[x]
|
ANNUAL
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
|
|
For
the fiscal year ended December 31,
2006
|
[
]
|
TRANSITION
REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF
1934
|
|
Commission
file number 1-82
|
Page
|
||
Report
of Independent Registered Public Accounting Firm
|
1
|
|
Statements
of Net Assets Available for Benefits
|
2
|
|
Statement
of Changes in Net Assets Available for Benefits
|
3
|
|
Notes
to Financial Statements
|
4
|
|
Supplemental
Information:
|
||
I.
|
Schedule
of Assets (Held at End of Year) at December 31, 2006
|
11
|
Exhibits:
|
||
23
|
Consent
of Independent Registered Public Accounting Firm
|
|
|
Report
of Independent Registered Public Accounting
Firm
|
|
To
the Benefits Administration Committee and
Participants
|
|
of
the Phelps Dodge Employee Savings
Plan
|
|
/s/PricewaterhouseCoopers
LLP
|
|
June
29, 2007
|
|
|
2006
|
2005
|
|||||
Assets
|
||||||
Investments
at fair value:
|
||||||
Interest
in the Phelps Dodge Corporation Master
|
||||||
Trust,
at fair value (see Note 2)
|
$
|
581,541
|
$
|
541,602
|
||
Investments
|
226,085
|
158,404
|
||||
Total
investments
|
807,626
|
700,006
|
||||
Receivables:
|
||||||
Participant
contributions receivable
|
1,149
|
958
|
||||
Employer
contributions receivable
|
998
|
1,089
|
||||
Employer
profit sharing contribution receivable
|
19,240
|
18,857
|
||||
Total
receivables
|
21,387
|
20,904
|
||||
Net
assets available for benefits, at fair value
|
829,013
|
720,910
|
||||
Adjustment
from fair value to contract value for interest
|
||||||
in
the Phelps Dodge Corporation Master Trust relating
|
||||||
to
fully benefit-responsive investment contracts
|
1,982
|
1,075
|
||||
Net
assets available for benefits
|
$
|
830,995
|
$
|
721,985
|
Additions
to net assets attributed to:
|
|||
Investment
income:
|
|||
Plan
interest in Phelps Dodge Corporation
|
|||
Master
Trust investment income
|
$
|
66,436
|
|
Net
appreciation in fair value of investments:
|
|||
Common
stocks
|
71,343
|
||
Mutual
funds
|
4,034
|
||
Net
appreciation in fair value of investments
|
75,377
|
||
Dividends
and interest
|
9,295
|
||
Net
investment income
|
151,108
|
||
Contributions:
|
|||
Participant
contributions
|
33,201
|
||
Employer
matching contributions
|
13,942
|
||
Employer
profit sharing contribution
|
19,240
|
||
Total
contributions
|
66,383
|
||
Total
additions, net
|
217,491
|
||
Deductions
from net assets attributed to:
|
|||
Distributions
to participants and beneficiaries
|
108,475
|
||
Administrative
expenses
|
7
|
||
Total
deductions
|
108,482
|
||
Increase
in net assets prior to transfer
|
109,009
|
||
Transfer
from other plan (see note 3)
|
1
|
||
Net
assets available for benefits at December 31, 2005
|
721,985
|
||
Net
assets available for benefits at December 31, 2006
|
$
|
830,995
|
1.
|
Description
of Plan
|
1.
|
Description
of Plan (Continued)
|
2.
|
Summary
of Significant Accounting
Policies
|
2.
|
Summary
of Significant Accounting Policies
(Continued)
|
3.
|
The
Master Trust
|
2006
|
2005
|
|||||
(In
thousands)
|
||||||
Mutual
funds
|
$
|
315,345
|
$
|
294,146
|
||
Common/collective
funds
|
266,475
|
256,748
|
||||
U.S.
government securities
|
159
|
143
|
||||
Net
assets available for benefits, at fair value
|
581,979
|
551,037
|
||||
Adjustment
from fair value to contract value for fully
|
||||||
benefit-responsive
investment contracts
|
1,982
|
1,094
|
||||
Net
assets available for benefits
|
$
|
583,961
|
$
|
552,131
|
Investment
income:
|
|||
Net
appreciation (depreciation) in fair value of investments:
|
|||
Mutual
funds
|
$
|
39,582
|
|
Common/collective
funds
|
3,840
|
||
Dividends
and interest
|
23,639
|
||
Investment
expenses
|
(386
|
)
|
|
Net
investment income
|
$
|
66,675
|
3.
|
The
Master Trust (Continued)
|
2006
|
2005
|
|||||
(In
thousands)
|
||||||
JPMorgan
Interest Income Fund
|
$
|
109,007
|
$
|
108,223
|
||
JPMorgan
Moderate Investment Portfolio Fund
|
34,096
|
34,109
|
||||
JPMorgan
Aggressive Investment Portfolio Fund
|
14,126
|
12,618
|
||||
JPMorgan
Conservative Investment Portfolio Fund
|
12,481
|
12,717
|
||||
$
|
169,710
|
$
|
167,667
|
December
31,
|
||||||
2006
|
2005
|
|||||
(In
thousands)
|
||||||
Fair
market value of investments
|
$
|
167,486
|
$
|
166,124
|
||
Synthetic
wrapper value
|
2,224
|
1,543
|
||||
Carrying
value (contract value)
|
$
|
169,710
|
$
|
167,667
|
2006
|
2005
|
|||||
Based
on actual earnings
|
5.69%
|
5.74%
|
||||
Based
on interest rate credited to participants
|
5.27%
|
5.46%
|
4.
|
Investments
|
December
31,
|
||||||
2006
|
2005
|
|||||
(In
thousands)
|
||||||
Phelps
Dodge Common Stock Fund*
|
$
|
164,532
|
$
|
98,413
|
||
JPMorgan
Interest Income Fund**
|
$
|
113,900
|
$
|
110,189
|
||
JPMorgan
Moderate Investment Portfolio Fund**
|
$
|
84,643
|
$
|
81,789
|
||
American
Century Equity Growth Fund
|
$
|
74,351
|
$
|
75,131
|
||
JPMorgan
Aggressive Investment Portfolio Fund**
|
$
|
70,238
|
$
|
60,467
|
||
American
Century Income and Growth Fund
|
$
|
61,345
|
$
|
61,254
|
||
American
Century Europacific Growth Fund
|
$
|
55,064
|
$
|
40,133
|
||
T.
Rowe Price Small Cap Stock Fund
|
$
|
52,043
|
$
|
46,671
|
||
JPMorgan
Enhanced Index Fund
|
$
|
49,328
|
$
|
45,335
|
5.
|
Related
Party Transactions
|
Cost
of shares purchased
|
$
|
69,938
|
|
Number
of shares purchased
|
1,461
|
||
Proceeds
from shares sold
|
$
|
76,194
|
|
Number
of shares sold
|
757
|
||
Value
of shares distributed
|
$
|
530
|
|
Number
of shares distributed
|
14
|
||
Dividend
income received
|
$
|
7,155
|
6.
|
Tax
Status
|
7.
|
Subsequent
Events
|
8.
|
Reconciliation
of Financial Statements to Form
5500
|
Net
assets available for benefits per Statements of Net
|
|||
Assets
Available for Benefits
|
$
|
830,995
|
|
Less:
adjustment from contract value to fair value for fully
|
|||
benefit-responsive
investment contracts
|
(1,982
|
)
|
|
Net
assets per Form 5500
|
$
|
829,013
|
Total
additions, net per Statement of Changes in Net
|
|||
Assets
Available for Benefits
|
$
|
217,491
|
|
Less:
adjustment from contract value to fair value for fully
|
|||
benefit-responsive
investment contracts
|
(1,982
|
)
|
|
Total
income per Form 5500
|
$
|
215,509
|
(c)
Description of
|
|||||||||||
investment
including
|
|||||||||||
maturity
date, rate of
|
|||||||||||
interest,
collateral,
|
(d)
|
||||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||||
Cash
And Short-Term Investments:
|
|||||||||||
Cash
|
N/A
|
$
|
92,769
|
||||||||
Bank
of Nashville 5.25%
|
5,000
|
4,998
|
|||||||||
Colonial
Bank N.A. 5.15%
|
10,000
|
9,999
|
|||||||||
Eurobank
N.A. 5.75%
|
15,000
|
14,319
|
|||||||||
*
|
JPMorgan
Chase Money Market
|
7,156
|
7,156
|
||||||||
LaSalle
Bank Midwest 5.1%
|
20,000
|
19,991
|
|||||||||
LaSalle
Bank N.A. 5%
|
20,000
|
19,982
|
|||||||||
Republic
First Bank 5.15%
|
20,000
|
19,997
|
|||||||||
Schwab
Money Market Fund
|
190,259
|
190,259
|
|||||||||
Schwab
Retirement Money Fund
|
15,553
|
15,553
|
|||||||||
Schwab
U.S. Treasury Money Fund
|
4,377,917
|
4,377,917
|
|||||||||
Schwab
Value Advantage Money Fund
|
391,258
|
391,258
|
|||||||||
The
Coastal Bank N.A. 5.1%
|
5,000
|
4,999
|
|||||||||
Washington
Mutual Bank 5.0%
|
10,000
|
9,990
|
|||||||||
Washington
Mutual Bank 5.0%
|
10,000
|
9,988
|
|||||||||
Washington
Mutual Bank 5.05%
|
10,000
|
9,994
|
|||||||||
Washington
Mutual Bank 5.05%
|
10,000
|
9,988
|
|||||||||
Washington
Mutual Bank 5.1%
|
25,000
|
24,992
|
|||||||||
Washington
Mutual Bank 5.1%
|
10,000
|
9,987
|
|||||||||
Total
Cash and Short-Term Investments
|
5,244,136
|
||||||||||
U.S.
Government Securities:
|
|||||||||||
U.S.
Treasury Notes 5.625%
|
1,000
|
1,009
|
|||||||||
U.S.
Treasury Strip 0%
|
348,000
|
138,928
|
|||||||||
U.S.
Treasury Strip 0%
|
347,000
|
145,306
|
|||||||||
Total
U.S. Government Securities
|
285,243
|
||||||||||
Corporate
Debt:
|
|||||||||||
General
Motors Acceptance Corp 5.2%
|
10,000
|
9,858
|
|||||||||
General
Motors Acceptance Corp 5.0%
|
10,000
|
9,800
|
|||||||||
Total
Corporate Debt
|
19,658
|
||||||||||
Common
Stocks:
|
|||||||||||
1-800-Flowers.com
Inc
|
1,600
|
shares
|
9,856
|
||||||||
3COM
Corporation
|
2,279
|
shares
|
9,367
|
||||||||
3M
Company
|
433
|
shares
|
33,768
|
||||||||
4
Kids Entertainment Inc
|
500
|
shares
|
9,110
|
||||||||
ADC
Telecommunications Inc
|
428
|
shares
|
6,219
|
||||||||
AES
Corporation
|
300
|
shares
|
6,612
|
||||||||
AM
Communications Inc
|
2,000
|
shares
|
2
|
||||||||
AMF
Bowling Inc
|
500
|
shares
|
–
|
||||||||
AMN
Healthcare Services Inc
|
150
|
shares
|
4,131
|
||||||||
APAC
Customer Services Inc
|
810
|
shares
|
3,037
|
||||||||
AT&T
Inc
|
2,726
|
shares
|
97,450
|
(c)
Description of
|
||||||||||
investment
including
|
||||||||||
maturity
date, rate of
|
||||||||||
interest,
collateral
|
(d)
|
|||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
||||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
||||||
Abraxas
Petroleum Corporation
|
3,400
|
shares
|
10,506
|
|||||||
Abbott
Laboratories
|
100
|
shares
|
4,871
|
|||||||
ACE*Comm
Corporation
|
100
|
shares
|
125
|
|||||||
Acergy
S.A.
|
66
|
shares
|
1,259
|
|||||||
Actuate
Corporation
|
576
|
shares
|
3,421
|
|||||||
Adobe
Systems Inc
|
284
|
shares
|
11,678
|
|||||||
Advanced
Cell Technology
|
400
|
shares
|
232
|
|||||||
Advanced
Micro Devices
|
194
|
shares
|
3,948
|
|||||||
Advanced
Optics Electronics Inc
|
1,249,999
|
shares
|
250
|
|||||||
Advanced
Viral Research
|
56,600
|
shares
|
1,868
|
|||||||
Aeroflex
Inc
|
1,000
|
shares
|
11,720
|
|||||||
Aethlon
Medical Inc
|
35,800
|
shares
|
9,666
|
|||||||
Aetna
Inc
|
350
|
shares
|
15,113
|
|||||||
Affiliated
Computer Services
|
20
|
shares
|
977
|
|||||||
Agere
Systems Inc
|
300
|
shares
|
5,751
|
|||||||
Agnico
Eagle Mines Ltd
|
2,089
|
shares
|
86,150
|
|||||||
Akamai
Technologies
|
340
|
shares
|
18,061
|
|||||||
Alaska
Communications Systems Group Inc
|
300
|
shares
|
4,557
|
|||||||
Albemarle
Corp
|
100
|
shares
|
7,180
|
|||||||
Alberta
Star Development Corp
|
1,500
|
shares
|
2,805
|
|||||||
Alcard
Chemicals Group
|
3,000
|
shares
|
105
|
|||||||
Alcatel-Lucent
|
8,895
|
shares
|
126,487
|
|||||||
Alcoa
Inc
|
580
|
shares
|
17,406
|
|||||||
Alesco
Financial Inc
|
260
|
shares
|
2,782
|
|||||||
Allegheny
Energy Inc
|
100
|
shares
|
4,591
|
|||||||
Allegheny
Technologies Inc
|
71
|
shares
|
6,438
|
|||||||
Allied
Waste Industries Inc
|
1,000
|
shares
|
12,290
|
|||||||
Allixon
Corporation
|
20
|
shares
|
–
|
|||||||
Allscripts
Healthcare Solutions Inc
|
122
|
shares
|
3,293
|
|||||||
AlphaRX
Inc
|
40,000
|
shares
|
3,480
|
|||||||
Alternate
Energy Corporation
|
12,000
|
shares
|
846
|
|||||||
Altria
Group Inc
|
1,059
|
shares
|
90,902
|
|||||||
Aluminum
Corporation China
|
213
|
shares
|
5,015
|
|||||||
Amazon.com
Inc
|
505
|
shares
|
19,927
|
|||||||
Ameren
Corporation
|
319
|
shares
|
17,126
|
|||||||
America
Movil S.A.B. de C.V.
|
134
|
shares
|
6,059
|
|||||||
American
Aircarriers Support
|
320
|
shares
|
–
|
|||||||
American
Eagle Outfitters Inc
|
312
|
shares
|
9,737
|
|||||||
American
Energy Production
|
25,000
|
shares
|
1,550
|
|||||||
American
International Group
|
304
|
shares
|
21,774
|
|||||||
American
Software Class A
|
500
|
shares
|
3,465
|
|||||||
American
Tower Corporation Class A
|
140
|
shares
|
5,219
|
|||||||
Ametek
Inc
|
1,504
|
shares
|
47,894
|
|||||||
Amgen
Incorporated
|
400
|
shares
|
27,324
|
|||||||
Amigula
Inc
|
6,000
|
shares
|
246
|
|||||||
Amphenol
Corporation Class A
|
45
|
shares
|
2,800
|
|||||||
Amrep
Corporation
|
12
|
shares
|
1,470
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Anadigics
Inc
|
100
|
shares
|
886
|
||||||
Angiodynamics
Inc
|
900
|
shares
|
19,341
|
||||||
Anheuser
Busch Company Inc
|
150
|
shares
|
7,380
|
||||||
Annaly
Capital Management Inc
|
150
|
shares
|
2,086
|
||||||
Antares
Pharma Inc
|
2,000
|
shares
|
2,400
|
||||||
Apollo
Gold Corporation
|
5,500
|
shares
|
2,530
|
||||||
Apple
Computer Inc
|
250
|
shares
|
21,210
|
||||||
Applied
Micro Circuits
|
22,800
|
shares
|
81,168
|
||||||
Aqua
America Inc
|
250
|
shares
|
5,695
|
||||||
Aracruz
Celulose S.A.
|
26
|
shares
|
1,591
|
||||||
Aradigm
Corporation
|
54
|
shares
|
49
|
||||||
Arch
Coal Inc
|
200
|
shares
|
6,006
|
||||||
Archer
Daniels Midland Company
|
531
|
shares
|
16,976
|
||||||
Arete
Industries Inc
|
10,000
|
shares
|
37
|
||||||
Ariba
Inc
|
931
|
shares
|
7,206
|
||||||
Arrhythmia
Research Technology Inc
|
300
|
shares
|
7,299
|
||||||
AsiaInfo
Holdings Inc
|
496
|
shares
|
3,809
|
||||||
Astralis
Ltd
|
1,000
|
shares
|
20
|
||||||
Atmel
Corporation
|
300
|
shares
|
1,815
|
||||||
AU
Optronics Corp
|
339
|
shares
|
4,682
|
||||||
Audiovox
Corporation Class A
|
150
|
shares
|
2,113
|
||||||
Aurizon
Mines Ltd
|
10,900
|
shares
|
34,226
|
||||||
AutoImmune
Inc
|
1,000
|
shares
|
1,140
|
||||||
Avanex
Corporation
|
650
|
shares
|
1,228
|
||||||
Avaya
Inc
|
41
|
shares
|
573
|
||||||
Avici
System Inc
|
7
|
shares
|
54
|
||||||
Avid
Technology
|
8
|
shares
|
298
|
||||||
Avis
Budget Group Inc
|
270
|
shares
|
5,856
|
||||||
Avitar
Inc
|
8
|
shares
|
–
|
||||||
BB&T
Corporation
|
150
|
shares
|
6,589
|
||||||
BEA
Systems Inc
|
150
|
shares
|
1,887
|
||||||
BP
plc
|
21,120
|
shares
|
1,417,128
|
||||||
Baidu.com
Inc
|
26
|
shares
|
2,930
|
||||||
Baker
Hughes Inc
|
120
|
shares
|
9,007
|
||||||
Bank
of America Corp
|
509
|
shares
|
27,180
|
||||||
Barrick
Gold Corporation
|
815
|
shares
|
25,020
|
||||||
Bayswater
Uranium Corporation
|
2,000
|
shares
|
2,819
|
||||||
Bell
Microproducts Inc
|
1,000
|
shares
|
7,050
|
||||||
Benguet
Corporation Class B
|
1,000
|
shares
|
550
|
||||||
Berkshire
Hathaway Class B
|
10
|
shares
|
36,660
|
||||||
Best
Buy Inc
|
102
|
shares
|
5,017
|
||||||
Bio
One Corporation
|
10,000
|
shares
|
66
|
||||||
Bio
Solutions Manufacturing
|
80
|
shares
|
14
|
||||||
Biogen
Idec Inc
|
600
|
shares
|
29,514
|
||||||
Biostem
Inc
|
44
|
shares
|
49
|
||||||
Blockbuster
Inc Class A
|
1,700
|
shares
|
8,993
|
||||||
Boeing
Company
|
388
|
shares
|
34,512
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Bombardier
Inc Class B
|
200
|
shares
|
679
|
||||||
Boston
Scientific Corporation
|
855
|
shares
|
14,689
|
||||||
Bounce
Mobile Systems
|
3
|
shares
|
–
|
||||||
Breakwater
Resources Ltd
|
2,500
|
shares
|
3,912
|
||||||
Brigham
Exploration Company
|
1,600
|
shares
|
11,696
|
||||||
Bristo-Myers
Squibb Company
|
793
|
shares
|
20,893
|
||||||
Brocade
Communications Systems Inc
|
200
|
shares
|
1,642
|
||||||
Brookfield
Asset Management Inc
|
100
|
shares
|
4,818
|
||||||
Burlington
Northern Santa Fe Corporation
|
100
|
shares
|
7,381
|
||||||
C-COR
Inc
|
269
|
shares
|
2,997
|
||||||
CDEX
Inc Class A
|
22
|
shares
|
6
|
||||||
CEL-SCI
Corporation
|
2,000
|
shares
|
1,120
|
||||||
CMGI
Inc
|
2,080
|
shares
|
2,787
|
||||||
CMKM
Diamonds Inc
|
4,009,996
|
shares
|
401
|
||||||
CNOOC
Limited
|
40
|
shares
|
3,785
|
||||||
CALITECH
Ltd
|
5,000
|
shares
|
2,000
|
||||||
CROCS
Inc
|
250
|
shares
|
10,800
|
||||||
CSX
Corporation
|
400
|
shares
|
13,772
|
||||||
CV
Therapeutics Inc
|
500
|
shares
|
6,980
|
||||||
Caliper
Life Sciences
|
30
|
shares
|
172
|
||||||
Cameco
Corp
|
230
|
shares
|
9,303
|
||||||
Campbell
Resources
|
10,000
|
shares
|
970
|
||||||
Canadian
National Railway Company
|
400
|
shares
|
17,212
|
||||||
Canadian
Natural Resources
|
150
|
shares
|
7,985
|
||||||
Canetic
Resource Trust
|
300
|
shares
|
4,167
|
||||||
Capital
One Financial Corporation
|
82
|
shares
|
6,300
|
||||||
Capstone
Turbine Corporation
|
5,270
|
shares
|
6,482
|
||||||
Capitaris
Inc
|
525
|
shares
|
4,079
|
||||||
Cardiac
Science Corporation
|
111
|
shares
|
896
|
||||||
Cash
America International
|
337
|
shares
|
15,805
|
||||||
Cash
Minerals Ltd
|
1,500
|
shares
|
2,191
|
||||||
Caterpillar
Inc
|
496
|
shares
|
30,390
|
||||||
Celgene
Corporation
|
100
|
shares
|
5,753
|
||||||
Cell
Therapeutics Inc
|
500
|
shares
|
875
|
||||||
Centerpoint
Energy Inc
|
77
|
shares
|
1,277
|
||||||
Central
Wireless Inc
|
5,000
|
shares
|
1
|
||||||
Cereplast
Inc
|
5,800
|
shares
|
2,146
|
||||||
Chaparral
Steel Company
|
34
|
shares
|
1,505
|
||||||
Charlotte
Russe Holding Inc
|
97
|
shares
|
2,983
|
||||||
Charter
Communications
|
2,120
|
shares
|
6,487
|
||||||
Check
Point Software Technologies Class F
|
175
|
shares
|
3,836
|
||||||
Chesapeake
Energy Corporation
|
907
|
shares
|
26,335
|
||||||
Chevron
Corporation
|
423
|
shares
|
31,098
|
||||||
Chico’s
FAS Inc
|
620
|
shares
|
12,828
|
||||||
China
Direct Inc
|
7
|
shares
|
40
|
||||||
China
Direct Trading Corporation
|
700,000
|
shares
|
24,500
|
||||||
China
Life Insurance
|
119
|
shares
|
6,011
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
Interest,
collateral
|
(d)
|
||||||||
Par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
Or
number of shares
|
**
|
value
|
|||||
China
Medical Technologies
|
500
|
shares
|
13,535
|
||||||
China
Mobile Hong Kong
|
150
|
shares
|
6,483
|
||||||
China
Mobility Solutions
|
8,300
|
shares
|
913
|
||||||
China
Unicom Ltd
|
1,040
|
shares
|
15,486
|
||||||
China
Wireless Communications
|
200
|
shares
|
5
|
||||||
Chipmos
Technologies Bermuda
|
500
|
shares
|
3,395
|
||||||
Cholestech
Corporation
|
182
|
shares
|
3,354
|
||||||
Ciena
Corporation
|
27
|
shares
|
748
|
||||||
Cipherpass
Corporation
|
25
|
shares
|
6
|
||||||
Circuit
City Stores Inc
|
192
|
shares
|
3,641
|
||||||
Cisco
System Inc
|
10,062
|
shares
|
274,994
|
||||||
Citigroup
Inc
|
979
|
shares
|
54,553
|
||||||
Claremont
Technologies
|
7
|
shares
|
5
|
||||||
Clarent
Corporation
|
500
|
shares
|
10
|
||||||
Claude
Resources
|
150
|
shares
|
221
|
||||||
Coca
Cola Company
|
233
|
shares
|
11,223
|
||||||
Coeur
D’Alene Mines Corporation
|
6,350
|
shares
|
31,432
|
||||||
Cognizant
Technology Solutions Class A
|
136
|
shares
|
10,494
|
||||||
Coherent
Inc
|
50
|
shares
|
1,578
|
||||||
Comcast
Corporation Class A
|
756
|
shares
|
32,001
|
||||||
Commscope
Inc
|
39
|
shares
|
1,189
|
||||||
ConAgra
Foods Inc
|
2,098
|
shares
|
56,641
|
||||||
Concurrent
Computer Corporation
|
2,000
|
shares
|
3,620
|
||||||
Conexant
Systems Inc
|
663
|
shares
|
1,353
|
||||||
Conoco
Phillips
|
581
|
shares
|
41,812
|
||||||
Consolidated
Communications Holdings
|
152
|
shares
|
3,177
|
||||||
Consolidated
Energy Inc
|
140
|
shares
|
4,498
|
||||||
Consolidated
Energy Inc Wyoming
|
1,300
|
shares
|
442
|
||||||
Corning
Inc
|
1,000
|
shares
|
18,710
|
||||||
Corrections
Corporation of America
|
20
|
shares
|
905
|
||||||
Costco
Wholesale Corporation
|
360
|
shares
|
19,001
|
||||||
Countrywide
Financial Corporation
|
208
|
shares
|
8,843
|
||||||
Crystallex
International Corporation
|
533
|
shares
|
1,929
|
||||||
Cumberland
Resources Ltd
|
2,000
|
shares
|
11,280
|
||||||
Cytrogenix
Inc
|
2,000
|
shares
|
1,200
|
||||||
Cytrx
Corporation
|
2,000
|
shares
|
3,820
|
||||||
DHB
Industries Inc
|
400
|
shares
|
1,180
|
||||||
DRDGold
Ltd
|
10,000
|
shares
|
9,000
|
||||||
DRS
Technologies Inc
|
20
|
shares
|
1,054
|
||||||
DTS
Inc
|
124
|
shares
|
3,000
|
||||||
Daktronics
|
130
|
shares
|
4,790
|
||||||
Dana
Corporation
|
7,000
|
shares
|
9,730
|
||||||
Deep
Blue Marine Inc
|
587,352
|
shares
|
22,319
|
||||||
Deep
Field Technologies Inc
|
228
|
shares
|
34
|
||||||
Deep
Rock Oil & Gas Inc
|
2,000
|
shares
|
78
|
||||||
Dell
Inc
|
550
|
shares
|
13,799
|
||||||
Delphi
Automotive Systems
|
32,450
|
shares
|
123,959
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Delta
Air Lines Inc
|
6,194
|
shares
|
8,052
|
||||||
Denison
Mines Corporation
|
400
|
shares
|
4,056
|
||||||
Deswell
Industries Inc
|
112
|
shares
|
1,277
|
||||||
Detour
Media Group Inc
|
1,000
|
shares
|
–
|
||||||
Devon
Energy Corporation
|
372
|
shares
|
24,929
|
||||||
Diamond
Offshore Drilling Inc
|
100
|
shares
|
7,994
|
||||||
Diatom
Corporation
|
200
|
shares
|
120
|
||||||
Dicut
Inc
|
5,000
|
shares
|
1
|
||||||
Digene
Corporation
|
4,319
|
shares
|
206,966
|
||||||
Diomed
Holdings Inc
|
4,500
|
shares
|
3,465
|
||||||
Dippy
Foods Inc
|
2,000
|
shares
|
–
|
||||||
DirectTV
Group Inc
|
600
|
shares
|
14,964
|
||||||
Discovery
Holding Series A
|
2
|
shares
|
32
|
||||||
Walt
Disney Holding Company
|
674
|
shares
|
23,095
|
||||||
Divine
Inc Class A
|
20,328
|
shares
|
–
|
||||||
Doll
Technology Group
|
1,000
|
shares
|
16
|
||||||
Donaldson
Company Inc
|
40
|
shares
|
1,388
|
||||||
DOW
Chemical Company
|
150
|
shares
|
5,985
|
||||||
Duke
Energy Corporation
|
400
|
shares
|
13,270
|
||||||
Dynamic
Materials Corporation
|
617
|
shares
|
17,338
|
||||||
Dynatronics
Corporation
|
6,000
|
shares
|
6,720
|
||||||
Dynegy
Inc Class A
|
550
|
shares
|
3,982
|
||||||
ECU
Silver Mining Inc
|
6,900
|
shares
|
20,515
|
||||||
EDO
Corporation
|
70
|
shares
|
1,672
|
||||||
EMC
Corporation
|
2,503
|
shares
|
33,040
|
||||||
Earthshell
Corporation
|
2,000
|
shares
|
520
|
||||||
Ebay
Inc
|
90
|
shares
|
2,706
|
||||||
eFotoXpress
Inc
|
1,000
|
shares
|
–
|
||||||
El
Paso Corporation
|
400
|
shares
|
6,112
|
||||||
Elan
Corporation plc
|
200
|
shares
|
2,950
|
||||||
Eldorado
Gold Corporation
|
14,000
|
shares
|
75,600
|
||||||
Embarq
Corporation
|
46
|
shares
|
2,418
|
||||||
Embraer
Empresa Brazil
|
500
|
shares
|
20,715
|
||||||
Emulex
Corporation
|
50
|
shares
|
975
|
||||||
Endovasc
Limited Inc
|
21,500
|
shares
|
645
|
||||||
Endovasc
Limited Inc (Restricted)
|
2,125
|
shares
|
11
|
||||||
Energen
Corporation
|
100
|
shares
|
4,694
|
||||||
Energy
Metals Corporation
|
400
|
shares
|
3,472
|
||||||
Ennis
Business Forms Inc
|
150
|
shares
|
3,669
|
||||||
Enron
Corporation
|
5,470
|
shares
|
–
|
||||||
Ensco
International Inc
|
200
|
shares
|
10,012
|
||||||
Enviro-Energy
Corporation
|
54,800
|
shares
|
71
|
||||||
Environmental
Capital Corporation
|
1,257
|
shares
|
1,747
|
||||||
Environmental
Technologies International
|
6,250
|
shares
|
88
|
||||||
Equitable
Mining Corporation
|
2,000
|
shares
|
14
|
||||||
E-Trade
Financial Corporation
|
200
|
shares
|
4,484
|
||||||
Eurasia
Energy Ltd
|
200
|
shares
|
60
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Eurotech
Ltd
|
1,500
|
shares
|
6
|
||||||
Evans
Systems Inc
|
490
|
shares
|
–
|
||||||
Evolving
System Inc
|
5,000
|
shares
|
5,850
|
||||||
Exeter
Resource Corporation
|
435
|
shares
|
774
|
||||||
Expeditors
International of Washington Inc
|
200
|
shares
|
8,100
|
||||||
Express
Scripts Inc
|
15
|
shares
|
1,074
|
||||||
Exxon
Mobil Corporation
|
1,240
|
shares
|
95,052
|
||||||
Ezenia
Inc
|
143,245
|
shares
|
290,787
|
||||||
Famous
Daves of America Inc
|
160
|
shares
|
2,638
|
||||||
Fannie
Mae
|
173
|
shares
|
10,284
|
||||||
Federal-Mogul
Corporation
|
100
|
shares
|
59
|
||||||
FedEx
Corporation
|
50
|
shares
|
5,431
|
||||||
Finova
Group Inc
|
7
|
shares
|
–
|
||||||
First
Financial Bancorp Ohio
|
200
|
shares
|
3,322
|
||||||
First
Horizon National Corporation
|
229
|
shares
|
9,579
|
||||||
First
Marblehead Corporation
|
28
|
shares
|
1,530
|
||||||
Flamel
Technologies S.A.
|
108
|
shares
|
3,235
|
||||||
Flight
Safety Technologies Inc
|
1,368
|
shares
|
1,778
|
||||||
Fonix
Corporation
|
50
|
shares
|
–
|
||||||
Ford
Motor Company
|
2,132
|
shares
|
16,010
|
||||||
Franchise
Capital Corporation
|
1,254
|
shares
|
31
|
||||||
Freeport-McMoRan
Copper & Gold Inc Class B
|
1,707
|
shares
|
95,134
|
||||||
Fronteer
Development Group Inc
|
960
|
shares
|
8,832
|
||||||
Frontera
Copper Corporation
|
806
|
shares
|
3,442
|
||||||
Fuel-Tech
Inc
|
126
|
shares
|
3,105
|
||||||
Full
Metal Minerals Ltd
|
200
|
shares
|
371
|
||||||
GHL
Technologies Inc
|
6,850
|
shares
|
10,001
|
||||||
GS
Energy Corporation
|
36,000
|
shares
|
32
|
||||||
GSI
Commerce Inc
|
94
|
shares
|
1,762
|
||||||
GTx
Inc
|
182
|
shares
|
3,247
|
||||||
GameZnFlix
Inc
|
450,000
|
shares
|
720
|
||||||
Gammacan
International Inc
|
10,000
|
shares
|
4,000
|
||||||
GAP
Inc
|
157
|
shares
|
3,072
|
||||||
Garmin
Ltd
|
200
|
shares
|
11,132
|
||||||
GASCO
Energy Inc
|
3,000
|
shares
|
7,350
|
||||||
Gateway
Inc
|
20,000
|
shares
|
40,200
|
||||||
Gemstar-TV
Guide International
|
375
|
shares
|
1,504
|
||||||
Genetech
Inc
|
107
|
shares
|
8,681
|
||||||
General
Cable Corporation
|
33
|
shares
|
1,442
|
||||||
General
Chemical Group
|
200
|
shares
|
4
|
||||||
General
Electric Company
|
7,458
|
shares
|
277,501
|
||||||
General
Mills Inc
|
107
|
shares
|
6,154
|
||||||
General
Motors Corporation
|
240
|
shares
|
7,373
|
||||||
Generex
Biotechnology Corporation
|
10,325
|
shares
|
16,107
|
||||||
Genesee
& Wyoming Class A
|
30
|
shares
|
787
|
||||||
Genomed
Inc
|
255,000
|
shares
|
4,080
|
||||||
Genta
Inc
|
4,410
|
shares
|
1,951
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
GEO
Group Inc
|
25
|
shares
|
938
|
||||||
Geocom
Resources Inc
|
1,500
|
shares
|
395
|
||||||
Geron
Corporation
|
1,000
|
shares
|
8,780
|
||||||
Glenayre
Technologies
|
1,000
|
shares
|
2,560
|
||||||
Global
1 Investments Holdings Corporation
|
10,000
|
shares
|
270
|
||||||
Global
Beverage Solutions Inc
|
3,164
|
shares
|
1,329
|
||||||
Global
Environmental Energy Corporation
|
200
|
shares
|
52
|
||||||
Global
eScience Corporation
|
3
|
shares
|
–
|
||||||
Global
Materials & Services
|
6
|
shares
|
–
|
||||||
GlobalSantaFe
Corporation
|
200
|
shares
|
11,756
|
||||||
Globalstar
Telecommunications Limited
|
989
|
shares
|
12
|
||||||
Gold
Standard Inc
|
125
|
shares
|
49
|
||||||
GlobeTel
Communications Corporation
|
1,812
|
shares
|
670
|
||||||
GoldCorp
Inc
|
9,617
|
shares
|
273,507
|
||||||
Golden
Patriot Corporation
|
1,000
|
shares
|
140
|
||||||
Golden
Phoenix Minerals Inc
|
1,000
|
shares
|
375
|
||||||
Golden
Star Resources Ltd Canada
|
2,800
|
shares
|
8,260
|
||||||
Golden
Telecom Inc
|
75
|
shares
|
3,513
|
||||||
Goldman
Sachs Group Inc
|
214
|
shares
|
42,622
|
||||||
Goodrich
Corporation
|
204
|
shares
|
9,290
|
||||||
Goodyear
Tire & Rubber Company
|
500
|
shares
|
10,495
|
||||||
Google
Inc Class A
|
64
|
shares
|
29,471
|
||||||
Great
American Food Chain
|
12
|
shares
|
–
|
||||||
Great
Panther Resources Ltd
|
400
|
shares
|
795
|
||||||
Great
West Gold Inc
|
4,266
|
shares
|
–
|
||||||
Greenshift
Corporation
|
9,500
|
shares
|
865
|
||||||
Grey
Wolf Inc
|
500
|
shares
|
3,430
|
||||||
Grupo
Aeroportuario
|
100
|
shares
|
3,919
|
||||||
Guess
Inc
|
23
|
shares
|
1,459
|
||||||
Gulf
Island Fabrication Inc
|
78
|
shares
|
2,878
|
||||||
H&R
Block Inc
|
1,000
|
shares
|
23,040
|
||||||
Halliburton
Company Holding Company
|
400
|
shares
|
12,420
|
||||||
Hanaro
Telecom Inc
|
340
|
shares
|
2,805
|
||||||
Hansen
Natural Corporation
|
645
|
shares
|
21,724
|
||||||
Harley
Davidson
|
253
|
shares
|
17,817
|
||||||
Harrah’s
Entertainment
|
20
|
shares
|
1,654
|
||||||
Harvest
Natural Resource
|
500
|
shares
|
5,315
|
||||||
Hasbro
Inc
|
125
|
shares
|
3,406
|
||||||
Hayes
Lemmerz International
|
300
|
shares
|
1,173
|
||||||
Healthcare
Service Group Inc
|
201
|
shares
|
5,810
|
||||||
HearUSA
Inc
|
2,000
|
shares
|
2,640
|
||||||
Hecla
Mining Company
|
1,500
|
shares
|
11,490
|
||||||
HEE
Corporation
|
4,200
|
shares
|
–
|
||||||
Hercules
Inc
|
1,000
|
shares
|
19,310
|
||||||
Hewlett-Packard
Company
|
3,301
|
shares
|
135,974
|
||||||
Home
Depot Inc
|
121
|
shares
|
4,877
|
||||||
Homeland
Integrated Securities
|
24,500
|
shares
|
29
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Homeland
Security Group International
|
1,500
|
shares
|
4
|
||||||
Honda
Motor Company
|
350
|
shares
|
13,839
|
||||||
Huaneng
Power International
|
600
|
shares
|
21,558
|
||||||
Humana
Inc
|
50
|
shares
|
2,766
|
||||||
HydroFlo
Inc
|
5,000
|
shares
|
25
|
||||||
I2
Technologies Inc
|
3
|
shares
|
68
|
||||||
iAsiaWorks
Inc
|
35,000
|
shares
|
70
|
||||||
iBIZ
Technology Inc
|
114,000
|
shares
|
11
|
||||||
iGO
Corporation
|
265
|
shares
|
–
|
||||||
iJoin
Systems Inc
|
10,000
|
shares
|
2
|
||||||
iVoice
Inc
|
1,125
|
shares
|
23
|
||||||
iVoice
Technology
|
228
|
shares
|
2
|
||||||
IMA
Exploration Inc Class F
|
600
|
shares
|
312
|
||||||
IPIX
Corporation
|
7,000
|
shares
|
175
|
||||||
IST
Consulting Group Inc
|
263
|
shares
|
3,619
|
||||||
Idearc
Inc
|
96
|
shares
|
2,750
|
||||||
Ignis
Petroleum Group
|
3,740
|
shares
|
449
|
||||||
ImClone
Systems Inc
|
40
|
shares
|
1,070
|
||||||
ImmunoGen
Inc
|
2,000
|
shares
|
10,140
|
||||||
Imperial
Chemical Industries plc
|
200
|
shares
|
7,086
|
||||||
Imperial
Industries
|
100
|
shares
|
812
|
||||||
Imperial
Sugar Company
|
100
|
shares
|
2,421
|
||||||
Inco
Ltd
|
100
|
shares
|
7,356
|
||||||
InfoNow
Corporation
|
17,311
|
shares
|
2,856
|
||||||
Ingersoll
Rand Co Class A F
|
193
|
shares
|
7,561
|
||||||
Innolife
Pharma Inc
|
2,499,800
|
shares
|
750
|
||||||
Insmed
Incorporation
|
3,000
|
shares
|
2,640
|
||||||
InstaCare
Corporation
|
1,458
|
shares
|
–
|
||||||
InstaCare
Corp
|
20,532
|
shares
|
6,160
|
||||||
Integrated
Device Technology Inc
|
200
|
shares
|
3,096
|
||||||
Intel
Corporation
|
9,034
|
shares
|
182,940
|
||||||
Intercontinental
Exchange
|
15
|
shares
|
1,619
|
||||||
Internap
Network Services Corporation
|
200
|
shares
|
3,974
|
||||||
International
Asset Holding Corporation
|
300
|
shares
|
8,613
|
||||||
International
Business Machines
|
152
|
shares
|
14,765
|
||||||
International
Fibercom Inc
|
2,000
|
shares
|
–
|
||||||
International
Game Technology
|
1,256
|
shares
|
58,010
|
||||||
International
Power plc
|
100
|
shares
|
7,581
|
||||||
International
Rectifier Corporation
|
350
|
shares
|
13,486
|
||||||
International
Royalty Corporation
|
225
|
shares
|
1,147
|
||||||
International
Securities Exchange
|
100
|
shares
|
4,679
|
||||||
Interra
Resource Corporation
|
12,000
|
shares
|
780
|
||||||
Intuit
Inc
|
100
|
shares
|
3,051
|
||||||
Investools
Inc
|
1,550
|
shares
|
21,375
|
||||||
Isis
Pharmaceuticals Inc
|
444
|
shares
|
4,937
|
||||||
Isonics
Corporation
|
4,400
|
shares
|
2,526
|
||||||
Itronics
Inc
|
501,000
|
shares
|
6,263
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Ivanhoe
Energy Inc
|
500
|
shares
|
675
|
||||||
Ivanhoe
Mines Ltd
|
90
|
shares
|
885
|
||||||
JB
Hunt Transport Services Inc
|
50
|
shares
|
1,039
|
||||||
JC
Data Solutions Inc
|
60,000
|
shares
|
180
|
||||||
JC
Penny Company Inc
|
200
|
shares
|
15,472
|
||||||
JDS
Uniphase Corporation
|
1,320
|
shares
|
21,991
|
||||||
JNR
Resources Inc
|
4,600
|
shares
|
10,949
|
||||||
* |
JPMorgan
Chase & Company
|
207
|
shares
|
9,999
|
|||||
JetBlue
Airways Corporation
|
750
|
shares
|
10,650
|
||||||
Johnson
& Johnson
|
1,077
|
shares
|
71,121
|
||||||
Joy
Global Inc
|
1,000
|
shares
|
48,340
|
||||||
Juniper
Networks Inc
|
200
|
shares
|
3,788
|
||||||
KB
Home
|
1,000
|
shares
|
51,280
|
||||||
Kinross
Gold Corporation
|
3,000
|
shares
|
35,640
|
||||||
Knight
Capital Group Inc
|
30
|
shares
|
575
|
||||||
Knight
Transportation Inc
|
55
|
shares
|
938
|
||||||
Knot
Inc
|
200
|
shares
|
5,248
|
||||||
Kodiak
Energy Inc
|
780
|
shares
|
1,037
|
||||||
Kona
Grill Inc
|
50
|
shares
|
1,028
|
||||||
Krispy
Kreme Doughnuts Inc
|
85
|
shares
|
944
|
||||||
Kronos
Worldwide Inc
|
151
|
shares
|
4,917
|
||||||
L.A.M.
Pharmaceutical Corporation
|
478
|
shares
|
1
|
||||||
LCA-Vision
|
100
|
shares
|
3,436
|
||||||
LM
Ericsson Telephone Company
|
45
|
shares
|
1,810
|
||||||
Laboratory
Corporation of America Holdings
|
100
|
shares
|
7,347
|
||||||
Laidlaw
Energy Group Inc
|
16,800
|
shares
|
77
|
||||||
Lam
Research Corporation
|
29
|
shares
|
1,468
|
||||||
Lamperd
Less Lethal Inc
|
600
|
shares
|
81
|
||||||
Laramide
Resources
|
500
|
shares
|
3,609
|
||||||
Leucadia
National Corporation
|
639
|
shares
|
18,020
|
||||||
Level
3 Communications Inc
|
1,000
|
shares
|
5,600
|
||||||
Liberty
Global Inc Class A
|
1
|
share
|
29
|
||||||
Liberty
Global Inc Series C
|
1
|
share
|
28
|
||||||
Liberty
Media Corporation Class A (Interactive)
|
6
|
shares
|
129
|
||||||
Liberty
Media Corporation (Capital)
|
1
|
share
|
98
|
||||||
Life
Partners Holdings Inc
|
12,000
|
shares
|
1
|
||||||
Lifestream
Technologies Inc
|
3,000
|
shares
|
1
|
||||||
Lime
Energy Company
|
66
|
shares
|
59
|
||||||
Liz
Claiborne Inc
|
100
|
shares
|
4,346
|
||||||
Lockheed
Martin Corporation
|
150
|
shares
|
13,811
|
||||||
Lowe’s
Companies
|
1,850
|
shares
|
57,641
|
||||||
Lubrizol
Corporation
|
105
|
shares
|
5,291
|
||||||
Lumera
Corporation
|
2,650
|
shares
|
16,192
|
||||||
Lundin
Mining Corporation
|
4
|
shares
|
148
|
||||||
MEMC
Electronic Materials
|
100
|
shares
|
3,914
|
||||||
MGM
Mineral Resource
|
65,000
|
shares
|
78
|
||||||
MIVA
Inc
|
910
|
shares
|
3,076
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Magnetek
Inc
|
40
|
shares
|
226
|
||||||
Makita
Corporation
|
100
|
shares
|
3,110
|
||||||
Mamma.com
Inc
|
300
|
shares
|
1,467
|
||||||
Manitowoc
Inc
|
20
|
shares
|
1,189
|
||||||
Manpower
Inc
|
20
|
shares
|
1,499
|
||||||
Marathon
Oil Corporation
|
126
|
shares
|
11,695
|
||||||
MarchFirst
Inc
|
400
|
shares
|
–
|
||||||
Martha
Stewart Living Omnimedia Inc
|
100
|
shares
|
2,190
|
||||||
Marvel
Entertainment Inc
|
700
|
shares
|
18,837
|
||||||
Marvell
Technology Group Ltd
|
270
|
shares
|
5,181
|
||||||
Mastercard
Inc
|
150
|
shares
|
14,774
|
||||||
Matrixx
Initiatives Inc
|
500
|
shares
|
7,965
|
||||||
Mattel
Incorporated
|
270
|
shares
|
6,118
|
||||||
Maui
General Store Inc
|
6,000
|
shares
|
180
|
||||||
McData
Corporation Class A
|
11
|
shares
|
61
|
||||||
MedcoHealth
Solutions
|
36
|
shares
|
1,924
|
||||||
Mediax
Corporation
|
5,000
|
shares
|
1
|
||||||
Medtronic
Inc
|
1,137
|
shares
|
60,846
|
||||||
Mega
Uranium Ltd
|
1,250
|
shares
|
7,680
|
||||||
Merck
& Co Inc
|
2,578
|
shares
|
112,391
|
||||||
Meridian
Resource Corporation
|
4,000
|
shares
|
12,360
|
||||||
Merrill
Lynch & Co Inc
|
169
|
shares
|
15,752
|
||||||
Metal
Management Inc
|
32
|
shares
|
1,211
|
||||||
Metalline
Mining Company
|
12,100
|
shares
|
43,439
|
||||||
Metlife
Inc
|
25
|
shares
|
1,490
|
||||||
Micron
Technology Inc
|
474
|
shares
|
6,617
|
||||||
Microsoft
Corporation
|
7,263
|
shares
|
216,862
|
||||||
Middleby
Corp
|
30
|
shares
|
3,140
|
||||||
Military
Resale Group
|
25,000
|
shares
|
163
|
||||||
Millicom
International Cellular
|
29
|
shares
|
1,788
|
||||||
Mine
Safety Appliance Company
|
46
|
shares
|
1,679
|
||||||
Minefinders
Ltd
|
3,000
|
shares
|
26,700
|
||||||
MobilePro
Corp
|
90,000
|
shares
|
6,615
|
||||||
Montpelier
Real Estate Holdings Ltd
|
200
|
shares
|
3,722
|
||||||
Morgan
Stanley
|
17
|
shares
|
1,384
|
||||||
Motion
Picture Group Inc
|
100
|
shares
|
16
|
||||||
Motorola
Incorporated
|
983
|
shares
|
20,217
|
||||||
Multimedia
Games Inc
|
600
|
shares
|
5,760
|
||||||
Myturn.com
Inc
|
24,000
|
shares
|
–
|
||||||
NASDAQ
Stock Market Inc
|
200
|
shares
|
6,158
|
||||||
NMT
Medical Inc
|
1,500
|
shares
|
20,295
|
||||||
NYSE
Group
|
390
|
shares
|
37,908
|
||||||
Nabors
Industries Ltd
|
600
|
shares
|
17,868
|
||||||
Nanobac
Pharmaceuticals Inc
|
22,188
|
shares
|
2,663
|
||||||
Napster
Inc
|
400
|
shares
|
1,452
|
||||||
Narrowstep
Inc
|
4,283
|
shares
|
4,069
|
||||||
Nektar
Therapeutics
|
450
|
shares
|
6,845
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
Value
|
|||||
Neomedia
Technologies Inc
|
90,000
|
shares
|
4,770
|
||||||
New
Dragon Asia Corporation
|
1,000
|
shares
|
1,809
|
||||||
New
Plan Excel Realty Trust Inc
|
200
|
shares
|
5,496
|
||||||
Newell
Rubbermaid Inc
|
421
|
shares
|
12,197
|
||||||
Newmarket
Technology Inc
|
452,500
|
shares
|
152,493
|
||||||
Newport
Corporation
|
100
|
shares
|
2,095
|
||||||
News
Corporation Ltd Class B
|
231
|
shares
|
5,149
|
||||||
Nokia
Corporation Class F
|
745
|
shares
|
15,138
|
||||||
Nord
Resources Corporation
|
9,376
|
shares
|
10,782
|
||||||
Nortel
Networks Corporation
|
382
|
shares
|
10,211
|
||||||
North
Star Diamonds Inc
|
22,000
|
shares
|
176
|
||||||
Northern
Continental Resources Inc
|
30,000
|
shares
|
18,561
|
||||||
Northern
Orion Resources Inc
|
6,400
|
shares
|
23,424
|
||||||
Northern
Peru Copper Corporation
|
200
|
shares
|
1,019
|
||||||
Northfield
Laboratories Inc
|
350
|
shares
|
1,425
|
||||||
Northgate
Minerals Corporation
|
21,090
|
shares
|
73,393
|
||||||
Northrop
Grumman Corporation
|
51
|
shares
|
3,435
|
||||||
Northwest
Airlines Corporation Class A
|
4,123
|
shares
|
17,110
|
||||||
Novagold
Resources Inc
|
300
|
shares
|
5,148
|
||||||
Novartis
AG
|
102
|
shares
|
5,859
|
||||||
Novatel
Wireless Inc
|
500
|
shares
|
4,835
|
||||||
Novellus
Systems Inc
|
48
|
shares
|
1,652
|
||||||
NowAuto
Inc
|
12
|
shares
|
–
|
||||||
Nucor
Corporation
|
21
|
shares
|
1,148
|
||||||
Nutri
Systems Inc
|
284
|
shares
|
18,003
|
||||||
OMNI
Energy Services
|
147
|
shares
|
1,439
|
||||||
OMNOVA
Solutions Inc
|
500
|
shares
|
2,290
|
||||||
Occidental
Petroleum Corporation
|
2,491
|
shares
|
121,659
|
||||||
Ocean
Power Corporation
|
3,400
|
shares
|
3
|
||||||
Oceaneering
International Inc
|
1,400
|
shares
|
55,580
|
||||||
Oilsands
Quest Inc
|
270
|
shares
|
1,355
|
||||||
Oncology
Med Inc
|
100,000
|
shares
|
50
|
||||||
Oncolytics
Biotech Inc
|
800
|
shares
|
1,672
|
||||||
Oracle
Corporation
|
5,598
|
shares
|
95,950
|
||||||
Oscient
Pharmaceuticals Corporation
|
212
|
shares
|
1,073
|
||||||
Overstock.com
Inc
|
230
|
shares
|
3,634
|
||||||
Owens
Corning Series B
|
42
|
shares
|
202
|
||||||
PCCW
Limited
|
60
|
shares
|
36
|
||||||
PPL
Corporation
|
50
|
shares
|
1,792
|
||||||
PW
Eagle Inc
|
42
|
shares
|
1,449
|
||||||
Pacific
Ethanol Inc
|
300
|
shares
|
4,617
|
||||||
Pactiv
Corporation
|
1,044
|
shares
|
37,260
|
||||||
Palm
Inc
|
198
|
shares
|
2,790
|
||||||
Pan
American Silver Corporation Class F
|
2,672
|
shares
|
67,254
|
||||||
Pan
Nevada Gold Corporation
|
900
|
shares
|
541
|
||||||
Pan
Orient Energy Corporation
|
200
|
shares
|
559
|
||||||
Parker
Drilling Company
|
1,000
|
shares
|
8,170
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Patterson
UTI Energy Inc
|
300
|
shares
|
6,969
|
||||||
Paypro
Inc
|
1,850,000
|
shares
|
4,255
|
||||||
Paystar
Corporation
|
10,000
|
shares
|
1
|
||||||
Peabody
Energy Corporation
|
1,569
|
shares
|
63,403
|
||||||
Penn
Real Estate Investors Trust
|
200
|
shares
|
7,876
|
||||||
Pentair
Inc
|
100
|
shares
|
3,140
|
||||||
Pepsico
Inc
|
184
|
shares
|
11,492
|
||||||
Peru
Copper Inc
|
300
|
shares
|
1,026
|
||||||
PetroChina
Company Limited
|
32
|
shares
|
4,532
|
||||||
Petrol
Oil & Gas Inc
|
1,800
|
shares
|
954
|
||||||
Pfizer
Incorporated
|
1,649
|
shares
|
42,706
|
||||||
Phantom
Entertainment Inc
|
4,700
|
shares
|
15
|
||||||
Philadelphia
Consolidated Holding
|
36
|
shares
|
1,604
|
||||||
Phoenix
Companies
|
107
|
shares
|
1,694
|
||||||
Pine
Valley Mining Corporation
|
20,000
|
shares
|
660
|
||||||
Pinetree
Capital Ltd
|
430
|
shares
|
7,538
|
||||||
Pioneer
Drilling Company
|
200
|
shares
|
2,656
|
||||||
Pipeline
Technologies
|
3,000
|
shares
|
–
|
||||||
Pixelworks
Inc
|
40
|
shares
|
92
|
||||||
Plains
Exploration & Production Company
|
100
|
shares
|
4,753
|
||||||
Plug
Power Inc
|
80
|
shares
|
311
|
||||||
Polymet
Mining Corporation
|
1,000
|
shares
|
3,140
|
||||||
POSCO
|
239
|
shares
|
19,758
|
||||||
Powell
Industries Inc
|
100
|
shares
|
3,157
|
||||||
Precision
Castparts Corp
|
16
|
shares
|
1,252
|
||||||
Procter
& Gamble Co
|
104
|
shares
|
6,654
|
||||||
Proginet
Corporation
|
625
|
shares
|
694
|
||||||
Prosoft
Learning
|
84
|
shares
|
–
|
||||||
QI
System Inc
|
200
|
shares
|
24
|
||||||
QLogic
Corporation
|
200
|
shares
|
4,384
|
||||||
Quadra
Mining Ltd
|
4,046
|
shares
|
35,636
|
||||||
QUALCOMM
Inc
|
750
|
shares
|
28,359
|
||||||
Quanta
Services Inc
|
400
|
shares
|
7,868
|
||||||
Quantum
Fuel Systems Technologies Worldwide
|
1,300
|
shares
|
2,080
|
||||||
Queenstake
Resources Ltd New Yukon
|
25,000
|
shares
|
4,750
|
||||||
Quintus
Corporation
|
400
|
shares
|
180
|
||||||
RF
Micro Devices Inc
|
1,150
|
shares
|
7,809
|
||||||
RMD
Entertainment Group
|
14,415
|
shares
|
6
|
||||||
Ramp
Corporation
|
1,000
|
shares
|
1
|
||||||
Ramtron
International Corp
|
60
|
shares
|
224
|
||||||
Rayonier
Inc
|
450
|
shares
|
18,473
|
||||||
Raytheon
Company
|
210
|
shares
|
11,088
|
||||||
Realogy
Corporation
|
50
|
shares
|
1,516
|
||||||
RecordLab
Corp
|
450
|
shares
|
–
|
||||||
Redhat
Inc
|
60
|
shares
|
1,380
|
||||||
Relay
Capital Corp
|
2,000
|
shares
|
–
|
||||||
Renaissance
Holdings Inc
|
26
|
shares
|
1,560
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
Value
|
|||||
Resin
Systems Inc
|
2,000
|
shares
|
1,400
|
||||||
Reynolds
American Inc
|
216
|
shares
|
14,146
|
||||||
Rinker
Group Ltd
|
700
|
shares
|
49,735
|
||||||
Rio
Tinto plc
|
34
|
shares
|
7,225
|
||||||
Rite
Aid Corporation
|
200
|
shares
|
1,088
|
||||||
Riverbed
Technology Inc
|
1,948
|
shares
|
59,804
|
||||||
Rofin-Sinar
Technologies
|
70
|
shares
|
4,232
|
||||||
Rolling
Thunder Exploration Ltd Class A
|
2,000
|
shares
|
2,354
|
||||||
Rotoblock
Corporation
|
450
|
shares
|
39
|
||||||
SCO
Group Inc
|
87
|
shares
|
98
|
||||||
SXR
Uranium One Inc
|
320
|
shares
|
4,400
|
||||||
Safeway
Inc
|
1,150
|
shares
|
39,744
|
||||||
Sanderson
Farms Inc
|
890
|
shares
|
26,944
|
||||||
Sanofi-Aventis
|
105
|
shares
|
4,848
|
||||||
Santoy
Resources Ltd
|
3,000
|
shares
|
2,552
|
||||||
Satcon
Technology Corporation
|
4,500
|
shares
|
5,130
|
||||||
Satelinx
International
|
7,500
|
shares
|
2
|
||||||
Schlumberger
Ltd
|
182
|
shares
|
11,495
|
||||||
Sciax
Defense USA
|
667
|
shares
|
–
|
||||||
Scient
Inc
|
501
|
shares
|
–
|
||||||
Seabridge
Resources Inc
|
50
|
shares
|
706
|
||||||
Seagate
Technology Holding
|
314
|
shares
|
8,321
|
||||||
Sears
Holdings Corporation
|
20
|
shares
|
3,359
|
||||||
Select
Comfort Corporation
|
525
|
shares
|
9,130
|
||||||
Serac
Holdings Inc
|
257,142
|
shares
|
77
|
||||||
Shaman
Pharmaceuticals
|
100,001
|
shares
|
10
|
||||||
Shaw
Group Inc
|
44
|
shares
|
1,474
|
||||||
Ship
Finance International
|
100
|
shares
|
2,376
|
||||||
Sify
Ltd
|
25
|
shares
|
238
|
||||||
Silicon
Graphics
|
1,000
|
shares
|
17
|
||||||
Silicon
Image Inc
|
5,089
|
shares
|
64,732
|
||||||
Silicon
Laboratories Inc
|
1,200
|
shares
|
41,580
|
||||||
Siliconware
Precision Industries Class F
|
878
|
shares
|
6,901
|
||||||
Silver
Standard Resources Inc
|
375
|
shares
|
11,528
|
||||||
Silver
Wheaton Corporation
|
2,100
|
shares
|
22,008
|
||||||
Simex
Technologies Inc
|
3,000
|
shares
|
21
|
||||||
Sirius
Satellite Radio
|
56,553
|
shares
|
200,198
|
||||||
Siskon
Gold Corporation Class A
|
3,000
|
shares
|
30
|
||||||
Skyworks
Solutions Inc
|
740
|
shares
|
5,239
|
||||||
SmarTire
Systems Inc
|
40,000
|
shares
|
1,320
|
||||||
Softnet
Technology Corporation
|
375
|
shares
|
9
|
||||||
Solectron
Corporation
|
1,000
|
shares
|
3,220
|
||||||
Sonic
Corporation
|
193
|
shares
|
4,622
|
||||||
Southern
Copper Corporation
|
438
|
shares
|
23,623
|
||||||
Southern
Cosmetics Inc
|
59,000
|
shares
|
413
|
||||||
Southridge
Enterprises
|
34,527
|
shares
|
13,120
|
||||||
Southwall
Technologies Inc
|
4,000
|
shares
|
1,840
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Southwest
Airlines Company
|
2,500
|
shares
|
38,300
|
||||||
Southwest
Gas Corporation
|
207
|
shares
|
7,927
|
||||||
Spectrum
Pharmaceuticals Inc
|
10,500
|
shares
|
58,065
|
||||||
SpeechSwitch
Inc
|
228
|
shares
|
2
|
||||||
Sprint
Nextel Corporation
|
838
|
shares
|
15,824
|
||||||
St
Paul Travelers Companies Inc
|
4
|
shares
|
215
|
||||||
Stamford
International Inc
|
1,800
|
shares
|
–
|
||||||
Starbucks
Corporation
|
2,283
|
shares
|
80,864
|
||||||
Steel
Dynamics Inc
|
36
|
shares
|
1,168
|
||||||
Sterling
Mining Co
|
5,000
|
shares
|
15,750
|
||||||
Stillwater
Mining Company
|
300
|
shares
|
3,747
|
||||||
Storagenetworks
Inc
|
100
|
shares
|
–
|
||||||
Stratasys
Inc
|
150
|
shares
|
4,712
|
||||||
Styling
Technology Corporation
|
130
|
shares
|
–
|
||||||
Sulja
Brothers Building Supplies
|
100,000
|
shares
|
1,250
|
||||||
Summus
Works Inc
|
999,999
|
shares
|
100
|
||||||
Sun
Microsystems Inc
|
3,940
|
shares
|
21,355
|
||||||
Suncor
Energy Inc
|
100
|
shares
|
7,891
|
||||||
Sunnylife
Global Inc
|
2,450
|
shares
|
784
|
||||||
Surebeam
Corporation
|
150
|
shares
|
–
|
||||||
Symantec
Corporation
|
70
|
shares
|
1,460
|
||||||
Synchronoss
Technologies Inc
|
100
|
shares
|
1,372
|
||||||
Synergy
Brands Inc
|
805
|
shares
|
748
|
||||||
Synopsys
Inc
|
400
|
shares
|
10,692
|
||||||
THC
Communications Inc
|
19,600
|
shares
|
2
|
||||||
THCG
Inc
|
60
|
shares
|
1
|
||||||
TVC
Telecom Inc
|
50,000
|
shares
|
15
|
||||||
TXU
Corporation
|
100
|
shares
|
5,421
|
||||||
Taiwan
Semiconductor Manufacturing Company
|
300
|
shares
|
3,279
|
||||||
Tamija
Gold & Diamond Exploration Inc
|
220
|
shares
|
84
|
||||||
Target
Corporation
|
101
|
shares
|
5,782
|
||||||
Targeted
Genetics Corporation
|
150
|
shares
|
806
|
||||||
Taseko
Mines Ltd
|
9,000
|
shares
|
23,310
|
||||||
Taser
International Inc
|
2,200
|
shares
|
16,742
|
||||||
Tellabs
Inc
|
200
|
shares
|
2,052
|
||||||
Telular
Corporation
|
6,275
|
shares
|
22,904
|
||||||
Teva
Pharmaceutical Industries
|
100
|
shares
|
3,108
|
||||||
Texas
Instruments Inc
|
1,446
|
shares
|
41,634
|
||||||
Texas
Roadhouse Inc
|
360
|
shares
|
4,774
|
||||||
Thatlook.com
Inc
|
1,000
|
shares
|
–
|
||||||
The
Charles Schwab Corporation
|
127
|
shares
|
2,458
|
||||||
Time
Warner Inc
|
559
|
shares
|
12,185
|
||||||
Titan
Uranium Inc
|
5,000
|
shares
|
11,429
|
||||||
Titanium
Metals Corporation
|
1,416
|
shares
|
41,786
|
||||||
Tokheim
Corporation Series C
|
300
|
shares
|
–
|
||||||
Tornado
Gold International
|
2,500
|
shares
|
650
|
||||||
Torrent
Energy Corporation
|
6,000
|
shares
|
7,320
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Toyota
Motor Corporation
|
220
|
shares
|
29,548
|
||||||
Trimedia
Entertainment Group Inc
|
1,195
|
shares
|
8
|
||||||
Trinsic
Inc
|
250
|
shares
|
64
|
||||||
Triton
American Energy Corporation
|
24,750
|
shares
|
1,485
|
||||||
True
North Energy Corporation
|
2,000
|
shares
|
6,900
|
||||||
Tuesday
Morning Corporation
|
67
|
shares
|
1,046
|
||||||
Tyco
International Ltd
|
210
|
shares
|
6,395
|
||||||
U.S.
Bancorp
|
150
|
shares
|
5,429
|
||||||
U.S.
Global Investors Class A
|
100
|
shares
|
6,717
|
||||||
U.S.
Microbics
|
10,000
|
shares
|
57
|
||||||
U.S.
Plastic Lumber Corporation
|
10,000
|
shares
|
1
|
||||||
US
Airways Group Inc
|
1,144
|
shares
|
61,604
|
||||||
US
Gold Corporation
|
4,000
|
shares
|
20,200
|
||||||
USA
Technologies Inc
|
1,191
|
shares
|
8,635
|
||||||
UCBH
Holdings Inc
|
700
|
shares
|
12,292
|
||||||
UEX
Corporation
|
350
|
shares
|
1,690
|
||||||
USEC
Inc
|
1,000
|
shares
|
12,720
|
||||||
Under
Armour Inc Class A
|
200
|
shares
|
10,090
|
||||||
Unico
Inc Arizona
|
50,000
|
shares
|
690
|
||||||
Union
Pacific Corporation
|
62
|
shares
|
5,705
|
||||||
United
Parcel Service Class B
|
1
|
share
|
34
|
||||||
United
Technologies Corporation
|
132
|
shares
|
8,252
|
||||||
UnitedHealth
Group Inc
|
788
|
shares
|
42,347
|
||||||
Universal
Communication Systems Inc
|
3,000
|
shares
|
8
|
||||||
Universal
Express Inc
|
18,000
|
shares
|
70
|
||||||
Universal
Technical Institute
|
200
|
shares
|
4,442
|
||||||
Universal
Uranium Ltd
|
4,000
|
shares
|
2,302
|
||||||
Uranerz
Energy Corporation
|
1,000
|
shares
|
4,090
|
||||||
Uranium
Resources Inc
|
300
|
shares
|
1,740
|
||||||
VA
Software Corporation
|
51
|
shares
|
257
|
||||||
VSUS
Technologies Inc
|
5,000
|
shares
|
45
|
||||||
Vail
Resorts
|
100
|
shares
|
4,482
|
||||||
Valero
Energy Corporation
|
1,452
|
shares
|
74,287
|
||||||
Vasomedical
Inc
|
1,000
|
shares
|
83
|
||||||
Vast
Solutions Inc Class B1
|
44
|
shares
|
–
|
||||||
Vast
Solutions Inc Class B2
|
44
|
shares
|
–
|
||||||
Vast
Solutions Inc Class B3
|
44
|
shares
|
–
|
||||||
Veridicom
International
|
275
|
shares
|
2
|
||||||
VeriSign
Inc
|
85
|
shares
|
2,044
|
||||||
Verizon
Communications
|
1,787
|
shares
|
66,531
|
||||||
Vion
Pharmaceuticals Inc
|
56,800
|
shares
|
76,680
|
||||||
Vision
Technology Corporation
|
1,500
|
shares
|
240
|
||||||
Vital
Living Inc
|
180,000
|
shares
|
720
|
||||||
Vitesse
Semiconductor Corporation
|
900
|
shares
|
779
|
||||||
Viyya
Technologies Inc
|
30,500
|
shares
|
1,373
|
||||||
Voxware
Inc
|
333
|
shares
|
1,072
|
||||||
W2
Energy Inc
|
28,000
|
shares
|
1,400
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Wachovia
Corporation
|
46
|
shares
|
2,639
|
||||||
Walgreen
Co
|
104
|
shares
|
4,777
|
||||||
Wal-Mart
Stores Inc
|
1,514
|
shares
|
69,938
|
||||||
Washington
Mutual Inc
|
122
|
shares
|
5,548
|
||||||
Waste
Management Inc
|
25
|
shares
|
925
|
||||||
Watson
Wyatt & Company Holding Class A
|
27
|
shares
|
1,219
|
||||||
Wave
Systems Corporation Class A
|
3,482
|
shares
|
8,809
|
||||||
Wavo
Corporation
|
2,100
|
shares
|
1
|
||||||
WayPoint
Biomedical
|
4,800
|
shares
|
144
|
||||||
WellCare
Group Inc
|
23
|
shares
|
1,585
|
||||||
Wentworth
Energy Inc
|
168
|
shares
|
232
|
||||||
Westaim
Corporation
|
1,000
|
shares
|
1,540
|
||||||
Western
Refining Inc (Formerly Giant Industries)
|
200
|
shares
|
14,990
|
||||||
Western
Refining Inc
|
1,413
|
shares
|
35,975
|
||||||
Western
Union Company
|
1,365
|
shares
|
30,603
|
||||||
Westwood
One Inc
|
104
|
shares
|
733
|
||||||
Weyerhaeuser
Company
|
106
|
shares
|
7,520
|
||||||
World
Wide Energy Corporation
|
100
|
shares
|
27
|
||||||
World
Wrestling Entertainment Inc
|
172
|
shares
|
2,798
|
||||||
Wyndham
Worldwide Corporation
|
40
|
shares
|
1,281
|
||||||
Wynn
Resorts
|
100
|
shares
|
9,385
|
||||||
XM
Satellite Radio Holdings
|
550
|
shares
|
7,948
|
||||||
XTO
Energy Inc
|
200
|
shares
|
9,410
|
||||||
Xechem
International Inc
|
1,600
|
shares
|
40
|
||||||
Xerox
Corporation
|
100
|
shares
|
1,695
|
||||||
Xsunx
Inc
|
4,000
|
shares
|
1,520
|
||||||
Yahoo!
Inc
|
2,174
|
shares
|
55,524
|
||||||
Yamana
Gold Inc
|
7,520
|
shares
|
99,114
|
||||||
Yum
Brands Inc
|
15
|
shares
|
882
|
||||||
Zap
|
1,366
|
shares
|
1,085
|
||||||
Zumiez
Inc
|
200
|
shares
|
5,908
|
||||||
Total
Common Stock
|
10,782,579
|
||||||||
Preferred
Stock:
|
|||||||||
HEE
Corporation
|
4,200
|
shares
|
–
|
||||||
Strats(Sm)
Trust for Wal-Mart Stores Inc
|
200
|
shares
|
4,756
|
||||||
Total
Preferred Stock
|
4,756
|
||||||||
Mutual
Funds:
|
|||||||||
Acadian
Emerging Markets Portfolio Institutional Class
|
911
|
shares
|
25,217
|
||||||
Aim
Energy Fund
|
975
|
shares
|
37,263
|
||||||
Aim
Financial Services Fund Investment Class
|
363
|
shares
|
10,297
|
||||||
Aim
Technology Fund
|
108
|
shares
|
3,069
|
||||||
Al
Frank Fund
|
205
|
shares
|
6,741
|
||||||
Allianz
NACM Pacific Rim Fund Class D
|
357
|
shares
|
5,315
|
||||||
Allianz
NFJ Dividend Value Fund Class D
|
614
|
shares
|
10,476
|
(c)
Description of
|
|||||||||||
investment
including
|
|||||||||||
maturity
date, rate of
|
|||||||||||
interest,
collateral
|
(d)
|
||||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||||
Allianz
OCC Value Fund Class D
|
1,621
|
shares
|
28,344
|
||||||||
Allianz
RCM Healthcare Fund Class D
|
1,326
|
shares
|
29,737
|
||||||||
*
|
American
Century Global Gold Fund
|
1,572
|
shares
|
30,849
|
|||||||
*
|
American
Century Benham Target Maturities T
|
271
|
shares
|
21,190
|
|||||||
*
|
American
Century Equity Growth Fund
|
3,167
|
shares
|
81,193
|
|||||||
*
|
American
Century Equity Income Fund Institutional
|
||||||||||
Class
|
11,181
|
shares
|
95,935
|
||||||||
*
|
American
Century International Growth Investment
|
||||||||||
Class
|
2,527
|
shares
|
31,632
|
||||||||
*
|
American
Century Small Company Fund
|
7,027
|
shares
|
69,426
|
|||||||
*
|
American
Century Technology Fund
|
329
|
shares
|
6,919
|
|||||||
Ariel
Appreciation Fund
|
152
|
shares
|
7,347
|
||||||||
Ariel
Fund
|
452
|
shares
|
23,418
|
||||||||
Artisan
International Fund
|
9,854
|
shares
|
285,675
|
||||||||
Artisan
International Value Fund
|
810
|
shares
|
22,615
|
||||||||
Artisan
Midcap Fund
|
783
|
shares
|
23,860
|
||||||||
Baron
Growth Fund
|
93
|
shares
|
4,654
|
||||||||
Baron
Partners Fund
|
1,411
|
shares
|
31,516
|
||||||||
Bjurman
Barry Micro Cap Growth Fund
|
3,673
|
shares
|
76,661
|
||||||||
Boston
Properties Inc
|
213
|
shares
|
23,786
|
||||||||
Buffalo
Small Cap Fund
|
18
|
shares
|
487
|
||||||||
CRA
Qualified Investment Fund
|
500
|
shares
|
5,210
|
||||||||
Calamos
Growth Fund Class A
|
285
|
shares
|
15,347
|
||||||||
Clipper
Fund
|
712
|
shares
|
65,502
|
||||||||
Cohen
& Steers Realty Shares
|
769
|
shares
|
68,785
|
||||||||
Columbia
Acorn Fund Class Z
|
1,871
|
shares
|
55,589
|
||||||||
Columbia
Marsico Focused
|
4,909
|
shares
|
109,622
|
||||||||
Columbia
Small Cap Growth I Class Z
|
531
|
shares
|
15,039
|
||||||||
DWS
Health Care Fund Class S
|
674
|
shares
|
16,850
|
||||||||
Diamond
Trust Series I
|
100
|
shares
|
12,441
|
||||||||
Direxion
Nasdaq 100
|
1,521
|
shares
|
28,101
|
||||||||
Dodge
& Cox Balanced Fund
|
120
|
shares
|
10,434
|
||||||||
Dodge
& Cox Income Fund
|
3,528
|
shares
|
44,350
|
||||||||
Dodge
& Cox International Stock Fund
|
2,030
|
shares
|
88,650
|
||||||||
Dodge
& Cox Stock Fund
|
722
|
shares
|
110,792
|
||||||||
Dreyfus
Appreciation Fund
|
569
|
shares
|
24,918
|
||||||||
Dreyfus
Premier Technology Growth Class A
|
224
|
shares
|
5,547
|
||||||||
Dreyfus
Small Cap Stock Index
|
2,151
|
shares
|
50,606
|
||||||||
Driehaus
Emerging Markets Growth Fund
|
157
|
shares
|
6,127
|
||||||||
Eaton
Vance Greater
|
103
|
shares
|
2,670
|
||||||||
Excelsior
Emerging Markets Fund
|
5,394
|
shares
|
76,382
|
||||||||
Excelsior
Energy & Natural Resources
|
1,001
|
shares
|
21,652
|
||||||||
Excelsior
Real Estate Fund
|
669
|
shares
|
7,515
|
||||||||
Excelsior
Value & Restructuring Fund
|
4,436
|
shares
|
233,091
|
||||||||
FBR
Small Cap Financial Fund
|
863
|
shares
|
24,962
|
||||||||
FBR
Small Cap Fund
|
331
|
shares
|
17,834
|
||||||||
FMA
Small Company Portfolio Institutional Class
|
2,525
|
shares
|
53,269
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
FMI
Focus Fund
|
91
|
shares
|
2,951
|
||||||
Fairholme
Fund
|
289
|
shares
|
8,381
|
||||||
Federated
Cap Appreciation Class A
|
132
|
shares
|
3,238
|
||||||
Federated
International Small Company Fund
|
510
|
shares
|
22,496
|
||||||
Federated
Kaufman Fund Class K
|
1,783
|
shares
|
10,089
|
||||||
Fidelity
Aggressive Growth Fund
|
111
|
shares
|
2,159
|
||||||
Fidelity
Contra Fund
|
615
|
shares
|
40,114
|
||||||
Fidelity
Discovery Fund
|
575
|
shares
|
7,388
|
||||||
Fidelity
Equity Income Fund
|
30,066
|
shares
|
1,760,340
|
||||||
Fidelity
Growth Company Fund
|
22
|
shares
|
1,568
|
||||||
Fidelity
Latin American Fund
|
128
|
shares
|
5,709
|
||||||
Fidelity
Magellan Fund
|
31,542
|
shares
|
2,823,657
|
||||||
First
Israel Fund
|
200
|
shares
|
3,735
|
||||||
Firsthand
Technology Value Fund
|
131
|
shares
|
4,721
|
||||||
Friedman
Billings Group
|
191
|
shares
|
1,532
|
||||||
Harbor
Capital Appreciation Fund
|
2,469
|
shares
|
82,357
|
||||||
Harbor
International Fund Investor Class
|
150
|
shares
|
9,242
|
||||||
Harbor
International Fund
|
1,939
|
shares
|
120,280
|
||||||
Harding
Loevner Emerging Markets
|
815
|
shares
|
36,485
|
||||||
Harvest
Energy Trust Units
|
321
|
shares
|
7,206
|
||||||
Heartland
Value Fund
|
39
|
shares
|
1,978
|
||||||
Hennessy
Cornerstone Growth Fund Series I
|
1,651
|
shares
|
49,058
|
||||||
Hennessy
Cornerstone Value Fund
|
1,696
|
shares
|
25,877
|
||||||
Hennessy
Focus 30 Fund
|
434
|
shares
|
5,475
|
||||||
Hodges
Fund
|
549
|
shares
|
14,251
|
||||||
Icon
Healthcare Fund Class A
|
551
|
shares
|
9,133
|
||||||
Icon
Information Technology Fund Class A
|
1,460
|
shares
|
13,634
|
||||||
iShares
MSCI Canada Index Fund F
|
120
|
shares
|
3,038
|
||||||
iShares
COMEX Gold
|
43
|
shares
|
2,720
|
||||||
iShares
Dow Jones U.S. Basic Materials
|
203
|
shares
|
11,964
|
||||||
iShares
Dow Jones U.S. Energy Securities Index Fund
|
310
|
shares
|
31,570
|
||||||
iShares
Dow Jones Select Dividend
|
110
|
shares
|
7,793
|
||||||
iShares
Dow Jones U.S. Real Estate
|
445
|
shares
|
37,076
|
||||||
iShares
Goldman Sachs
|
60
|
shares
|
3,661
|
||||||
iShares
Nasdaq Biotech Index Fund
|
100
|
shares
|
7,776
|
||||||
iShares
Russell 2000 Index
|
159
|
shares
|
12,436
|
||||||
iShares
Russell 2000 Value Index
|
189
|
shares
|
15,129
|
||||||
iShares
Russell 3000 Value Index
|
83
|
shares
|
8,976
|
||||||
iShares
S&P Smallcap 600 Index Fund
|
943
|
shares
|
62,254
|
||||||
iShares
S&P 100 Index
|
100
|
shares
|
6,608
|
||||||
iShares
Silver Trust
|
240
|
shares
|
30,874
|
||||||
Janus
Balanced Fund
|
3,068
|
shares
|
74,890
|
||||||
Janus
Contrarian Fund
|
4,938
|
shares
|
83,114
|
||||||
Janus
Enterprise Fund
|
288
|
shares
|
13,655
|
||||||
Janus
Fundamental Equity Fund
|
221
|
shares
|
5,730
|
||||||
Janus
Global Life Science Fund
|
357
|
shares
|
7,019
|
||||||
Janus
Growth & Income Fund
|
1,436
|
shares
|
54,956
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Janus
Mid Cap Value Investor Shares
|
462
|
shares
|
10,993
|
||||||
Janus
Orion Fund
|
4,151
|
shares
|
40,932
|
||||||
Janus
Overseas Fund
|
2,387
|
shares
|
110,535
|
||||||
Janus
Research Fund
|
1,108
|
shares
|
27,638
|
||||||
Janus
Small Cap Value Investor Shares
|
2,059
|
shares
|
53,423
|
||||||
Janus
Twenty Fund
|
588
|
shares
|
32,123
|
||||||
*
|
JPMorgan
Growth Advantage Fund
|
248
|
shares
|
1,799
|
|||||
*
|
JPMorgan
Bond Fund Select Shares
|
5,330
|
shares
|
49,306
|
|||||
Julius
Baer International Equity Fund A
|
6,823
|
shares
|
288,141
|
||||||
Keeley
Small Cap Value Fund
|
3,141
|
shares
|
81,924
|
||||||
Kimco
Realty Corporation
|
400
|
shares
|
17,980
|
||||||
LSV
Value Equity Fund
|
5,986
|
shares
|
114,574
|
||||||
Laudus
International Discovery Fund Investors
|
1,032
|
shares
|
11,718
|
||||||
Lazard
Emerging Market Portfolio Open Shares
|
2,493
|
shares
|
51,907
|
||||||
Loomis
Sayles Bond Fund
|
954
|
shares
|
13,637
|
||||||
Loomis
Sayles Bond Fund Class R
|
524
|
shares
|
7,460
|
||||||
Managers
Bond Fund
|
1,798
|
shares
|
44,687
|
||||||
Managers
Freemont Bond Fund
|
1,530
|
shares
|
15,656
|
||||||
Matthews
China Fund Class I
|
2,484
|
shares
|
60,017
|
||||||
Matthews
India Fund
|
1,016
|
shares
|
15,697
|
||||||
Matthews
Pacific Tiger Fund
|
3,719
|
shares
|
88,174
|
||||||
Meridian
Value Fund
|
1,272
|
shares
|
45,299
|
||||||
Metzler/Payden
European Emerging Markets
|
159
|
shares
|
5,149
|
||||||
Muhlenkamp
Fund
|
38
|
shares
|
3,309
|
||||||
Munder
Internet Fund Class A
|
41
|
shares
|
847
|
||||||
NASDAQ
100 Shares
|
757
|
shares
|
32,681
|
||||||
NB
Socially Responsive Fund
|
665
|
shares
|
17,086
|
||||||
Navellier
Mid Cap Growth
|
818
|
shares
|
25,106
|
||||||
Needham
Growth Fund
|
792
|
shares
|
30,889
|
||||||
Nicholas
II Fund Class I
|
260
|
shares
|
5,956
|
||||||
Nuveen
Equity Premium Opportunity Fund
|
800
|
shares
|
14,896
|
||||||
Oakmark
Fund
|
137
|
shares
|
6,271
|
||||||
Oakmark
Global Fund Class I
|
2,550
|
shares
|
64,464
|
||||||
Oakmark
Select Fund
|
1,116
|
shares
|
37,361
|
||||||
Oberweis
China Opportunities Fund
|
2,757
|
shares
|
53,852
|
||||||
Old
Mutual Barrow Hanley Value Fund
|
350
|
shares
|
3,052
|
||||||
Old
Mutual Select Growth Fund
|
196
|
shares
|
4,927
|
||||||
Oppenheimer
Developing Markets Class A
|
392
|
shares
|
16,149
|
||||||
Osterweis
Fund
|
455
|
shares
|
12,051
|
||||||
Parnassus
Equity Income Fund
|
218
|
shares
|
5,413
|
||||||
Parnassus
Fund
|
709
|
shares
|
25,701
|
||||||
Parnassus
Fixed Income Fund
|
292
|
shares
|
4,696
|
||||||
Pax
World Balanced Fund
|
254
|
shares
|
6,224
|
||||||
PIMCO
CommodityRealReturn Strategy D
|
169
|
shares
|
2,346
|
||||||
Pin
Oak Aggressive Stock
|
190
|
shares
|
4,147
|
||||||
Portfolio
21
|
241
|
shares
|
7,905
|
||||||
PowerShares
Exchange Trading Fund Trust
|
101
|
shares
|
1,695
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
PowerShares
Exchange Trading Fund Trust
|
100
|
shares
|
1,988
|
||||||
PowerShares
Exchange Trading Fund Trust
|
401
|
shares
|
7,376
|
||||||
PowerShares
Exchange Trading Fund Trust
|
300
|
shares
|
4,794
|
||||||
Primewest
Energy Trust
|
100
|
shares
|
1,847
|
||||||
ProFunds
Bull Fund Investor Shares
|
406
|
shares
|
25,925
|
||||||
ProFunds
Small-Cap Fund
|
126
|
shares
|
5,664
|
||||||
ProFunds
Ultra
|
146
|
shares
|
4,936
|
||||||
ProFunds
UltraMid-Cap Investor Class
|
111
|
shares
|
5,357
|
||||||
ProFunds
UltraJapan Fund
|
276
|
shares
|
13,488
|
||||||
ProFunds
UltraSector Real Estate Investors
|
59
|
shares
|
3,328
|
||||||
Prudent
Global Income Fund
|
724
|
shares
|
9,051
|
||||||
RS
Diversified Growth Fund
|
455
|
shares
|
10,973
|
||||||
RS
Global Natural Resources Fund
|
236
|
shares
|
7,284
|
||||||
RS
Internet Age Fund
|
571
|
shares
|
4,540
|
||||||
RS
Investors Fund
|
746
|
shares
|
8,764
|
||||||
RS
Partners Fund
|
90
|
shares
|
3,153
|
||||||
RS
Value Fund
|
940
|
shares
|
25,796
|
||||||
Red
Oak Technology
|
255
|
shares
|
1,850
|
||||||
Reynolds
Blue Chip Growth Fund
|
21
|
shares
|
623
|
||||||
Rivus
Bond Fund
|
2,168
|
shares
|
38,718
|
||||||
Royce
Fund Premier Series
|
7,708
|
shares
|
136,116
|
||||||
Royce
Premier Fund
|
1,111
|
shares
|
19,612
|
||||||
Royce
Total Return Fund
|
1,760
|
shares
|
24,204
|
||||||
Royce
Value Plus Fund
|
1,766
|
shares
|
24,887
|
||||||
SPDR
S&P Dividend ETF
|
100
|
shares
|
6,185
|
||||||
SPDR
Trust Unit Series 1
|
54
|
shares
|
7,604
|
||||||
SSGA
International Stock Selection Fund
|
3,250
|
shares
|
44,877
|
||||||
Schwab
Core Equity Fund
|
1,662
|
shares
|
30,859
|
||||||
Schwab
Dividend Equity
|
5,726
|
shares
|
84,462
|
||||||
Schwab
Health Care Fund
|
1,791
|
shares
|
26,941
|
||||||
Schwab
International Index Fund
|
604
|
shares
|
13,031
|
||||||
Schwab
Premier Equity Investment Shares
|
2,136
|
shares
|
27,623
|
||||||
Schwab
S&P 500 Index Fund Investors Shares
|
8,813
|
shares
|
192,478
|
||||||
Schwab
S/T Bond Market Index Fund
|
1,517
|
shares
|
15,060
|
||||||
Schwab
Small-Cap Index Fund
|
496
|
shares
|
11,627
|
||||||
Schwab
Small-Cap Fund Investors
|
3,709
|
shares
|
67,421
|
||||||
Schwab
Total Bond Market Index Fund
|
26,799
|
shares
|
263,705
|
||||||
Schwab
Total Stock Market Investors
|
2,476
|
shares
|
60,268
|
||||||
Schwab
Total Stock Market Select
|
3,865
|
shares
|
94,218
|
||||||
Schwab
1000 Index Fund Investor Shares
|
34
|
shares
|
1,398
|
||||||
Sector
SPBR Trust
|
200
|
shares
|
4,652
|
||||||
Selected
American Shares
|
750
|
shares
|
34,557
|
||||||
Small
Cap Opportunities Fund (Kinetics)
|
1,229
|
shares
|
33,104
|
||||||
South
Shore Fund
|
552
|
shares
|
21,652
|
||||||
StreetTRACKS
Gold Trust
|
265
|
shares
|
16,751
|
||||||
StreetTRACKS
Series Trust Fund
|
50
|
shares
|
2,830
|
||||||
SunAmerica
Focused Alpha
|
225
|
shares
|
4,442
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
T.
Rowe Price Capital Appreciation Fund
|
464
|
shares
|
9,575
|
||||||
T.
Rowe Price Emerging Markets Stock Fund
|
506
|
shares
|
16,416
|
||||||
T.
Rowe Price Equity Income Fund
|
1,240
|
shares
|
36,657
|
||||||
T.
Rowe Price Health Sciences Fund
|
2,215
|
shares
|
57,882
|
||||||
T.
Rowe Price Latin America Fund
|
423
|
shares
|
15,952
|
||||||
T.
Rowe Price Mid-Capital Growth Fund
|
1,089
|
shares
|
58,490
|
||||||
T.
Rowe Price New Asia Fund
|
13,610
|
shares
|
193,397
|
||||||
T.
Rowe Price New Era Fund
|
240
|
shares
|
11,049
|
||||||
T.
Rowe Price New Horizons Fund
|
120,352
|
shares
|
3,886,160
|
||||||
T.
Rowe Price Science & Technology Fund
|
73,115
|
shares
|
1,532,487
|
||||||
T.
Rowe Price Spectrum Income Fund
|
1,957
|
shares
|
23,857
|
||||||
Templeton
Global Smaller Companies Advisor Class
|
935
|
shares
|
8,545
|
||||||
Third
Avenue Real Estate Value Fund
|
1,102
|
shares
|
38,163
|
||||||
Third
Avenue Value Fund
|
456
|
shares
|
27,128
|
||||||
Thornburg
Value Fund Class A
|
1,481
|
shares
|
58,196
|
||||||
Tocqueville
Gold Fund
|
4,071
|
shares
|
209,377
|
||||||
Touchstone
Large-Cap Growth Fund Class A
|
325
|
shares
|
7,029
|
||||||
Touchstone
Small-Cap Value Opportunities Class Z
|
153
|
shares
|
3,037
|
||||||
Touchstone
Ultra Short Duration Fixed Income Fund
|
|
|
|
||||||
Class
Z
|
11,609
|
shares |
117,253
|
||||||
Turner
New Enterprise Fund Class I
|
447
|
shares
|
3,040
|
||||||
Tweedy
Browne Global Value Fund
|
1,254
|
shares
|
38,778
|
||||||
UMB
Scout International Fund
|
3,490
|
shares
|
113,973
|
||||||
UMB
Scout Small Cap Fund
|
2,400
|
shares
|
40,396
|
||||||
U.S.
Global Accolade Eastern European Fund
|
92
|
shares
|
4,177
|
||||||
U.S.
Global Investors Global Research Fund
|
2,960
|
shares
|
43,929
|
||||||
U.S.
Global Investors World Precious Minerals Fund
|
619
|
shares
|
16,875
|
||||||
United
States Oil Fund
|
400
|
shares
|
20,640
|
||||||
Van
Kampen American Cap Income Trust
|
652
|
shares
|
3,892
|
||||||
Vanguard
Balanced Index Short-Term
|
4
|
shares
|
36
|
||||||
Vanguard
Emerging Markets Stock Index
|
934
|
shares
|
22,672
|
||||||
Vanguard
Financial Index Securities – Short-Term
|
|
|
|
||||||
US
Treasury
|
1,441
|
shares |
14,817
|
||||||
Vanguard
GNMA Fund Investors Shares
|
1,162
|
shares
|
11,866
|
||||||
Vanguard
Health Care Fund
|
227
|
shares
|
33,104
|
||||||
Vanguard
High-Yield Corporate Fund
|
28,653
|
shares
|
178,224
|
||||||
Vanguard
Inflation Protected Security Fund
|
869
|
shares
|
10,238
|
||||||
Vanguard
International Equity Index Fund
|
130
|
shares
|
10,061
|
||||||
Vanguard
Mid Cap Index Fund
|
1,273
|
shares
|
25,183
|
||||||
Vanguard
Precious Metals Fund
|
915
|
shares
|
25,655
|
||||||
Vanguard
Real Estate Investment Trust Index Fund
|
1,200
|
shares
|
30,683
|
||||||
Vanguard
Short-Term Investment Grade
|
11,034
|
shares
|
116,521
|
||||||
Vanguard
Strategic Equity Fund
|
560
|
shares
|
13,246
|
||||||
Vanguard
Total Balanced Market Index Fund
|
3,093
|
shares
|
30,895
|
||||||
Vanguard
Total International Stock Index Fund
|
2,625
|
shares
|
46,379
|
||||||
Vanguard
Total Stock Market Index Fund
|
3,086
|
shares
|
105,212
|
||||||
Vanguard
Value Index Fund
|
525
|
shares
|
13,956
|
(c)
Description of
|
|||||||||
investment
including
|
|||||||||
maturity
date, rate of
|
|||||||||
interest,
collateral
|
(d)
|
||||||||
par
or maturity value,
|
Cost
|
(e)
Current
|
|||||||
(a)
|
(b)
Identity of issue, borrower, lessor or similar
party
|
or
number of shares
|
**
|
value
|
|||||
Vanguard
Wellington Fund
|
1,160
|
shares
|
37,629
|
||||||
Vanguard
Windsor II Portfolio
|
1,935
|
shares
|
67,243
|
||||||
Vanguard
500 Index Fund Investor Shares
|
720
|
shares
|
94,077
|
||||||
Ventas
Inc
|
347
|
shares
|
14,679
|
||||||
Victory
Diversified Stock Fund
|
4,908
|
shares
|
88,587
|
||||||
Wasatch
Core Growth Fund
|
323
|
shares
|
12,860
|
||||||
Wasatch
Global Science & Technology Fund
|
218
|
shares
|
3,221
|
||||||
Weingarten
Realty Investors
|
46
|
shares
|
2,131
|
||||||
Weitz
Partners Value Fund
|
377
|
shares
|
9,199
|
||||||
Weitz
Value Portfolio
|
396
|
shares
|
15,937
|
||||||
Wells
Fargo Advantage
|
313
|
shares
|
3,905
|
||||||
Westcore
Plus Bond Fund
|
1,050
|
shares
|
11,069
|
||||||
WF
Advantage Opportunity
|
927
|
shares
|
38,608
|
||||||
White
Oak Growth Stock
|
132
|
shares
|
4,270
|
||||||
William
Blair Emerging Market Growth Class N
|
360
|
shares
|
6,984
|
||||||
William
Blair International Growth Fund N
|
1,180
|
shares
|
32,698
|
||||||
William
Blair Value Discovery Class N
|
1,112
|
shares
|
18,085
|
||||||
Womens
Equity Fund
|
678
|
shares
|
14,758
|
||||||
Total
Mutual Funds
|
18,512,050
|
||||||||
Partnerships:
|
|||||||||
Kinder
Morgan Energy Partners LP
|
260
|
shares
|
12,458
|
||||||
Pengrowth
Energy Trust
|
200
|
shares
|
3,442
|
||||||
Total
Partnerships
|
15,900
|
||||||||
Employer
Stock:
|
|||||||||
*
|
Phelps
Dodge Corporation
|
1,374,304
|
shares
|
164,531,719
|
|||||
Participant
Loans:
|
|||||||||
*
|
Loans
to Various Participants
|
6%
- 11.5%
|
|||||||
Maturing
through 2021
|
26,689,663
|
||||||||
Investment
in Master Trust
|
581,540,623
|
||||||||
Total
Assets Held for Investment
|
$
|
807,626,327
|
|
*
|
This
is a related party, a party-in-interest for which a statutory exemption
exists.
|
**
|
All
investments are participant directed; therefore, disclosure of costs
is
not required.
|