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  Institutional Portfolio Description | Show Summary  
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Company Class Value
of Shares
($1000)
Change
in Value
($1000)
% Change
in Value
Shares
Held
ACTIVE NETWORK INC COM $15,451 $933 6.42% 2,179,233
ACTIVE POWER INC COM NEW $1,994 $178 9.81% 467,983
ACTIVISION BLIZZARD INC COM $200,603 $8,362 4.35% 13,749,330
ACTUANT CORP CL A NEW $137,986 ($7,401) (5.09%) 4,171,270
ACTUATE CORP COM $12,254 ($5,623) (31.46%) 1,828,936
ACUITY BRANDS INC COM $179,479 ($939) (0.52%) 2,290,143
ACURA PHARMACEUTICALS I... COM NEW $1,153 $181 18.64% 541,499
ACXIOM CORP COM $97,950 ($2,919) (2.89%) 4,305,493
ADA ES INC COM $9,969 $464 4.88% 257,735
ADAMS RES & ENERGY INC COM NEW $4,032 $396 10.89% 58,780
ADCARE HEALTH SYSTEMS I... COM NEW $636 $12 1.99% 138,230
ADEPT TECHNOLOGY INC COM NEW $81 $11 15.00% 22,236
ADOBE SYS INC COM $986,794 $29,904 3.13% 22,758,167
ADTRAN INC COM $77,262 ($1,499) (1.90%) 3,176,896
ADVANCE AUTO PARTS INC COM $305,384 $18,277 6.37% 3,648,993
ADVANCED ENERGY INDS COM $43,838 $71 0.16% 2,458,660
ADVANCED MICRO DEVICES ... COM $167,610 ($294) (0.18%) 40,980,439
ADVANCED PHOTONIX INC CL A $65 $19 40.22% 99,780
ADVANCED SEMICONDUCTOR ... SPONSORED ADR $70,952 ($1,590) (2.19%) 17,014,904
ADVENT SOFTWARE INC COM $70,760 $7,868 12.51% 2,067,800

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