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U.S. Securities and Exchange Commission


                           SEC NEWS DIGEST


Issue 2007-197                                       October 12, 2007



ENFORCEMENT PROCEEDINGS


DELINQUENT FILERS STOCK REGISTRATION REVOKED

The �registrations �of �the �stock �of Aurora Acquisitions, Inc., HDF,
Inc., �Inmold, Inc., and Piccard Medical Corp. have been revoked. None
had �filed �any �annual �or �quarterly reports with the Securities and
Exchange �Commission �for �seven �or more years. Thus, each violated a
crucial �provision of the federal securities laws that requires public
corporations ��to ��publicly ��disclose ��current, �accurate financial
information �so �that �investors �may �make �informed �decisions. �The
revocations �were �ordered �in �an administrative proceeding before an
administrative law judge. (Rel. 34-56648; File No. 3-12754)

COMMISSION SANCTIONS JAMES E. FRANKLIN

The �Commission �has �sanctioned �James �E. �Franklin, �a �penny stock
promoter. �Franklin �was �enjoined �from �violations �of the antifraud
provisions �of �the federal securities laws by the U.S. District Court
for �the �Southern �District of California. The district court entered
the �injunction �on �the �basis �of �a �jury's �verdict �that Franklin
knowingly �violated the antifraud provisions of the federal securities
laws �in connection with the offer, purchase, or sale of seven stocks,
one �of �which was a penny stock. On the basis of this injunction, the
Commission barred Franklin from participating in any offering of penny
stock. �The Commission found that Franklin's conduct was egregious and
occurred �over �many �months. �The �Commission �concluded that barring
Franklin �from �participating �in �any �offering �of �penny �stock was
necessary �to �protect �the interests of the investing public and as a
deterrent �to �Franklin �and �others �engaged in the offering of penny
stock from violating the federal securities laws. (Rel. 34-56649; File
No. 3-12228)

SEC �OBTAINS $10.5 MILLION JUDGMENT AGAINST HSBC BANK IN SETTLED CIVIL
ACTION

The �Commission �announced �today that on Sept. 25, 2007, the District
Court for the Southern District of Florida entered a Final Judgment in
its �settled civil action against HSBC Bank USA, N.A. (HSBC), imposing
a �$10 �million �penalty �and ordering HSBC to pay disgorgement in the
amount of $463,893, with prejudgment interest of $36,667, for allowing
its �name �and �logo �to �be �used �in connection with a Florida-based
offering �fraud �by �Pension Fund of America, L.C. (Pension Fund). The
Commission's �civil �action �was �filed on Sept. 19, 2007, to coincide
with �the �Commission's �institution �of �a �settled �cease-and-desist
proceeding with HSBC. 

The �Commission's �complaint �alleges �that �from August 2003 to March
2005, �HSBC �served as trustee for the investment component of Pension
Fund �and �its �affiliated entities' trust plans. Since at least 1999,
Pension ����Fund �sold �retirement �and �college �"trust �plans" �that
purportedly provided term life insurance and the opportunity to invest
in one or more pre-selected mutual funds. However, Pension Fund failed
to �disclose, �among other things, that it was taking up to 95 percent
of �the �investors' �funds �to �pay commissions and fees. Pension Fund
raised at least $127 million from more than 3,400 investors, primarily
from �Central �and �South America. On March 28, 2005, the SEC filed an
emergency �action in the U.S. District Court for the Southern District
of �Florida �against �Pension �Fund �and �its �principals �to halt the
offering �fraud. The Court appointed a receiver over Pension Fund, who
shut down its operations, marshaled its assets, and developed a claims
process to distribute recovered funds to its investor victims. 

According �to �the Commission's complaint, HSBC allowed the use of its
name �and logo in Pension Fund's offering materials. HSBC also allowed
Pension �Fund �to �use marketing materials that falsely suggested that
the �trust �plans were co-developed by HSBC and Pension Fund, and that
investors' �funds �would �be "totally safe" because the money would be
deposited �in �a �trust �account �at �HSBC. �In �reality, Pension Fund
deposited investors' funds in an ordinary checking account in its name
at �HSBC, �and �used �up �to �95 �percent of such funds to pay its own
undisclosed �sales �commissions, �expenses �and �fees. �Pension Funds'
marketing brochures provided a list of mutual funds offered as part of
the �trust plans, but did not disclose any information about the sales
commissions, �administrative �expenses, �or the front-load mutual fund
fees �charged �to �investors. �HSBC �failed to follow its own internal
procedures �in �reviewing �and approving certain Pension Fund offering
materials.

Additionally, HSBC actively participated in the selection of offshore,
high �front-load �mutual �funds to be offered to prospective investors
under �a �negotiated �fee �arrangement �between HSBC and Pension Fund.
However, neither the amount of the funds' sales loads, nor HSBC's role
in the funds' selection, were disclosed to investors. In October 2003,
shortly �after �HSBC �became �trustee �for �Pension Fund's plans, HSBC
drafted a letter on its own letterhead announcing the new relationship
and �inviting certain of Pension Fund's existing investors to transfer
their �funds �to �HSBC. �Pension Fund sent the letter to approximately
half �of �its �existing �investors, and enclosed a form bearing HSBC's
logo that listed new mutual fund selections available upon transfer to
HSBC. �Neither �the �letter nor the enclosure disclosed that investors
would �incur new front-load fees in connection with such transfers, or
the �amounts �of �those �prospective costs. As a result, the complaint
alleges �that �HSBC �violated �Sections �17(a)(2) �and 17(a)(3) of the
Securities Act of 1933.

The �Final Judgment was entered in the civil case with HSBC's consent,
without �admitting �or �denying �the �allegations �of the Commission's
complaint. ��The �Final �Judgment �orders �HSBC �to �pay �a �total �of
approximately �$10.5 �million, which will be paid into a Fair Fund for
the �benefit �of investors injured in the Pension Fund offering fraud.
[SEC ���v. �HSBC �Bank �USA, �N.A., �Civil �Action �No. �07-22469-CIV-
SEITZ/MCALILEY (S.D. Fla.)] (LR-20328)

FORMER �STOCK �OPTIONS �ADMINISTRATOR SENTENCED TO FORTY-SIX MONTHS IN
PRISON �FOR �WIRE �FRAUD �AND �TAX EVASION IN CONNECTION WITH THEFT OF
STOCK OPTIONS

Vencent �A. �Donlan, �former �stock �options administrator at Wireless
Facilities, �Inc. �(WFI) �(now �Kratos �Defense �& Security Solutions,
Inc.), �has �been �sentenced to forty-six months in prison for federal
wire �fraud �and �tax �evasion violations relating to his fraudulently
obtaining �stock and stock options from WFI. Donlan pled guilty to the
violations �on �July �3, �2007, �under �a plea agreement with the U.S.
Attorney's �Office �for �the �Southern �District �of �California. �The
Commission �previously �sued �Donlan �for �perpetrating the fraudulent
stock options scheme. 

In �his �plea, Donlan admitted that between November 2002 and November
2003, �he �used �his �position �as WFI's stock option administrator to
issue without authorization 728,229 shares of WFI stock to a brokerage
account �that �he �controlled �and �sold �the �stock for a net gain of
$6,252,794. �Donlan �also admitted that he evaded paying $2,202,917 in
federal income taxes in 2002 and 2003 by not declaring the income from
his �WFI �stock �sales. �The �Honorable John A. Houston, U.S. District
Court Judge for the Southern District of California, accepted Donlan's
final �plea �and �sentenced �him �on �Oct. 9, 2007 (U.S. v. Vencent A.
Donlan, Criminal Action No. 07 CR 1725 JAH (LSP) S.D. Cal.).

On �May �2, �2007, �based �on allegations similar to those admitted by
Donlan �in �his �plea, �the �Commission �obtained an order temporarily
restraining �Donlan �from �violating �the �antifraud provisions of the
securities �laws �and �freezing �his �assets. �On �June �5, �2007, the
Commission ��obtained �an �order �permanently �enjoining �Donlan �from
violating �the registration and antifraud provisions of the securities
laws �and �requiring �him �to �disgorge �all ill-gotten gains from the
fraud, �with �prejudgment �interest �thereon, �and �pay civil monetary
penalties in amounts to be determined. 

For �additional �information, see Litigation Release No. 20101 (May 3,
2007) �and �Litigation �Release �No. �20218 �(July �31, 2007). [SEC v.
Vencent �A. �Donlan, �Defendant, �and �Robin �D. �Colls Donlan, Relief
Defendant, �Civil �Action �No. �07 CV 793 JAH (LSP) (S.D. Cal.).] (LR-
20329)


SELF-REGULATORY ORGANIZATIONS


PROPOSED RULE CHANGES

The Philadelphia Stock Exchange filed a proposed rule change (SR-Phlx-
2007-60) �relating �to �Structured �Equity �Products. �Publication �is
expected �in the Federal Register during the week of October 15. (Rel.
34-56626)

The �Chicago �Board Options Exchange filed a proposed rule change (SR-
CBOE-2007-82), �as �modified �by Amendment No. 1 thereto, to allow the
Exchange �to �list �up �to �seven �expiration �months �for broad-based
security �index �options upon which the Exchange calculates a constant
three-month �volatility �index. Publication is expected in the Federal
Register during the week of October 15. (Rel. 34-56632)

The �American �Stock �Exchange �filed a proposed rule change (SR-Amex-
2007-56) to amend Amex Rule 724 to require all members to designate an
off-floor �contact �for resolving uncompared transactions. Publication
is �expected �in �the �Federal Register during the week of October 15.
(Rel. 34-56635)

A �proposed �rule �change �(SR-Amex-2007-108), �to increase the annual
listing �fees �for �certain �stock issues of listed companies has been
filed �by �the American Stock Exchange. Publication is expected in the
Federal Register during the week of October 15. (Rel. 34-56636)

The �National �Association �of �Securities �Dealers �(n/k/a �Financial
Industry Regulatory Authority, Inc.) filed a proposed rule change (SR-
NASD-2007-035) �that �will �mandate the use of the automated corporate
action �liability �notification system of a registered clearing agency
when �issuing liability notices, provided both parties to the contract
are �participants �in �a �registered �clearing agency that has such an
automated �system. �Publication �is �expected �in the Federal Register
during the week of October 15. (Rel. 34-56639)

ACCELERATED APPROVAL OF PROPOSED RULE CHANGES 

The �Commission granted accelerated approval to a proposed rule change
(SR-Amex-2007-87), �as �modified �by �Amendment �No. �1, �filed by the
American Stock Exchange to amend Section 107 of the Amex Company Guide
to �provide �an �exception �to the initial minimum public distribution
listing �requirement. �Publication is expected in the Federal Register
during the week of October 15. (Rel. 34-56629)

The �Commission granted accelerated approval to a proposed rule change
(SR-ISE-2007-60), as modified by Amendment No. 4 thereto, filed by the
International �Securities Exchange, adopting generic listing standards
for �exchange-traded funds based on international or global indexes or
indexes �described �in �exchange �rules �previously �approved �by �the
Commission ���as �underlying �benchmarks �for �derivative �securities.
Publication �is �expected �in �the Federal Register during the week of
October 15. (Rel. 34-56633)

IMMEDIATE EFFECTIVENESS OF PROPOSED RULE CHANGE

A �proposed �rule �change �(SR-FINRA-2007-016) �filed by the Financial
Industry �Regulatory �Authority, �that �reflects �the �closing �of the
NASD/BSE �Trade �Reporting Facility has become effective under Section
19(b)(3)(A) �of �the �Securities �Exchange Act of 1934. Publication is
expected �in the Federal Register during the week of October 15. (Rel.
34-56644)


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.



SB-2    AURIGA LABORATORIES, INC., 2029 CENTURY PARK EAST, SUITE 1130, 
        LOS ANGELES, CA, 90067, 6782821600 - 
        20,827,244 ($12,097,377.00) Equity, (File 333-146619 - Oct. 11) 
        (BR. 01A)

S-1     Sapphire Industrials Corp., C/O LAZARD GROUP LLC, 
        30 ROCKEFELLER PLAZA, 62ND FLOOR, NEW YORK, NY, 10020, 212-632-6000 - 
        0 ($575,000,000.00) Equity, (File 333-146620 - Oct. 11) (BR. 09)

S-8     Virgin Mobile USA, Inc., 10 INDEPENDENCE BOULEVARD, WARREN, NJ, 07059, 
        9086074000 - 0 ($131,348,528.00) Equity, (File 333-146621 - Oct. 11) 
        (BR. 11A)

SB-2    INVENDA CORP, 6901 ROCKLEDGE DRIVE, 6TH FLOOR, BETHESDA, MD, 20817, 
        2403336100 - 0 ($9,093,000.00) Equity, (File 333-146623 - Oct. 11) 
        (BR. 08A)

S-8     CELL THERAPEUTICS INC, 501 ELLIOTT AVE W, STE 400, SEATTLE, WA, 98119, 
        2062707100 - 0 ($19,530,000.00) Equity, (File 333-146624 - Oct. 11) 
        (BR. 01A)

S-8     CHRISTOPHER & BANKS CORP, 2400 XENIUM LANE NORTH, PLYMOUTH, MN, 
        55441-3626, 6125515000 - 0 ($13,655,000.00) Equity, (File 333-146625 - 
        Oct. 11) (BR. 02B)

S-3     Resource Capital Corp., 712 FIFTH AVENUE, 10TH FLOOR, NEW YORK, NY, 
        10019, 212-974-1708 - 
        0 ($200,000,000.00) Unallocated (Universal) Shelf, (File 333-146626 - 
        Oct. 11) (BR. 08C)

SB-2    Nevwest Explorations Corp., 600 W. CHARLESTON, SUITE #140A5, LAS VEGAS, 
        NV, 89146, 702-993-7424 - 3,000,000 ($60,000.00) Equity, 
        (File 333-146627 - Oct. 11) (BR. 04)

S-8     AMERICAN DG ENERGY INC, 45 FIRST AVENUE, WALTHAM, MA, 02451, 
        781-622-1120 - 0 ($2,800,000.00) Equity, (File 333-146628 - Oct. 11) 
        (BR. 02A)

S-1     International Fight League, Inc., 424 WEST 33RD STREET, SUITE 650, 
        NEW YORK, NY, 10001, 212- 356-4000 - 0 ($20,046,152.00) Equity, 
        (File 333-146629 - Oct. 11) (BR. 05B)

S-8     HEWLETT PACKARD CO, 3000 HANOVER ST, MS 1050, PALO ALTO, CA, 94304, 
        6508571501 - 2,684,000 ($69,212,524.00) Equity, (File 333-146630 - 
        Oct. 11) (BR. 03C)

S-3     INX Inc, 6401 SOUTHWEST FREEWAY, HOUSTON, TX, 77074, 7137952000 - 
        0 ($7,843,500.00) Equity, (File 333-146632 - Oct. 11) (BR. 03C)

S-3ASR  INX Inc, 6401 SOUTHWEST FREEWAY, HOUSTON, TX, 77074, 7137952000 - 
        0 ($100,000,000.00) Equity, (File 333-146633 - Oct. 11) (BR. 03C)

N-2     GABELLI EQUITY TRUST INC, ONE CORP CENTER, RYE, NY, 10580, 9149215070 - 
        0 ($500,000,000.00) Equity, (File 333-146634 - Oct. 11) (BR. 22)

S-3     VirtualScopics, Inc., 350 LINDEN OAKS, ROCHESTER, NY, 14625, 
        585-249-6231 - 7,973,909 ($9,169,995.35) Equity, (File 333-146635 - 
        Oct. 11) (BR. 10C)

S-8     MEDICALCV INC, 9725 SOUTH ROBERT TRAIL, INVER GROVE HEIGHTS, MN, 55077, 
        6514523000 - 0 ($2,604,600.00) Equity, (File 333-146636 - Oct. 11) 
        (BR. 10B)

N-2     Kayne Anderson Energy Total Return Fund, Inc., 
        1800 AVENUE OF THE STARS, SECOND FLOOR, LOS ANGELES, CA, 90067, 
        877-657-3863 - 0 ($500,000,000.00) Other, (File 333-146637 - Oct. 11) 
        (BR. 17)

S-3     Allis Chalmers Energy Inc., 5075 WESTHEIMER, SUITE 890, HOUSTON, TX, 
        77056, 713-369-0550 - 0 ($57,984,000.00) Equity, (File 333-146638 - 
        Oct. 11) (BR. 04A)

SB-2    Interfac Mining Inc., 3780 WEST BROADWAY, VANCOUVER, A1, V6R 2C1, 
        778-999-6100 - 2,250,000 ($112,500.00) Equity, (File 333-146639 - 
        Oct. 11) (BR. )

F-6     PT Multimedia - Servicos de Telecomunicacoes e Multimedia, SGPS, S.A., 
        AV. 5 DE OUTUBRO, 208, LISBON, S1, 1069-203, 351-21-782-4700 - 
        50,000,000 ($2,500,000.00) ADRs/ADSs, (File 333-146640 - Oct. 11) (BR. )

SB-2    Southridge Technology Group, Inc., 90 GROVE STREET, RIDGEFIELD, CT, 
        06877, 203-431-8324 - 53,747,555 ($57,509,883.00) Equity, 
        (File 333-146641 - Oct. 11) (BR. 03C)


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
--------------------------------------------------------------------------------------------------------
3COM CORP                               DE       8.01,9.01                      10/11/07

3D SYSTEMS CORP                         DE       5.02                           10/09/07

3DICON CORP                                      5.02                           10/04/07

99 CENTS ONLY STORES                    CA       2.02,9.01                      10/09/07

ABERCROMBIE & FITCH CO /DE/             DE       7.01,9.01                      10/11/07

ABIOMED INC                             DE       8.01,9.01                      10/11/07

ABSOLUTE POTENTIAL, INC.                FL       4.01,9.01                      10/03/07    AMEND

ACCELLENT INC                                    5.02                           09/04/07

ACCO BRANDS CORP                        DE       2.02,9.01                      10/11/07

ACROSS AMERICA REAL ESTATE CORP         CO       5.02,8.01                      10/11/07

ACXIOM CORP                             DE       1.02                           10/10/07

ADMIRALTY HOLDING CO                    CO       9.01                           08/30/07    AMEND

Advanced BioEnergy, LLC                 DE       1.01,2.03,9.01                 10/05/07

ADVANCED CELL TECHNOLOGY, INC.          DE       1.01,5.02,8.01                 10/05/07

AEROPOSTALE INC                                  7.01,9.01                      10/11/07

Aircastle LTD                           D0       8.01,9.01                      10/10/07

ALLEGHENY TECHNOLOGIES INC              DE       8.01,9.01                      10/11/07

ALLIANCE DATA SYSTEMS CORP              DE       7.01,9.01                      10/11/07

Alliance Distributors Holding Inc.      DE       8.01,9.01                      10/10/07

Alternative Loan Trust 2007-OA10        DE       8.01,9.01                      07/30/07    AMEND

AMBAC FINANCIAL GROUP INC               DE       7.01,9.01                      10/10/07

AMERICAN CLAIMS EVALUATION INC          NY       8.01,9.01                      10/09/07

AMERICAN EAGLE OUTFITTERS INC           DE       7.01,9.01                      10/10/07

American Wenshen Steel Group, Inc.      DE       1.01                           10/10/07

AMERICANWEST BANCORPORATION             WA       5.02,9.01                      10/05/07

AMERIRESOURCE TECHNOLOGIES INC          DE       3.02,9.01                      10/11/07

AMN HEALTHCARE SERVICES INC             DE       5.03,9.01                      10/10/07

AMTECH SYSTEMS INC                      AZ       1.01,2.01,9.01                 10/08/07

ANNTAYLOR STORES CORP                   DE       7.01,9.01                      10/11/07

APPLIED DNA SCIENCES INC                NV       1.01,2.03,3.02,9.01            10/04/07

ARCHSTONE SMITH OPERATING TRUST                  5.02                           10/05/07

Assured Pharmacy, Inc.                  NV       7.01,9.01                      10/10/07

AXIOM III, Inc.                         NV       1.01,5.02                      10/09/07

BA Master Credit Card Trust II                   8.01,9.01                      10/11/07

BANK HOLDINGS                           NV       1.01                           10/10/07

BANK JOS A CLOTHIERS INC /DE/           DE       7.01,9.01                      10/11/07

BARNES GROUP INC                        DE       2.02,5.02,7.01,9.01            10/05/07

BEAZER HOMES USA INC                    DE       1.01,2.02,4.02,8.01,9.01       10/05/07

bebe stores, inc.                       CA       2.02,9.01                      10/11/07

Beneficial Mutual Bancorp Inc           X1       8.01,9.01                      10/05/07

BEVERLY NATIONAL CORP                   MA       8.01,9.01                      10/09/07

BIOENVISION INC                         DE       8.01,9.01                      10/10/07

BofI Holding, Inc.                      DE       7.01,9.01                      10/11/07

BRITTON & KOONTZ CAPITAL CORP           MS       2.02,9.01                      10/11/07

Builders FirstSource, Inc.              DE       2.06                           10/11/07

BUTLER NATIONAL CORP                    DE       8.01,9.01                      10/10/07

CalAmp Corp.                            DE       2.02                           10/11/07

CALLISTO PHARMACEUTICALS INC            DE       7.01,9.01                      10/11/07

Capital One Auto Finance Trust 2007-C   DE       8.01,9.01                      10/11/07

CAPSTONE TURBINE CORP                   DE       5.02                           10/11/07

CARDIMA INC                             DE       5.02,9.01                      10/05/07

Caribou Coffee Company, Inc.            MN       2.02,9.01                      10/11/07

CARPENTER TECHNOLOGY CORP               DE       8.01,9.01                      10/11/07

Cellu Tissue Holdings, Inc.             DE       2.02,9.01                      10/11/07

CENTRAL EUROPEAN MEDIA ENTERPRISES LT            1.01                           10/05/07

Chartwell International, Inc.           NV       1.01,9.01                      10/10/07

CHEVIOT FINANCIAL CORP                           5.03,9.01                      10/09/07

CHINA SXAN BIOTECH, INC.                NV       1.01                           07/10/07

CINCINNATI BELL INC                     OH       5.02                           10/09/07

CINTEL CORP                             NV       4.01,9.01                      10/05/07

CITIZENS FINANCIAL CORP /KY/            KY       3.01,9.01                      10/09/07

CITIZENS FINANCIAL CORP/DE/             DE       2.02,9.01                      10/11/07

CKRUSH, INC.                            DE       3.03,5.03,9.01                 10/10/07

COLDWATER CREEK INC                     DE       7.01,9.01                      10/11/07

COMBINATORX, INC                        DE       8.01,9.01                      10/10/07

COMMONCACHE INC                         FL       2.01,9.01                      09/28/07    AMEND

COMPUTER SOFTWARE INNOVATIONS INC                3.02                           10/09/07

CONSECO INC                             DE       7.01,9.01                      10/11/07

COUNTRYWIDE FINANCIAL CORP              DE       2.02,9.01                      10/11/07

CURAGEN CORP                            DE       8.01                           10/11/07

DATAJUNGLE SOFTWARE INC                 NV       3.02,5.02                      10/04/07

DELTA AIR LINES INC /DE/                DE       1.01,8.01,9.01                 10/04/07

DEPOMED INC                             CA       1.01,5.02,9.01                 10/10/07

Devine Entertainment CORP               A6       8.01,9.01                      10/11/07

DIGITAL IMAGING RESOURCES INC.          DE       7.01,9.01                      10/10/07

Digital Realty Trust, Inc.              MD       8.01                           10/11/07

Dolan Media CO                          DE       8.01,9.01                      10/11/07

DORCHESTER MINERALS LP                  DE       2.02,7.01,9.01                 10/11/07

DURECT CORP                             DE       8.01                           10/10/07

EAGLE ROCK ENERGY PARTNERS L P          DE       2.01,9.01                      10/11/07    AMEND

ELECTRO RENT CORP                       CA       2.02,9.01                      10/10/07

ELECTRONIC ARTS INC.                    DE       1.01,7.01,9.01                 10/11/07

EMCORE CORP                             NJ       2.02,7.01,9.01                 10/10/07

ENCYSIVE PHARMACEUTICALS INC            DE       8.01                           10/11/07

Energy Future Holdings Corp /TX/        TX       1.01,1.02,2.03,3.01,5.01,5.02, 10/05/07
					         5.03,8.01,9.01
  
ENTERTAINMENT PROPERTIES TRUST          MD       1.01,9.01                      10/09/07

EP GLOBAL COMMUNICATIONS INC                     1.01,3.02,9.01                 10/11/07

EPICEPT CORP                                     1.01,8.01,9.01                 10/10/07

EQUITY RESIDENTIAL                      MD       1.01,2.03,9.01                 10/05/07

ESTERLINE TECHNOLOGIES CORP             DE       8.01,9.01                      10/09/07

ETHAN ALLEN INTERIORS INC               DE       5.02                           10/08/07

ev3 Inc.                                DE       7.01                           10/10/07

Exobox Technologies Corp.               NV       8.01                           10/10/07

EXPEDITORS INTERNATIONAL OF WASHINGTO   WA       7.01                           10/10/07

Explortex Energy Inc.                   NV       1.01,2.03,9.01                 10/05/07

FAIRPOINT COMMUNICATIONS INC            DE       8.01,9.01                      10/11/07

FASTENAL CO                             MN       2.02,9.01                      10/11/07

Federal Home Loan Bank of Atlanta       X1       2.03                           10/09/07

Federal Home Loan Bank of Boston        X1       2.03                           10/05/07

Federal Home Loan Bank of Chicago       X1       2.03                           10/05/07

Federal Home Loan Bank of Cincinnati    X1       2.03,9.01                      10/09/07

Federal Home Loan Bank of Des Moines    X1       2.03,9.01                      10/09/07

Federal Home Loan Bank of Indianapoli   X1       2.03,9.01                      10/05/07

Federal Home Loan Bank of New York      X1       2.03,9.01                      10/05/07

Federal Home Loan Bank of Pittsburgh    PA       2.03,9.01                      10/05/07

Federal Home Loan Bank of Topeka                 2.03                           10/09/07

Feldman Mall Properties, Inc.           MD       2.02,9.01                      10/11/07

FIRST ALBANY COMPANIES INC              NY       5.03,9.01                      10/05/07

FIRST FINANCIAL BANCORP /OH/            OH       2.01,7.01,9.01                 10/04/07

FLEXIBLE SOLUTIONS INTERNATIONAL INC    NV       8.01,9.01                      10/11/07

FLOWERS FOODS INC                       GA       1.01,2.03,9.01                 10/05/07

Fluid Media Networks, Inc.                       2.02,9.01                      10/05/07

FMC TECHNOLOGIES INC                    DE       1.01,5.02,9.01                 10/04/07

FNB CORP \VA\                           VA       2.02,9.01                      10/10/07

FORWARD AIR CORP                        TN       1.01,2.02,2.03,9.01            10/10/07

GAP INC                                 DE       7.01                           10/11/07

GENCOR INDUSTRIES INC                   DE       8.01                           10/09/07

GENWORTH LIFE & ANNUITY INSURANCE CO    VA       9.01                           10/11/07

GEORGIA POWER CO                        GA       5.03,8.01,9.01                 10/03/07

GERON CORP                              DE       5.02                           10/08/07

GOAMERICA INC                           DE       2.02,8.01,9.01                 10/11/07

GOURMET HERB GROWERS INC                         3.02,5.01,5.02                 10/11/07

GRIFFIN LAND & NURSERIES INC            DE       2.02,9.01                      10/11/07

GSC INVESTMENT CORP.                    MD       2.02,9.01                      10/11/07

HAPC, Inc.                              DE       7.01,8.01,9.01                 10/10/07

HAWTHORN BANCSHARES, INC.               MO       8.01,9.01                      10/09/07

HD Partners Acquisition CORP            CA       8.01,9.01                      10/11/07

HEARTLAND OIL & GAS CORP                NV       3.02                           09/30/07

HEMIS CORP                              NV       1.01                           10/08/07

HEMISPHERX BIOPHARMA INC                DE       8.01                           10/11/07

Highlands Acquisition Corp              DE       9.01                           10/09/07

HINES HORTICULTURE INC                  DE       3.01                           10/10/07

HINES HORTICULTURE INC                  DE       8.01                           10/10/07

HOLOGIC INC                             DE       8.01,9.01                      10/11/07

HOME FEDERAL BANCORP, INC. OF LOUISIA            7.01,9.01                      10/10/07

HSBC CREDIT CARD MASTER NOTE TRUST (U   DE       8.01,9.01                      10/11/07

IDM PHARMA, INC.                        DE       7.01,9.01                      10/11/07

IDT CORP                                DE       2.02,9.01                      10/11/07

IMERGENT INC                            DE       8.01,9.01                      10/10/07

INDEPENDENT BANK CORP                   MA       2.02,7.01,9.01                 10/11/07

ING USA Global Funding Trust 1          IA       8.01,9.01                      10/01/07

INLAND REAL ESTATE CORP                 MD       7.01,9.01                      10/11/07

INSPIRE PHARMACEUTICALS INC             DE       8.01,9.01                      10/11/07

INTEGRITY BANCSHARES INC                GA       5.02                           10/01/07

ION MEDIA NETWORKS INC.                 DE       8.01                           10/11/07

IPARTY CORP                             DE       2.02,7.01,9.01                 10/11/07

itLinkz Group, Inc.                     FL       1.01                           10/11/07

ITRONICS INC                            TX       4.01                           10/05/07

J P MORGAN CHASE & CO                   DE       9.01                           10/09/07

JEFFERIES GROUP INC /DE/                DE       5.02,9.01                      10/08/07

JK Acquisition Corp.                             8.01,9.01                      10/05/07

KANSAS CITY SOUTHERN                    DE       8.01,9.01                      10/09/07

KB HOME                                 DE       5.02,9.01                      10/11/07

KENDLE INTERNATIONAL INC                OH       5.02                           10/05/07

KNOT INC                                DE       5.02,9.01                      10/08/07

KOHLS CORPORATION                       WI       7.01,9.01                      10/11/07

KRONOS WORLDWIDE INC                             7.01,9.01                      10/10/07

LANCASTER COLONY CORP                   OH       1.01,9.01                      10/09/07

LANCASTER COLONY CORP                   OH       1.01,1.02,2.03,9.01            10/05/07

LANDAMERICA FINANCIAL GROUP INC         VA       2.03,8.01                      10/10/07

LCC INTERNATIONAL INC                   DE       5.02                           10/05/07

LIBERTY PROPERTY TRUST                  MD       1.01,2.01,2.06,9.01            10/04/07

LIGHTING SCIENCE GROUP CORP             DE       1.01,1.02,2.01,3.02,3.03,5.01, 10/04/07
					         5.02,5.03,9.01
   
Limelight Networks, Inc.                DE       2.02,4.02,9.01                 10/09/07

LINDSAY CORP                            DE       2.02,9.01                      10/10/07

LUMINENT MORTGAGE CAPITAL INC                    4.01,9.01                      10/04/07

M I HOMES INC                           OH       7.01,9.01                      10/11/07

M&T BANK CORP                           NY       2.02,9.01                      10/11/07

MANNATECH INC                           TX       1.01,5.02,9.01                 10/05/07

MARATHON OIL CORP                       DE       5.02                           10/07/07

MASTR Alternative Loan Trust 2007-HF1   DE       9.01                           10/11/07

MATRIX SERVICE CO                       DE       8.01,9.01                      10/11/07

MAYS J W INC                            NY       2.02                           10/10/07

MEADE INSTRUMENTS CORP                  DE       2.02,9.01                      10/11/07

MEDICALCV INC                           MN       5.02,8.01,9.01                 10/11/07

Milk Bottle Cards Inc.                  NV       5.02                           10/06/07

MODINE MANUFACTURING CO                 WI       5.02,9.01                      10/05/07

MOLINA HEALTHCARE INC                   DE       1.01,7.01,9.01                 10/11/07

MONARCH COMMUNITY BANCORP INC           MD       3.01,8.01,9.01                 09/28/07    AMEND

MORGAN STANLEY                          DE       5.02                           10/11/07

Morgans Hotel Group Co.                 DE       8.01,9.01                      10/10/07

NAUTILUS, INC.                          WA       1.01,9.01                      10/05/07

Neiman Marcus, Inc.                     DE       2.02,7.01                      10/11/07

NEKTAR THERAPEUTICS                     DE       5.02                           10/05/07

NeoStem, Inc.                           DE       8.01                           08/15/07

New England Bancshares, Inc.                     5.03,8.01,9.01                 10/09/07

Nissan Auto Receivables 2007-B Owner    DE       1.01,9.01                      10/09/07

NORDSTROM INC                           WA       7.01                           10/11/07

NPS PHARMACEUTICALS INC                 DE       5.02,8.01,9.01                 10/08/07

NYFIX INC                               DE       8.01,9.01                      10/04/07

PACIFIC FINANCIAL CORP                  WA       5.02,7.01                      10/04/07

PALL CORP                               NY       1.01,8.01,9.01                 10/09/07

Paramount Acquisition Corp              DE       1.01,8.01,9.01                 10/10/07

PARK ELECTROCHEMICAL CORP               NY       9.01                           10/05/07

PAY88                                   NV       3.02                           10/03/07

PEABODYS COFFEE INC/NV                  NV       1.01                           09/17/07

PEPSICO INC                             NC       2.02,9.01                      10/11/07

PEPSICO INC                             NC       8.01,9.01                      10/11/07

PERCEPTRON INC/MI                       MI       5.02,9.01                      10/09/07

PERRIGO CO                              MI       5.02,9.01                      10/11/07

Pharmasset Inc                                   1.01,2.03,9.01                 10/05/07

PHOENIX TECHNOLOGIES LTD                DE       5.02                           10/05/07

PHOTON DYNAMICS INC                     CA       5.02                           10/11/07

PIERRE FOODS INC                        NC       1.01,9.01                      10/10/07

PINNACLE BANKSHARES CORP                VA       8.01,9.01                      10/10/07

PNM RESOURCES INC                       NM       2.06                           10/11/07

PREMIER WEALTH MANAGEMENT, INC.         DE       8.01,9.01                      10/10/07

Prestige Brands Holdings, Inc.                   7.01,9.01                      10/11/07

PRINCIPAL LIFE INSURANCE CO             IA       9.01                           10/05/07

PRINCIPAL LIFE INSURANCE CO             IA       9.01                           10/05/07

PRINCIPAL LIFE INSURANCE CO             IA       9.01                           10/05/07

QLT INC/BC                              A1       1.01,9.01                      10/08/07

RAYONIER INC                            NC       8.01                           10/11/07

Real Mex Restaurants, Inc.              DE       5.02                           10/08/07

Renaissance Home Equity Loan Trust 20            8.01,9.01                      08/27/07    AMEND

RIDGEWOOD ELECTRIC POWER TRUST III      DE       4.02                           10/08/07

ROCK OF AGES CORP                       DE       1.02,5.02,9.01                 10/10/07

Rockwood Holdings, Inc.                 DE       1.01,9.01                      10/07/07

ROGERS CORP                             MA       7.01,9.01                      10/11/07

RUBBER RESEARCH ELASTOMERICS INC        MN       8.01,9.01                      10/10/07

Ruths Chris Steak House, Inc.           DE       2.02,9.01                      10/10/07

SAFEWAY INC                             DE       2.02,9.01                      10/11/07

SAKS INC                                TN       8.01,9.01                      10/11/07

SAMARITAN PHARMACEUTICALS INC           NV       8.01,9.01                      10/11/07

SARATOGA RESOURCES INC /TX              TX       1.01,3.02,5.02,8.01,9.01       10/08/07

SCOLR Pharma, Inc.                      DE       5.02,9.01                      10/05/07

SEALIFE CORP                                     8.01,9.01                      10/11/07

SECURITY BANK CORP                      GA       8.01,9.01                      10/11/07

SELECTICA INC                           DE       5.02,9.01                      10/09/07

Seligman LaSalle International Real E   MD       8.01                           10/11/07

SEVERN BANCORP INC                      MD       2.02,9.01                      10/11/07

Sinoenergy CORP                         NV       1.01,5.03,9.01                 09/01/07    AMEND

SKYFLYER INC.                           NV       1.01,9.01                      10/03/07

SLM CORP                                DE       2.02                           10/11/07

SLM CORP                                DE       7.01                           10/11/07

SONIC INNOVATIONS INC                   DE       1.01,2.01,9.01                 10/05/07

Soundview Home Loan Trust 2007-OPT4     DE       9.01                           09/18/07

Soundview Home Loan Trust 2007-OPT4     DE       7.01                           09/18/07

SOUTHWEST WATER CO                      DE       4.01,9.01                      10/04/07

SOYO GROUP INC                          NV       8.01                           10/10/07

Spectra Energy Partners, LP             DE       1.01,9.01                      10/05/07

Sputnik, Inc.                           NV       4.01,9.01                      10/11/07

Standard Drilling, Inc.                          1.01,5.02,9.01                 09/24/07

STRUCTURED PRODUCTS CORP CORTS TR FOR   DE       8.01,9.01                      10/09/07

SURETY CAPITAL CORP /DE/                DE       5.02                           10/11/07

Susser Holdings CORP                    DE       5.02,7.01,9.01                 10/05/07

SWMX, INC.                              DE       1.01,3.02,9.01                 10/03/07

Symmetry Medical Inc.                   DE       1.01,9.01                      10/10/07

Synova Healthcare Group Inc                      5.02                           08/07/07    AMEND

SYNTHETIC BLOOD INTERNATIONAL INC       NJ       5.02                           10/08/07

T Bancshares, Inc.                               1.01,3.03,9.01                 10/10/07

TARGET CORP                             MN       8.01,9.01                      10/11/07

TATONKA OIL & GAS, INC.                 CO       1.01,9.01                      10/05/07

TEKELEC                                 CA       5.02,5.03,9.01                 10/09/07

TEREX CORP                              DE       8.01,9.01                      10/10/07

TESCO CORP                                       7.01                           10/10/07

TheRetirementSolution.com, Inc.         UT       5.02                           10/05/07

TIVO INC                                DE       5.02,9.01                      10/09/07

TOLLGRADE COMMUNICATIONS INC \PA\       PA       2.01,9.01                      08/01/07    AMEND

TomoTherapy Inc                                  8.01,9.01                      10/11/07

TOWER BANCORP INC                       PA       8.01,9.01                      10/11/07

TRANSCENDENT INC                        NV       3.02                           10/11/07

TRANSNATIONAL FINANCIAL NETWORK INC     CA       1.01,2.01,3.02,5.01,5.02,5.03, 10/01/07
					         8.01
    
Travelstar, Inc.                        CA       4.02                           10/05/07

TRIMERIS INC                            DE       1.01,9.01                      10/08/07

TSB Financial CORP                      NC       8.01,9.01                      10/11/07

TSR INC                                 DE       9.01                           09/19/07    AMEND

TUESDAY MORNING CORP/DE                 DE       2.02,9.01                      10/11/07

UCBH HOLDINGS INC                       DE       1.01,3.02,9.01                 10/07/07

UNITED FUEL & ENERGY CORP               NV       1.01,2.01,2.03,3.02,5.01,5.02, 10/05/07
					         7.01,9.01

UNITED NATURAL FOODS INC                DE       1.01,7.01,9.01                 10/05/07

UNITED RESTAURANT MANAGEMENT, INC.      DE       1.01,5.01,5.03,9.01            09/24/07

UNITED WISCONSIN GRAIN PRODUCERS LLC    WI       2.02,7.01,9.01                 10/11/07

UNIVERSAL INSURANCE HOLDINGS, INC.      DE       8.01,9.01                      10/05/07

UNIVERSAL PROPERTY DEVELOPMENT & ACQU   NV       8.01                           09/30/07

USA SUPERIOR ENERGY HOLDINGS, INC.      NV       5.02                           10/10/07

UTi WORLDWIDE INC                                8.01                           10/10/07

Vincera, Inc.                           DE       5.02                           10/08/07

VITAL SIGNS INC                         NJ       5.02,9.01                      10/05/07

VIVUS INC                               CA       8.01                           10/10/07

VOUGHT AIRCRAFT INDUSTRIES INC          DE       7.01                           10/11/07

VSB BANCORP INC                         NY       2.02,9.01                      10/10/07

VSE CORP                                DE       5.03,9.01                      10/04/07

W-H ENERGY SERVICES INC                 TX       2.02,7.01,9.01                 10/11/07

Wave Uranium Holding                             8.01,9.01                      10/09/07

WEST MARINE INC                         DE       2.02,9.01                      10/11/07

WINNEBAGO INDUSTRIES INC                IA       2.02,9.01                      10/11/07

WINNER MEDICAL GROUP INC                NV       5.02,9.01                      10/07/07

WNC Housing Tax Credit Fund VI, L.P.,   CA       8.01,9.01                      08/30/07

WNC Housing Tax Credit Fund VI, L.P.,   CA       8.01                           08/30/07    AMEND

World Energy Solutions, Inc.            DE       5.02,9.01                      10/09/07

XATA CORP /MN/                          MN       5.02                           10/11/07

XENOMICS INC                            FL       5.02                           10/08/07

XPENTION GENETICS INC                            5.02                           09/20/07

ZIONS BANCORPORATION /UT/               UT       2.02                           10/11/07

Zupintra Corporation, Inc.              FL       1.02,9.01                      10/10/07


                           

 

http://www.sec.gov/news/digest/2007/dig101207.htm


Modified: 10/12/2007