity, 
        (File 333-145849 - Aug. 31) (BR. )

S-1     IPC The Hospitalist Company, Inc., 4605 LANKERSHIM BLVD., SUITE 617, 
        NORTH HOLLYWOOD, CA, 91602, 818-766-3502 - 0 ($105,000,000.00) Equity, 
        (File 333-145850 - Aug. 31) (BR. )

S-8     instaCare Corp., 2660 TOWNSGATE ROAD, SUITE 300, WESTLAKE VILLAGE, CA, 
        91361, 8054461973 - 8,000,000 ($720,000.00) Equity, (File 333-145851 - 
        Aug. 31) (BR. 09A)

S-1     STINGER SYSTEMS, INC, 2701 N ROCKY POINT DRIVE, SUITE 1130, TAMPA, FL, 
        33607, 813-281-1061 - 2,367,641 ($1,799,407.16) Equity, 
        (File 333-145852 - Aug. 31) (BR. 06B)

S-8     VALUECLICK INC/CA, 30699 RUSSELL RANCH DRIVE, SUITE 250, 
        WESTLAKE VILLAGE, CA, 91362, 818 575-4500 - 0 ($25,200,000.00) Equity, 
        (File 333-145853 - Aug. 31) (BR. 11C)


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  100   F   Street,   N.E.,
Washington, D.C. 20549-1090 or at the following  e-mail  box  address:
publicinfo@sec.gov. In most cases, this information is also  available
on the Commission's website: www.sec.gov.


				        STATE     
NAME OF ISSUER                          CODE   	 8K ITEM NO.		    	DATE       COMMENT
-------------------------------------------------------------------------------------------------------
8X8 INC /DE/                            DE       8.01,9.01                      08/29/07

ALLIANCE DATA SYSTEMS CORP              DE       8.01,9.01                      08/30/07

ALLIANT ENERGY CORP                     WI       5.04,9.01                      08/31/07

ALLIED WORLD ASSURANCE CO HOLDINGS LT            7.01,9.01                      08/31/07

ALTAIR NANOTECHNOLOGIES INC             A6       5.02                           08/29/07

AMAZON COM INC                          DE       5.02                           08/27/07

AMERICAN COLOR GRAPHICS INC             NY       1.01,9.01                      08/28/07

AMERICAN EQUITY INVESTMENT LIFE HOLDI   IA       1.01,9.01                      08/29/07

AMERICAN LOCKER GROUP INC               DE       4.02                           08/29/07

AMERICAN SAFETY INSURANCE HOLDINGS LT            5.02                           08/31/07

AMERICAS CARMART INC                    TX       5.02                           08/27/07

ANADARKO PETROLEUM CORP                 DE       8.01,9.01                      08/31/07

AOB BIOTECH INC                                  8.01                           08/16/07

APPLIED SIGNAL TECHNOLOGY INC           CA       2.02,9.01                      08/30/07

APPLIED SIGNAL TECHNOLOGY INC           CA       5.02,5.03,9.01                 08/30/07

ARCHON CORP                             NV       5.02,8.01                      08/31/07

ASAP SHOW, INC.                         NV       5.03                           08/31/07

ASIAN DRAGON GROUP INC.                 NV       1.01,3.02,5.02,8.01,9.01       06/06/07

ASPYRA INC                              CA       5.02,9.01                      08/29/07

AT&T INC.                               DE       8.01,9.01                      08/31/07

ATLANTIC COAST FEDERAL CORP             X1       8.01,9.01                      08/31/07

ATLAS AMERICA INC                       DE       5.05,9.01                      08/31/07

ATMEL CORP                              DE       5.02                           08/27/07

BAKER HUGHES INC                        DE       5.02,7.01,9.01                 08/30/07

BANK MUTUAL CORP                        WI       5.02                           08/31/07

BANKRATE INC                            FL       7.01,9.01                      08/30/07

BAUSCH & LOMB INC                       NY       8.01,9.01                      08/31/07

Bear Stearns ALT-A Trust II 2007-1      DE       8.01,9.01                      08/31/07

Bear Stearns ARM Trust 2007-5           DE       9.01                           08/31/07

Bear Stearns ARM Trust 2007-5           DE       9.01                           08/31/07

BEHRINGER HARVARD REIT I INC            MD       7.01,9.01                      08/31/07

BELK INC                                         2.02,9.01                      08/29/07

BERRY PETROLEUM CO                      DE       5.02,9.01                      08/31/07

BIOENVISION INC                         DE       8.01                           08/22/07

BLACKSANDS PETROLEUM, INC.              NV       5.02,8.01                      08/24/07

BLYTH INC                               DE       2.02                           08/30/07

BRISTOL MYERS SQUIBB CO                 DE       2.02,9.01                      07/26/07    AMEND

BTHC VII Inc                            DE       5.02                           08/29/07

BURLINGTON NORTHERN SANTA FE CORP       DE       8.01                           08/31/07

CALPINE CORP                            DE       7.01,9.01                      07/31/07

CAPELLA EDUCATION CO                             5.02                           08/29/07

CAPITAL ALLIANCE INCOME TRUST REAL ES   DE       9.01                           08/29/07

Card Activation Technologies Inc        DE       4.01,9.01                      08/13/07    AMEND

CAROLINA BANK HOLDINGS INC              NC       8.01                           08/31/07

CAROLINA NATIONAL CORP                  SC       1.01                           08/26/07

CARTOON ACQUISITION, INC.               DE       1.02,2.01,2.05,9.01            08/28/07

Chaparral Steel CO                      DE       8.01                           08/29/07

CHARLES & COLVARD LTD                   NC       5.02,9.01                      08/28/07

CHEESECAKE FACTORY INC                  DE       8.01,9.01                      08/31/07

CHEROKEE INC                            DE       5.02,9.01                      08/28/07

CHINA HEALTH RESOURCE, INC.             DE       8.01                           08/15/07

CHL Mortgage Pass-Through Trust 2007-   DE       8.01,9.01                      08/16/07

CINTEL CORP                             NV       1.01,9.01                      08/27/07

CITIZENS COMMUNICATIONS CO              DE       5.02                           08/31/07

CITRIX SYSTEMS INC                      DE       7.01,9.01                      08/31/07

CLX INVESTMENT COMPANY, INC.            CO       4.01                           06/22/07    AMEND

CNB FINANCIAL SERVICES INC              WV       8.01,9.01                      08/31/07

COBALT CMBS Commercial Mortgage Trust   DE       8.01,9.01                      08/03/07

COCA COLA ENTERPRISES INC               DE       8.01,9.01                      08/30/07

COHU INC                                DE       5.02,9.01                      08/30/07

COMPUWARE CORP                          MI       2.05,5.02,8.01,9.01            08/28/07

Comtech Group Inc                       MD       1.01,9.01                      08/27/07

CONTINAN COMMUNICATIONS, INC.           NV       5.02                           08/31/07

CONTINENTAL RESOURCES INC               OK       7.01,9.01                      08/29/07

Cord Blood America, Inc.                FL       8.01,9.01                      08/27/07

Cougar Biotechnology, Inc.                       5.02,9.01                      08/27/07

COUSINS PROPERTIES INC                  GA       5.02,9.01                      08/30/07

COVENANT TRANSPORTATION GROUP INC       NV       1.01,2.03                      08/30/07

CRESCENT BANKING CO                     GA       1.01,2.03,9.01                 08/27/07

CSMC Asset-Backed Trust 2007-NC1        DE       9.01                           08/31/07

CUBIST PHARMACEUTICALS INC              DE       5.02,9.01                      08/28/07

CYBERDEFENDER CORP                      CA       1.01,5.02,9.01                 08/30/07

CYBERONICS INC                          DE       2.02,5.02,9.01                 08/28/07

CYTRX CORP                              DE       5.02                           08/28/07

CYTYC CORP                              DE       3.03,9.01                      08/30/07

DANA CORP                               VA       7.01,9.01                      08/31/07

DANKA BUSINESS SYSTEMS PLC                       3.01,8.01,9.01                 08/29/07

DEAN FOODS CO                           DE       5.02,9.01                      08/29/07

DEBT RESOLVE INC                        DE       1.01,9.01                      08/31/07

DELPHI CORP                             DE       7.01,9.01                      08/31/07

Deutsche Alt-A Securities Mortgage Lo   DE       8.01,9.01                      08/31/07

Discover Card Execution Note Trust      DE       8.01,9.01                      08/31/07

DISCOVER CARD MASTER TRUST I            DE       8.01                           08/30/07

DISTRIBUTED ENERGY SYSTEMS CORP         DE       5.02                           08/27/07

DOLLAR TREE STORES INC                  VA       1.01,7.01,9.01                 08/30/07

Dollarama Group L.P.                    A8       5.02                           08/31/07

DOWNEY FINANCIAL CORP                   DE       1.01,9.01                      08/30/07

DPAC TECHNOLOGIES CORP                  CA       1.01,9.01                      08/30/07

Dresser-Rand Group Inc.                 DE       1.01,2.03,9.01                 08/30/07

DTE ENERGY CO                           MI       8.01,9.01                      08/31/07

DYCOM INDUSTRIES INC                    FL       5.02                           08/28/07

ECASH, INC                              DE       4.01,9.01                      08/13/07    AMEND

EMERITUS CORP\WA\                       WA       3.03,5.02,9.01                 08/29/07

ENERGY CONVERSION DEVICES INC           DE       2.02,9.01                      08/29/07

ENERGY CONVERSION DEVICES INC           DE       5.02,9.01                      08/31/07

ENERGY WEST INC                         MT       2.02,5.02,9.01                 08/27/07

EnerSys                                 DE       8.01                           08/22/07

ENOVA SYSTEMS INC                       CA       5.02,5.03,9.01                 08/28/07

ENTERPRISE PRODUCTS PARTNERS L P        DE       8.01,9.01                      08/27/07

ESCHELON TELECOM INC                             8.01,9.01                      08/31/07

ESS TECHNOLOGY INC                      CA       1.01,2.03                      08/27/07

ESSEX PROPERTY TRUST INC                MD       8.01,9.01                      08/30/07

Ever-Glory International Group, Inc.    FL       2.01,9.01                      08/27/07

EXCELSIOR LASALLE PROPERTY FUND INC              2.01,9.01                      06/20/07    AMEND

EXCO RESOURCES INC                      TX       8.01,9.01                      08/31/07

EXIDE TECHNOLOGIES                      DE       8.01,9.01                      08/31/07

Expedia, Inc.                                    5.02                           08/30/07

EXPRESS SCRIPTS INC                     DE       7.01                           08/31/07

FINISH LINE INC /IN/                    IN       8.01,9.01                      08/30/07

FIRST FINANCIAL HOLDINGS INC /DE/       DE       7.01,9.01                      08/31/07

FIRST KEYSTONE CORP                     PA       8.01                           08/31/07

FIRST SECURITY GROUP INC/TN             TN       8.01                           08/28/07

FIRSTPLUS FINANCIAL GROUP INC           NV       1.01,5.02,8.01,9.01            08/27/07

FLOWERS FOODS INC                       GA       5.02,9.01                      08/31/07

FLUOR CORP                              DE       5.02                           08/27/07

FORGENT NETWORKS  INC                   DE       3.01,9.01                      08/31/07

GAINSCO INC                             TX       5.03,9.01                      08/29/07

GAMETECH INTERNATIONAL INC              DE       2.02,9.01                      08/30/07

GAP INC                                 DE       5.02,9.01                      08/28/07

GEMINI EXPLORATIONS, INC.               NV       1.01,9.01                      08/23/07

GENOMIC HEALTH INC                               8.01                           08/24/07

GEVITY HR INC                           FL       5.02,9.01                      08/31/07

GIGABEAM CORP                           DE       2.02,9.01                      08/31/07

Global Cash Access Holdings, Inc.       DE       5.02,7.01,9.01                 08/31/07

GLOBAL GOLD CORP                        DE       8.01,9.01                      08/31/07

Global Resource CORP                    CO       1.02,3.02,8.01                 08/28/07

GOLDLEAF FINANCIAL SOLUTIONS INC.       TN       5.02,9.01                      08/30/07

GREIF INC                               DE       2.02,9.01                      08/29/07

GSAMP 2007-HSBC1                                 8.01,9.01                      08/30/07

HAMPSHIRE GROUP LTD                     DE       1.01,9.01                      08/31/07

HAROLDS STORES INC                      OK       2.02,9.01                      08/28/07

HARRIS PREFERRED CAPITAL CORP           MD       5.03,9.01                      08/29/07

HARTFORD LIFE INSURANCE CO              CT       9.01                           08/31/07

HAWAIIAN HOLDINGS  INC                  DE       5.03,9.01                      08/30/07

HCC INSURANCE HOLDINGS INC/DE/          DE       5.02,9.01                      08/30/07

HEALTH ENHANCEMENT PRODUCTS INC         NV       8.01,9.01                      08/31/07

HeartWare LTD                           C3       2.02,7.01,9.01                 08/31/07

Henry Bros. Electronics, Inc.           DE       2.02,3.01,9.01                 08/27/07

HINES REAL ESTATE INVESTMENT TRUST IN            8.01                           08/31/07

HOKU SCIENTIFIC INC                     DE       1.01                           08/30/07

HOKU SCIENTIFIC INC                     DE       1.01,9.01                      08/30/07

HOME DEPOT INC                          DE       1.01,2.01,5.02,9.01            08/28/07

HOST AMERICA CORP                       DE       1.01,9.01                      08/31/07

HS3 TECHNOLOGIES INC.                            5.02                           08/14/07

HS3 TECHNOLOGIES INC.                            1.01                           08/28/07

HUMAN GENOME SCIENCES INC               DE       5.02                           08/29/07

HUTTON HOLDINGS CORP                    NV       8.01,9.01                      08/31/07

HUTTON HOLDINGS CORP                    NV       1.01,2.01,9.01                 08/27/07    AMEND

IDAHO GENERAL MINES INC                 ID       8.01,9.01                      08/30/07

IGI INC                                 DE       8.01,9.01                      08/27/07

IMERGENT INC                            DE       8.01                           08/29/07

INDEPENDENCE LEAD MINES CO              AZ       8.01                           07/11/07

INNOVATIVE CARD TECHNOLOGIES INC        DE       8.01                           08/31/07

INNOVATIVE SOFTWARE TECHNOLOGIES INC    CA       3.02                           08/23/07

INPHONIC INC                                     5.02                           08/31/07

INTEGRAL VISION INC                     MI       5.02                           08/27/07

INTEGRATED ELECTRICAL SERVICES INC      DE       8.01,9.01                      08/29/07

IntelliCapital, Inc.                    DE       5.01,5.02,9.01                 08/26/07    AMEND

INTERACTIVE GAMES INC.                  NV       4.01,9.01                      08/27/07

INTERNATIONAL RECTIFIER CORP /DE/       DE       4.02                           08/29/07

INTERPHASE CORP                         TX       1.01,5.02,9.01                 08/27/07

IRWIN FINANCIAL CORP                    IN       8.01,9.01                      08/31/07

ISOTIS INC                              DE       2.03,9.01                      08/30/07

ITC Holdings Corp.                      MI       8.01                           08/31/07

J P MORGAN CHASE & CO                   DE       9.01                           08/29/07

KOSAN BIOSCIENCES INC                   CA       5.02                           08/24/07

LEADIS TECHNOLOGY INC                   DE       1.01                           08/27/07

Lehman XS Trust Series 2007-16N         DE       8.01,9.01                      08/31/07

Lehman XS Trust Series 2007-16N         DE       8.01,9.01                      08/31/07

LEVEL 3 COMMUNICATIONS INC              DE       8.01,9.01                      08/30/07

LGL GROUP INC                           IN       1.01,3.03,5.03,9.01            08/31/07

Logistical Support, Inc                 UT       1.01,3.02,9.01                 08/28/07

LORAL SPACE & COMMUNICATIONS INC.       DE       1.01,9.01                      08/29/07

LUNA TECHNOLOGIES INTERNATIONAL INC              2.01,9.01                      08/30/07

M I HOMES INC                           OH       1.01,9.01                      08/28/07

Macy's, Inc.                            DE       2.03,9.01                      08/31/07

MAVERICK OIL & GAS, INC.                         8.01                           08/31/07

MAXIM INTEGRATED PRODUCTS INC           DE       5.02,9.01                      08/29/07

MEADWESTVACO CORP                       DE       5.03,9.01                      08/28/07

MedAire, Inc.                           NV       8.01                           08/31/07

MEDIANET GROUP TECHNOLOGIES INC         NV       5.02                           08/31/07

Merrill Lynch Alternative Note Asset    DE       6.02,9.01                      08/01/07

MIDWAY GAMES INC                        DE       5.02,9.01                      08/30/07

MIDWEST URANIUM CORP                    NV       5.03,7.01,9.01                 08/27/07

MINN DAK FARMERS COOPERATIVE            ND       5.02                           08/28/07

MOLINA HEALTHCARE INC                   DE       1.01,9.01                      08/29/07

MONTANA ACQUISITION CORP                DE       1.01,9.01                      08/29/07

MUNICIPAL MORTGAGE & EQUITY LLC         DE       7.01,9.01                      08/31/07

MYCOM GROUP INC /NV/                    NV       2.01,3.02,5.01,5.02,9.01       08/28/07

NATIONAL TAX CREDIT INVESTORS II        CA       8.01                           08/27/07

NATIONWIDE FINANCIAL SERVICES INC/      DE       5.02                           08/30/07

NATROL INC                              DE       7.01,9.01                      08/31/07

Natural Nutrition Inc.                  NV       1.01,4.02,9.01                 05/31/07

NCR CORP                                MD       8.01,9.01                      08/27/07

NEUROBIOLOGICAL TECHNOLOGIES INC /CA/   DE       3.01                           08/29/07

NEVADA GOLD & CASINOS INC               NV       1.01,9.01                      08/30/07

NEWS CORP                                        8.01,9.01                      08/31/07

NEXEN INC                               A0       8.01,9.01                      08/30/07

NNN Apartment REIT, Inc.                MD       1.01,2.01,2.03,7.01,9.01       08/29/07

NOBLE INTERNATIONAL, LTD.               DE       7.01,9.01                      08/31/07

NPS PHARMACEUTICALS INC                 DE       8.01,9.01                      08/31/07

O2DIESEL CORP                                    5.02                           08/29/07

OLIN CORP                               VA       2.01,2.03,8.01,9.01            08/31/07

OMNIVISION TECHNOLOGIES INC             DE       5.02                           08/28/07

ON2 TECHNOLOGIES, INC.                  DE       9.01                           05/21/07    AMEND

OPENTV CORP                                      5.02,9.01                      08/29/07

ORCHID CELLMARK INC                              5.02                           08/31/07

PACIFICORP /OR/                         OR       5.02                           08/31/07

PANACOS PHARMACEUTICALS, INC.           DE       7.01,9.01                      08/31/07

PAREXEL INTERNATIONAL CORP              MA       8.01                           08/29/07

PARK ELECTROCHEMICAL CORP               NY       5.02                           08/15/07

PEDIATRIC SERVICES OF AMERICA INC       DE       8.01,9.01                      08/31/07

PEDIATRIX MEDICAL GROUP INC             FL       8.01                           08/30/07

PENNSYLVANIA COMMERCE BANCORP INC                8.01                           08/17/07

PENNSYLVANIA ELECTRIC CO                PA       1.01,2.03,9.01                 08/27/07

PERKINS & MARIE CALLENDER'S INC         DE       2.02,9.01                      08/30/07

PIONEER COMPANIES INC                   DE       2.01,3.01,3.03,5.01,5.02,8.01, 08/31/07
					         9.01

PIONEER COMPANIES INC                   DE       8.01,9.01                      08/31/07

PIONEER COMPANIES INC                   DE       1.01,9.01                      08/31/07

PLAINS ALL AMERICAN PIPELINE LP         DE       5.02,5.03,9.01                 08/29/07

PLEXUS CORP                             WI       5.02,7.01,9.01                 08/29/07

POPULAR INC                                      8.01,9.01                      08/30/07

Prime Mortgage Trust 2007-3             DE       9.01                           08/31/07

PRINCETON REVIEW INC                    DE       5.02,9.01                      08/28/07

PROTECTIVE LIFE INSURANCE CO            TN       9.01                           08/28/07

pSivida LTD                             C3       2.02,9.01                      08/31/07

PYRAMID BREWERIES INC                   WA       8.01                           08/27/07

QLT INC/BC                              A1       8.01,9.01                      08/31/07

QWEST COMMUNICATIONS INTERNATIONAL IN   DE       5.02,9.01                      08/29/07

R&G FINANCIAL CORP                      PR       7.01,9.01                      08/31/07

Rand Logistics, Inc.                    DE       1.01,2.01,2.03,8.01,9.01       08/27/07

Red Pearl Acquisition Corp                       5.01,5.02                      08/27/07

REPUBLIC AIRWAYS HOLDINGS INC           DE       8.01                           08/31/07

Residential Asset Securitization Trus            8.01,9.01                      08/16/07

RESIDENTIAL CAPITAL, LLC                DE       1.01                           08/27/07

RESMED INC                              DE       5.02,9.01                      08/27/07

RESOURCE AMERICA INC                    DE       5.05,9.01                      08/31/07

Resource Capital Corp.                  MD       5.05,9.01                      08/31/07

ROYAL GOLD INC                          DE       8.01,9.01                      08/30/07

SEACHANGE INTERNATIONAL INC             DE       2.02,4.02,9.01                 08/29/07

SENSE HOLDINGS INC                      FL       1.01,3.02,9.01                 08/28/07

SENSE HOLDINGS INC                      FL       1.01,2.01,3.02,9.01            08/31/07    AMEND

SERVICE 1ST BANCORP                     CA       8.01,9.01                      08/31/07

SHAW GROUP INC                          LA       7.01,9.01                      08/31/07

SHAW GROUP INC                          LA       7.01,9.01                      08/31/07

SIMMONS FIRST NATIONAL CORP             AR       7.01                           08/31/07

SKILLSOFT PUBLIC LIMITED CO                      2.02,9.01                      08/31/07

SMITHWAY MOTOR XPRESS CORP              NV       1.01,7.01,9.01                 08/30/07

SOLUTIA INC                             DE       7.01,9.01                      08/31/07

Southridge Technology Group, Inc.       DE       9.01                           07/13/07    AMEND

SPACEHAB INC \WA\                       WA       1.02                           08/28/07

SPACEHAB INC \WA\                       WA       1.01,7.01,9.01                 08/31/07

Spectrum Brands, Inc.                   WI       5.02,8.01                      08/27/07

SPORT CHALET INC                        DE       1.01,9.01                      08/31/07

STAR SCIENTIFIC INC                     DE       3.01,8.01,9.01                 08/24/07    AMEND

STEELCLOUD INC                          VA       1.01,5.02,8.01,9.01            08/27/07

STEIN MART INC                          FL       5.02,9.01                      08/27/07

STEINWAY MUSICAL INSTRUMENTS INC        DE       5.02,5.03,9.01                 08/29/07

STERLING FINANCIAL CORP /WA/            WA       7.01,9.01                      08/31/07

STONE ENERGY CORP                       DE       7.01,9.01                      08/30/07

Structured Adjustable Rate Mortgage L   DE       8.01,9.01                      08/31/07

Structured Asset Mortgage Investments   DE       8.01,9.01                      08/31/07

Structured Asset Mortgage Investments   DE       7.01                           08/31/07

TECUMSEH PRODUCTS CO                    MI       1.01                           08/27/07

TEL INSTRUMENT ELECTRONICS CORP         NJ       5.02                           08/31/07

TELEPHONE & DATA SYSTEMS INC /DE/       DE       5.02,9.01                      08/31/07

Tennessee Valley Authority                       8.01                           08/27/07

TERADYNE, INC                           MA       1.01                           08/27/07

TERCICA INC                             DE       8.01                           08/31/07

TERRESTAR CORP                          DE       1.01                           08/31/07

TETON ENERGY CORP                       DE       5.02,7.01,9.01                 08/31/07

TETON ENERGY CORP                       DE       3.02,7.01,9.01                 05/16/07    AMEND

THESTREET COM                           DE       5.02                           08/30/07

Thornburg Mortgage Securities Trust 2   DE       8.01,9.01                      08/31/07

TIMBERLAND CO                           DE       5.02                           08/28/07

Timberline Resources Corp                        5.02,8.01,9.01                 08/27/07

TJX COMPANIES INC /DE/                  DE       8.01                           08/24/07

TOMPKINS FINANCIAL CORP                 NY       7.01                           08/31/07

TRIAD GUARANTY INC                      DE       8.01,9.01                      08/31/07

Trustcash Holdings, Inc.                DE       4.01,9.01                      06/30/07    AMEND

TURBOCHEF TECHNOLOGIES INC              DE       3.01,9.01                      08/29/07

Turnaround Partners, Inc.               DE       4.02                           08/28/07

Tyco Electronics Ltd.                   D0       1.01,9.01                      08/31/07

U S ENERGY SYSTEMS INC                  DE       8.01                           08/31/07

UDR, Inc.                               MD       7.01,9.01                      08/31/07

UNISYS CORP                             DE       5.02                           08/27/07

UNITED FIRE & CASUALTY CO               IA       8.01,9.01                      08/31/07

UNITED NATURAL FOODS INC                DE       2.02,9.01                      08/31/07

UNITED THERAPEUTICS CORP                DE       8.01                           08/30/07

UNIVERSAL ELECTRONICS INC               DE       8.01                           08/31/07

V F CORP                                PA       2.01,7.01,9.01                 08/31/07

VAXGEN INC                              DE       2.02,9.01                      08/30/07

VCG HOLDING CORP                        CO       1.01,8.01,9.01                 08/27/07

VERASUN ENERGY CORP                              5.02                           08/31/07

Veri-Tek International, Corp.           MI       1.01,3.02,7.01,9.01            08/30/07

VERSADIAL, INC.                         NV       3.02                           08/27/07

VIGNETTE CORP                           DE       5.02                           08/28/07

WATERFORD GAMING LLC                    DE       8.01                           08/31/07

WELLCARE HEALTH PLANS, INC.             DE       1.01,9.01                      08/27/07

WESTAR ENERGY INC /KS                   KS       8.01,9.01                      08/30/07

WESTERN DIGITAL CORP                    DE       1.01,2.03,9.01                 08/30/07

Whos Your Daddy Inc                     NV       4.02                           08/31/07

WILD OATS MARKETS INC                   DE       2.04,3.01,3.02,3.03,5.02,5.03, 08/31/07
					         9.01

WILSHIRE BANCORP INC                    CA       8.01,9.01                      08/30/07

WINDSTREAM CORP                         DE       1.01,9.01                      08/31/07

WOODWARD GOVERNOR CO                    DE       8.01,9.01                      08/29/07

WORKSTREAM INC                                   1.01,5.02                      08/28/07

XSUNX INC                               CO       1.01,9.01                      08/30/07

Z TRIM HOLDINGS, INC                    IL       1.02,7.01,9.01                 08/31/07

ZILA INC                                DE       5.02,9.01                      08/28/07

                           

 

http://www.sec.gov/news/digest/2007/dig090407.htm


Modified: 09/04/2007