UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549

                                    FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:  March 31, 2013

Check here if Amendment [_]; Amendment No. ____________
     This Amendment (check one only): [_] is a restatement.
                                      [_] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:     Waddell & Reed Financial, Inc.
Address:  6300 Lamar Avenue
          Overland Park, KS 66202

Form 13F File Number:     28-7592

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Persons Signing this Report on Behalf of Reporting Manager:

Name:     Kristen A. Richards
Title:    Attorney-In-Fact
Phone:    (913) 236-1923

Signature, Place and Date of Signing:

/s/ Kristen A. Richards  Overland Park, Kansas   May 15, 2013
-----------------------  ---------------------   ------------

The securities reported on herein are beneficially owned by one or more open-end
investment companies or other managed accounts that are advised by Waddell &
Reed Investment Management Company ("WRIMCO") or Ivy Investment Management
Company ("IICO"). WRIMCO is an investment advisory subsidiary of Waddell & Reed,
Inc. ("WRI"). WRI is a broker-dealer and underwriting subsidiary of Waddell &
Reed Financial Services, Inc., a parent holding company ("WRFSI"). WRFSI is a
subsidiary of Waddell & Reed Financial, Inc., a publicly traded company ("WDR").
IICO is an investment advisory subsidiary of WDR. WDR, WRFSI and WRI are deemed
to have "investment discretion" over the securities due to their control
relationship, as applicable, with IICO and WRIMCO pursuant to Rule 13f-1(b) of
the 1934 Securities Exchange Act, as amended.

Report Type (check only one):

[X]  13F HOLDINGS. (Check here if all holdings of this reporting manager are
     reported in this report.)

[_]  13F NOTICE. (Check here if no holdings reported are in this report, and all
     holdings are reported by other reporting manager(s).)

[_]  13F COMBINATION REPORT. (Check here if a portion of the holdings for this
     reporting manager are reported in this report and a portion are reported by
     other reporting manager(s).)





                             FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:       4
Form 13F Information Table Entry Total   935
Form 13F Information Table Value Total   $46,865,932 ($ thousands)

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F file number(s) of all
institutional investment managers with respect to which this report is filed,
other than the manager filing this report.

No.   Form 13F File Number   Name

1     28-7594                Waddell & Reed Financial Services, Inc.

2     28-375                 Waddell & Reed, Inc.

3     28-4466                Waddell & Reed Investment Management Company

4     28-10368               Ivy Investment Management Company






                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
AT&T INC                     COM          00206R102      6,694       182,460 SH       DEFINED           4        182,460
ACCESS MIDSTREAM PARTNERS L  UNIT         00434L109      5,898       146,100 SH       DEFINED           4        146,100
ACCESS MIDSTREAM PARTNERS L  UNIT         00434L109     28,392       703,300 SH       DEFINED       1,2,3        703,300
ACI WORLDWIDE INC            COM          004498101     88,761     1,816,647 SH       DEFINED           4      1,816,647
ACI WORLDWIDE INC            COM          004498101    129,248     2,645,274 SH       DEFINED       1,2,3      2,645,274
ACQUITY GROUP LTD            SPONSORED
                             ADR          00489C103      2,206       347,324 SH       DEFINED           4        347,324
ACQUITY GROUP LTD            SPONSORED
                             ADR          00489C103      2,071       326,080 SH       DEFINED       1,2,3        326,080
ACUITY BRANDS INC            COM          00508Y102      1,523        21,958 SH       DEFINED           4         21,958
ACUITY BRANDS INC            COM          00508Y102     12,091       174,350 SH       DEFINED       1,2,3        174,350
ACXIOM CORP                  COM          005125109     64,633     3,168,300 SH       DEFINED           4      3,168,300
ACXIOM CORP                  COM          005125109    102,026     5,001,271 SH       DEFINED       1,2,3      5,001,271
AEGION CORP                  COM          00770F104      8,873       383,300 SH       DEFINED           4        383,300
AEGION CORP                  COM          00770F104     14,469       625,001 SH       DEFINED       1,2,3        625,001
AETNA INC NEW                COM          00817Y108      6,564       128,400 SH       DEFINED           4        128,400
AETNA INC NEW                COM          00817Y108     31,843       622,900 SH       DEFINED       1,2,3        622,900
AFFILIATED MANAGERS GROUP    COM          008252108     28,487       185,500 SH       DEFINED           4        185,500
AFFILIATED MANAGERS GROUP    COM          008252108     25,001       162,800 SH       DEFINED       1,2,3        162,800
AGILENT TECHNOLOGIES INC     COM          00846U101     43,399     1,034,050 SH       DEFINED           4      1,034,050
AGILENT TECHNOLOGIES INC     COM          00846U101     26,105       622,000 SH       DEFINED       1,2,3        622,000
AKORN INC                    COM          009728106      5,527       399,670 SH       DEFINED       1,2,3        399,670
ALEXION PHARMACEUTICALS INC  COM          015351109     11,041       119,830 SH       DEFINED           4        119,830
ALEXION PHARMACEUTICALS INC  COM          015351109     81,016       879,271 SH       DEFINED       1,2,3        879,271
ALIGN TECHNOLOGY INC         COM          016255101      4,922       146,870 SH       DEFINED       1,2,3        146,870
ALLERGAN INC                 COM          018490102     59,706       534,856 SH       DEFINED           4        534,856
ALLERGAN INC                 COM          018490102    228,835     2,049,939 SH       DEFINED       1,2,3      2,049,939
ALLIANCE DATA SYSTEMS CORP   COM          018581108    100,145       618,600 SH       DEFINED           4        618,600
ALLIANCE DATA SYSTEMS CORP   COM          018581108    152,784       943,750 SH       DEFINED       1,2,3        943,750
ALLIANCEBERNSTEIN HOLDING LP UNIT LTD
                             PARTN        01881G106      1,672        76,327 SH       DEFINED           4         76,327
ALLIANCEBERNSTEIN HOLDING LP UNIT LTD
                             PARTN        01881G106     18,300       835,630 SH       DEFINED       1,2,3        835,630
ALPHA NATURAL RESOURCES INC  COM          02076X102      2,852       347,400 SH       DEFINED           4        347,400
ALTERA CORP                  COM          021441100     48,150     1,357,484 SH       DEFINED           4      1,357,484
ALTERA CORP                  COM          021441100    224,168     6,319,939 SH       DEFINED       1,2,3      6,319,939
ALTRIA GROUP INC             COM          02209S103      7,641       222,174 SH       DEFINED           4        222,174
ALTRIA GROUP INC             COM          02209S103     11,784       342,650 SH       DEFINED       1,2,3        342,650
AMAZON COM INC               COM          023135106    193,982       727,915 SH       DEFINED           4        727,915
AMAZON COM INC               COM          023135106    272,039     1,020,822 SH       DEFINED       1,2,3      1,020,822
AMERICAN CAPITAL AGENCY CORP COM          02503X105      8,277       252,501 SH       DEFINED           4        252,501
AMERICAN EXPRESS CO          COM          025816109        457         6,780 SH       DEFINED           4          6,780
AMERICAN EXPRESS CO          COM          025816109     17,661       261,800 SH       DEFINED       1,2,3        261,800
AMERICAN INTL GROUP INC      COM NEW      026874784    401,336    10,338,370 SH       DEFINED           4     10,338,370
AMERICAN INTL GROUP INC      COM NEW      026874784    266,904     6,875,435 SH       DEFINED       1,2,3      6,875,435
AMERICAN TOWER CORP NEW      COM          03027X100     31,055       403,735 SH       DEFINED           4        403,735
AMERICAN TOWER CORP NEW      COM          03027X100    114,622     1,490,144 SH       DEFINED       1,2,3      1,490,144
AMERICAN VANGUARD CORP       COM          030371108      3,879       127,000 SH       DEFINED           4        127,000
AMERICAN VANGUARD CORP       COM          030371108      7,131       233,510 SH       DEFINED       1,2,3        233,510
AMGEN INC                    COM          031162100     14,883       145,190 SH       DEFINED           4        145,190
AMGEN INC                    COM          031162100    120,609     1,176,559 SH       DEFINED       1,2,3      1,176,559
ANADARKO PETE CORP           COM          032511107      4,475        51,175 SH       DEFINED           4         51,175
ANADARKO PETE CORP           COM          032511107     11,465       131,100 SH       DEFINED       1,2,3        131,100
ANALOG DEVICES INC           COM          032654105     13,029       280,261 SH       DEFINED           4        280,261
ANALOG DEVICES INC           COM          032654105     94,227     2,026,825 SH       DEFINED       1,2,3      2,026,825
ANHEUSER BUSCH INBEV SA/NV   SPONSORED
                             ADR          03524A108    236,896     2,379,670 SH       DEFINED           4      2,379,670
ANHEUSER BUSCH INBEV SA/NV   SPONSORED
                             ADR          03524A108    551,443     5,539,361 SH       DEFINED       1,2,3      5,539,361
ANN INC                      COM          035623107      2,557        88,100 SH       DEFINED           4         88,100
ANN INC                      COM          035623107      2,586        89,100 SH       DEFINED       1,2,3         89,100
ANNIES INC                   COM          03600T104      1,857        48,542 SH       DEFINED           4         48,542
ANNIES INC                   COM          03600T104     14,726       384,900 SH       DEFINED       1,2,3        384,900
ANSYS INC                    COM          03662Q105     50,138       615,794 SH       DEFINED           4        615,794
ANSYS INC                    COM          03662Q105     28,949       355,550 SH       DEFINED       1,2,3        355,550







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
APOLLO GLOBAL MGMT LLC       CL A SHS     037612306    184,551     8,528,220 SH       DEFINED           4      8,528,220
APOLLO GLOBAL MGMT LLC       CL A SHS     037612306     31,720     1,465,800 SH       DEFINED       1,2,3      1,465,800
APPLE INC                    COM          037833100    713,184     1,611,241 SH       DEFINED           4      1,611,241
APPLE INC                    COM          037833100    620,695     1,402,289 SH       DEFINED       1,2,3      1,402,289
APPLIED MATLS INC            COM          038222105     16,887     1,252,740 SH       DEFINED           4      1,252,740
APPLIED MATLS INC            COM          038222105     99,557     7,385,520 SH       DEFINED       1,2,3      7,385,520
ARCH COAL INC                COM          039380100        677       124,700 SH       DEFINED           4        124,700
ARCH COAL INC                COM          039380100        686       126,400 SH       DEFINED       1,2,3        126,400
ARCTIC CAT INC               COM          039670104      5,750       131,590 SH       DEFINED       1,2,3        131,590
ARIAD PHARMACEUTICALS INC    COM          04033A100     26,057     1,440,400 SH       DEFINED           4      1,440,400
ARIAD PHARMACEUTICALS INC    COM          04033A100     39,973     2,209,700 SH       DEFINED       1,2,3      2,209,700
ARM HLDGS PLC                SPONSORED
                             ADR          042068106     46,290     1,092,510 SH       DEFINED           4      1,092,510
ARM HLDGS PLC                SPONSORED
                             ADR          042068106     36,775       867,952 SH       DEFINED       1,2,3        867,952
ARUBA NETWORKS INC           COM          043176106     67,466     2,727,000 SH       DEFINED           4      2,727,000
ARUBA NETWORKS INC           COM          043176106     54,104     2,186,900 SH       DEFINED       1,2,3      2,186,900
ASBURY AUTOMOTIVE GROUP INC  COM          043436104     13,164       358,800 SH       DEFINED           4        358,800
ASBURY AUTOMOTIVE GROUP INC  COM          043436104     11,594       316,000 SH       DEFINED       1,2,3        316,000
ASPEN TECHNOLOGY INC         COM          045327103    138,558     4,291,047 SH       DEFINED           4      4,291,047
ASPEN TECHNOLOGY INC         COM          045327103    211,188     6,540,360 SH       DEFINED       1,2,3      6,540,360
ATLAS PIPELINE PARTNERS LP   UNIT L P
                             INT          049392103      2,836        82,000 SH       DEFINED           4         82,000
ATLAS PIPELINE PARTNERS LP   UNIT L P
                             INT          049392103      2,950        85,300 SH       DEFINED       1,2,3         85,300
AUTOZONE INC                 COM          053332102     26,496        66,780 SH       DEFINED           4         66,780
AUTOZONE INC                 COM          053332102    112,420       283,337 SH       DEFINED       1,2,3        283,337
BAIDU INC                    SPON ADR
                             REP A        056752108    612,554     6,984,650 SH       DEFINED           4      6,984,650
BAIDU INC                    SPON ADR
                             REP A        056752108    112,935     1,287,740 SH       DEFINED       1,2,3      1,287,740
BALLY TECHNOLOGIES INC       COM          05874B107      9,903       190,560 SH       DEFINED       1,2,3        190,560
BANK OF MARIN BANCORP        COM          063425102      2,568        64,065 SH       DEFINED           4         64,065
BANK OF MARIN BANCORP        COM          063425102      2,586        64,500 SH       DEFINED       1,2,3         64,500
BANK OF THE OZARKS INC       COM          063904106     17,283       389,700 SH       DEFINED           4        389,700
BANK OF THE OZARKS INC       COM          063904106     15,252       343,900 SH       DEFINED       1,2,3        343,900
BASIC ENERGY SVCS INC NEW    COM          06985P100      3,315       242,500 SH       DEFINED           4        242,500
BASIC ENERGY SVCS INC NEW    COM          06985P100      5,395       394,650 SH       DEFINED       1,2,3        394,650
BEACON ROOFING SUPPLY INC    COM          073685109      9,553       247,100 SH       DEFINED           4        247,100
BEACON ROOFING SUPPLY INC    COM          073685109     16,122       417,010 SH       DEFINED       1,2,3        417,010
BEAM INC                     COM          073730103      3,357        52,825 SH       DEFINED           4         52,825
BEAM INC                     COM          073730103     65,246     1,026,847 SH       DEFINED       1,2,3      1,026,847
BED BATH & BEYOND INC        COM          075896100     11,274       175,000 SH       DEFINED       1,2,3        175,000
BELO CORP                    COM SER A    080555105      5,178       526,800 SH       DEFINED           4        526,800
BELO CORP                    COM SER A    080555105      5,247       533,800 SH       DEFINED       1,2,3        533,800
BERKSHIRE HATHAWAY INC DEL   CL B NEW     084670702     15,661       150,300 SH       DEFINED           4        150,300
BERKSHIRE HATHAWAY INC DEL   CL B NEW     084670702     22,695       217,800 SH       DEFINED       1,2,3        217,800
BHP BILLITON LTD             SPONSORED
                             ADR          088606108      1,646        24,050 SH       DEFINED           4         24,050
BHP BILLITON LTD             SPONSORED
                             ADR          088606108      4,202        61,400 SH       DEFINED       1,2,3         61,400
BIOGEN IDEC INC              COM          09062X103     59,103       306,374 SH       DEFINED           4        306,374
BIOGEN IDEC INC              COM          09062X103    157,658       817,262 SH       DEFINED       1,2,3        817,262
BLACKSTONE GROUP L P         COM UNIT
                             LTD          09253U108    362,522    18,327,700 SH       DEFINED           4     18,327,700
BLACKSTONE GROUP L P         COM UNIT
                             LTD          09253U108     59,869     3,026,750 SH       DEFINED       1,2,3      3,026,750
BLOOMIN BRANDS INC           COM          094235108      1,722        96,350 SH       DEFINED           4         96,350
BLOOMIN BRANDS INC           COM          094235108      1,753        98,100 SH       DEFINED       1,2,3         98,100
BLUE NILE INC                COM          09578R103      3,710       107,690 SH       DEFINED       1,2,3        107,690
BOEING CO                    COM          097023105     14,343       167,075 SH       DEFINED           4        167,075
BOEING CO                    COM          097023105     73,686       858,307 SH       DEFINED       1,2,3        858,307
BOISE CASCADE CO DEL         COM          09739D100      1,785        52,600 SH       DEFINED           4         52,600
BOISE CASCADE CO DEL         COM          09739D100      5,003       147,400 SH       DEFINED       1,2,3        147,400
BOISE INC                    COM          09746Y105      5,987       691,300 SH       DEFINED           4        691,300
BOISE INC                    COM          09746Y105      6,081       702,200 SH       DEFINED       1,2,3        702,200
BONA FILM GROUP LTD          SPONSORED
                             ADS          09777B107      2,764       600,930 SH       DEFINED           4        600,930
BONANZA CREEK ENERGY INC     COM          097793103     11,761       304,150 SH       DEFINED           4        304,150
BONANZA CREEK ENERGY INC     COM          097793103     13,612       352,000 SH       DEFINED       1,2,3        352,000







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
BORGWARNER INC               COM          099724106     36,737       475,000 SH       DEFINED       1,2,3        475,000
BOSTON BEER INC              CL A         100557107     40,503       253,714 SH       DEFINED           4        253,714
BOSTON BEER INC              CL A         100557107     44,365       277,904 SH       DEFINED       1,2,3        277,904
BOSTON SCIENTIFIC CORP       COM          101137107     23,546     3,014,800 SH       DEFINED           4      3,014,800
BOSTON SCIENTIFIC CORP       COM          101137107     35,912     4,598,200 SH       DEFINED       1,2,3      4,598,200
BRIGHT HORIZONS FAM SOL IN D COM          109194100      2,503        74,087 SH       DEFINED           4         74,087
BRIGHT HORIZONS FAM SOL IN D COM          109194100      2,203        65,200 SH       DEFINED       1,2,3         65,200
BRINKER INTL INC             COM          109641100     10,952       290,900 SH       DEFINED           4        290,900
BRINKER INTL INC             COM          109641100      9,593       254,800 SH       DEFINED       1,2,3        254,800
BRISTOL MYERS SQUIBB CO      COM          110122108      8,876       215,497 SH       DEFINED           4        215,497
BRISTOL MYERS SQUIBB CO      COM          110122108     40,228       976,654 SH       DEFINED       1,2,3        976,654
BROADSOFT INC                COM          11133B409      2,313        87,394 SH       DEFINED           4         87,394
BROADSOFT INC                COM          11133B409     28,706     1,084,480 SH       DEFINED       1,2,3      1,084,480
BROWN FORMAN CORP            CL B         115637209     41,470       580,814 SH       DEFINED           4        580,814
BROWN FORMAN CORP            CL B         115637209     38,525       539,569 SH       DEFINED       1,2,3        539,569
CBS CORP NEW                 CL B         124857202    924,361    19,797,847 SH       DEFINED           4     19,797,847
CBS CORP NEW                 CL B         124857202    640,254    13,712,877 SH       DEFINED       1,2,3     13,712,877
CBRE GROUP INC               CL A         12504L109     39,627     1,569,397 SH       DEFINED           4      1,569,397
CBRE GROUP INC               CL A         12504L109     22,667       897,696 SH       DEFINED       1,2,3        897,696
CNOOC LTD                    SPONSORED
                             ADR          126132109      1,312         6,850 SH       DEFINED           4          6,850
CNOOC LTD                    SPONSORED
                             ADR          126132109      3,332        17,400 SH       DEFINED       1,2,3         17,400
CVS CAREMARK CORPORATION     COM          126650100      5,658       102,900 SH       DEFINED           4        102,900
CVS CAREMARK CORPORATION     COM          126650100     27,169       494,069 SH       DEFINED       1,2,3        494,069
CABELAS INC                  COM          126804301      9,433       155,200 SH       DEFINED           4        155,200
CABELAS INC                  COM          126804301      8,473       139,400 SH       DEFINED       1,2,3        139,400
CABOT OIL & GAS CORP         COM          127097103     56,395       834,124 SH       DEFINED           4        834,124
CABOT OIL & GAS CORP         COM          127097103     48,682       720,038 SH       DEFINED       1,2,3        720,038
CAMECO CORP                  COM          13321L108      1,088        52,350 SH       DEFINED           4         52,350
CAMECO CORP                  COM          13321L108      2,718       130,800 SH       DEFINED       1,2,3        130,800
CAMERON INTERNATIONAL CORP   COM          13342B105      4,707        72,200 SH       DEFINED           4         72,200
CAMERON INTERNATIONAL CORP   COM          13342B105     11,707       179,550 SH       DEFINED       1,2,3        179,550
CANADIAN NAT RES LTD         COM          136385101        585        18,200 SH       DEFINED           4         18,200
CANADIAN NAT RES LTD         COM          136385101      1,472        45,800 SH       DEFINED       1,2,3         45,800
CANADIAN PAC RY LTD          COM          13645T100     71,528       548,230 SH       DEFINED           4        548,230
CANADIAN PAC RY LTD          COM          13645T100    344,287     2,638,825 SH       DEFINED       1,2,3      2,638,825
CAPITAL ONE FINL CORP        COM          14040H105     38,614       702,707 SH       DEFINED           4        702,707
CAPITAL ONE FINL CORP        COM          14040H105    241,120     4,387,982 SH       DEFINED       1,2,3      4,387,982
CAPITOL FED FINL INC         COM          14057J101      5,267       436,400 SH       DEFINED           4        436,400
CAPITOL FED FINL INC         COM          14057J101      5,360       444,100 SH       DEFINED       1,2,3        444,100
CARBO CERAMICS INC           COM          140781105      1,660        18,228 SH       DEFINED           4         18,228
CARBO CERAMICS INC           COM          140781105     18,433       202,400 SH       DEFINED       1,2,3        202,400
CARDINAL HEALTH INC          COM          14149Y108      3,854        92,600 SH       DEFINED       1,2,3         92,600
CARLYLE GROUP L P            COM UTS
                             LTD PTN      14309L102    158,284     5,232,530 SH       DEFINED           4      5,232,530
CARLYLE GROUP L P            COM UTS
                             LTD PTN      14309L102     26,013       859,930 SH       DEFINED       1,2,3        859,930
CARMAX INC                   COM          143130102     95,727     2,295,600 SH       DEFINED           4      2,295,600
CARMAX INC                   COM          143130102     55,273     1,325,500 SH       DEFINED       1,2,3      1,325,500
CASEYS GEN STORES INC        COM          147528103      6,996       120,000 SH       DEFINED       1,2,3        120,000
CATERPILLAR INC DEL          COM          149123101    395,475     4,547,260 SH       DEFINED           4      4,547,260
CATERPILLAR INC DEL          COM          149123101    125,508     1,443,124 SH       DEFINED       1,2,3      1,443,124
CAVIUM INC                   COM          14964U108     34,155       880,050 SH       DEFINED           4        880,050
CAVIUM INC                   COM          14964U108     21,466       553,100 SH       DEFINED       1,2,3        553,100
CENTURYLINK INC              COM          156700106     32,643       929,200 SH       DEFINED           4        929,200
CENTURYLINK INC              COM          156700106     51,922     1,478,000 SH       DEFINED       1,2,3      1,478,000
CEPHEID                      COM          15670R107      9,253       241,150 SH       DEFINED           4        241,150
CEPHEID                      COM          15670R107      8,134       212,000 SH       DEFINED       1,2,3        212,000
CERNER CORP                  COM          156782104     39,719       419,200 SH       DEFINED           4        419,200
CERNER CORP                  COM          156782104     65,216       688,300 SH       DEFINED       1,2,3        688,300
CHART INDS INC               COM PAR
                             $0.01        16115Q308      9,329       116,600 SH       DEFINED       1,2,3        116,600
CHARTER COMMUNICATIONS INC D CL A NEW     16117M305     15,593       149,670 SH       DEFINED           4        149,670







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
CHARTER COMMUNICATIONS INC D CL A NEW     16117M305    116,060     1,114,035 SH       DEFINED       1,2,3      1,114,035
CHEVRON CORP NEW             COM          166764100        570         4,800 SH       DEFINED           4          4,800
CHEVRON CORP NEW             COM          166764100      1,456        12,250 SH       DEFINED       1,2,3         12,250
CHICAGO BRIDGE & IRON CO N V N Y
                             REGISTRY SH  167250109     15,208       244,900 SH       DEFINED           4        244,900
CHINA ZENIX AUTO INTL LTD    ADS          16951E104      1,848       600,000 SH       DEFINED           4        600,000
CHIPOTLE MEXICAN GRILL INC   COM          169656105     12,728        39,060 SH       DEFINED           4         39,060
CHIPOTLE MEXICAN GRILL INC   COM          169656105     97,341       298,710 SH       DEFINED       1,2,3        298,710
CHURCH & DWIGHT INC          COM          171340102     31,937       494,150 SH       DEFINED           4        494,150
CHURCH & DWIGHT INC          COM          171340102     19,198       297,050 SH       DEFINED       1,2,3        297,050
CINEMARK HOLDINGS INC        COM          17243V102      7,021       238,500 SH       DEFINED           4        238,500
CINEMARK HOLDINGS INC        COM          17243V102      7,116       241,700 SH       DEFINED       1,2,3        241,700
CISCO SYS INC                COM          17275R102      3,018       144,310 SH       DEFINED           4        144,310
CISCO SYS INC                COM          17275R102        487        23,270 SH       DEFINED       1,2,3         23,270
CITIGROUP INC                COM NEW      172967424     10,107       228,450 SH       DEFINED           4        228,450
CITIGROUP INC                COM NEW      172967424     35,353       799,110 SH       DEFINED       1,2,3        799,110
CLEAN ENERGY FUELS CORP      COM          184499101        722        55,550 SH       DEFINED           4         55,550
CLEAN ENERGY FUELS CORP      COM          184499101      1,869       143,800 SH       DEFINED       1,2,3        143,800
COBALT INTL ENERGY INC       COM          19075F106      1,541        54,650 SH       DEFINED           4         54,650
COBALT INTL ENERGY INC       COM          19075F106      3,924       139,150 SH       DEFINED       1,2,3        139,150
COCA COLA CO                 COM          191216100     10,336       255,585 SH       DEFINED       1,2,3        255,585
COGNIZANT TECHNOLOGY SOLUTIO CL A         192446102    521,656     6,809,245 SH       DEFINED           4      6,809,245
COGNIZANT TECHNOLOGY SOLUTIO CL A         192446102    238,227     3,109,611 SH       DEFINED       1,2,3      3,109,611
COLGATE PALMOLIVE CO         COM          194162103     11,750        99,550 SH       DEFINED           4         99,550
COLGATE PALMOLIVE CO         COM          194162103     20,842       176,580 SH       DEFINED       1,2,3        176,580
COMCAST CORP NEW             CL A         20030N101      3,128        74,460 SH       DEFINED           4         74,460
COMCAST CORP NEW             CL A         20030N101        510        12,140 SH       DEFINED       1,2,3         12,140
COMMUNITY HEALTH SYS INC NEW COM          203668108     27,044       570,677 SH       DEFINED           4        570,677
COMMUNITY HEALTH SYS INC NEW COM          203668108     36,990       780,550 SH       DEFINED       1,2,3        780,550
CONCHO RES INC               COM          20605P101      1,120        11,500 SH       DEFINED           4         11,500
CONCHO RES INC               COM          20605P101      2,860        29,350 SH       DEFINED       1,2,3         29,350
CONOCOPHILLIPS               COM          20825C104    944,916    15,722,388 SH       DEFINED           4     15,722,388
CONOCOPHILLIPS               COM          20825C104    246,741     4,105,504 SH       DEFINED       1,2,3      4,105,504
CONSTELLATION BRANDS INC     CL A         21036P108      1,486        31,200 SH       DEFINED           4         31,200
CONSTELLATION BRANDS INC     CL A         21036P108      7,313       153,500 SH       DEFINED       1,2,3        153,500
CONTINENTAL RESOURCES INC    COM          212015101     53,540       615,900 SH       DEFINED           4        615,900
CONTINENTAL RESOURCES INC    COM          212015101     43,943       505,500 SH       DEFINED       1,2,3        505,500
CORELOGIC INC                COM          21871D103      3,651       141,200 SH       DEFINED           4        141,200
CORELOGIC INC                COM          21871D103      3,716       143,700 SH       DEFINED       1,2,3        143,700
CORNERSTONE ONDEMAND INC     COM          21925Y103      1,471        43,131 SH       DEFINED           4         43,131
CORNERSTONE ONDEMAND INC     COM          21925Y103     11,655       341,800 SH       DEFINED       1,2,3        341,800
COSTCO WHSL CORP NEW         COM          22160K105     11,137       104,956 SH       DEFINED           4        104,956
COSTCO WHSL CORP NEW         COM          22160K105    112,529     1,060,491 SH       DEFINED       1,2,3      1,060,491
CREE INC                     COM          225447101    110,677     2,022,970 SH       DEFINED           4      2,022,970
CREE INC                     COM          225447101    176,348     3,223,323 SH       DEFINED       1,2,3      3,223,323
CROWN CASTLE INTL CORP       COM          228227104     34,381       493,695 SH       DEFINED           4        493,695
CROWN CASTLE INTL CORP       COM          228227104    129,019     1,852,659 SH       DEFINED       1,2,3      1,852,659
CUBIST PHARMACEUTICALS INC   COM          229678107        942        20,126 SH       DEFINED           4         20,126
CUBIST PHARMACEUTICALS INC   COM          229678107      7,475       159,650 SH       DEFINED       1,2,3        159,650
CUMMINS INC                  COM          231021106    439,612     3,795,980 SH       DEFINED           4      3,795,980
CUMMINS INC                  COM          231021106    191,776     1,655,955 SH       DEFINED       1,2,3      1,655,955
CYBERONICS INC               COM          23251P102      2,944        62,896 SH       DEFINED           4         62,896
CYBERONICS INC               COM          23251P102     32,152       686,860 SH       DEFINED       1,2,3        686,860
CYPRESS SEMICONDUCTOR CORP   COM          232806109      9,519       863,000 SH       DEFINED           4        863,000
CYPRESS SEMICONDUCTOR CORP   COM          232806109     14,857     1,347,000 SH       DEFINED       1,2,3      1,347,000
CYTEC INDS INC               COM          232820100      3,311        44,700 SH       DEFINED           4         44,700
CYTEC INDS INC               COM          232820100      3,363        45,400 SH       DEFINED       1,2,3         45,400
CYRUSONE INC                 COM          23283R100      9,698       424,600 SH       DEFINED           4        424,600
CYRUSONE INC                 COM          23283R100     15,463       677,000 SH       DEFINED       1,2,3        677,000
D R HORTON INC               COM          23331A109      6,690       275,300 SH       DEFINED           4        275,300







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
D R HORTON INC               COM          23331A109     23,934       984,950 SH       DEFINED       1,2,3        984,950
DANA HLDG CORP               COM          235825205      6,947       389,600 SH       DEFINED           4        389,600
DANA HLDG CORP               COM          235825205      7,218       404,800 SH       DEFINED       1,2,3        404,800
DANAHER CORP DEL             COM          235851102      2,887        46,450 SH       DEFINED           4         46,450
DANAHER CORP DEL             COM          235851102     39,153       629,968 SH       DEFINED       1,2,3        629,968
DARLING INTL INC             COM          237266101      9,729       541,700 SH       DEFINED           4        541,700
DARLING INTL INC             COM          237266101     18,479     1,028,924 SH       DEFINED       1,2,3      1,028,924
DEERE & CO                   COM          244199105      7,227        84,050 SH       DEFINED           4         84,050
DEERE & CO                   COM          244199105     25,869       300,868 SH       DEFINED       1,2,3        300,868
DEMANDWARE INC               COM          24802Y105     11,603       457,700 SH       DEFINED           4        457,700
DEMANDWARE INC               COM          24802Y105     17,048       672,500 SH       DEFINED       1,2,3        672,500
DEXCOM INC                   COM          252131107     14,266       853,216 SH       DEFINED           4        853,216
DEXCOM INC                   COM          252131107     41,965     2,509,850 SH       DEFINED       1,2,3      2,509,850
DIAGEO P L C                 SPON ADR
                             NEW          25243Q205      7,261        57,700 SH       DEFINED           4         57,700
DIAGEO P L C                 SPON ADR
                             NEW          25243Q205     25,778       204,850 SH       DEFINED       1,2,3        204,850
DISNEY WALT CO               COM DISNEY   254687106        474         8,340 SH       DEFINED           4          8,340
DISNEY WALT CO               COM DISNEY   254687106      4,084        71,900 SH       DEFINED       1,2,3         71,900
DISCOVERY COMMUNICATNS NEW   COM SER A    25470F104     47,082       597,941 SH       DEFINED           4        597,941
DISCOVERY COMMUNICATNS NEW   COM SER A    25470F104    133,280     1,692,664 SH       DEFINED       1,2,3      1,692,664
DOMINOS PIZZA INC            COM          25754A201      1,416        27,518 SH       DEFINED           4         27,518
DOMINOS PIZZA INC            COM          25754A201     11,229       218,300 SH       DEFINED       1,2,3        218,300
DOW CHEM CO                  COM          260543103     57,270     1,798,671 SH       DEFINED           4      1,798,671
DOW CHEM CO                  COM          260543103    245,616     7,714,057 SH       DEFINED       1,2,3      7,714,057
DRESSER-RAND GROUP INC       COM          261608103     43,621       707,450 SH       DEFINED           4        707,450
DRESSER-RAND GROUP INC       COM          261608103     29,304       475,250 SH       DEFINED       1,2,3        475,250
DRIL-QUIP INC                COM          262037104     57,003       653,931 SH       DEFINED           4        653,931
DRIL-QUIP INC                COM          262037104     89,266     1,024,040 SH       DEFINED       1,2,3      1,024,040
DUNKIN BRANDS GROUP INC      COM          265504100     65,291     1,770,368 SH       DEFINED           4      1,770,368
DUNKIN BRANDS GROUP INC      COM          265504100     34,700       940,900 SH       DEFINED       1,2,3        940,900
EOG RES INC                  COM          26875P101      3,490        27,250 SH       DEFINED           4         27,250
EOG RES INC                  COM          26875P101      8,792        68,650 SH       DEFINED       1,2,3         68,650
EQT CORP                     COM          26884L109      8,130       120,000 SH       DEFINED       1,2,3        120,000
EQT MIDSTREAM PARTNERS LP    UNIT LTD
                             PARTN        26885B100      1,800        46,400 SH       DEFINED           4         46,400
EQT MIDSTREAM PARTNERS LP    UNIT LTD
                             PARTN        26885B100      1,851        47,700 SH       DEFINED       1,2,3         47,700
EV ENERGY PARTNERS LP        COM UNITS    26926V107      2,592        47,500 SH       DEFINED           4         47,500
EV ENERGY PARTNERS LP        COM UNITS    26926V107      2,636        48,300 SH       DEFINED       1,2,3         48,300
EBAY INC                     COM          278642103     30,577       563,940 SH       DEFINED           4        563,940
EBAY INC                     COM          278642103     83,572     1,541,354 SH       DEFINED       1,2,3      1,541,354
ECHO GLOBAL LOGISTICS INC    COM          27875T101      5,557       251,210 SH       DEFINED       1,2,3        251,210
EL PASO PIPELINE PARTNERS L  COM UNIT
                             LPI          283702108      2,154        49,100 SH       DEFINED           4         49,100
EL PASO PIPELINE PARTNERS L  COM UNIT
                             LPI          283702108      5,520       125,850 SH       DEFINED       1,2,3        125,850
ENBRIDGE INC                 COM          29250N105      1,731        37,200 SH       DEFINED           4         37,200
ENBRIDGE INC                 COM          29250N105      4,333        93,100 SH       DEFINED       1,2,3         93,100
ENDOLOGIX INC                COM          29266S106     11,218       694,600 SH       DEFINED           4        694,600
ENDOLOGIX INC                COM          29266S106     10,055       622,600 SH       DEFINED       1,2,3        622,600
ENERGY TRANSFER EQUITY L P   COM UT LTD
                             PTN          29273V100      3,959        67,700 SH       DEFINED           4         67,700
ENERGY TRANSFER EQUITY L P   COM UT LTD
                             PTN          29273V100     13,483       230,550 SH       DEFINED       1,2,3        230,550
ENTERCOM COMMUNICATIONS CORP CL A         293639100      3,782       508,383 SH       DEFINED           4        508,383
ENTERCOM COMMUNICATIONS CORP CL A         293639100      3,834       515,300 SH       DEFINED       1,2,3        515,300
ESCO TECHNOLOGIES INC        COM          296315104     45,052     1,102,600 SH       DEFINED           4      1,102,600
ESCO TECHNOLOGIES INC        COM          296315104     79,134     1,936,718 SH       DEFINED       1,2,3      1,936,718
EURONET WORLDWIDE INC        COM          298736109     47,679     1,810,139 SH       DEFINED           4      1,810,139
EURONET WORLDWIDE INC        COM          298736109     76,295     2,896,553 SH       DEFINED       1,2,3      2,896,553
EXACTTARGET INC              COM          30064K105      4,998       214,800 SH       DEFINED           4        214,800
EXACTTARGET INC              COM          30064K105      4,612       198,200 SH       DEFINED       1,2,3        198,200
EXPEDITORS INTL WASH INC     COM          302130109     61,630     1,725,850 SH       DEFINED           4      1,725,850
EXPEDITORS INTL WASH INC     COM          302130109     34,092       954,700 SH       DEFINED       1,2,3        954,700
EXPRESS INC                  COM          30219E103      1,354        76,000 SH       DEFINED           4         76,000
EXPRESS INC                  COM          30219E103      1,370        76,900 SH       DEFINED       1,2,3         76,900







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
EXXON MOBIL CORP             COM          30231G102     15,494       171,950 SH       DEFINED           4        171,950
EXXON MOBIL CORP             COM          30231G102     55,783       619,057 SH       DEFINED       1,2,3        619,057
FMC TECHNOLOGIES INC         COM          30249U101      2,426        44,600 SH       DEFINED           4         44,600
FMC TECHNOLOGIES INC         COM          30249U101      6,132       112,750 SH       DEFINED       1,2,3        112,750
FACEBOOK INC                 CL A         30303M102     44,887     1,754,780 SH       DEFINED           4      1,754,780
FACEBOOK INC                 CL A         30303M102    143,056     5,592,513 SH       DEFINED       1,2,3      5,592,513
FACTSET RESH SYS INC         COM          303075105      3,549        38,324 SH       DEFINED           4         38,324
FACTSET RESH SYS INC         COM          303075105     28,089       303,332 SH       DEFINED       1,2,3        303,332
FARO TECHNOLOGIES INC        COM          311642102      1,667        38,415 SH       DEFINED           4         38,415
FARO TECHNOLOGIES INC        COM          311642102     18,088       416,875 SH       DEFINED       1,2,3        416,875
FASTENAL CO                  COM          311900104     73,053     1,422,650 SH       DEFINED           4      1,422,650
FASTENAL CO                  COM          311900104     44,592       868,400 SH       DEFINED       1,2,3        868,400
F5 NETWORKS INC              COM          315616102     49,633       557,177 SH       DEFINED           4        557,177
F5 NETWORKS INC              COM          315616102     26,332       295,600 SH       DEFINED       1,2,3        295,600
FINANCIAL ENGINES INC        COM          317485100      8,290       228,892 SH       DEFINED           4        228,892
FINANCIAL ENGINES INC        COM          317485100     27,250       752,350 SH       DEFINED       1,2,3        752,350
FINISAR CORP                 COM NEW      31787A507      8,021       608,100 SH       DEFINED           4        608,100
FINISAR CORP                 COM NEW      31787A507      7,065       535,600 SH       DEFINED       1,2,3        535,600
FIRST CASH FINL SVCS INC     COM          31942D107     18,536       317,725 SH       DEFINED           4        317,725
FIRST CASH FINL SVCS INC     COM          31942D107     27,217       466,530 SH       DEFINED       1,2,3        466,530
FIRST HORIZON NATL CORP      COM          320517105      6,483       607,038 SH       DEFINED           4        607,038
FIRST HORIZON NATL CORP      COM          320517105      6,606       618,573 SH       DEFINED       1,2,3        618,573
FIRST NIAGARA FINL GP INC    COM          33582V108      4,998       564,100 SH       DEFINED           4        564,100
FIRST NIAGARA FINL GP INC    COM          33582V108      5,079       573,200 SH       DEFINED       1,2,3        573,200
FIRST REP BK SAN FRANCISCO C COM          33616C100     60,180     1,558,272 SH       DEFINED           4      1,558,272
FIRST REP BK SAN FRANCISCO C COM          33616C100     37,325       966,481 SH       DEFINED       1,2,3        966,481
FLUOR CORP NEW               COM          343412102      3,293        49,650 SH       DEFINED           4         49,650
FLUOR CORP NEW               COM          343412102      8,308       125,250 SH       DEFINED       1,2,3        125,250
FORD MTR CO DEL              NOTE
                             4.250%11/1   345370CN8      1,603     1,000,000 PRN      DEFINED           4      1,000,000
FORD MTR CO DEL              NOTE
                             4.250%11/1   345370CN8      9,615     6,000,000 PRN      DEFINED       1,2,3      6,000,000
FOREST CITY ENTERPRISES INC  CL A         345550107      2,788       156,900 SH       DEFINED           4        156,900
FOREST CITY ENTERPRISES INC  CL A         345550107      2,820       158,700 SH       DEFINED       1,2,3        158,700
FORTUNE BRANDS HOME & SEC IN COM          34964C106     63,270     1,690,350 SH       DEFINED           4      1,690,350
FORTUNE BRANDS HOME & SEC IN COM          34964C106     37,351       997,900 SH       DEFINED       1,2,3        997,900
FORUM ENERGY TECHNOLOGIES IN COM          34984V100     15,785       548,847 SH       DEFINED           4        548,847
FORUM ENERGY TECHNOLOGIES IN COM          34984V100     49,976     1,737,690 SH       DEFINED       1,2,3      1,737,690
FRANCESCAS HLDGS CORP        COM          351793104      1,232        43,000 SH       DEFINED           4         43,000
FRANCESCAS HLDGS CORP        COM          351793104     14,465       504,720 SH       DEFINED       1,2,3        504,720
FUSION-IO INC                COM          36112J107     51,330     3,135,600 SH       DEFINED           4      3,135,600
FUSION-IO INC                COM          36112J107     51,229     3,129,450 SH       DEFINED       1,2,3      3,129,450
GAP INC DEL                  COM          364760108      7,618       215,200 SH       DEFINED           4        215,200
GAP INC DEL                  COM          364760108     10,985       310,300 SH       DEFINED       1,2,3        310,300
GENERAL DYNAMICS CORP        COM          369550108     11,467       162,630 SH       DEFINED           4        162,630
GENERAL DYNAMICS CORP        COM          369550108     15,296       216,940 SH       DEFINED       1,2,3        216,940
GENERAL ELECTRIC CO          COM          369604103      8,210       355,100 SH       DEFINED           4        355,100
GENERAL ELECTRIC CO          COM          369604103     29,499     1,275,900 SH       DEFINED       1,2,3      1,275,900
GENTEX CORP                  COM          371901109     18,276       913,336 SH       DEFINED           4        913,336
GENTEX CORP                  COM          371901109     10,560       527,750 SH       DEFINED       1,2,3        527,750
GILEAD SCIENCES INC          COM          375558103     87,786     1,794,110 SH       DEFINED           4      1,794,110
GILEAD SCIENCES INC          COM          375558103    281,705     5,757,310 SH       DEFINED       1,2,3      5,757,310
GLAXOSMITHKLINE PLC          SPONSORED
                             ADR          37733W105     16,097       343,150 SH       DEFINED           4        343,150
GLAXOSMITHKLINE PLC          SPONSORED
                             ADR          37733W105     33,958       723,900 SH       DEFINED       1,2,3        723,900
GOLDMAN SACHS GROUP INC      COM          38141G104     18,662       126,820 SH       DEFINED           4        126,820
GOLDMAN SACHS GROUP INC      COM          38141G104     63,049       428,470 SH       DEFINED       1,2,3        428,470
GOOGLE INC                   CL A         38259P508    121,243       152,693 SH       DEFINED           4        152,693
GOOGLE INC                   CL A         38259P508    276,186       347,828 SH       DEFINED       1,2,3        347,828
GRACO INC                    COM          384109104     26,884       463,273 SH       DEFINED           4        463,273
GRACO INC                    COM          384109104     33,956       585,150 SH       DEFINED       1,2,3        585,150
GRAHAM CORP                  COM          384556106      2,048        82,763 SH       DEFINED           4         82,763







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
GRAHAM CORP                  COM          384556106      1,831        74,000 SH       DEFINED       1,2,3         74,000
GREAT PLAINS ENERGY INC      COM          391164100      5,232       225,600 SH       DEFINED           4        225,600
GREAT PLAINS ENERGY INC      COM          391164100      5,324       229,600 SH       DEFINED       1,2,3        229,600
GREENHILL & CO INC           COM          395259104     49,119       920,172 SH       DEFINED           4        920,172
GREENHILL & CO INC           COM          395259104     51,371       962,356 SH       DEFINED       1,2,3        962,356
GULFMARK OFFSHORE INC        CL A NEW     402629208      7,063       181,300 SH       DEFINED           4        181,300
GULFMARK OFFSHORE INC        CL A NEW     402629208      7,321       187,900 SH       DEFINED       1,2,3        187,900
GULFPORT ENERGY CORP         COM NEW      402635304     15,096       329,400 SH       DEFINED           4        329,400
GULFPORT ENERGY CORP         COM NEW      402635304     16,404       357,938 SH       DEFINED       1,2,3        357,938
HCA HOLDINGS INC             COM          40412C101     24,419       601,000 SH       DEFINED           4        601,000
HCA HOLDINGS INC             COM          40412C101    109,022     2,683,286 SH       DEFINED       1,2,3      2,683,286
HFF INC                      CL A         40418F108      1,480        74,235 SH       DEFINED           4         74,235
HFF INC                      CL A         40418F108     11,741       589,100 SH       DEFINED       1,2,3        589,100
HALLIBURTON CO               COM          406216101      8,554       211,680 SH       DEFINED           4        211,680
HALLIBURTON CO               COM          406216101     33,628       832,175 SH       DEFINED       1,2,3        832,175
HANGER INC                   COM NEW      41043F208      7,738       245,420 SH       DEFINED       1,2,3        245,420
HARLEY DAVIDSON INC          COM          412822108     88,271     1,656,112 SH       DEFINED           4      1,656,112
HARLEY DAVIDSON INC          COM          412822108    359,499     6,744,821 SH       DEFINED       1,2,3      6,744,821
HARMAN INTL INDS INC         COM          413086109     82,139     1,840,446 SH       DEFINED           4      1,840,446
HARMAN INTL INDS INC         COM          413086109    100,727     2,256,940 SH       DEFINED       1,2,3      2,256,940
HEALTHSOUTH CORP             COM NEW      421924309      5,026       190,600 SH       DEFINED           4        190,600
HEALTHSOUTH CORP             COM NEW      421924309      5,113       193,900 SH       DEFINED       1,2,3        193,900
HEADWATERS INC               NOTE
                             8.750% 2/0   42210PAR3      8,152     7,500,000 PRN      DEFINED           4      7,500,000
HEADWATERS INC               NOTE
                             8.750% 2/0   42210PAR3     11,358    10,450,000 PRN      DEFINED       1,2,3     10,450,000
HEALTHSTREAM INC             COM          42222N103      4,359       190,020 SH       DEFINED       1,2,3        190,020
HEARTWARE INTL INC           COM          422368100     17,396       196,724 SH       DEFINED           4        196,724
HEARTWARE INTL INC           COM          422368100     37,473       423,760 SH       DEFINED       1,2,3        423,760
HELMERICH & PAYNE INC        COM          423452101      2,222        36,600 SH       DEFINED           4         36,600
HELMERICH & PAYNE INC        COM          423452101      5,557        91,550 SH       DEFINED       1,2,3         91,550
HENRY JACK & ASSOC INC       COM          426281101     19,293       417,500 SH       DEFINED           4        417,500
HENRY JACK & ASSOC INC       COM          426281101     17,209       372,400 SH       DEFINED       1,2,3        372,400
HESS CORP                    COM          42809H107      1,182        16,500 SH       DEFINED           4         16,500
HESS CORP                    COM          42809H107      2,979        41,600 SH       DEFINED       1,2,3         41,600
HEXCEL CORP NEW              COM          428291108      2,109        72,692 SH       DEFINED           4         72,692
HEXCEL CORP NEW              COM          428291108     16,742       577,100 SH       DEFINED       1,2,3        577,100
HITTITE MICROWAVE CORP       COM          43365Y104      2,553        42,155 SH       DEFINED           4         42,155
HITTITE MICROWAVE CORP       COM          43365Y104     20,282       334,900 SH       DEFINED       1,2,3        334,900
HOLOGIC INC                  COM          436440101     47,352     2,095,240 SH       DEFINED           4      2,095,240
HOLOGIC INC                  COM          436440101     24,898     1,101,700 SH       DEFINED       1,2,3      1,101,700
HOME DEPOT INC               COM          437076102     77,562     1,111,520 SH       DEFINED           4      1,111,520
HOME DEPOT INC               COM          437076102    319,019     4,571,782 SH       DEFINED       1,2,3      4,571,782
HONEYWELL INTL INC           COM          438516106     17,922       237,850 SH       DEFINED           4        237,850
HONEYWELL INTL INC           COM          438516106     38,621       512,550 SH       DEFINED       1,2,3        512,550
HUB GROUP INC                CL A         443320106     16,372       425,700 SH       DEFINED           4        425,700
HUB GROUP INC                CL A         443320106     14,722       382,800 SH       DEFINED       1,2,3        382,800
HUNTINGTON INGALLS INDS INC  COM          446413106     11,187       209,760 SH       DEFINED       1,2,3        209,760
HYATT HOTELS CORP            COM CL A     448579102     13,449       311,100 SH       DEFINED           4        311,100
HYATT HOTELS CORP            COM CL A     448579102     28,259       653,700 SH       DEFINED       1,2,3        653,700
IPG PHOTONICS CORP           COM          44980X109     14,358       216,200 SH       DEFINED           4        216,200
IPG PHOTONICS CORP           COM          44980X109     26,655       401,370 SH       DEFINED       1,2,3        401,370
IXIA                         COM          45071R109      8,208       379,300 SH       DEFINED           4        379,300
IXIA                         COM          45071R109      7,191       332,300 SH       DEFINED       1,2,3        332,300
IDEX CORP                    COM          45167R104     61,475     1,150,779 SH       DEFINED           4      1,150,779
IDEX CORP                    COM          45167R104     35,953       673,019 SH       DEFINED       1,2,3        673,019
IGATE CORP                   COM          45169U105     25,542     1,357,900 SH       DEFINED           4      1,357,900
IGATE CORP                   COM          45169U105     37,026     1,968,400 SH       DEFINED       1,2,3      1,968,400
INCYTE CORP                  COM          45337C102     19,203       820,288 SH       DEFINED           4        820,288
INCYTE CORP                  COM          45337C102     22,318       953,350 SH       DEFINED       1,2,3        953,350
INERGY L P                   UNIT LTD
                             PTNR         456615103      4,188       205,000 SH       DEFINED       1,2,3        205,000







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
INSIGHT ENTERPRISES INC      COM          45765U103      3,569       173,100 SH       DEFINED           4        173,100
INSIGHT ENTERPRISES INC      COM          45765U103      3,611       175,100 SH       DEFINED       1,2,3        175,100
INTEL CORP                   COM          458140100      3,676       168,219 SH       DEFINED           4        168,219
INTEL CORP                   COM          458140100      6,791       310,802 SH       DEFINED       1,2,3        310,802
INTER PARFUMS INC            COM          458334109      2,052        84,000 SH       DEFINED           4         84,000
INTER PARFUMS INC            COM          458334109      2,089        85,500 SH       DEFINED       1,2,3         85,500
INTUIT                       COM          461202103    380,045     5,788,956 SH       DEFINED           4      5,788,956
INTUIT                       COM          461202103    173,326     2,640,146 SH       DEFINED       1,2,3      2,640,146
INTUITIVE SURGICAL INC       COM NEW      46120E602     32,983        67,150 SH       DEFINED           4         67,150
INTUITIVE SURGICAL INC       COM NEW      46120E602     19,107        38,900 SH       DEFINED       1,2,3         38,900
INVENSENSE INC               COM          46123D205      4,315       403,980 SH       DEFINED       1,2,3        403,980
IRONWOOD PHARMACEUTICALS INC COM CL A     46333X108     24,214     1,323,877 SH       DEFINED           4      1,323,877
IRONWOOD PHARMACEUTICALS INC COM CL A     46333X108     42,168     2,305,510 SH       DEFINED       1,2,3      2,305,510
ISIS PHARMACEUTICALS INC     COM          464330109     17,462     1,030,800 SH       DEFINED           4      1,030,800
ISIS PHARMACEUTICALS INC     COM          464330109     30,067     1,774,900 SH       DEFINED       1,2,3      1,774,900
JDS UNIPHASE CORP            COM PAR
                             $0.001       46612J507      9,519       712,000 SH       DEFINED           4        712,000
JDS UNIPHASE CORP            COM PAR
                             $0.001       46612J507     10,775       805,890 SH       DEFINED       1,2,3        805,890
JPMORGAN CHASE & CO          COM          46625H100     86,477     1,822,099 SH       DEFINED           4      1,822,099
JPMORGAN CHASE & CO          COM          46625H100    370,041     7,796,913 SH       DEFINED       1,2,3      7,796,913
JINKOSOLAR HLDG CO LTD       NOTE
                             4.000% 5/1   47759TAA8      5,538     9,230,000 PRN      DEFINED           4      9,230,000
JINKOSOLAR HLDG CO LTD       NOTE
                             4.000% 5/1   47759TAA8     10,752    17,920,000 PRN      DEFINED       1,2,3     17,920,000
JOHNSON & JOHNSON            COM          478160104     38,907       477,211 SH       DEFINED           4        477,211
JOHNSON & JOHNSON            COM          478160104    164,428     2,016,773 SH       DEFINED       1,2,3      2,016,773
JONES GROUP INC              COM          48020T101      2,335       183,600 SH       DEFINED           4        183,600
JONES GROUP INC              COM          48020T101      2,377       186,900 SH       DEFINED       1,2,3        186,900
JOY GLOBAL INC               COM          481165108     32,897       552,700 SH       DEFINED           4        552,700
JOY GLOBAL INC               COM          481165108     18,252       306,650 SH       DEFINED       1,2,3        306,650
KLA-TENCOR CORP              COM          482480100      9,108       172,700 SH       DEFINED           4        172,700
KLA-TENCOR CORP              COM          482480100     13,122       248,800 SH       DEFINED       1,2,3        248,800
KKR & CO L P DEL             COM UNITS    48248M102    251,380    13,011,400 SH       DEFINED           4     13,011,400
KKR & CO L P DEL             COM UNITS    48248M102     41,499     2,147,990 SH       DEFINED       1,2,3      2,147,990
KANSAS CITY SOUTHERN         COM NEW      485170302     88,196       795,277 SH       DEFINED           4        795,277
KANSAS CITY SOUTHERN         COM NEW      485170302    349,997     3,155,968 SH       DEFINED       1,2,3      3,155,968
KELLOGG CO                   COM          487836108      5,799        90,000 SH       DEFINED       1,2,3         90,000
KEY ENERGY SVCS INC          COM          492914106      2,053       254,100 SH       DEFINED           4        254,100
KEY ENERGY SVCS INC          COM          492914106      2,081       257,600 SH       DEFINED       1,2,3        257,600
KEYW HLDG CORP               COM          493723100      3,032       188,000 SH       DEFINED           4        188,000
KEYW HLDG CORP               COM          493723100      2,681       166,200 SH       DEFINED       1,2,3        166,200
KFORCE INC                   COM          493732101      9,536       582,500 SH       DEFINED           4        582,500
KFORCE INC                   COM          493732101      8,676       530,000 SH       DEFINED       1,2,3        530,000
KINDER MORGAN MANAGEMENT LLC SHS          49455U100      5,499        62,598 SH       DEFINED           4         62,598
KINDER MORGAN MANAGEMENT LLC SHS          49455U100     23,873       271,752 SH       DEFINED       1,2,3        271,752
KINDER MORGAN INC DEL        COM          49456B101      1,181        30,523 SH       DEFINED           4         30,523
KINDER MORGAN INC DEL        COM          49456B101      2,968        76,745 SH       DEFINED       1,2,3         76,745
KRAFT FOODS GROUP INC        COM          50076Q106      4,122        80,000 SH       DEFINED       1,2,3         80,000
LKQ CORP                     COM          501889208     51,573     2,370,100 SH       DEFINED           4      2,370,100
LKQ CORP                     COM          501889208     31,192     1,433,450 SH       DEFINED       1,2,3      1,433,450
LAM RESEARCH CORP            COM          512807108      4,214       101,637 SH       DEFINED           4        101,637
LAM RESEARCH CORP            COM          512807108     20,381       491,574 SH       DEFINED       1,2,3        491,574
LANDSTAR SYS INC             COM          515098101     19,428       340,300 SH       DEFINED           4        340,300
LANDSTAR SYS INC             COM          515098101     17,801       311,800 SH       DEFINED       1,2,3        311,800
LAREDO PETE HLDGS INC        COM          516806106      5,439       297,400 SH       DEFINED           4        297,400
LAREDO PETE HLDGS INC        COM          516806106      5,606       306,500 SH       DEFINED       1,2,3        306,500
LAS VEGAS SANDS CORP         COM          517834107     83,245     1,477,290 SH       DEFINED           4      1,477,290
LAS VEGAS SANDS CORP         COM          517834107    299,468     5,314,421 SH       DEFINED       1,2,3      5,314,421
LAUDER ESTEE COS INC         CL A         518439104     40,528       632,948 SH       DEFINED           4        632,948
LAUDER ESTEE COS INC         CL A         518439104    233,243     3,642,722 SH       DEFINED       1,2,3      3,642,722
LEXINGTON REALTY TRUST       COM          529043101      6,157       521,800 SH       DEFINED           4        521,800
LEXINGTON REALTY TRUST       COM          529043101      6,252       529,800 SH       DEFINED       1,2,3        529,800







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
LIFE TIME FITNESS INC        COM          53217R207      1,070        25,000 SH       DEFINED       1,2,3         25,000
LILLY ELI & CO               COM          532457108      7,071       124,520 SH       DEFINED           4        124,520
LILLY ELI & CO               COM          532457108     13,133       231,250 SH       DEFINED       1,2,3        231,250
LINNCO LLC                   COMSHS LTD
                             INT          535782106     12,152       311,200 SH       DEFINED           4        311,200
LINNCO LLC                   COMSHS LTD
                             INT          535782106     36,039       922,900 SH       DEFINED       1,2,3        922,900
LITHIA MTRS INC              CL A         536797103     16,181       340,800 SH       DEFINED           4        340,800
LITHIA MTRS INC              CL A         536797103     27,373       576,510 SH       DEFINED       1,2,3        576,510
LOGMEIN INC                  COM          54142L109        499        25,956 SH       DEFINED           4         25,956
LOGMEIN INC                  COM          54142L109      3,957       205,855 SH       DEFINED       1,2,3        205,855
LOUISIANA PAC CORP           COM          546347105      1,415        65,500 SH       DEFINED           4         65,500
LOUISIANA PAC CORP           COM          546347105      1,464        67,800 SH       DEFINED       1,2,3         67,800
LOWES COS INC                COM          548661107      7,868       207,480 SH       DEFINED           4        207,480
LOWES COS INC                COM          548661107     74,090     1,953,863 SH       DEFINED       1,2,3      1,953,863
LUFKIN INDS INC              COM          549764108      1,851        27,881 SH       DEFINED           4         27,881
LUFKIN INDS INC              COM          549764108     14,702       221,450 SH       DEFINED       1,2,3        221,450
M D C HLDGS INC              COM          552676108      7,301       199,200 SH       DEFINED           4        199,200
M D C HLDGS INC              COM          552676108     16,285       444,350 SH       DEFINED       1,2,3        444,350
MPLX LP                      COM UNIT
                             REP LTD      55336V100      1,633        43,600 SH       DEFINED           4         43,600
MPLX LP                      COM UNIT
                             REP LTD      55336V100      4,080       108,950 SH       DEFINED       1,2,3        108,950
MRC GLOBAL INC               COM          55345K103      1,814        55,100 SH       DEFINED           4         55,100
MRC GLOBAL INC               COM          55345K103      1,584        48,100 SH       DEFINED       1,2,3         48,100
MACYS INC                    COM          55616P104      3,343        79,900 SH       DEFINED           4         79,900
MACYS INC                    COM          55616P104     16,298       389,520 SH       DEFINED       1,2,3        389,520
MANITOWOC INC                COM          563571108      5,687       276,600 SH       DEFINED           4        276,600
MANITOWOC INC                COM          563571108     14,867       723,080 SH       DEFINED       1,2,3        723,080
MARATHON OIL CORP            COM          565849106      8,041       238,450 SH       DEFINED           4        238,450
MARATHON OIL CORP            COM          565849106     34,998     1,037,905 SH       DEFINED       1,2,3      1,037,905
MARATHON PETE CORP           COM          56585A102      8,472        94,550 SH       DEFINED           4         94,550
MARATHON PETE CORP           COM          56585A102     36,852       411,300 SH       DEFINED       1,2,3        411,300
MARKWEST ENERGY PARTNERS L P UNIT LTD
                             PARTN        570759100     12,281       202,150 SH       DEFINED           4        202,150
MARKWEST ENERGY PARTNERS L P UNIT LTD
                             PARTN        570759100     57,555       947,400 SH       DEFINED       1,2,3        947,400
MARTEN TRANS LTD             COM          573075108      3,579       177,800 SH       DEFINED           4        177,800
MARTEN TRANS LTD             COM          573075108      3,642       180,900 SH       DEFINED       1,2,3        180,900
MARTIN MARIETTA MATLS INC    COM          573284106     62,217       609,850 SH       DEFINED           4        609,850
MARTIN MARIETTA MATLS INC    COM          573284106     27,455       269,114 SH       DEFINED       1,2,3        269,114
MASTERCARD INC               CL A         57636Q104    113,283       209,345 SH       DEFINED           4        209,345
MASTERCARD INC               CL A         57636Q104    492,380       909,911 SH       DEFINED       1,2,3        909,911
MATRIX SVC CO                COM          576853105      9,037       606,500 SH       DEFINED           4        606,500
MATRIX SVC CO                COM          576853105      8,042       539,700 SH       DEFINED       1,2,3        539,700
MCDERMOTT INTL INC           COM          580037109      8,481       771,700 SH       DEFINED           4        771,700
MCDERMOTT INTL INC           COM          580037109      8,583       781,000 SH       DEFINED       1,2,3        781,000
MCDONALDS CORP               COM          580135101     35,325       354,350 SH       DEFINED       1,2,3        354,350
MCKESSON CORP                COM          58155Q103      4,124        38,200 SH       DEFINED           4         38,200
MCKESSON CORP                COM          58155Q103     19,739       182,836 SH       DEFINED       1,2,3        182,836
MEAD JOHNSON NUTRITION CO    COM          582839106     80,617     1,040,886 SH       DEFINED           4      1,040,886
MEAD JOHNSON NUTRITION CO    COM          582839106    210,441     2,717,122 SH       DEFINED       1,2,3      2,717,122
MERCADOLIBRE INC             COM          58733R102     14,635       151,563 SH       DEFINED           4        151,563
MERCK & CO INC NEW           COM          58933Y105      8,180       184,948 SH       DEFINED           4        184,948
MERCK & CO INC NEW           COM          58933Y105     17,327       391,750 SH       DEFINED       1,2,3        391,750
METLIFE INC                  COM          59156R108      4,574       120,300 SH       DEFINED           4        120,300
METLIFE INC                  COM          59156R108     22,181       583,400 SH       DEFINED       1,2,3        583,400
METTLER TOLEDO INTERNATIONAL COM          592688105     36,024       168,950 SH       DEFINED           4        168,950
METTLER TOLEDO INTERNATIONAL COM          592688105     20,075        94,150 SH       DEFINED       1,2,3         94,150
MICROS SYS INC               COM          594901100     11,940       262,352 SH       DEFINED           4        262,352
MICROS SYS INC               COM          594901100     32,773       720,131 SH       DEFINED       1,2,3        720,131
MICROCHIP TECHNOLOGY INC     COM          595017104    124,889     3,397,410 SH       DEFINED           4      3,397,410
MICROCHIP TECHNOLOGY INC     COM          595017104    182,412     4,962,240 SH       DEFINED       1,2,3      4,962,240
MICRON TECHNOLOGY INC        COM          595112103    112,120    11,234,500 SH       DEFINED           4     11,234,500
MICRON TECHNOLOGY INC        COM          595112103    179,173    17,953,200 SH       DEFINED       1,2,3     17,953,200







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
MICROSEMI CORP               COM          595137100      8,930       385,400 SH       DEFINED           4        385,400
MICROSEMI CORP               COM          595137100      7,850       338,800 SH       DEFINED       1,2,3        338,800
MIDDLEBY CORP                COM          596278101        761         5,003 SH       DEFINED           4          5,003
MIDDLEBY CORP                COM          596278101      6,071        39,900 SH       DEFINED       1,2,3         39,900
MONSANTO CO NEW              COM          61166W101    173,056     1,638,324 SH       DEFINED           4      1,638,324
MONSANTO CO NEW              COM          61166W101    600,196     5,682,063 SH       DEFINED       1,2,3      5,682,063
MOSAIC CO NEW                COM          61945C103     53,868       903,680 SH       DEFINED           4        903,680
MOSAIC CO NEW                COM          61945C103     59,760     1,002,510 SH       DEFINED       1,2,3      1,002,510
NANOMETRICS INC              COM          630077105      9,709       672,800 SH       DEFINED           4        672,800
NANOMETRICS INC              COM          630077105     17,045     1,181,192 SH       DEFINED       1,2,3      1,181,192
NATIONAL OILWELL VARCO INC   COM          637071101     69,849       987,262 SH       DEFINED           4        987,262
NATIONAL OILWELL VARCO INC   COM          637071101    251,107     3,549,221 SH       DEFINED       1,2,3      3,549,221
NETAPP INC                   COM          64110D104     20,018       586,000 SH       DEFINED           4        586,000
NETAPP INC                   COM          64110D104     10,759       314,950 SH       DEFINED       1,2,3        314,950
NETSUITE INC                 COM          64118Q107      7,839        97,915 SH       DEFINED           4         97,915
NETSUITE INC                 COM          64118Q107      6,853        85,600 SH       DEFINED       1,2,3         85,600
NEWS CORP                    CL A         65248E104    319,596    10,471,690 SH       DEFINED           4     10,471,690
NEWS CORP                    CL A         65248E104     75,836     2,484,800 SH       DEFINED       1,2,3      2,484,800
NEWS CORP                    CL B         65248E203     34,283     1,114,530 SH       DEFINED           4      1,114,530
NEWS CORP                    CL B         65248E203    179,635     5,839,895 SH       DEFINED       1,2,3      5,839,895
NIKE INC                     CL B         654106103     23,075       391,040 SH       DEFINED           4        391,040
NIKE INC                     CL B         654106103    123,953     2,100,540 SH       DEFINED       1,2,3      2,100,540
NOBLE ENERGY INC             COM          655044105     19,821       171,375 SH       DEFINED           4        171,375
NOBLE ENERGY INC             COM          655044105    149,383     1,291,568 SH       DEFINED       1,2,3      1,291,568
NORDSON CORP                 COM          655663102      2,156        32,695 SH       DEFINED           4         32,695
NORDSON CORP                 COM          655663102     24,067       364,930 SH       DEFINED       1,2,3        364,930
NORDSTROM INC                COM          655664100     40,981       742,000 SH       DEFINED           4        742,000
NORDSTROM INC                COM          655664100     25,190       456,100 SH       DEFINED       1,2,3        456,100
NORTHERN TR CORP             COM          665859104    107,334     1,967,260 SH       DEFINED           4      1,967,260
NORTHERN TR CORP             COM          665859104    161,173     2,954,050 SH       DEFINED       1,2,3      2,954,050
O REILLY AUTOMOTIVE INC NEW  COM          67103H107      5,088        49,615 SH       DEFINED           4         49,615
O REILLY AUTOMOTIVE INC NEW  COM          67103H107     30,110       293,615 SH       DEFINED       1,2,3        293,615
OSI SYSTEMS INC              COM          671044105     11,277       181,045 SH       DEFINED           4        181,045
OSI SYSTEMS INC              COM          671044105     23,340       374,700 SH       DEFINED       1,2,3        374,700
OAKTREE CAP GROUP LLC        UNIT
                             99/99/9999   674001201     18,186       356,450 SH       DEFINED           4        356,450
OAKTREE CAP GROUP LLC        UNIT
                             99/99/9999   674001201     11,781       230,900 SH       DEFINED       1,2,3        230,900
OASIS PETE INC NEW           COM          674215108     13,774       361,800 SH       DEFINED           4        361,800
OASIS PETE INC NEW           COM          674215108     15,108       396,850 SH       DEFINED       1,2,3        396,850
OCCIDENTAL PETE CORP DEL     COM          674599105    277,940     3,546,515 SH       DEFINED           4      3,546,515
OCCIDENTAL PETE CORP DEL     COM          674599105     67,901       866,420 SH       DEFINED       1,2,3        866,420
ONYX PHARMACEUTICALS INC     COM          683399109     44,706       503,111 SH       DEFINED           4        503,111
ONYX PHARMACEUTICALS INC     COM          683399109     25,019       281,550 SH       DEFINED       1,2,3        281,550
OPENTABLE INC                COM          68372A104     24,845       394,497 SH       DEFINED           4        394,497
OPENTABLE INC                COM          68372A104     41,992       666,750 SH       DEFINED       1,2,3        666,750
ORACLE CORP                  COM          68389X105     38,127     1,178,950 SH       DEFINED           4      1,178,950
ORACLE CORP                  COM          68389X105    124,034     3,835,297 SH       DEFINED       1,2,3      3,835,297
OWENS ILL INC                COM NEW      690768403      3,774       141,600 SH       DEFINED           4        141,600
OWENS ILL INC                COM NEW      690768403      3,848       144,400 SH       DEFINED       1,2,3        144,400
PDC ENERGY INC               COM          69327R101      3,901        78,700 SH       DEFINED           4         78,700
PDC ENERGY INC               COM          69327R101      5,651       114,000 SH       DEFINED       1,2,3        114,000
PG&E CORP                    COM          69331C108      6,639       149,100 SH       DEFINED           4        149,100
PG&E CORP                    COM          69331C108     27,822       624,800 SH       DEFINED       1,2,3        624,800
PNC FINL SVCS GROUP INC      COM          693475105     15,727       236,500 SH       DEFINED           4        236,500
PNC FINL SVCS GROUP INC      COM          693475105     31,514       473,900 SH       DEFINED       1,2,3        473,900
PPG INDS INC                 COM          693506107     20,944       156,370 SH       DEFINED           4        156,370
PPG INDS INC                 COM          693506107     85,795       640,545 SH       DEFINED       1,2,3        640,545
PPL CORP                     COM          69351T106      3,530       112,756 SH       DEFINED           4        112,756
PPL CORP                     COM          69351T106      7,209       230,258 SH       DEFINED       1,2,3        230,258
PALL CORP                    COM          696429307    140,751     2,058,669 SH       DEFINED           4      2,058,669







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
PALL CORP                    COM          696429307    349,798     5,116,246 SH       DEFINED       1,2,3      5,116,246
PANERA BREAD CO              CL A         69840W108     23,419       141,727 SH       DEFINED           4        141,727
PANERA BREAD CO              CL A         69840W108     63,436       383,900 SH       DEFINED       1,2,3        383,900
PARKER HANNIFIN CORP         COM          701094104     11,017       120,300 SH       DEFINED           4        120,300
PARKER HANNIFIN CORP         COM          701094104     29,067       317,400 SH       DEFINED       1,2,3        317,400
PATTERSON UTI ENERGY INC     COM          703481101     45,503     1,908,700 SH       DEFINED           4      1,908,700
PATTERSON UTI ENERGY INC     COM          703481101     37,361     1,567,150 SH       DEFINED       1,2,3      1,567,150
PAYCHEX INC                  COM          704326107      3,228        92,050 SH       DEFINED           4         92,050
PAYCHEX INC                  COM          704326107     11,582       330,250 SH       DEFINED       1,2,3        330,250
PEABODY ENERGY CORP          COM          704549104        967        45,700 SH       DEFINED           4         45,700
PEABODY ENERGY CORP          COM          704549104      2,459       116,250 SH       DEFINED       1,2,3        116,250
PEPSICO INC                  COM          713448108      3,554        44,930 SH       DEFINED           4         44,930
PEPSICO INC                  COM          713448108     24,524       310,000 SH       DEFINED       1,2,3        310,000
PFIZER INC                   COM          717081103    393,474    13,633,883 SH       DEFINED           4     13,633,883
PFIZER INC                   COM          717081103    267,638     9,273,669 SH       DEFINED       1,2,3      9,273,669
PHILIP MORRIS INTL INC       COM          718172109    720,513     7,771,683 SH       DEFINED           4      7,771,683
PHILIP MORRIS INTL INC       COM          718172109    529,670     5,713,192 SH       DEFINED       1,2,3      5,713,192
PHILLIPS 66                  COM          718546104    507,340     7,250,822 SH       DEFINED           4      7,250,822
PHILLIPS 66                  COM          718546104    220,842     3,156,240 SH       DEFINED       1,2,3      3,156,240
PHOTRONICS INC               COM          719405102     13,248     1,983,300 SH       DEFINED           4      1,983,300
PHOTRONICS INC               COM          719405102     23,278     3,484,798 SH       DEFINED       1,2,3      3,484,798
PHOTRONICS INC               NOTE
                             3.250% 4/0   719405AH5      1,204     1,145,000 PRN      DEFINED       1,2,3      1,145,000
PINNACLE ENTMT INC           COM          723456109        844        57,700 SH       DEFINED       1,2,3         57,700
PIONEER NAT RES CO           COM          723787107      1,472        11,850 SH       DEFINED           4         11,850
PIONEER NAT RES CO           COM          723787107      3,752        30,200 SH       DEFINED       1,2,3         30,200
PLAINS ALL AMERN PIPELINE L  UNIT LTD
                             PARTN        726503105      7,995       141,550 SH       DEFINED           4        141,550
PLAINS ALL AMERN PIPELINE L  UNIT LTD
                             PARTN        726503105     36,283       642,400 SH       DEFINED       1,2,3        642,400
POLYPORE INTL INC            COM          73179V103     56,437     1,404,595 SH       DEFINED           4      1,404,595
POLYPORE INTL INC            COM          73179V103     36,227       901,620 SH       DEFINED       1,2,3        901,620
POOL CORPORATION             COM          73278L105     12,518       260,800 SH       DEFINED           4        260,800
POOL CORPORATION             COM          73278L105     11,030       229,800 SH       DEFINED       1,2,3        229,800
PORTFOLIO RECOVERY ASSOCS IN COM          73640Q105     26,733       210,625 SH       DEFINED           4        210,625
PORTFOLIO RECOVERY ASSOCS IN COM          73640Q105     74,065       583,559 SH       DEFINED       1,2,3        583,559
POWER INTEGRATIONS INC       COM          739276103     10,922       251,600 SH       DEFINED           4        251,600
POWER INTEGRATIONS INC       COM          739276103      9,702       223,500 SH       DEFINED       1,2,3        223,500
POWER ONE INC NEW            COM          73930R102      4,946     1,191,800 SH       DEFINED           4      1,191,800
POWER ONE INC NEW            COM          73930R102     29,098     7,011,600 SH       DEFINED       1,2,3      7,011,600
PRECISION CASTPARTS CORP     COM          740189105     58,797       310,076 SH       DEFINED           4        310,076
PRECISION CASTPARTS CORP     COM          740189105    283,745     1,496,388 SH       DEFINED       1,2,3      1,496,388
PRICE T ROWE GROUP INC       COM          74144T108     35,621       475,776 SH       DEFINED           4        475,776
PRICE T ROWE GROUP INC       COM          74144T108    139,429     1,862,277 SH       DEFINED       1,2,3      1,862,277
PRIMORIS SVCS CORP           COM          74164F103      8,694       393,200 SH       DEFINED           4        393,200
PRIMORIS SVCS CORP           COM          74164F103      7,683       347,500 SH       DEFINED       1,2,3        347,500
PROCERA NETWORKS INC         COM NEW      74269U203      3,398       285,800 SH       DEFINED           4        285,800
PROCERA NETWORKS INC         COM NEW      74269U203      3,102       260,900 SH       DEFINED       1,2,3        260,900
PROTO LABS INC               COM          743713109      1,636        33,320 SH       DEFINED           4         33,320
PROTO LABS INC               COM          743713109     19,653       400,266 SH       DEFINED       1,2,3        400,266
QLIK TECHNOLOGIES INC        COM          74733T105     10,536       407,900 SH       DEFINED           4        407,900
QLIK TECHNOLOGIES INC        COM          74733T105      9,451       365,900 SH       DEFINED       1,2,3        365,900
QUALCOMM INC                 COM          747525103     61,849       923,805 SH       DEFINED           4        923,805
QUALCOMM INC                 COM          747525103    193,747     2,893,906 SH       DEFINED       1,2,3      2,893,906
QUIKSILVER INC               COM          74838C106      4,169       686,800 SH       DEFINED           4        686,800
QUIKSILVER INC               COM          74838C106      3,895       641,700 SH       DEFINED       1,2,3        641,700
RAMBUS INC DEL               COM          750917106      2,435       434,000 SH       DEFINED           4        434,000
RAMBUS INC DEL               COM          750917106      3,760       670,318 SH       DEFINED       1,2,3        670,318
RALPH LAUREN CORP            CL A         751212101     17,007       100,450 SH       DEFINED           4        100,450
RALPH LAUREN CORP            CL A         751212101    127,575       753,498 SH       DEFINED       1,2,3        753,498
RAVEN INDS INC               COM          754212108      2,374        70,640 SH       DEFINED           4         70,640
RAVEN INDS INC               COM          754212108     18,795       559,200 SH       DEFINED       1,2,3        559,200







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
REALOGY HLDGS CORP           COM          75605Y106     14,652       300,000 SH       DEFINED       1,2,3        300,000
REGENCY ENERGY PARTNERS L P  COM UNITS
                             L P          75885Y107     12,506       498,650 SH       DEFINED           4        498,650
REGENCY ENERGY PARTNERS L P  COM UNITS
                             L P          75885Y107     35,240     1,405,115 SH       DEFINED       1,2,3      1,405,115
REINSURANCE GROUP AMER INC   COM NEW      759351604      5,490        92,000 SH       DEFINED           4         92,000
REINSURANCE GROUP AMER INC   COM NEW      759351604      5,591        93,700 SH       DEFINED       1,2,3         93,700
RIO TINTO PLC                SPONSORED
                             ADR          767204100      3,161        67,150 SH       DEFINED           4         67,150
RIO TINTO PLC                SPONSORED
                             ADR          767204100     11,443       243,050 SH       DEFINED       1,2,3        243,050
ROCKWELL AUTOMATION INC      COM          773903109      8,540        98,900 SH       DEFINED           4         98,900
ROCKWELL AUTOMATION INC      COM          773903109     12,132       140,500 SH       DEFINED       1,2,3        140,500
ROPER INDS INC NEW           COM          776696106     39,810       312,700 SH       DEFINED           4        312,700
ROPER INDS INC NEW           COM          776696106     22,031       173,050 SH       DEFINED       1,2,3        173,050
ROSETTA RESOURCES INC        COM          777779307      2,955        62,100 SH       DEFINED           4         62,100
ROSETTA RESOURCES INC        COM          777779307      2,655        55,800 SH       DEFINED       1,2,3         55,800
ROUNDYS INC                  COM          779268101      5,832       887,715 SH       DEFINED           4        887,715
ROUNDYS INC                  COM          779268101      3,679       560,000 SH       DEFINED       1,2,3        560,000
RUSH ENTERPRISES INC         CL A         781846209     10,806       448,000 SH       DEFINED           4        448,000
RUSH ENTERPRISES INC         CL A         781846209      9,455       392,000 SH       DEFINED       1,2,3        392,000
SBA COMMUNICATIONS CORP      COM          78388J106      8,550       118,720 SH       DEFINED           4        118,720
SBA COMMUNICATIONS CORP      COM          78388J106     70,661       981,130 SH       DEFINED       1,2,3        981,130
SPDR GOLD TRUST              GOLD SHS     78463V107      6,348        41,100 SH       DEFINED       1,2,3         41,100
SS&C TECHNOLOGIES HLDGS INC  COM          78467J100      9,875       329,400 SH       DEFINED           4        329,400
SS&C TECHNOLOGIES HLDGS INC  COM          78467J100      9,228       307,800 SH       DEFINED       1,2,3        307,800
SVB FINL GROUP               COM          78486Q101     31,207       439,900 SH       DEFINED           4        439,900
SVB FINL GROUP               COM          78486Q101     27,660       389,900 SH       DEFINED       1,2,3        389,900
SAFEGUARD SCIENTIFICS INC    COM NEW      786449207      2,621       165,900 SH       DEFINED           4        165,900
SAFEGUARD SCIENTIFICS INC    COM NEW      786449207      2,302       145,700 SH       DEFINED       1,2,3        145,700
SAIA INC                     COM          78709Y105      2,344        64,800 SH       DEFINED           4         64,800
SAIA INC                     COM          78709Y105      2,380        65,800 SH       DEFINED       1,2,3         65,800
ST JUDE MED INC              COM          790849103     26,960       666,661 SH       DEFINED           4        666,661
ST JUDE MED INC              COM          790849103     15,440       381,800 SH       DEFINED       1,2,3        381,800
SALIX PHARMACEUTICALS INC    COM          795435106      8,692       169,830 SH       DEFINED       1,2,3        169,830
SANMINA CORPORATION          COM          801056102      4,063       357,670 SH       DEFINED       1,2,3        357,670
SAPIENT CORP                 COM          803062108        546        44,803 SH       DEFINED           4         44,803
SAPIENT CORP                 COM          803062108      4,329       355,150 SH       DEFINED       1,2,3        355,150
SCHEIN HENRY INC             COM          806407102     62,240       672,500 SH       DEFINED           4        672,500
SCHEIN HENRY INC             COM          806407102     36,252       391,700 SH       DEFINED       1,2,3        391,700
SCHLUMBERGER LTD             COM          806857108     81,975     1,094,604 SH       DEFINED           4      1,094,604
SCHLUMBERGER LTD             COM          806857108    340,338     4,544,511 SH       DEFINED       1,2,3      4,544,511
SCHWAB CHARLES CORP NEW      COM          808513105      9,087       513,660 SH       DEFINED           4        513,660
SCHWAB CHARLES CORP NEW      COM          808513105     66,333     3,749,755 SH       DEFINED       1,2,3      3,749,755
SCOTTS MIRACLE GRO CO        CL A         810186106     35,375       818,100 SH       DEFINED           4        818,100
SCOTTS MIRACLE GRO CO        CL A         810186106     19,631       454,000 SH       DEFINED       1,2,3        454,000
SCRIPPS E W CO OHIO          CL A NEW     811054402      4,172       346,761 SH       DEFINED           4        346,761
SCRIPPS E W CO OHIO          CL A NEW     811054402      4,242       352,600 SH       DEFINED       1,2,3        352,600
SELECT COMFORT CORP          COM          81616X103      4,242       214,580 SH       DEFINED       1,2,3        214,580
SEMTECH CORP                 COM          816850101     21,917       619,300 SH       DEFINED           4        619,300
SEMTECH CORP                 COM          816850101     23,539       665,141 SH       DEFINED       1,2,3        665,141
SERVICENOW INC               COM          81762P102     21,407       591,355 SH       DEFINED           4        591,355
SERVICENOW INC               COM          81762P102     11,933       329,650 SH       DEFINED       1,2,3        329,650
SHERWIN WILLIAMS CO          COM          824348106     11,476        67,950 SH       DEFINED           4         67,950
SHERWIN WILLIAMS CO          COM          824348106     86,626       512,914 SH       DEFINED       1,2,3        512,914
SHUTTERFLY INC               COM          82568P304      2,209        50,000 SH       DEFINED       1,2,3         50,000
SIGNATURE BK NEW YORK N Y    COM          82669G104     82,824     1,051,606 SH       DEFINED           4      1,051,606
SIGNATURE BK NEW YORK N Y    COM          82669G104     60,440       767,400 SH       DEFINED       1,2,3        767,400
SILVER SPRING NETWORKS INC   COM          82817Q103      7,630       440,300 SH       DEFINED           4        440,300
SILVER SPRING NETWORKS INC   COM          82817Q103     11,882       685,660 SH       DEFINED       1,2,3        685,660
SMITH A O                    COM          831865209      7,250        98,550 SH       DEFINED       1,2,3         98,550
SOLERA HOLDINGS INC          COM          83421A104     56,472       968,145 SH       DEFINED           4        968,145
SOLERA HOLDINGS INC          COM          83421A104     44,684       766,050 SH       DEFINED       1,2,3        766,050







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
SOUTHWEST GAS CORP           COM          844895102      5,442       114,658 SH       DEFINED           4        114,658
SOUTHWEST GAS CORP           COM          844895102      5,540       116,728 SH       DEFINED       1,2,3        116,728
SOUTHWESTERN ENERGY CO       COM          845467109     30,086       807,450 SH       DEFINED           4        807,450
SOUTHWESTERN ENERGY CO       COM          845467109     34,736       932,250 SH       DEFINED       1,2,3        932,250
SPANSION INC                 COM CL A
                             NEW          84649R200     13,188     1,024,700 SH       DEFINED           4      1,024,700
SPANSION INC                 COM CL A
                             NEW          84649R200     19,098     1,483,901 SH       DEFINED       1,2,3      1,483,901
SPREADTRUM COMMUNICATIONS IN ADR          849415203     18,090       882,000 SH       DEFINED           4        882,000
SPREADTRUM COMMUNICATIONS IN ADR          849415203     34,797     1,696,600 SH       DEFINED       1,2,3      1,696,600
SPRINT NEXTEL CORP           COM SER 1    852061100     51,465     8,287,500 SH       DEFINED           4      8,287,500
SPRINT NEXTEL CORP           COM SER 1    852061100     84,760    13,648,984 SH       DEFINED       1,2,3     13,648,984
STARBUCKS CORP               COM          855244109     57,603     1,011,285 SH       DEFINED           4      1,011,285
STARBUCKS CORP               COM          855244109    212,419     3,729,259 SH       DEFINED       1,2,3      3,729,259
STARWOOD HOTELS&RESORTS WRLD COM          85590A401    521,904     8,189,305 SH       DEFINED           4      8,189,305
STARWOOD HOTELS&RESORTS WRLD COM          85590A401    193,910     3,042,677 SH       DEFINED       1,2,3      3,042,677
STERICYCLE INC               COM          858912108     50,605       476,600 SH       DEFINED           4        476,600
STERICYCLE INC               COM          858912108     29,844       281,070 SH       DEFINED       1,2,3        281,070
STRATEGIC HOTELS & RESORTS I COM          86272T106      5,764       690,300 SH       DEFINED           4        690,300
STRATEGIC HOTELS & RESORTS I COM          86272T106      5,838       699,200 SH       DEFINED       1,2,3        699,200
SUBURBAN PROPANE PARTNERS L  UNIT LTD
                             PARTN        864482104        985        22,141 SH       DEFINED       1,2,3         22,141
SUNCOR ENERGY INC NEW        COM          867224107      1,287        42,900 SH       DEFINED           4         42,900
SUNCOR ENERGY INC NEW        COM          867224107      3,304       110,100 SH       DEFINED       1,2,3        110,100
SUNCOKE ENERGY PARTNERS L P  COMUNIT
                             REP LT       86722Y101      4,305       206,000 SH       DEFINED           4        206,000
SUNCOKE ENERGY PARTNERS L P  COMUNIT
                             REP LT       86722Y101      4,353       208,300 SH       DEFINED       1,2,3        208,300
SUNTRUST BKS INC             COM          867914103      5,109       177,350 SH       DEFINED           4        177,350
SUNTRUST BKS INC             COM          867914103     24,532       851,500 SH       DEFINED       1,2,3        851,500
SUPERIOR ENERGY SVCS INC     COM          868157108      1,866        71,850 SH       DEFINED           4         71,850
SUPERIOR ENERGY SVCS INC     COM          868157108     10,826       416,860 SH       DEFINED       1,2,3        416,860
SWIFT TRANSN CO              CL A         87074U101      6,028       425,110 SH       DEFINED       1,2,3        425,110
SYNCHRONOSS TECHNOLOGIES INC COM          87157B103      4,509       145,300 SH       DEFINED           4        145,300
SYNCHRONOSS TECHNOLOGIES INC COM          87157B103     10,832       349,090 SH       DEFINED       1,2,3        349,090
THL CR INC                   COM          872438106      3,670       245,000 SH       DEFINED           4        245,000
THL CR INC                   COM          872438106      3,735       249,300 SH       DEFINED       1,2,3        249,300
TRI POINTE HOMES INC         COM          87265H109      2,096       104,000 SH       DEFINED           4        104,000
TRI POINTE HOMES INC         COM          87265H109      5,964       296,000 SH       DEFINED       1,2,3        296,000
TARGET CORP                  COM          87612E106     10,093       147,450 SH       DEFINED           4        147,450
TARGET CORP                  COM          87612E106     45,310       661,950 SH       DEFINED       1,2,3        661,950
TARGA RES CORP               COM          87612G101      1,648        24,250 SH       DEFINED           4         24,250
TARGA RES CORP               COM          87612G101     17,553       258,280 SH       DEFINED       1,2,3        258,280
TEAM INC                     COM          878155100     15,767       383,900 SH       DEFINED           4        383,900
TEAM INC                     COM          878155100     13,910       338,700 SH       DEFINED       1,2,3        338,700
TEAM HEALTH HOLDINGS INC     COM          87817A107      1,615        44,400 SH       DEFINED           4         44,400
TEAM HEALTH HOLDINGS INC     COM          87817A107      1,644        45,200 SH       DEFINED       1,2,3         45,200
TENET HEALTHCARE CORP        COM NEW      88033G407     82,675     1,737,600 SH       DEFINED           4      1,737,600
TENET HEALTHCARE CORP        COM NEW      88033G407    125,053     2,628,275 SH       DEFINED       1,2,3      2,628,275
TERADATA CORP DEL            COM          88076W103     62,469     1,067,665 SH       DEFINED           4      1,067,665
TERADATA CORP DEL            COM          88076W103     35,779       611,500 SH       DEFINED       1,2,3        611,500
TERADYNE INC                 COM          880770102      5,233       322,600 SH       DEFINED           4        322,600
TERADYNE INC                 COM          880770102      5,440       335,400 SH       DEFINED       1,2,3        335,400
TEREX CORP NEW               COM          880779103      3,769       109,500 SH       DEFINED           4        109,500
TEREX CORP NEW               COM          880779103      3,838       111,500 SH       DEFINED       1,2,3        111,500
TEVA PHARMACEUTICAL INDS LTD ADR          881624209     44,834     1,129,890 SH       DEFINED           4      1,129,890
TEVA PHARMACEUTICAL INDS LTD ADR          881624209     77,012     1,940,830 SH       DEFINED       1,2,3      1,940,830
TEXAS INSTRS INC             COM          882508104     19,574       551,700 SH       DEFINED           4        551,700
TEXAS INSTRS INC             COM          882508104    122,637     3,456,515 SH       DEFINED       1,2,3      3,456,515
THORATEC CORP                COM NEW      885175307      6,889       183,700 SH       DEFINED           4        183,700
THORATEC CORP                COM NEW      885175307      6,304       168,100 SH       DEFINED       1,2,3        168,100
3M CO                        COM          88579Y101      7,739        72,800 SH       DEFINED           4         72,800
3M CO                        COM          88579Y101     10,971       103,200 SH       DEFINED       1,2,3        103,200
TIME WARNER CABLE INC        COM          88732J207     33,807       351,936 SH       DEFINED           4        351,936







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
TIME WARNER CABLE INC        COM          88732J207    147,982     1,540,520 SH       DEFINED       1,2,3      1,540,520
TITAN INTL INC ILL           COM          88830M102        566        26,837 SH       DEFINED       1,2,3         26,837
TITAN MACHY INC              COM          88830R101      4,395       158,370 SH       DEFINED       1,2,3        158,370
TRAVELERS COMPANIES INC      COM          89417E109     10,953       130,100 SH       DEFINED           4        130,100
TRAVELERS COMPANIES INC      COM          89417E109     15,701       186,500 SH       DEFINED       1,2,3        186,500
TRIMBLE NAVIGATION LTD       COM          896239100     53,856     1,797,588 SH       DEFINED           4      1,797,588
TRIMBLE NAVIGATION LTD       COM          896239100     31,269     1,043,688 SH       DEFINED       1,2,3      1,043,688
TRIUMPH GROUP INC NEW        COM          896818101      4,757        60,600 SH       DEFINED           4         60,600
TRIUMPH GROUP INC NEW        COM          896818101      4,812        61,300 SH       DEFINED       1,2,3         61,300
TUMI HLDGS INC               COM          89969Q104     12,756       609,180 SH       DEFINED           4        609,180
TUMI HLDGS INC               COM          89969Q104     16,469       786,500 SH       DEFINED       1,2,3        786,500
21VIANET GROUP INC           SPONSORED
                             ADR          90138A103      8,047       856,100 SH       DEFINED           4        856,100
21VIANET GROUP INC           SPONSORED
                             ADR          90138A103     13,763     1,464,200 SH       DEFINED       1,2,3      1,464,200
II VI INC                    COM          902104108      7,348       431,200 SH       DEFINED           4        431,200
II VI INC                    COM          902104108      6,533       383,400 SH       DEFINED       1,2,3        383,400
TYLER TECHNOLOGIES INC       COM          902252105      9,632       157,228 SH       DEFINED           4        157,228
TYLER TECHNOLOGIES INC       COM          902252105     37,838       617,670 SH       DEFINED       1,2,3        617,670
UMB FINL CORP                COM          902788108     28,861       588,150 SH       DEFINED           4        588,150
UMB FINL CORP                COM          902788108     18,573       378,500 SH       DEFINED       1,2,3        378,500
ULTA SALON COSMETCS & FRAG I COM          90384S303     52,292       644,233 SH       DEFINED           4        644,233
ULTA SALON COSMETCS & FRAG I COM          90384S303     31,762       391,300 SH       DEFINED       1,2,3        391,300
ULTIMATE SOFTWARE GROUP INC  COM          90385D107     49,966       479,709 SH       DEFINED           4        479,709
ULTIMATE SOFTWARE GROUP INC  COM          90385D107     59,654       572,712 SH       DEFINED       1,2,3        572,712
UNDER ARMOUR INC             CL A         904311107     80,116     1,564,771 SH       DEFINED           4      1,564,771
UNDER ARMOUR INC             CL A         904311107    203,115     3,967,092 SH       DEFINED       1,2,3      3,967,092
UNION PAC CORP               COM          907818108     97,878       687,296 SH       DEFINED           4        687,296
UNION PAC CORP               COM          907818108    418,887     2,941,418 SH       DEFINED       1,2,3      2,941,418
UNITED NAT FOODS INC         COM          911163103      9,461       192,288 SH       DEFINED           4        192,288
UNITED NAT FOODS INC         COM          911163103      8,507       172,900 SH       DEFINED       1,2,3        172,900
UNITED RENTALS INC           COM          911363109      5,967       108,550 SH       DEFINED       1,2,3        108,550
UNITED STATIONERS INC        COM          913004107      9,771       252,800 SH       DEFINED           4        252,800
UNITED STATIONERS INC        COM          913004107      8,766       226,800 SH       DEFINED       1,2,3        226,800
UNITEDHEALTH GROUP INC       COM          91324P102    141,389     2,471,400 SH       DEFINED           4      2,471,400
UNITEDHEALTH GROUP INC       COM          91324P102    160,404     2,803,770 SH       DEFINED       1,2,3      2,803,770
UNIVERSAL HLTH SVCS INC      CL B         913903100        422         6,600 SH       DEFINED           4          6,600
UNIVERSAL HLTH SVCS INC      CL B         913903100      3,602        56,400 SH       DEFINED       1,2,3         56,400
V F CORP                     COM          918204108     41,996       250,350 SH       DEFINED           4        250,350
V F CORP                     COM          918204108     21,917       130,650 SH       DEFINED       1,2,3        130,650
VAIL RESORTS INC             COM          91879Q109     18,827       302,100 SH       DEFINED           4        302,100
VAIL RESORTS INC             COM          91879Q109     38,601       619,400 SH       DEFINED       1,2,3        619,400
VALASSIS COMMUNICATIONS INC  COM          918866104      4,206       140,800 SH       DEFINED           4        140,800
VALASSIS COMMUNICATIONS INC  COM          918866104      4,277       143,200 SH       DEFINED       1,2,3        143,200
VALERO ENERGY CORP NEW       COM          91913Y100        594        13,050 SH       DEFINED           4         13,050
VALERO ENERGY CORP NEW       COM          91913Y100      1,497        32,900 SH       DEFINED       1,2,3         32,900
VANTIV INC                   CL A         92210H105     69,100     2,910,720 SH       DEFINED           4      2,910,720
VANTIV INC                   CL A         92210H105     40,159     1,691,600 SH       DEFINED       1,2,3      1,691,600
VARIAN MED SYS INC           COM          92220P105     87,984     1,222,000 SH       DEFINED           4      1,222,000
VARIAN MED SYS INC           COM          92220P105     52,081       723,350 SH       DEFINED       1,2,3        723,350
VASCULAR SOLUTIONS INC       COM          92231M109      3,943       243,121 SH       DEFINED       1,2,3        243,121
VERA BRADLEY INC             COM          92335C106      1,182        50,000 SH       DEFINED       1,2,3         50,000
VERTEX PHARMACEUTICALS INC   COM          92532F100     55,832     1,015,500 SH       DEFINED           4      1,015,500
VERTEX PHARMACEUTICALS INC   COM          92532F100     88,809     1,615,300 SH       DEFINED       1,2,3      1,615,300
VISA INC                     COM CL A     92826C839     94,314       555,310 SH       DEFINED           4        555,310
VISA INC                     COM CL A     92826C839    369,673     2,176,597 SH       DEFINED       1,2,3      2,176,597
VISTEON CORP                 COM NEW      92839U206      7,184       124,500 SH       DEFINED           4        124,500
VISTEON CORP                 COM NEW      92839U206      7,466       129,400 SH       DEFINED       1,2,3        129,400
VMWARE INC                   CL A COM     928563402      8,202       103,980 SH       DEFINED           4        103,980
VMWARE INC                   CL A COM     928563402     35,885       454,928 SH       DEFINED       1,2,3        454,928
VOCERA COMMUNICATIONS INC    COM          92857F107      1,417        61,595 SH       DEFINED           4         61,595







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
VOCERA COMMUNICATIONS INC    COM          92857F107     14,221       618,290 SH       DEFINED       1,2,3        618,290
VOLCANO CORPORATION          COM          928645100     32,026     1,438,717 SH       DEFINED           4      1,438,717
VOLCANO CORPORATION          COM          928645100     66,624     2,992,980 SH       DEFINED       1,2,3      2,992,980
WNS HOLDINGS LTD             SPON ADR     92932M101     31,154     2,113,567 SH       DEFINED           4      2,113,567
WNS HOLDINGS LTD             SPON ADR     92932M101     52,614     3,569,454 SH       DEFINED       1,2,3      3,569,454
WABASH NATL CORP             COM          929566107     10,070       991,100 SH       DEFINED           4        991,100
WABASH NATL CORP             COM          929566107     16,115     1,586,140 SH       DEFINED       1,2,3      1,586,140
WABTEC CORP                  COM          929740108     27,534       269,651 SH       DEFINED           4        269,651
WABTEC CORP                  COM          929740108     70,113       686,645 SH       DEFINED       1,2,3        686,645
WAGEWORKS INC                COM          930427109      1,210        48,334 SH       DEFINED           4         48,334
WAGEWORKS INC                COM          930427109     13,106       523,600 SH       DEFINED       1,2,3        523,600
WALTER ENERGY INC            COM          93317Q105      2,710        95,100 SH       DEFINED           4         95,100
WASTE CONNECTIONS INC        COM          941053100     18,215       506,242 SH       DEFINED           4        506,242
WASTE CONNECTIONS INC        COM          941053100     34,512       959,200 SH       DEFINED       1,2,3        959,200
WATSCO INC                   COM          942622200     19,969       237,214 SH       DEFINED           4        237,214
WATSCO INC                   COM          942622200     31,929       379,300 SH       DEFINED       1,2,3        379,300
WELLPOINT INC                COM          94973V107      4,755        71,800 SH       DEFINED           4         71,800
WELLPOINT INC                COM          94973V107     23,234       350,815 SH       DEFINED       1,2,3        350,815
WELLS FARGO & CO NEW         COM          949746101    324,624     8,775,980 SH       DEFINED           4      8,775,980
WELLS FARGO & CO NEW         COM          949746101     76,899     2,078,920 SH       DEFINED       1,2,3      2,078,920
WERNER ENTERPRISES INC       COM          950755108      1,308        54,200 SH       DEFINED           4         54,200
WERNER ENTERPRISES INC       COM          950755108      1,333        55,200 SH       DEFINED       1,2,3         55,200
WHITEWAVE FOODS CO           COM CL A     966244105        496        29,054 SH       DEFINED           4         29,054
WHITEWAVE FOODS CO           COM CL A     966244105      6,297       368,910 SH       DEFINED       1,2,3        368,910
WHOLE FOODS MKT INC          COM          966837106      8,710       100,400 SH       DEFINED           4        100,400
WHOLE FOODS MKT INC          COM          966837106     12,986       149,700 SH       DEFINED       1,2,3        149,700
WILLIAMS COS INC DEL         COM          969457100      1,860        49,650 SH       DEFINED           4         49,650
WILLIAMS COS INC DEL         COM          969457100      4,651       124,150 SH       DEFINED       1,2,3        124,150
WILLIAMS SONOMA INC          COM          969904101     35,607       691,136 SH       DEFINED           4        691,136
WILLIAMS SONOMA INC          COM          969904101     20,611       400,050 SH       DEFINED       1,2,3        400,050
WINDSTREAM CORP              COM          97381W104     11,745     1,477,300 SH       DEFINED           4      1,477,300
WINDSTREAM CORP              COM          97381W104     18,505     2,327,700 SH       DEFINED       1,2,3      2,327,700
WINTRUST FINANCIAL CORP      COM          97650W108      1,500        40,500 SH       DEFINED           4         40,500
WINTRUST FINANCIAL CORP      COM          97650W108      1,524        41,147 SH       DEFINED       1,2,3         41,147
WISDOMTREE INVTS INC         COM          97717P104      7,144       686,960 SH       DEFINED       1,2,3        686,960
WYNN RESORTS LTD             COM          983134107  1,382,991    11,049,786 SH       DEFINED           4     11,049,786
WYNN RESORTS LTD             COM          983134107    454,569     3,631,902 SH       DEFINED       1,2,3      3,631,902
XEROX CORP                   COM          984121103      4,710       547,701 SH       DEFINED           4        547,701
XEROX CORP                   COM          984121103     22,684     2,637,701 SH       DEFINED       1,2,3      2,637,701
XUEDA ED GROUP               SPONSORED
                             ADR          98418W109        740       238,020 SH       DEFINED           4        238,020
YAHOO INC                    COM          984332106     28,324     1,203,750 SH       DEFINED           4      1,203,750
YAHOO INC                    COM          984332106     13,357       567,660 SH       DEFINED       1,2,3        567,660
YUM BRANDS INC               COM          988498101        283         3,940 SH       DEFINED           4          3,940
YUM BRANDS INC               COM          988498101      2,332        32,410 SH       DEFINED       1,2,3         32,410
ZILLOW INC                   CL A         98954A107     37,425       684,559 SH       DEFINED           4        684,559
ZILLOW INC                   CL A         98954A107     21,346       390,450 SH       DEFINED       1,2,3        390,450
ZIMMER HLDGS INC             COM          98956P102     49,764       661,578 SH       DEFINED           4        661,578
ZIMMER HLDGS INC             COM          98956P102     28,798       382,850 SH       DEFINED       1,2,3        382,850
ZIONS BANCORPORATION         COM          989701107      4,978       199,183 SH       DEFINED           4        199,183
ZIONS BANCORPORATION         COM          989701107      9,439       377,700 SH       DEFINED       1,2,3        377,700
ZOETIS INC                   CL A         98978V103      2,574        77,060 SH       DEFINED           4         77,060
ZOETIS INC                   CL A         98978V103     11,490       344,000 SH       DEFINED       1,2,3        344,000
ZUMIEZ INC                   COM          989817101     13,264       579,224 SH       DEFINED           4        579,224
ZUMIEZ INC                   COM          989817101     37,872     1,653,783 SH       DEFINED       1,2,3      1,653,783
ARCOS DORADOS HOLDINGS INC   SHS CLASS
                             - A -        G0457F107      1,320       100,000 SH       DEFINED       1,2,3        100,000
ARGO GROUP INTL HLDGS LTD    COM          G0464B107      7,026       169,800 SH       DEFINED           4        169,800
ARGO GROUP INTL HLDGS LTD    COM          G0464B107      7,113       171,900 SH       DEFINED       1,2,3        171,900
ACCENTURE PLC IRELAND        SHS CLASS A  G1151C101      3,084        40,600 SH       DEFINED           4         40,600
ACCENTURE PLC IRELAND        SHS CLASS A  G1151C101        501         6,600 SH       DEFINED       1,2,3          6,600







                    31-Mar-13
            ITEM 1             ITEM 2      ITEM 3    ITEM 4           ITEM 5            ITEM 6    ITEM 7            ITEM 8
---------------------------- ----------- ---------- ---------- ---------------------- ---------- -------- --------------------------
                                                                                                             VOTING AUTHORITY
                                                       FAIR       SHARES/                        MANAGERS          (SHARES)
                               TITLE OF     CUSIP     MARKET     PRINCIPAL   SH/ PUT/ INVESTMENT   SEE                    (B)   (C)
        NAME OF ISSUE            CLASS     NUMBER     VALUE       AMOUNT     PRN CALL DISCRETION INSTR V    (A) SOLE     SHARED NONE
---------------------------- ----------- ---------- ---------- ------------- --- ---- ---------- -------- -------------- ------ ----
                                                                                               
COSAN LTD                    SHS A        G25343107      1,002        51,400 SH       DEFINED           4         51,400
COVIDIEN PLC                 SHS          G2554F113     24,674       363,710 SH       DEFINED           4        363,710
COVIDIEN PLC                 SHS          G2554F113    113,433     1,672,069 SH       DEFINED       1,2,3      1,672,069
EATON CORP PLC               SHS          G29183103      7,110       116,080 SH       DEFINED           4        116,080
EATON CORP PLC               SHS          G29183103     12,691       207,200 SH       DEFINED       1,2,3        207,200
ENDURANCE SPECIALTY HLDGS LT SHS          G30397106      6,407       134,000 SH       DEFINED           4        134,000
ENDURANCE SPECIALTY HLDGS LT SHS          G30397106      6,507       136,100 SH       DEFINED       1,2,3        136,100
ENSCO PLC                    SHS CLASS A  G3157S106      1,151        19,175 SH       DEFINED           4         19,175
ENSCO PLC                    SHS CLASS A  G3157S106      2,940        49,000 SH       DEFINED       1,2,3         49,000
FREESCALE SEMICONDUCTOR LTD  SHS          G3727Q101      4,555       305,900 SH       DEFINED           4        305,900
FREESCALE SEMICONDUCTOR LTD  SHS          G3727Q101      4,640       311,600 SH       DEFINED       1,2,3        311,600
KOSMOS ENERGY LTD            SHS          G5315B107      5,172       457,700 SH       DEFINED           4        457,700
MARVELL TECHNOLOGY GROUP LTD ORD          G5876H105     20,218     1,911,000 SH       DEFINED           4      1,911,000
MARVELL TECHNOLOGY GROUP LTD ORD          G5876H105     30,541     2,886,700 SH       DEFINED       1,2,3      2,886,700
MICHAEL KORS HLDGS LTD       SHS          G60754101     35,127       618,540 SH       DEFINED           4        618,540
MICHAEL KORS HLDGS LTD       SHS          G60754101     19,314       340,100 SH       DEFINED       1,2,3        340,100
NORWEGIAN CRUISE LINE HLDGS  SHS          G66721104     30,344     1,023,398 SH       DEFINED           4      1,023,398
NORWEGIAN CRUISE LINE HLDGS  SHS          G66721104     17,514       590,700 SH       DEFINED       1,2,3        590,700
RENAISSANCERE HOLDINGS LTD   COM          G7496G103      4,250        46,200 SH       DEFINED           4         46,200
RENAISSANCERE HOLDINGS LTD   COM          G7496G103     20,716       225,200 SH       DEFINED       1,2,3        225,200
SEADRILL LIMITED             SHS          G7945E105     12,964       348,400 SH       DEFINED           4        348,400
SEADRILL LIMITED             SHS          G7945E105     23,215       623,900 SH       DEFINED       1,2,3        623,900
SINA CORP                    ORD          G81477104      9,805       201,800 SH       DEFINED           4        201,800
VALIDUS HOLDINGS LTD         COM SHS      G9319H102     11,398       305,000 SH       DEFINED           4        305,000
VALIDUS HOLDINGS LTD         COM SHS      G9319H102     38,271     1,024,100 SH       DEFINED       1,2,3      1,024,100
ACE LTD                      SHS          H0023R105     14,413       162,000 SH       DEFINED           4        162,000
ACE LTD                      SHS          H0023R105     46,924       527,411 SH       DEFINED       1,2,3        527,411
WEATHERFORD INTERNATIONAL LT REG SHS      H27013103      1,672       137,700 SH       DEFINED           4        137,700
WEATHERFORD INTERNATIONAL LT REG SHS      H27013103      4,180       344,350 SH       DEFINED       1,2,3        344,350
FOSTER WHEELER AG            COM          H27178104      5,521       241,600 SH       DEFINED           4        241,600
FOSTER WHEELER AG            COM          H27178104      5,587       244,500 SH       DEFINED       1,2,3        244,500
PENTAIR LTD                  SHS          H6169Q108    129,962     2,463,741 SH       DEFINED           4      2,463,741
PENTAIR LTD                  SHS          H6169Q108    389,248     7,379,118 SH       DEFINED       1,2,3      7,379,118
TRANSOCEAN LTD               REG SHS      H8817H100      2,395        46,100 SH       DEFINED           4         46,100
TRANSOCEAN LTD               REG SHS      H8817H100      5,983       115,150 SH       DEFINED       1,2,3        115,150
ARCELORMITTAL SA LUXEMBOURG  MAND CV NT
                             16           L0302D178      2,520       120,000 PRN      DEFINED           4        120,000
ARCELORMITTAL SA LUXEMBOURG  MAND CV NT
                             16           L0302D178      2,520       120,000 PRN      DEFINED       1,2,3        120,000
ALLOT COMMUNICATIONS LTD     SHS          M0854Q105     10,566       884,900 SH       DEFINED           4        884,900
ALLOT COMMUNICATIONS LTD     SHS          M0854Q105     18,347     1,536,621 SH       DEFINED       1,2,3      1,536,621
CHECK POINT SOFTWARE TECH LT ORD          M22465104      3,115        66,300 SH       DEFINED           4         66,300
CHECK POINT SOFTWARE TECH LT ORD          M22465104      4,516        96,100 SH       DEFINED       1,2,3         96,100
ASML HOLDING N V             N Y
                                                                        REGISTRY

                             SHS          N07059210     14,477       212,870 SH       DEFINED           4        212,870
ASML HOLDING N V             N Y
                                                                        REGISTRY

                             SHS          N07059210     37,678       554,006 SH       DEFINED       1,2,3        554,006
CORE LABORATORIES N V        COM          N22717107     15,033       109,000 SH       DEFINED           4        109,000
CORE LABORATORIES N V        COM          N22717107     74,621       541,046 SH       DEFINED       1,2,3        541,046
LYONDELLBASELL INDUSTRIES N  SHS - A -    N53745100      9,623       152,050 SH       DEFINED           4        152,050
LYONDELLBASELL INDUSTRIES N  SHS - A -    N53745100     48,797       771,000 SH       DEFINED       1,2,3        771,000
COPA HOLDINGS SA             CL A         P31076105     22,600       188,951 SH       DEFINED           4        188,951
SEADRILL PARTNERS LLC        COMUNIT
                             REP LB       Y7545W109      2,189        78,900 SH       DEFINED           4         78,900
SEADRILL PARTNERS LLC        COMUNIT
                             REP LB       Y7545W109      4,432       159,700 SH       DEFINED       1,2,3        159,700
                                                    46,865,932 1,004,976,975                               1,004,976,975