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U.S. Securities and Exchange Commission


                           SEC NEWS DIGEST


Issue 2007-224                                       November 21, 2007


 
COMMISSION ANNOUNCEMENTS


COMMISSION MEETINGS

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

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

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

OPEN MEETING - WEDNESDAY, NOVEMBER 28, 2007 - 10:00 A.M.

The subject matter  of  the  open  meeting  scheduled  for  Wednesday,
November 28, will be:

     1. The Commission will consider whether to  adopt  amendments  to
     Rule 14a-8(i)(8) under the Securities Exchange Act  of  1934,  to
     clarify its longstanding interpretation of that rule.

     2. The Commission will consider whether to  adopt  amendments  to
     the proxy rules under the Securities  Exchange  Act  of  1934  to
     facilitate the use of electronic shareholder forums.

CLOSED MEETING - THURSDAY, NOVEMBER 29, 2007 - 2:00 P.M.

The subject matter of  the  closed  meeting  scheduled  for  Thursday,
November 29, will be: Formal orders of investigation; Institution  and
settlement  of  injunctive  actions;  Institution  and  settlement  of
administrative proceedings  of  an  enforcement  nature;  Adjudicatory
matters; and Other matters related to enforcement actions.

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


ENFORCEMENT PROCEEDINGS


COMMISSION DECLARES DECISION AS TO DAVID A. ZWICK FINAL

The decision of an administrative law judge  barring  David  A.  Zwick
from association with any broker or dealer has become final. Zwick was
a principal and chief compliance officer of Suncoast Capital  Ltd.,  a
registered broker-dealer. On May 1, 2007, after a  jury  verdict,  the
District Court entered a Final  Judgment  against  Zwick,  permanently
enjoining  him  from  violations  of  Securities  Act  Section  17(a),
Exchange  Act  Section  10(b),  and  Rule  10b-5.  The  court  imposed
disgorgement and interest in the amount of  $300,140.22  and  a  civil
penalty of $75,000 (SEC v. Zwick, No. 03  Civ.  2742  JGK,  2007  U.S.
Dist. LEXIS 19045,  S.D.N.Y.).  Zwick  participated  in  a  bifurcated
scheme conducted by  others  from  January  1998  through  1999,  that
involved bribery and excessive mark-ups. Zwick attempted to  hide  his
involvement in the fraudulent schemes. He also instructed his coworker
to continue with the illegal activities, but to keep quiet about them.
(Rel. 34-56826; File No. 3-12639)

IN THE MATTER OF PLASTICON INTERNATIONAL INC.

An Administrative Law Judge has issued an Order  Making  Findings  and
Revoking  Registration  by  Default  in  the   matter   of   Plasticon
International Inc. The  Order  Instituting  Proceedings  alleged  that
Respondent Plasticon International Inc.,  failed  repeatedly  to  file
required annual  and  quarterly  reports  while  its  securities  were
registered with the Securities and Exchange  Commission  (Commission).
The Default Order finds these allegations to be true and  revokes  the
registration of each class of  registered  securities  that  Plasticon
International Inc., has with the Commission, pursuant to Section 12(j)
of the Securities Exchange Act of 1934. (Rel. 34-56834; File 3-12820)

COMMISSION REVOKES REGISTRATION OF SECURITIES OF BULL  RUN,  INC.  FOR
FAILURE TO MAKE REQUIRED PERIODIC FILINGS

On November 21, the Commission revoked the registration of each  class
of registered securities of Bull Run, Inc. (Bull Run) for  failure  to
make required periodic filings with the Commission.

Without admitting or denying the findings in the order, except  as  to
jurisdiction, which it admitted, Bull Run consented to the entry of an
Order Making Findings and Revoking Registration of Securities Pursuant
to Section 12(j) of the Securities Exchange Act of  1934  as  to  Bull
Run, Inc. finding that it had failed to comply with Section  13(a)  of
the Securities Exchange Act of 1934 (Exchange Act) and Rules 13a-1 and
13a-13 thereunder and revoking the registration of each class of  Bull
Run's securities pursuant to Section 12(j) of the Exchange  Act.  This
order settled the charges brought against Bull Run in In the Matter of
American Venture Group, Inc., et al., Administrative  Proceeding  File
No. 3-12882.

Brokers and dealers should be alert to  the  fact  that  Exchange  Act
Section 12(j) provides, in pertinent part, as follows:

     No member of a national securities exchange,  broker,  or  dealer
     shall make use of the mails or any means  or  instrumentality  of
     interstate commerce to effect any transaction in,  or  to  induce
     the purchase or sale of, any security the registration  of  which
     has been and is suspended or revoked . . ..

For  further  information   see   Order   Instituting   Administrative
Proceedings and Notice of Hearing Pursuant to  Section  12(j)  of  the
Securities Exchange Act of 1934, In the  Matter  of  American  Venture
Group, Inc., et  al.,  Administrative  Proceeding  File  No.  3-12882,
Exchange Act Release No. 56712 (Oct. 29, 2007). (Rel.  34-56830;  File
No. 3-12882)


INVESTMENT COMPANY ACT RELEASES


BARON CAPITAL FUNDS TRUST

An order has been issued pursuant to Section 8(f)  of  the  Investment
Company Act declaring that Baron Capital Funds Trust has ceased to  be
an investment company. (Rel. IC-28062 - November 20)

JEFFERSON PILOT VARIABLE FUND, INC.

An order has been issued pursuant to Section 8(f)  of  the  Investment
Company Act declaring that Jefferson Pilot  Variable  Fund,  Inc.  has
ceased to be an investment company. (Rel. IC-28063 - November 20)


SECURITIES ACT REGISTRATIONS


The following registration statements have been  filed  with  the  SEC
under the Securities Act of 1933. The reported information appears  as
follows: Form, Name, Address and Phone Number (if  available)  of  the
issuer of the security; Title and the number and/or face amount of the
securities  being  offered;  Name  of  the  managing  underwriter   or
depositor (if  applicable);  File  number  and  date  filed;  Assigned
Branch; and a designation if the statement is a New Issue.

Registration statements may be obtained in person or by writing to the
Commission's  Public  Reference  Branch  at  100   F   Street,   N.E.,
Washington, D.C. 20549-1090 or at the following  e-mail  box  address:
publicinfo@sec.gov. In most cases, this information is also  available
on the Commission's website: www.sec.gov.


S-8     Premiere Publishing Group, Inc., 386 PARK AVENUE SOUTH, 18TH FLOOR, 
        NEW YORK, NY, 10016, 212-481-1005 - 10,000,000 ($20,000.00) Equity, 
        (File 333-147521 - Nov. 20) (BR. 05C)

S-8     CISCO SYSTEMS INC, 170 WEST TASMAN DR, SAN JOSE, CA, 95134-1706, 
        4085264000 - 82,120 ($278,386.80) Equity, (File 333-147522 - Nov. 20) 
        (BR. 03C)

S-8     CISCO SYSTEMS INC, 170 WEST TASMAN DR, SAN JOSE, CA, 95134-1706, 
        4085264000 - 209,000,000 ($6,138,330,000.00) Equity, (File 333-147523 - 
        Nov. 20) (BR. 03C)

S-1     Third Wave Acquisition CORP, 591 WEST PUTNAM AVENUE, GREENWICH, CT, 
        06830, 203-422-7702 - 0 ($402,500,000.00) Other, (File 333-147524 - 
        Nov. 20) (BR. 04)

S-1     BRONCUS TECHNOLOGIES INC/CA, 1400 N SHORELINE BLVD A 8, 650-428-1600, 
        MOUNTAIN VIEW, CA, 94043, 0 ($86,250,000.00) Equity, (File 333-147525 - 
        Nov. 20) (BR. 10)

SB-2    EAST COAST BEVERAGE CORP /CO/, 9547968060 - 0 ($5,124,070.00) Equity, 
        (File 333-147526 - Nov. 20) (BR. 02)

S-1     Aegerion Pharmaceuticals, Inc., 1140 ROUTE 22 EAST, SUITE 304, 
        BRIDGEWATER, NJ, 08807, (908) 704-1300 - 0 ($86,250,000.00) Equity, 
        (File 333-147528 - Nov. 20) (BR. 01B)

SB-2    Catalyst Ventures Inc, 1739 CREEKSTONE CIRCLE, SAN JOSE, CA, 95133, 
        408 691-0806 - 47,000 ($47,000.00) Equity, (File 333-147529 - Nov. 20) 
        (BR. 08)

F-6     Xinyuan Real Estate Co Ltd, No 18 Xinyuan Rd, Zhengzhou, Henan China, 
        F4, 450011, 86037165651222 - 100,000,000 ($5,000,000.00) Equity, 
        (File 333-147530 - Nov. 20) (BR. 06)

SB-2    ADS MEDIA GROUP INC, 12758 CIMARRON PATH, SUITE B-128, SAN ANTONIO, TX, 
        78249, 2106556613 - 7,037,276 ($2,486,861.97) Equity, 
        (File 333-147531 - Nov. 20) (BR. 11C)

S-8     FIFTH THIRD BANCORP, 38 FOUNTAIN SQ PLZ, FIFTH THIRD CENTER, 
        CINCINNATI, OH, 45263, 5135795300 - 1,700,000 ($47,634,000.00) Equity, 
        (File 333-147533 - Nov. 20) (BR. 07A)

S-8     VisualMED Clinical Solutions Corp., 1035 LAURIER STREET WEST, MONTREAL, 
        A8, H2V 2L1, (514) 274-1115 - 1,900,000 ($570,000.00) Equity, 
        (File 333-147535 - Nov. 20) (BR. 03C)

S-8     PEERLESS MANUFACTURING CO, 2819 WALNUT HILL LN, DALLAS, TX, 75229, 
        2143576181 - 0 ($33,021,000.00) Equity, (File 333-147536 - Nov. 20) 
        (BR. 06C)

S-3     GSE SYSTEMS INC, 7133 RUTHERFORD RD, SUITE 200, BALTIMORE, MD, 21244, 
        4102773740 - 50,000 ($475,500.00) Equity, (File 333-147537 - Nov. 20) 
        (BR. 03C)

S-8     MSCI Inc., 88 PINE STREET, NEW YORK, NY, 10005, 212-804-3990 - 
        0 ($307,356,461.52) Equity, (File 333-147540 - Nov. 20) (BR. 05A)

S-8     MAGUIRE PROPERTIES INC, 1733 OCEAN AVENUE, SUITE 400, SANTA MONICA, CA, 
        90401, (310) 857-1100 - 1,233,139 ($35,391,089.30) Equity, 
        (File 333-147541 - Nov. 20) (BR. 08A)

S-3     NISSAN AUTO LEASING LLC II, C/O NISSAN NORTH AMERICA, INC., 
        333 COMMERCE STREET, MAILSTOP B-7-A, NASHVILLE, TN, 37201, 6157251667 - 
        0 ($7,000,000,000.00) Asset-Backed Securities, (File 333-147542 - 
        Nov. 20) (BR. 05D)

S-1     WHITING USA TRUST I, 919 CONGRESS AVENUE, SUITE 500, AUSTIN, TX, 78701, 
        5122366599 - 0 ($195,000,000.00) Equity, (File 333-147543 - Nov. 20) 
        (BR. 04)

S-8     LEHMAN BROTHERS HOLDINGS INC, LEHMAN BROTHERS, 745 SEVENTH AVENUE, 
        NEW YORK, NY, 10019, 2125267000 - 0 ($6,511,275,000.00) Equity, 
        (File 333-147545 - Nov. 20) (BR. 08B)

S-8     DANAHER CORP /DE/, 2028280850 - 0 ($41,694,978.00) Equity, 
        (File 333-147546 - Nov. 20) (BR. 10A)

S-3     PICO HOLDINGS INC /NEW, 875 PROSPECT ST, STE 301, LA JOLLA, CA, 92037, 
        6194566022 - 0 ($400,000,000.00) Unallocated (Universal) Shelf, 
        (File 333-147547 - Nov. 20) (BR. 08B)

SB-2    IdeaEdge, Inc, 6440 LUSK BLVD., SUITE 200, SAN DIEGO, CA, 92121, 
        858-677-0080 - 0 ($7,329,398.00) Equity, (File 333-147548 - Nov. 20) 
        (BR. 10C)

S-B     ARRHYTHMIA RESEARCH TECHNOLOGY INC /DE/, 25 SAWYER PASSWAY, FITCHBURG, 
        MA, 01420, 978-345-5000 - 200,000 ($1,754,000.00) Equity, 
        (File 333-147549 - Nov. 20) (BR. 10A)

S-4     CONSTELLATION BRANDS, INC., 370 WOODCLIFF DRIVE, SUITE 300, FAIRPORT, 
        NY, 14450, 585-218-3600 - 0 ($700,000,000.00) Non-Convertible Debt, 
        (File 333-147550 - Nov. 20) (BR. 09A)

S-8     Rubicon Technology, Inc., 9931 FRANKLIN AVENUE, FRANKLIN PARK, IL, 
        60131, (847) 295-7000 - 0 ($43,606,875.00) Equity, (File 333-147552 - 
        Nov. 20) (BR. 10C)


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
-------------------------------------------------------------------------------------------------------
3M CO                                   DE       8.01,9.01                      10/29/07

ABFC 2007-WMC1 Trust                    DE       8.01,9.01                      11/05/07

ABX AIR INC                                      2.02,9.01                      11/16/07

Access Plans USA, Inc.                  OK       2.02,9.01                      11/19/07

ACRONGENOMICS INC                       NV       7.01,9.01                      11/14/07

ACUITY BRANDS INC                       DE       8.01,9.01                      10/31/07

AeroVironment Inc                       DE       1.01,7.01,9.01                 11/19/07

AFH Holding I, Inc.                     DE       1.01,3.02,5.01                 11/19/07

AFH HOLDING II, INC.                    DE       1.01,3.02,5.01                 11/19/07

AIR PRODUCTS & CHEMICALS INC /DE/       DE       7.01,9.01                      11/20/07

AIR PRODUCTS & CHEMICALS INC /DE/       DE       5.02                           11/14/07

AKORN INC                               LA       1.01,3.02,9.01                 11/14/07

Aleris International, Inc.              DE       7.01,9.01                      11/20/07

ALLIANCE BANCORP INC OF PENNSYLVANIA    X1       5.04,9.01                      11/20/07

ALTIGEN COMMUNICATIONS INC                       8.01,9.01                      11/19/07

AMBASSADORS INTERNATIONAL INC           DE       1.01,9.01                      11/16/07

AMEREN CORP                             MO       9.01                           11/20/07

AMERICAN CELLULAR CORP /DE/                      1.02,5.01,8.01,9.01            11/15/07

AMERICAN FINANCIAL REALTY TRUST                  8.01,9.01                      11/20/07

AMERICAN WAGERING INC                   NV       1.01,5.03,9.01                 11/16/07

AMERICAN WOODMARK CORP                  VA       5.03,9.01                      11/15/07

AMERON INTERNATIONAL CORP               DE       5.02                           11/15/07

AMKOR TECHNOLOGY INC                    DE       8.01,9.01                      11/19/07

AMPEX CORP /DE/                         DE       1.01,2.04,9.01                 11/14/07

AMS HEALTH SCIENCES INC                 OK       5.02,8.01,9.01                 11/13/07

ANAREN  INC                             NY       3.01,9.01                      11/20/07

ANGELICA CORP /NEW/                     MO       2.05                           11/14/07    AMEND

APPLERA CORP                            DE       5.02,5.03,9.01                 11/15/07

APPLIED SIGNAL TECHNOLOGY INC           CA       5.02,5.03,9.01                 11/14/07

ARES CAPITAL CORP                       MD       7.01,9.01                      11/20/07

ARIBA INC                               DE       5.02                           11/15/07

ARRAY BIOPHARMA INC                     DE       8.01,9.01                      11/20/07

ARUBA NETWORKS, INC.                    DE       2.02,9.01                      11/20/07

ASPEN TECHNOLOGY INC /DE/               DE       3.01,9.01                      11/14/07

ASPEN TECHNOLOGY INC /DE/               DE       2.02,9.01                      11/20/07

ATLANTIS PLASTICS INC                   FL       2.02,9.01                      11/20/07

ATP OIL & GAS CORP                      TX       1.01,7.01,9.01                 11/15/07

ATS MEDICAL INC                         MN       1.01,5.02                      11/14/07

AUDIOVOX CORP                           DE       8.01                           10/09/07

Avantair, Inc                           DE       1.01,3.02,3.03,5.03,9.01       11/14/07

AVERY DENNISON CORPORATION              DE       1.01,2.03,8.01,9.01            11/20/07

Banc of America Commercial Mortgage I   DE       8.01,9.01                      11/20/07

BANK OF AMERICA CORP /DE/               DE       3.03,5.03,8.01,9.01            11/14/07

BARNES & NOBLE INC                      DE       2.02,9.01                      11/20/07

BARNES GROUP INC                        DE       2.05                           11/15/07

BCB BANCORP INC                                  8.01,9.01                      11/20/07

Bear Stearns Asset Backed Securities    DE       1.01,9.01                      10/19/07    AMEND

BEARD CO /OK                            OK       2.02,9.01                      11/19/07

BECTON DICKINSON & CO                   NJ       1.01,8.01,9.01                 11/20/07

BENIHANA INC                            DE       2.02,9.01                      11/20/07

BIOLASE TECHNOLOGY INC                  DE       2.02,9.01                      11/20/07

BJS WHOLESALE CLUB INC                  DE       2.02,9.01                      11/20/07

BLUE COAT SYSTEMS INC                   DE       2.02,9.01                      11/20/07

BRIGGS & STRATTON CORP                  WI       5.04,9.01                      11/16/07

BRINKS CO                               VA       5.03,8.01,9.01                 11/15/07

BROADVIEW NETWORKS HOLDINGS INC         DE       8.01,9.01                      11/20/07

BSD MEDICAL CORP                        DE       7.01,9.01                      11/14/07

BSD MEDICAL CORP                        DE       7.01,9.01                      11/20/07

Calamos Asset Management, Inc. /DE/              1.01,9.01                      11/16/07

CALGON CARBON CORPORATION               DE       8.01                           11/19/07

CALLIDUS SOFTWARE INC                            5.02,9.01                      11/19/07

CALPINE CORP                            DE       7.01,9.01                      11/19/07

Capital Auto Receivables Asset Trust    DE       8.01,9.01                      11/15/07

CAPITAL SENIOR LIVING CORP              DE       7.01,9.01                      11/20/07

CAPITAL SOUTHWEST CORP                  TX       2.02,3.01,4.02,9.01            11/20/07

CB Financial CORP                       NC       2.02,9.01                      11/20/07

CBRL GROUP INC                          TN       7.01,9.01                      11/20/07

CECIL BANCORP INC                       MD       7.01                           11/13/07

CELLULAR TECHNICAL SERVICES CO INC      DE       9.01                           09/04/07    AMEND

CENTERSTATE BANKS OF FLORIDA INC        FL       5.02,9.01                      11/20/07

CHEMOKINE THERAPEUTICS CORP             DE       5.02                           11/19/07

CHINA BIOPHARMA, INC.                   DE       8.01                           11/19/07

CINCINNATI FINANCIAL CORP               OH       5.02,7.01,9.01                 11/14/07

CIT GROUP INC                           DE       8.01,9.01                      11/19/07

CKX, Inc.                               DE       8.01,9.01                      11/07/07

CLARIENT, INC                           DE       1.01,5.02,9.01                 11/16/07

CLECO CORP                              LA       1.01,2.03,9.01                 11/19/07

CLECO POWER LLC                         LA       1.01,2.03,9.01                 11/19/07

COHESANT TECHNOLOGIES INC               DE       8.01,9.01                      11/20/07

COINMACH SERVICE CORP                   DE       8.01,9.01                      11/19/07

Coley Pharmaceutical Group, Inc.        DE       1.01,9.01                      11/15/07    AMEND

COLLECTORS UNIVERSE INC                 DE       5.02,9.01                      11/14/07

COLONIAL BANCGROUP INC                  DE       7.01,9.01                      11/20/07

COMMERCE ENERGY GROUP, INC.             DE       1.01,9.01                      11/16/07

COMMERCE GROUP INC /MA                  MA       8.01,9.01                      11/19/07

COMMONWEALTH BIOTECHNOLOGIES INC        VA       2.02,9.01                      11/14/07

COMMUNITY FINANCIAL SHARES INC          DE       5.02                           11/14/07

COMPUTER SOFTWARE INNOVATIONS INC                7.01                           11/13/07

COMSYS IT PARTNERS INC                  DE       5.02                           11/14/07

CONCHO RESOURCES INC                    DE       1.01,5.02,9.01                 11/16/07

CONSTELLATION BRANDS, INC.              DE       8.01,9.01                      11/20/07

CONSTITUTION MINING CORP                NV       5.02                           11/20/07

COVENTRY HEALTH CARE INC                DE       5.03,9.01                      11/15/07

CRAFTMADE INTERNATIONAL INC             DE       1.01,2.03,9.01                 11/14/07

CRYSTAL INTERNATIONAL TRAVEL GROUP, I   DE       3.01,5.02,9.01                 11/14/07

Crystal River Capital, Inc.             MD       1.01,9.01                      11/14/07

CSG SYSTEMS INTERNATIONAL INC           DE       5.02,9.01                      11/14/07

Customer Acquisition Network Holdings   DE       1.01,2.03,9.01                 11/15/07

CV THERAPEUTICS INC                     DE       8.01,9.01                      11/19/07

Cyberfund, Inc.                         OK       2.01,3.02,5.01,5.02,5.03,5.06, 11/14/07
					         9.01

Dairy Fresh Farms Inc.                           1.01,2.01,9.01                 11/15/07

DANKA BUSINESS SYSTEMS PLC                       1.01,9.01                      11/14/07

DATA I/O CORP                           WA       1.01                           11/15/07

DCAP GROUP INC                          DE       5.02                           11/14/07

DELCATH SYSTEMS INC                     DE       8.01,9.01                      11/20/07

DICKS SPORTING GOODS INC                DE       2.02,9.01                      11/20/07

DIRT MOTOR SPORTS, INC.                 DE       2.02,5.02,9.01                 11/15/07

DISTRIBUTION MANAGEMENT SERVICES INC             4.01,9.01                      11/20/07

DIVX INC                                         2.01,9.01                      11/14/07

DOBSON COMMUNICATIONS CORP              OK       1.01,1.02,2.01,3.01,5.01,5.02, 11/15/07
					         8.01,9.01

DOCUMENT SECURITY SYSTEMS INC           NY       2.02,9.01                      11/14/07

Dolby Laboratories, Inc.                DE       5.02,9.01                      11/14/07

DOMINION RESOURCES BLACK WARRIOR TRUS   DE       2.02,9.01                      11/19/07

DOW JONES & CO INC                      DE       5.02,9.01                      11/20/07

DreamWorks Animation SKG, Inc.                   1.01,9.01                      11/16/07

DSP GROUP INC /DE/                      DE       2.01,9.01                      09/03/07    AMEND

Duncan Energy Partners L.P.             DE       8.01,9.01                      09/30/07

EARTH BIOFUELS INC                      DE       4.01                           11/19/07

EARTH BIOFUELS INC                      DE       4.02                           11/02/07    AMEND

Eastern Insurance Holdings, Inc.        PA       5.03,9.01                      11/15/07

EATON VANCE CORP                        MD       9.01                           11/20/07

EL PASO ELECTRIC CO /TX/                TX       8.01                           11/15/07

Elixir Gaming Technologies, Inc.        NV       5.02                           11/20/07

Emrise CORP                             DE       3.01,9.01                      11/14/07

EMULEX CORP /DE/                        DE       1.01,5.02,8.01,9.01            11/15/07

ENDEAVOUR INTERNATIONAL CORP            NV       5.02,9.01                      11/20/07

ENER1 INC                               FL       1.01,3.02,7.01,9.01            11/19/07

ENERGY EAST CORP                        NY       8.01,9.01                      11/20/07

Energy Infrastructure Acquisition Cor   DE       5.02,5.03,9.01                 11/13/07

ENERGY WEST INC                         MT       5.02,9.01                      11/14/07

ENTEGRIS INC                            MN       1.01,9.01                      11/15/07

Enterprise Acquisition Corp.            DE       8.01,9.01                      11/14/07

ENTERPRISE PRODUCTS PARTNERS L P        DE       1.01,2.03,9.01                 11/19/07

ENVIROKARE TECH INC                     NV       7.01,9.01                      11/20/07

ENVIRONMENTAL TECTONICS CORP            PA       2.04,4.02                      11/14/07

EQUISTAR CHEMICALS LP                   DE       8.01,9.01                      11/20/07

ERF Wireless, Inc.                      NV       8.01,9.01                      11/19/07

EV Energy Partners, LP                  DE       1.01,2.02,7.01,9.01            11/14/07

EXTERRAN HOLDINGS INC.                  DE       5.04,9.01                      11/20/07

FACTORY CARD & PARTY OUTLET CORP        DE       1.02,8.01,9.01                 11/16/07

FARMERS & MERCHANTS BANCORP INC         OH       8.01,9.01                      11/16/07

FAUQUIER BANKSHARES INC                 VA       5.03,9.01                      11/15/07

Fearless International, Inc.                     1.01,2.03,3.02,9.01            11/20/07

Federal Home Loan Bank of Atlanta       X1       2.03                           11/14/07

Federal Home Loan Bank of Boston        X1       2.03                           11/14/07

Federal Home Loan Bank of Chicago       X1       2.03                           11/14/07

Federal Home Loan Bank of Cincinnati    X1       2.03,9.01                      11/14/07

Federal Home Loan Bank of Des Moines    X1       2.03,9.01                      11/14/07

Federal Home Loan Bank of Indianapoli   X1       2.03,9.01                      11/14/07

Federal Home Loan Bank of Indianapoli   X1       1.01,9.01                      11/16/07

Federal Home Loan Bank of New York      X1       2.03,9.01                      11/14/07

Federal Home Loan Bank of Pittsburgh    PA       2.03,9.01                      11/14/07

Federal Home Loan Bank of San Francis   X1       2.03                           11/14/07

Federal Home Loan Bank of Seattle                2.03                           11/19/07

Federal Home Loan Bank of Topeka                 2.03                           11/14/07

FedFirst Financial CORP                 X1       5.04,9.01                      11/14/07

FELLOWS ENERGY LTD                      NV       5.02                           11/05/07

First Business Financial Services, In            8.01,9.01                      11/20/07

FIRST UNITED ETHANOL LLC                GA       7.01                           11/16/07

FIRSTENERGY CORP                        OH       2.03                           11/20/07

FISERV INC                              WI       1.01,2.03,9.01                 11/20/07

FLOTEK INDUSTRIES INC/CN/               DE       1.01,2.01,9.01                 11/15/07

FORRESTER RESEARCH INC                  DE       2.02,9.01                      11/20/07

FOUNTAIN POWERBOAT INDUSTRIES INC                2.02                           11/13/07

FROZEN FOOD EXPRESS INDUSTRIES INC      TX       1.01,8.01,9.01                 11/19/07

FSONA SYSTEMS CORP.                     NV       3.02                           11/16/07

FULTON FINANCIAL CORP                   PA       8.01                           11/20/07

G REIT INC                              MD       5.02                           11/19/07

G&K SERVICES INC                        MN       5.02,9.01                      11/16/07

GameStop Corp.                          DE       2.02,9.01                      11/20/07

General Finance CORP                    DE       1.01,2.01,9.01                 11/14/07

GLADSTONE CAPITAL CORP                  MD       8.01,9.01                      11/19/07

GLOBETEL COMMUNICATIONS CORP            DE       8.01,9.01                      11/20/07

GOLD HORSE INTERNATIONAL, INC.          FL       7.01,9.01                      11/20/07

GOLDEN TELECOM INC                      DE       8.01,9.01                      11/20/07

GRANT PARK FUTURES FUND LIMITED PARTN   IL       7.01                           11/16/07

GRAYMARK PRODUCTIONS INC                         7.01,9.01                      11/19/07

GREEN BANKSHARES, INC.                  TN       5.03,9.01                      11/19/07

GREEN PLAINS RENEWABLE ENERGY, INC.     IA       5.02,7.01,9.01                 11/20/07

GYMBOREE CORP                           DE       2.02,9.01                      11/20/07

HALOZYME THERAPEUTICS INC               NV       3.01,8.01,9.01                 11/14/07

HARTFORD LIFE INSURANCE CO              CT       9.01                           11/20/07

HARVEST NATURAL RESOURCES, INC.         DE       5.02                           11/15/07

HASTINGS ENTERTAINMENT INC              TX       2.02,9.01                      11/19/07

HASTINGS ENTERTAINMENT INC              TX       8.01,9.01                      11/20/07

HEMCURE INC                             NV       1.01,3.02,9.01                 11/20/07

HERCULES OFFSHORE, INC.                 DE       7.01,9.01                      11/19/07    AMEND

HERITAGE COMMERCE CORP                  CA       5.03,8.01,9.01                 11/15/07

Heritage Financial Group                DC       5.03,9.01                      11/20/07

HIBBETT SPORTS INC                               2.02,7.01,9.01                 11/20/07

HINES REAL ESTATE INVESTMENT TRUST IN            2.01,7.01,9.01                 11/16/07

HORMEL FOODS CORP /DE/                  DE       8.01,9.01                      11/20/07

HORMEL FOODS CORP /DE/                  DE       2.02,9.01                      11/20/07

HORTON D R INC /DE/                     DE       2.02,5.02,9.01                 11/16/07

HOT TOPIC INC /CA/                      CA       2.02,5.02,9.01                 11/15/07

HOUSEHOLD AFFINITY CREDIT CARD MASTER   DE       9.01                           11/15/07

HS3 TECHNOLOGIES INC.                            1.01,9.01                      11/06/07

HUDSON VALLEY HOLDING CORP              NY       4.01,9.01                      11/14/07

IA GLOBAL INC                           DE       2.02,8.01,9.01                 11/20/07

IMPERIAL INDUSTRIES INC                 DE       2.02,7.01,9.01                 11/15/07

IndyMac INDX Mortgage Loan Trust 2007            8.01,9.01                      11/05/07

INFOSPACE INC                           DE       5.03,8.01,9.01                 11/14/07

INFOUSA INC                             DE       8.01                           11/14/07

INHIBITEX, INC.                                  8.01,9.01                      11/19/07

INTERNAP NETWORK SERVICES CORP          DE       5.02,8.01,9.01                 11/18/07

International Coal Group, Inc.          DE       1.02                           11/16/07

International Fight League, Inc.        DE       5.02,9.01                      11/19/07

INVENDA CORP                            DE       3.03,9.01                      11/19/07

INVERNESS MEDICAL INNOVATIONS INC       DE       1.01,2.03,9.01                 11/15/07

INVERTED PARADIGMS CORP                 DE       5.02                           11/20/07

ISCO INTERNATIONAL INC                  DE       1.01,3.02,9.01                 11/13/07

J P MORGAN CHASE & CO                   DE       9.01                           11/16/07

JAMBA, INC.                             DE       2.02,9.01                      11/20/07

JCM PARTNERS LLC                        DE       3.03,8.01                      11/15/07

JDS UNIPHASE CORP /CA/                  DE       5.02,5.03,9.01                 11/15/07

JOHNSON CONTROLS INC                    WI       5.02                           11/14/07

K-FED BANCORP                                    8.01                           11/20/07

K-FED BANCORP                                    8.01                           11/09/07    AMEND

KEY TECHNOLOGY INC                      OR       5.03,9.01                      11/14/07

KIRBY CORP                              NV       5.04,9.01                      11/19/07

KNIGHT TRANSPORTATION INC               AZ       7.01,9.01                      11/19/07

KRAFT FOODS INC                         VA       1.01,9.01                      11/18/07

KRAFT FOODS INC                         VA       5.02,9.01                      11/19/07    AMEND

KRATOS DEFENSE & SECURITY SOLUTIONS,    DE       5.02                           11/20/07

LANCASTER COLONY CORP                   OH       8.01,9.01                      11/19/07

LANTRONIX INC                           DE       5.02,9.01                      11/14/07

LBI MEDIA HOLDINGS INC                           2.02,9.01                      11/20/07

LEAP WIRELESS INTERNATIONAL INC         DE       3.01,9.01                      11/14/07

LEHMAN BROTHERS HOLDINGS INC            DE       9.01                           11/14/07

LHC Group, Inc                                   7.01,9.01                      11/20/07

LIBERTY MEDIA CORP                               8.01,9.01                      11/20/07

LITTLE SIOUX CORN PROCESSORS LLC                 1.01                           11/15/07

Live Nation, Inc.                       DE       1.01,9.01                      11/14/07

Live Nation, Inc.                       DE       5.02                           11/14/07

Lotus Pharmaceuticals, Inc.                      7.01,9.01                      11/20/07

LTV CORP                                DE       8.01,9.01                      11/20/07

LTX CORP                                MA       2.02,9.01                      11/20/07

LYONDELL CHEMICAL CO                    DE       8.01,9.01                      11/20/07

LYONDELL CHEMICAL CO                    DE       8.01,9.01                      11/20/07

M WAVE INC                              DE       3.01,8.01,9.01                 11/15/07

MAD CATZ INTERACTIVE INC                         1.01,2.01,2.03,3.02,9.01       11/14/07

Magyar Bancorp, Inc.                    DE       8.01,9.01                      11/16/07

Mandalay Media, Inc.                    DE       3.02,5.02,9.01                 11/14/07

MATERIAL TECHNOLOGIES INC /CA/          DE       4.01,9.01                      11/13/07    AMEND

MAXIM INTEGRATED PRODUCTS INC           DE       5.02,9.01                      11/15/07

MAXIMUS INC                             VA       1.01,2.02,9.01                 11/14/07

MAYS J W INC                            NY       5.03                           11/20/07

MERCURY COMPUTER SYSTEMS INC            MA       5.02,9.01                      11/19/07

MERIDIAN BIOSCIENCE INC                 OH       2.02,9.01                      11/14/07

MESA AIR GROUP INC                      NV       5.02,9.01                      11/15/07

MESA OFFSHORE TRUST                     TX       2.02,9.01                      11/20/07

MESA ROYALTY TRUST/TX                   TX       2.02,9.01                      11/20/07

MICRON TECHNOLOGY INC                   DE       8.01,9.01                      11/20/07

MICROS SYSTEMS INC                      MD       8.01                           11/20/07

ML-CFC Commercial Mortgage Trust 2007   DE       6.02                           11/15/07

MONEYGRAM INTERNATIONAL INC                      1.01,5.02,5.03,8.01            11/15/07

MOODYS CORP /DE/                        DE       5.02,9.01                      11/14/07

MPC CORP                                CO       8.01,9.01                      11/14/07

MYLAN INC.                              PA       1.01,5.03,8.01,9.01            11/14/07

NANOBAC PHARMACEUTICALS INC             FL       4.01,9.01                      10/10/07    AMEND

National Health Partners Inc                     7.01,9.01                      11/15/07

National Interstate CORP                OH       5.02,8.01,9.01                 11/14/07

NATROL INC                              DE       1.01,8.01,9.01                 11/18/07

NATURAL HEALTH TRENDS CORP              DE       3.01,9.01                      11/13/07    AMEND

NATURES SUNSHINE PRODUCTS INC           UT       8.01,9.01                      11/15/07

NCO Group, Inc.                                  2.02,7.01,9.01                 11/20/07

NEPHROS INC                             DE       5.02,8.01,9.01                 11/16/07

NEUROBIOLOGICAL TECHNOLOGIES INC /CA/   DE       8.01,9.01                      11/19/07

NEUROLOGIX INC/DE                       DE       8.01,9.01                      11/19/07

NEW CENTURY FINANCIAL CORP              MD       7.01,9.01                      11/15/07

New Design Cabinets, Inc.                        1.01,2.01,3.02,3.03,5.01,5.02, 11/14/07
					         5.03,5.06,9.01

New York & Company, Inc.                         2.02,9.01                      11/20/07

NGAS Resources Inc                               1.01,9.01                      11/19/07

NNN Healthcare/Office REIT, Inc.        MD       1.01,2.01,2.03,7.01,9.01       11/15/07

NORFOLK SOUTHERN CORP                   VA       1.01,9.01                      11/20/07

NORFOLK SOUTHERN CORP                   VA       7.01,9.01                      11/20/07

NORTHERN TECHNOLOGIES INTERNATIONAL C   DE       2.02,9.01                      11/16/07

NORTHERN TECHNOLOGIES INTERNATIONAL C   DE       2.02,9.01                      11/19/07

NSTAR ELECTRIC CO                       MA       1.01,2.03,9.01                 11/14/07

OFFICE DEPOT INC                        DE       2.02,9.01                      11/20/07

Oilsands Quest Inc                               8.01,9.01                      11/20/07

ONLINE VACATION CENTER HOLDINGS CORP             8.01                           11/15/07

Organic Sales & Marketing Inc                    1.01,1.02,8.01                 10/31/07

Oritani Financial Corp.                          8.01,9.01                      11/19/07

Owens Corning                           DE       5.02                           11/19/07

PACIFIC GOLD CORP                       NV       8.01,9.01                      11/20/07

PACIFIC SUNWEAR OF CALIFORNIA INC       CA       2.02,9.01                      11/20/07

Palace Entertainment Holdings, Inc.     DE       5.02                           11/14/07

PATCH INTERNATIONAL INC/CN                       7.01,8.01,9.01                 11/20/07

Patriot Coal CORP                       DE       2.02,9.01                      11/20/07

PENGRAM CORP                            NV       4.01                           11/15/07

PENNANTPARK INVESTMENT CORP                      7.01,9.01                      11/19/07

PERKINELMER INC                         MA       1.01,2.01,2.03,9.01            11/14/07

PERMIAN BASIN ROYALTY TRUST             TX       2.02,9.01                      11/19/07

PERRY ELLIS INTERNATIONAL INC           FL       2.02,9.01                      11/19/07

PHARMION CORP                                    1.01,9.01                      11/17/07

PICO HOLDINGS INC /NEW                  CA       8.01,9.01                      11/20/07

PITNEY BOWES INC /DE/                   DE       2.06                           11/15/07

PLEXUS CORP                             WI       5.03,9.01                      11/15/07

PNM RESOURCES INC                       NM       8.01                           11/19/07

Porter Bancorp, Inc.                    KY       8.01,9.01                      11/20/07

POWERCOLD CORP                          NV       8.01                           11/01/07

PRO DEX INC                             CO       2.03,9.01                      11/16/07

PROCENTURY CORP                                  5.02,9.01                      11/14/07

PROGINET CORP                           DE       2.02,9.01                      11/20/07

PROGRESSIVE GAMING INTERNATIONAL CORP   NV       5.03,9.01                      11/15/07

PURCHASE POINT MEDIA CORP               MN       5.03                           11/20/07

QAD INC                                 DE       2.02,9.01                      11/20/07

QAD INC                                 DE       5.02,9.01                      11/19/07

QLOGIC CORP                             DE       5.02,9.01                      11/19/07

Qnective, Inc.                                   5.02                           11/15/07

QUALMARK CORP                           CO       5.02                           11/13/07

QUANEX CORP                             DE       1.01,5.02,7.01,9.01            11/18/07

RAINIER PACIFIC FINANCIAL GROUP INC     WA       8.01,9.01                      11/20/07

RALCORP HOLDINGS INC /MO                MO       1.01,9.01                      11/15/07

RED TRAIL ENERGY, LLC                            4.02                           11/12/07    AMEND

RedRoller Holdings, Inc.                DE       4.01,7.01,9.01                 11/19/07

RedRoller Holdings, Inc.                DE       9.01                           11/20/07    AMEND

RENOVIS INC                             DE       5.04,9.01                      11/16/07

RES CARE INC /KY/                       KY       8.01,9.01                      11/20/07

RETRACTABLE TECHNOLOGIES INC            TX       8.01,9.01                      11/16/07

RICKS CABARET INTERNATIONAL INC         TX       3.02,9.01                      11/19/07

River Rock Entertainment Authority      XX       5.02                           11/14/07

ROCHESTER MEDICAL CORPORATION           MN       5.02,5.03,9.01                 11/15/07

Rock-Tenn CO                            GA       5.02,9.01                      11/20/07

ROGERS CORP                             MA       8.01,9.01                      11/20/07

ROSS STORES INC                         DE       2.02,9.01                      11/20/07

RUSH ENTERPRISES INC \TX\               TX       5.02,9.01                      11/16/07

SAKS INC                                TN       2.02,9.01                      11/20/07

SALON MEDIA GROUP INC                   DE       1.01,3.02,9.01                 11/19/07

SALTON INC                              DE       5.02                           11/14/07

SAN JUAN BASIN ROYALTY TRUST            TX       2.02,9.01                      11/19/07

SELECTICA INC                           DE       5.02                           11/13/07

Semoran Financial CORP                  FL       1.02,5.02                      11/14/07

SENESCO TECHNOLOGIES INC                DE       4.01,9.01                      10/22/07    AMEND

SERENA SOFTWARE INC                     DE       1.01,5.02,9.01                 11/14/07

SERVICEMASTER CO                        DE       5.02,9.01                      11/14/07

SGX PHARMACEUTICALS, INC.               DE       1.01,3.02,9.01                 11/19/07

SHENANDOAH TELECOMMUNICATIONS CO/VA/    VA       1.01,5.02,9.01                 11/19/07

Shiner International, Inc.              NV       5.02,9.01                      11/19/07

SHOE CARNIVAL INC                       IN       2.02,9.01                      11/20/07

SHUMATE INDUSTRIES INC                  DE       2.02,7.01,9.01                 11/19/07

SILVERSTAR HOLDINGS LTD                 B0       2.02,9.01                      11/14/07

SIRICOMM INC                            DE       8.01,9.01                      11/20/07

SIRVA INC                               DE       3.01,9.01                      11/14/07

SOLUTIA INC                             DE       8.01,9.01                      11/20/07

SOMERSET INTERNATIONAL GROUP,INC.       DE       1.01,2.01,2.03,3.02,9.01       11/13/07

SOUTHERN CONNECTICUT BANCORP INC        CT       1.01,9.01                      11/20/07

SOUTHWEST AIRLINES CO                   TX       5.02,9.01                      11/15/07

SPARTAN MOTORS INC                      MI       7.01,9.01                      11/20/07

SPECTRX INC                             DE       2.02,9.01                      11/20/07

SPHERION CORP                           DE       5.02                           11/16/07

STANDARD MANAGEMENT CORP                IN       1.01,9.01                      11/16/07

Stanley, Inc.                           DE       8.01                           11/15/07

STARBUCKS CORP                          WA       5.03,9.01                      11/14/07

SUMMIT EXPLORATION INC.                          4.01,9.01                      11/05/07    AMEND

SUPERIOR BANCORP                        DE       5.03,9.01                      11/20/07

Symmetry Holdings Inc                   DE       1.01,2.01,2.03,3.02,5.02,5.06, 11/15/07
					         9.01

SYNTEC BIOFUEL INC                      WA       5.02                           11/19/07

TAKE TWO INTERACTIVE SOFTWARE INC       DE       2.03,9.01                      11/16/07

TALBOTS INC                             DE       5.02,9.01                      11/20/07

Tank Sports, Inc.                       CA       2.01,9.01                      11/15/07

TARGET CORP                             MN       2.02,8.01,9.01                 11/20/07

Target Credit Card Master Trust         DE       8.01,9.01                      11/20/07

Target Credit Card Master Trust         DE       8.01,9.01                      11/20/07

TECHPRECISION CORP                               2.02,9.01                      11/15/07

TECO ENERGY INC                         FL       8.01,9.01                      11/20/07

TECUMSEH PRODUCTS CO                    MI       2.02,7.01,9.01                 11/14/07

TELETECH HOLDINGS INC                   DE       3.01,9.01                      11/14/07

Terra Nova Financial Group Inc          TX       5.02                           11/20/07

TEXTRON INC                             DE       8.01,9.01                      11/20/07

THAXTON GROUP INC                       SC       5.02                           11/15/07

THESTREET COM                           DE       1.01,3.02,5.03,8.01,9.01       11/15/07

THINK PARTNERSHIP INC                   NV       7.01,9.01                      11/19/07    AMEND

TITANIUM METALS CORP                    DE       1.01,7.01,9.01                 11/19/07

TORCH ENERGY ROYALTY TRUST              DE       2.02,9.01                      11/20/07

TORRENT ENERGY CORP                     CO       7.01,9.01                      11/15/07

TOUSA INC                               DE       2.02,8.01,9.01                 11/14/07

TOUSA INC                               DE       3.01,9.01                      11/16/07

TRAILER BRIDGE INC                               2.02,9.01                      11/14/07

TRANSNET CORP                           DE       7.01,9.01                      11/20/07

TRIAD AUTOMOBILE RECEIVABLES TRUST 20            8.01,9.01                      11/20/07

TRIMBLE NAVIGATION LTD /CA/             CA       5.04                           11/20/07

TRIMERIS INC                            DE       5.02,8.01,9.01                 11/14/07

Triple Crown Media, Inc.                DE       5.02                           11/15/07

Triple Crown Media, Inc.                DE       2.01,2.05,9.01                 11/15/07

TRUSTCO BANK CORP N Y                   NY       8.01,9.01                      11/20/07

TUCOWS INC /PA/                         PA       2.02,9.01                      11/19/07

U S GOLD CORP                           CO       7.01,9.01                      11/19/07

UNITED INDUSTRIAL CORP /DE/             DE       1.01,2.04,3.03,5.01,5.02,9.01  11/14/07

UNITED WISCONSIN GRAIN PRODUCERS LLC    WI       2.02,7.01,9.01                 11/19/07

UNITRIN INC                             DE       8.01,9.01                      11/20/07

UNIVISION COMMUNICATIONS INC            DE       5.02                           10/17/07

US AIRWAYS GROUP INC                    DE       1.01,9.01                      11/15/07

UTIX GROUP INC                          DE       4.01                           07/30/07    AMEND

UTIX GROUP INC                          DE       1.01,5.02                      10/31/07    AMEND

VALUEVISION MEDIA INC                   MN       2.02,9.01                      11/19/07

VELCERA, INC.                           DE       8.01,9.01                      11/15/07

Veri-Tek International, Corp.           MI       2.02,9.01                      11/14/07

VERSAR INC                              DE       5.02                           10/27/07

VERTICAL BRANDING, INC.                 DE       8.01,9.01                      11/19/07

VERTICALNET INC                         PA       2.02,9.01                      11/19/07

VIASPACE Inc.                           NV       1.01                           11/15/07

Visa Inc.                               DE       1.01,2.03                      11/15/07

VITESSE SEMICONDUCTOR CORP              DE       5.02,9.01                      10/19/07

VIVUS INC                               CA       8.01,9.01                      11/16/07

Volkswagen Auto Loan Enhanced Trust 2            8.01,9.01                      11/20/07

VOLKSWAGEN DEALER FINANCE LLC           DE       8.01,9.01                      11/20/07

VOXWARE INC                             DE       8.01                           11/19/07

VUBOTICS INC                            NV       1.01,2.03,3.02                 11/20/07

VYYO INC                                DE       5.03,9.01                      11/15/07

WARREN RESOURCES INC                    MD       1.01,7.01,9.01                 11/20/07

WASHINGTON BANKING CO                   WA       5.03,9.01                      11/15/07

WELLMAN INC                             DE       3.03,8.01                      11/15/07

WESTERN ASSET MUNICIPAL HIGH INCOME F            8.01,9.01                      11/19/07

WESTFIELD FINANCIAL INC                 MA       7.01,9.01                      11/20/07

WHOLE FOODS MARKET INC                  TX       2.02,8.01,9.01                 11/20/07

WILLBROS GROUP INC                      R1       1.01,8.01,9.01                 11/14/07

WILSONS THE LEATHER EXPERTS INC         MN       2.02,9.01                      11/20/07

Wise Metals Group LLC                   DE       8.01                           11/20/07

WYETH                                   DE       5.02,8.01                      11/15/07

WYNN RESORTS LTD                                 8.01,9.01                      11/19/07

XL CAPITAL LTD                                   1.01,2.03,9.01                 11/14/07

YUKON GOLD CORP INC                     DE       3.02,9.01                      11/20/07

ZALE CORP                               DE       2.02                           11/20/07

ZYGO CORP                               DE       5.02,9.01                      11/19/07

                           

 

http://www.sec.gov/news/digest/2007/dig112107.htm


Modified: 11/21/2007