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U.S. Securities and Exchange Commission


                           SEC NEWS DIGEST


Issue 2007-249                                       December 31, 2007



ENFORCEMENT PROCEEDINGS


IN THE MATTER OF MONEESH K. BAKSHI, ESQ.

On December 28, the United States Securities and  Exchange  Commission
announced the issuance of an Order Instituting  Public  Administrative
Proceedings  and  Imposing  Temporary  Suspension  Pursuant  to   Rule
102(e)(3) of the Commission's Rules of  Practice  against  Moneesh  K.
Bakshi. The Order finds that a court  of  competent  jurisdiction  has
found that Bakshi  violated  the  federal  securities  laws,  and  has
permanently enjoined him from further violations.

Based on  the  above,  the  Order  temporarily  suspends  Bakshi  from
appearing or practicing before the  Commission.  If  Bakshi  does  not
petition to lift that suspension within thirty days after  service  of
the Order, the suspension  will  become  permanent  pursuant  to  Rule
102(e)(3)(ii) of the Commission's Rules of Practice.  (Rel.  34-57064;
File No. 3-12916)

SEC CHARGES SECOND CFO IN CONNECTION WITH FINANCIAL  FRAUD  AT  UNITED
RENTALS, INC.

On December  27,  the  Securities  and  Exchange  Commission  filed  a
complaint against Joseph F. Apuzzo,  former  Chief  Financial  Officer
(CFO) of Terex Corporation, for aiding  and  abetting  securities  law
violations of United Rentals, Inc.  (URI)  and  Michael  J.  Nolan,  a
former CFO of URI. Apuzzo is the second CFO charged in connection with
the alleged violations. On Dec. 12, 2007, the Commission filed settled
financial fraud charges against Nolan.

The Commission's complaint, filed in the United States District  Court
for the District of Connecticut, alleges that Apuzzo aided and abetted
a  fraudulent   accounting   scheme   involving   two   sale-leaseback
transactions, carried out between 2000 and  2002  by  URI,  Nolan  and
others. The transactions were structured to  improve  URI's  2000  and
2001  financial  results  by  allowing  URI   to   recognize   revenue
prematurely and to inflate the profit generated from  the  sales.  The
complaint further alleges that Apuzzo substantially assisted  URI  and
Nolan in implementing the fraudulent scheme by,  among  other  things,
signing agreements with URI that  he  knew  or  was  reckless  in  not
knowing were designed to hide URI's  continuing  risks  and  financial
obligations relating to the sale-leaseback transactions, and directing
or approving the issuance of inflated invoices that  he  knew  or  was
reckless in not knowing URI, through Nolan and others,  would  use  to
inflate URI's gain on the transactions As a result of  the  fraudulent
transactions, URI materially overstated its financial results  in  its
Forms 10-K for fiscal years 2000 and 2001, as well as in other filings
and public releases.

The Commission's complaint alleges, as a result of his  actions,  that
Apuzzo aided and abetted URI's violations of Sections 10(b), 13(a) and
13(b)(2)(A) of the Securities Exchange Act of 1934 and Rules 10b-5 and
13a-1 thereunder, and Nolan's violations of Section  13(b)(5)  of  the
Exchange Act and Exchange Act Rule 13b2-1. As part of this action, the
Commission seeks a permanent injunction prohibiting Apuzzo from future
violations of the federal securities laws,  an  officer  and  director
bar, disgorgement plus  prejudgment  interest,  civil  penalties,  and
other equitable relief.

The Commission acknowledges the  assistance  of  the  U.S.  Attorney's
Office for the District of Connecticut and the New Haven Field  Office
of the Federal Bureau of Investigation in the  investigation  of  this
matter.

The Commission's investigation is continuing.

For further information, see Litigation Release No.  20396  (Dec.  12,
2007).  [SEC  v.  Joseph  F.  Apuzzo,  Civil  Action  No.  07-CV-1910,
CFD,D.CT.] (LR-20418; AAER-2762)


INVESTMENT COMPANY ACT RELEASES


UNIFIED SERIES TRUST AND ENVESTNET ASSET MANAGEMENT, INC.

An order has been issued on an application  filed  by  Unified  Series
Trust and Envestnet Asset Management, Inc. exempting  applicants  from
Section 15(a) of the Investment Company Act and Rule 18f-2  under  the
Act. The order permits the applicants to  enter  into  and  materially
amend subadvisory agreements without shareholder approval  and  grants
relief from certain disclosure requirements. (Rel. IC-28117 - December
27)

ORDERS OF DEREGISTRATION UNDER THE INVESTMENT COMPANY ACT

Orders have been issued under Section 8(f) of the  Investment  Company
Act declaring  that  each  of  the  following  has  ceased  to  be  an
investment company:

     International Equity Portfolio [File No. 811-8434]
          [Rel. No. IC-28085]
     Small Cap Growth Portfolio [File No. 811-7269]
          [Rel. No. IC-28086]
     The Premium Portfolios [File No. 811-8436]
          [Rel. No. IC-28087]
     Government Income Portfolio [File No. 811-8438]
          [Rel. No. IC-28088]
     CitiFunds Tax Free Reserves [File No. 811-3893]
          [Rel. No. IC-28089]
     CitiFunds Multi-State Tax Free Trust [File No. 811-4596]
          [Rel. No. IC-28090]
     CitiFunds Fixed Income Trust [File No. 811-5033]
          [Rel. No. IC-28091]
     CitiFunds International Trust [File No. 811-6154]
          [Rel. No. IC-28092]
     Adjustable Rate Securities Portfolios [File No. 811-6242]
          [Rel. No. IC-28093]
     Atlas Funds [File No. 811-5485]
          [Rel. No. IC-28094]
     Colonial Insured Municipal Fund [File No. 811-9533]
          [Rel. No. IC-28095]
     BlackRock Basic Value Fund II, Inc. [File No. 811-9957]
          [Rel. No. IC-28096]
     Hallmark Equity Series Trust [File No. 811-7734]
          [Rel. No. IC-28097]
     Hallmark Investment Series Trust [File No. 811-879]
          [Rel. No. IC-28098]
     Merit Advisors Investment Trust [File No. 811-21495]
          [Rel. No. IC-28099]
     Merit Advisors Investment Trust II [File No. 811-21520]
          [Rel. No. IC-28100]
     Lazard Global Mid Cap Fund, Inc. [File No. 811-21683]
          [Rel. No. IC-28101]
     WhiteRock Portfolio Investors, L.L.C. [File No. 811-9104]
          [Rel. IC-28102]


SELF-REGULATORY ORGANIZATIONS


IMMEDIATE EFFECTIVENESS OF PROPOSED RULE CHANGES

A proposed rule change filed with the Commission by the New York Stock
Exchange relating to Rule 1000 (Automatic Execution  of  Limit  Orders
Against Orders Reflected in NYSE Published  Quotation)  (SR  NYSE-2007
123) has become immediately effective under Section 19(b)(3)(A) of the
Securities Exchange Act  of  1934  and  Rule  19b-4(f)(6)  thereunder.
Publication is expected in the Federal Register  during  the  week  of
December 31. (Rel. 34-57063)

A proposed rule change filed by the American Stock  Exchange  relating
to  options  licensing  fee  changes  (SR-Amex-2007-140)  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 December 31. (Rel. 34-57052)

A proposed rule change filed by the  Boston  Stock  Exchange  (SR-BSE-
2007-53) relating to the opening of the market of the  Boston  Options
Exchange  has  become  effective  under  Section  19(b)(3)(A)  of  the
Securities Exchange Act  of  1934.  Publication  is  expected  in  the
Federal Register during the week of December 31. (Rel. 34-57037)

ACCELERATED APPROVAL OF PROPOSED RULE CHANGES

The Commission approved on an accelerated basis proposed rule  changes
(SR-NASDAQ-2007-101,  SR-Amex-2007-142,  SR-NYSE-2007-122,   and   SR-
NYSEArca-2007-131, SR-NASD-2007-035) filed by the NASDAQ Stock Market,
American Stock Exchange, New York Stock Exchange, and NYSE Arca  under
Section 19(b)(1) of the Exchange Act. The approved rule change extends
the deadline until March 31, 2008, for  issuers  to  become  compliant
with listing requirements  concerning  direct  registration  programs.
Publication is expected in the Federal Register  during  the  week  of
December 31. (Rel. 34-57062)

The Commission published notice of, and granted  accelerated  approval
to, a proposed rule  change  (SR-NYSEArca-2007-127),  as  modified  by
Amendment No. 1 thereto, submitted by NYSE  Arca  through  its  wholly
owned subsidiary, NYSE Arca Equities, Inc.,  pursuant  to  Rule  19b-4
under the Securities Exchange Act of 1934 relating to the listing  and
trading of shares of the iShares MSCI Belgium Index Fund.  Publication
is expected in the Federal Register during the week  of  December  31.
(Rel. 34-57047)

APPROVAL OF PROPOSED RULE CHANGES

A proposed rule change (SR-Amex-2007-116), as  modified  by  Amendment
Nos. 1 and 2, filed by the American Stock Exchange  to  harmonize  the
annual listing fees for all Exchange Traded Funds  has  been  approved
pursuant to Section 19(b)(2) of the Securities Exchange Act  of  1934.
Publication is expected in the Federal Register  during  the  week  of
December 31. (Rel. 34-57060)

The Commission  approved  a  proposed  rule  change,  as  modified  by
Amendment No. 1 thereto (SR-NYSE-2007-102), submitted by the New  York
Stock Exchange under Rule 19b-4 of the Securities Exchange Act of 1934
relating  to  NYSE  Rule  1500  (NYSE  MatchPointSM).  Publication  is
expected in the Federal Register during the week of December 31. (Rel.
34-57058)

The Commission granted approval of a proposed  rule  change  (SR-CBOE-
2007-125), as modified by Amendment No. 2 thereto,  submitted  by  the
Chicago Board Options  Exchange  pursuant  to  Rule  19b-4  under  the
Securities Exchange Act of 1934,  relating  to  the  $1  Strike  Pilot
Program. Publication is expected in the Federal  Register  during  the
week of December 31. (Rel. 34-57049)

PROPOSED RULE CHANGE

The New York Stock Exchange filed a  proposed  rule  change  (SR-NYSE-
2007-119) under Section 19(b)(1) of the  Securities  Exchange  Act  of
1934 relating to the adoption of new Exchange Rule 309 (Failure to Pay
Fees). Publication is expected in the Federal Register during the week
of December 31. (Rel. 34-57065)

The New York Stock Exchange filed with  the  Securities  and  Exchange
Commission a proposed rule change under Rule 19b-4  (SR-NYSE-2007-113)
to amend Annual Fees applicable to groups of  Real  Estate  Investment
Trusts under common external management. Publication  is  expected  in
the Federal Register during the week of December 31. (Rel. 34-57061)


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     BANYAN CORP /OR/, 1925 CENTURY PARK EAST, SUITE 500, LOS ANGELES, CA, 
        90067, 1-800-808-0899 - 35,000,000 ($52,500.00) Equity, 
        (File 333-148368 - Dec. 28) (BR. 01A)

SB-2    EnerJex Resources, Inc., 7300 WEST 110TH, 7TH FLOOR, OVERLAND PARK, KS, 
        66210, 913-693-4600 - 3,000,000 ($3,000,000.00) Equity, 
        (File 333-148369 - Dec. 28) (BR. 04B)

S-8     Guaranty Financial Group Inc., 1300 MOPAC EXPRESSWAY SOUTH, AUSTIN, TX, 
        78746, 512-434-1000 - 4,200,000 ($62,475,000.00) Equity, 
        (File 333-148373 - Dec. 28) (BR. 07)

S-8     BOSTON BEER CO INC, ONE DESIGN CENTER PLACE, SUITE 850, BOSTON, MA, 
        02210, 617-368-5061 - 1,000,000 ($38,450,000.00) Equity, 
        (File 333-148374 - Dec. 28) (BR. 09A)

S-8     Forestar Real Estate Group Inc., 1300 MOPAC EXPRESSWAY SOUTH, SUITE 3S, 
        AUSTIN, TX, 78746, 512-433-5200 - 3,800,000 ($90,725,000.00) Equity, 
        (File 333-148375 - Dec. 28) (BR. 08)

S-8     ASPECT MEDICAL SYSTEMS INC, 141 NEEDHAM STREET, NEWTON, MA, 02464-1505, 
        (617) 559-7857 - 700,000 ($10,234,000.00) Equity, (File 333-148376 - 
        Dec. 28) (BR. 10A)

S-8     HARLEYSVILLE NATIONAL CORP, 483 MAIN ST, P O BOX 195, HARLEYSVILLE, PA, 
        19438, 2152568851 - 25,480 ($401,310.00) Equity, (File 333-148377 - 
        Dec. 28) (BR. 07B)

S-1     North Asia Investment CORP, JONGRO TOWER 18F, 6 JONGRO 2-GA, JONGRO-GU, 
        SEOUL, M5, 111111, 822-2198-3333 - 0 ($201,250,000.00) Equity, 
        (File 333-148378 - Dec. 28) (BR. 04)

S-8     ENSIGN GROUP, INC, 27101 PUERTA REAL, SUITE 450, MISSION VIEJO, CA, 
        92691, (949) 487-9500 - 0 ($21,216,445.00) Equity, (File 333-148379 - 
        Dec. 28) (BR. 11)

S-8     COMMSCOPE INC, 8283242200 - 1,857,349 ($91,455,864.76) Equity, 
        (File 333-148380 - Dec. 28) (BR. 11A)

S-1     CHINA PACIFIC ACQUISITION CORP, 43RD FLOOR JARDINE HOUSE, 
        1 CONNAUGHT PLACE, HONG KONG, F4, 0, 011-852-2537-9898 - 
        0 ($133,875,000.00) Equity, (File 333-148381 - Dec. 28) (BR. 05)

S-8     PARLUX FRAGRANCES INC, 3725 S W 30TH AVE, FT LAUDERDALE, FL, 33312, 
        9543169008 - 2,000,000 ($8,100,000.00) Equity, (File 333-148383 - 
        Dec. 28) (BR. 06A)

S-3ASR  FLOTEK INDUSTRIES INC/CN/, 7030 EMPIRE CENTRAL DRIVE, HOUSTON, TX, 
        77040, 7138499911 - 0 ($0.00) Other, (File 333-148384 - Dec. 28) 
        (BR. 06A)

SB-2    Lans Holding, Inc., 50 WEST LIBERTY STREET, SUITE 800, RENO, NV, 89501, 
        775-322-0626 - 950,000 ($19,000.00) Equity, (File 333-148385 - Dec. 28) 
        (BR. )

S-3     Agfeed Industries, Inc, 1095 QINGLAN AVENUE, 
        ECONOMIC AND TECHNOLOGICAL DEVELOPMENT Z, 
        NAN CHANG CITY, JIANGXI PROVIN, F4, 330013, 662-262-9347 - 
        0 ($75,000,000.00) Equity, (File 333-148386 - Dec. 28) (BR. 04B)

S-8     SUB SURFACE WASTE MANAGEMENT OF DELAWARE INC, 5922-B FARNSWORTH COURT, 
        CARLSBAD, CA, 92008, 760-918-1860 - 80,000,000 ($80,000.00) Equity, 
        (File 333-148388 - Dec. 28) (BR. 06B)

S-8     US MICROBICS INC, 6451 EL CAMINO REAL #C, CARLSBAD, CA, 92009, 
        7609181860 - 80,000,000 ($168,000.00) Equity, (File 333-148389 - 
        Dec. 28) (BR. 06A)

S-3     Agfeed Industries, Inc, 1095 QINGLAN AVENUE, 
        ECONOMIC AND TECHNOLOGICAL DEVELOPMENT Z, 
        NAN CHANG CITY, JIANGXI PROVIN, F4, 330013, 662-262-9347 - 
        0 ($20,284,860.50) Equity, (File 333-148390 - Dec. 28) (BR. 04B)

SB-2    Future Now Group Inc., 650 - 1500 WEST GEORGIA STREET, VANCOUVER, A1, 
        V3B 5X6, 604-669-5244 - 5,054,400 ($2,527,200.00) Equity, 
        (File 333-148391 - Dec. 28) (BR. 04C)

SB-2    Derycz Scientific Inc, 10990 Wilshire Blvd, Suite 1410, Los Angeles, 
        CA, 90024, 3104770385 - 2,900,000 ($7,562,500.00) Equity, 
        (File 333-148392 - Dec. 28) (BR. )

SB-2    3DICON CORP, 7507 S SANDUSKY, TULSA, OK, 74136, 918-492-5802 - 
        6,500,000 ($1,885,000.00) Equity, (File 333-148393 - Dec. 28) (BR. 11C)

SB-2    Cord Blood America, Inc., 9000 W. SUNSET BLVD., SUITE 400, 
        WEST HOLLYWOOD, CA, 90069, 310-432-4090 - 
        37,184,339 ($613,542.00) Equity, (File 333-148394 - Dec. 28) (BR. 09A)

S-8     Magnum dOr Resources Inc, 1108 W VALLEY BLVD, STE 6-399, ALHAMBRA, CA, 
        91803, 626-407-2618 - 11,000,000 ($880,000.00) Equity, 
        (File 333-148395 - Dec. 28) (BR. 04C)

S-1     Consumer Partners Acquisition Corp., 
        11150 SANTA MONICA BLVD., SUITE 700, LOS ANGELES, CA, 90025, 
        310-445-6511 - 0 ($194,062,500.00) Equity, (File 333-148396 - Dec. 28) 
        (BR. )

S-1     Raycliff Acquisition Corp, 5 EAST 59TH STREET, 4TH FLOOR, 
        NEW YORK CITY, NY, 10022, 212 508 5312 - 0 ($230,000,000.00) Equity, 
        (File 333-148397 - Dec. 28) (BR. )

SB-2    Bonds.com Group, Inc., 1515 S. FEDERAL HIGHWAY, SUITE 212, BOCA RATON,, 
        FL, 33432, 561-953-5343 - 16,969,550 ($33,939,100.00) Equity, 
        (File 333-148398 - Dec. 28) (BR. 08B)

S-3     CENTRAL GARDEN & PET CO, 1340 TREAT BOULEVARD, SUITE 600, WALNUT CREEK, 
        CA, 94597, 9259484000 - 
        0 ($500,000,000.00) Unallocated (Universal) Shelf, (File 333-148399 - 
        Dec. 28) (BR. 02B)

S-3     EMERITUS CORP\WA\, 3131 ELLIOTT AVENUE, SUITE 500, SEATTLE, WA, 98121, 
        2062982909 - 6,714,981 ($166,330,079.37) Equity, (File 333-148400 - 
        Dec. 28) (BR. 11B)

S-8     ORION ENERGY SYSTEMS, INC., 1204 PILGRIM ROAD, PLYMOUTH, WI, 53073, 
        800-660-9340 - 6,451,177 ($123,927,111.00) Equity, (File 333-148401 - 
        Dec. 28) (BR. 11C)

S-8     Voyager Petroleum, Inc., 123 EAST OGDEN AVE #102A, HINSDALE, IL, 60521, 
        630-325-7130 - 15,333,334 ($613,333.36) Equity, (File 333-148402 - 
        Dec. 28) (BR. 06A)

S-3     BANC OF AMERICA FUNDING CORP, C/O NORWEST BANK MINNESOTA N A, 
        11000 BROKEN LAND PARKWAY, COLUMBIA, MD, 21044, 4108842000 - 
        25,000,000,000 ($25,000,000,000.00) Other, (File 333-148403 - Dec. 28) 
        (BR. 05)

S-8     ALTIGEN COMMUNICATIONS INC, 4555 CUSHING PARKWAY, FREMONT, CA, 94538, 
        5102529712 - 0 ($1,679,787.28) Equity, (File 333-148404 - Dec. 28) 
        (BR. 11B)

S-3     RAM Holdings Ltd., RAM RE HOUSE, 46 REID STREET, HAMILTON, D0, HM 12, 
        (441) 298-2116 - 350,000,000 ($350,000,000.00) Equity, 
        (File 333-148405 - Dec. 28) (BR. 01A)


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
---------------------------------------------------------------------------------------------------------
1st Pacific Bancorp                     CA       5.02,9.01                        12/21/07

ACTION PRODUCTS INTERNATIONAL INC       FL       8.01,9.01                        11/30/07

ACTIVE POWER INC                        DE       5.02,9.01                        12/27/07

ADVANCED ENERGY INDUSTRIES INC          DE       8.01,9.01                        12/24/07

ADVANCED ENVIRONMENTAL RECYCLING TECH   DE       3.01,8.01,9.01                   12/21/07

ALEXANDERS INC                          DE       1.01,2.03,9.01                   12/28/07

Alexza Pharmaceuticals Inc.             DE       1.01,9.01                        12/27/07

ALL STATE PROPERTIES LP                 DE       1.01,5.02,7.01                   12/20/07

ALLIANCE DATA SYSTEMS CORP              DE       1.01,2.03,9.01                   12/21/07

AMERICAN LIFE HOLDING CO INC            FL       1.01,9.01                        12/21/07

AMERICAN ROCK SALT CO LLC                        7.01                             12/28/07

ANADARKO PETROLEUM CORP                 DE       1.01,2.03,7.01,9.01              12/27/07

ANDREW CORP                             DE       2.01,3.01,3.03,5.02,9.01         12/27/07

ANTHRACITE CAPITAL INC                  MD       1.01,9.01                        12/28/07

APPLIED DNA SCIENCES INC                NV       1.01,2.03,3.02,5.02,9.01         12/20/07

ARK RESTAURANTS CORP                    NY       5.03,9.01                        12/28/07

ASHWORTH INC                            DE       2.02,9.01                        12/28/07

ATC HEALTHCARE INC /DE/                 DE       5.03,9.01                        12/21/07

AVANEX CORP                             DE       8.01,9.01                        12/27/07

AVASOFT, INC.                           NV       9.01                             12/28/07    AMEND

BALLANTYNE OF OMAHA INC                 DE       2.01,7.01,9.01                   10/12/07    AMEND

Banc of America Commercial Mortgage I   DE       8.01,9.01                        12/28/07

Banc of America Funding 2007-1 Trust    DE       8.01,9.01                        12/28/07    AMEND

Banc of America Funding 2007-2 Trust    DE       8.01,9.01                        12/28/07    AMEND

Banc of America Funding 2007-3 Trust    DE       8.01,9.01                        12/28/07    AMEND

Banc of America Funding 2007-4 Trust    DE       8.01,9.01                        12/28/07    AMEND

Banc of America Funding 2007-C Trust    DE       8.01,9.01                        12/28/07    AMEND

Beacon Federal Bancorp, Inc.            MD       1.01,9.01                        12/27/07

Behringer Harvard Opportunity REIT I,   MD       1.01,9.01                        12/20/07

Bonds.com Group, Inc.                   DE       1.01,2.01,3.02,4.01,5.01,5.02,   12/21/07
                                                 5.06,9.01 

BOSTON BEER CO INC                      MA       5.02                             12/21/07

BreitBurn Energy Partners L.P.          DE       5.02,9.01                        11/05/07

BROADPOINT SECURITIES GROUP, INC.       NY       5.03,8.01,9.01                   12/28/07

BROOKS AUTOMATION INC                   DE       5.02,9.01                        12/27/07

BRUSH ENGINEERED MATERIALS INC                   1.01                             12/28/07

BRUSH ENGINEERED MATERIALS INC                   1.01,9.01                        12/28/07

BUCA INC /MN                            MN       5.02,9.01                        12/20/07

CAL MAINE FOODS INC                     DE       2.02,9.01                        12/28/07

CALAIS RESOURCES INC                             1.01,2.01,3.02                   12/21/07

CANARGO ENERGY CORP                     DE       8.01                             12/28/07

CANO PETROLEUM, INC                              2.03                             12/21/07

CAPITAL BANK CORP                       NC       5.02,9.01                        12/27/07

CAPITAL SENIOR LIVING CORP              DE       1.01,7.01,9.01                   12/21/07

CAPTARIS INC                            WA       1.01,9.01                        12/20/07

CARLATERAL, INC.                        NV       5.03,9.01                        12/21/07

CDI CORP                                PA       5.02,9.01                        12/21/07

CENTERLINE HOLDING CO                   DE       7.01,9.01                        12/27/07

CENVEO, INC                             CO       5.02,7.01,9.01                   12/27/07

CHATSWORTH ACQUISITIONS I INC           DE       3.02                             12/26/07

CHATSWORTH ACQUISITIONS II INC          DE       3.02                             12/26/07

CHATSWORTH ACQUISITIONS III INC         DE       3.02                             12/26/07

CHECKPOINT SYSTEMS INC                  PA       5.03,9.01                        12/28/07

CHINDEX INTERNATIONAL INC               DE       5.02,7.01,9.01                   12/27/07

CHITTENDEN CORP /VT/                    VT       5.02                             12/21/07

CLAYTON HOLDINGS INC                             5.02,9.01                        12/21/07

CLST Holdings, Inc.                     DE       8.01                             12/21/07

CLX INVESTMENT COMPANY, INC.            CO       2.01,9.01                        10/15/07    AMEND

CNB CORP /MI/                           MI       8.01                             12/28/07

COBRA ELECTRONICS CORP                  DE       5.02                             12/21/07

COEUR D ALENE MINES CORP                ID       2.01,3.02,9.01                   12/21/07

COHEN & STEERS ADVANTAGE INCOME REALT   MD       5.03,9.01                        12/21/07

Cohen & Steers Closed-End Opportunity   MD       5.03,9.01                        12/21/07

Cohen & Steers Dividend Majors Fund,    MD       5.03,9.01                        12/21/07

COHEN & STEERS PREMIUM INCOME REALTY    MD       5.03,9.01                        12/21/07

COHEN & STEERS QUALITY INCOME REALTY    MD       5.03,9.01                        12/21/07

COHEN & STEERS REIT & PREFERRED INCOM   MD       5.03,9.01                        12/21/07

COHEN & STEERS WORLDWIDE REALTY INCOM   MD       5.03,9.01                        12/21/07

COMCAST CORP                            PA       5.02,9.01                        12/27/07

COMMONCACHE INC                         FL       5.02,9.01                        12/21/07

COMMSCOPE INC                           DE       1.01,2.01,9.01                   12/27/07

Comtech Group Inc                       MD       5.02,9.01                        12/21/07

CONCURRENT COMPUTER CORP/DE             DE       3.01,9.01                        12/26/07

CONSOLIDATED GRAPHICS INC /TX/          TX       8.01,9.01                        12/28/07

Constellation Energy Partners LLC       DE       5.03,9.01                        12/28/07

CONSTITUTION MINING CORP                NV       5.02                             12/20/07

CONTANGO OIL & GAS CO                   DE       2.01,9.01                        12/21/07

CORDIA CORP                             NV       8.01                             12/28/07

CORDIA CORP                             NV       8.01                             12/28/07    AMEND

CUBIC ENERGY INC                        TX       8.01                             12/21/07

CUBIST PHARMACEUTICALS INC              DE       1.01,2.01,9.01                   12/24/07

CWMBS INC                               DE       9.01                             12/28/07

DANAHER CORP /DE/                       DE       2.01,9.01                        11/21/07    AMEND

DAVITA INC                              DE       1.01                             12/20/07

DAYTON SUPERIOR CORP                    DE       1.01,9.01                        12/27/07

Deerfield Capital Corp.                 MD       1.01,1.02,2.01,5.02,5.03,9.01    12/21/07

DEL LABORATORIES INC                    DE       8.01                             12/28/07

DEVELOPERS DIVERSIFIED REALTY CORP      OH       1.01,2.03,9.01                   12/26/07

DG FastChannel, Inc                     DE       4.02                             11/08/07

DIGITAL ALLY INC                        NV       3.01,9.01                        12/26/07

DIXIE GROUP INC                         TN       8.01,9.01                        12/28/07

DOR BIOPHARMA INC                       DE       5.02,9.01                        12/27/07

Double-Take Software, Inc.              DE       1.01,2.01,9.01                   12/24/07

DOVER SADDLERY INC                               5.03,9.01                        12/21/07

DYADIC INTERNATIONAL INC                DE       3.01,8.01,9.01                   12/21/07

EASTMAN KODAK CO                        NJ       8.01                             12/21/07

Eddie Bauer Holdings, Inc.              DE       8.01,9.01                        12/27/07

EDEN ENERGY CORP                        NV       5.02,9.01                        12/21/07

EESTech, Inc.                                    3.02                             12/13/07

Electronic Sensor Technology, Inc                1.01,9.01                        12/27/07

EMPIRE FINANCIAL HOLDING CO             FL       8.01,9.01                        12/28/07

ENCYSIVE PHARMACEUTICALS INC            DE       8.01                             12/28/07

ENDEAVOUR INTERNATIONAL CORP            NV       1.01,9.01                        12/21/07

ENDWAVE CORP                            DE       1.01,1.02,2.01,3.03,9.01         12/21/07

ENTERTAINMENT DISTRIBUTION CO INC       DE       1.01,5.02,9.01                   12/20/07

ESSEX PORTFOLIO LP                      CA       1.01,9.01                        12/27/07

ESSEX PROPERTY TRUST INC                MD       1.01,9.01                        12/27/07

EXIDE TECHNOLOGIES                      DE       1.01,9.01                        12/26/07

FASTENAL CO                             MN       8.01,9.01                        12/28/07

Federal Home Loan Bank of Cincinnati    X1       5.02,9.01                        12/28/07

Federal Home Loan Bank of New York      X1       5.02                             12/20/07

FINISH LINE INC /IN/                    IN       8.01,9.01                        12/27/07

First Horizon Asset Sec Mort Pass Thr   DE       8.01,9.01                        12/28/07

FIRST KEYSTONE CORP                     PA       2.01,5.02                        12/28/07    AMEND

FIRST NATIONAL BANCSHARES INC /SC/      SC       8.01,9.01                        12/27/07

FIRST REGIONAL BANCORP                  CA       8.01                             12/27/07

FOCUS ENHANCEMENTS INC                  DE       5.02,9.01                        12/21/07

FRANKLIN TOWERS ENTERPRISES INC                  8.01,9.01                        12/28/07

Gaming Partners International CORP      NV       5.03,9.01                        12/27/07

GD Conference Center, Inc               DE       8.01                             12/27/07

GE Capital Credit Card Master Note Tr   DE       8.01,9.01                        12/17/07

GENESCO INC                             TN       8.01,9.01                        12/28/07

GENLYTE GROUP INC                       DE       8.01                             12/21/07

GEODYNE ENERGY INCOME LTD PARTNERSHIP   OK       9.01                             12/13/07    AMEND

GEODYNE ENERGY INCOME LTD PARTNERSHIP   OK       9.01                             12/13/07    AMEND

GEODYNE ENERGY INCOME LTD PARTNERSHIP   OK       2.01,9.01                        12/28/07

GEODYNE ENERGY INCOME LTD PARTNERSHIP   OK       9.01                             12/13/07    AMEND

GEODYNE INSTITUTIONAL PENSION ENERGY    OK       9.01                             12/13/07    AMEND

GEODYNE INSTITUTIONAL PENSION ENERGY    OK       2.01,9.01                        12/28/07

GEODYNE INSTITUTIONAL PENSION ENERGY    OK       2.01,9.01                        12/28/07

GEODYNE INSTITUTIONAL PENSION ENERGY    TX       9.01                             12/13/07    AMEND

Globalstar, Inc.                        DE       1.01                             12/21/07

GRUBB & ELLIS CO                        DE       1.01,2.01,2.03,5.03,8.01,9.01    12/21/07

Grubb & Ellis Healthcare REIT, Inc.     MD       1.01,2.03                        12/19/07

Grubb & Ellis Healthcare REIT, Inc.     MD       1.01,2.03                        12/20/07

Grubb & Ellis Healthcare REIT, Inc.     MD       1.01,2.01,2.03,7.01,9.01         12/20/07

GSC INVESTMENT CORP.                    MD       8.01,9.01                        12/28/07

GSR Mortgage Loan Trust 2007-5F         DE       8.01,9.01                        12/28/07

HARRAHS ENTERTAINMENT INC               DE       8.01,9.01                        12/27/07

HD Partners Acquisition CORP            CA       5.03,9.01                        12/28/07

HILLMAN COMPANIES INC                   DE       1.01,2.01,9.01                   12/28/07

Home Equity Mortgage Loan Asset-Backe   DE       1.01,9.01                        12/26/07

Home System Group                                4.01,9.01                        12/28/07

HOUSERAISING, INC.                      NC       8.01                             12/21/07

HUTCHINSON TECHNOLOGY INC               MN       1.01,2.03,9.01                   12/28/07

HYDROGEN POWER INC                      DE       5.02                             12/20/07

HYPERTENSION DIAGNOSTICS INC /MN        MN       8.01                             12/28/07

IA GLOBAL INC                           DE       2.03,5.02,9.01                   12/21/07

IElement CORP                           NV       1.01,2.01,3.02,5.02,8.01         12/28/07

Ignis Petroleum Group, Inc.                      5.02                             12/19/07

IKON OFFICE SOLUTIONS INC               OH       5.02                             12/21/07

IMAGING DIAGNOSTIC SYSTEMS INC /FL/     FL       1.01,5.02,9.01                   12/26/07

IMERGENT INC                            DE       8.01,9.01                        12/20/07    AMEND

IndyMac IMJA Mortgage Loan Trust 2007            9.01                             12/28/07

INFOSPACE INC                           DE       2.01,9.01                        12/28/07

Inrob Tech Ltd.                         NV       1.01,9.01                        12/24/07

INSIGHT HEALTH SERVICES HOLDINGS CORP            8.01,9.01                        12/27/07

InterDigital, Inc.                      PA       1.01,2.03                        12/28/07

INTERNATIONAL ASSETS HOLDING CORP       DE       8.01                             12/27/07

INTERNATIONAL SHIPHOLDING CORP          DE       8.01,9.01                        12/28/07

ISCO INTERNATIONAL INC                  DE       8.01                             12/27/07

ISLAND PACIFIC INC                      DE       1.01,2.01,7.01,9.01              12/28/07

IWT TESORO CORP                         NV       5.02                             12/27/07

J P MORGAN CHASE & CO                   DE       9.01                             12/27/07

JAKKS PACIFIC INC                       DE       8.01                             12/26/07

KENSEY NASH CORP                        DE       5.03,9.01                        12/21/07

KEY TECHNOLOGY INC                      OR       1.01,9.01                        12/21/07

KINETIC CONCEPTS INC /TX/               TX       5.03,9.01                        12/20/07

KINGLAKE RESOURCES INC.                 NV       1.01                             12/28/07

KRISPY KREME DOUGHNUTS INC              NC       1.01                             12/21/07

La Solucion Inc                         DE       1.01,3.02,9.01                   12/26/07

LANDAMERICA FINANCIAL GROUP INC         VA       5.02                             11/30/07

LANDRYS RESTAURANTS INC                          5.03,9.01                        12/27/07

Language Enterprises Corp.                       5.02                             12/24/07

LANTRONIX INC                           DE       3.01,9.01                        12/28/07

LEGEND INTERNATIONAL HOLDINGS INC       DE       1.01,3.02,9.01                   11/02/07

LEGEND INTERNATIONAL HOLDINGS INC       DE       1.01,3.02                        12/28/07

LEGEND INTERNATIONAL HOLDINGS INC       DE       1.01,9.01                        12/07/07

LEGEND MOBILE INC                       DE       3.02                             12/28/07

LEGG MASON INC                          MD       1.01,2.03,8.01,9.01              12/28/07

LEHMAN BROTHERS HOLDINGS INC            DE       9.01                             12/21/07

LEMAITRE VASCULAR INC                            7.01,8.01,9.01                   12/20/07

LGL GROUP INC                           IN       5.02,9.01                        12/24/07

LUBYS INC                               DE       2.02,9.01                        12/27/07

MACC PRIVATE EQUITIES INC               DE       8.01,9.01                        12/28/07

MAX CAPITAL GROUP LTD.                           1.01                             12/24/07

MCGRATH RENTCORP                        CA       5.03,9.01                        12/28/07

MEDIANET GROUP TECHNOLOGIES INC         NV       3.02                             12/26/07    AMEND

MEDICAL DISCOVERIES INC                 UT       5.02                             12/21/07

MERGE TECHNOLOGIES INC                  WI       2.02,9.01                        12/27/07

MERIDIAN INTERSTATE BANCORP INC         MA       1.01,8.01,9.01                   12/24/07

MERRILL LYNCH & CO INC                  DE       9.01                             12/24/07    AMEND

MERRILL LYNCH DEPOSITOR INC PREFERRED   NY       8.01,9.01                        12/17/07

MERRILL LYNCH DEPOSITOR INC PREFERRED   DE       8.01,9.01                        12/17/07

MERRILL LYNCH DEPOSITOR PREFERREDPLUS   DE       8.01,9.01                        12/17/07

METLIFE INC                             DE       5.02,9.01                        12/21/07

MFS CALIFORNIA INSURED MUNICIPAL FUND   MA       8.01,9.01                        12/21/07

MFS CHARTER INCOME TRUST                         8.01,9.01                        12/21/07

MFS GOVERNMENT MARKETS INCOME TRUST     MA       8.01,9.01                        12/21/07

MFS HIGH INCOME MUNICIPAL TRUST                  8.01,9.01                        12/21/07

MFS HIGH YIELD MUNICIPAL TRUST          MA       8.01,9.01                        12/21/07

MFS INTERMARKET INCOME TRUST I          MA       8.01,9.01                        12/21/07

MFS INTERMEDIATE HIGH INCOME FUND       MA       8.01,9.01                        12/21/07

MFS INTERMEDIATE INCOME TRUST           MA       8.01,9.01                        12/21/07

MFS INVESTMENT GRADE MUNICIPAL TRUST    MA       8.01,9.01                        12/21/07

MFS MULTIMARKET INCOME TRUST            MA       8.01,9.01                        12/21/07

MFS MUNICIPAL INCOME TRUST              MA       8.01,9.01                        12/21/07

MFS SPECIAL VALUE TRUST                 MA       8.01,9.01                        12/21/07

MGT CAPITAL INVESTMENTS INC             DE       5.03,5.05,8.01                   12/28/07

MIDDLETON DOLL CO                       WI       8.01,9.01                        12/28/07

MINES MANAGEMENT INC                    ID       4.01,9.01                        12/20/07

MINRAD INTERNATIONAL, INC.                       1.01,2.03                        12/26/07

MOLINA HEALTHCARE INC                   DE       1.01,9.01                        12/24/07

Morgan Stanley Mortgage Loan Trust 20   DE       8.01,9.01                        11/30/07    AMEND

MotivNation, Inc.                                1.01,9.01                        11/16/07

MTC TECHNOLOGIES INC                    DE       1.01,9.01                        12/21/07

NARA BANCORP INC                        DE       5.03,9.01                        12/20/07

NASDAQ STOCK MARKET INC                 DE       5.02                             12/21/07

NATIONAL CITY AUTO RECEIVABLES TRUST             8.01,9.01                        12/17/07

NATIONAL COAL CORP                      FL       1.01,3.02,9.01                   12/20/07

NATIONAL FUEL GAS CO                    NJ       5.02                             12/21/07

NATIONAL FUEL GAS CO                    NJ       8.01,9.01                        12/28/07

NATIONAL FUEL GAS CO                    NJ       2.02,7.01,9.01                   10/11/07    AMEND

NATIONAL RURAL UTILITIES COOPERATIVE    DC       1.01                             12/21/07

NATROL INC                              DE       2.01,3.01,5.01,5.02,5.03,8.01,9.01 12/28/07

NEOPHARM INC                            DE       3.01,9.01                        12/26/07

NeurogesX Inc                           CA       1.01,3.02,9.01                   12/23/07

NeuroMetrix, Inc.                                1.01,2.01,3.02,9.01              12/26/07

NewPage Holding CORP                    DE       1.01,2.01,2.03,5.02,9.01         12/21/07

NEWPARK RESOURCES INC                   DE       1.01,1.02,2.03,3.03,9.01         12/21/07

NEWTEK BUSINESS SERVICES INC            NY       1.01,5.02,9.01                   12/21/07

Nilam Resources Inc.                    NV       1.01,5.02,9.01                   12/07/07    AMEND

NMS COMMUNICATIONS CORP                 DE       1.01,2.01,9.01                   12/21/07

NORD RESOURCES CORP                     DE       8.01,9.01                        12/28/07

NovaRay Medical, Inc.                   DE       1.01,2.01,3.02,5.01,5.02,5.03,5.06,9.01 12/26/07

Nuance Communications, Inc.             DE       5.02                             12/21/07

ODYSSEY HEALTHCARE INC                  DE       1.01,9.01                        12/21/07

Oncologix Tech Inc.                     NV       5.02,8.01                        12/28/07

Orexigen Therapeutics, Inc.             DE       5.02                             12/20/07

ORLEANS HOMEBUILDERS INC                DE       1.01,9.01                        12/21/07

PACIFIC GAS & ELECTRIC CO               CA       8.01                             12/27/07

PARKVALE FINANCIAL CORP                 PA       5.02,5.03,9.01                   12/20/07

PENNSYLVANIA REAL ESTATE INVESTMENT T   PA       5.02,8.01,9.01                   12/20/07

PEOPLES BANCORP                         IN       8.01,9.01                        12/28/07

PERFORMANCE TECHNOLOGIES INC \DE\       DE       1.01,5.03                        12/21/07

Permanent Funding (No. 2) LTD           X0       1.01,9.01                        12/28/07

PG&E CORP                               CA       8.01                             12/27/07

PHH CORP                                MD       1.02,9.01                        12/20/07

PIXELWORKS, INC                         OR       3.01,9.01                        12/24/07

PNA Group, Inc.                         DE       1.01,9.01                        12/24/07

POLYMER GROUP INC                       DE       5.02                             12/20/07

POPE & TALBOT INC /DE/                  DE       1.01,9.01                        12/21/07

PPL CORP                                PA       5.04,9.01                        12/27/07

PPLUS Trust Series JPM-1                DE       8.01,9.01                        12/17/07

QRS MUSIC TECHNOLOGIES INC              DE       1.01                             12/21/07

QUIKSILVER INC                          DE       5.02,8.01                        12/26/07

REDDI BRAKE SUPPLY CORP                 NV       1.01,3.02,5.01,5.02,8.01,9.01    12/28/07

REMINGTON ARMS CO INC/                  DE       1.01,9.01                        12/21/07

Rocketinfo Inc.                         DE       5.02,8.01                        12/28/07

Rubicon Technology, Inc.                DE       5.02                             12/24/07

SAFECO CORP                             WA       1.02,5.02,9.01                   12/27/07

SALARY. COM, INC.                       DE       2.01,9.01                        12/21/07

SANTANDER BANCORP                                1.01                             12/20/07

Scout Exploration, Inc                  NV       5.02,8.01,9.01                   12/06/07

SCPIE HOLDINGS INC                      DE       5.02,5.03,9.01                   12/21/07

SES SOLAR INC.                                   8.01,9.01                        12/28/07

SHAW GROUP INC                          LA       8.01,9.01                        12/28/07

SIMMONS FIRST NATIONAL CORP             AR       8.01                             12/28/07

SLM CORP                                DE       5.02                             12/22/07

SMITHFIELD FOODS INC                    VA       5.03,9.01                        12/27/07

SOLAR ENERTECH CORP                     NV       2.02,4.02,9.01                   12/24/07

Solar Thin Films, Inc.                  DE       5.02                             12/20/07

SOLUTIA INC                             DE       7.01,9.01                        12/28/07

Southland Health Services, Inc.                  1.02                             12/28/07

Spansion Inc.                           DE       5.03,9.01                        12/20/07

SPORT SUPPLY GROUP, INC.                DE       7.01,9.01                        12/28/07

STERLING FINANCIAL CORP /WA/            WA       5.02,9.01                        12/28/07

Sterling Oil & Gas CO                   NV       7.01,9.01                        12/27/07

STONEMOR PARTNERS LP                    DE       1.01,2.01,2.03,7.01,8.01,9.01    12/18/07

Storm Cat Energy CORP                            9.01                             12/28/07

STRATS SM TRUST FOR DAIMLERCHRYSLER N            8.01,9.01                        12/17/07

STRATS SM TRUST FOR DOMINION RESOURCE   DE       8.01,9.01                        12/17/07

STRATS SM TRUST FOR Goldman Sachs Cap            8.01,9.01                        12/17/07

STRATS SM TRUST FOR GOLDMAN SACHS GRO            8.01,9.01                        12/17/07

STRATS SM TRUST FOR JPMORGAN CHASE &             8.01,9.01                        12/17/07

STRATS SM TRUST FOR U S CELL CORP SEC            8.01,9.01                        12/17/07

STRATS SM TRUST FOR WAL-MART STORES,             8.01,9.01                        12/17/07

STRATS(SM) TRUST FOR DOMINION RESOURC            8.01,9.01                        12/17/07

STRATS(SM) TRUST FOR GEN ELEC CAP COR            8.01,9.01                        12/17/07

STRATS(SM) Trust For Goldman Sachs Ca            8.01,9.01                        12/17/07

SUNCOM WIRELESS HOLDINGS, INC.                   8.01                             12/28/07

SUNCREST GLOBAL ENERGY CORP             NV       1.01,2.01,3.02,4.01,5.01,5.02,5.03,5.06 12/20/07

SUNOVIA ENERGY TECHNOLOGIES INC                  5.03,8.01,9.01                   12/27/07

SUNOVIA ENERGY TECHNOLOGIES INC                  4.01,9.01                        12/27/07

SUPERCLICK INC                          WA       4.02                             12/28/07

Superior Offshore International Inc.    DE       1.01,9.01                        12/28/07

SUPERTEX INC                            CA       5.03                             12/21/07

SYNERGY BRANDS INC                      DE       3.02                             12/21/07

T REIT LIQUIDATING TRUST                VA       7.01,9.01                        12/28/07

TALON INTERNATIONAL, INC.               DE       3.01,9.01                        12/27/07

TARGETED GENETICS CORP /WA/             WA       5.03,9.01                        12/27/07

Tarpon Industries, Inc.                 MI       1.01,9.01                        12/24/07

TBS INTERNATIONAL LTD                            5.02                             12/28/07

TE PRODUCTS PIPELINE CO LLC             TX       2.04                             12/26/07

TELEFLEX INC                            DE       7.01,9.01                        12/28/07

TEPPCO PARTNERS LP                      DE       1.01,2.03,2.04,5.03,9.01         12/21/07

Titan Global Holdings, Inc.             UT       9.01                             09/17/07    AMEND

TOLL BROTHERS INC                       DE       5.02,9.01                        12/20/07

TOLLGRADE COMMUNICATIONS INC \PA\       PA       5.02                             12/26/07

TRANSMERIDIAN EXPLORATION INC           DE       5.03,9.01                        12/24/07

TRIAD GUARANTY INC                      DE       5.02                             12/28/07

TRIBUNE CO                              DE       1.01,2.01,2.03,3.01,3.03,5.01,5.02,5.03,9.01 12/20/07

Triton Distribution Systems, Inc.       CO       4.02                             12/10/07    AMEND

Trustcash Holdings, Inc.                DE       1.01,7.01,9.01                   12/20/07

TUESDAY MORNING CORP/DE                 DE       5.02                             12/21/07

TVIA INC                                DE       1.02                             12/24/07

ULTRA PETROLEUM CORP                             5.02,9.01                        12/28/07

UNICA CORP                                       2.02,4.02                        12/20/07

UNION TANK CAR CO                       DE       8.01,9.01                        12/25/07

United Financial Bancorp, Inc.          MD       1.01,9.01                        12/27/07

UNITED STATIONERS INC                   DE       1.01,2.01,2.03,9.01              12/20/07

UNITED THERAPEUTICS CORP                DE       5.02,9.01                        12/28/07

US Energy Initiatives CORP              GA       1.01,2.01,5.02,9.01              12/21/07

UTILITY INVESTMENT RECOVERY, INC.                5.01                             12/20/07

VALASSIS COMMUNICATIONS INC             DE       5.02,9.01                        12/20/07

Vanguard Natural Resources, LLC         DE       1.01,7.01,9.01                   12/21/07

VASCULAR SOLUTIONS INC                  DE       1.01                             12/26/07

VAXGEN INC                              DE       8.01,9.01                        12/20/07

VCA ANTECH INC                          DE       5.02                             12/27/07

VCG HOLDING CORP                        CO       2.01,2.03,3.02,8.01,9.01         12/21/07

VECTREN CORP                            IN       5.02,9.01                        12/26/07

VERSO TECHNOLOGIES INC                  MN       1.01,2.01,3.01,3.02,9.01         12/28/07

VONAGE HOLDINGS CORP                    DE       1.01,5.02                        12/21/07

WASTE INDUSTRIES USA INC                NC       8.01,9.01                        12/21/07

WELLCARE HEALTH PLANS, INC.             DE       1.01,9.01                        12/20/07
                           

 

http://www.sec.gov/news/digest/2007/dig123107.htm


Modified: 12/31/2007