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U.S. Securities and Exchange Commission


                           SEC NEWS DIGEST


Issue 2007-211				     	      November 1, 2007



COMMISSION ANNOUNCEMENTS


SECURITIES �AND EXCHANGE COMMISSION SUSPENDS TRADING OF BIMS RENEWABLE
ENERGY, INC., FOR FAILURE TO MAKE REQUIRED PERIODIC FILINGS

On �November �1, �the Securities and Exchange Commission announced the
temporary �suspension �of �trading of the securities of BIMS Renewable
Energy, ���Inc. �(n/k/a �Tung �Ding �Resources, �Inc. �(symbol �TGDR))
commencing �at �9:30 �a.m., E.D.T. on Nov. 1, 2007, and terminating at
11:59 p.m. EST on Nov. 14, 2007.

The Commission temporarily suspended trading of the securities of BIMS
Renewable �Energy, �Inc. �due �to �a �lack �of �current �and �accurate
information �about �the �company �because �it �has �not filed periodic
reports �with �the �Commission �for almost three years. This order was
entered �pursuant �to �Section 12(k) of the Securities Exchange Act of
1934.

The Commission cautions brokers, dealers, shareholders and prospective
purchasers ����that �they �should �carefully �consider �the �foregoing
information �along �with all other currently available information and
any information subsequently issued by the company.

Brokers �and �dealers �should �be �alert to the fact that, pursuant to
Exchange ��Act �Rule �15c2-11, �at �the �termination �of �the �trading
suspension, �no quotation may be entered relating to the securities of
the subject company unless and until the broker or dealer has strictly
complied �with �all �of �the �provisions of the rule. If any broker or
dealer �is �uncertain �as �to �what is required by the rule, it should
refrain �from �entering �quotations �relating to the securities of the
company �until �such �time as it has familiarized itself with the rule
and is certain that all of its provisions have been met. Any broker or
dealer �with �questions regarding the rule should contact the staff of
the �Securities �and �Exchange Commission in Washington, D.C. at (202)
551-5720. �If �any �broker �or dealer enters any quotation which is in
violation �of �the �rule, �the �Commission �will consider the need for
prompt enforcement action. (Rel. 34-56727)


ENFORCEMENT PROCEEDINGS

COMMISSION �ORDERS �HEARINGS �ON �REGISTRATION REVOCATION AGAINST BIMS
RENEWABLE ENERGY, INC., FOR FAILURE TO MAKE REQUIRED PERIODIC FILINGS 

On �November �1, �the �Commission �issued �an order instituting public
administrative �proceedings �to determine whether to revoke or suspend
for �a �period �not �exceeding �twelve months the registration of each
class �of �the �securities �of BIMS Renewable Energy, Inc. (n/k/a Tung
Ding �Resources, �Inc.), �symbol �TGDR, �for �failure to make required
periodic filings with the Commission.

In �the �Order, the Division of Enforcement alleges that the issuer is
delinquent �in �its �periodic �filings �with �the �Commission. In this
proceeding, �instituted �pursuant �to �Exchange �Act �Section 12(j), a
hearing �will �be scheduled before an Administrative Law Judge. At the
hearing, �the �judge �will �hear �evidence �from �the Division and the
respondent �to �determine �whether �the �allegations �of �the Division
contained ��in �the �Order, �which �the �Division �alleges �constitute
violations �of �Exchange �Act Section 13(a) and Rules 13a-1 and 13a-13
thereunder, �are true. The judge in the proceeding will then determine
whether �the registration of the securities of the respondent pursuant
to Section 12 of the Exchange Act should be revoked or suspended for a
period �not �exceeding �twelve months. The Commission ordered that the
Administrative �Law Judge in this proceeding issue an initial decision
not �later �than �120 �days �from �the �date �of �service of the order
instituting proceedings. (Rel. 34-56728; File No. 3-12883)

PROCEEDINGS �INSTITUTED �AGAINST MAXIMUM DYNAMICS, INC. FOR FAILURE TO
MAKE REQUIRED PERIODIC FILINGS

On �November 1, the Commission issued an Order Instituting Proceedings
and �Notice �of �Hearing �Pursuant �to Section 12(j) of the Securities
Exchange �Act �of �1934 �against �Maximum �Dynamics, Inc. to determine
whether �the �registration �of �each class of its securities should be
revoked or suspended for a period not exceeding twelve months based on
its failure to file required periodic reports.

The �Division of Enforcement alleges that Maximum has failed to comply
with �Section �13(a) �of �the �Exchange Act and Rules 13a-1 and 13a-13
thereunder because Maximum has not filed any periodic reports with the
Commission since it filed a Form 10-QSB for the period ended Sept. 30,
2004, in December 2004.

A �hearing �will �be �scheduled �before an Administrative Law Judge to
determine �whether �the �allegations �of the Division contained in the
Order �are true, to provide Maximum an opportunity to respond to these
allegations, and to determine whether Maximum's registration should be
suspended �for �a �period �not �exceeding �twelve �months, or revoked,
pursuant �to �Section �12(j) �of �the Exchange Act. As directed by the
Commission, �the �Administrative �Law �Judge �shall �issue �an initial
decision �in �this �matter �not �later �than 120 days from the date of
service of the Order. (Rel. 34-56729; File No. 3-12884)


INVESTMENT COMPANY ACT RELEASES


RAFFERTY ASSET MANAGEMENT, ET AL.

A �notice �has been issued giving interested persons until November 26
to �request �a �hearing �on �an �application �filed �by Rafferty Asset
Management, �et �al., �for �an �order under Section 12(d)(1)(J) of the
Investment Company Act for exemption from Sections 12(d)(1)(A) and (B)
of �the �Act �and �under �Sections �6(c) �and �17(b) of the Act for an
exemption �from �Section �17(a) �of �the �Act. �The order would permit
certain �management �investment �companies �and unit investment trusts
registered �under �the �Act �to �acquire �shares �of �certain open end
management �investment �companies �registered �under the Act, that are
outside �of �the �same �group of investment companies as the acquiring
investment companies. (Rel. IC-28039 - October 30)

MYSHARES TRUST, ET AL.

A �notice �has been issued giving interested persons until November 26
to �request �a �hearing �on an application filed by MyShares Trust, et
al., �for �an �order �to �permit �(a) �series �of �registered open-end
management �investment companies, whose portfolios will consist of the
securities �of �equity �securities indices to issue shares that can be
redeemed only in large aggregations, (b) secondary market transactions
in �shares of the series to occur at negotiated prices, (c) dealers to
sell �the �series' �shares �to �purchasers �in �the �secondary �market
unaccompanied by a prospectus when prospectus delivery is not required
by �the �Securities Act of 1933, and (d) certain affiliated persons of
the �series �to �deposit securities into, and receive securities from,
the series. (Rel. IC-28040 - October 31)


INVESTMENT ADVISERS ACT RELEASES

FRANKLIN PORTFOLIO ASSOCIATES, LLC AND THE HIRTLE CALLAGHAN TRUST

An order has been issued to Franklin Portfolio Associates, LLC and The
Hirtle �Callaghan �Trust, �granting �relief �from �Section �205 of the
Investment �Advisers Act and Rule 205-1 there under. The order permits
Franklin �to charge a performance fee based on the performance of that
portion �of �a trust portfolio managed by Franklin (Franklin Account).
The ���order �further �permits �the �applicants, �subject �to �certain
conditions, �to �compute �the �performance-related �portion of the fee
using �changes in the Franklin Account's gross asset value rather than
net asset value. (Rel. IA-2674)

IRONBRIDGE CAPITAL MANAGEMENT LP AND THE HIRTLE CALLAGHAN TRUST

An �order �has been issued to IronBridge Capital Management LP and The
Hirtle �Callaghan �Trust, �granting �relief �from �Section �205 of the
Investment �Advisers �Act and Rule 205-1 thereunder. The order permits
IronBridge �to �charge �a �performance fee based on the performance of
that �portion �of �a trust portfolio managed by IronBridge (IronBridge
Account). The order further permits the applicants, subject to certain
conditions, �to �compute �the �performance-related �portion of the fee
using �changes �in �the �IronBridge Account's gross asset value rather
than net asset value. (Rel. IA-2675)


SELF-REGULATORY ORGANIZATIONS

IMMEDIATE EFFECTIVENESS OF PROPOSED RULE CHANGES 

A �proposed �rule change filed by the New York Stock Exchange relating
to Rule Rule 80A (Index Arbitrage Trading Restrictions) (SR-NYSE-2007-
96) �has �become �effective �pursuant �to �Section �19(b)(3)(A) of the
Securities �Exchange �Act �of �1934. �Publication �is �expected in the
Federal Register during the week of November 4. (Rel. 34-56726)

PROPOSED RULE CHANGES

The �NASDAQ Stock Market filed a proposed rule change (SR-NASDAQ-2007-
085) �under Rule 19b-4 of the Securities Exchange Act of 1934 amending
Nasdaq's �membership application rules. Publication is expected in the
Federal Register during the week of November 5. (Rel. 34-56722)


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.


F-9     TECK COMINCO LTD, 200 BURRARD STREET STE 600, 
        VANCOUVER BRITISH COLUMBIA CANADA, V6C 3L9, A1, 604 687 1117 - 
        2,500,000,000 ($2,500,000,000.00) Debt, (File 333-147032 - Oct. 31) 
        (BR. 04C)

S-3     BABYUNIVERSE, INC., 150 SOUTH U.S. HIGHWAY ONE, SUITE 500, JUPITER, FL, 
        33477, 561-277-6400 - 1,126,357 ($12,660,253.00) Equity, 
        (File 333-147033 - Oct. 31) (BR. 02A)

S-8     NETWORK APPLIANCE INC, 495 EAST JAVA DR, SUNNYVALE, CA, 94089, 
        4088226000 - 8,800,000 ($268,048,000.00) Equity, (File 333-147034 - 
        Oct. 31) (BR. 03A)

S-8     AMERIRESOURCE TECHNOLOGIES INC, 3440 E. RUSSELL ROAD, SUITE 217, 
        LAS VEGAS, NV, 89120, 702-214-4245 - 
        1,000,000,000 ($500,000.00) Equity, (File 333-147035 - Oct. 31) 
        (BR. 02A)

SB-2    Avatar Ventures Corp., POSTAL CODE 130021, BOX 2225, 
        MING DE ROAD POST OFFICE, CHAO YANG, CHANG CHUN, F4, 1300006, 
        133-0448-6866 - 2,500,000 ($25,000.00) Equity, (File 333-147037 - 
        Oct. 31) (BR. 05)

S-4     China Cablecom Holdings, Ltd., 17 STATE STREET, SUITE 1600, NEW YORK, 
        NY, 10004, 212-888-8890 - 14,850,001 ($127,215,100.00) Equity, 
        (File 333-147038 - Oct. 31) (BR. 11)

N-2     MVC CAPITAL, INC., RIVERVIEW AT PURCHASE, 287 BOWMAN AVENUE, 3RD FLOOR, 
        PURCHASE, NY, 10577, 914-701-0310 - 0 ($250,000,000.00) Other, 
        (File 333-147039 - Oct. 31) (BR. 18)

S-8     CORNING NATURAL GAS CORP, 330 W WILLIAM ST, P O BOX 58, CORNING, NY, 
        14830, 6079363755 - 100,000 ($1,539,250.00) Equity, (File 333-147040 - 
        Oct. 31) (BR. 02A)

S-8     Canadian Solar Inc., XIN ZHUANG INDUSTRY PARK, CHANGSHU, SUZHOU,, 
        JIANGSU, F4, 215562, (85-512) 6269-6010 - 
        2,582,810 ($17,754,390.00) Equity, (File 333-147042 - Oct. 31) (BR. 10)

S-8     Patriot Coal CORP, 710 MARKET STREET, ST. LOUIS, MO, 63101, 
        (314) 342-3400 - 3,600,000 ($133,560,000.00) Equity, (File 333-147043 - 
        Oct. 31) (BR. 04A)

SB-2    Ingen Technologies, Inc., 35193 AVENUE A, SUITE C, YUCAIPA, CA, 92399, 
        800-259-9622 - 14,142,068 ($593,966.00) Equity, (File 333-147044 - 
        Oct. 31) (BR. 06C)

SB-2    Teen Education Group, Inc., 70707 FRANK SINATRA DRIVE, UNIT 59, 
        RANCHO MIRAGE, CA, 92270, 702-248-1027 - 250,000 ($25,000.00) Equity, 
        (File 333-147045 - Oct. 31) (BR. 11)

SB-2    UBIQUITECH SOFTWARE CORP, 7730 EAST BELLEVIEEW AVE, #A202, ENGLEWOOD, 
        CO, 80111, 118,000 ($29,500.00) Equity, (File 333-147046 - Oct. 31) 
        (BR. 03)

SB-2    SOMERSET INTERNATIONAL GROUP,INC., 90 WASHINGTON VALLEY ROAD, -, 
        BEDMINSTER, NJ, 07921, 9087198909 - 3,199,602 ($351,956.00) Equity, 
        (File 333-147047 - Oct. 31) (BR. 11C)

S-3ASR  ANHEUSER-BUSCH COMPANIES, INC., ONE BUSCH PL, ST LOUIS, MO, 63118-1852, 
        3145772000 - 0 ($0.00) Debt, (File 333-147048 - Oct. 31) (BR. 09B)

S-8     PUBLIX SUPER MARKETS INC, 3300 PUBLIX CORPORATE PARKWAY, LAKELAND, FL, 
        33811, 863-688-1188 - 35,000,000 ($731,500,000.00) Equity, 
        (File 333-147049 - Oct. 31) (BR. 02C)

F-3     OXFORD INVESTMENTS HOLDINGS INC, 1315 LAWRENCE AVE. EAST, SUITE 520, 
        TORONTO, A6, M3A 3R3, 416-510-8351 - 4,395,000 ($879,000.00) Equity, 
        (File 333-147050 - Oct. 31) (BR. 03A)

S-8     MAGNA ENTERTAINMENT CORP, 337 MAGNA DRIVE, AURORA, ONTARIO CANADA, A6, 
        L4G 7K1, 9057262462 - 2,000,000 ($4,840,000.00) Equity, 
        (File 333-147051 - Oct. 31) (BR. 05B)

SB-2    PACIFIC GOLD CORP, 465 SOUTH MEADOWS PARKWAY, SUITE 20, RENO, NV, 
        89521, 888-257-4193 - 7,767,289 ($959,074.68) Equity, 
        (File 333-147052 - Oct. 31) (BR. 04A)

S-3     United States Oil Fund, LP, 1320 HARBOR BAY PARKWAY, SUITE 145, 
        ALMADEDA, CA, 94502, (800) 394-5064 - 
        30,000,000 ($1,974,900,000.00) Equity, (File 333-147054 - Oct. 31) 
        (BR. 08A)

S-3     SINGING MACHINE CO INC, 6601 LYONS ROAD, BLDG A-7, COCONUT CREEK, FL, 
        33073, 9545961000 - 12,876,531 ($4,274,255.23) Equity, 
        (File 333-147055 - Oct. 31) (BR. 11B)

SB-2    Golf Alliance CORP, 12926 MOREHEAD, CHAPEL HILL, NC, 27517, 
        919-969-2982 - 800,000 ($80,000.00) Equity, (File 333-147056 - Oct. 31) 
        (BR. 05)

S-8     CARPENTER TECHNOLOGY CORP, 2 MERIDIAN BOULEVARD, WYOMISSING, PA, 19612, 
        6102082000 - 500,000 ($69,225,000.00) Equity, (File 333-147057 - 
        Oct. 31) (BR. 06B)

S-8     BLUEPHOENIX SOLUTIONS LTD, 8 MASKIT STREET, HERZLIA, L3, 46120, 
        972-9-952-6110 - 905,000 ($4,502,500.00) Equity, (File 333-147058 - 
        Oct. 31) (BR. 03C)

S-8     CARPENTER TECHNOLOGY CORP, 2 MERIDIAN BOULEVARD, WYOMISSING, PA, 19612, 
        6102082000 - 23,000,000 ($318,435,000.00) Equity, (File 333-147059 - 
        Oct. 31) (BR. 06B)

S-8     SAVVIS, Inc., 1 SAVVIS PARKWAY, TOWN & COUNTRY, MO, 63017, 
        314-628-7000 - 400,000 ($13,748,000.00) Equity, (File 333-147060 - 
        Oct. 31) (BR. 03A)

S-1     COMSCORE, INC., 11465 SUNSET HILLS ROAD, SUITE 200, RESTON, VA, 20190, 
        703-438-2000 - 0 ($255,494,201.00) Equity, (File 333-147061 - Oct. 31) 
        (BR. 03)

S-8     EXELIXIS INC, 6508252200 - 0 ($62,826,660.00) Equity, 
        (File 333-147063 - Oct. 31) (BR. 01C)

S-8     NETLOGIC MICROSYSTEMS INC, 1875 CHARLESTON ROAD, MOUNTAIN VIEW, CA, 
        94043, 6509616676 - 1,029,770 ($31,263,817.20) Equity, 
        (File 333-147064 - Oct. 31) (BR. 10B)

S-3     VERTICALNET INC, 400 CHESTER FIELD PARKWAY, MALVERN, PA, 19355, 
        2153286100 - 0 ($1,479,000.00) Equity, (File 333-147065 - Oct. 31) 
        (BR. 03C)

S-4     Targa Resources, Inc., TARGA RESOURCES PARTNERS LP, 
        1000 LOUISIANA STREET, SUITE 4300, HOUSTON, TX, 77002, 713-584-1000 - 
        0 ($250,000,000.00) Other, (File 333-147066 - Oct. 31) (BR. )

S-3ASR  GLOBAL INDUSTRIES LTD, P O BOX 442, 8000 GLOBAL DRIVE, SULPHUR, LA, 
        70664, 3375835083 - 0 ($325,000,000.00) Debt Convertible into Equity, 
        (File 333-147067 - Oct. 31) (BR. 04A)


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
-----------------------------------------------------------------------------------------------------------
ABINGTON BANCORP, INC./PA               PA       2.02,9.01                         10/30/07

ACADIA REALTY TRUST                     MD       2.02,9.01                         10/29/07

ACROSS AMERICA REAL ESTATE CORP         CO       1.01,2.03,9.01                    10/31/07

ACURA PHARMACEUTICALS, INC              NY       2.04,5.03,9.01                    10/30/07

ADAPTEC INC                             DE       1.01,5.02,5.03,9.01               10/26/07

ADAPTEC INC                             DE       2.02,9.01                         10/31/07

ADDVANTAGE TECHNOLOGIES GROUP INC       OK       7.01                              10/31/07

ADOLOR CORP                                      2.02,9.01                         10/30/07

ADVANCE AUTO PARTS INC                  DE       2.02,9.01                         10/31/07

AFFILIATED COMPUTER SERVICES INC        DE       8.01,9.01                         10/30/07

ALLIED WASTE INDUSTRIES INC             DE       2.02,9.01                         09/30/07

Alpha Natural Resources, Inc.           DE       2.02,9.01                         10/31/07

AMERICAN AIRLINES INC                   DE       7.01                              10/31/07

AMERICAN CAMPUS COMMUNITIES INC         MD       2.02,7.01,9.01                    10/30/07

AMERICAN CAPITAL STRATEGIES LTD                  2.02,9.01                         10/30/07

American Caresource Holdings, Inc.      DE       5.02                              10/25/07

AMERICAN DAIRY INC                      UT       1.01,9.01                         10/25/07

AMERICAN ENERGY PRODUCTION INC                   5.02                              10/24/07

AMERICAN EQUITY INVESTMENT LIFE HOLDI   IA       7.01,9.01                         10/31/07

AMERICAN MOLD GUARD INC                          2.02,9.01                         10/31/07

AMERICAN POST TENSION, INC.             DE       4.01,9.01                         04/16/07

AMERICAN SOIL TECHNOLOGIES INC          NV       3.02,9.01                         10/31/07

AMERICAN SUPERCONDUCTOR CORP /DE/       DE       2.05                              10/25/07

Ames True Temper, Inc.                  DE       5.02,9.01                         10/29/07

AMICAS, Inc.                            DE       2.02,9.01                         10/31/07

AMICUS THERAPEUTICS INC                 DE       2.02,9.01                         10/31/07

AMR CORP                                DE       7.01                              10/31/07

AMYLIN PHARMACEUTICALS INC              DE       5.02,5.03,9.01                    10/29/07

AMYLIN PHARMACEUTICALS INC              DE       8.01,9.01                         10/31/07

ANDERSONS INC                           OH       2.02                              10/31/07

ANDREW CORP                             DE       2.02,8.01,9.01                    10/30/07

ANGIODYNAMICS INC                       DE       5.02,9.01                         10/29/07

AON CORP                                DE       2.02,2.05,9.01                    10/31/07

APPLEBEES INTERNATIONAL INC             DE       7.01,9.01                         10/31/07

APPLIANCE RECYCLING CENTERS OF AMERIC   MN       8.01,9.01                         10/23/07

APPLIANCE RECYCLING CENTERS OF AMERIC   MN       2.02,9.01                         10/25/07

APRIA HEALTHCARE GROUP INC              DE       2.02,9.01                         10/30/07

ARBINET THEXCHANGE INC                  DE       5.03,9.01                         08/21/07

ARISTOTLE CORP                          DE       2.02,9.01                         10/31/07

Ascend Acquisition Corp.                DE       1.01,7.01,9.01                    07/30/07    AMEND

ASHFORD HOSPITALITY TRUST INC           MD       2.02,9.01                         10/31/07

ASTA FUNDING INC                        DE       5.03,9.01                         10/30/07

ATHERSYS, INC / NEW                     DE       1.01,5.03,9.01                    10/30/07

ATLANTIC COAST FEDERAL CORP             X1       2.02,9.01                         10/31/07

ATWOOD OCEANICS INC                     TX       7.01,9.01                         10/31/07

AURELIO RESOURCE CORP                   NV       8.01                              10/31/07

AUXILIUM PHARMACEUTICALS INC                     2.02,9.01                         10/31/07

Avalon Oil & Gas, Inc.                  CO       5.02                              10/30/07

AVANT IMMUNOTHERAPEUTICS INC            DE       2.02,9.01                         10/31/07

AVENTINE RENEWABLE ENERGY HOLDINGS IN   DE       2.02,9.01                         10/30/07

AVISTA CORP                             WA       2.02,9.01                         10/31/07

AZZ INC                                 TX       7.01,9.01                         10/30/07

BACK YARD BURGERS INC                   DE       8.01,9.01                         10/30/07

Bank of Marin Bancorp                   CA       5.02,9.01                         10/26/07

Bank of the Carolinas CORP              NC       2.02,8.01,9.01                    10/31/07

BARE ESCENTUALS INC                     DE       2.02,9.01                         10/31/07

Bear Stearns Structured Products Inc.   DE       8.01,9.01                         10/31/07

BEHRINGER HARVARD SHORT TERM OPPORTUN   TX       7.01,9.01                         10/31/07

BERKSHIRE HILLS BANCORP INC                      2.02,9.01                         10/29/07

BERRY PETROLEUM CO                      DE       2.02,9.01                         10/31/07

BIG LOTS INC                            OH       2.03,8.01,9.01                    10/25/07

BIO BRIDGE SCIENCE INC                  DE       7.01,9.01                         10/31/07

BIOSTEM, INC.                           NV       3.02,5.02,8.01,9.01               10/12/07

BLACK GAMING, LLC                                1.01,9.01                         10/26/07

BOYD GAMING CORP                        NV       2.02,9.01                         10/31/07

BPI Energy Holdings, Inc.                        5.02,9.01                         10/31/07

BRAINTECH INC                           NV       1.01,3.02,5.02,8.01,9.01          10/22/07

BRE PROPERTIES INC /MD/                 MD       2.02,8.01,9.01                    10/30/07

BRINKS CO                               VA       2.02,9.01                         10/31/07

BRINKS CO                               VA       7.01                              10/31/07

Britton International Inc.              NV       2.01,8.01                         10/02/07    AMEND

Brooklyn Federal Bancorp, Inc.          X1       2.02,8.01,9.01                    10/30/07

BROOKS AUTOMATION INC                   DE       5.02                              10/26/07

BUCKEYE VENTURES, INC.                  NV       8.01                              10/31/07

CACI INTERNATIONAL INC /DE/             DE       9.01                              10/31/07

CALGON CARBON CORPORATION               DE       5.02                              10/30/07

CALIFORNIA WATER SERVICE GROUP          DE       2.02,9.01                         10/31/07

CAMDEN NATIONAL CORP                    ME       2.02,9.01                         10/31/07

CAPITAL CORP OF THE WEST                CA       8.01,9.01                         10/29/07

CAPITAL GROWTH SYSTEMS INC /FL/         FL       1.01,3.02,9.01                    10/31/07

CARGO CONNECTION LOGISTICS HOLDING, I   FL       2.04,9.01                         10/26/07

CARPENTER TECHNOLOGY CORP               DE       2.02,9.01                         10/31/07

CARPENTER TECHNOLOGY CORP               DE       7.01,9.01                         10/25/07

CASELLA WASTE SYSTEMS INC               DE       7.01,9.01                         10/31/07

Centennial Bank Holdings, Inc.          DE       1.01,2.02,5.02,5.03,7.01,9.01     10/26/07

CENTERPOINT ENERGY INC                           5.03,9.01                         10/25/07

CH2M HILL COMPANIES LTD                 OR       2.01,9.01                         09/07/07    AMEND

CHAMPION ENTERPRISES INC                MI       1.01,9.01                         10/25/07

CHASE BANK USA, NATIONAL ASSOCIATION    DE       8.01,9.01                         10/31/07

CHASE BANK USA, NATIONAL ASSOCIATION    DE       8.01,9.01                         10/31/07

CHEMED CORP                             DE       2.02,9.01                         10/30/07

CHESAPEAKE ENERGY CORP                  OK       7.01,9.01                         10/30/07

CHICAGO BRIDGE & IRON CO N V                     2.02,9.01                         10/31/07

CHINA SUN GROUP HIGH-TECH CO            NC       2.02,7.01,9.01                    10/30/07

CHIQUITA BRANDS INTERNATIONAL INC       NJ       2.05,5.02,9.01                    10/25/07

CHITTENDEN CORP /VT/                    VT       8.01,9.01                         10/31/07

CHYRON CORP                             NY       1.01                              10/26/07

CIMAREX ENERGY CO                       DE       7.01,9.01                         10/30/07

CITIBANK CREDIT CARD ISSUANCE TRUST     DE       8.01,9.01                         10/31/07

CITIGROUP INC                           DE       1.01,8.01,9.01                    10/31/07

Citigroup Mortgage Loan Trust 2007-10            9.01                              10/31/07

Citigroup Mortgage Loan Trust 2007-WF            9.01                              07/25/07

CLARIENT, INC                           DE       2.02,9.01                         10/30/07

CLECO CORP                              LA       2.02,9.01                         09/30/07

CLIFTON SAVINGS BANCORP INC                      2.02,9.01                         10/31/07

CLOROX CO /DE/                          DE       2.02,7.01,9.01                    10/31/07

CNET NETWORKS INC                       DE       1.01,2.01,9.01                    10/25/07

COCA COLA CO                            DE       8.01,9.01                         10/29/07

COCONNECT INC                           NV       5.02                              10/31/07

COEUR D ALENE MINES CORP                ID       8.01,9.01                         10/30/07

COLE KENNETH PRODUCTIONS INC            NY       5.02                              10/31/07

COLUMBIA BANCORP \OR\                   OR       5.02                              10/29/07

COLUMBUS VENTURES INC.                  NV       4.01                              10/29/07

COMBINATORX, INC                        DE       2.02,9.01                         10/31/07

COMMERCE GROUP INC /MA                  MA       1.01,8.01,9.01                    10/30/07

COMMONWEALTH BIOTECHNOLOGIES INC        VA       3.03,9.01                         10/29/07

COMMUNITY BANKSHARES INC /SC/           SC       2.02,9.01                         10/30/07

COMMUNITY FINANCIAL SHARES INC          DE       2.02,9.01                         10/31/07

CommunitySouth Financial CORP           SC       2.02,9.01                         10/25/07

COMSCORE, INC.                          DE       2.02,9.01                         10/31/07

COMSCORE, INC.                          DE       8.01,9.01                         10/31/07

Comverge, Inc.                          DE       9.01                              10/04/07    AMEND

CONOLOG CORP                            DE       2.02,9.01                         10/29/07

CONSECO INC                             DE       7.01,9.01                         10/31/07

CONSOLIDATED GRAPHICS INC /TX/          TX       2.02,7.01,9.01                    10/31/07

CONSOLIDATED GRAPHICS INC /TX/          TX       2.02,9.01                         10/31/07

CONSTELLATION ENERGY GROUP INC          MD       2.02,8.01,9.01                    10/30/07

CONTINENTAL MATERIALS CORP              DE       1.01,2.03,9.01                    10/23/07

COOPER COMPANIES INC                    DE       5.02                              10/25/07

CRESTED CORP                            CO       7.01,8.01,9.01                    10/30/07

CRITICAL PATH INC                       CA       1.01,3.03,9.01                    10/26/07

Crocs, Inc.                                      2.02,9.01                         10/31/07

CROSS COUNTRY HEALTHCARE INC            DE       2.02,7.01,9.01                    10/25/07

CROWN CASTLE INTERNATIONAL CORP         DE       2.02,9.01                         10/30/07

CUISINE SOLUTIONS INC                   DE       1.01,5.02,5.03,9.01               10/25/07

CYBERSOURCE CORP                        DE       5.03,9.01                         10/29/07

CYTOKINETICS INC                                 2.02,9.01                         10/31/07

CYTRX CORP                              DE       5.02                              10/26/07

DANAHER CORP /DE/                       DE       8.01,9.01                         10/31/07

DATAMEG CORP                            DE       8.01                              10/07/07

DAYTON POWER & LIGHT CO                 OH       8.01,9.01                         10/30/07

DELPHI CORP                             DE       7.01,9.01                         10/30/07

DICE HOLDINGS, INC.                     DE       2.02,9.01                         10/31/07

DIONEX CORP /DE                         CA       2.02,9.01                         09/30/07

DISTRIBUTED ENERGY SYSTEMS CORP         DE       5.02                              10/31/07

DNB FINANCIAL CORP /PA/                 PA       2.02,9.01                         10/31/07

DOBSON COMMUNICATIONS CORP              OK       8.01,9.01                         10/30/07

DOMINION HOMES INC                      OH       1.01,9.01                         10/29/07

DONALDSON CO INC                        DE       7.01                              10/30/07

DPL INC                                 OH       2.02,7.01,8.01,9.01               10/30/07

DreamWorks Animation SKG, Inc.                   1.01,5.02,9.01                    10/25/07

Dresser-Rand Group Inc.                 DE       2.02,9.01                         10/30/07

DRI CORP                                NC       7.01,9.01                         10/31/07

DSP GROUP INC /DE/                      DE       2.02,9.01                         10/31/07

Duke Energy CORP                        DE       1.01,1.02,5.02,9.01               10/25/07

DURA AUTOMOTIVE SYSTEMS INC             DE       7.01,9.01                         09/30/07

DXP ENTERPRISES INC                     TX       5.02                              10/30/07

DYNCORP INTERNATIONAL INC.              DE       2.02,9.01                         10/31/07

DYNEX CAPITAL INC                       VA       2.02,9.01                         10/31/07

E ENERGY ADAMS LLC                               7.01,9.01                         10/31/07

E-Z-EM, Inc.                            DE       1.01,9.01                         10/31/07

EASYLINK SERVICES INTERNATIONAL CORP    DE       4.01,9.01                         10/26/07    AMEND

EBIX INC                                DE       2.02,9.01                         10/31/07

Echo Healthcare Acquisition Corp.       DE       8.01                              10/30/07

ECOSPHERE TECHNOLOGIES INC              FL       1.01,5.02                         10/25/07

EDGAR ONLINE INC                        DE       2.02,9.01                         10/30/07

EDISON INTERNATIONAL                    CA       5.02,9.01                         10/25/07

ELECTRO ENERGY INC                      FL       3.02,9.01                         10/25/07

Electronic Sensor Technology, Inc                5.02,9.01                         09/10/07

EMCORE CORP                             NJ       5.02                              10/30/07

EMERSON RADIO CORP                      DE       5.02,9.01                         10/25/07

EMISPHERE TECHNOLOGIES INC              DE       8.01,9.01                         10/31/07

Employers Holdings, Inc.                NV       8.01,9.01                         10/31/07

EN POINTE TECHNOLOGIES INC              DE       1.01                              10/29/07    AMEND

ENCORE ACQUISITION CO                   DE       2.02,9.01                         10/31/07

Encore Energy Partners LP               DE       2.02,5.02,9.01                    10/29/07

ENDOCARE INC                            DE       2.02,9.01                         10/31/07

ENDURANCE SPECIALTY HOLDINGS LTD                 2.02,9.01                         10/31/07

ENERGIZER HOLDINGS INC                  MO       2.02                              10/30/07

Energy Future Holdings Corp /TX/        TX       1.01,1.02,2.03,9.01               10/25/07

ENERGY PARTNERS LTD                     DE       8.01,9.01                         10/30/07

ENTERPRISE BANCORP INC /MA/             MA       2.02,7.01,9.01                    10/31/07

ENTERTAINMENT PROPERTIES TRUST          MD       1.01,2.02,2.03,9.01               10/26/07

EQUITY ONE, INC.                                 2.02,7.01,9.01                    10/30/07

EQUITY RESIDENTIAL                      MD       2.02,9.01                         10/30/07

EQUITY RESIDENTIAL                      MD       5.02                              10/30/07

ERIE INDEMNITY CO                       PA       2.02,9.01                         10/31/07

ev3 Inc.                                DE       2.02,9.01                         10/31/07

EXAR CORP                               DE       2.02,8.01,9.01                    10/31/07

EXCEL TECHNOLOGY INC                    DE       5.03,9.01                         10/29/07

EXPLORATIONS GROUP INC                  DE       3.02                              10/16/07

FAMOUS DAVES OF AMERICA INC             MN       2.02,9.01                         10/31/07

FARO TECHNOLOGIES INC                   FL       2.02,7.01,9.01                    10/30/07

Federal Home Loan Bank of Topeka                 7.01,8.01,9.01                    10/26/07

FEDERAL REALTY INVESTMENT TRUST         MD       2.02,9.01                         10/31/07

FEDERAL TRUST CORP                      FL       2.02,9.01                         10/30/07

FERRO CORP                              OH       7.01,9.01                         10/31/07

FFD FINANCIAL CORP/OH                   OH       2.02,9.01                         10/30/07

FIFTH THIRD BANCORP                     OH       8.01,9.01                         10/30/07

FINOTEC GROUP INC                       NV       5.02                              10/07/07

FIRST ALBANY COMPANIES INC              NY       9.01                              10/31/07

FIRST BANCSHARES INC /MO/               MO       2.02,9.01                         10/31/07

First California Financial Group, Inc   DE       7.01,8.01,9.01                    10/29/07

FIRST CENTURY BANKSHARES INC            WV       2.02,8.01,9.01                    10/31/07

FIRST CONSULTING GROUP INC              DE       8.01,9.01                         10/30/07

FIRST FEDERAL BANCSHARES OF ARKANSAS    TX       2.02,9.01                         10/31/07

FIRST FEDERAL BANKSHARES INC            DE       5.03,9.01                         10/25/07

FIRST POTOMAC REALTY TRUST              MD       2.02,7.01,9.01                    10/30/07

Fitmedia Inc.                           DE       1.01,5.02,9.01                    10/26/07

FLAGSTAR BANCORP INC                    MI       2.02,9.01                         10/30/07

FOOT LOCKER INC                         NY       1.01,9.01                         10/26/07

FORWARD AIR CORP                        TN       5.02                              10/31/07

Foundation Coal Holdings, Inc.          DE       2.02,9.01                         10/31/07

Fox Chase Bancorp Inc                   X1       2.02,9.01                         10/30/07

FOX PETROLEUM INC.                      NV       3.02,9.01                         10/26/07

Freedom Acquisition Holdings, Inc.      DE       8.01,9.01                         10/31/07

Freedom Acquisition Holdings, Inc.      DE       1.01                              10/30/07

FREEPORT MCMORAN COPPER & GOLD INC      DE       8.01,9.01                         10/31/07

FROZEN FOOD EXPRESS INDUSTRIES INC      TX       2.02,9.01                         10/30/07

FUEGO ENTERTAINMENT, INC.               NV       5.02                              10/30/07

FUSHI INTERNATIONAL INC                 NV       1.01,3.02,3.03,7.01,9.01          10/30/07

FUSHI INTERNATIONAL INC                 NV       5.02,7.01,8.01,9.01               10/29/07

GARMIN LTD                                       2.02,5.02,8.01,9.01               10/31/07

GENCO SHIPPING & TRADING LTD                     2.02,9.01                         10/31/07

GENERAL CABLE CORP /DE/                 DE       2.02,9.01                         10/31/07

GENERAL GROWTH PROPERTIES INC           DE       2.02,7.01,9.01                    10/31/07

GENERAL MARITIME CORP/                           2.02,9.01                         10/31/07

GEODYNE ENERGY INCOME LTD PARTNERSHIP   OK       2.01,9.01                         10/10/07    AMEND

GEODYNE ENERGY INCOME LTD PARTNERSHIP   OK       2.01,9.01                         10/10/07    AMEND

GEODYNE ENERGY INCOME LTD PARTNERSHIP   OK       2.01,9.01                         10/10/07    AMEND

GEODYNE INSTITUTIONAL PENSION ENERGY    OK       2.01,9.01                         10/10/07    AMEND

GEODYNE INSTITUTIONAL PENSION ENERGY    TX       2.01,9.01                         10/10/07    AMEND

GEORESOURCES INC                        CO       7.01,9.01                         10/30/07

GEOVIC MINING CORP.                     DE       7.01,9.01                         10/31/07

GERON CORP                              DE       2.02,9.01                         10/30/07

GIGA TRONICS INC                        CA       2.02,9.01                         10/30/07

GLADSTONE INVESTMENT CORPORATION\DE     DE       2.02,9.01                         10/31/07

GLOBALSANTAFE CORP                               7.01,9.01                         10/31/07

GOAMERICA INC                           DE       2.03,8.01,9.01                    10/30/07

GOODRICH CORP                           NY       7.01,9.01                         10/31/07

GRANITE CITY FOOD & BREWERY LTD         MN       2.02,9.01                         10/30/07

GRANITE CITY FOOD & BREWERY LTD         MN       5.02,8.01,9.01                    10/30/07

GRANT PRIDECO INC                       DE       1.01,9.01                         10/29/07

GULF RESOURCES, INC.                    DE       1.01,2.01,7.01,9.01               10/25/07

HANOVER INSURANCE GROUP, INC.           DE       2.02,8.01,9.01                    10/29/07    AMEND

HARLEYSVILLE GROUP INC                  DE       2.02,9.01                         10/31/07

HARMAN INTERNATIONAL INDUSTRIES INC /   DE       1.01,9.01                         10/30/07

HAWAIIAN HOLDINGS  INC                  DE       8.01,9.01                         10/30/07

Healthsport, Inc.                       DE       8.01,9.01                         10/30/07

HealthSpring, Inc.                      DE       2.02,9.01                         10/30/07

HeartWare LTD                           C3       2.02,7.01,9.01                    10/31/07

HELIX ENERGY SOLUTIONS GROUP INC        MN       2.02,7.01,9.01                    10/31/07

HERBALIFE LTD.                          E9       8.01,9.01                         10/30/07

HESS CORP                               DE       2.02,9.01                         10/31/07

HEXCEL CORP /DE/                        DE       8.01                              10/29/07

HIGHWOODS PROPERTIES INC                MD       2.02,9.01                         10/30/07

HINES REAL ESTATE INVESTMENT TRUST IN            1.01,2.03,8.01,9.01               10/25/07

HOLLY ENERGY PARTNERS LP                DE       1.01,9.01                         08/27/07

HORACE MANN EDUCATORS CORP /DE/         DE       2.02,9.01                         10/31/07

HORIZON FINANCIAL CORP                  WA       5.02,9.01                         10/30/07

Horizon Lines, Inc.                              2.02,7.01,8.01,9.01               10/26/07

HRPT PROPERTIES TRUST                   MD       8.01,9.01                         10/25/07

HUDSON VALLEY HOLDING CORP              NY       2.02,8.01,9.01                    10/30/07

HUNTINGTON BANCSHARES INC/MD            MD       9.01                              07/01/07    AMEND

Huron Consulting Group Inc.             DE       2.02,9.01                         09/30/07

I FLOW CORP /DE/                        DE       2.01,9.01                         10/25/07

IAC/INTERACTIVECORP                     DE       2.02,7.01                         10/31/07

ICF International, Inc.                 DE       7.01,9.01                         10/30/07

IMERGENT INC                            DE       8.01,9.01                         10/22/07

Impact Medical Solutions, Inc.          DE       5.02,9.01                         10/31/07

IMPERIAL OIL LTD                                 2.02,9.01                         10/30/07

InfuSystem Holdings, Inc                DE       1.01,2.01,2.02,2.03,5.02,5.03,    10/25/07
                                                 5.06,8.01,9.01

INNOVATIVE DESIGNS INC                  DE       8.01,9.01                         10/30/07

INSIGHT HEALTH SERVICES HOLDINGS CORP            1.01,1.02,5.02,9.01               10/26/07

INSIGNIA SYSTEMS INC/MN                 MN       2.02,9.01                         10/30/07

INSURE.COM, INC                         DE       2.02,7.01,9.01                    10/31/07

INTEGRATED SECURITY SYSTEMS INC         DE       5.02,8.01,9.01                    10/31/07

INTERCARE DX INC                        CA       4.01,8.01                         10/31/07

InterDigital, Inc.                      PA       2.02,9.01                         10/31/07

InterDigital, Inc.                      PA       8.01                              10/30/07

INTERMOST CORP                          UT       5.02                              10/25/07

INTERNATIONAL ASSETS HOLDING CORP       DE       5.02                              10/31/07

INTERNATIONAL FLAVORS & FRAGRANCES IN   NY       2.02,9.01                         10/31/07

INVERNESS MEDICAL INNOVATIONS INC       DE       2.02,9.01                         10/31/07

IRON MOUNTAIN INC                       DE       2.02,9.01                         10/31/07

IRWIN FINANCIAL CORP                    IN       2.02,9.01                         10/31/07

Isilon Systems, Inc.                    DE       5.02,9.01                         10/30/07

itLinkz Group, Inc.                     FL       2.01                              10/29/07

IXI Mobile, Inc.                        DE       5.03,9.01                         10/31/07

J P MORGAN CHASE & CO                   DE       9.01                              10/30/07

JDS UNIPHASE CORP /CA/                  DE       2.02,9.01                         10/31/07

JL HALSEY CORP                                   5.03,9.01                         10/30/07

JOE'S JEANS INC.                        DE       1.01,1.02,2.01,3.02,5.02,9.01     10/31/07

JONES APPAREL GROUP INC                 PA       2.02,7.01,9.01                    10/31/07

JONES LANG LASALLE INC                  MD       2.02,9.01                         10/31/07

KBS Real Estate Investment Trust, Inc   MD       1.01,2.01                         10/25/07

KENDLE INTERNATIONAL INC                OH       2.02,9.01                         10/31/07

KFORCE  INC                             FL       2.02,9.01                         10/30/07

KRAFT FOODS INC                         VA       2.02,9.01                         10/31/07

KRONOS WORLDWIDE INC                             5.03,9.01                         10/25/07

KSW INC                                 NY       3.01                              10/29/07

LANDAMERICA FINANCIAL GROUP INC         VA       8.01,9.01                         10/31/07

LAWSON PRODUCTS INC/NEW/DE/             DE       2.02,9.01                         10/31/07

Lazard Ltd                              D0       2.02,9.01                         10/31/07

LECG CORP                               DE       1.01,5.02,8.01,9.01               10/26/07

LEMAITRE VASCULAR INC                            3.01                              10/26/07

LHC Group, Inc                                   2.02,9.01                         10/31/07

Liberty Global, Inc.                             2.02,7.01                         10/26/07

LIBERTY MEDIA CORP                               8.01,9.01                         10/31/07

LIGHTPATH TECHNOLOGIES INC              DE       8.01,9.01                         10/31/07

LINCOLN NATIONAL CORP                   IN       2.02,9.01                         10/30/07

LITTELFUSE INC /DE                      DE       7.01,9.01                         10/31/07

Location Based Technologies, Inc.       NV       2.01,3.02,5.01,5.02,5.06,9.01     10/11/07    AMEND

LOCKHEED MARTIN CORP                    MD       8.01,9.01                         10/25/07

LODGENET ENTERTAINMENT CORP             DE       2.02,9.01                         10/30/07

LOJACK CORP                             MA       2.02,9.01                         10/31/07

LORAL SPACE & COMMUNICATIONS INC.       DE       8.01,9.01                         10/31/07

LSB CORP                                MA       5.03,9.01                         10/25/07

LTC PROPERTIES INC                      MD       2.02,9.01                         10/31/07

MACERICH CO                             MD       2.02,7.01,9.01                    10/31/07

MAGNETEK, INC.                          DE       2.02                              10/31/07

MANTECH INTERNATIONAL CORP              DE       2.02,7.01,9.01                    10/31/07

MARKETAXESS HOLDINGS INC                         2.02,9.01                         10/31/07

MARTHA STEWART LIVING OMNIMEDIA INC     DE       5.02                              10/30/07

MASTERCARD INC                          DE       2.02,7.01,9.01                    10/31/07

MCG CAPITAL CORP                        DE       2.02,9.01                         10/31/07

MCG CAPITAL CORP                        DE       5.02,9.01                         10/25/07

MEDAREX INC                             NJ       2.02,5.03,9.01                    10/25/07

MEDIWARE INFORMATION SYSTEMS INC        NY       7.01,9.01                         10/31/07

MEGOLA INC                                       9.01                              10/24/07

MEMC ELECTRONIC MATERIALS INC           DE       1.01,2.03,9.01                    10/25/07

MEMC ELECTRONIC MATERIALS INC           DE       1.01,2.03,9.01                    10/25/07

Merrill Lynch Alternative Note Asset    DE       8.01,9.01                         10/31/07

MESA OFFSHORE TRUST                     TX       2.02,9.01                         10/31/07

METLIFE INC                             DE       2.02,9.01                         10/31/07

MetLife Insurance CO of Connecticut     DE       8.01,9.01                         10/30/07

MetLife Life & Annuity CO of Connecti   CT       8.01,9.01                         10/30/07

METROCORP BANCSHARES INC                         2.02                              10/30/07

MHI Hospitality CORP                    MD       2.01,2.03,7.01,9.01               10/29/07

MIGO SOFTWARE, INC.                     DE       3.02                              10/26/07

MONACO COACH CORP /DE/                  DE       2.02,9.01                         10/31/07

MORTONS RESTAURANT GROUP INC            DE       5.02                              10/30/07

MOTOROLA INC                            DE       9.01                              10/29/07

MPC CORP                                CO       1.01,9.01                         10/26/07

MyStarU.com,Inc.                                 4.01,5.02                         10/31/07

Nalco Finance Holdings LLC                       2.02,9.01                         10/30/07

Nalco Holding CO                                 2.02,9.01                         10/30/07

Nalco Holdings LLC                      DE       2.02,9.01                         10/30/07

NARA BANCORP INC                        DE       5.02,9.01                         10/26/07

NASB FINANCIAL INC                      MO       8.01                              10/31/07

NATIONAL HOME HEALTH CARE CORP          DE       2.02,8.01,9.01                    10/29/07

NATURADE INC                            DE       4.01,9.01                         10/25/07

Natural Nutrition Inc.                  NV       1.01,9.01                         10/30/07

NAVTEQ CORP                             DE       2.02,9.01                         10/31/07

NCR CORP                                MD       2.02,7.01,8.01,9.01               10/31/07

NEFF CORP                               DE       5.02                              10/26/07    AMEND

NETSOL TECHNOLOGIES INC                 NV       2.02,9.01                         10/31/07

NETWORK EQUIPMENT TECHNOLOGIES INC      DE       2.02,9.01                         10/31/07

NEUROBIOLOGICAL TECHNOLOGIES INC /CA/   DE       1.01,9.01                         10/29/07

NEW CENTURY FINANCIAL CORP              MD       5.03,9.01                         10/26/07

NEWALLIANCE BANCSHARES INC                       2.02,9.01                         10/30/07

NEWMONT MINING CORP /DE/                DE       2.02,9.01                         10/31/07

NEXIA HOLDINGS INC                      NV       1.01,9.01                         10/29/07

NEXMED INC                              NV       1.01,9.01                         10/26/07

NITROMED INC                            DE       2.02,9.01                         10/31/07

NNN 2003 VALUE FUND LLC                          1.01,2.01,2.03,7.01,9.01          10/25/07

NOBLE CORP                                       5.02                              09/20/07    AMEND

NOBLE ENERGY INC                        DE       2.02,9.01                         10/31/07

NORTH CENTRAL BANCSHARES INC            IA       5.02,7.01,9.01                    10/31/07

NORTH VALLEY BANCORP                    CA       2.02,9.01                         10/30/07

NORTHWEST AIRLINES INC /MN              DE       9.01                              10/31/07

NOVAMED INC                             DE       2.02,9.01                         10/31/07

NTN BUZZTIME INC                        DE       1.01,2.01,9.01                    10/25/07

NVIDIA CORP                             DE       8.01                              10/26/07

OFFICEMAX INC                           DE       5.02,5.03,8.01,9.01               10/31/07

OLIN CORP                               VA       2.02,9.01                         10/30/07

OMNICARE INC                            DE       2.02,9.01                         10/31/07

Omniture, Inc.                          DE       2.02,9.01                         10/31/07

Omniture, Inc.                          DE       1.01,9.01                         10/25/07

OPHTHALMIC IMAGING SYSTEMS              CA       1.01,2.03,3.02,9.01               10/29/07

OPPENHEIMER HOLDINGS INC                A6       8.01                              10/30/07

ORMAT TECHNOLOGIES, INC.                DE       1.01,8.01,9.01                    10/30/07

OSCIENT PHARMACEUTICALS CORP            MA       2.02,3.02,9.01                    10/25/07

OVERSEAS SHIPHOLDING GROUP INC          DE       2.02,9.01                         10/29/07

PACER INTERNATIONAL INC                 TN       2.02,8.01,9.01                    09/21/07

Pacific Asia Petroleum Inc              de       1.01,9.01                         10/26/07

PACIFIC CONTINENTAL CORP                OR       8.01                              10/29/07

PANERA BREAD CO                         DE       7.01,9.01                         10/31/07

PARAMETRIC TECHNOLOGY CORP              MA       2.02,4.02,9.01                    10/29/07

PARAMETRIC TECHNOLOGY CORP              MA       1.01,7.01,9.01                    10/31/07

PARK OHIO HOLDINGS CORP                 OH       2.02,9.01                         10/30/07

PDF SOLUTIONS INC                       DE       2.02,7.01,9.01                    10/31/07

PEAK INTERNATIONAL LTD                  D0       2.02,9.01                         10/31/07

PENN NATIONAL GAMING INC                PA       2.02,9.01                         10/25/07

People's United Financial, Inc.         DE       5.02,9.01                         10/25/07

PeopleSupport, Inc.                     DE       1.01                              10/26/07

PERFORMANCE TECHNOLOGIES INC \DE\       DE       2.02,9.01                         09/30/07

PHARMION CORP                                    2.02,9.01                         10/31/07

PHOENIX COMPANIES INC/DE                DE       2.02,9.01                         10/31/07

PINNACLE FINANCIAL PARTNERS INC         TN       2.03                              10/31/07

PLAYLOGIC ENTERTAINMENT INC             DE       2.02                              10/31/07

PLEXUS CORP                             WI       2.02                              10/31/07

PMC SIERRA INC                          DE       1.01,5.02,9.01                    10/17/07    AMEND

POLARIS INDUSTRIES INC/MN               MN       5.02,9.01                         10/25/07

POLYMEDICA CORP                         MA       8.01                              10/31/07

Polypore International, Inc.                     2.02,9.01                         10/30/07

Polypore International, Inc.                     2.02,9.01                         10/30/07

POOL CORP                               DE       7.01,9.01                         10/31/07

POPE RESOURCES LTD PARTNERSHIP          DE       8.01,9.01                         10/31/07

POPE RESOURCES LTD PARTNERSHIP          DE       2.02,9.01                         10/31/07

POPE RESOURCES LTD PARTNERSHIP          DE       8.01,9.01                         10/31/07

POPE RESOURCES LTD PARTNERSHIP          DE       7.01,9.01                         10/31/07

POWER INTEGRATIONS INC                  CA       8.01                              10/30/07

POWER INTEGRATIONS INC                  CA       2.02,9.01                         10/25/07

POWERSECURE INTERNATIONAL, INC.         DE       7.01,9.01                         10/31/07

POWERWAVE TECHNOLOGIES INC              DE       2.02,9.01                         10/29/07

PPL CORP                                PA       2.02,7.01,9.01                    10/31/07

PREFORMED LINE PRODUCTS CO              OH       2.02,9.01                         10/31/07

PRESSTEK INC /DE/                       DE       2.05                              10/25/07

PROCTER & GAMBLE CO                     OH       8.01                              10/31/07

PROGRESS ENERGY INC                     NC       5.02                              10/31/07

PROGRESSIVE GAMING INTERNATIONAL CORP   NV       7.01,8.01,9.01                    10/26/07

PROLIANCE INTERNATIONAL, INC.           DE       8.01,9.01                         10/25/07

PROS Holdings, Inc.                     DE       9.01                              10/29/07    AMEND

PRUDENTIAL FINANCIAL INC                NJ       2.02,7.01,9.01                    10/31/07

PUBLIC CO MANAGEMENT CORP               NV       1.01,3.02,7.01,9.01               09/28/07

QUAKER CHEMICAL CORP                    PA       2.02,9.01                         10/31/07

QUALITY SYSTEMS INC                     CA       8.01,9.01                         10/25/07

QUALITY SYSTEMS INC                     CA       8.01,9.01                         10/25/07    AMEND

RAMBUS INC                              DE       2.02,9.01                         10/31/07

RC2 CORP                                DE       2.02                              10/24/07    AMEND

ReAble Therapeutics Finance LLC         DE       7.01                              10/31/07

REALTY INCOME CORP                      MD       2.02                              10/31/07

REHABCARE GROUP INC                     DE       5.03,9.01                         10/30/07

REHABCARE GROUP INC                     DE       2.02,7.01,9.01                    10/31/07

RELIV INTERNATIONAL INC                 DE       2.02,9.01                         10/31/07

REMINGTON ARMS CO INC/                  DE       4.02                              10/25/07

RENAISSANCERE HOLDINGS LTD                       2.02,9.01                         10/30/07

RESOURCE AMERICA INC                    DE       1.01,9.01                         10/25/07

REX STORES CORP                         DE       8.01,9.01                         10/31/07

RNS SOFTWARE, INC.                      NV       1.01,9.01                         10/31/07

ROCKFORD CORP                           AZ       5.02,7.01,9.01                    10/29/07

ROCKWELL COLLINS INC                    DE       2.02,7.01,9.01                    10/31/07

Rockwood Holdings, Inc.                 DE       2.02,9.01                         10/31/07

ROWAN COMPANIES INC                     DE       8.01,9.01                         10/30/07

RTI INTERNATIONAL METALS INC            OH       2.02,9.01                         10/30/07

SAGEMARK COMPANIES LTD                  NY       5.02,9.01                         10/31/07

SALISBURY BANCORP INC                   CT       2.02,9.01                         10/30/07

SANDERSON FARMS INC                     MS       5.02                              10/25/07

SANFILIPPO JOHN B & SON INC             DE       8.01                              10/25/07

SAUER DANFOSS INC                       DE       2.02,9.01                         10/31/07

SCIENTIFIC ENERGY INC                   UT       1.01                              10/29/07

SELIGMAN NEW TECHNOLOGIES FUND II INC   MD       8.01                              10/31/07

Sensata Technologies B.V.               P7       2.02,9.01                         10/31/07

SEQUA CORP /DE/                         DE       5.02,9.01                         09/05/07

SEQUENOM INC                            DE       2.02,9.01                         10/31/07

SEQUIAM CORP                            CA       1.01,5.02,9.01                    10/30/07

SHEARSON FINANCIAL NETWORK INC          NV       5.03,9.01                         10/29/07

Shire plc                                        5.02,9.01                         10/31/07

SIGMATEL INC                            DE       2.02,5.02,9.01                    10/29/07

SILVERLEAF RESORTS INC                           2.02,9.01                         10/31/07

SINCLAIR BROADCAST GROUP INC            MD       2.02,9.01                         10/31/07

SIRENZA MICRODEVICES INC                DE       8.01,9.01                         10/29/07

SKY PETROLEUM, INC.                     NV       4.01,9.01                         10/11/07    AMEND

SL GREEN REALTY CORP                    MD       2.01,9.01                         08/01/07    AMEND

SLM CORP                                DE       5.02                              10/31/07

SMART BALANCE, INC.                     DE       7.01,9.01                         10/31/07

SMITH MICRO SOFTWARE INC                DE       5.03,9.01                         10/29/07

SMITH MICRO SOFTWARE INC                DE       2.02,9.01                         10/31/07

SOLUTIA INC                             DE       7.01,9.01                         10/31/07

SONIC SOLUTIONS/CA/                     CA       2.05,8.01                         10/25/07

SOUTHERN COPPER CORP/                   DE       8.01                              10/31/07

SOUTHWESTERN ENERGY CO                  DE       2.02,9.01                         10/31/07

SOVRAN SELF STORAGE INC                 MD       2.02,9.01                         10/31/07

SPAN AMERICA MEDICAL SYSTEMS INC        SC       2.02,2.05,2.06,9.01               10/26/07

SPARE BACKUP, INC.                      DE       8.01                              10/31/07

Specialty Underwriters Alliance, Inc.   DE       5.02,9.01                         10/26/07

SPECTRANETICS CORP                      DE       2.02,9.01                         10/31/07

SPEEDHAUL HOLDINGS, INC.                NJ       1.01,3.02,9.01                    10/25/07

SPX CORP                                DE       8.01,9.01                         10/31/07

SPX CORP                                DE       2.02,9.01                         10/31/07

STAAR SURGICAL CO                       DE       1.01                              10/25/07

STANDARD PARKING CORP                   DE       2.02,7.01                         10/31/07

STANDEX INTERNATIONAL CORP/DE/          DE       5.02                              10/30/07

Stanley-Martin Communities, LLC         DE       2.02,9.01                         10/31/07

STEPAN CO                               DE       2.02,9.01                         10/31/07

STONE TAN CHINA ACQUISITION CORP.                8.01,9.01                         10/30/07

STRATASYS INC                           DE       2.02,9.01                         10/31/07

Structured Asset Mortgage Investments   DE       9.01                              10/31/07

SUBURBAN PROPANE PARTNERS LP            DE       7.01,8.01,9.01                    10/31/07

Super Micro Computer, Inc.              CA       2.02,9.01                         10/31/07

Synova Healthcare Group Inc                      1.01,3.02                         10/25/07

T-3 ENERGY SERVICES INC                 TX       1.01,2.01,2.03,9.01               10/26/07

TACTICAL AIR DEFENSE SERVICES, INC.     NV       1.01,9.01                         10/29/07

TANGER FACTORY OUTLET CENTERS INC       NC       5.03,9.01                         10/31/07

TARGET LOGISTICS INC                    DE       5.01,9.01                         10/31/07

Tarpon Industries, Inc.                 MI       1.01,9.01                         10/12/07    AMEND

TESCO CORP                                       7.01                              10/29/07

TESSCO TECHNOLOGIES INC                 DE       2.02,9.01                         10/30/07

Texas Roadhouse, Inc.                   DE       2.02,9.01                         10/29/07

TGC INDUSTRIES INC                      TX       3.01,9.01                         10/26/07

TIDEWATER INC                           DE       7.01,9.01                         10/26/07

TRADESTATION GROUP INC                  FL       8.01,9.01                         10/31/07

TRANSOCEAN INC                          E9       2.02,7.01,9.01                    10/31/07

TRONOX INC                              DE       2.01,9.01                         10/31/07

TRX INC/GA                              GA       1.01                              10/29/07

TTM TECHNOLOGIES INC                    WA       2.02,9.01                         10/31/07

TUESDAY MORNING CORP/DE                 DE       2.02,9.01                         10/31/07

ULTRA PETROLEUM CORP                             2.02,9.01                         10/30/07

ULTRALIFE BATTERIES INC                 DE       9.01                              09/28/07    AMEND

UNION DRILLING INC                      DE       2.02,9.01                         10/30/07

UNITED STATES LIME & MINERALS INC       TX       2.02,9.01                         10/30/07

UNITED STATES STEEL CORP                DE       2.01,9.01                         10/31/07

UNITED STATIONERS INC                   DE       2.02,9.01                         10/30/07

UNIVERSAL AMERICAN FINANCIAL CORP       NY       5.02                              10/25/07

Unum Group                              DE       2.02,2.03,2.04,7.01,8.01,9.01     10/31/07

URANIUM RESOURCES INC /DE/              DE       8.01                              10/29/07

UTIX GROUP INC                          DE       1.02,5.02,9.01                    10/25/07

UTSTARCOM INC                           DE       5.02,9.01                         10/25/07

UWHARRIE CAPITAL CORP                   NC       2.02,8.01,9.01                    10/31/07

VALERO ENERGY CORP/TX                   DE       5.02,9.01                         10/25/07

VALUEVISION MEDIA INC                   MN       5.02,9.01                         10/25/07

Vanda Pharmaceuticals Inc.              DE       8.01,9.01                         10/30/07

Vanda Pharmaceuticals Inc.              DE       8.01,9.01                         10/31/07

VARSITY GROUP INC                                5.02                              10/25/07

VeriChip CORP                           DE       2.02,9.01                         10/30/07

VERTICALNET INC                         PA       1.01,2.02,3.02,5.02,5.03,8.01,    10/25/07
                                                 9.01

VICAL INC                               DE       2.02,9.01                         10/31/07

VIRCO MFG CORPORATION                   DE       5.03,9.01                         10/25/07

VIRTUSA CORP                                     2.02,9.01                         10/31/07

VISTEON CORP                            DE       2.02,7.01,9.01                    10/31/07

VISUAL MANAGEMENT SYSTEMS INC           NV       3.02                              10/25/07

VISUAL SCIENCES, INC.                   CA       1.01,9.01                         10/25/07

VITESSE SEMICONDUCTOR CORP              DE       1.01,1.02,2.01,2.03,5.02,9.01     10/25/07

Vocus, Inc.                             DE       8.01                              10/26/07

VONAGE HOLDINGS CORP                    DE       1.01                              10/25/07

WASHINGTON MUTUAL, INC                  WA       9.01                              10/25/07

WASTE INDUSTRIES USA INC                NC       2.02,9.01                         10/30/07

WASTE MANAGEMENT INC                    DE       8.01,9.01                         10/31/07

WCA WASTE CORP                                   2.02                              10/31/07

WEINGARTEN REALTY INVESTORS /TX/        TX       8.01,9.01                         10/26/07

WELLCARE HEALTH PLANS, INC.             DE       8.01,9.01                         10/26/07    AMEND

WELLS FARGO & CO/MN                     DE       9.01                              10/31/07

WELLS REAL ESTATE INVESTMENT TRUST II   MD       9.01                              08/16/07    AMEND

WESTMONT RESOURCES INC.                 NV       4.01,9.01                         10/25/07

WESTSPHERE ASSET CORP INC               CO       2.01                              10/31/07

WEYCO GROUP INC                         WI       2.02,9.01                         10/30/07

WEYERHAEUSER CO                         WA       2.02,9.01                         10/31/07

WFN CREDIT CO LLC                       DE       1.01,9.01                         10/26/07

White River Capital Inc                          2.02,9.01                         10/29/07

WHITING PETROLEUM CORP                  DE       2.02,9.01                         10/30/07

WILLIAMS SCOTSMAN INTERNATIONAL INC     DE       3.01,5.01,5.02,8.01,9.01          10/31/07

WNC Housing Tax Credit Fund VI, L.P.,   CA       8.01,9.01                         08/31/07

WOODWARD GOVERNOR CO                    DE       1.01,9.01                         10/25/07

Wornick CO                              DE       1.01,9.01                         10/31/07

Wright Express CORP                              2.02,8.01,9.01                    10/31/07

WVS FINANCIAL CORP                      PA       8.01                              10/30/07

WYNDHAM WORLDWIDE CORP                  DE       2.02,5.02,7.01,9.01               10/31/07

WYNN RESORTS LTD                                 5.02,9.01                         10/29/07

WYNN RESORTS LTD                                 1.01,9.01                         10/25/07

ZIMMER HOLDINGS INC                     DE       1.01,9.01                         10/25/07

                           

 

http://www.sec.gov/news/digest/2007/dig110107.htm


Modified: 11/01/2007