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, 2012

Check here if Amendment [_]; Amendment Number:

This Amendment (Check only one.):  [_] is a restatement.
                                   [_] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:    Knight Capital Group, Inc
Address: 545 Washington Blvd
         Jersey City , N.J. 07310

Form 13F File Number: 28-13543

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.

Person Signing this Report on Behalf of Reporting Manager:

Name:    Thomas M. Merritt
Title:   Deputy General Counsel
Phone:   201-557-6949

Signature, Place, and Date of Signing:

 Thomas M. Merritt     Jersey City, NJ 07310     5/14/12
--------------------  ------------------------  ---------
   [Signature]            [City, State]          [Date]

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (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).)

List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

    Form 13F File Number       Name

    28-

[Repeat as necessary.]



                                   FORM 13F

                                 SUMMARY PAGE

Report Summary:

Number of Other Included Managers:      2
Form 13F Information Table Entry Total: 2703
Form 13F Information Table Value Total: 5,993,006
                                        -----------
                                        (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.

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries.]

    No.    Form 13F File Number         Name
    01     28-        13544             Knight Capital Americas LP
    02     28-        13903             Astor Asset Management, LLC

    [Repeat as necessary.]





                                                               VALUE           FLAG_ PUT_ INVEST_
ISSUER_NAME                      ISSUER_DESCRIPTION    CUSIP   _X1000 POSITION SHARE CALL  DESCR  MANAGER  SOLE   SHARED NONE
-------------------------------- ------------------- --------- ------ -------- ----- ---- ------- ------- ------- ------ -----
                                                                                        
3M CO                            COM                 88579Y101    417     4669 SH         DEFINED       1    4669      0     0
3M CO                            CALL                88579Y901   9537   106900 SH    CALL DEFINED       1  106900      0     0
3M CO                            PUT                 88579Y951  11526   129200 SH    PUT  DEFINED       1  129200      0     0
8X8 INC NEW                      COM                 282914100     44    10443 SH         DEFINED       1   10443      0     0
A123 SYS INC                     COM                 03739T108    110    97998 SH         DEFINED       1   97998      0     0
AASTROM BIOSCIENCES INC          COMNEW              00253U305     20    10072 SH         DEFINED       1   10072      0     0
ABB LTD                          SPONSORED ADR       000375204    768    37611 SH         DEFINED       1   37611      0     0
ABB LTD                          CALL                000375904    502    24600 SH    CALL DEFINED       1   24600      0     0
ABB LTD                          PUT                 000375954    290    14200 SH    PUT  DEFINED       1   14200      0     0
ABBOTT LABS                      COM                 002824100    347     5658 SH         DEFINED       1    5658      0     0
ABBOTT LABS                      CALL                002824900  15721   256500 SH    CALL DEFINED       1  256500      0     0
ABBOTT LABS                      PUT                 002824950   8838   144200 SH    PUT  DEFINED       1  144200      0     0
ABERCROMBIE & FITCH CO           CL A                002896207    621    12513 SH         DEFINED       1   12513      0     0
ABERCROMBIE & FITCH CO           CALL                002896907   2823    56900 SH    CALL DEFINED       1   56900      0     0
ABERCROMBIE & FITCH CO           PUT                 002896957   3805    76700 SH    PUT  DEFINED       1   76700      0     0
ABOVENET INC                     COM                 00374N107    478     5777 SH         DEFINED       1    5777      0     0
ACACIA RESH CORP                 ACACIA TCH COM      003881307    303     7266 SH         DEFINED       1    7266      0     0
ACACIA RESH CORP                 PUT                 003881957    647    15500 SH    PUT  DEFINED       1   15500      0     0
ACADIA PHARMACEUTICALS INC       COM                 004225108    167    78206 SH         DEFINED       1   78206      0     0
ACCENTURE PLC IRELAND            SHS CLASS A         G1151C101    352     5456 SH         DEFINED       1    5456      0     0
ACCENTURE PLC IRELAND            CALL                G1151C901   1941    30100 SH    CALL DEFINED       1   30100      0     0
ACCENTURE PLC IRELAND            PUT                 G1151C951   1290    20000 SH    PUT  DEFINED       1   20000      0     0
ACE LTD                          CALL                H0023R905   2277    31100 SH    CALL DEFINED       1   31100      0     0
ACE LTD                          PUT                 H0023R955   2020    27600 SH    PUT  DEFINED       1   27600      0     0
ACI WORLDWIDE INC                COM                 004498101    218     5417 SH         DEFINED       1    5417      0     0
ACME PACKET INC                  COM                 004764106    281    10210 SH         DEFINED       1   10210      0     0
ACME PACKET INC                  CALL                004764906    482    17500 SH    CALL DEFINED       1   17500      0     0
ACME PACKET INC                  PUT                 004764956    947    34400 SH    PUT  DEFINED       1   34400      0     0
ACTIVE POWER INC                 COM                 00504W100      9    11212 SH         DEFINED       1   11212      0     0
ACTIVISION BLIZZARD INC          COM                 00507V109    298    23214 SH         DEFINED       1   23214      0     0
ACTIVISION BLIZZARD INC          CALL                00507V909    479    37400 SH    CALL DEFINED       1   37400      0     0
ACTIVISION BLIZZARD INC          PUT                 00507V959    178    13900 SH    PUT  DEFINED       1   13900      0     0
ADAMS EXPRESS CO                 COM                 006212104    175    15911 SH         DEFINED       1   15911      0     0
ADAMS RES & ENERGY INC           COM NEW             006351308    276     4832 SH         DEFINED       1    4832      0     0
ADOBE SYS INC                    COM                 00724F101   1917    55862 SH         DEFINED       1   55862      0     0
ADOBE SYS INC                    CALL                00724F901   3959   115400 SH    CALL DEFINED       1  115400      0     0
ADOBE SYS INC                    PUT                 00724F951   1914    55800 SH    PUT  DEFINED       1   55800      0     0
ADTRAN INC                       COM                 00738A106    624    20024 SH         DEFINED       1   20024      0     0
ADTRAN INC                       CALL                00738A906    820    26300 SH    CALL DEFINED       1   26300      0     0
ADTRAN INC                       PUT                 00738A956    374    12000 SH    PUT  DEFINED       1   12000      0     0
ADVANCE AUTO PARTS INC           COM                 00751Y106    317     3576 SH         DEFINED       1    3576      0     0
ADVANCE AUTO PARTS INC           CALL                00751Y906   1072    12100 SH    CALL DEFINED       1   12100      0     0
ADVANCE AUTO PARTS INC           PUT                 00751Y956   2188    24700 SH    PUT  DEFINED       1   24700      0     0
ADVANCED ENERGY INDS             COM                 007973100    213    16276 SH         DEFINED       1   16276      0     0
ADVANCED MICRO DEVICES INC       CALL                007903907   1075   134000 SH    CALL DEFINED       1  134000      0     0
ADVANCED MICRO DEVICES INC       PUT                 007903957    990   123400 SH    PUT  DEFINED       1  123400      0     0
ADVENTRX PHARMACEUTICALS INC     COM NEW             00764X202     19    27841 SH         DEFINED       1   27841      0     0
ADVISORSHARES TR                 CAMBRIA GL TAC      00768Y800    279    11461 SH         DEFINED       1   11461      0     0
AEGON N V                        NY REGISTRY SH      007924103     62    11149 SH         DEFINED       1   11149      0     0
AEROPOSTALE                      CALL                007865908    953    44100 SH    CALL DEFINED       1   44100      0     0
AEROPOSTALE                      PUT                 007865958    553    25600 SH    PUT  DEFINED       1   25600      0     0
AES CORP                         CALL                00130H905    404    30900 SH    CALL DEFINED       1   30900      0     0
AES CORP                         PUT                 00130H955    282    21600 SH    PUT  DEFINED       1   21600      0     0






                                                                                        
AETNA INC NEW                    COM                 00817Y108    782    15595 SH         DEFINED       1   15595      0     0
AETNA INC NEW                    CALL                00817Y908   2909    58000 SH    CALL DEFINED       1   58000      0     0
AETNA INC NEW                    PUT                 00817Y958   6004   119700 SH    PUT  DEFINED       1  119700      0     0
AFFILIATED MANAGERS GROUP        CALL                008252908   1252    11200 SH    CALL DEFINED       1   11200      0     0
AFFILIATED MANAGERS GROUP        PUT                 008252958    995     8900 SH    PUT  DEFINED       1    8900      0     0
AFFYMAX INC                      COM                 00826A109    623    53145 SH         DEFINED       1   53145      0     0
AFLAC INC                        CALL                001055902   3150    68500 SH    CALL DEFINED       1   68500      0     0
AFLAC INC                        PUT                 001055952   3251    70700 SH    PUT  DEFINED       1   70700      0     0
AGCO CORP                        COM                 001084102    210     4455 SH         DEFINED       1    4455      0     0
AGILENT TECHNOLOGIES INC         CALL                00846U901   1691    38000 SH    CALL DEFINED       1   38000      0     0
AGILENT TECHNOLOGIES INC         PUT                 00846U951   1424    32000 SH    PUT  DEFINED       1   32000      0     0
AGNICO EAGLE MINES LTD           CALL                008474908    544    16300 SH    CALL DEFINED       1   16300      0     0
AGNICO EAGLE MINES LTD           PUT                 008474958    537    16100 SH    PUT  DEFINED       1   16100      0     0
AGRIUM INC                       CALL                008916908   1529    17700 SH    CALL DEFINED       1   17700      0     0
AGRIUM INC                       PUT                 008916958   1771    20500 SH    PUT  DEFINED       1   20500      0     0
AIR PRODS & CHEMS INC            COM                 009158106    444     4839 SH         DEFINED       1    4839      0     0
AIR PRODS & CHEMS INC            CALL                009158906   1102    12000 SH    CALL DEFINED       1   12000      0     0
AIR PRODS & CHEMS INC            PUT                 009158956   1074    11700 SH    PUT  DEFINED       1   11700      0     0
AIRGAS INC                       COM                 009363102    287     3230 SH         DEFINED       1    3230      0     0
AIRGAS INC                       CALL                009363902    302     3400 SH    CALL DEFINED       1    3400      0     0
AIRGAS INC                       PUT                 009363952    543     6100 SH    PUT  DEFINED       1    6100      0     0
AK STL HLDG CORP                 COM                 001547108    225    29779 SH         DEFINED       1   29779      0     0
AK STL HLDG CORP                 CALL                001547908    701    92700 SH    CALL DEFINED       1   92700      0     0
AK STL HLDG CORP                 PUT                 001547958    950   125700 SH    PUT  DEFINED       1  125700      0     0
AKAMAI TECHNOLOGIES INC          COM                 00971T101    610    16630 SH         DEFINED       1   16630      0     0
AKAMAI TECHNOLOGIES INC          CALL                00971T901   3931   107100 SH    CALL DEFINED       1  107100      0     0
AKAMAI TECHNOLOGIES INC          PUT                 00971T951   2048    55800 SH    PUT  DEFINED       1   55800      0     0
AKORN INC                        COM                 009728106    335    28674 SH         DEFINED       1   28674      0     0
ALASKA AIR GROUP INC             CALL                011659909    484    13500 SH    CALL DEFINED       1   13500      0     0
ALASKA AIR GROUP INC             PUT                 011659959    949    26500 SH    PUT  DEFINED       1   26500      0     0
ALCATEL-LUCENT                   SPONSORED ADR       013904305    497   219109 SH         DEFINED       1  219109      0     0
ALCATEL-LUCENT                   CALL                013904905    378   166600 SH    CALL DEFINED       1  166600      0     0
ALCATEL-LUCENT                   PUT                 013904955    492   216600 SH    PUT  DEFINED       1  216600      0     0
ALCOA INC                        COM                 013817101    280    27942 SH         DEFINED       1   27942      0     0
ALCOA INC                        CALL                013817901   2543   253800 SH    CALL DEFINED       1  253800      0     0
ALCOA INC                        PUT                 013817951   5401   539000 SH    PUT  DEFINED       1  539000      0     0
ALEXANDERS INC                   COM                 014752109    230      584 SH         DEFINED       1     584      0     0
ALEXION PHARMACEUTICALS INC      COM                 015351109    756     8137 SH         DEFINED       1    8137      0     0
ALEXION PHARMACEUTICALS INC      CALL                015351909    613     6600 SH    CALL DEFINED       1    6600      0     0
ALEXION PHARMACEUTICALS INC      PUT                 015351959   1049    11300 SH    PUT  DEFINED       1   11300      0     0
ALEXZA PHARMACEUTICALS INC       COM                 015384100     26    44015 SH         DEFINED       1   44015      0     0
ALLEGHENY TECHNOLOGIES INC       CALL                01741R902    935    22700 SH    CALL DEFINED       1   22700      0     0
ALLEGHENY TECHNOLOGIES INC       PUT                 01741R952   2923    71000 SH    PUT  DEFINED       1   71000      0     0
ALLERGAN INC                     CALL                018490902   2481    26000 SH    CALL DEFINED       1   26000      0     0
ALLERGAN INC                     PUT                 018490952   1947    20400 SH    PUT  DEFINED       1   20400      0     0
ALLIANCE DATA SYSTEMS CORP       COM                 018581108    306     2428 SH         DEFINED       1    2428      0     0
ALLIANCE DATA SYSTEMS CORP       CALL                018581908    945     7500 SH    CALL DEFINED       1    7500      0     0
ALLIANCE DATA SYSTEMS CORP       PUT                 018581958   1247     9900 SH    PUT  DEFINED       1    9900      0     0
ALLIANCE HOLDINGS GP LP          COM UNITS LP        01861G100    450    10365 SH         DEFINED       1   10365      0     0
ALLIANCEBERNSTEIN GBL HGH IN     COM                 01879R106    186    12368 SH         DEFINED       1   12368      0     0
ALLIANCEBERNSTEIN INCOME FUN     COM                 01881E101    312    38148 SH         DEFINED       1   38148      0     0
ALLIANT ENERGY CORP              COM                 018802108    284     6555 SH         DEFINED       1    6555      0     0
ALLSCRIPT MISYS HEALTCAR SOL     COM                 01988P108   1781   107357 SH         DEFINED       1  107357      0     0
ALLSTATE CORP                    COM                 020002101    244     7419 SH         DEFINED       1    7419      0     0
ALLSTATE CORP                    CALL                020002901   3262    99100 SH    CALL DEFINED       1   99100      0     0
ALLSTATE CORP                    PUT                 020002951   3108    94400 SH    PUT  DEFINED       1   94400      0     0
ALPHA NATURAL RESOURCES INC      CALL                02076X902   3231   212400 SH    CALL DEFINED       1  212400      0     0
ALPHA NATURAL RESOURCES INC      PUT                 02076X952   1821   119700 SH    PUT  DEFINED       1  119700      0     0
ALPINE GLOBAL DYNAMIC DIVD F     COM                 02082E106     75    12408 SH         DEFINED       1   12408      0     0






                                                                                        
ALTAIR NANOTECHNOLOGIES INC      COM NEW             021373204     27    45749 SH         DEFINED       1   45749      0     0
ALTERA CORP                      COM                 021441100   5311   133366 SH         DEFINED       1  133366      0     0
ALTERA CORP                      CALL                021441900   1011    25400 SH    CALL DEFINED       1   25400      0     0
ALTERA CORP                      PUT                 021441950   1234    31000 SH    PUT  DEFINED       1   31000      0     0
ALTRIA GROUP INC                 CALL                02209S903   1368    44300 SH    CALL DEFINED       1   44300      0     0
ALTRIA GROUP INC                 PUT                 02209S953   4133   133900 SH    PUT  DEFINED       1  133900      0     0
AMAZON COM INC                   COM                 023135106   1069     5280 SH         DEFINED       1    5280      0     0
AMAZON COM INC                   CALL                023135906  23916   118100 SH    CALL DEFINED       1  118100      0     0
AMAZON COM INC                   PUT                 023135956  14378    71000 SH    PUT  DEFINED       1   71000      0     0
AMDOCS LTD                       ORD                 G02602103    302     9551 SH         DEFINED       1    9551      0     0
AMEDISYS INC                     COM                 023436108    204    14127 SH         DEFINED       1   14127      0     0
AMERICA MOVIL SAB DE CV          CALL                02364W905   1544    62200 SH    CALL DEFINED       1   62200      0     0
AMERICA MOVIL SAB DE CV          PUT                 02364W955   1145    46100 SH    PUT  DEFINED       1   46100      0     0
AMERICAN APPAREL INC             COM                 023850100     21    26456 SH         DEFINED       1   26456      0     0
AMERICAN AXLE & MFG HLDGS IN     CALL                024061903    219    18700 SH    CALL DEFINED       1   18700      0     0
AMERICAN AXLE & MFG HLDGS IN     PUT                 024061953    508    43400 SH    PUT  DEFINED       1   43400      0     0
AMERICAN CAP LTD                 COM                 02503Y103    355    40905 SH         DEFINED       1   40905      0     0
AMERICAN CAP LTD                 CALL                02503Y903    310    35700 SH    CALL DEFINED       1   35700      0     0
AMERICAN CAP LTD                 PUT                 02503Y953    585    67400 SH    PUT  DEFINED       1   67400      0     0
AMERICAN CAPITAL AGENCY CORP     COM                 02503X105   1189    40250 SH         DEFINED       1   40250      0     0
AMERICAN CAPITAL AGENCY CORP     CALL                02503X905   1637    55400 SH    CALL DEFINED       1   55400      0     0
AMERICAN CAPITAL AGENCY CORP     PUT                 02503X955   3249   110000 SH    PUT  DEFINED       1  110000      0     0
AMERICAN EAGLE OUTFITTERS NE     CALL                02553E906   2028   118000 SH    CALL DEFINED       1  118000      0     0
AMERICAN EAGLE OUTFITTERS NE     PUT                 02553E956    701    40800 SH    PUT  DEFINED       1   40800      0     0
AMERICAN ELEC PWR INC            COM                 025537101    813    21072 SH         DEFINED       1   21072      0     0
AMERICAN ELEC PWR INC            CALL                025537901   5127   132900 SH    CALL DEFINED       1  132900      0     0
AMERICAN ELEC PWR INC            PUT                 025537951   2481    64300 SH    PUT  DEFINED       1   64300      0     0
AMERICAN EXPRESS CO              COM                 025816109    778    13439 SH         DEFINED       1   13439      0     0
AMERICAN EXPRESS CO              CALL                025816909  11063   191200 SH    CALL DEFINED       1  191200      0     0
AMERICAN EXPRESS CO              PUT                 025816959  17711   306100 SH    PUT  DEFINED       1  306100      0     0
AMERICAN FINL GROUP INC OHIO     COM                 025932104    350     9074 SH         DEFINED       1    9074      0     0
AMERICAN INTL GROUP INC          CALL                026874904   7035   228200 SH    CALL DEFINED       1  228200      0     0
AMERICAN INTL GROUP INC          PUT                 026874954   4356   141300 SH    PUT  DEFINED       1  141300      0     0
AMERICAN SUPERCONDUCTOR CORP     COM                 030111108     57    13791 SH         DEFINED       1   13791      0     0
AMERICAN TOWER CORP NEW          CALL                03027X900   3302    52400 SH    CALL DEFINED       1   52400      0     0
AMERICAN TOWER CORP NEW          PUT                 03027X950   4663    74000 SH    PUT  DEFINED       1   74000      0     0
AMERICAN WTR WKS CO INC NEW      COM                 030420103    223     6543 SH         DEFINED       1    6543      0     0
AMERIGAS PARTNERS L P            UNIT L P INT        030975106    346     8531 SH         DEFINED       1    8531      0     0
AMERIPRISE FINL INC              COM                 03076C106    456     7990 SH         DEFINED       1    7990      0     0
AMERIPRISE FINL INC              CALL                03076C906    263     4600 SH    CALL DEFINED       1    4600      0     0
AMERIPRISE FINL INC              PUT                 03076C956    760    13300 SH    PUT  DEFINED       1   13300      0     0
AMERISOURCEBERGEN CORP           CALL                03073E905    829    20900 SH    CALL DEFINED       1   20900      0     0
AMERISOURCEBERGEN CORP           PUT                 03073E955    900    22700 SH    PUT  DEFINED       1   22700      0     0
AMERITRANS CAP CORP              COM                 03073H108      3    23169 SH         DEFINED       1   23169      0     0
AMETEK INC NEW                   COM                 031100100    441     9098 SH         DEFINED       1    9098      0     0
AMGEN INC                        COM                 031162100   2920    42956 SH         DEFINED       1   42956      0     0
AMGEN INC                        CALL                031162900   6777    99700 SH    CALL DEFINED       1   99700      0     0
AMGEN INC                        PUT                 031162950  11840   174200 SH    PUT  DEFINED       1  174200      0     0
AMKOR TECHNOLOGY INC             COM                 031652100    161    26184 SH         DEFINED       1   26184      0     0
AMKOR TECHNOLOGY INC             CALL                031652900     82    13400 SH    CALL DEFINED       1   13400      0     0
AMPHENOL CORP NEW                CALL                032095901    663    11100 SH    CALL DEFINED       1   11100      0     0
AMPHENOL CORP NEW                PUT                 032095951   1345    22500 SH    PUT  DEFINED       1   22500      0     0
ANADARKO PETE CORP               CALL                032511907   8304   106000 SH    CALL DEFINED       1  106000      0     0
ANADARKO PETE CORP               PUT                 032511957  11250   143600 SH    PUT  DEFINED       1  143600      0     0
ANADIGICS INC                    COM                 032515108     96    40704 SH         DEFINED       1   40704      0     0
ANALOG DEVICES INC               COM                 032654105    403     9972 SH         DEFINED       1    9972      0     0
ANALOG DEVICES INC               CALL                032654905   1366    33800 SH    CALL DEFINED       1   33800      0     0
ANALOG DEVICES INC               PUT                 032654955   4202   104000 SH    PUT  DEFINED       1  104000      0     0
ANALOGIC CORP                    COM PAR $0.05       032657207    217     3217 SH         DEFINED       1    3217      0     0






                                                                                        
ANGLOGOLD ASHANTI LTD            CALL                035128906   1119    30300 SH    CALL DEFINED       1   30300      0     0
ANGLOGOLD ASHANTI LTD            PUT                 035128956    938    25400 SH    PUT  DEFINED       1   25400      0     0
ANHEUSER BUSCH INBEV SA/NV       SPONSORED ADR       03524A108    233     3200 SH         DEFINED       1    3200      0     0
ANHEUSER BUSCH INBEV SA/NV       CALL                03524A908    342     4700 SH    CALL DEFINED       1    4700      0     0
ANHEUSER BUSCH INBEV SA/NV       PUT                 03524A958    800    11000 SH    PUT  DEFINED       1   11000      0     0
ANNALY CAP MGMT INC              CALL                035710909    946    59800 SH    CALL DEFINED       1   59800      0     0
ANNALY CAP MGMT INC              PUT                 035710959   4006   253200 SH    PUT  DEFINED       1  253200      0     0
ANSYS INC                        COM                 03662Q105    742    11415 SH         DEFINED       1   11415      0     0
AOL   INC                        CALL                00184X905    470    24800 SH    CALL DEFINED       1   24800      0     0
AOL   INC                        PUT                 00184X955    402    21200 SH    PUT  DEFINED       1   21200      0     0
APACHE CORP                      CALL                037411905   8959    89200 SH    CALL DEFINED       1   89200      0     0
APACHE CORP                      PUT                 037411955   5263    52400 SH    PUT  DEFINED       1   52400      0     0
APOLLO GROUP INC                 CL A                037604105   1582    40952 SH         DEFINED       1   40952      0     0
APOLLO GROUP INC                 CALL                037604905   1886    48800 SH    CALL DEFINED       1   48800      0     0
APOLLO GROUP INC                 PUT                 037604955   5448   141000 SH    PUT  DEFINED       1  141000      0     0
APOLLO INVT CORP                 COM                 03761U106    120    16671 SH         DEFINED       1   16671      0     0
APPLE INC                        COM                 037833100  11248    18763 SH         DEFINED       1   18763      0     0
APPLE INC                        CALL                037833900  76383   127400 SH    CALL DEFINED       1  127400      0     0
APPLE INC                        PUT                 037833950  43108    71900 SH    PUT  DEFINED       1   71900      0     0
APPLIED MATLS INC                COM                 038222105   2279   183203 SH         DEFINED       1  183203      0     0
APPLIED MATLS INC                CALL                038222905   1612   129500 SH    CALL DEFINED       1  129500      0     0
APPLIED MATLS INC                PUT                 038222955   1781   143100 SH    PUT  DEFINED       1  143100      0     0
APPLIED MICRO CIRCUITS CORP      COM NEW             03822W406     97    13970 SH         DEFINED       1   13970      0     0
APPROACH RESOURCES INC           COM                 03834A103    212     5738 SH         DEFINED       1    5738      0     0
ARCA BIOPHARMA INC               COM                 00211Y100     32    35520 SH         DEFINED       1   35520      0     0
ARCELORMITTAL SA LUXEMBOURG      CALL                03938L904    855    44700 SH    CALL DEFINED       1   44700      0     0
ARCELORMITTAL SA LUXEMBOURG      PUT                 03938L954    478    25000 SH    PUT  DEFINED       1   25000      0     0
ARCH COAL INC                    COM                 039380100    430    40142 SH         DEFINED       1   40142      0     0
ARCH COAL INC                    CALL                039380900   1151   107500 SH    CALL DEFINED       1  107500      0     0
ARCH COAL INC                    PUT                 039380950    693    64700 SH    PUT  DEFINED       1   64700      0     0
ARCHER DANIELS MIDLAND CO        CALL                039483902   1190    37600 SH    CALL DEFINED       1   37600      0     0
ARCHER DANIELS MIDLAND CO        PUT                 039483952   1589    50200 SH    PUT  DEFINED       1   50200      0     0
ARCHIPELAGO LEARNING INC         COM                 03956P102    116    10473 SH         DEFINED       1   10473      0     0
ARES CAP CORP                    COM                 04010L103    773    47271 SH         DEFINED       1   47271      0     0
ARES CAP CORP                    CALL                04010L903    499    30500 SH    CALL DEFINED       1   30500      0     0
ARES CAP CORP                    PUT                 04010L953    401    24500 SH    PUT  DEFINED       1   24500      0     0
ARM HLDGS PLC                    SPONSORED ADR       042068106    277     9781 SH         DEFINED       1    9781      0     0
ARM HLDGS PLC                    CALL                042068906   2738    96800 SH    CALL DEFINED       1   96800      0     0
ARM HLDGS PLC                    PUT                 042068956   1482    52400 SH    PUT  DEFINED       1   52400      0     0
ARMOUR RESIDENTIAL REIT INC      *W EXP 11/07/201    042315119      1    42200 SH         DEFINED       1   42200      0     0
ARRIS GROUP INC                  COM                 04269Q100    155    13763 SH         DEFINED       1   13763      0     0
ARUBA NETWORKS INC               COM                 043176106   1030    46256 SH         DEFINED       1   46256      0     0
ARUBA NETWORKS INC               CALL                043176906   1602    71900 SH    CALL DEFINED       1   71900      0     0
ARUBA NETWORKS INC               PUT                 043176956   2703   121300 SH    PUT  DEFINED       1  121300      0     0
ASCENA RETAIL GROUP INC          COM                 04351G101    884    19948 SH         DEFINED       1   19948      0     0
ASCENA RETAIL GROUP INC          CALL                04351G901    479    10800 SH    CALL DEFINED       1   10800      0     0
ASCENA RETAIL GROUP INC          PUT                 04351G951   1485    33500 SH    PUT  DEFINED       1   33500      0     0
ASCENT SOLAR TECHNOLOGIES IN     COM                 043635101      9    14606 SH         DEFINED       1   14606      0     0
ASHLAND INC NEW                  CALL                044209904    934    15300 SH    CALL DEFINED       1   15300      0     0
ASHLAND INC NEW                  PUT                 044209954    904    14800 SH    PUT  DEFINED       1   14800      0     0
ASIAINFO HLDGS INC               COM                 04518A104    285    22613 SH         DEFINED       1   22613      0     0
ASML HOLDING N V                 NY REG SHS          N07059186    822    16403 SH         DEFINED       1   16403      0     0
ASML HOLDING N V                 PUT                 N07059956    536    10700 SH    PUT  DEFINED       1   10700      0     0
ASSURED GUARANTY LTD             COM                 G0585R106    280    16938 SH         DEFINED       1   16938      0     0
ASSURED GUARANTY LTD             CALL                G0585R906    297    18000 SH    CALL DEFINED       1   18000      0     0
ASSURED GUARANTY LTD             PUT                 G0585R956    512    31000 SH    PUT  DEFINED       1   31000      0     0
ASTRAZENECA PLC                  SPONSORED ADR       046353108   1481    33289 SH         DEFINED       1   33289      0     0
ASTRAZENECA PLC                  CALL                046353908    756    17000 SH    CALL DEFINED       1   17000      0     0
ASTRAZENECA PLC                  PUT                 046353958    663    14900 SH    PUT  DEFINED       1   14900      0     0






                                                                                        
AT&T INC                         COM                 00206R102   1313    42041 SH         DEFINED       1   42041      0     0
AT&T INC                         CALL                00206R902  20075   642800 SH    CALL DEFINED       1  642800      0     0
AT&T INC                         PUT                 00206R952  24541   785800 SH    PUT  DEFINED       1  785800      0     0
ATHENAHEALTH INC                 COM                 04685W103    716     9657 SH         DEFINED       1    9657      0     0
ATLAS AIR WORLDWIDE HLDGS IN     COM NEW             049164205    318     6460 SH         DEFINED       1    6460      0     0
ATLAS ENERGY LP                  CALL                04930A904    271     8200 SH    CALL DEFINED       1    8200      0     0
ATLAS PIPELINE PARTNERS LP       CALL                049392903    899    25400 SH    CALL DEFINED       1   25400      0     0
ATLAS PIPELINE PARTNERS LP       PUT                 049392953    732    20700 SH    PUT  DEFINED       1   20700      0     0
ATMEL CORP                       COM                 049513104    560    56827 SH         DEFINED       1   56827      0     0
ATP OIL & GAS CORP               COM                 00208J108    425    57816 SH         DEFINED       1   57816      0     0
AU OPTRONICS CORP                SPONSORED ADR       002255107     91    19871 SH         DEFINED       1   19871      0     0
AUGUSTA RES CORP                 COM NEW             050912203     50    18445 SH         DEFINED       1   18445      0     0
AURIZON MINES LTD                COM                 05155P106     61    12597 SH         DEFINED       1   12597      0     0
AUTHENTEC INC                    COM                 052660107     66    21109 SH         DEFINED       1   21109      0     0
AUTOBYTEL INC                    COM                 05275N106     36    38801 SH         DEFINED       1   38801      0     0
AUTODESK INC                     COM                 052769106    248     5849 SH         DEFINED       1    5849      0     0
AUTODESK INC                     CALL                052769906    686    16200 SH    CALL DEFINED       1   16200      0     0
AUTODESK INC                     PUT                 052769956    614    14500 SH    PUT  DEFINED       1   14500      0     0
AUTOMATIC DATA PROCESSING IN     COM                 053015103   1736    31457 SH         DEFINED       1   31457      0     0
AUTOMATIC DATA PROCESSING IN     CALL                053015903   2042    37000 SH    CALL DEFINED       1   37000      0     0
AUTOMATIC DATA PROCESSING IN     PUT                 053015953   5856   106100 SH    PUT  DEFINED       1  106100      0     0
AUTONATION INC                   CALL                05329W902    624    18200 SH    CALL DEFINED       1   18200      0     0
AUTONATION INC                   PUT                 05329W952    734    21400 SH    PUT  DEFINED       1   21400      0     0
AUTOZONE INC                     COM                 053332102   1780     4788 SH         DEFINED       1    4788      0     0
AUTOZONE INC                     CALL                053332902   1115     3000 SH    CALL DEFINED       1    3000      0     0
AUTOZONE INC                     PUT                 053332952   2565     6900 SH    PUT  DEFINED       1    6900      0     0
AUXILIUM PHARMACEUTICALS INC     COM                 05334D107    267    14404 SH         DEFINED       1   14404      0     0
AVAGO TECHNOLOGIES LTD           PUT                 Y0486S954    370     9500 SH    PUT  DEFINED       1    9500      0     0
AVALONBAY CMNTYS INC             CALL                053484901   1018     7200 SH    CALL DEFINED       1    7200      0     0
AVALONBAY CMNTYS INC             PUT                 053484951   5371    38000 SH    PUT  DEFINED       1   38000      0     0
AVANIR PHARMACEUTICALS INC       CL A NEW            05348P401     41    12001 SH         DEFINED       1   12001      0     0
AVG TECHNOLOGIES N V             SHS                 N07831105    158    10579 SH         DEFINED       1   10579      0     0
AVI BIOPHARMA INC                COM                 002346104     43    27902 SH         DEFINED       1   27902      0     0
AVNET INC                        COM                 053807103    539    14817 SH         DEFINED       1   14817      0     0
AVON PRODS INC                   CALL                054303902   2660   137400 SH    CALL DEFINED       1  137400      0     0
AVON PRODS INC                   PUT                 054303952   1284    66300 SH    PUT  DEFINED       1   66300      0     0
AXCELIS TECHNOLOGIES INC         COM                 054540109     20    11573 SH         DEFINED       1   11573      0     0
BACTERIN INTL HLDGS INC          COM                 05644R101     44    18064 SH         DEFINED       1   18064      0     0
BAIDU INC                        SPON ADR REP A      056752108    881     6046 SH         DEFINED       1    6046      0     0
BAIDU INC                        CALL                056752908  10656    73100 SH    CALL DEFINED       1   73100      0     0
BAIDU INC                        PUT                 056752958  11720    80400 SH    PUT  DEFINED       1   80400      0     0
BAKER HUGHES INC                 COM                 057224107    702    16732 SH         DEFINED       1   16732      0     0
BAKER HUGHES INC                 CALL                057224907   5255   125300 SH    CALL DEFINED       1  125300      0     0
BAKER HUGHES INC                 PUT                 057224957   6559   156400 SH    PUT  DEFINED       1  156400      0     0
BALL CORP                        PUT                 058498956    232     5400 SH    PUT  DEFINED       1    5400      0     0
BALLY TECHNOLOGIES INC           PUT                 05874B957    402     8600 SH    PUT  DEFINED       1    8600      0     0
BANCO BILBAO VIZCAYA ARGENTA     SPONSORED ADR       05946K101    322    40362 SH         DEFINED       1   40362      0     0
BANCO BRADESCO S A               SP ADR PFD NEW      059460303    190    10862 SH         DEFINED       1   10862      0     0
BANCO BRADESCO S A               CALL                059460903    242    13800 SH    CALL DEFINED       1   13800      0     0
BANCO SANTANDER BRASIL S A       CALL                05967A907    108    11800 SH    CALL DEFINED       1   11800      0     0
BANCO SANTANDER SA               ADR                 05964H105    539    70256 SH         DEFINED       1   70256      0     0
BANK MONTREAL QUE                CALL                063671901    980    16500 SH    CALL DEFINED       1   16500      0     0
BANK MONTREAL QUE                PUT                 063671951   1937    32600 SH    PUT  DEFINED       1   32600      0     0
BANK OF AMERICA CORPORATION      COM                 060505104    307    32098 SH         DEFINED       1   32098      0     0
BANK OF AMERICA CORPORATION      CALL                060505904  13184  1377600 SH    CALL DEFINED       1 1377600      0     0
BANK OF AMERICA CORPORATION      PUT                 060505954  15842  1655400 SH    PUT  DEFINED       1 1655400      0     0
BANK OF NEW YORK MELLON CORP     CALL                064058900   1856    76900 SH    CALL DEFINED       1   76900      0     0
BANK OF NEW YORK MELLON CORP     PUT                 064058950   2123    88000 SH    PUT  DEFINED       1   88000      0     0
BARCLAYS BANK PLC                ADR PFD SR 5        06739H362    230     9037 SH         DEFINED       1    9037      0     0






                                                                                        
BARCLAYS BANK PLC                CARRY ETN 38        06739H412    906    19670 SH         DEFINED       1   19670      0     0
BARCLAYS BANK PLC                ADS7.75%PFD S4      06739H511    204     8110 SH         DEFINED       1    8110      0     0
BARCLAYS BANK PLC                ETN DJUBS NAT37     06739H644     63    16649 SH         DEFINED       1   16649      0     0
BARCLAYS BANK PLC                ETN DJUBSLVSTK37    06739H743    244     8678 SH         DEFINED       1    8678      0     0
BARCLAYS BANK PLC                IPTH JPY/USD ETN    06739G851    206     2891 SH         DEFINED       1    2891      0     0
BARCLAYS BK PLC                  IPMS INDIA ETN      06739F291    306     5413 SH         DEFINED       1    5413      0     0
BARCLAYS BK PLC                  US TRES FLATT       06740L485    424     7421 SH         DEFINED       1    7421      0     0
BARCLAYS BK PLC                  DJUBS CMDT ETN36    06738C778    257     6065 SH         DEFINED       1    6065      0     0
BARCLAYS BK PLC                  IPSP CROIL ETN      06738C786    283    10952 SH         DEFINED       1   10952      0     0
BARCLAYS PLC                     ADR                 06738E204    576    38000 SH         DEFINED       1   38000      0     0
BARCLAYS PLC                     CALL                06738E904    217    14300 SH    CALL DEFINED       1   14300      0     0
BARD C R INC                     COM                 067383109    688     6970 SH         DEFINED       1    6970      0     0
BARNES & NOBLE INC               COM                 067774109    254    19191 SH         DEFINED       1   19191      0     0
BARNES & NOBLE INC               CALL                067774909    139    10500 SH    CALL DEFINED       1   10500      0     0
BARRICK GOLD CORP                CALL                067901908   9774   224800 SH    CALL DEFINED       1  224800      0     0
BARRICK GOLD CORP                PUT                 067901958   9113   209600 SH    PUT  DEFINED       1  209600      0     0
BAXTER INTL INC                  COM                 071813109   1101    18418 SH         DEFINED       1   18418      0     0
BAXTER INTL INC                  CALL                071813909   2822    47200 SH    CALL DEFINED       1   47200      0     0
BAXTER INTL INC                  PUT                 071813959   3892    65100 SH    PUT  DEFINED       1   65100      0     0
BAZAARVOICE INC                  COM                 073271108    200    10111 SH         DEFINED       1   10111      0     0
BB&T CORP                        CALL                054937907   2769    88200 SH    CALL DEFINED       1   88200      0     0
BB&T CORP                        PUT                 054937957   3946   125700 SH    PUT  DEFINED       1  125700      0     0
BE AEROSPACE INC                 COM                 073302101    918    19776 SH         DEFINED       1   19776      0     0
BE AEROSPACE INC                 CALL                073302901    623    13400 SH    CALL DEFINED       1   13400      0     0
BEAZER HOMES USA INC             COM                 07556Q105    191    58650 SH         DEFINED       1   58650      0     0
BECTON DICKINSON & CO            CALL                075887909    404     5200 SH    CALL DEFINED       1    5200      0     0
BECTON DICKINSON & CO            PUT                 075887959   1926    24800 SH    PUT  DEFINED       1   24800      0     0
BED BATH & BEYOND INC            COM                 075896100   4022    61153 SH         DEFINED       1   61153      0     0
BED BATH & BEYOND INC            CALL                075896900   3492    53100 SH    CALL DEFINED       1   53100      0     0
BED BATH & BEYOND INC            PUT                 075896950   1697    25800 SH    PUT  DEFINED       1   25800      0     0
BERKSHIRE HATHAWAY INC           DEL CL B NEW        084670702    761     9379 SH         DEFINED       1    9379      0     0
BERKSHIRE HATHAWAY INC DEL       CL A                084670108  40715      334 SH         DEFINED       1     334      0     0
BERRY PETE CO                    CL A                085789105    310     6569 SH         DEFINED       1    6569      0     0
BEST BUY INC                     CALL                086516901   3138   132500 SH    CALL DEFINED       1  132500      0     0
BEST BUY INC                     PUT                 086516951   2993   126400 SH    PUT  DEFINED       1  126400      0     0
BGC PARTNERS INC                 CL A                05541T101    127    17220 SH         DEFINED       1   17220      0     0
BHP BILLITON LTD                 SPONSORED ADR       088606108   1118    15444 SH         DEFINED       1   15444      0     0
BHP BILLITON LTD                 CALL                088606908   3758    51900 SH    CALL DEFINED       1   51900      0     0
BHP BILLITON LTD                 PUT                 088606958   6936    95800 SH    PUT  DEFINED       1   95800      0     0
BIG LOTS INC                     PUT                 089302953    288     6700 SH    PUT  DEFINED       1    6700      0     0
BIOCRYST PHARMACEUTICALS         COM                 09058V103    137    28415 SH         DEFINED       1   28415      0     0
BIODEL INC                       COM                 09064M105     12    21056 SH         DEFINED       1   21056      0     0
BIOGEN IDEC INC                  COM                 09062X103   3794    30118 SH         DEFINED       1   30118      0     0
BIOGEN IDEC INC                  CALL                09062X903   4851    38500 SH    CALL DEFINED       1   38500      0     0
BIOGEN IDEC INC                  PUT                 09062X953   4523    35900 SH    PUT  DEFINED       1   35900      0     0
BIOLINERX LTD                    SPONSORED ADR       09071M106     32    11299 SH         DEFINED       1   11299      0     0
BIOMARIN PHARMACEUTICAL INC      COM                 09061G101    225     6575 SH         DEFINED       1    6575      0     0
BIOSANTE PHARMACEUTICALS INC     COM NEW             09065V203    136   199402 SH         DEFINED       1  199402      0     0
BIOSTAR PHARMACEUTICALS INC      COM                 090678103     29    46123 SH         DEFINED       1   46123      0     0
BIOTIME INC                      COM                 09066L105     48    10894 SH         DEFINED       1   10894      0     0
BLACKROCK CORPOR HI YLD III      COM                 09255M104     95    12527 SH         DEFINED       1   12527      0     0
BLACKROCK CORPOR HIGH YLD FD     COM                 09255L106     74    10041 SH         DEFINED       1   10041      0     0
BLACKROCK ENHANCED DIV ACHV      COM                 09251A104    102    13549 SH         DEFINED       1   13549      0     0
BLACKROCK HIGH INCOME SHS        SHS BEN INT         09250E107     26    11535 SH         DEFINED       1   11535      0     0
BLACKROCK INC                    CALL                09247X901   2623    12800 SH    CALL DEFINED       1   12800      0     0
BLACKROCK INC                    PUT                 09247X951   4836    23600 SH    PUT  DEFINED       1   23600      0     0
BLACKROCK INTL GRWTH & INC T     COM BENE INTER      092524107    135    17253 SH         DEFINED       1   17253      0     0
BLACKROCK KELSO CAPITAL CORP     COM                 092533108    175    17857 SH         DEFINED       1   17857      0     0
BLACKROCK SR HIGH INCOME FD      COM                 09255T109     54    13174 SH         DEFINED       1   13174      0     0






                                                                                        
BLACKSTONE GROUP L P             CALL                09253U908   1240    77800 SH    CALL DEFINED       1   77800      0     0
BLACKSTONE GROUP L P             PUT                 09253U958    394    24700 SH    PUT  DEFINED       1   24700      0     0
BLDRS INDEX FDS TR               EMER MK 50 ADR      09348R300    656    15536 SH         DEFINED       1   15536      0     0
BLOCK H & R INC                  COM                 093671105    554    33632 SH         DEFINED       1   33632      0     0
BLOCK H & R INC                  CALL                093671905   1504    91300 SH    CALL DEFINED       1   91300      0     0
BLOCK H & R INC                  PUT                 093671955   1008    61200 SH    PUT  DEFINED       1   61200      0     0
BLUEPHOENIX SOLUTIONS LTD        SHS NEW             M20157117     80    52737 SH         DEFINED       1   52737      0     0
BMC SOFTWARE INC                 COM                 055921100   1297    32293 SH         DEFINED       1   32293      0     0
BMC SOFTWARE INC                 CALL                055921900    558    13900 SH    CALL DEFINED       1   13900      0     0
BMC SOFTWARE INC                 PUT                 055921950    675    16800 SH    PUT  DEFINED       1   16800      0     0
BOEING CO                        COM                 097023105    346     4646 SH         DEFINED       1    4646      0     0
BOEING CO                        CALL                097023905   7846   105500 SH    CALL DEFINED       1  105500      0     0
BOEING CO                        PUT                 097023955   9809   131900 SH    PUT  DEFINED       1  131900      0     0
BOISE INC                        COM                 09746Y105    139    16946 SH         DEFINED       1   16946      0     0
BONSO ELECTRS INTL INC           COM PAR $0.003      098529308     37    30930 SH         DEFINED       1   30930      0     0
BOSTON PROPERTIES INC            CALL                101121901    997     9500 SH    CALL DEFINED       1    9500      0     0
BOSTON PROPERTIES INC            PUT                 101121951    693     6600 SH    PUT  DEFINED       1    6600      0     0
BOSTON SCIENTIFIC CORP           CALL                101137907    263    43900 SH    CALL DEFINED       1   43900      0     0
BOSTON SCIENTIFIC CORP           PUT                 101137957    140    23400 SH    PUT  DEFINED       1   23400      0     0
BOULDER GROWTH & INCOME FD I     COM                 101507101     70    11117 SH         DEFINED       1   11117      0     0
BOYD GAMING CORP                 CALL                103304901    223    28500 SH    CALL DEFINED       1   28500      0     0
BOYD GAMING CORP                 PUT                 103304951    176    22500 SH    PUT  DEFINED       1   22500      0     0
BP PLC                           SPONSORED ADR       055622104   2601    57801 SH         DEFINED       1   57801      0     0
BP PLC                           CALL                055622904  13766   305900 SH    CALL DEFINED       1  305900      0     0
BP PLC                           PUT                 055622954  11363   252500 SH    PUT  DEFINED       1  252500      0     0
BRANDYWINE RLTY TR               SH BEN INT NEW      105368203    210    18287 SH         DEFINED       1   18287      0     0
BRIDGEPOINT ED INC               PUT                 10807M955    238     9600 SH    PUT  DEFINED       1    9600      0     0
BRIGHTPOINT INC                  COM NEW             109473405    134    16697 SH         DEFINED       1   16697      0     0
BRIGUS GOLD CORP                 COM                 109490102     24    31635 SH         DEFINED       1   31635      0     0
BRINKER INTL INC                 COM                 109641100    353    12827 SH         DEFINED       1   12827      0     0
BRISTOL MYERS SQUIBB CO          COM                 110122108    402    11921 SH         DEFINED       1   11921      0     0
BRISTOL MYERS SQUIBB CO          CALL                110122908   6075   180000 SH    CALL DEFINED       1  180000      0     0
BRISTOL MYERS SQUIBB CO          PUT                 110122958   8917   264200 SH    PUT  DEFINED       1  264200      0     0
BRITISH AMERN TOB PLC            SPONSORED ADR       110448107    351     3463 SH         DEFINED       1    3463      0     0
BROADCOM CORP                    CALL                111320907   7506   191000 SH    CALL DEFINED       1  191000      0     0
BROADCOM CORP                    PUT                 111320957   6052   154000 SH    PUT  DEFINED       1  154000      0     0
BROCADE COMMUNICATIONS SYS I     COM NEW             111621306    165    28735 SH         DEFINED       1   28735      0     0
BROCADE COMMUNICATIONS SYS I     CALL                111621906    108    18800 SH    CALL DEFINED       1   18800      0     0
BROCADE COMMUNICATIONS SYS I     PUT                 111621956    189    32800 SH    PUT  DEFINED       1   32800      0     0
BRUKER CORP                      COM                 116794108    488    31850 SH         DEFINED       1   31850      0     0
BRUNSWICK CORP                   CALL                117043909    278    10800 SH    CALL DEFINED       1   10800      0     0
BRUNSWICK CORP                   PUT                 117043959    579    22500 SH    PUT  DEFINED       1   22500      0     0
BUCKLE INC                       CALL                118440906    268     5600 SH    CALL DEFINED       1    5600      0     0
BUFFALO WILD WINGS INC           COM                 119848109   1588    17513 SH         DEFINED       1   17513      0     0
BUFFALO WILD WINGS INC           CALL                119848909   3782    41700 SH    CALL DEFINED       1   41700      0     0
BUFFALO WILD WINGS INC           PUT                 119848959   3301    36400 SH    PUT  DEFINED       1   36400      0     0
BUNGE LIMITED                    CALL                G16962905   3737    54600 SH    CALL DEFINED       1   54600      0     0
BUNGE LIMITED                    PUT                 G16962955   3299    48200 SH    PUT  DEFINED       1   48200      0     0
C H ROBINSON WORLDWIDE INC       COM NEW             12541W209   1991    30402 SH         DEFINED       1   30402      0     0
C H ROBINSON WORLDWIDE INC       CALL                12541W909   1605    24500 SH    CALL DEFINED       1   24500      0     0
C H ROBINSON WORLDWIDE INC       PUT                 12541W959    799    12200 SH    PUT  DEFINED       1   12200      0     0
CA INC                           COM                 12673P105    334    12111 SH         DEFINED       1   12111      0     0
CA INC                           CALL                12673P905   1444    52400 SH    CALL DEFINED       1   52400      0     0
CA INC                           PUT                 12673P955    223     8100 SH    PUT  DEFINED       1    8100      0     0
CABLEVISION SYS CORP             CALL                12686C909    517    35200 SH    CALL DEFINED       1   35200      0     0
CABLEVISION SYS CORP             PUT                 12686C959    677    46100 SH    PUT  DEFINED       1   46100      0     0
CABOT OIL & GAS CORP             COM                 127097103    975    31284 SH         DEFINED       1   31284      0     0
CABOT OIL & GAS CORP             CALL                127097903   2113    67800 SH    CALL DEFINED       1   67800      0     0
CABOT OIL & GAS CORP             PUT                 127097953   3669   117700 SH    PUT  DEFINED       1  117700      0     0






                                                                                        
CADENCE DESIGN SYSTEM INC        COM                 127387108    550    46470 SH         DEFINED       1   46470      0     0
CAL MAINE FOODS INC              COM NEW             128030202    209     5451 SH         DEFINED       1    5451      0     0
CALAMOS CONV OPP AND INC FD      SH BEN INT          128117108    231    18112 SH         DEFINED       1   18112      0     0
CALPINE CORP                     CALL                131347904    231    13400 SH    CALL DEFINED       1   13400      0     0
CALUMET SPECIALTY PRODS PTNR     UT LTD PARTNER      131476103    260     9840 SH         DEFINED       1    9840      0     0
CAMECO CORP                      COM                 13321L108    374    17412 SH         DEFINED       1   17412      0     0
CAMECO CORP                      CALL                13321L908    746    34700 SH    CALL DEFINED       1   34700      0     0
CAMECO CORP                      PUT                 13321L958    731    34000 SH    PUT  DEFINED       1   34000      0     0
CAMERON INTERNATIONAL CORP       CALL                13342B905   1168    22100 SH    CALL DEFINED       1   22100      0     0
CAMERON INTERNATIONAL CORP       PUT                 13342B955   2118    40100 SH    PUT  DEFINED       1   40100      0     0
CAMPBELL SOUP CO                 CALL                134429909   1567    46300 SH    CALL DEFINED       1   46300      0     0
CAMPBELL SOUP CO                 PUT                 134429959   2190    64700 SH    PUT  DEFINED       1   64700      0     0
CANADIAN NAT RES LTD             CALL                136385901    693    20900 SH    CALL DEFINED       1   20900      0     0
CANADIAN NAT RES LTD             PUT                 136385951   2561    77200 SH    PUT  DEFINED       1   77200      0     0
CANADIAN PAC RY LTD              COM                 13645T100    225     2967 SH         DEFINED       1    2967      0     0
CANADIAN SOLAR INC               COM                 136635109    112    35444 SH         DEFINED       1   35444      0     0
CAPITAL ONE FINL CORP            COM                 14040H105    435     7804 SH         DEFINED       1    7804      0     0
CAPITAL ONE FINL CORP            CALL                14040H905   4710    84500 SH    CALL DEFINED       1   84500      0     0
CAPITAL ONE FINL CORP            PUT                 14040H955   5630   101000 SH    PUT  DEFINED       1  101000      0     0
CAPITALSOURCE INC                COM                 14055X102    102    15522 SH         DEFINED       1   15522      0     0
CAPITALSOURCE INC                CALL                14055X902    216    32700 SH    CALL DEFINED       1   32700      0     0
CARDINAL HEALTH INC              CALL                14149Y908   1642    38100 SH    CALL DEFINED       1   38100      0     0
CARDINAL HEALTH INC              PUT                 14149Y958    522    12100 SH    PUT  DEFINED       1   12100      0     0
CARDIOME PHARMA CORP             COM NEW             14159U202     10    14850 SH         DEFINED       1   14850      0     0
CARDIUM THERAPEUTICS INC         COM                 141916106      8    31009 SH         DEFINED       1   31009      0     0
CAREER EDUCATION CORP            COM                 141665109    173    21438 SH         DEFINED       1   21438      0     0
CAREER EDUCATION CORP            CALL                141665909    129    16000 SH    CALL DEFINED       1   16000      0     0
CAREER EDUCATION CORP            PUT                 141665959    888   110200 SH    PUT  DEFINED       1  110200      0     0
CAREFUSION CORP                  CALL                14170T901    669    25800 SH    CALL DEFINED       1   25800      0     0
CARMAX INC                       CALL                143130902    693    20000 SH    CALL DEFINED       1   20000      0     0
CARMAX INC                       PUT                 143130952   1514    43700 SH    PUT  DEFINED       1   43700      0     0
CARNIVAL CORP                    CALL                143658900   2663    83000 SH    CALL DEFINED       1   83000      0     0
CARNIVAL CORP                    PUT                 143658950   4138   129000 SH    PUT  DEFINED       1  129000      0     0
CARRIZO OIL & CO INC             CALL                144577903    353    12500 SH    CALL DEFINED       1   12500      0     0
CARRIZO OIL & CO INC             PUT                 144577953    704    24900 SH    PUT  DEFINED       1   24900      0     0
CASUAL MALE RETAIL GRP INC       COM NEW             148711302    146    43505 SH         DEFINED       1   43505      0     0
CATALYST HEALTH SOLUTIONS IN     COM                 14888B103    301     4717 SH         DEFINED       1    4717      0     0
CATERPILLAR INC DEL              COM                 149123101    421     3957 SH         DEFINED       1    3957      0     0
CATERPILLAR INC DEL              CALL                149123901  16681   156600 SH    CALL DEFINED       1  156600      0     0
CATERPILLAR INC DEL              PUT                 149123951  21059   197700 SH    PUT  DEFINED       1  197700      0     0
CAVIUM INC                       COM                 14964U108    775    25058 SH         DEFINED       1   25058      0     0
CAVIUM INC                       CALL                14964U908    452    14600 SH    CALL DEFINED       1   14600      0     0
CAVIUM INC                       PUT                 14964U958   1665    53800 SH    PUT  DEFINED       1   53800      0     0
CBOE HLDGS INC                   COM                 12503M108    765    26916 SH         DEFINED       1   26916      0     0
CBS CORP NEW                     CALL                124857902   1197    35300 SH    CALL DEFINED       1   35300      0     0
CBS CORP NEW                     PUT                 124857952   2635    77700 SH    PUT  DEFINED       1   77700      0     0
CD INTL ENTERPRISES INC          COM                 12508A109     13    16867 SH         DEFINED       1   16867      0     0
CELANESE CORP DEL                CALL                150870903    799    17300 SH    CALL DEFINED       1   17300      0     0
CELANESE CORP DEL                PUT                 150870953    526    11400 SH    PUT  DEFINED       1   11400      0     0
CELGENE CORP                     COM                 151020104   1124    14501 SH         DEFINED       1   14501      0     0
CELGENE CORP                     CALL                151020904   9295   119900 SH    CALL DEFINED       1  119900      0     0
CELGENE CORP                     PUT                 151020954   6527    84200 SH    PUT  DEFINED       1   84200      0     0
CELLCOM ISRAEL LTD               SHS                 M2196U109    155    12500 SH         DEFINED       1   12500      0     0
CELLDEX THERAPEUTICS INC NEW     COM                 15117B103     63    12453 SH         DEFINED       1   12453      0     0
CEL-SCI CORP                     COM NEW             150837409      9    18001 SH         DEFINED       1   18001      0     0
CEMEX SAB DE CV                  CALL                151290909    494    63700 SH    CALL DEFINED       1   63700      0     0
CEMEX SAB DE CV                  PUT                 151290959    668    86100 SH    PUT  DEFINED       1   86100      0     0
CENTERPOINT ENERGY INC           CALL                15189T907    528    26800 SH    CALL DEFINED       1   26800      0     0
CENTRAIS ELETRICAS BRASILEIR     SPON ADR PFD B      15234Q108    187    14525 SH         DEFINED       1   14525      0     0






                                                                                        
CENTRAL EUROPEAN DIST CORP       COM                 153435102     69    13594 SH         DEFINED       1   13594      0     0
CENTRAL EUROPEAN DIST CORP       PUT                 153435952     99    19400 SH    PUT  DEFINED       1   19400      0     0
CENTURY ALUM CO                  COM                 156431108    269    30310 SH         DEFINED       1   30310      0     0
CENTURY ALUM CO                  PUT                 156431958    104    11700 SH    PUT  DEFINED       1   11700      0     0
CENTURYTEL INC                   COM                 156700106    987    25536 SH         DEFINED       1   25536      0     0
CENTURYTEL INC                   CALL                156700906   2300    59500 SH    CALL DEFINED       1   59500      0     0
CENTURYTEL INC                   PUT                 156700956   7722   199800 SH    PUT  DEFINED       1  199800      0     0
CEPHEID                          COM                 15670R107    249     5951 SH         DEFINED       1    5951      0     0
CERNER CORP                      CALL                156782904   1188    15600 SH    CALL DEFINED       1   15600      0     0
CERNER CORP                      PUT                 156782954   3138    41200 SH    PUT  DEFINED       1   41200      0     0
CERUS CORP                       COM                 157085101     53    13251 SH         DEFINED       1   13251      0     0
CF INDS HLDGS INC                COM                 125269100   1483     8120 SH         DEFINED       1    8120      0     0
CF INDS HLDGS INC                CALL                125269900   4018    22000 SH    CALL DEFINED       1   22000      0     0
CF INDS HLDGS INC                PUT                 125269950   8457    46300 SH    PUT  DEFINED       1   46300      0     0
CHARTER COMMUNICATIONS INC       D CL A NEW          16117M305    263     4151 SH         DEFINED       1    4151      0     0
CHECK POINT SOFTWARE TECH LT     ORD                 M22465104    245     3841 SH         DEFINED       1    3841      0     0
CHECK POINT SOFTWARE TECH LT     CALL                M22465904    313     4900 SH    CALL DEFINED       1    4900      0     0
CHECK POINT SOFTWARE TECH LT     PUT                 M22465954    287     4500 SH    PUT  DEFINED       1    4500      0     0
CHEESECAKE FACTORY INC           COM                 163072101    665    22623 SH         DEFINED       1   22623      0     0
CHEESECAKE FACTORY INC           CALL                163072901   1555    52900 SH    CALL DEFINED       1   52900      0     0
CHEESECAKE FACTORY INC           PUT                 163072951    955    32500 SH    PUT  DEFINED       1   32500      0     0
CHELSEA THERAPEUTICS INTL LT     COM                 163428105    169    66114 SH         DEFINED       1   66114      0     0
CHENIERE ENERGY PARTNERS LP      COM UNIT            16411Q101    703    32994 SH         DEFINED       1   32994      0     0
CHESAPEAKE ENERGY CORP           COM                 165167107    574    24753 SH         DEFINED       1   24753      0     0
CHESAPEAKE ENERGY CORP           CALL                165167907   8951   386300 SH    CALL DEFINED       1  386300      0     0
CHESAPEAKE ENERGY CORP           PUT                 165167957   7595   327800 SH    PUT  DEFINED       1  327800      0     0
CHEVRON CORP NEW                 CALL                166764900   9177    85600 SH    CALL DEFINED       1   85600      0     0
CHEVRON CORP NEW                 PUT                 166764950  11643   108600 SH    PUT  DEFINED       1  108600      0     0
CHICAGO BRIDGE & IRON CO N V     N Y REGISTRY SH     167250109    567    13127 SH         DEFINED       1   13127      0     0
CHICAGO BRIDGE & IRON CO N V     CALL                167250909    933    21600 SH    CALL DEFINED       1   21600      0     0
CHICAGO BRIDGE & IRON CO N V     PUT                 167250959    911    21100 SH    PUT  DEFINED       1   21100      0     0
CHICOS FAS INC                   CALL                168615902    583    38600 SH    CALL DEFINED       1   38600      0     0
CHICOS FAS INC                   PUT                 168615952    237    15700 SH    PUT  DEFINED       1   15700      0     0
CHILDRENS PL RETAIL STORES I     COM                 168905107    933    18057 SH         DEFINED       1   18057      0     0
CHILDRENS PL RETAIL STORES I     CALL                168905907   1044    20200 SH    CALL DEFINED       1   20200      0     0
CHILDRENS PL RETAIL STORES I     PUT                 168905957    486     9400 SH    PUT  DEFINED       1    9400      0     0
CHIMERA INVT CORP                COM                 16934Q109     48    16997 SH         DEFINED       1   16997      0     0
CHIMERA INVT CORP                CALL                16934Q909    109    38600 SH    CALL DEFINED       1   38600      0     0
CHIMERA INVT CORP                PUT                 16934Q959    125    44300 SH    PUT  DEFINED       1   44300      0     0
CHINA LIFE INS CO LTD            CALL                16939P906    451    11600 SH    CALL DEFINED       1   11600      0     0
CHINA LIFE INS CO LTD            PUT                 16939P956    968    24900 SH    PUT  DEFINED       1   24900      0     0
CHINA MARINE FOOD GROUP LTD      COM                 16943R106     12    11084 SH         DEFINED       1   11084      0     0
CHINA MOBILE LIMITED             CALL                16941M909    639    11600 SH    CALL DEFINED       1   11600      0     0
CHINA MOBILE LIMITED             PUT                 16941M959    248     4500 SH    PUT  DEFINED       1    4500      0     0
CHINA NORTH EAST PETE HLDG L     COM                 16941G102     64    20445 SH         DEFINED       1   20445      0     0
CHINA SHEN ZHOU MNG & RES IN     COM                 16942H109     21    13958 SH         DEFINED       1   13958      0     0
CHINA SUNERGY CO LTD             SPONSORED ADR NE    16942X302     21    12731 SH         DEFINED       1   12731      0     0
CHINA TECH DEVELOPMENT GP CO     SHS                 G84384109      9    12959 SH         DEFINED       1   12959      0     0
CHINA UNICOM (HONG KONG) LTD     SPONSORED ADR       16945R104    406    24149 SH         DEFINED       1   24149      0     0
CHINACAST EDU CORP               COM                 16946T109    156    36896 SH         DEFINED       1   36896      0     0
CHIPOTLE MEXICAN GRILL INC       CL A                169656105   2068     4947 SH         DEFINED       1    4947      0     0
CHIPOTLE MEXICAN GRILL INC       CALL                169656905   4222    10100 SH    CALL DEFINED       1   10100      0     0
CHIPOTLE MEXICAN GRILL INC       PUT                 169656955   6061    14500 SH    PUT  DEFINED       1   14500      0     0
CHIQUITA BRANDS INTL INC         COM                 170032809     96    10884 SH         DEFINED       1   10884      0     0
CHIQUITA BRANDS INTL INC         CALL                170032909    149    17000 SH    CALL DEFINED       1   17000      0     0
CHIQUITA BRANDS INTL INC         PUT                 170032959    165    18800 SH    PUT  DEFINED       1   18800      0     0
CHRISTOPHER & BANKS CORP         COM                 171046105     41    22204 SH         DEFINED       1   22204      0     0
CHUBB CORP                       COM                 171232101    344     4975 SH         DEFINED       1    4975      0     0
CHUBB CORP                       CALL                171232901   1410    20400 SH    CALL DEFINED       1   20400      0     0






                                                                                        
CHUBB CORP                       PUT                 171232951    691    10000 SH    PUT  DEFINED       1   10000      0     0
CHUNGHWA TELECOM CO LTD          SPON ADR NEW11      17133Q502    231     7502 SH         DEFINED       1    7502      0     0
CIENA CORP                       COM NEW             171779309    527    32554 SH         DEFINED       1   32554      0     0
CIENA CORP                       CALL                171779909    698    43100 SH    CALL DEFINED       1   43100      0     0
CIENA CORP                       PUT                 171779959   1124    69400 SH    PUT  DEFINED       1   69400      0     0
CIGNA CORP                       COM                 125509109    617    12522 SH         DEFINED       1   12522      0     0
CIGNA CORP                       CALL                125509909   2679    54400 SH    CALL DEFINED       1   54400      0     0
CIGNA CORP                       PUT                 125509959   2876    58400 SH    PUT  DEFINED       1   58400      0     0
CIMAREX ENERGY CO                CALL                171798901    913    12100 SH    CALL DEFINED       1   12100      0     0
CIMAREX ENERGY CO                PUT                 171798951    460     6100 SH    PUT  DEFINED       1    6100      0     0
CINCINNATI FINL CORP             COM                 172062101   1447    41928 SH         DEFINED       1   41928      0     0
CINTAS CORP                      COM                 172908105   1417    36218 SH         DEFINED       1   36218      0     0
CINTAS CORP                      CALL                172908905   1123    28700 SH    CALL DEFINED       1   28700      0     0
CINTAS CORP                      PUT                 172908955   1001    25600 SH    PUT  DEFINED       1   25600      0     0
CIRRUS LOGIC INC                 COM                 172755100    368    15461 SH         DEFINED       1   15461      0     0
CIRRUS LOGIC INC                 CALL                172755900   1349    56700 SH    CALL DEFINED       1   56700      0     0
CIRRUS LOGIC INC                 PUT                 172755950   1633    68600 SH    PUT  DEFINED       1   68600      0     0
CISCO SYS INC                    COM                 17275R102   2913   137733 SH         DEFINED       1  137733      0     0
CISCO SYS INC                    CALL                17275R902  10226   483500 SH    CALL DEFINED       1  483500      0     0
CISCO SYS INC                    PUT                 17275R952  13261   627000 SH    PUT  DEFINED       1  627000      0     0
CIT GROUP INC                    CALL                125581901   1538    37300 SH    CALL DEFINED       1   37300      0     0
CIT GROUP INC                    PUT                 125581951   2054    49800 SH    PUT  DEFINED       1   49800      0     0
CITRIX SYS INC                   COM                 177376100   2398    30390 SH         DEFINED       1   30390      0     0
CITRIX SYS INC                   CALL                177376900   4190    53100 SH    CALL DEFINED       1   53100      0     0
CITRIX SYS INC                   PUT                 177376950   2722    34500 SH    PUT  DEFINED       1   34500      0     0
CITY NATL CORP                   COM                 178566105    202     3846 SH         DEFINED       1    3846      0     0
CLAUDE RES INC                   COM                 182873109     66    59591 SH         DEFINED       1   59591      0     0
CLAYMORE ETF TRUST 2             CHINA SML CAP       18383Q853    308    14300 SH         DEFINED       1   14300      0     0
CLAYMORE EXCHANGE TRADED FD      BNY BRI&C PTF       18383M100    829    21006 SH         DEFINED       1   21006      0     0
CLEAN DIESEL TECHNOLOGIES IN     COM PAR $.01        18449C401     64    15951 SH         DEFINED       1   15951      0     0
CLEAN ENERGY FUELS CORP          COM                 184499101   1839    86474 SH         DEFINED       1   86474      0     0
CLEAN ENERGY FUELS CORP          CALL                184499901    370    17400 SH    CALL DEFINED       1   17400      0     0
CLEAN ENERGY FUELS CORP          PUT                 184499951   1081    50800 SH    PUT  DEFINED       1   50800      0     0
CLEAN HARBORS INC                COM                 184496107    354     5254 SH         DEFINED       1    5254      0     0
CLEANTECH SOLUTIONS INTL INC     COM NEW             18451N204     28    15041 SH         DEFINED       1   15041      0     0
CLEARWIRE CORP NEW               CL A                18538Q105    144    63265 SH         DEFINED       1   63265      0     0
CLEVELAND BIOLABS INC            COM                 185860103     46    18965 SH         DEFINED       1   18965      0     0
CLIFFS NATURAL RESOURCES INC     COM                 18683K101    575     8308 SH         DEFINED       1    8308      0     0
CLIFFS NATURAL RESOURCES INC     CALL                18683K901   7016   101300 SH    CALL DEFINED       1  101300      0     0
CLIFFS NATURAL RESOURCES INC     PUT                 18683K951   5236    75600 SH    PUT  DEFINED       1   75600      0     0
CLOROX CO DEL                    CALL                189054909   2681    39000 SH    CALL DEFINED       1   39000      0     0
CLOROX CO DEL                    PUT                 189054959   2358    34300 SH    PUT  DEFINED       1   34300      0     0
CME GROUP INC                    COM                 12572Q105    264      911 SH         DEFINED       1     911      0     0
CME GROUP INC                    CALL                12572Q905   4514    15600 SH    CALL DEFINED       1   15600      0     0
CME GROUP INC                    PUT                 12572Q955   3009    10400 SH    PUT  DEFINED       1   10400      0     0
CMS ENERGY CORP                  COM                 125896100    221    10052 SH         DEFINED       1   10052      0     0
CNH GLOBAL N V                   SHS NEW             N20935206    391     9845 SH         DEFINED       1    9845      0     0
CNO FINL GROUP INC               CALL                12621E903    220    28300 SH    CALL DEFINED       1   28300      0     0
CNO FINL GROUP INC               PUT                 12621E953    107    13800 SH    PUT  DEFINED       1   13800      0     0
CNOOC LTD                        SPONSORED ADR       126132109    314     1538 SH         DEFINED       1    1538      0     0
COACH INC                        COM                 189754104    526     6808 SH         DEFINED       1    6808      0     0
COACH INC                        CALL                189754904   9158   118500 SH    CALL DEFINED       1  118500      0     0
COACH INC                        PUT                 189754954   9482   122700 SH    PUT  DEFINED       1  122700      0     0
COCA COLA CO                     COM                 191216100    760    10264 SH         DEFINED       1   10264      0     0
COCA COLA CO                     CALL                191216900  11627   157100 SH    CALL DEFINED       1  157100      0     0
COCA COLA CO                     PUT                 191216950  12700   171600 SH    PUT  DEFINED       1  171600      0     0
COCA COLA ENTERPRISES INC NE     CALL                19122T909    601    21000 SH    CALL DEFINED       1   21000      0     0
COCA COLA ENTERPRISES INC NE     PUT                 19122T959    641    22400 SH    PUT  DEFINED       1   22400      0     0
COEUR D ALENE MINES CORP IDA     CALL                192108904   1049    44200 SH    CALL DEFINED       1   44200      0     0






                                                                                        
COEUR D ALENE MINES CORP IDA     PUT                 192108954   1154    48600 SH    PUT  DEFINED       1   48600      0     0
COGNEX CORP                      COM                 192422103    229     5397 SH         DEFINED       1    5397      0     0
COGNIZANT TECHNOLOGY SOLUTIO     CALL                192446902   4209    54700 SH    CALL DEFINED       1   54700      0     0
COGNIZANT TECHNOLOGY SOLUTIO     PUT                 192446952   3701    48100 SH    PUT  DEFINED       1   48100      0     0
COINSTAR INC                     CALL                19259P900   1233    19400 SH    CALL DEFINED       1   19400      0     0
COINSTAR INC                     PUT                 19259P950   1525    24000 SH    PUT  DEFINED       1   24000      0     0
COLDWATER CREEK INC              COM                 193068103     12    10427 SH         DEFINED       1   10427      0     0
COLGATE PALMOLIVE CO             CALL                194162903   7314    74800 SH    CALL DEFINED       1   74800      0     0
COLGATE PALMOLIVE CO             PUT                 194162953   6180    63200 SH    PUT  DEFINED       1   63200      0     0
COLLECTIVE BRANDS INC            CALL                19421W900    944    48000 SH    CALL DEFINED       1   48000      0     0
COLLECTIVE BRANDS INC            PUT                 19421W950    792    40300 SH    PUT  DEFINED       1   40300      0     0
COLUMBIA LABS INC                COM                 197779101      9    13249 SH         DEFINED       1   13249      0     0
COLUMBIA SPORTSWEAR CO           COM                 198516106    221     4649 SH         DEFINED       1    4649      0     0
COMCAST CORP NEW                 CL A                20030N101    886    29530 SH         DEFINED       1   29530      0     0
COMCAST CORP NEW                 CL A SPL            20030N200   1483    50258 SH         DEFINED       1   50258      0     0
COMCAST CORP NEW                 CALL                20030N901   2212    73700 SH    CALL DEFINED       1   73700      0     0
COMCAST CORP NEW                 CALL                20030N900    328    11100 SH    CALL DEFINED       1   11100      0     0
COMCAST CORP NEW                 PUT                 20030N951   3871   129000 SH    PUT  DEFINED       1  129000      0     0
COMCAST CORP NEW                 PUT                 20030N950    395    13400 SH    PUT  DEFINED       1   13400      0     0
COMERICA INC                     CALL                200340907   1453    44900 SH    CALL DEFINED       1   44900      0     0
COMERICA INC                     PUT                 200340957   1631    50400 SH    PUT  DEFINED       1   50400      0     0
COMMERCE BANCSHARES INC          COM                 200525103    203     5013 SH         DEFINED       1    5013      0     0
COMMERCIAL METALS CO             CALL                201723903    292    19700 SH    CALL DEFINED       1   19700      0     0
COMMERCIAL METALS CO             PUT                 201723953    236    15900 SH    PUT  DEFINED       1   15900      0     0
COMMVAULT SYSTEMS INC            COM                 204166102    625    12584 SH         DEFINED       1   12584      0     0
COMMVAULT SYSTEMS INC            CALL                204166902    228     4600 SH    CALL DEFINED       1    4600      0     0
COMMVAULT SYSTEMS INC            PUT                 204166952    303     6100 SH    PUT  DEFINED       1    6100      0     0
COMPANHIA BRASILEIRA DE DIST     SPN ADR PFD CL A    20440T201    204     4277 SH         DEFINED       1    4277      0     0
COMPANHIA DE BEBIDAS DAS AME     SPON ADR PFD        20441W203    532    12872 SH         DEFINED       1   12872      0     0
COMPANHIA DE BEBIDAS DAS AME     CALL                20441W903    599    14500 SH    CALL DEFINED       1   14500      0     0
COMPANHIA DE BEBIDAS DAS AME     PUT                 20441W953    455    11000 SH    PUT  DEFINED       1   11000      0     0
COMPANHIA SIDERURGICA NACION     SPONSORED ADR       20440W105    182    19278 SH         DEFINED       1   19278      0     0
COMPANIA DE MINAS BUENAVENTU     CALL                204448904    423    10500 SH    CALL DEFINED       1   10500      0     0
COMPUTER SCIENCES CORP           COM                 205363104    337    11266 SH         DEFINED       1   11266      0     0
COMPUTER SCIENCES CORP           CALL                205363904    656    21900 SH    CALL DEFINED       1   21900      0     0
COMPUTER SCIENCES CORP           PUT                 205363954   1009    33700 SH    PUT  DEFINED       1   33700      0     0
COMPUWARE CORP                   COM                 205638109    462    50335 SH         DEFINED       1   50335      0     0
COMTECH TELECOMMUNICATIONS C     COM NEW             205826209    392    12038 SH         DEFINED       1   12038      0     0
COMVERGE INC                     COM                 205859101     44    23926 SH         DEFINED       1   23926      0     0
CONAGRA FOODS INC                COM                 205887102    566    21538 SH         DEFINED       1   21538      0     0
CONAGRA FOODS INC                CALL                205887902    806    30700 SH    CALL DEFINED       1   30700      0     0
CONAGRA FOODS INC                PUT                 205887952    961    36600 SH    PUT  DEFINED       1   36600      0     0
CONCHO RES INC                   CALL                20605P901   1940    19000 SH    CALL DEFINED       1   19000      0     0
CONCHO RES INC                   PUT                 20605P951   2031    19900 SH    PUT  DEFINED       1   19900      0     0
CONCUR TECHNOLOGIES INC          COM                 206708109   1366    23818 SH         DEFINED       1   23818      0     0
CONOCOPHILLIPS                   COM                 20825C104   1631    21456 SH         DEFINED       1   21456      0     0
CONOCOPHILLIPS                   CALL                20825C904  19892   261700 SH    CALL DEFINED       1  261700      0     0
CONOCOPHILLIPS                   PUT                 20825C954  13180   173400 SH    PUT  DEFINED       1  173400      0     0
CONSOL ENERGY INC                CALL                20854P909   2858    83800 SH    CALL DEFINED       1   83800      0     0
CONSOL ENERGY INC                PUT                 20854P959   2967    87000 SH    PUT  DEFINED       1   87000      0     0
CONSOLIDATED EDISON INC          CALL                209115904   2623    44900 SH    CALL DEFINED       1   44900      0     0
CONSOLIDATED EDISON INC          PUT                 209115954   2319    39700 SH    PUT  DEFINED       1   39700      0     0
CONTINENTAL RESOURCES INC        COM                 212015101    286     3331 SH         DEFINED       1    3331      0     0
CONTINENTAL RESOURCES INC        CALL                212015901   2214    25800 SH    CALL DEFINED       1   25800      0     0
CONTINENTAL RESOURCES INC        PUT                 212015951   4128    48100 SH    PUT  DEFINED       1   48100      0     0
COPART INC                       COM                 217204106    560    21474 SH         DEFINED       1   21474      0     0
CORE LABORATORIES N V            COM                 N22717107    293     2226 SH         DEFINED       1    2226      0     0
CORINTHIAN COLLEGES INC          COM                 218868107     65    15771 SH         DEFINED       1   15771      0     0
CORINTHIAN COLLEGES INC          CALL                218868907     90    21700 SH    CALL DEFINED       1   21700      0     0






                                                                                        
CORINTHIAN COLLEGES INC          PUT                 218868957    122    29400 SH    PUT  DEFINED       1   29400      0     0
CORNERSTONE STRATEGIC VALUE      COM NEW             21924B203     84    11107 SH         DEFINED       1   11107      0     0
CORNING INC                      CALL                219350905   4701   333900 SH    CALL DEFINED       1  333900      0     0
CORNING INC                      PUT                 219350955   2937   208600 SH    PUT  DEFINED       1  208600      0     0
COSI INC                         COM                 22122P101     25    22732 SH         DEFINED       1   22732      0     0
COSTCO WHSL CORP NEW             COM                 22160K105   1771    19498 SH         DEFINED       1   19498      0     0
COSTCO WHSL CORP NEW             CALL                22160K905   7473    82300 SH    CALL DEFINED       1   82300      0     0
COSTCO WHSL CORP NEW             PUT                 22160K955   8490    93500 SH    PUT  DEFINED       1   93500      0     0
COVENTRY HEALTH CARE INC         PUT                 222862954    359    10100 SH    PUT  DEFINED       1   10100      0     0
CPFL ENERGIA S A                 SPONSORED ADR       126153105    478    15804 SH         DEFINED       1   15804      0     0
CRACKER BARREL OLD CTRY STOR     COM                 22410J106    218     3901 SH         DEFINED       1    3901      0     0
CREDIT SUISSE ASSET MGMT INC     COM                 224916106     40    10788 SH         DEFINED       1   10788      0     0
CREDIT SUISSE GROUP              CALL                225401908   1089    38200 SH    CALL DEFINED       1   38200      0     0
CREDIT SUISSE GROUP              PUT                 225401958    633    22200 SH    PUT  DEFINED       1   22200      0     0
CREDIT SUISSE HIGH YLD BND F     SH BEN INT          22544F103     53    17044 SH         DEFINED       1   17044      0     0
CREDIT SUISSE NASSAU BRH         INVRS VIX STERM     22542D795    200    16328 SH         DEFINED       1   16328      0     0
CREDIT SUISSE NASSAU BRH         ETN LKD 30MLP       22542D852    214     8666 SH         DEFINED       1    8666      0     0
CREE INC                         COM                 225447101    359    11338 SH         DEFINED       1   11338      0     0
CREE INC                         CALL                225447901   2021    63900 SH    CALL DEFINED       1   63900      0     0
CREE INC                         PUT                 225447951   2372    75000 SH    PUT  DEFINED       1   75000      0     0
CRESTWOOD MIDSTREAM PRTNERS COM  UNITS REPSTG        226372100    254     8915 SH         DEFINED       1    8915      0     0
CROCS INC                        COM                 227046109    499    23856 SH         DEFINED       1   23856      0     0
CROCS INC                        CALL                227046909   1190    56900 SH    CALL DEFINED       1   56900      0     0
CROCS INC                        PUT                 227046959   1370    65500 SH    PUT  DEFINED       1   65500      0     0
CROWN CASTLE INTL CORP           CALL                228227904    267     5000 SH    CALL DEFINED       1    5000      0     0
CROWN CASTLE INTL CORP           PUT                 228227954    779    14600 SH    PUT  DEFINED       1   14600      0     0
CROWN HOLDINGS INC               CALL                228368906    759    20600 SH    CALL DEFINED       1   20600      0     0
CROWN HOLDINGS INC               PUT                 228368956    659    17900 SH    PUT  DEFINED       1   17900      0     0
CSX CORP                         CALL                126408903   1175    54600 SH    CALL DEFINED       1   54600      0     0
CSX CORP                         PUT                 126408953   1769    82200 SH    PUT  DEFINED       1   82200      0     0
CTRIP COM INTL LTD               ADR                 22943F100    680    31411 SH         DEFINED       1   31411      0     0
CTRIP COM INTL LTD               CALL                22943F900   1608    74300 SH    CALL DEFINED       1   74300      0     0
CTRIP COM INTL LTD               PUT                 22943F950   1820    84100 SH    PUT  DEFINED       1   84100      0     0
CUBIC ENERGY INC                 COM                 229675103     14    25772 SH         DEFINED       1   25772      0     0
CUBIST PHARMACEUTICALS INC       COM                 229678107    687    15879 SH         DEFINED       1   15879      0     0
CULLEN FROST BANKERS INC         COM                 229899109    967    16613 SH         DEFINED       1   16613      0     0
CUMMINS INC                      COM                 231021106   1238    10311 SH         DEFINED       1   10311      0     0
CUMMINS INC                      CALL                231021906  10780    89800 SH    CALL DEFINED       1   89800      0     0
CUMMINS INC                      PUT                 231021956  12880   107300 SH    PUT  DEFINED       1  107300      0     0
CURRENCYSHARES SWISS FRANC T     SWISS FRANC SH      23129V109    439     4014 SH         DEFINED       1    4014      0     0
CURRENCYSHS JAPANESE YEN TR      JAPANESE YEN        23130A102    367     3093 SH         DEFINED       1    3093      0     0
CVR ENERGY INC                   CALL                12662P908    366    13700 SH    CALL DEFINED       1   13700      0     0
CVR ENERGY INC                   PUT                 12662P958    302    11300 SH    PUT  DEFINED       1   11300      0     0
CVS CAREMARK CORPORATION         COM                 126650100    297     6633 SH         DEFINED       1    6633      0     0
CVS CAREMARK CORPORATION         CALL                126650900   4211    94000 SH    CALL DEFINED       1   94000      0     0
CVS CAREMARK CORPORATION         PUT                 126650950   6796   151700 SH    PUT  DEFINED       1  151700      0     0
CYPRESS SEMICONDUCTOR CORP       COM                 232806109    530    33934 SH         DEFINED       1   33934      0     0
CYPRESS SEMICONDUCTOR CORP       CALL                232806909    366    23400 SH    CALL DEFINED       1   23400      0     0
CYPRESS SEMICONDUCTOR CORP       PUT                 232806959    339    21700 SH    PUT  DEFINED       1   21700      0     0
D R HORTON INC                   CALL                23331A909    372    24500 SH    CALL DEFINED       1   24500      0     0
D R HORTON INC                   PUT                 23331A959   1161    76500 SH    PUT  DEFINED       1   76500      0     0
DANA HOLDING CORP                COM                 235825205    215    13874 SH         DEFINED       1   13874      0     0
DANA HOLDING CORP                CALL                235825905    513    33100 SH    CALL DEFINED       1   33100      0     0
DANA HOLDING CORP                PUT                 235825955    302    19500 SH    PUT  DEFINED       1   19500      0     0
DANAHER CORP DEL                 COM                 235851102    252     4499 SH         DEFINED       1    4499      0     0
DANAHER CORP DEL                 CALL                235851902   2184    39000 SH    CALL DEFINED       1   39000      0     0
DANAHER CORP DEL                 PUT                 235851952   1098    19600 SH    PUT  DEFINED       1   19600      0     0
DARDEN RESTAURANTS INC           CALL                237194905   3561    69600 SH    CALL DEFINED       1   69600      0     0
DARDEN RESTAURANTS INC           PUT                 237194955   3039    59400 SH    PUT  DEFINED       1   59400      0     0






                                                                                        
DAVITA INC                       CALL                23918K908    839     9300 SH    CALL DEFINED       1    9300      0     0
DDR CORP                         COM                 23317H102    170    11618 SH         DEFINED       1   11618      0     0
DEAN FOODS CO NEW                COM                 242370104    197    16273 SH         DEFINED       1   16273      0     0
DEAN FOODS CO NEW                CALL                242370904    276    22800 SH    CALL DEFINED       1   22800      0     0
DEAN FOODS CO NEW                PUT                 242370954    327    27000 SH    PUT  DEFINED       1   27000      0     0
DECKERS OUTDOOR CORP             COM                 243537107   1081    17146 SH         DEFINED       1   17146      0     0
DECKERS OUTDOOR CORP             CALL                243537907   3884    61600 SH    CALL DEFINED       1   61600      0     0
DECKERS OUTDOOR CORP             PUT                 243537957   3997    63400 SH    PUT  DEFINED       1   63400      0     0
DEERE & CO                       COM                 244199105   1653    20437 SH         DEFINED       1   20437      0     0
DEERE & CO                       CALL                244199905   8106   100200 SH    CALL DEFINED       1  100200      0     0
DEERE & CO                       PUT                 244199955   9465   117000 SH    PUT  DEFINED       1  117000      0     0
DELCATH SYS INC                  COM                 24661P104    113    35954 SH         DEFINED       1   35954      0     0
DELL INC                         COM                 24702R101   1055    63577 SH         DEFINED       1   63577      0     0
DELL INC                         CALL                24702R901   2980   179600 SH    CALL DEFINED       1  179600      0     0
DELL INC                         PUT                 24702R951   3301   198900 SH    PUT  DEFINED       1  198900      0     0
DELPHI FINL GROUP INC            CL A                247131105    248     5550 SH         DEFINED       1    5550      0     0
DELTA AIR LINES INC DEL          CALL                247361902    648    65400 SH    CALL DEFINED       1   65400      0     0
DELTA AIR LINES INC DEL          PUT                 247361952    554    55900 SH    PUT  DEFINED       1   55900      0     0
DEMANDWARE INC                   COM                 24802Y105    648    21735 SH         DEFINED       1   21735      0     0
DENBURY RES INC                  CALL                247916908    454    24900 SH    CALL DEFINED       1   24900      0     0
DENBURY RES INC                  PUT                 247916958    423    23200 SH    PUT  DEFINED       1   23200      0     0
DENNYS CORP                      COM                 24869P104     43    10724 SH         DEFINED       1   10724      0     0
DEUTSCHE BANK AG                 CALL                D18190908   1075    21600 SH    CALL DEFINED       1   21600      0     0
DEUTSCHE BANK AG                 PUT                 D18190958    831    16700 SH    PUT  DEFINED       1   16700      0     0
DEUTSCHE BK AG LDN BRH           PS GOLD DS ETN      25154H756    115    24975 SH         DEFINED       1   24975      0     0
DEVON ENERGY CORP NEW            CALL                25179M903   5099    71700 SH    CALL DEFINED       1   71700      0     0
DEVON ENERGY CORP NEW            PUT                 25179M953   7432   104500 SH    PUT  DEFINED       1  104500      0     0
DEVRY INC DEL                    CALL                251893903    776    22900 SH    CALL DEFINED       1   22900      0     0
DEVRY INC DEL                    PUT                 251893953    671    19800 SH    PUT  DEFINED       1   19800      0     0
DIAMOND FOODS INC                COM                 252603105    538    23580 SH         DEFINED       1   23580      0     0
DIAMOND OFFSHORE DRILLING IN     COM                 25271C102    347     5195 SH         DEFINED       1    5195      0     0
DIAMOND OFFSHORE DRILLING IN     CALL                25271C902   3244    48600 SH    CALL DEFINED       1   48600      0     0
DIAMOND OFFSHORE DRILLING IN     PUT                 25271C952   2056    30800 SH    PUT  DEFINED       1   30800      0     0
DICKS SPORTING GOODS INC         COM                 253393102    328     6823 SH         DEFINED       1    6823      0     0
DICKS SPORTING GOODS INC         CALL                253393902   1154    24000 SH    CALL DEFINED       1   24000      0     0
DICKS SPORTING GOODS INC         PUT                 253393952    692    14400 SH    PUT  DEFINED       1   14400      0     0
DILLARDS INC                     CALL                254067901   1361    21600 SH    CALL DEFINED       1   21600      0     0
DILLARDS INC                     PUT                 254067951   3964    62900 SH    PUT  DEFINED       1   62900      0     0
DIODES INC                       COM                 254543101    318    13707 SH         DEFINED       1   13707      0     0
DIRECTV                          COM CL A            25490A101   1676    33973 SH         DEFINED       1   33973      0     0
DIRECTV                          CALL                25490A901   2013    40800 SH    CALL DEFINED       1   40800      0     0
DIRECTV                          PUT                 25490A951   1900    38500 SH    PUT  DEFINED       1   38500      0     0
DIREXION SHS ETF TR              DLY SMCAP BEAR3X    25459W110    254    14385 SH         DEFINED       1   14385      0     0
DIREXION SHS ETF TR              DLY FIN BEAR NEW    25459W144    862    41750 SH         DEFINED       1   41750      0     0
DIREXION SHS ETF TR              DLY LRG CAP BEAR    25459W151    301    14915 SH         DEFINED       1   14915      0     0
DIREXION SHS ETF TR              DLY ENRGY BEAR3X    25459W342    303    31087 SH         DEFINED       1   31087      0     0
DIREXION SHS ETF TR              DLY SMCAP BULL3X    25459W847   3321    53195 SH         DEFINED       1   53195      0     0
DIREXION SHS ETF TR              DLY LRG CAP BULL    25459W862    392     4547 SH         DEFINED       1    4547      0     0
DIREXION SHS ETF TR              DLY ENRGY BULL3X    25459W888    750    14607 SH         DEFINED       1   14607      0     0
DISCOVER FINL SVCS               COM                 254709108   1784    53510 SH         DEFINED       1   53510      0     0
DISCOVER FINL SVCS               CALL                254709908   3724   111700 SH    CALL DEFINED       1  111700      0     0
DISCOVER FINL SVCS               PUT                 254709958   1610    48300 SH    PUT  DEFINED       1   48300      0     0
DISCOVERY COMMUNICATNS NEW       COM SER C           25470F302    951    20292 SH         DEFINED       1   20292      0     0
DISCOVERY COMMUNICATNS NEW       PUT                 25470F954    248     4900 SH    PUT  DEFINED       1    4900      0     0
DISH NETWORK CORP                CL A                25470M109    330    10004 SH         DEFINED       1   10004      0     0
DISH NETWORK CORP                CALL                25470M909   2289    69500 SH    CALL DEFINED       1   69500      0     0
DISH NETWORK CORP                PUT                 25470M959    659    20000 SH    PUT  DEFINED       1   20000      0     0
DISNEY WALT CO                   COM DISNEY          254687106    660    15079 SH         DEFINED       1   15079      0     0
DISNEY WALT CO                   CALL                254687906   6970   159200 SH    CALL DEFINED       1  159200      0     0






                                                                                        
DISNEY WALT CO                   PUT                 254687956   8126   185600 SH    PUT  DEFINED       1  185600      0     0
DNP SELECT INCOME FD             COM                 23325P104    328    32445 SH         DEFINED       1   32445      0     0
DOCUMENT SEC SYS INC             COM                 25614T101     60    20022 SH         DEFINED       1   20022      0     0
DOLBY LABORATORIES INC           COM                 25659T107    341     8956 SH         DEFINED       1    8956      0     0
DOLBY LABORATORIES INC           PUT                 25659T957    259     6800 SH    PUT  DEFINED       1    6800      0     0
DOLLAR GEN CORP NEW              CALL                256677905   1848    40000 SH    CALL DEFINED       1   40000      0     0
DOLLAR GEN CORP NEW              PUT                 256677955    776    16800 SH    PUT  DEFINED       1   16800      0     0
DOLLAR THRIFTY AUTOMOTIVE GP     COM                 256743105    217     2676 SH         DEFINED       1    2676      0     0
DOLLAR THRIFTY AUTOMOTIVE GP     CALL                256743905   1707    21100 SH    CALL DEFINED       1   21100      0     0
DOLLAR THRIFTY AUTOMOTIVE GP     PUT                 256743955   1723    21300 SH    PUT  DEFINED       1   21300      0     0
DOLLAR TREE INC                  COM                 256746108   2058    21777 SH         DEFINED       1   21777      0     0
DOLLAR TREE INC                  CALL                256746908   2523    26700 SH    CALL DEFINED       1   26700      0     0
DOLLAR TREE INC                  PUT                 256746958   6028    63800 SH    PUT  DEFINED       1   63800      0     0
DOMINION RES INC VA NEW          COM                 25746U109    224     4382 SH         DEFINED       1    4382      0     0
DOMINION RES INC VA NEW          CALL                25746U909   1004    19600 SH    CALL DEFINED       1   19600      0     0
DOMINION RES INC VA NEW          PUT                 25746U959   2258    44100 SH    PUT  DEFINED       1   44100      0     0
DOMTAR CORP                      PUT                 257559953    763     8000 SH    PUT  DEFINED       1    8000      0     0
DONNELLEY R R & SONS CO          COM                 257867101    422    34030 SH         DEFINED       1   34030      0     0
DONNELLEY R R & SONS CO          CALL                257867901    188    15200 SH    CALL DEFINED       1   15200      0     0
DONNELLEY R R & SONS CO          PUT                 257867951    152    12300 SH    PUT  DEFINED       1   12300      0     0
DORAL FINL CORP                  COM NEW             25811P886     99    64126 SH         DEFINED       1   64126      0     0
DOVER CORP                       COM                 260003108    470     7460 SH         DEFINED       1    7460      0     0
DOVER CORP                       CALL                260003908    415     6600 SH    CALL DEFINED       1    6600      0     0
DOVER CORP                       PUT                 260003958    447     7100 SH    PUT  DEFINED       1    7100      0     0
DOW CHEM CO                      CALL                260543903   4936   142500 SH    CALL DEFINED       1  142500      0     0
DOW CHEM CO                      PUT                 260543953   4403   127100 SH    PUT  DEFINED       1  127100      0     0
DR PEPPER SNAPPLE GROUP INC      CALL                26138E909    450    11200 SH    CALL DEFINED       1   11200      0     0
DRESSER-RAND GROUP INC           COM                 261608103    635    13694 SH         DEFINED       1   13694      0     0
DREYFUS HIGH YIELD STRATEGIE     SH BEN INT          26200S101     63    13465 SH         DEFINED       1   13465      0     0
DREYFUS STRATEGIC MUNS INC       COM                 261932107    131    14357 SH         DEFINED       1   14357      0     0
DRIL-QUIP INC                    COM                 262037104    207     3188 SH         DEFINED       1    3188      0     0
DRYSHIPS INC                     SHS                 Y2109Q101    262    75307 SH         DEFINED       1   75307      0     0
DRYSHIPS INC                     CALL                Y2109Q901    458   131700 SH    CALL DEFINED       1  131700      0     0
DRYSHIPS INC                     PUT                 Y2109Q951    154    44300 SH    PUT  DEFINED       1   44300      0     0
DTE ENERGY CO                    COM                 233331107    607    11030 SH         DEFINED       1   11030      0     0
DU PONT E I DE NEMOURS & CO      CALL                263534909   7824   147900 SH    CALL DEFINED       1  147900      0     0
DU PONT E I DE NEMOURS & CO      PUT                 263534959   7713   145800 SH    PUT  DEFINED       1  145800      0     0
DUKE ENERGY CORP NEW             COM                 26441C105   1236    58806 SH         DEFINED       1   58806      0     0
DUKE ENERGY CORP NEW             CALL                26441C905   2124   101100 SH    CALL DEFINED       1  101100      0     0
DUKE ENERGY CORP NEW             PUT                 26441C955   1029    49000 SH    PUT  DEFINED       1   49000      0     0
DUKE REALTY CORP                 COM NEW             264411505    175    12179 SH         DEFINED       1   12179      0     0
DUN & BRADSTREET CORP DEL NE     COM                 26483E100    416     4909 SH         DEFINED       1    4909      0     0
DUNKIN BRANDS GROUP INC          COM                 265504100    427    14194 SH         DEFINED       1   14194      0     0
DUNKIN BRANDS GROUP INC          PUT                 265504950    208     6900 SH    PUT  DEFINED       1    6900      0     0
DUPONT FABROS TECHNOLOGY INC     COM                 26613Q106    209     8543 SH         DEFINED       1    8543      0     0
DYNEGY INC DEL                   COM                 26817G300     34    60187 SH         DEFINED       1   60187      0     0
E M C CORP MASS                  CALL                268648902  17229   576600 SH    CALL DEFINED       1  576600      0     0
E M C CORP MASS                  PUT                 268648952  15388   515000 SH    PUT  DEFINED       1  515000      0     0
EARTHLINK INC                    COM                 270321102     88    11011 SH         DEFINED       1   11011      0     0
EAST WEST BANCORP INC            COM                 27579R104    812    35165 SH         DEFINED       1   35165      0     0
EASTMAN CHEM CO                  CALL                277432900    677    13100 SH    CALL DEFINED       1   13100      0     0
EASTMAN CHEM CO                  PUT                 277432950    806    15600 SH    PUT  DEFINED       1   15600      0     0
EATON CORP                       CALL                278058902   1420    28500 SH    CALL DEFINED       1   28500      0     0
EATON CORP                       PUT                 278058952   3518    70600 SH    PUT  DEFINED       1   70600      0     0
EATON VANCE CORP                 COM NON VTG         278265103    240     8382 SH         DEFINED       1    8382      0     0
EATON VANCE RISK MNGD DIV EQ     COM                 27829G106    209    19768 SH         DEFINED       1   19768      0     0
EATON VANCE TAX ADVT DIV INC     COM                 27828G107    206    12333 SH         DEFINED       1   12333      0     0
EATON VANCE TAX-ADV BD & OPT     COM SH BEN INT      27829M103    220    13040 SH         DEFINED       1   13040      0     0
EATON VANCE TX MGD DIV EQ IN     COM                 27828N102    279    29251 SH         DEFINED       1   29251      0     0






                                                                                        
EBAY INC                         COM                 278642103   1834    49733 SH         DEFINED       1   49733      0     0
EBAY INC                         CALL                278642903   6125   166000 SH    CALL DEFINED       1  166000      0     0
EBAY INC                         PUT                 278642953   7306   198000 SH    PUT  DEFINED       1  198000      0     0
EBIX INC                         CALL                278715906    245    10600 SH    CALL DEFINED       1   10600      0     0
ECHOSTAR CORP                    CL A                278768106    206     7319 SH         DEFINED       1    7319      0     0
ECOPETROL S A                    SPONSORED ADS       279158109    410     6712 SH         DEFINED       1    6712      0     0
EDISON INTL                      COM                 281020107    487    11463 SH         DEFINED       1   11463      0     0
EDISON INTL                      CALL                281020907    446    10500 SH    CALL DEFINED       1   10500      0     0
EL PASO CORP                     PUT                 28336L959    399    13500 SH    PUT  DEFINED       1   13500      0     0
ELAN PLC                         ADR                 284131208    211    14037 SH         DEFINED       1   14037      0     0
ELAN PLC                         CALL                284131908   1003    66800 SH    CALL DEFINED       1   66800      0     0
ELAN PLC                         PUT                 284131958   1303    86800 SH    PUT  DEFINED       1   86800      0     0
ELDORADO GOLD CORP NEW           CALL                284902903    401    29200 SH    CALL DEFINED       1   29200      0     0
ELECTRONIC ARTS INC              COM                 285512109   1408    85401 SH         DEFINED       1   85401      0     0
ELECTRONIC ARTS INC              CALL                285512909   1571    95300 SH    CALL DEFINED       1   95300      0     0
ELECTRONIC ARTS INC              PUT                 285512959    371    22500 SH    PUT  DEFINED       1   22500      0     0
EMERSON ELEC CO                  COM                 291011104    231     4429 SH         DEFINED       1    4429      0     0
EMERSON ELEC CO                  CALL                291011904   7577   145200 SH    CALL DEFINED       1  145200      0     0
EMERSON ELEC CO                  PUT                 291011954   6809   130500 SH    PUT  DEFINED       1  130500      0     0
EMMIS COMMUNICATIONS CORP        CL A                291525103     27    34461 SH         DEFINED       1   34461      0     0
EMULEX CORP                      CALL                292475909    641    61800 SH    CALL DEFINED       1   61800      0     0
ENCANA CORP                      CALL                292505904   1024    52100 SH    CALL DEFINED       1   52100      0     0
ENCANA CORP                      PUT                 292505954   1407    71600 SH    PUT  DEFINED       1   71600      0     0
ENDO PHARMACEUTICALS HLDGS I     COM                 29264F205    222     5729 SH         DEFINED       1    5729      0     0
ENDOCYTE INC                     COM                 29269A102     70    14071 SH         DEFINED       1   14071      0     0
ENERGIZER HLDGS INC              COM                 29266R108    222     2992 SH         DEFINED       1    2992      0     0
ENERGY TRANSFER EQUITY L P       COM UT LTD PTN      29273V100   1291    32034 SH         DEFINED       1   32034      0     0
ENERGY TRANSFER PRTNRS L P       UNIT LTD PARTN      29273R109    661    14098 SH         DEFINED       1   14098      0     0
ENERGY TRANSFER PRTNRS L P       CALL                29273R909    554    11800 SH    CALL DEFINED       1   11800      0     0
ENERGY TRANSFER PRTNRS L P       PUT                 29273R959   1304    27800 SH    PUT  DEFINED       1   27800      0     0
ENERGY XXI (BERMUDA) LTD         CALL                G10082900    617    17100 SH    CALL DEFINED       1   17100      0     0
ENERGY XXI (BERMUDA) LTD         PUT                 G10082950    368    10200 SH    PUT  DEFINED       1   10200      0     0
ENERNOC INC                      COM                 292764107    119    16550 SH         DEFINED       1   16550      0     0
ENI S P A                        SPONSORED ADR       26874R108    286     6111 SH         DEFINED       1    6111      0     0
ENSCO INTL PLC                   CALL                29358Q909   2821    53300 SH    CALL DEFINED       1   53300      0     0
ENSCO INTL PLC                   PUT                 29358Q959   3202    60500 SH    PUT  DEFINED       1   60500      0     0
ENTEGRIS INC                     COM                 29362U104    146    15665 SH         DEFINED       1   15665      0     0
ENTERGY CORP NEW                 COM                 29364G103    576     8575 SH         DEFINED       1    8575      0     0
ENTERGY CORP NEW                 CALL                29364G903    968    14400 SH    CALL DEFINED       1   14400      0     0
ENTERGY CORP NEW                 PUT                 29364G953   1781    26500 SH    PUT  DEFINED       1   26500      0     0
ENTERPRISE PRODS PARTNERS L      COM                 293792107    986    19533 SH         DEFINED       1   19533      0     0
ENTERPRISE PRODS PARTNERS L      CALL                293792907   1751    34700 SH    CALL DEFINED       1   34700      0     0
ENTERPRISE PRODS PARTNERS L      PUT                 293792957   1837    36400 SH    PUT  DEFINED       1   36400      0     0
ENTERTAINMENT GAMING ASIA IN     COM                 29383V107     17    37440 SH         DEFINED       1   37440      0     0
ENTROPIC COMMUNICATIONS INC      COM                 29384R105    159    27254 SH         DEFINED       1   27254      0     0
EOG RES INC                      CALL                26875P901   5799    52200 SH    CALL DEFINED       1   52200      0     0
EOG RES INC                      PUT                 26875P951   4955    44600 SH    PUT  DEFINED       1   44600      0     0
EQUINIX INC                      COM NEW             29444U502   3270    20769 SH         DEFINED       1   20769      0     0
EQUINIX INC                      CALL                29444U902   4078    25900 SH    CALL DEFINED       1   25900      0     0
EQUINIX INC                      PUT                 29444U952   7715    49000 SH    PUT  DEFINED       1   49000      0     0
EQUITY RESIDENTIAL               CALL                29476L907    294     4700 SH    CALL DEFINED       1    4700      0     0
EQUITY RESIDENTIAL               PUT                 29476L957   1052    16800 SH    PUT  DEFINED       1   16800      0     0
ERICSSON L M TEL CO              ADR B SEK 10        294821608    227    22005 SH         DEFINED       1   22005      0     0
ERICSSON L M TEL CO              CALL                294821908    300    29100 SH    CALL DEFINED       1   29100      0     0
ETFS GOLD TR                     SHS                 26922Y105    511     3090 SH         DEFINED       1    3090      0     0
ETFS PRECIOUS METALS BASKET      PHYS PM BSKT        26922W109    219     2300 SH         DEFINED       1    2300      0     0
ETRADE FINANCIAL CORP            CALL                269246901   1161   106000 SH    CALL DEFINED       1  106000      0     0
ETRADE FINANCIAL CORP            PUT                 269246951   1144   104500 SH    PUT  DEFINED       1  104500      0     0
EV ENERGY PARTNERS LP            COM UNITS           26926V107    857    12315 SH         DEFINED       1   12315      0     0






                                                                                        
EV ENERGY PARTNERS LP            CALL                26926V907    230     3300 SH    CALL DEFINED       1    3300      0     0
EV ENERGY PARTNERS LP            PUT                 26926V957   1037    14900 SH    PUT  DEFINED       1   14900      0     0
EVERCORE PARTNERS INC            CLASS A             29977A105    752    25852 SH         DEFINED       1   25852      0     0
EVEREST RE GROUP LTD             COM                 G3223R108    299     3232 SH         DEFINED       1    3232      0     0
EXCO RESOURCES INC               COM                 269279402    231    34863 SH         DEFINED       1   34863      0     0
EXCO RESOURCES INC               CALL                269279902    311    46900 SH    CALL DEFINED       1   46900      0     0
EXCO RESOURCES INC               PUT                 269279952    478    72100 SH    PUT  DEFINED       1   72100      0     0
EXELIXIS INC                     COM                 30161Q104    280    54026 SH         DEFINED       1   54026      0     0
EXELON CORP                      CALL                30161N901   7289   185900 SH    CALL DEFINED       1  185900      0     0
EXELON CORP                      PUT                 30161N951   5180   132100 SH    PUT  DEFINED       1  132100      0     0
EXETER RES CORP                  COM                 301835104     71    26032 SH         DEFINED       1   26032      0     0
EXPEDITORS INTL WASH INC         COM                 302130109   1621    34836 SH         DEFINED       1   34836      0     0
EXPEDITORS INTL WASH INC         CALL                302130909   1214    26100 SH    CALL DEFINED       1   26100      0     0
EXPEDITORS INTL WASH INC         PUT                 302130959   1139    24500 SH    PUT  DEFINED       1   24500      0     0
EXPRESS SCRIPTS INC              COM                 302182100    586    10817 SH         DEFINED       1   10817      0     0
EXXON MOBIL CORP                 COM                 30231G102    440     5076 SH         DEFINED       1    5076      0     0
EXXON MOBIL CORP                 CALL                30231G902  12966   149500 SH    CALL DEFINED       1  149500      0     0
EXXON MOBIL CORP                 PUT                 30231G952  22472   259100 SH    PUT  DEFINED       1  259100      0     0
EZCHIP SEMICONDUCTOR LIMITED     ORD                 M4146Y108    322     7432 SH         DEFINED       1    7432      0     0
EZCORP INC                       PUT                 302301956    484    14900 SH    PUT  DEFINED       1   14900      0     0
F5 NETWORKS INC                  COM                 315616102    930     6891 SH         DEFINED       1    6891      0     0
F5 NETWORKS INC                  CALL                315616902   5520    40900 SH    CALL DEFINED       1   40900      0     0
F5 NETWORKS INC                  PUT                 315616952   8799    65200 SH    PUT  DEFINED       1   65200      0     0
FAIRCHILD SEMICONDUCTOR INTL     CALL                303726903    257    17500 SH    CALL DEFINED       1   17500      0     0
FAMILY DLR STORES INC            CALL                307000909    664    10500 SH    CALL DEFINED       1   10500      0     0
FAMILY DLR STORES INC            PUT                 307000959   1120    17700 SH    PUT  DEFINED       1   17700      0     0
FASTENAL CO                      COM                 311900104   1790    33082 SH         DEFINED       1   33082      0     0
FASTENAL CO                      CALL                311900904   2191    40500 SH    CALL DEFINED       1   40500      0     0
FASTENAL CO                      PUT                 311900954   2705    50000 SH    PUT  DEFINED       1   50000      0     0
FBL FINL GROUP INC               CL A                30239F106    203     6015 SH         DEFINED       1    6015      0     0
FEDERAL REALTY INVT TR           SH BEN INT NEW      313747206    611     6315 SH         DEFINED       1    6315      0     0
FEDERATED INVS INC PA            CL B                314211103    349    15571 SH         DEFINED       1   15571      0     0
FEDEX CORP                       COM                 31428X106    389     4225 SH         DEFINED       1    4225      0     0
FEDEX CORP                       CALL                31428X906   8286    90100 SH    CALL DEFINED       1   90100      0     0
FEDEX CORP                       PUT                 31428X956   8359    90900 SH    PUT  DEFINED       1   90900      0     0
FERRO CORP                       COM                 315405100     60    10123 SH         DEFINED       1   10123      0     0
FIDELITY NATIONAL FINANCIAL      CALL                31620R905    683    37900 SH    CALL DEFINED       1   37900      0     0
FIDELITY NATIONAL FINANCIAL      PUT                 31620R955    344    19100 SH    PUT  DEFINED       1   19100      0     0
FIDELITY NATL INFORMATION SV     COM                 31620M106    626    18906 SH         DEFINED       1   18906      0     0
FIFTH STREET FINANCE CORP        COM                 31678A103    134    13759 SH         DEFINED       1   13759      0     0
FIFTH THIRD BANCORP              COM                 316773100   1088    77524 SH         DEFINED       1   77524      0     0
FIFTH THIRD BANCORP              CALL                316773900   1254    89300 SH    CALL DEFINED       1   89300      0     0
FIFTH THIRD BANCORP              PUT                 316773950    576    41000 SH    PUT  DEFINED       1   41000      0     0
FINISAR   CORP                   CALL                31787A907    893    44300 SH    CALL DEFINED       1   44300      0     0
FINISAR   CORP                   PUT                 31787A957    286    14200 SH    PUT  DEFINED       1   14200      0     0
FINISH LINE INC                  CL A                317923100    681    32123 SH         DEFINED       1   32123      0     0
FIRST CTZNS BANCSHARES INC N     CL A                31946M103    256     1406 SH         DEFINED       1    1406      0     0
FIRST HORIZON NATL CORP          PUT                 320517955    138    13300 SH    PUT  DEFINED       1   13300      0     0
FIRST MAJESTIC SILVER CORP       CALL                32076V903    272    16400 SH    CALL DEFINED       1   16400      0     0
FIRST MAJESTIC SILVER CORP       PUT                 32076V953    179    10800 SH    PUT  DEFINED       1   10800      0     0
FIRST NIAGARA FINL GP INC        COM                 33582V108    926    94086 SH         DEFINED       1   94086      0     0
FIRST SOLAR INC                  COM                 336433107   1573    62796 SH         DEFINED       1   62796      0     0
FIRST SOLAR INC                  PUT                 336433957   1621    64700 SH    PUT  DEFINED       1   64700      0     0
FIRST TR EXCHANGE TRADED FD      INDLS PROD DUR      33734X150    595    30747 SH         DEFINED       1   30747      0     0
FIRST TR EXCHANGE TRADED FD      UTILITIES ALPH      33734X184    269    15256 SH         DEFINED       1   15256      0     0
FIRSTENERGY CORP                 CALL                337932907   4769   104600 SH    CALL DEFINED       1  104600      0     0
FIRSTENERGY CORP                 PUT                 337932957   3510    77000 SH    PUT  DEFINED       1   77000      0     0
FISERV INC                       COM                 337738108    903    13012 SH         DEFINED       1   13012      0     0
FLAGSTAR BANCORP INC             COM NEW             337930507    104   112557 SH         DEFINED       1  112557      0     0






                                                                                        
FLEXTRONICS INTL LTD             ORD                 Y2573F102    103    14289 SH         DEFINED       1   14289      0     0
FLEXTRONICS INTL LTD             PUT                 Y2573F952     85    11800 SH    PUT  DEFINED       1   11800      0     0
FLIR SYS INC                     COM                 302445101    747    29544 SH         DEFINED       1   29544      0     0
FLIR SYS INC                     CALL                302445901    266    10500 SH    CALL DEFINED       1   10500      0     0
FLOWSERVE CORP                   COM                 34354P105    372     3218 SH         DEFINED       1    3218      0     0
FLOWSERVE CORP                   CALL                34354P905   1201    10400 SH    CALL DEFINED       1   10400      0     0
FLOWSERVE CORP                   PUT                 34354P955   2091    18100 SH    PUT  DEFINED       1   18100      0     0
FLUOR CORP NEW                   CALL                343412902   3921    65300 SH    CALL DEFINED       1   65300      0     0
FLUOR CORP NEW                   PUT                 343412952   5344    89000 SH    PUT  DEFINED       1   89000      0     0
FMC TECHNOLOGIES INC             COM                 30249U101    237     4697 SH         DEFINED       1    4697      0     0
FMC TECHNOLOGIES INC             CALL                30249U901    368     7300 SH    CALL DEFINED       1    7300      0     0
FMC TECHNOLOGIES INC             PUT                 30249U951    615    12200 SH    PUT  DEFINED       1   12200      0     0
FOCUS MEDIA HLDG LTD             SPONSORED ADR       34415V109    671    26718 SH         DEFINED       1   26718      0     0
FOCUS MEDIA HLDG LTD             CALL                34415V909    201     8000 SH    CALL DEFINED       1    8000      0     0
FOOT LOCKER INC                  CALL                344849904    689    22200 SH    CALL DEFINED       1   22200      0     0
FOOT LOCKER INC                  PUT                 344849954    397    12800 SH    PUT  DEFINED       1   12800      0     0
FORD MTR CO DEL                  *W EXP 01/01/201    345370134    126    36234 SH         DEFINED       1   36234      0     0
FORD MTR CO DEL                  CALL                345370900   9118   730900 SH    CALL DEFINED       1  730900      0     0
FORD MTR CO DEL                  PUT                 345370950   6748   540900 SH    PUT  DEFINED       1  540900      0     0
FOREST LABS INC                  COM                 345838106    205     5914 SH         DEFINED       1    5914      0     0
FOREST LABS INC                  CALL                345838906    770    22200 SH    CALL DEFINED       1   22200      0     0
FOREST LABS INC                  PUT                 345838956    454    13100 SH    PUT  DEFINED       1   13100      0     0
FOREST OIL CORP                  CALL                346091905    305    25200 SH    CALL DEFINED       1   25200      0     0
FOREST OIL CORP                  PUT                 346091955    282    23300 SH    PUT  DEFINED       1   23300      0     0
FORTINET   INC                   CALL                34959E909    594    21500 SH    CALL DEFINED       1   21500      0     0
FORTINET   INC                   PUT                 34959E959    702    25400 SH    PUT  DEFINED       1   25400      0     0
FORTINET INC                     COM                 34959E109    520    18817 SH         DEFINED       1   18817      0     0
FOSSIL INC                       COM                 349882100   1009     7647 SH         DEFINED       1    7647      0     0
FOSSIL INC                       CALL                349882900   3590    27200 SH    CALL DEFINED       1   27200      0     0
FOSSIL INC                       PUT                 349882950   3616    27400 SH    PUT  DEFINED       1   27400      0     0
FOSTER WHEELER AG                CALL                H27178904    264    11600 SH    CALL DEFINED       1   11600      0     0
FRANCE TELECOM                   SPONSORED ADR       35177Q105    266    17920 SH         DEFINED       1   17920      0     0
FRANCESCAS HLDGS CORP            COM                 351793104    226     7154 SH         DEFINED       1    7154      0     0
FRANKLIN ELEC INC                COM                 353514102    250     5091 SH         DEFINED       1    5091      0     0
FRANKLIN RES INC                 COM                 354613101    746     6018 SH         DEFINED       1    6018      0     0
FRANKLIN RES INC                 CALL                354613901   1612    13000 SH    CALL DEFINED       1   13000      0     0
FRANKLIN RES INC                 PUT                 354613951   2419    19500 SH    PUT  DEFINED       1   19500      0     0
FREEPORT-MCMORAN COPPER & GO     CALL                35671D907   9852   259000 SH    CALL DEFINED       1  259000      0     0
FREEPORT-MCMORAN COPPER & GO     PUT                 35671D957  19587   514900 SH    PUT  DEFINED       1  514900      0     0
FREESEAS INC                     SHS                 Y26496144     19    18526 SH         DEFINED       1   18526      0     0
FRONTIER COMMUNICATIONS CORP     COM                 35906A108    181    43541 SH         DEFINED       1   43541      0     0
FRONTIER COMMUNICATIONS CORP     CALL                35906A908    261    62600 SH    CALL DEFINED       1   62600      0     0
FRONTIER COMMUNICATIONS CORP     PUT                 35906A958    195    46800 SH    PUT  DEFINED       1   46800      0     0
FTI CONSULTING INC               CALL                302941909    364     9700 SH    CALL DEFINED       1    9700      0     0
FTI CONSULTING INC               PUT                 302941959   2277    60700 SH    PUT  DEFINED       1   60700      0     0
FUEL SYS SOLUTIONS INC           COM                 35952W103    443    16931 SH         DEFINED       1   16931      0     0
FUEL SYS SOLUTIONS INC           CALL                35952W903    285    10900 SH    CALL DEFINED       1   10900      0     0
FUELCELL ENERGY INC              COM                 35952H106    114    72531 SH         DEFINED       1   72531      0     0
GAFISA S A                       SPONS ADR           362607301    102    21521 SH         DEFINED       1   21521      0     0
GAMCO GLOBAL GOLD NAT RES &      COM SH BEN INT      36465A109    238    14740 SH         DEFINED       1   14740      0     0
GAMESTOP CORP NEW                CALL                36467W909   3182   145700 SH    CALL DEFINED       1  145700      0     0
GAMESTOP CORP NEW                PUT                 36467W959   1417    64900 SH    PUT  DEFINED       1   64900      0     0
GANNETT INC                      CALL                364730901    567    37000 SH    CALL DEFINED       1   37000      0     0
GANNETT INC                      PUT                 364730951    288    18800 SH    PUT  DEFINED       1   18800      0     0
GAP INC DEL                      COM                 364760108    419    16012 SH         DEFINED       1   16012      0     0
GAP INC DEL                      CALL                364760908   2543    97300 SH    CALL DEFINED       1   97300      0     0
GAP INC DEL                      PUT                 364760958   1242    47500 SH    PUT  DEFINED       1   47500      0     0
GARDNER DENVER INC               COM                 365558105    621     9848 SH         DEFINED       1    9848      0     0
GARMIN LTD                       SHS                 H2906T109   1583    33723 SH         DEFINED       1   33723      0     0






                                                                                        
GARMIN LTD                       CALL                H2906T909    235     5000 SH    CALL DEFINED       1    5000      0     0
GASCO ENERGY INC                 COM                 367220100      3    10700 SH         DEFINED       1   10700      0     0
GDL FUND                         COM SH BEN IT       361570104    133    10877 SH         DEFINED       1   10877      0     0
GENCO SHIPPING & TRADING LTD     SHS                 Y2685T107    113    17771 SH         DEFINED       1   17771      0     0
GENCO SHIPPING & TRADING LTD     CALL                Y2685T907    207    32500 SH    CALL DEFINED       1   32500      0     0
GENERAL CABLE CORP DEL NEW       CALL                369300908    375    12900 SH    CALL DEFINED       1   12900      0     0
GENERAL CABLE CORP DEL NEW       PUT                 369300958    750    25800 SH    PUT  DEFINED       1   25800      0     0
GENERAL DYNAMICS CORP            CALL                369550908   3155    43000 SH    CALL DEFINED       1   43000      0     0
GENERAL DYNAMICS CORP            PUT                 369550958   3941    53700 SH    PUT  DEFINED       1   53700      0     0
GENERAL ELECTRIC CO              CALL                369604903  14077   701400 SH    CALL DEFINED       1  701400      0     0
GENERAL ELECTRIC CO              PUT                 369604953  11787   587300 SH    PUT  DEFINED       1  587300      0     0
GENERAL MLS INC                  COM                 370334104    253     6404 SH         DEFINED       1    6404      0     0
GENERAL MLS INC                  CALL                370334904   3113    78900 SH    CALL DEFINED       1   78900      0     0
GENERAL MLS INC                  PUT                 370334954   1558    39500 SH    PUT  DEFINED       1   39500      0     0
GENERAL MOLY INC                 COM                 370373102     87    25927 SH         DEFINED       1   25927      0     0
GENERAL MTRS CO                  COM                 37045V100    225     8778 SH         DEFINED       1    8778      0     0
GENERAL MTRS CO                  JR PFD CNV SRB      37045V209    251     5991 SH         DEFINED       1    5991      0     0
GENERAL MTRS CO                  CALL                37045V900   5576   217400 SH    CALL DEFINED       1  217400      0     0
GENERAL MTRS CO                  PUT                 37045V950   5068   197600 SH    PUT  DEFINED       1  197600      0     0
GENESEE & WYO INC                CL A                371559105    227     4155 SH         DEFINED       1    4155      0     0
GENESIS ENERGY L P               UNIT LTD PARTN      371927104    224     7287 SH         DEFINED       1    7287      0     0
GENETIC TECHNOLOGIES LTD         SPONSORED ADR       37185R109     43    15367 SH         DEFINED       1   15367      0     0
GEN-PROBE INC NEW                COM                 36866T103    621     9353 SH         DEFINED       1    9353      0     0
GENTEX CORP                      COM                 371901109    231     9442 SH         DEFINED       1    9442      0     0
GENUINE PARTS CO                 COM                 372460105    413     6575 SH         DEFINED       1    6575      0     0
GENWORTH FINL INC                COM CL A            37247D106    131    15727 SH         DEFINED       1   15727      0     0
GENWORTH FINL INC                CALL                37247D906    695    83500 SH    CALL DEFINED       1   83500      0     0
GENWORTH FINL INC                PUT                 37247D956    516    62000 SH    PUT  DEFINED       1   62000      0     0
GEOEYE INC                       COM                 37250W108    223     9252 SH         DEFINED       1    9252      0     0
GEOGLOBAL RESOURCES INC          COM                 37249T109     51   245170 SH         DEFINED       1  245170      0     0
GERDAU S A                       SPONSORED ADR       373737105    212    22048 SH         DEFINED       1   22048      0     0
GERDAU S A                       CALL                373737905    206    21400 SH    CALL DEFINED       1   21400      0     0
GERDAU S A                       PUT                 373737955    128    13300 SH    PUT  DEFINED       1   13300      0     0
GERON CORP                       COM                 374163103     43    25288 SH         DEFINED       1   25288      0     0
GILEAD SCIENCES INC              COM                 375558103   1074    21997 SH         DEFINED       1   21997      0     0
GILEAD SCIENCES INC              CALL                375558903   5888   120500 SH    CALL DEFINED       1  120500      0     0
GILEAD SCIENCES INC              PUT                 375558953   8560   175200 SH    PUT  DEFINED       1  175200      0     0
GLAXOSMITHKLINE PLC              SPONSORED ADR       37733W105    881    19618 SH         DEFINED       1   19618      0     0
GLAXOSMITHKLINE PLC              CALL                37733W905   1338    29800 SH    CALL DEFINED       1   29800      0     0
GLAXOSMITHKLINE PLC              PUT                 37733W955    984    21900 SH    PUT  DEFINED       1   21900      0     0
GLOBAL PMTS INC                  COM                 37940X102   1551    32670 SH         DEFINED       1   32670      0     0
GLOBAL X FDS                     BOLSA FTSE ETF      37950E200    244    11491 SH         DEFINED       1   11491      0     0
GLOBAL X FDS                     GLB X URANIUM       37950E754    206    21937 SH         DEFINED       1   21937      0     0
GLOBALSCAPE INC                  COM                 37940G109     21    10631 SH         DEFINED       1   10631      0     0
GLOBECOMM SYSTEMS INC            COM                 37956X103    172    11897 SH         DEFINED       1   11897      0     0
GLU MOBILE INC                   COM                 379890106    157    32420 SH         DEFINED       1   32420      0     0
GMX RES INC                      COM                 38011M108    286   224894 SH         DEFINED       1  224894      0     0
GOL LINHAS AEREAS INTLG S A      SP ADR REP PFD      38045R107     88    13026 SH         DEFINED       1   13026      0     0
GOLD FIELDS LTD NEW              PUT                 38059T956    402    28900 SH    PUT  DEFINED       1   28900      0     0
GOLDCORP INC NEW                 CALL                380956909   2645    58700 SH    CALL DEFINED       1   58700      0     0
GOLDCORP INC NEW                 PUT                 380956959    987    21900 SH    PUT  DEFINED       1   21900      0     0
GOLDEN STAR RES LTD CDA          CALL                38119T904     22    11600 SH    CALL DEFINED       1   11600      0     0
GOLDFIELD CORP                   COM                 381370105     11    11535 SH         DEFINED       1   11535      0     0
GOLDMAN SACHS GROUP INC          COM                 38141G104   1375    11055 SH         DEFINED       1   11055      0     0
GOLDMAN SACHS GROUP INC          CALL                38141G904  26553   213500 SH    CALL DEFINED       1  213500      0     0
GOLDMAN SACHS GROUP INC          PUT                 38141G954  35197   283000 SH    PUT  DEFINED       1  283000      0     0
GOODYEAR TIRE & RUBR CO          COM                 382550101    405    36057 SH         DEFINED       1   36057      0     0
GOODYEAR TIRE & RUBR CO          CALL                382550901    926    82500 SH    CALL DEFINED       1   82500      0     0
GOODYEAR TIRE & RUBR CO          PUT                 382550951   1211   107900 SH    PUT  DEFINED       1  107900      0     0






                                                                                        
GOOGLE INC                       CL A                38259P508  17183    26790 SH         DEFINED       1   26790      0     0
GOOGLE INC                       CALL                38259P908  20456    31900 SH    CALL DEFINED       1   31900      0     0
GOOGLE INC                       PUT                 38259P958  20969    32700 SH    PUT  DEFINED       1   32700      0     0
GRACE W R & CO DEL NEW           CALL                38388F908   1208    20900 SH    CALL DEFINED       1   20900      0     0
GRACE W R & CO DEL NEW           PUT                 38388F958   1058    18300 SH    PUT  DEFINED       1   18300      0     0
GRAINGER W W INC                 COM                 384802104    531     2474 SH         DEFINED       1    2474      0     0
GRAINGER W W INC                 PUT                 384802954    344     1600 SH    PUT  DEFINED       1    1600      0     0
GRAMERCY CAP CORP                COM                 384871109     34    12749 SH         DEFINED       1   12749      0     0
GRAVITY CO LTD                   SPONSORED ADR       38911N107     43    15616 SH         DEFINED       1   15616      0     0
GREAT NORTHN IRON ORE PPTYS      CTFS BEN INT        391064102    337     3505 SH         DEFINED       1    3505      0     0
GREAT PLAINS ENERGY INC          UNIT 06/15/2042     391164803    334     5459 SH         DEFINED       1    5459      0     0
GREEN BANKSHARES INC             COM NEW             394361208     26    15916 SH         DEFINED       1   15916      0     0
GREEN MTN COFFEE ROASTERS IN     COM                 393122106   5549   118469 SH         DEFINED       1  118469      0     0
GREEN MTN COFFEE ROASTERS IN     CALL                393122906   4726   100900 SH    CALL DEFINED       1  100900      0     0
GREEN MTN COFFEE ROASTERS IN     PUT                 393122956   4080    87100 SH    PUT  DEFINED       1   87100      0     0
GREENHAVEN CONT CMDTY INDEX      UNIT BEN INT        395258106    283     9337 SH         DEFINED       1    9337      0     0
GREENHUNTER ENERGY INC           COM                 39530A104     52    20996 SH         DEFINED       1   20996      0     0
GT ADVANCED TECHNOLOGIES INC     COM                 36191U106    129    15565 SH         DEFINED       1   15565      0     0
GTSI CORP                        COM                 36238K103     76    15764 SH         DEFINED       1   15764      0     0
GUARANTY BANCORP DEL             COM                 40075T102     30    15291 SH         DEFINED       1   15291      0     0
GUESS INC                        COM                 401617105    258     8246 SH         DEFINED       1    8246      0     0
GUESS INC                        CALL                401617905   1069    34200 SH    CALL DEFINED       1   34200      0     0
GUESS INC                        PUT                 401617955   1034    33100 SH    PUT  DEFINED       1   33100      0     0
GUIDEWIRE SOFTWARE INC           COM                 40171V100    220     7137 SH         DEFINED       1    7137      0     0
GULF RESOURCES INC               COM PAR $0.0005     40251W309     37    16060 SH         DEFINED       1   16060      0     0
H & E EQUIPMENT SERVICES INC     COM                 404030108    208    11004 SH         DEFINED       1   11004      0     0
HALCON RES CORP                  COM NEW             40537Q209    139    14869 SH         DEFINED       1   14869      0     0
HALLIBURTON CO                   COM                 406216101    364    10979 SH         DEFINED       1   10979      0     0
HALLIBURTON CO                   CALL                406216901   7418   223500 SH    CALL DEFINED       1  223500      0     0
HALLIBURTON CO                   PUT                 406216951  10365   312300 SH    PUT  DEFINED       1  312300      0     0
HANCOCK HLDG CO                  COM                 410120109    362    10203 SH         DEFINED       1   10203      0     0
HANCOCK JOHN PATRIOT PREM II     COM SH BEN INT      41013T105    178    13183 SH         DEFINED       1   13183      0     0
HANESBRANDS INC                  CALL                410345902    222     7500 SH    CALL DEFINED       1    7500      0     0
HARLEY DAVIDSON INC              COM                 412822108    478     9730 SH         DEFINED       1    9730      0     0
HARLEY DAVIDSON INC              CALL                412822908   2420    49300 SH    CALL DEFINED       1   49300      0     0
HARLEY DAVIDSON INC              PUT                 412822958   1109    22600 SH    PUT  DEFINED       1   22600      0     0
HARMAN INTL INDS INC             CALL                413086909    538    11500 SH    CALL DEFINED       1   11500      0     0
HARMAN INTL INDS INC             PUT                 413086959    702    15000 SH    PUT  DEFINED       1   15000      0     0
HARMONIC INC                     COM                 413160102    193    35402 SH         DEFINED       1   35402      0     0
HARMONY GOLD MNG LTD             CALL                413216900    331    30300 SH    CALL DEFINED       1   30300      0     0
HARRIS CORP DEL                  CALL                413875905    658    14600 SH    CALL DEFINED       1   14600      0     0
HARRIS CORP DEL                  PUT                 413875955    460    10200 SH    PUT  DEFINED       1   10200      0     0
HARTFORD FINL SVCS GROUP INC     CALL                416515904   2310   109600 SH    CALL DEFINED       1  109600      0     0
HARTFORD FINL SVCS GROUP INC     PUT                 416515954   1389    65900 SH    PUT  DEFINED       1   65900      0     0
HARVARD BIOSCIENCE INC           COM                 416906105     75    19091 SH         DEFINED       1   19091      0     0
HASBRO INC                       COM                 418056107   1116    30384 SH         DEFINED       1   30384      0     0
HASBRO INC                       CALL                418056907    580    15800 SH    CALL DEFINED       1   15800      0     0
HASBRO INC                       PUT                 418056957   2453    66800 SH    PUT  DEFINED       1   66800      0     0
HATTERAS FINL CORP               COM                 41902R103    535    19161 SH         DEFINED       1   19161      0     0
HATTERAS FINL CORP               PUT                 41902R953    508    18200 SH    PUT  DEFINED       1   18200      0     0
HAWAIIAN HOLDINGS INC            COM                 419879101     83    15869 SH         DEFINED       1   15869      0     0
HCP INC                          COM                 40414L109    459    11633 SH         DEFINED       1   11633      0     0
HEADWATERS INC                   COM                 42210P102     59    14161 SH         DEFINED       1   14161      0     0
HEALTH CARE REIT INC             CALL                42217K906   1143    20800 SH    CALL DEFINED       1   20800      0     0
HEALTH CARE REIT INC             PUT                 42217K956    627    11400 SH    PUT  DEFINED       1   11400      0     0
HEARTLAND EXPRESS INC            COM                 422347104    160    11048 SH         DEFINED       1   11048      0     0
HECLA MNG CO                     COM                 422704106     75    16331 SH         DEFINED       1   16331      0     0
HECLA MNG CO                     CALL                422704906    421    91100 SH    CALL DEFINED       1   91100      0     0
HECLA MNG CO                     PUT                 422704956    404    87500 SH    PUT  DEFINED       1   87500      0     0






                                                                                        
HEINZ H J CO                     COM                 423074103    546    10199 SH         DEFINED       1   10199      0     0
HEINZ H J CO                     CALL                423074903    825    15400 SH    CALL DEFINED       1   15400      0     0
HEINZ H J CO                     PUT                 423074953   1125    21000 SH    PUT  DEFINED       1   21000      0     0
HELIX ENERGY SOLUTIONS GRP I     CALL                42330P907    279    15700 SH    CALL DEFINED       1   15700      0     0
HELMERICH & PAYNE INC            COM                 423452101    674    12500 SH         DEFINED       1   12500      0     0
HELMERICH & PAYNE INC            CALL                423452901    691    12800 SH    CALL DEFINED       1   12800      0     0
HELMERICH & PAYNE INC            PUT                 423452951   1090    20200 SH    PUT  DEFINED       1   20200      0     0
HENRY JACK & ASSOC INC           COM                 426281101    551    16160 SH         DEFINED       1   16160      0     0
HERBALIFE LTD                    COM USD SHS         G4412G101   1238    17992 SH         DEFINED       1   17992      0     0
HERBALIFE LTD                    CALL                G4412G901   1500    21800 SH    CALL DEFINED       1   21800      0     0
HERBALIFE LTD                    PUT                 G4412G951   4129    60000 SH    PUT  DEFINED       1   60000      0     0
HERCULES OFFSHORE INC            COM                 427093109     55    11666 SH         DEFINED       1   11666      0     0
HERCULES OFFSHORE INC            CALL                427093909    266    56200 SH    CALL DEFINED       1   56200      0     0
HERCULES OFFSHORE INC            PUT                 427093959     66    14000 SH    PUT  DEFINED       1   14000      0     0
HERSHEY CO                       CALL                427866908    926    15100 SH    CALL DEFINED       1   15100      0     0
HERSHEY CO                       PUT                 427866958    852    13900 SH    PUT  DEFINED       1   13900      0     0
HERTZ GLOBAL HOLDINGS INC        CALL                42805T905    177    11800 SH    CALL DEFINED       1   11800      0     0
HESS CORP                        CALL                42809H907   3849    65300 SH    CALL DEFINED       1   65300      0     0
HESS CORP                        PUT                 42809H957   7062   119800 SH    PUT  DEFINED       1  119800      0     0
HEWLETT PACKARD CO               CALL                428236903  12222   512900 SH    CALL DEFINED       1  512900      0     0
HEWLETT PACKARD CO               PUT                 428236953  11493   482300 SH    PUT  DEFINED       1  482300      0     0
HIBBETT SPORTS INC               COM                 428567101    302     5542 SH         DEFINED       1    5542      0     0
HIMAX TECHNOLOGIES INC           SPONSORED ADR       43289P106     43    21075 SH         DEFINED       1   21075      0     0
HITTITE MICROWAVE CORP           COM                 43365Y104    272     5007 SH         DEFINED       1    5007      0     0
HMS HLDGS CORP                   COM                 40425J101    230     7375 SH         DEFINED       1    7375      0     0
HOLLYFRONTIER CORP               COM                 436106108   1560    48536 SH         DEFINED       1   48536      0     0
HOLLYFRONTIER CORP               CALL                436106908   1421    44200 SH    CALL DEFINED       1   44200      0     0
HOLLYFRONTIER CORP               PUT                 436106958   2189    68100 SH    PUT  DEFINED       1   68100      0     0
HOLOGIC INC                      COM                 436440101    329    15273 SH         DEFINED       1   15273      0     0
HOME DEPOT INC                   COM                 437076102    256     5088 SH         DEFINED       1    5088      0     0
HOME DEPOT INC                   CALL                437076902  10057   199900 SH    CALL DEFINED       1  199900      0     0
HOME DEPOT INC                   PUT                 437076952  11224   223100 SH    PUT  DEFINED       1  223100      0     0
HOME INNS & HOTELS MGMT INC      SPON ADR            43713W107    327    12808 SH         DEFINED       1   12808      0     0
HONDA MOTOR LTD                  AMERN SHS           438128308    255     6640 SH         DEFINED       1    6640      0     0
HONEYWELL INTL INC               COM                 438516106    384     6282 SH         DEFINED       1    6282      0     0
HONEYWELL INTL INC               CALL                438516906   4188    68600 SH    CALL DEFINED       1   68600      0     0
HONEYWELL INTL INC               PUT                 438516956   4872    79800 SH    PUT  DEFINED       1   79800      0     0
HOOPER HOLMES INC                COM                 439104100      7    10040 SH         DEFINED       1   10040      0     0
HOSPITALITY PPTYS TR             CALL                44106M902    720    27200 SH    CALL DEFINED       1   27200      0     0
HOST HOTELS & RESORTS INC        CALL                44107P904    184    11200 SH    CALL DEFINED       1   11200      0     0
HOST HOTELS & RESORTS INC        PUT                 44107P954    903    55000 SH    PUT  DEFINED       1   55000      0     0
HOUSTON AMERN ENERGY CORP        COM                 44183U100    106    20259 SH         DEFINED       1   20259      0     0
HOVNANIAN ENTERPRISES INC        CL A                442487203    114    46560 SH         DEFINED       1   46560      0     0
HSBC HLDGS PLC                   SPON ADR NEW        404280406    713    16054 SH         DEFINED       1   16054      0     0
HSBC HLDGS PLC                   CALL                404280906   3769    84900 SH    CALL DEFINED       1   84900      0     0
HSBC HLDGS PLC                   PUT                 404280956   2854    64300 SH    PUT  DEFINED       1   64300      0     0
HSN INC                          COM                 404303109    237     6237 SH         DEFINED       1    6237      0     0
HUDSON CITY BANCORP              COM                 443683107    435    59500 SH         DEFINED       1   59500      0     0
HUDSON CITY BANCORP              CALL                443683907    425    58100 SH    CALL DEFINED       1   58100      0     0
HUDSON CITY BANCORP              PUT                 443683957    215    29400 SH    PUT  DEFINED       1   29400      0     0
HUGOTON RTY TR TEX               UNIT BEN INT        444717102    269    18297 SH         DEFINED       1   18297      0     0
HUMAN GENOME SCIENCES INC        COM                 444903108     83    10065 SH         DEFINED       1   10065      0     0
HUMANA INC                       COM                 444859102    633     6843 SH         DEFINED       1    6843      0     0
HUMANA INC                       CALL                444859902   3616    39100 SH    CALL DEFINED       1   39100      0     0
HUMANA INC                       PUT                 444859952   5835    63100 SH    PUT  DEFINED       1   63100      0     0
HUNT J B TRANS SVCS INC          COM                 445658107    581    10685 SH         DEFINED       1   10685      0     0
HUNTINGTON BANCSHARES INC        COM                 446150104     88    13682 SH         DEFINED       1   13682      0     0
HUNTINGTON BANCSHARES INC        CALL                446150904    439    68100 SH    CALL DEFINED       1   68100      0     0
HUNTINGTON BANCSHARES INC        PUT                 446150954    572    88800 SH    PUT  DEFINED       1   88800      0     0






                                                                                        
HUNTSMAN CORP                    CALL                447011907   1697   121100 SH    CALL DEFINED       1  121100      0     0
HUNTSMAN CORP                    PUT                 447011957   1313    93700 SH    PUT  DEFINED       1   93700      0     0
HUTCHINSON TECHNOLOGY INC        COM                 448407106     53    24443 SH         DEFINED       1   24443      0     0
IAC INTERACTIVECORP              COM PAR $.001       44919P508   1931    39336 SH         DEFINED       1   39336      0     0
IAMGOLD CORP                     PUT                 450913958    186    14000 SH    PUT  DEFINED       1   14000      0     0
IBERIABANK CORP                  COM                 450828108    272     5092 SH         DEFINED       1    5092      0     0
ICICI BK LTD                     CALL                45104G904    914    26200 SH    CALL DEFINED       1   26200      0     0
ICICI BK LTD                     PUT                 45104G954   2741    78600 SH    PUT  DEFINED       1   78600      0     0
ICON PUB LTD CO                  SPONSORED ADR       45103T107    205     9657 SH         DEFINED       1    9657      0     0
ICONIX BRAND GROUP INC           COM                 451055107    549    31581 SH         DEFINED       1   31581      0     0
IHS INC                          CL A                451734107    200     2140 SH         DEFINED       1    2140      0     0
ILLINOIS TOOL WKS INC            COM                 452308109    704    12327 SH         DEFINED       1   12327      0     0
ILLINOIS TOOL WKS INC            CALL                452308909   4907    85900 SH    CALL DEFINED       1   85900      0     0
ILLINOIS TOOL WKS INC            PUT                 452308959   2011    35200 SH    PUT  DEFINED       1   35200      0     0
IMAX CORP                        CALL                45245E909    653    26700 SH    CALL DEFINED       1   26700      0     0
IMAX CORP                        PUT                 45245E959    511    20900 SH    PUT  DEFINED       1   20900      0     0
IMMUNOGEN INC                    COM                 45253H101    230    15993 SH         DEFINED       1   15993      0     0
IMPERIAL SUGAR CO NEW            COM NEW             453096208     98    20833 SH         DEFINED       1   20833      0     0
INFINERA CORPORATION             CALL                45667G903    460    56700 SH    CALL DEFINED       1   56700      0     0
INFINERA CORPORATION             PUT                 45667G953    123    15200 SH    PUT  DEFINED       1   15200      0     0
INFINITY PPTY & CAS CORP         COM                 45665Q103    235     4482 SH         DEFINED       1    4482      0     0
INFORMATICA CORP                 COM                 45666Q102    240     4545 SH         DEFINED       1    4545      0     0
INFORMATICA CORP                 CALL                45666Q902    926    17500 SH    CALL DEFINED       1   17500      0     0
INFORMATICA CORP                 PUT                 45666Q952    846    16000 SH    PUT  DEFINED       1   16000      0     0
INFOSYS TECHNOLOGIES LTD         SPONSORED ADR       456788108   1224    21450 SH         DEFINED       1   21450      0     0
INFOSYS TECHNOLOGIES LTD         PUT                 456788958    895    15700 SH    PUT  DEFINED       1   15700      0     0
ING GROEP N V                    SPONSORED ADR       456837103    520    62482 SH         DEFINED       1   62482      0     0
ING GROEP N V                    CALL                456837903    345    41500 SH    CALL DEFINED       1   41500      0     0
ING GROEP N V                    PUT                 456837953    305    36600 SH    PUT  DEFINED       1   36600      0     0
INGERSOLL-RAND PLC               CALL                G47791901    484    11700 SH    CALL DEFINED       1   11700      0     0
INGERSOLL-RAND PLC               PUT                 G47791951    732    17700 SH    PUT  DEFINED       1   17700      0     0
INOVIO BIOMEDICAL CORP           COM                 45773H102     14    21466 SH         DEFINED       1   21466      0     0
INTEGRA LIFESCIENCES HLDGS C     COM NEW             457985208    267     7700 SH         DEFINED       1    7700      0     0
INTEGRATED DEVICE TECHNOLOGY     COM                 458118106    201    28042 SH         DEFINED       1   28042      0     0
INTEL CORP                       COM                 458140100   1060    37746 SH         DEFINED       1   37746      0     0
INTEL CORP                       CALL                458140900  18457   656500 SH    CALL DEFINED       1  656500      0     0
INTEL CORP                       PUT                 458140950  25863   919900 SH    PUT  DEFINED       1  919900      0     0
INTERACTIVE BROKERS GROUP IN     CALL                45841N907    192    11300 SH    CALL DEFINED       1   11300      0     0
INTERACTIVE BROKERS GROUP IN     PUT                 45841N957   1226    72100 SH    PUT  DEFINED       1   72100      0     0
INTERCONTINENTALEXCHANGE INC     COM                 45865V100    240     1747 SH         DEFINED       1    1747      0     0
INTERCONTINENTALEXCHANGE INC     CALL                45865V900   2996    21800 SH    CALL DEFINED       1   21800      0     0
INTERCONTINENTALEXCHANGE INC     PUT                 45865V950   4411    32100 SH    PUT  DEFINED       1   32100      0     0
INTERDIGITAL INC                 COM                 45867G101    555    15925 SH         DEFINED       1   15925      0     0
INTERNATIONAL BUSINESS MACHS     COM                 459200101   1377     6600 SH         DEFINED       1    6600      0     0
INTERNATIONAL BUSINESS MACHS     CALL                459200901  14793    70900 SH    CALL DEFINED       1   70900      0     0
INTERNATIONAL BUSINESS MACHS     PUT                 459200951  16296    78100 SH    PUT  DEFINED       1   78100      0     0
INTERNATIONAL GAME TECHNOLOG     COM                 459902102    197    11735 SH         DEFINED       1   11735      0     0
INTERNATIONAL GAME TECHNOLOG     CALL                459902902    487    29000 SH    CALL DEFINED       1   29000      0     0
INTERNATIONAL GAME TECHNOLOG     PUT                 459902952    475    28300 SH    PUT  DEFINED       1   28300      0     0
INTERPUBLIC GROUP COS INC        COM                 460690100    198    17333 SH         DEFINED       1   17333      0     0
INTERPUBLIC GROUP COS INC        PUT                 460690950    456    40000 SH    PUT  DEFINED       1   40000      0     0
INTERSIL CORP                    CL A                46069S109    217    19373 SH         DEFINED       1   19373      0     0
INTL PAPER CO                    COM                 460146103    451    12844 SH         DEFINED       1   12844      0     0
INTL PAPER CO                    CALL                460146903   2836    80800 SH    CALL DEFINED       1   80800      0     0
INTL PAPER CO                    PUT                 460146953   7445   212100 SH    PUT  DEFINED       1  212100      0     0
INTREPID POTASH INC              CALL                46121Y902    462    19000 SH    CALL DEFINED       1   19000      0     0
INTREPID POTASH INC              PUT                 46121Y952    433    17800 SH    PUT  DEFINED       1   17800      0     0
INTUIT                           COM                 461202103   1090    18134 SH         DEFINED       1   18134      0     0
INTUIT                           CALL                461202903   5078    84400 SH    CALL DEFINED       1   84400      0     0






                                                                                        
INTUIT                           PUT                 461202953   2250    37400 SH    PUT  DEFINED       1   37400      0     0
INTUITIVE SURGICAL INC           COM NEW             46120E602   2160     3988 SH         DEFINED       1    3988      0     0
INTUITIVE SURGICAL INC           CALL                46120E902   2871     5300 SH    CALL DEFINED       1    5300      0     0
INTUITIVE SURGICAL INC           PUT                 46120E952   3142     5800 SH    PUT  DEFINED       1    5800      0     0
INVESCO LTD                      CALL                G491BT908    536    20100 SH    CALL DEFINED       1   20100      0     0
INVESCO MORTGAGE CAPITAL INC     PUT                 46131B950    332    18800 SH    PUT  DEFINED       1   18800      0     0
INVESTORS REAL ESTATE TR         SH BEN INT          461730103     95    12355 SH         DEFINED       1   12355      0     0
IPASS INC                        COM                 46261V108     27    10514 SH         DEFINED       1   10514      0     0
IPG PHOTONICS CORP               COM                 44980X109    564    10827 SH         DEFINED       1   10827      0     0
IRON MTN INC                     CALL                462846906    521    18100 SH    CALL DEFINED       1   18100      0     0
IRON MTN INC                     PUT                 462846956    467    16200 SH    PUT  DEFINED       1   16200      0     0
ISHARES COMEX GOLD TR            ISHARES             464285105    348    21378 SH         DEFINED       1   21378      0     0
ISHARES INC                      MSCI AUSTRALIA      464286103    256    10901 SH         DEFINED       1   10901      0     0
ISHARES INC                      MSCI AUSTRIA INV    464286202    180    10981 SH         DEFINED       1   10981      0     0
ISHARES INC                      MSCI BRAZIL         464286400    236     3652 SH         DEFINED       1    3652      0     0
ISHARES INC                      MSCI CDA INDEX      464286509    826    29155 SH         DEFINED       1   29155      0     0
ISHARES INC                      MSCI THAILAND       464286624    311     4272 SH         DEFINED       1    4272      0     0
ISHARES INC                      MSCI BRIC INDX      464286657    400     9795 SH         DEFINED       1    9795      0     0
ISHARES INC                      MSCI PAC J IDX      464286665    275     6318 SH         DEFINED       1    6318      0     0
ISHARES INC                      MSCI S KOREA        464286772    806    13543 SH         DEFINED       1   13543      0     0
ISHARES INC                      MSCI MEX INVEST     464286822    205     3274 SH         DEFINED       1    3274      0     0
ISHARES INC                      MSCI MALAYSIA       464286830    206    14077 SH         DEFINED       1   14077      0     0
ISHARES INC                      CALL                464286900   1856    28700 SH    CALL DEFINED       1   28700      0     0
ISHARES INC                      PUT                 464286950   1203    18600 SH    PUT  DEFINED       1   18600      0     0
ISHARES S&P GSCI COMMODITY I     UNIT BEN INT        46428R107   1107    31825 SH         DEFINED       1   31825      0     0
ISHARES SILVER TRUST             ISHARES             46428Q109    413    13180 SH         DEFINED       1   13180      0     0
ISHARES SILVER TRUST             CALL                46428Q909   2809    89500 SH    CALL DEFINED       1   89500      0     0
ISHARES SILVER TRUST             PUT                 46428Q959   2385    76000 SH    PUT  DEFINED       1   76000      0     0
ISHARES TR                       S&P CITINT TBD      464288117    774     7777 SH         DEFINED       1    7777      0     0
ISHARES TR                       MSCI BRAZ SMCP      464289131    241     8805 SH         DEFINED       1    8805      0     0
ISHARES TR                       S&P SH NTL AMTFR    464288158    425     3987 SH         DEFINED       1    3987      0     0
ISHARES TR                       MSCI ACJPN IDX      464288182   2100    37191 SH         DEFINED       1   37191      0     0
ISHARES TR                       MSCI EURO FINL      464289180    376    21116 SH         DEFINED       1   21116      0     0
ISHARES TR                       MSCI ACWI EX        464288240   1875    45857 SH         DEFINED       1   45857      0     0
ISHARES TR                       MSCI ACWI INDX      464288257   7890   167265 SH         DEFINED       1  167265      0     0
ISHARES TR                       GNMA BD FD          46429B333    266     5332 SH         DEFINED       1    5332      0     0
ISHARES TR                       S&P GLO INFRAS      464288372    282     7969 SH         DEFINED       1    7969      0     0
ISHARES TR                       EPRA/NAR DEV EUR    464288471    249     8912 SH         DEFINED       1    8912      0     0
ISHARES TR                       DEV SM CP EX-N      464288497   5986   169493 SH         DEFINED       1  169493      0     0
ISHARES TR                       HIGH YLD CORP       464288513    962    10585 SH         DEFINED       1   10585      0     0
ISHARES TR                       BARCLYS MBS BD      464288588    360     3335 SH         DEFINED       1    3335      0     0
ISHARES TR                       BARCLYS INTER GV    464288612    371     3338 SH         DEFINED       1    3338      0     0
ISHARES TR                       BARCLYS 1-3YR CR    464288646    553     5260 SH         DEFINED       1    5260      0     0
ISHARES TR                       BARCLYS 10-20YR     464288653    483     3782 SH         DEFINED       1    3782      0     0
ISHARES TR                       BARCLYS 3-7 YR      464288661    207     1712 SH         DEFINED       1    1712      0     0
ISHARES TR                       BARCLYS SH TREA     464288679   1872    16990 SH         DEFINED       1   16990      0     0
ISHARES TR                       US PFD STK IDX      464288687    358     9166 SH         DEFINED       1    9166      0     0
ISHARES TR                       DJ PHARMA INDX      464288836    524     6306 SH         DEFINED       1    6306      0     0
ISHARES TR                       DJ OIL EQUIP        464288844    363     6782 SH         DEFINED       1    6782      0     0
ISHARES TR                       MSCI GRW IDX        464288885    213     3636 SH         DEFINED       1    3636      0     0
ISHARES TR INDEX                 LRGE CORE INDX      464287127    237     2955 SH         DEFINED       1    2955      0     0
ISHARES TR INDEX                 BARCLYS TIPS BD     464287176    346     2938 SH         DEFINED       1    2938      0     0
ISHARES TR INDEX                 MSCI EMERG MKT      464287234    293     6826 SH         DEFINED       1    6826      0     0
ISHARES TR INDEX                 S&P NA NAT RES      464287374    713    18090 SH         DEFINED       1   18090      0     0
ISHARES TR INDEX                 S&P LTN AM 40       464287390    206     4320 SH         DEFINED       1    4320      0     0
ISHARES TR INDEX                 BARCLYS 20+ YR      464287432   1332    11871 SH         DEFINED       1   11871      0     0
ISHARES TR INDEX                 BARCLYS 1-3 YR      464287457   3302    39158 SH         DEFINED       1   39158      0     0
ISHARES TR INDEX                 RUSSELL1000VAL      464287598    744    10613 SH         DEFINED       1   10613      0     0
ISHARES TR INDEX                 RUSSELL1000GRW      464287614    870    13163 SH         DEFINED       1   13163      0     0






                                                                                        
ISHARES TR INDEX                 RUSSELL 1000        464287622    393     5045 SH         DEFINED       1    5045      0     0
ISHARES TR INDEX                 RUSL 2000 VALU      464287630    384     5259 SH         DEFINED       1    5259      0     0
ISHARES TR INDEX                 RUSL 2000 GROW      464287648   1430    14988 SH         DEFINED       1   14988      0     0
ISHARES TR INDEX                 RUSSELL 2000        464287655   2167    26154 SH         DEFINED       1   26154      0     0
ISHARES TR INDEX                 RUSL 3000 GROW      464287671    241     4468 SH         DEFINED       1    4468      0     0
ISHARES TR INDEX                 DJ US TELECOMM      464287713    211     9523 SH         DEFINED       1    9523      0     0
ISHARES TR INDEX                 DJ US BAS MATL      464287838    506     7198 SH         DEFINED       1    7198      0     0
ISHARES TR INDEX                 CALL                464287904   3165    73700 SH    CALL DEFINED       1   73700      0     0
ISHARES TR INDEX                 CALL                464287905   3513    64000 SH    CALL DEFINED       1   64000      0     0
ISHARES TR INDEX                 CALL                464287904    535    14600 SH    CALL DEFINED       1   14600      0     0
ISHARES TR INDEX                 CALL                464287905  10360   125100 SH    CALL DEFINED       1  125100      0     0
ISHARES TR INDEX                 CALL                464287909   1252    20100 SH    CALL DEFINED       1   20100      0     0
ISHARES TR INDEX                 PUT                 464287954   4063    94600 SH    PUT  DEFINED       1   94600      0     0
ISHARES TR INDEX                 PUT                 464287955   2047    37300 SH    PUT  DEFINED       1   37300      0     0
ISHARES TR INDEX                 PUT                 464287954   1008    27500 SH    PUT  DEFINED       1   27500      0     0
ISHARES TR INDEX                 PUT                 464287955   8819   106500 SH    PUT  DEFINED       1  106500      0     0
ISHARES TR INDEX                 PUT                 464287959    642    10300 SH    PUT  DEFINED       1   10300      0     0
ISIS PHARMACEUTICALS INC         COM                 464330109    128    14605 SH         DEFINED       1   14605      0     0
ISTA PHARMACEUTICALS INC         COM NEW             45031X204    420    46655 SH         DEFINED       1   46655      0     0
ITAU UNIBANCO HLDG SA            SPON ADR REP PFD    465562106    864    45043 SH         DEFINED       1   45043      0     0
ITAU UNIBANCO HLDG SA            CALL                465562906   1608    83800 SH    CALL DEFINED       1   83800      0     0
ITAU UNIBANCO HLDG SA            PUT                 465562956    549    28600 SH    PUT  DEFINED       1   28600      0     0
ITRON INC                        CALL                465741906    291     6400 SH    CALL DEFINED       1    6400      0     0
ITRON INC                        PUT                 465741956    236     5200 SH    PUT  DEFINED       1    5200      0     0
ITT EDUCATIONAL SERVICES INC     CALL                45068B909    311     4700 SH    CALL DEFINED       1    4700      0     0
ITT EDUCATIONAL SERVICES INC     PUT                 45068B959    655     9900 SH    PUT  DEFINED       1    9900      0     0
IVANHOE ENERGY INC               COM                 465790103     36    35358 SH         DEFINED       1   35358      0     0
IVANHOE MINES LTD                COM                 46579N103    209    13272 SH         DEFINED       1   13272      0     0
IVANHOE MINES LTD                PUT                 46579N953    534    33900 SH    PUT  DEFINED       1   33900      0     0
JA SOLAR HOLDINGS CO LTD         SPON ADR            466090107    169   108867 SH         DEFINED       1  108867      0     0
JA SOLAR HOLDINGS CO LTD         CALL                466090907     96    62200 SH    CALL DEFINED       1   62200      0     0
JA SOLAR HOLDINGS CO LTD         PUT                 466090957     52    33400 SH    PUT  DEFINED       1   33400      0     0
JABIL CIRCUIT INC                COM                 466313103    270    10764 SH         DEFINED       1   10764      0     0
JABIL CIRCUIT INC                CALL                466313903   1442    57400 SH    CALL DEFINED       1   57400      0     0
JABIL CIRCUIT INC                PUT                 466313953    565    22500 SH    PUT  DEFINED       1   22500      0     0
JACOBS ENGR GROUP INC DEL        COM                 469814107    248     5590 SH         DEFINED       1    5590      0     0
JACOBS ENGR GROUP INC DEL        CALL                469814907   1309    29500 SH    CALL DEFINED       1   29500      0     0
JACOBS ENGR GROUP INC DEL        PUT                 469814957    901    20300 SH    PUT  DEFINED       1   20300      0     0
JAGUAR MNG INC                   COM                 47009M103     75    15992 SH         DEFINED       1   15992      0     0
JAMES RIVER COAL CO              COM NEW             470355207    522   101892 SH         DEFINED       1  101892      0     0
JAMES RIVER COAL CO              PUT                 470355957    206    40200 SH    PUT  DEFINED       1   40200      0     0
JARDEN CORP                      CALL                471109908    471    11700 SH    CALL DEFINED       1   11700      0     0
JARDEN CORP                      PUT                 471109958    350     8700 SH    PUT  DEFINED       1    8700      0     0
JDS UNIPHASE CORP                COM PAR $0.001      46612J507    523    36069 SH         DEFINED       1   36069      0     0
JDS UNIPHASE CORP                CALL                46612J907   1155    79700 SH    CALL DEFINED       1   79700      0     0
JDS UNIPHASE CORP                PUT                 46612J957    280    19300 SH    PUT  DEFINED       1   19300      0     0
JEFFERIES GROUP INC NEW          CALL                472319902    524    27800 SH    CALL DEFINED       1   27800      0     0
JEFFERIES GROUP INC NEW          PUT                 472319952   1132    60100 SH    PUT  DEFINED       1   60100      0     0
JETBLUE AIRWAYS CORP             COM                 477143101    264    53976 SH         DEFINED       1   53976      0     0
JETBLUE AIRWAYS CORP             CALL                477143901     85    17400 SH    CALL DEFINED       1   17400      0     0
JETBLUE AIRWAYS CORP             PUT                 477143951    177    36200 SH    PUT  DEFINED       1   36200      0     0
JOHNSON & JOHNSON                COM                 478160104    962    14587 SH         DEFINED       1   14587      0     0
JOHNSON & JOHNSON                CALL                478160904   5475    83000 SH    CALL DEFINED       1   83000      0     0
JOHNSON & JOHNSON                PUT                 478160954  14366   217800 SH    PUT  DEFINED       1  217800      0     0
JOHNSON CTLS INC                 COM                 478366107    260     8016 SH         DEFINED       1    8016      0     0
JOHNSON CTLS INC                 CALL                478366907   4632   142600 SH    CALL DEFINED       1  142600      0     0
JOHNSON CTLS INC                 PUT                 478366957   6191   190600 SH    PUT  DEFINED       1  190600      0     0
JONES SODA CO                    COM                 48023P106     17    37202 SH         DEFINED       1   37202      0     0
JOY GLOBAL INC                   CALL                481165908   3616    49200 SH    CALL DEFINED       1   49200      0     0






                                                                                        
JOY GLOBAL INC                   PUT                 481165958   2132    29000 SH    PUT  DEFINED       1   29000      0     0
JPMORGAN CHASE & CO              *W EXP 10/28/201    46634E114    154    11517 SH         DEFINED       1   11517      0     0
JPMORGAN CHASE & CO              CALL                46625H900  30517   663700 SH    CALL DEFINED       1  663700      0     0
JPMORGAN CHASE & CO              PUT                 46625H950  34269   745300 SH    PUT  DEFINED       1  745300      0     0
JUNIPER NETWORKS INC             CALL                48203R904   3670   160400 SH    CALL DEFINED       1  160400      0     0
JUNIPER NETWORKS INC             PUT                 48203R954   3405   148800 SH    PUT  DEFINED       1  148800      0     0
K V PHARMACEUTICAL CO            CL A                482740206     37    27802 SH         DEFINED       1   27802      0     0
KAISER ALUMINUM CORP             COM PAR $0.01       483007704    415     8781 SH         DEFINED       1    8781      0     0
KANSAS CITY SOUTHERN             CALL                485170902   1699    23700 SH    CALL DEFINED       1   23700      0     0
KANSAS CITY SOUTHERN             PUT                 485170952    559     7800 SH    PUT  DEFINED       1    7800      0     0
KB HOME                          COM                 48666K109    901   101216 SH         DEFINED       1  101216      0     0
KB HOME                          CALL                48666K909    707    79400 SH    CALL DEFINED       1   79400      0     0
KB HOME                          PUT                 48666K959   1042   117100 SH    PUT  DEFINED       1  117100      0     0
KBR INC                          CALL                48242W906    551    15500 SH    CALL DEFINED       1   15500      0     0
KBR INC                          PUT                 48242W956    999    28100 SH    PUT  DEFINED       1   28100      0     0
KELLOGG CO                       CALL                487836908   2880    53700 SH    CALL DEFINED       1   53700      0     0
KELLOGG CO                       PUT                 487836958    708    13200 SH    PUT  DEFINED       1   13200      0     0
KEYCORP NEW                      COM                 493267108     87    10211 SH         DEFINED       1   10211      0     0
KEYCORP NEW                      CALL                493267908    191    22500 SH    CALL DEFINED       1   22500      0     0
KIMBERLY CLARK CORP              COM                 494368103    568     7682 SH         DEFINED       1    7682      0     0
KIMBERLY CLARK CORP              CALL                494368903   7877   106600 SH    CALL DEFINED       1  106600      0     0
KIMBERLY CLARK CORP              PUT                 494368953   6598    89300 SH    PUT  DEFINED       1   89300      0     0
KIMCO REALTY CORP                COM                 49446R109    858    44563 SH         DEFINED       1   44563      0     0
KIMCO REALTY CORP                CALL                49446R909    245    12700 SH    CALL DEFINED       1   12700      0     0
KIMCO REALTY CORP                PUT                 49446R959    262    13600 SH    PUT  DEFINED       1   13600      0     0
KINDER MORGAN ENERGY PARTNER     UT LTD PARTNER      494550106    584     7055 SH         DEFINED       1    7055      0     0
KINDER MORGAN ENERGY PARTNER     CALL                494550906    960    11600 SH    CALL DEFINED       1   11600      0     0
KINDER MORGAN ENERGY PARTNER     PUT                 494550956    811     9800 SH    PUT  DEFINED       1    9800      0     0
KINDER MORGAN INC DEL            COM                 49456B101    253     6554 SH         DEFINED       1    6554      0     0
KINDER MORGAN INC DEL            CALL                49456B901   2717    70300 SH    CALL DEFINED       1   70300      0     0
KINDER MORGAN INC DEL            PUT                 49456B951   4023   104100 SH    PUT  DEFINED       1  104100      0     0
KINDER MORGAN MANAGEMENT LLC     SHS                 49455U100    611     8191 SH         DEFINED       1    8191      0     0
KINDRED HEALTHCARE INC           COM                 494580103    128    14802 SH         DEFINED       1   14802      0     0
KINROSS GOLD CORP                COM NO PAR          496902404    148    15101 SH         DEFINED       1   15101      0     0
KINROSS GOLD CORP                CALL                496902904    324    33100 SH    CALL DEFINED       1   33100      0     0
KINROSS GOLD CORP                PUT                 496902954    380    38800 SH    PUT  DEFINED       1   38800      0     0
KIT DIGITAL INC                  COM NEW             482470200     83    11591 SH         DEFINED       1   11591      0     0
KKR FINANCIAL HLDGS LLC          PUT                 48248A956     94    10200 SH    PUT  DEFINED       1   10200      0     0
KLA-TENCOR CORP                  COM                 482480100    638    11722 SH         DEFINED       1   11722      0     0
KLA-TENCOR CORP                  CALL                482480900   3276    60200 SH    CALL DEFINED       1   60200      0     0
KLA-TENCOR CORP                  PUT                 482480950   1399    25700 SH    PUT  DEFINED       1   25700      0     0
KOHLS CORP                       CALL                500255904   2086    41700 SH    CALL DEFINED       1   41700      0     0
KOHLS CORP                       PUT                 500255954  10061   201100 SH    PUT  DEFINED       1  201100      0     0
KRAFT FOODS INC                  CL A                50075N104   1121    29485 SH         DEFINED       1   29485      0     0
KRAFT FOODS INC                  CALL                50075N904    540    14200 SH    CALL DEFINED       1   14200      0     0
KRAFT FOODS INC                  PUT                 50075N954   1482    39000 SH    PUT  DEFINED       1   39000      0     0
KRATOS DEFENSE & SEC SOLUTIO     COM NEW             50077B207     73    13603 SH         DEFINED       1   13603      0     0
KROGER CO                        CALL                501044901   1049    43300 SH    CALL DEFINED       1   43300      0     0
KROGER CO                        PUT                 501044951    923    38100 SH    PUT  DEFINED       1   38100      0     0
L-3 COMMUNICATIONS HLDGS INC     COM                 502424104    332     4695 SH         DEFINED       1    4695      0     0
L-3 COMMUNICATIONS HLDGS INC     CALL                502424904    800    11300 SH    CALL DEFINED       1   11300      0     0
L-3 COMMUNICATIONS HLDGS INC     PUT                 502424954    616     8700 SH    PUT  DEFINED       1    8700      0     0
LABORATORY CORP AMER HLDGS       CALL                50540R909   1401    15300 SH    CALL DEFINED       1   15300      0     0
LABORATORY CORP AMER HLDGS       PUT                 50540R959   1053    11500 SH    PUT  DEFINED       1   11500      0     0
LAKE SHORE GOLD CORP             COM                 510728108     26    25012 SH         DEFINED       1   25012      0     0
LAM RESEARCH CORP                CALL                512807908   3467    77700 SH    CALL DEFINED       1   77700      0     0
LAM RESEARCH CORP                PUT                 512807958   1655    37100 SH    PUT  DEFINED       1   37100      0     0
LAN AIRLINES S A                 SPONSORED ADR       501723100    579    19898 SH         DEFINED       1   19898      0     0
LANDSTAR SYS INC                 COM                 515098101    258     4463 SH         DEFINED       1    4463      0     0






                                                                                        
LAS VEGAS SANDS CORP             COM                 517834107    326     5657 SH         DEFINED       1    5657      0     0
LAS VEGAS SANDS CORP             CALL                517834907   8342   144900 SH    CALL DEFINED       1  144900      0     0
LAS VEGAS SANDS CORP             PUT                 517834957  13431   233300 SH    PUT  DEFINED       1  233300      0     0
LAUDER ESTEE COS INC             CL A                518439104    598     9662 SH         DEFINED       1    9662      0     0
LAUDER ESTEE COS INC             CALL                518439904   3153    50900 SH    CALL DEFINED       1   50900      0     0
LAUDER ESTEE COS INC             PUT                 518439954   2663    43000 SH    PUT  DEFINED       1   43000      0     0
LAZARD LTD                       SHS A               G54050102    211     7378 SH         DEFINED       1    7378      0     0
LDK SOLAR CO LTD                 SPONSORED ADR       50183L107    160    39920 SH         DEFINED       1   39920      0     0
LEAP WIRELESS INTL INC           COM NEW             521863308    283    32370 SH         DEFINED       1   32370      0     0
LEAP WIRELESS INTL INC           CALL                521863908    189    21700 SH    CALL DEFINED       1   21700      0     0
LEAP WIRELESS INTL INC           PUT                 521863958    217    24800 SH    PUT  DEFINED       1   24800      0     0
LEGG MASON INC                   CALL                524901905    296    10600 SH    CALL DEFINED       1   10600      0     0
LEGG MASON INC                   PUT                 524901955    528    18900 SH    PUT  DEFINED       1   18900      0     0
LEGGETT & PLATT INC              CALL                524660907    324    14100 SH    CALL DEFINED       1   14100      0     0
LEGGETT & PLATT INC              PUT                 524660957    400    17400 SH    PUT  DEFINED       1   17400      0     0
LENNAR CORP                      CALL                526057904   1756    64600 SH    CALL DEFINED       1   64600      0     0
LENNAR CORP                      PUT                 526057954   1731    63700 SH    PUT  DEFINED       1   63700      0     0
LEUCADIA NATL CORP               COM                 527288104    215     8231 SH         DEFINED       1    8231      0     0
LEUCADIA NATL CORP               CALL                527288904    337    12900 SH    CALL DEFINED       1   12900      0     0
LEUCADIA NATL CORP               PUT                 527288954    540    20700 SH    PUT  DEFINED       1   20700      0     0
LEXMARK INTL NEW                 CALL                529771907   1200    36100 SH    CALL DEFINED       1   36100      0     0
LEXMARK INTL NEW                 PUT                 529771957    828    24900 SH    PUT  DEFINED       1   24900      0     0
LIBERTY ALL STAR EQUITY FD       SH BEN INT          530158104     87    17563 SH         DEFINED       1   17563      0     0
LIBERTY GLOBAL INC               COM SER A           530555101    296     5918 SH         DEFINED       1    5918      0     0
LIBERTY GLOBAL INC               COM SER C           530555309    835    17433 SH         DEFINED       1   17433      0     0
LIBERTY GLOBAL INC               CALL                530555901    706    14100 SH    CALL DEFINED       1   14100      0     0
LIBERTY GLOBAL INC               PUT                 530555951    631    12600 SH    PUT  DEFINED       1   12600      0     0
LIBERTY MEDIA CORP NEW           INT COM SER A       53071M104    555    29054 SH         DEFINED       1   29054      0     0
LIBERTY MEDIA CORP NEW           CALL                53071M904    248    13000 SH    CALL DEFINED       1   13000      0     0
LIFE TECHNOLOGIES CORP           COM                 53217V109    230     4708 SH         DEFINED       1    4708      0     0
LIFE TECHNOLOGIES CORP           CALL                53217V909    561    11500 SH    CALL DEFINED       1   11500      0     0
LIFE TECHNOLOGIES CORP           PUT                 53217V959   1133    23200 SH    PUT  DEFINED       1   23200      0     0
LIFEPOINT HOSPITALS INC          COM                 53219L109    266     6745 SH         DEFINED       1    6745      0     0
LIGAND PHARMACEUTICALS INC       COM NEW             53220K504    245    15349 SH         DEFINED       1   15349      0     0
LIGHTPATH TECHNOLOGIES INC       CL A NEW            532257805     19    13400 SH         DEFINED       1   13400      0     0
LILLY ELI & CO                   COM                 532457108    632    15691 SH         DEFINED       1   15691      0     0
LILLY ELI & CO                   CALL                532457908   7932   197000 SH    CALL DEFINED       1  197000      0     0
LILLY ELI & CO                   PUT                 532457958   8536   212000 SH    PUT  DEFINED       1  212000      0     0
LIMELIGHT NETWORKS INC           COM                 53261M104     94    28556 SH         DEFINED       1   28556      0     0
LIMITED BRANDS INC               COM                 532716107   1033    21512 SH         DEFINED       1   21512      0     0
LIMITED BRANDS INC               CALL                532716907   1579    32900 SH    CALL DEFINED       1   32900      0     0
LIMITED BRANDS INC               PUT                 532716957   2266    47200 SH    PUT  DEFINED       1   47200      0     0
LINCARE HLDGS INC                COM                 532791100   1157    44760 SH         DEFINED       1   44760      0     0
LINCOLN ELEC HLDGS INC           COM                 533900106    392     8660 SH         DEFINED       1    8660      0     0
LINCOLN NATL CORP IND            CALL                534187909   2462    93400 SH    CALL DEFINED       1   93400      0     0
LINCOLN NATL CORP IND            PUT                 534187959    952    36100 SH    PUT  DEFINED       1   36100      0     0
LINEAR TECHNOLOGY CORP           COM                 535678106    689    20451 SH         DEFINED       1   20451      0     0
LINEAR TECHNOLOGY CORP           CALL                535678906    694    20600 SH    CALL DEFINED       1   20600      0     0
LINEAR TECHNOLOGY CORP           PUT                 535678956   1024    30400 SH    PUT  DEFINED       1   30400      0     0
LINN ENERGY LLC                  UNIT LTD LIAB       536020100   3199    83930 SH         DEFINED       1   83930      0     0
LINN ENERGY LLC                  CALL                536020900   2194    57500 SH    CALL DEFINED       1   57500      0     0
LINN ENERGY LLC                  PUT                 536020950   3739    98000 SH    PUT  DEFINED       1   98000      0     0
LIONS GATE ENTMNT CORP           COM NEW             535919203    231    16609 SH         DEFINED       1   16609      0     0
LIONS GATE ENTMNT CORP           CALL                535919903   1421   102100 SH    CALL DEFINED       1  102100      0     0
LIONS GATE ENTMNT CORP           PUT                 535919953   1847   132700 SH    PUT  DEFINED       1  132700      0     0
LIVE NATION INC                  PUT                 538034959    155    16500 SH    PUT  DEFINED       1   16500      0     0
LIZ CLAIBORNE INC                CALL                539320901   1093    81800 SH    CALL DEFINED       1   81800      0     0
LIZ CLAIBORNE INC                PUT                 539320951    248    18600 SH    PUT  DEFINED       1   18600      0     0
LKQ CORP                         COM                 501889208    203     6529 SH         DEFINED       1    6529      0     0






                                                                                        
LLOYDS BANKING GROUP PLC         SPONSORED ADR       539439109     91    42809 SH         DEFINED       1   42809      0     0
LOCKHEED MARTIN CORP             COM                 539830109    251     2789 SH         DEFINED       1    2789      0     0
LOCKHEED MARTIN CORP             CALL                539830909   3253    36200 SH    CALL DEFINED       1   36200      0     0
LOCKHEED MARTIN CORP             PUT                 539830959   8950    99600 SH    PUT  DEFINED       1   99600      0     0
LORAL SPACE & COMMUNICATNS I     COM                 543881106    270     3398 SH         DEFINED       1    3398      0     0
LORILLARD INC                    COM                 544147101    712     5498 SH         DEFINED       1    5498      0     0
LORILLARD INC                    CALL                544147901    958     7400 SH    CALL DEFINED       1    7400      0     0
LORILLARD INC                    PUT                 544147951   3833    29600 SH    PUT  DEFINED       1   29600      0     0
LOUISIANA PAC CORP               CALL                546347905    114    12200 SH    CALL DEFINED       1   12200      0     0
LOUISIANA PAC CORP               PUT                 546347955    163    17400 SH    PUT  DEFINED       1   17400      0     0
LOWES COS INC                    CALL                548661907   5388   171700 SH    CALL DEFINED       1  171700      0     0
LOWES COS INC                    PUT                 548661957   3596   114600 SH    PUT  DEFINED       1  114600      0     0
LSI CORPORATION                  COM                 502161102    212    24384 SH         DEFINED       1   24384      0     0
LSI CORPORATION                  CALL                502161902    370    42600 SH    CALL DEFINED       1   42600      0     0
LULULEMON ATHLETICA INC          COM                 550021109    708     9476 SH         DEFINED       1    9476      0     0
LULULEMON ATHLETICA INC          CALL                550021909   1629    21800 SH    CALL DEFINED       1   21800      0     0
LULULEMON ATHLETICA INC          PUT                 550021959   2339    31300 SH    PUT  DEFINED       1   31300      0     0
LYONDELLBASELL INDUSTRIES N      CALL                N53745900   1048    24000 SH    CALL DEFINED       1   24000      0     0
LYONDELLBASELL INDUSTRIES N      PUT                 N53745950   1065    24400 SH    PUT  DEFINED       1   24400      0     0
M & T BK CORP                    CALL                55261F904   1060    12200 SH    CALL DEFINED       1   12200      0     0
M & T BK CORP                    PUT                 55261F954   1920    22100 SH    PUT  DEFINED       1   22100      0     0
M D C HLDGS INC                  PUT                 552676958    531    20600 SH    PUT  DEFINED       1   20600      0     0
MACYS INC                        COM                 55616P104    456    11481 SH         DEFINED       1   11481      0     0
MACYS INC                        CALL                55616P904   3151    79300 SH    CALL DEFINED       1   79300      0     0
MACYS INC                        PUT                 55616P954   3417    86000 SH    PUT  DEFINED       1   86000      0     0
MAD CATZ INTERACTIVE INC         COM                 556162105     15    24534 SH         DEFINED       1   24534      0     0
MADDEN STEVEN LTD                COM                 556269108    357     8357 SH         DEFINED       1    8357      0     0
MAGNUM HUNTER RES CORP DEL       COM                 55973B102    137    21414 SH         DEFINED       1   21414      0     0
MAKO SURGICAL CORP               COM                 560879108    531    12607 SH         DEFINED       1   12607      0     0
MANITOWOC INC                    COM                 563571108    258    18603 SH         DEFINED       1   18603      0     0
MANITOWOC INC                    CALL                563571908    589    42500 SH    CALL DEFINED       1   42500      0     0
MANITOWOC INC                    PUT                 563571958    527    38000 SH    PUT  DEFINED       1   38000      0     0
MANULIFE FINL CORP               COM                 56501R106    209    15439 SH         DEFINED       1   15439      0     0
MANULIFE FINL CORP               CALL                56501R906    236    17400 SH    CALL DEFINED       1   17400      0     0
MANULIFE FINL CORP               PUT                 56501R956    220    16200 SH    PUT  DEFINED       1   16200      0     0
MARATHON OIL CORP                COM                 565849106   1051    33155 SH         DEFINED       1   33155      0     0
MARATHON OIL CORP                CALL                565849906   3189   100600 SH    CALL DEFINED       1  100600      0     0
MARATHON OIL CORP                PUT                 565849956   3059    96500 SH    PUT  DEFINED       1   96500      0     0
MARATHON PETE CORP               COM                 56585A102    410     9456 SH         DEFINED       1    9456      0     0
MARATHON PETE CORP               CALL                56585A902   2346    54100 SH    CALL DEFINED       1   54100      0     0
MARATHON PETE CORP               PUT                 56585A952   1500    34600 SH    PUT  DEFINED       1   34600      0     0
MARKET VECTORS ETF TR            MV STEEL INDEX      57060U308    718    13545 SH         DEFINED       1   13545      0     0
MARKET VECTORS ETF TR            MINOR METALS        57060U472    215    12551 SH         DEFINED       1   12551      0     0
MARKET VECTORS ETF TR            EGYPT INDX ETF      57060U548    137    10848 SH         DEFINED       1   10848      0     0
MARKET VECTORS ETF TR            AGRIBUS ETF         57060U605    557    10549 SH         DEFINED       1   10549      0     0
MARKET VECTORS ETF TR            VIETNAM ETF         57060U761    343    17963 SH         DEFINED       1   17963      0     0
MARKET VECTORS ETF TR            CALL                57060U900   2011    40600 SH    CALL DEFINED       1   40600      0     0
MARKET VECTORS ETF TR            CALL                57060U909    361    14700 SH    CALL DEFINED       1   14700      0     0
MARKET VECTORS ETF TR            CALL                57060U901    236     5800 SH    CALL DEFINED       1    5800      0     0
MARKET VECTORS ETF TR            PUT                 57060U950   1665    33600 SH    PUT  DEFINED       1   33600      0     0
MARKET VECTORS ETF TR            PUT                 57060U959    211     8600 SH    PUT  DEFINED       1    8600      0     0
MARKET VECTORS ETF TR            PUT                 57060U951    772    19000 SH    PUT  DEFINED       1   19000      0     0
MARKWEST ENERGY PARTNERS L P     CALL                570759900   1046    17900 SH    CALL DEFINED       1   17900      0     0
MARKWEST ENERGY PARTNERS L P     PUT                 570759950   2017    34500 SH    PUT  DEFINED       1   34500      0     0
MARSH & MCLENNAN COS INC         CALL                571748902   1466    44700 SH    CALL DEFINED       1   44700      0     0
MARSH & MCLENNAN COS INC         PUT                 571748952   1751    53400 SH    PUT  DEFINED       1   53400      0     0
MARTIN MARIETTA MATLS INC        COM                 573284106    283     3303 SH         DEFINED       1    3303      0     0
MARTIN MARIETTA MATLS INC        PUT                 573284956   1867    21800 SH    PUT  DEFINED       1   21800      0     0
MARVELL TECHNOLOGY GROUP LTD     ORD                 G5876H105    509    32370 SH         DEFINED       1   32370      0     0






                                                                                        
MARVELL TECHNOLOGY GROUP LTD     CALL                G5876H905   3728   237000 SH    CALL DEFINED       1  237000      0     0
MARVELL TECHNOLOGY GROUP LTD     PUT                 G5876H955    579    36800 SH    PUT  DEFINED       1   36800      0     0
MASCO CORP                       CALL                574599906   1039    77700 SH    CALL DEFINED       1   77700      0     0
MASCO CORP                       PUT                 574599956    253    18900 SH    PUT  DEFINED       1   18900      0     0
MASTERCARD INC                   CL A                57636Q104   2747     6533 SH         DEFINED       1    6533      0     0
MASTERCARD INC                   CALL                57636Q904   5930    14100 SH    CALL DEFINED       1   14100      0     0
MASTERCARD INC                   PUT                 57636Q954   7107    16900 SH    PUT  DEFINED       1   16900      0     0
MATTEL INC                       COM                 577081102   1678    49861 SH         DEFINED       1   49861      0     0
MATTEL INC                       CALL                577081902   1808    53700 SH    CALL DEFINED       1   53700      0     0
MATTEL INC                       PUT                 577081952    754    22400 SH    PUT  DEFINED       1   22400      0     0
MATTSON TECHNOLOGY INC           COM                 577223100     91    33038 SH         DEFINED       1   33038      0     0
MAXIM INTEGRATED PRODS INC       COM                 57772K101    726    25390 SH         DEFINED       1   25390      0     0
MAXIM INTEGRATED PRODS INC       CALL                57772K901    786    27500 SH    CALL DEFINED       1   27500      0     0
MAXIM INTEGRATED PRODS INC       PUT                 57772K951    680    23800 SH    PUT  DEFINED       1   23800      0     0
MBIA INC                         CALL                55262C900    560    57100 SH    CALL DEFINED       1   57100      0     0
MBIA INC                         PUT                 55262C950    612    62400 SH    PUT  DEFINED       1   62400      0     0
MCDERMOTT INTL INC               CALL                580037909    468    36500 SH    CALL DEFINED       1   36500      0     0
MCDERMOTT INTL INC               PUT                 580037959    598    46700 SH    PUT  DEFINED       1   46700      0     0
MCDONALDS CORP                   CALL                580135901   8947    91200 SH    CALL DEFINED       1   91200      0     0
MCDONALDS CORP                   PUT                 580135951  12302   125400 SH    PUT  DEFINED       1  125400      0     0
MCG CAPITAL CORP                 COM                 58047P107     49    11593 SH         DEFINED       1   11593      0     0
MCGRAW HILL COS INC              CALL                580645909    805    16600 SH    CALL DEFINED       1   16600      0     0
MCGRAW HILL COS INC              PUT                 580645959    548    11300 SH    PUT  DEFINED       1   11300      0     0
MCKESSON CORP                    COM                 58155Q103   1566    17837 SH         DEFINED       1   17837      0     0
MCKESSON CORP                    CALL                58155Q903   4345    49500 SH    CALL DEFINED       1   49500      0     0
MCKESSON CORP                    PUT                 58155Q953   5091    58000 SH    PUT  DEFINED       1   58000      0     0
MCMORAN EXPLORATION CO           COM                 582411104    473    44168 SH         DEFINED       1   44168      0     0
MCMORAN EXPLORATION CO           CALL                582411904   1408   131600 SH    CALL DEFINED       1  131600      0     0
MCMORAN EXPLORATION CO           PUT                 582411954   1304   121900 SH    PUT  DEFINED       1  121900      0     0
MEAD JOHNSON NUTRITION CO        CALL                582839906   1419    17200 SH    CALL DEFINED       1   17200      0     0
MEAD JOHNSON NUTRITION CO        PUT                 582839956    759     9200 SH    PUT  DEFINED       1    9200      0     0
MECHEL OAO                       SPONSORED ADR       583840103    270    30049 SH         DEFINED       1   30049      0     0
MECHEL OAO                       CALL                583840903    467    52000 SH    CALL DEFINED       1   52000      0     0
MECHEL OAO                       PUT                 583840953    177    19700 SH    PUT  DEFINED       1   19700      0     0
MECOX LANE LIMITED               SPONSORED ADR       58403M102     15    11934 SH         DEFINED       1   11934      0     0
MEDASSETS INC                    COM                 584045108    227    17260 SH         DEFINED       1   17260      0     0
MEDCO HEALTH SOLUTIONS INC       COM                 58405U102    692     9849 SH         DEFINED       1    9849      0     0
MEDICIS PHARMACEUTICAL CORP      CL A NEW            584690309    285     7591 SH         DEFINED       1    7591      0     0
MEDTRONIC INC                    COM                 585055106   1089    27793 SH         DEFINED       1   27793      0     0
MEDTRONIC INC                    CALL                585055906   5588   142600 SH    CALL DEFINED       1  142600      0     0
MEDTRONIC INC                    PUT                 585055956   4503   114900 SH    PUT  DEFINED       1  114900      0     0
MELA SCIENCES INC                COM                 55277R100     71    15860 SH         DEFINED       1   15860      0     0
MELCO CROWN ENTMT LTD            ADR                 585464100   1761   129358 SH         DEFINED       1  129358      0     0
MELCO CROWN ENTMT LTD            CALL                585464900   1046    76700 SH    CALL DEFINED       1   76700      0     0
MELCO CROWN ENTMT LTD            PUT                 585464950   1656   121400 SH    PUT  DEFINED       1  121400      0     0
MELLANOX TECHNOLOGIES LTD        PUT                 M51363953    230     5500 SH    PUT  DEFINED       1    5500      0     0
MEMC ELECTR MATLS INC            COM                 552715104    216    59957 SH         DEFINED       1   59957      0     0
MEMC ELECTR MATLS INC            CALL                552715904    130    36100 SH    CALL DEFINED       1   36100      0     0
MEMC ELECTR MATLS INC            PUT                 552715954    110    30600 SH    PUT  DEFINED       1   30600      0     0
MENS WEARHOUSE INC               COM                 587118100    277     7137 SH         DEFINED       1    7137      0     0
MERCADOLIBRE INC                 CALL                58733R902   1261    12900 SH    CALL DEFINED       1   12900      0     0
MERCADOLIBRE INC                 PUT                 58733R952    714     7300 SH    PUT  DEFINED       1    7300      0     0
MERCK & CO INC NEW               CALL                58933Y905   6620   172400 SH    CALL DEFINED       1  172400      0     0
MERCK & CO INC NEW               PUT                 58933Y955   6674   173800 SH    PUT  DEFINED       1  173800      0     0
MERGE HEALTHCARE INC             COM                 589499102    125    21439 SH         DEFINED       1   21439      0     0
MERU NETWORKS INC                COM                 59047Q103     61    14976 SH         DEFINED       1   14976      0     0
METALICO INC                     COM                 591176102     43    10110 SH         DEFINED       1   10110      0     0
METLIFE INC                      COM                 59156R108   1672    44773 SH         DEFINED       1   44773      0     0
METLIFE INC                      CALL                59156R908   6630   177500 SH    CALL DEFINED       1  177500      0     0






                                                                                        
METLIFE INC                      PUT                 59156R958   6828   182800 SH    PUT  DEFINED       1  182800      0     0
METROPCS COMMUNICATIONS INC      CALL                591708902    137    15200 SH    CALL DEFINED       1   15200      0     0
METROPCS COMMUNICATIONS INC      PUT                 591708952    459    50900 SH    PUT  DEFINED       1   50900      0     0
MFS MULTIMARKET INCOME TR        SH BEN INT          552737108    149    21342 SH         DEFINED       1   21342      0     0
MFS MUN INCOME TR                SH BEN INT          552738106     76    10428 SH         DEFINED       1   10428      0     0
MGIC INVT CORP WIS               CALL                552848903    330    66600 SH    CALL DEFINED       1   66600      0     0
MGIC INVT CORP WIS               PUT                 552848953    603   121600 SH    PUT  DEFINED       1  121600      0     0
MGM MIRAGE                       COM                 552953101    504    36969 SH         DEFINED       1   36969      0     0
MGM MIRAGE                       CALL                552953901   2306   169300 SH    CALL DEFINED       1  169300      0     0
MGM MIRAGE                       PUT                 552953951   3470   254800 SH    PUT  DEFINED       1  254800      0     0
MICROCHIP TECHNOLOGY INC         COM                 595017104    417    11220 SH         DEFINED       1   11220      0     0
MICROCHIP TECHNOLOGY INC         CALL                595017904   1771    47600 SH    CALL DEFINED       1   47600      0     0
MICROCHIP TECHNOLOGY INC         PUT                 595017954   1246    33500 SH    PUT  DEFINED       1   33500      0     0
MICRON TECHNOLOGY INC            COM                 595112103   3331   411794 SH         DEFINED       1  411794      0     0
MICRON TECHNOLOGY INC            CALL                595112903   1209   149400 SH    CALL DEFINED       1  149400      0     0
MICRON TECHNOLOGY INC            PUT                 595112953   1610   198900 SH    PUT  DEFINED       1  198900      0     0
MICROS SYS INC                   COM                 594901100    284     5143 SH         DEFINED       1    5143      0     0
MICROSEMI CORP                   COM                 595137100    237    11069 SH         DEFINED       1   11069      0     0
MICROSOFT CORP                   COM                 594918104    782    24259 SH         DEFINED       1   24259      0     0
MICROSOFT CORP                   CALL                594918904  25336   785500 SH    CALL DEFINED       1  785500      0     0
MICROSOFT CORP                   PUT                 594918954  42560  1319500 SH    PUT  DEFINED       1 1319500      0     0
MICROVISION INC DEL              COM NEW             594960304    148    54413 SH         DEFINED       1   54413      0     0
MILLER HERMAN INC                COM                 600544100    229     9966 SH         DEFINED       1    9966      0     0
MIND C T I LTD                   ORD                 M70240102     22    11998 SH         DEFINED       1   11998      0     0
MITSUBISHI UFJ FINL GROUP IN     SPONSORED ADR       606822104     93    18670 SH         DEFINED       1   18670      0     0
MOHAWK INDS INC                  CALL                608190904    432     6500 SH    CALL DEFINED       1    6500      0     0
MOHAWK INDS INC                  PUT                 608190954    505     7600 SH    PUT  DEFINED       1    7600      0     0
MOLSON COORS BREWING CO          PUT                 60871R959   1285    28400 SH    PUT  DEFINED       1   28400      0     0
MOLYCORP INC DEL                 COM                 608753109    357    10560 SH         DEFINED       1   10560      0     0
MONRO MUFFLER BRAKE INC          COM                 610236101    364     8763 SH         DEFINED       1    8763      0     0
MONSANTO CO NEW                  COM                 61166W101    202     2538 SH         DEFINED       1    2538      0     0
MONSANTO CO NEW                  CALL                61166W901   6596    82700 SH    CALL DEFINED       1   82700      0     0
MONSANTO CO NEW                  PUT                 61166W951   8343   104600 SH    PUT  DEFINED       1  104600      0     0
MONSTER BEVERAGE CORP            COM                 611740101   2284    36786 SH         DEFINED       1   36786      0     0
MONSTER BEVERAGE CORP            CALL                611740901   2415    38900 SH    CALL DEFINED       1   38900      0     0
MONSTER BEVERAGE CORP            PUT                 611740951   2502    40300 SH    PUT  DEFINED       1   40300      0     0
MONSTER WORLDWIDE INC            COM                 611742107    138    14191 SH         DEFINED       1   14191      0     0
MONSTER WORLDWIDE INC            CALL                611742907    999   102500 SH    CALL DEFINED       1  102500      0     0
MONSTER WORLDWIDE INC            PUT                 611742957    220    22600 SH    PUT  DEFINED       1   22600      0     0
MOODYS CORP                      CALL                615369905   1781    42300 SH    CALL DEFINED       1   42300      0     0
MOODYS CORP                      PUT                 615369955   2307    54800 SH    PUT  DEFINED       1   54800      0     0
MORGAN STANLEY                   SHRT EUR ETN20      617480280    285     6698 SH         DEFINED       1    6698      0     0
MORGAN STANLEY                   COM NEW             617446448   2186   111300 SH         DEFINED       1  111300      0     0
MORGAN STANLEY                   CALL                617446908   9496   483500 SH    CALL DEFINED       1  483500      0     0
MORGAN STANLEY                   PUT                 617446958  10160   517300 SH    PUT  DEFINED       1  517300      0     0
MOTOROLA SOLUTIONS INC           CALL                620076907    757    14900 SH    CALL DEFINED       1   14900      0     0
MOTOROLA SOLUTIONS INC           PUT                 620076957    981    19300 SH    PUT  DEFINED       1   19300      0     0
MOTRICITY INC                    COM                 620107102     40    36681 SH         DEFINED       1   36681      0     0
MUELLER INDS INC                 COM                 624756102    223     4904 SH         DEFINED       1    4904      0     0
MURPHY OIL CORP                  CALL                626717902   1165    20700 SH    CALL DEFINED       1   20700      0     0
MURPHY OIL CORP                  PUT                 626717952   6223   110600 SH    PUT  DEFINED       1  110600      0     0
MYLAN INC                        COM                 628530107    648    27648 SH         DEFINED       1   27648      0     0
MYLAN INC                        CALL                628530907   2200    93800 SH    CALL DEFINED       1   93800      0     0
MYLAN INC                        PUT                 628530957   1637    69800 SH    PUT  DEFINED       1   69800      0     0
NABORS INDUSTRIES LTD            CALL                G6359F903   1172    67000 SH    CALL DEFINED       1   67000      0     0
NABORS INDUSTRIES LTD            PUT                 G6359F953   1259    72000 SH    PUT  DEFINED       1   72000      0     0
NASDAQ OMX GROUP INC             COM                 631103108   1186    45809 SH         DEFINED       1   45809      0     0
NASDAQ OMX GROUP INC             CALL                631103908    412    15900 SH    CALL DEFINED       1   15900      0     0
NASDAQ OMX GROUP INC             PUT                 631103958    282    10900 SH    PUT  DEFINED       1   10900      0     0






                                                                                        
NATIONAL GRID PLC                SPON ADR NEW        636274300    600    11877 SH         DEFINED       1   11877      0     0
NATIONAL OILWELL VARCO INC       CALL                637071901   5324    67000 SH    CALL DEFINED       1   67000      0     0
NATIONAL OILWELL VARCO INC       PUT                 637071951   7844    98700 SH    PUT  DEFINED       1   98700      0     0
NAVISTAR INTL CORP NEW           CALL                63934E908   1359    33600 SH    CALL DEFINED       1   33600      0     0
NAVISTAR INTL CORP NEW           PUT                 63934E958   1100    27200 SH    PUT  DEFINED       1   27200      0     0
NCI INC                          CL A                62886K104     94    14857 SH         DEFINED       1   14857      0     0
NCR CORP NEW                     CALL                62886E908    321    14800 SH    CALL DEFINED       1   14800      0     0
NETAPP INC                       COM                 64110D104    732    16364 SH         DEFINED       1   16364      0     0
NETAPP INC                       CALL                64110D904   6872   153500 SH    CALL DEFINED       1  153500      0     0
NETAPP INC                       PUT                 64110D954   5346   119400 SH    PUT  DEFINED       1  119400      0     0
NETEASE COM INC                  SPONSORED ADR       64110W102    431     7424 SH         DEFINED       1    7424      0     0
NETEASE COM INC                  CALL                64110W902    401     6900 SH    CALL DEFINED       1    6900      0     0
NETEASE COM INC                  PUT                 64110W952    517     8900 SH    PUT  DEFINED       1    8900      0     0
NETFLIX INC                      CALL                64110L906   7788    67700 SH    CALL DEFINED       1   67700      0     0
NETFLIX INC                      PUT                 64110L956   6764    58800 SH    PUT  DEFINED       1   58800      0     0
NETGEAR INC                      COM                 64111Q104    238     6223 SH         DEFINED       1    6223      0     0
NETSOL TECHNOLOGIES INC          COM NEW             64115A204     10    25913 SH         DEFINED       1   25913      0     0
NEUROGESX INC                    COM                 641252101     10    20616 SH         DEFINED       1   20616      0     0
NEUROMETRIX INC                  COM NEW             641255203     11    14916 SH         DEFINED       1   14916      0     0
NEW GOLD INC CDA                 CALL                644535906    124    12500 SH    CALL DEFINED       1   12500      0     0
NEW GOLD INC CDA                 PUT                 644535956    290    29400 SH    PUT  DEFINED       1   29400      0     0
NEW ORIENTAL ED & TECH GRP I     CALL                647581907    412    15000 SH    CALL DEFINED       1   15000      0     0
NEW YORK CMNTY BANCORP INC       CALL                649445903   1317    94700 SH    CALL DEFINED       1   94700      0     0
NEW YORK CMNTY BANCORP INC       PUT                 649445953    690    49600 SH    PUT  DEFINED       1   49600      0     0
NEW YORK TIMES CO                CALL                650111907    192    28300 SH    CALL DEFINED       1   28300      0     0
NEW YORK TIMES CO                PUT                 650111957     92    13600 SH    PUT  DEFINED       1   13600      0     0
NEWELL RUBBERMAID INC            CALL                651229906    825    46300 SH    CALL DEFINED       1   46300      0     0
NEWELL RUBBERMAID INC            PUT                 651229956    461    25900 SH    PUT  DEFINED       1   25900      0     0
NEWFIELD EXPL CO                 CALL                651290908    843    24300 SH    CALL DEFINED       1   24300      0     0
NEWFIELD EXPL CO                 PUT                 651290958   1994    57500 SH    PUT  DEFINED       1   57500      0     0
NEWMONT MINING CORP              COM                 651639106   2176    42440 SH         DEFINED       1   42440      0     0
NEWMONT MINING CORP              CALL                651639906   7557   147400 SH    CALL DEFINED       1  147400      0     0
NEWMONT MINING CORP              PUT                 651639956   9603   187300 SH    PUT  DEFINED       1  187300      0     0
NEWS CORP                        CL A                65248E104   1734    88041 SH         DEFINED       1   88041      0     0
NEWS CORP                        CL B                65248E203    389    19462 SH         DEFINED       1   19462      0     0
NEWS CORP                        CALL                65248E904   2208   112000 SH    CALL DEFINED       1  112000      0     0
NEWS CORP                        PUT                 65248E953    347    17400 SH    PUT  DEFINED       1   17400      0     0
NEWS CORP                        PUT                 65248E954   1433    72700 SH    PUT  DEFINED       1   72700      0     0
NEXTERA ENERGY INC               CALL                65339F901   6407   104900 SH    CALL DEFINED       1  104900      0     0
NEXTERA ENERGY INC               PUT                 65339F951   2156    35300 SH    PUT  DEFINED       1   35300      0     0
NII HLDGS INC                    CALL                62913F901   1212    66200 SH    CALL DEFINED       1   66200      0     0
NII HLDGS INC                    PUT                 62913F951    833    45500 SH    PUT  DEFINED       1   45500      0     0
NIKE INC                         CL B                654106103    379     3497 SH         DEFINED       1    3497      0     0
NIKE INC                         CALL                654106903   8534    78700 SH    CALL DEFINED       1   78700      0     0
NIKE INC                         PUT                 654106953   9423    86900 SH    PUT  DEFINED       1   86900      0     0
NIPPON TELEG & TEL CORP          SPONSORED ADR       654624105    458    20235 SH         DEFINED       1   20235      0     0
NISOURCE INC                     COM                 65473P105    277    11367 SH         DEFINED       1   11367      0     0
NOBLE CORPORATION BAAR           NAMEN -AKT          H5833N103    279     7441 SH         DEFINED       1    7441      0     0
NOBLE CORPORATION BAAR           CALL                H5833N903   1596    42600 SH    CALL DEFINED       1   42600      0     0
NOBLE CORPORATION BAAR           PUT                 H5833N953    274     7300 SH    PUT  DEFINED       1    7300      0     0
NOBLE ENERGY INC                 COM                 655044105    396     4045 SH         DEFINED       1    4045      0     0
NOBLE ENERGY INC                 CALL                655044905   3950    40400 SH    CALL DEFINED       1   40400      0     0
NOBLE ENERGY INC                 PUT                 655044955   3041    31100 SH    PUT  DEFINED       1   31100      0     0
NOKIA CORP                       SPONSORED ADR       654902204    216    39366 SH         DEFINED       1   39366      0     0
NOKIA CORP                       CALL                654902904   2113   384900 SH    CALL DEFINED       1  384900      0     0
NOKIA CORP                       PUT                 654902954   1497   272600 SH    PUT  DEFINED       1  272600      0     0
NORDSTROM INC                    CALL                655664900   1972    35400 SH    CALL DEFINED       1   35400      0     0
NORDSTROM INC                    PUT                 655664950   2608    46800 SH    PUT  DEFINED       1   46800      0     0
NORFOLK SOUTHERN CORP            CALL                655844908   3370    51200 SH    CALL DEFINED       1   51200      0     0






                                                                                        
NORFOLK SOUTHERN CORP            PUT                 655844958   5655    85900 SH    PUT  DEFINED       1   85900      0     0
NORTHERN OIL & GAS INC NEV       CALL                665531909    351    16900 SH    CALL DEFINED       1   16900      0     0
NORTHERN OIL & GAS INC NEV       PUT                 665531959    359    17300 SH    PUT  DEFINED       1   17300      0     0
NORTHERN TR CORP                 COM                 665859104    358     7540 SH         DEFINED       1    7540      0     0
NORTHERN TR CORP                 CALL                665859904   1642    34600 SH    CALL DEFINED       1   34600      0     0
NORTHERN TR CORP                 PUT                 665859954    821    17300 SH    PUT  DEFINED       1   17300      0     0
NORTHROP GRUMMAN CORP            COM                 666807102    598     9790 SH         DEFINED       1    9790      0     0
NORTHROP GRUMMAN CORP            CALL                666807902   1521    24900 SH    CALL DEFINED       1   24900      0     0
NORTHROP GRUMMAN CORP            PUT                 666807952   1472    24100 SH    PUT  DEFINED       1   24100      0     0
NOVAGOLD RES INC                 CALL                66987E906    506    70500 SH    CALL DEFINED       1   70500      0     0
NOVAGOLD RES INC                 PUT                 66987E956    368    51200 SH    PUT  DEFINED       1   51200      0     0
NOVARTIS A G                     SPONSORED ADR       66987V109    996    17979 SH         DEFINED       1   17979      0     0
NOVARTIS A G                     CALL                66987V909    787    14200 SH    CALL DEFINED       1   14200      0     0
NOVARTIS A G                     PUT                 66987V959   2665    48100 SH    PUT  DEFINED       1   48100      0     0
NOVELLUS SYS INC                 COM                 670008101   1084    21737 SH         DEFINED       1   21737      0     0
NOVELLUS SYS INC                 PUT                 670008951    334     6700 SH    PUT  DEFINED       1    6700      0     0
NOVOGEN LIMITED                  SPON ADR 1:25 SH    67010F202     33    13948 SH         DEFINED       1   13948      0     0
NRG ENERGY INC                   COM NEW             629377508    310    19806 SH         DEFINED       1   19806      0     0
NRG ENERGY INC                   CALL                629377908    180    11500 SH    CALL DEFINED       1   11500      0     0
NRG ENERGY INC                   PUT                 629377958    561    35800 SH    PUT  DEFINED       1   35800      0     0
NU SKIN ENTERPRISES INC          CL A                67018T105    394     6806 SH         DEFINED       1    6806      0     0
NUANCE COMMUNICATIONS INC        COM                 67020Y100    642    25115 SH         DEFINED       1   25115      0     0
NUANCE COMMUNICATIONS INC        CALL                67020Y900   5211   203700 SH    CALL DEFINED       1  203700      0     0
NUANCE COMMUNICATIONS INC        PUT                 67020Y950   2069    80900 SH    PUT  DEFINED       1   80900      0     0
NUCOR CORP                       CALL                670346905   3741    87100 SH    CALL DEFINED       1   87100      0     0
NUCOR CORP                       PUT                 670346955   2345    54600 SH    PUT  DEFINED       1   54600      0     0
NUTRI SYS INC NEW                CALL                67069D908    201    17900 SH    CALL DEFINED       1   17900      0     0
NUTRI SYS INC NEW                PUT                 67069D958    291    25900 SH    PUT  DEFINED       1   25900      0     0
NUVEEN BUILD AMER BD FD          COM                 67074C103    228    11322 SH         DEFINED       1   11322      0     0
NUVEEN DIV ADV MUNI FD 3         COM SH BEN INT      67070X101    204    13843 SH         DEFINED       1   13843      0     0
NUVEEN EQUITY PREM INCOME FD     COM                 6706ER101    185    15463 SH         DEFINED       1   15463      0     0
NUVEEN INSD PREM INCOME MUN      COM                 6706D8104    149    11061 SH         DEFINED       1   11061      0     0
NUVEEN MULT CURR ST GV INCM      COM                 67090N109    219    16597 SH         DEFINED       1   16597      0     0
NUVEEN MULTI STRAT INC GR FD     COM SHS             67073D102    228    25349 SH         DEFINED       1   25349      0     0
NUVEEN PERFORMANCE PLUS MUN      COM                 67062P108    181    11667 SH         DEFINED       1   11667      0     0
NUVEEN QUALITY PFD INCOME FD     COM                 67072C105    115    13379 SH         DEFINED       1   13379      0     0
NVIDIA CORP                      COM                 67066G104   1701   110445 SH         DEFINED       1  110445      0     0
NVIDIA CORP                      CALL                67066G904   3969   257800 SH    CALL DEFINED       1  257800      0     0
NVIDIA CORP                      PUT                 67066G954   1914   124300 SH    PUT  DEFINED       1  124300      0     0
NVR INC                          COM                 62944T105    336      462 SH         DEFINED       1     462      0     0
NXP SEMICONDUCTORS N V           PUT                 N6596X959    237     8900 SH    PUT  DEFINED       1    8900      0     0
O CHARLEYS INC                   COM                 670823103    221    22502 SH         DEFINED       1   22502      0     0
O REILLY AUTOMOTIVE INC NEW      COM                 67103H107   1579    17286 SH         DEFINED       1   17286      0     0
OCCIDENTAL PETE CORP DEL         COM                 674599105   1169    12275 SH         DEFINED       1   12275      0     0
OCCIDENTAL PETE CORP DEL         CALL                674599905   4942    51900 SH    CALL DEFINED       1   51900      0     0
OCCIDENTAL PETE CORP DEL         PUT                 674599955   6895    72400 SH    PUT  DEFINED       1   72400      0     0
OCEANEERING INTL INC             CALL                675232902    679    12600 SH    CALL DEFINED       1   12600      0     0
OCEANEERING INTL INC             PUT                 675232952    507     9400 SH    PUT  DEFINED       1    9400      0     0
OCLARO INC                       COM NEW             67555N206    118    29846 SH         DEFINED       1   29846      0     0
OCZ TECHNOLOGY GROUP INC         COM                 67086E303     82    11688 SH         DEFINED       1   11688      0     0
OFFICE DEPOT INC                 COM                 676220106     54    15588 SH         DEFINED       1   15588      0     0
OFFICE DEPOT INC                 CALL                676220906     50    14600 SH    CALL DEFINED       1   14600      0     0
OFFICE DEPOT INC                 PUT                 676220956     40    11600 SH    PUT  DEFINED       1   11600      0     0
OFFICEMAX INC DEL                CALL                67622P901    208    36400 SH    CALL DEFINED       1   36400      0     0
OFFICEMAX INC DEL                PUT                 67622P951    116    20200 SH    PUT  DEFINED       1   20200      0     0
OIL STS INTL INC                 COM                 678026105    322     4128 SH         DEFINED       1    4128      0     0
OIL STS INTL INC                 CALL                678026905    312     4000 SH    CALL DEFINED       1    4000      0     0
OLD DOMINION FGHT LINES INC      COM                 679580100    363     7624 SH         DEFINED       1    7624      0     0
OLIN CORP                        CALL                680665905    974    44800 SH    CALL DEFINED       1   44800      0     0






                                                                                        
OLIN CORP                        PUT                 680665955    202     9300 SH    PUT  DEFINED       1    9300      0     0
OMEGA HEALTHCARE INVS INC        COM                 681936100    203     9545 SH         DEFINED       1    9545      0     0
OMNICARE INC                     COM                 681904108    287     8058 SH         DEFINED       1    8058      0     0
OMNICOM GROUP INC                COM                 681919106    305     6028 SH         DEFINED       1    6028      0     0
OMNICOM GROUP INC                CALL                681919906    861    17000 SH    CALL DEFINED       1   17000      0     0
OMNIVISION TECHNOLOGIES INC      COM                 682128103   2765   138237 SH         DEFINED       1  138237      0     0
OMNIVISION TECHNOLOGIES INC      CALL                682128903   1136    56800 SH    CALL DEFINED       1   56800      0     0
OMNIVISION TECHNOLOGIES INC      PUT                 682128953   4920   246000 SH    PUT  DEFINED       1  246000      0     0
ON SEMICONDUCTOR CORP            COM                 682189105    166    18497 SH         DEFINED       1   18497      0     0
ON SEMICONDUCTOR CORP            CALL                682189905    708    78600 SH    CALL DEFINED       1   78600      0     0
ONCOTHYREON INC                  COM                 682324108    231    52868 SH         DEFINED       1   52868      0     0
ONEOK INC NEW                    COM                 682680103    507     6212 SH         DEFINED       1    6212      0     0
ONEOK PARTNERS LP                UNIT LTD PARTN      68268N103   2203    40301 SH         DEFINED       1   40301      0     0
ONYX PHARMACEUTICALS INC         COM                 683399109    456    12106 SH         DEFINED       1   12106      0     0
OPEN TEXT CORP                   COM                 683715106    306     5002 SH         DEFINED       1    5002      0     0
OPENTABLE INC                    COM                 68372A104    987    24389 SH         DEFINED       1   24389      0     0
OPEXA THERAPEUTICS INC           COM                 68372T103      8    11072 SH         DEFINED       1   11072      0     0
OPKO HEALTH INC                  COM                 68375N103    195    41152 SH         DEFINED       1   41152      0     0
OPNEXT INC                       COM                 68375V105    149    96366 SH         DEFINED       1   96366      0     0
ORACLE CORP                      COM                 68389X105   2942   100912 SH         DEFINED       1  100912      0     0
ORACLE CORP                      CALL                68389X905   5470   187600 SH    CALL DEFINED       1  187600      0     0
ORACLE CORP                      PUT                 68389X955  11125   381500 SH    PUT  DEFINED       1  381500      0     0
OREILLY AUTOMOTIVE INC NEW       CALL                67103H907    904     9900 SH    CALL DEFINED       1    9900      0     0
OREILLY AUTOMOTIVE INC NEW       PUT                 67103H957   2494    27300 SH    PUT  DEFINED       1   27300      0     0
OREXIGEN THERAPEUTICS INC        COM                 686164104    375    92228 SH         DEFINED       1   92228      0     0
ORIGIN AGRITECH LIMITED          SHS                 G67828106     60    24512 SH         DEFINED       1   24512      0     0
OWENS CORNING NEW                CALL                690742901   1232    34200 SH    CALL DEFINED       1   34200      0     0
OWENS CORNING NEW                PUT                 690742951    872    24200 SH    PUT  DEFINED       1   24200      0     0
OWENS ILL INC                    CALL                690768903    436    18700 SH    CALL DEFINED       1   18700      0     0
OWENS ILL INC                    PUT                 690768953    733    31400 SH    PUT  DEFINED       1   31400      0     0
OXIGENE INC                      COM NEW             691828305     18    17016 SH         DEFINED       1   17016      0     0
P F CHANGS CHINA BISTRO INC      COM                 69333Y108    434    10972 SH         DEFINED       1   10972      0     0
P T TELEKOMUNIKASI INDONESIA     SPONSORED ADR       715684106    223     7337 SH         DEFINED       1    7337      0     0
PACCAR INC                       CALL                693718908   3812    81400 SH    CALL DEFINED       1   81400      0     0
PACCAR INC                       PUT                 693718958   1545    33000 SH    PUT  DEFINED       1   33000      0     0
PAN AMERICAN SILVER CORP         COM                 697900108    453    20559 SH         DEFINED       1   20559      0     0
PAN AMERICAN SILVER CORP         CALL                697900908   1429    64800 SH    CALL DEFINED       1   64800      0     0
PAN AMERICAN SILVER CORP         PUT                 697900958   1313    59500 SH    PUT  DEFINED       1   59500      0     0
PANERA BREAD CO                  CL A                69840W108   1533     9530 SH         DEFINED       1    9530      0     0
PANERA BREAD CO                  CALL                69840W908   4087    25400 SH    CALL DEFINED       1   25400      0     0
PANERA BREAD CO                  PUT                 69840W958   4795    29800 SH    PUT  DEFINED       1   29800      0     0
PARKER HANNIFIN CORP             COM                 701094104    603     7133 SH         DEFINED       1    7133      0     0
PARKER HANNIFIN CORP             CALL                701094904   3027    35800 SH    CALL DEFINED       1   35800      0     0
PARKER HANNIFIN CORP             PUT                 701094954   2841    33600 SH    PUT  DEFINED       1   33600      0     0
PARTNERRE LTD                    COM                 G6852T105    356     5237 SH         DEFINED       1    5237      0     0
PATRIOT COAL CORP                COM                 70336T104     69    11096 SH         DEFINED       1   11096      0     0
PATRIOT COAL CORP                CALL                70336T904    479    76800 SH    CALL DEFINED       1   76800      0     0
PATRIOT COAL CORP                PUT                 70336T954    442    70900 SH    PUT  DEFINED       1   70900      0     0
PATTERSON UTI ENERGY INC         COM                 703481101    367    21221 SH         DEFINED       1   21221      0     0
PATTERSON UTI ENERGY INC         CALL                703481901    472    27300 SH    CALL DEFINED       1   27300      0     0
PATTERSON UTI ENERGY INC         PUT                 703481951    638    36900 SH    PUT  DEFINED       1   36900      0     0
PAYCHEX INC                      COM                 704326107   1100    35484 SH         DEFINED       1   35484      0     0
PAYCHEX INC                      CALL                704326907   1931    62300 SH    CALL DEFINED       1   62300      0     0
PAYCHEX INC                      PUT                 704326957   1016    32800 SH    PUT  DEFINED       1   32800      0     0
PDL BIOPHARMA INC                COM                 69329Y104    206    32440 SH         DEFINED       1   32440      0     0
PEABODY ENERGY CORP              COM                 704549104    463    15996 SH         DEFINED       1   15996      0     0
PEABODY ENERGY CORP              CALL                704549904   5126   177000 SH    CALL DEFINED       1  177000      0     0
PEABODY ENERGY CORP              PUT                 704549954   5088   175700 SH    PUT  DEFINED       1  175700      0     0
PEARSON PLC                      SPONSORED ADR       705015105    253    13483 SH         DEFINED       1   13483      0     0






                                                                                        
PENN NATL GAMING INC             COM                 707569109   1111    25854 SH         DEFINED       1   25854      0     0
PENN NATL GAMING INC             CALL                707569909    464    10800 SH    CALL DEFINED       1   10800      0     0
PENN NATL GAMING INC             PUT                 707569959    950    22100 SH    PUT  DEFINED       1   22100      0     0
PENN VA CORP                     COM                 707882106     92    20197 SH         DEFINED       1   20197      0     0
PENN WEST PETE LTD NEW           COM                 707887105    230    11778 SH         DEFINED       1   11778      0     0
PENNEY J C INC                   COM                 708160106    732    20650 SH         DEFINED       1   20650      0     0
PENNEY J C INC                   CALL                708160906   2363    66700 SH    CALL DEFINED       1   66700      0     0
PENNEY J C INC                   PUT                 708160956   3954   111600 SH    PUT  DEFINED       1  111600      0     0
PEOPLES UNITED FINANCIAL INC     COM                 712704105    401    30289 SH         DEFINED       1   30289      0     0
PEP BOYS MANNY MOE & JACK        COM                 713278109    201    13482 SH         DEFINED       1   13482      0     0
PEPSICO INC                      CALL                713448908   7332   110500 SH    CALL DEFINED       1  110500      0     0
PEPSICO INC                      PUT                 713448958   4505    67900 SH    PUT  DEFINED       1   67900      0     0
PERRIGO CO                       COM                 714290103    747     7232 SH         DEFINED       1    7232      0     0
PETROCHINA CO LTD                CALL                71646E900    450     3200 SH    CALL DEFINED       1    3200      0     0
PETROCHINA CO LTD                PUT                 71646E950    534     3800 SH    PUT  DEFINED       1    3800      0     0
PETROLEO BRASILEIRO SA PETRO     SP ADR NON VTG      71654V101    649    25380 SH         DEFINED       1   25380      0     0
PETROLEO BRASILEIRO SA PETRO     CALL                71654V908   2284    86000 SH    CALL DEFINED       1   86000      0     0
PETROLEO BRASILEIRO SA PETRO     PUT                 71654V958   3004   113100 SH    PUT  DEFINED       1  113100      0     0
PETSMART INC                     COM                 716768106    996    17401 SH         DEFINED       1   17401      0     0
PETSMART INC                     CALL                716768906    504     8800 SH    CALL DEFINED       1    8800      0     0
PETSMART INC                     PUT                 716768956   1568    27400 SH    PUT  DEFINED       1   27400      0     0
PFIZER INC                       CALL                717081903   5186   229000 SH    CALL DEFINED       1  229000      0     0
PFIZER INC                       PUT                 717081953   8877   392000 SH    PUT  DEFINED       1  392000      0     0
PHILIP MORRIS INTL INC           COM                 718172109   1082    12206 SH         DEFINED       1   12206      0     0
PHILIP MORRIS INTL INC           CALL                718172909   3801    42900 SH    CALL DEFINED       1   42900      0     0
PHILIP MORRIS INTL INC           PUT                 718172959  14824   167300 SH    PUT  DEFINED       1  167300      0     0
PIMCO STRATEGIC GBL GOV FD I     COM                 72200X104    121    10924 SH         DEFINED       1   10924      0     0
PIONEER NAT RES CO               CALL                723787907   3203    28700 SH    CALL DEFINED       1   28700      0     0
PIONEER NAT RES CO               PUT                 723787957   2187    19600 SH    PUT  DEFINED       1   19600      0     0
PITNEY BOWES INC                 COM                 724479100    328    18662 SH         DEFINED       1   18662      0     0
PITNEY BOWES INC                 CALL                724479900   2039   116000 SH    CALL DEFINED       1  116000      0     0
PITNEY BOWES INC                 PUT                 724479950   1350    76800 SH    PUT  DEFINED       1   76800      0     0
PLAINS ALL AMERN PIPELINE L      UNIT LTD PARTN      726503105    550     7005 SH         DEFINED       1    7005      0     0
PLAINS EXPL& PRODTN CO           COM                 726505100    279     6550 SH         DEFINED       1    6550      0     0
PLAINS EXPL& PRODTN CO           CALL                726505900    772    18100 SH    CALL DEFINED       1   18100      0     0
PLAINS EXPL& PRODTN CO           PUT                 726505950   3378    79200 SH    PUT  DEFINED       1   79200      0     0
PLATINUM GROUP METALS LTD        COM NEW             72765Q205     20    13663 SH         DEFINED       1   13663      0     0
PLUM CREEK TIMBER CO INC         COM                 729251108    230     5528 SH         DEFINED       1    5528      0     0
PLUM CREEK TIMBER CO INC         CALL                729251908    644    15500 SH    CALL DEFINED       1   15500      0     0
PLUM CREEK TIMBER CO INC         PUT                 729251958   1575    37900 SH    PUT  DEFINED       1   37900      0     0
PLURISTEM THERAPEUTICS INC       COM                 72940R102     24    10512 SH         DEFINED       1   10512      0     0
PMC-SIERRA INC                   CALL                69344F906    100    13900 SH    CALL DEFINED       1   13900      0     0
PNC FINL SVCS GROUP INC          CALL                693475905   7274   112800 SH    CALL DEFINED       1  112800      0     0
PNC FINL SVCS GROUP INC          PUT                 693475955   7990   123900 SH    PUT  DEFINED       1  123900      0     0
POLARIS INDS INC                 CALL                731068902   1739    24100 SH    CALL DEFINED       1   24100      0     0
POLARIS INDS INC                 PUT                 731068952   1609    22300 SH    PUT  DEFINED       1   22300      0     0
POLYCOM INC                      COM                 73172K104    240    12590 SH         DEFINED       1   12590      0     0
POLYCOM INC                      CALL                73172K904    967    50700 SH    CALL DEFINED       1   50700      0     0
POLYCOM INC                      PUT                 73172K954    360    18900 SH    PUT  DEFINED       1   18900      0     0
POLYPORE INTL INC                COM                 73179V103    665    18917 SH         DEFINED       1   18917      0     0
POPULAR INC                      COM                 733174106    281   137619 SH         DEFINED       1  137619      0     0
POPULAR INC                      CALL                733174906     61    29900 SH    CALL DEFINED       1   29900      0     0
POPULAR INC                      PUT                 733174956    191    93100 SH    PUT  DEFINED       1   93100      0     0
PORTUGAL TELECOM SGPS S A        SPONSORED ADR       737273102     69    12688 SH         DEFINED       1   12688      0     0
POTASH CORP SASK INC             CALL                73755L907  13278   290600 SH    CALL DEFINED       1  290600      0     0
POTASH CORP SASK INC             PUT                 73755L957   8009   175300 SH    PUT  DEFINED       1  175300      0     0
POWER INTEGRATIONS INC           COM                 739276103    479    12921 SH         DEFINED       1   12921      0     0
POWERSHARES ETF TR II            S&P SMCP ENE P      73937B704    926    24915 SH         DEFINED       1   24915      0     0
POWERSHARES ETF TR II            S&P SMCP IND P      73937B878    831    27266 SH         DEFINED       1   27266      0     0






                                                                                        
POWERSHARES ETF TRUST            DYNAMIC MKT PT      73935X104    282     6037 SH         DEFINED       1    6037      0     0
POWERSHARES ETF TRUST            WNDRHLL CLN EN      73935X500     86    15492 SH         DEFINED       1   15492      0     0
POWERSHARES ETF TRUST            WATER RESOURCE      73935X575    339    17662 SH         DEFINED       1   17662      0     0
POWERSHARES ETF TRUST            DYNM LRG CP GR      73935X609    275    14758 SH         DEFINED       1   14758      0     0
POWERSHARES ETF TRUST II INTL    CORP BOND           73936Q835    351    12598 SH         DEFINED       1   12598      0     0
POWERSHARES GLOBAL ETF TRUST     WK VRDO TX FR       73936T433    435    17387 SH         DEFINED       1   17387      0     0
POWERSHARES QQQ TRUST            UNIT SER 1          73935A104   6618    97986 SH         DEFINED       1   97986      0     0
POWERSHARES QQQ TRUST            CALL                73935A904   7329   108500 SH    CALL DEFINED       1  108500      0     0
POWERSHARES QQQ TRUST            PUT                 73935A954  15793   233800 SH    PUT  DEFINED       1  233800      0     0
POWERSHS DB MULTI SECT COMM      DB PREC MTLS        73936B200    328     5627 SH         DEFINED       1    5627      0     0
POWERSHS DB MULTI SECT COMM      DB AGRICULT FD      73936B408    336    11975 SH         DEFINED       1   11975      0     0
POWERSHS DB US DOLLAR INDEX      DOLL INDX BULL      73936D107    295    13467 SH         DEFINED       1   13467      0     0
PPG INDS INC                     CALL                693506907   1015    10600 SH    CALL DEFINED       1   10600      0     0
PPG INDS INC                     PUT                 693506957   1887    19700 SH    PUT  DEFINED       1   19700      0     0
PPL CORP                         COM                 69351T106    988    34967 SH         DEFINED       1   34967      0     0
PPL CORP                         CALL                69351T906   1571    55600 SH    CALL DEFINED       1   55600      0     0
PPL CORP                         PUT                 69351T956   1142    40400 SH    PUT  DEFINED       1   40400      0     0
PRANA BIOTECHNOLOGY LTD          SPONSORED ADR       739727105    131    77374 SH         DEFINED       1   77374      0     0
PRAXAIR INC                      CALL                74005P904    504     4400 SH    CALL DEFINED       1    4400      0     0
PRAXAIR INC                      PUT                 74005P954   2912    25400 SH    PUT  DEFINED       1   25400      0     0
PRECISION CASTPARTS CORP         COM                 740189105   1074     6211 SH         DEFINED       1    6211      0     0
PRECISION CASTPARTS CORP         CALL                740189905   1366     7900 SH    CALL DEFINED       1    7900      0     0
PRECISION CASTPARTS CORP         PUT                 740189955   1936    11200 SH    PUT  DEFINED       1   11200      0     0
PREMIER EXIBITIONS INC           COM                 74051E102     64    18151 SH         DEFINED       1   18151      0     0
PRICE T ROWE GROUP INC           CALL                74144T908   1397    21400 SH    CALL DEFINED       1   21400      0     0
PRICE T ROWE GROUP INC           PUT                 74144T958   2429    37200 SH    PUT  DEFINED       1   37200      0     0
PRICELINE COM INC                COM NEW             741503403   2925     4076 SH         DEFINED       1    4076      0     0
PRICELINE COM INC                CALL                741503903  18296    25500 SH    CALL DEFINED       1   25500      0     0
PRICELINE COM INC                PUT                 741503953  16503    23000 SH    PUT  DEFINED       1   23000      0     0
PRINCIPAL FINANCIAL GROUP IN     CALL                74251V902    782    26500 SH    CALL DEFINED       1   26500      0     0
PRINCIPAL FINANCIAL GROUP IN     PUT                 74251V952    528    17900 SH    PUT  DEFINED       1   17900      0     0
PROCTER & GAMBLE CO              COM                 742718109   2291    34081 SH         DEFINED       1   34081      0     0
PROCTER & GAMBLE CO              CALL                742718909  26535   394800 SH    CALL DEFINED       1  394800      0     0
PROCTER & GAMBLE CO              PUT                 742718959  34627   515200 SH    PUT  DEFINED       1  515200      0     0
PROGRESS ENERGY INC              COM                 743263105    232     4368 SH         DEFINED       1    4368      0     0
PROGRESS SOFTWARE CORP           COM                 743312100    463    19619 SH         DEFINED       1   19619      0     0
PROGRESSIVE CORP OHIO            CALL                743315903    392    16900 SH    CALL DEFINED       1   16900      0     0
PROGRESSIVE CORP OHIO            PUT                 743315953    336    14500 SH    PUT  DEFINED       1   14500      0     0
PROSHARES TR                     PSHS ULT S&P 500    74347R107    464     7961 SH         DEFINED       1    7961      0     0
PROSHARES TR                     ULTRA 20YR TRE      74347R172    476     4098 SH         DEFINED       1    4098      0     0
PROSHARES TR                     PSHS SHTFINL ETF    74347R230    383    12360 SH         DEFINED       1   12360      0     0
PROSHARES TR                     PSHS ULTSHRT QQQ    74347X237   2129    70319 SH         DEFINED       1   70319      0     0
PROSHARES TR                     PSHS ULTRA DOW30    74347R305    327     4641 SH         DEFINED       1    4641      0     0
PROSHARES TR                     II ULT VIX STRM NEW 74347W544    233    16034 SH         DEFINED       1   16034      0     0
PROSHARES TR                     II SHRT SILV NEW    74347W643    109    10317 SH         DEFINED       1   10317      0     0
PROSHARES TR                     II ULT DJ UBS CRUDE 74347W650    322     7500 SH         DEFINED       1    7500      0     0
PROSHARES TR                     ULTPR SHRT QQQ      74347X666    512    47517 SH         DEFINED       1   47517      0     0
PROSHARES TR                     II ULTRASHRT NEW    74347W718    191    11366 SH         DEFINED       1   11366      0     0
PROSHARES TR                     PSHS SHT SCAP600    74347R784    229    10247 SH         DEFINED       1   10247      0     0
PROSHARES TR                     ULTRPRO DOW30       74347X823    773     4652 SH         DEFINED       1    4652      0     0
PROSHARES TR                     ULTRAPRO QQQ        74347X831    202     1688 SH         DEFINED       1    1688      0     0
PROSHARES TR                     PSHS ULSHT SP500    74347R883    524    34716 SH         DEFINED       1   34716      0     0
PROSHARES TR II                  ULTRA SILVER        74347W841    569    10451 SH         DEFINED       1   10451      0     0
PROSPECT CAPITAL CORPORATION     COM                 74348T102    173    15757 SH         DEFINED       1   15757      0     0
PRUDENTIAL FINL INC              CALL                744320902   1940    30600 SH    CALL DEFINED       1   30600      0     0
PRUDENTIAL FINL INC              PUT                 744320952   3968    62600 SH    PUT  DEFINED       1   62600      0     0
PRUDENTIAL PLC                   ADR                 74435K204    249    10362 SH         DEFINED       1   10362      0     0
PSS WORLD MED INC                COM                 69366A100    270    10638 SH         DEFINED       1   10638      0     0
PUBLIC STORAGE                   CALL                74460D909   1672    12100 SH    CALL DEFINED       1   12100      0     0






                                                                                        
PUBLIC STORAGE                   PUT                 74460D959   1050     7600 SH    PUT  DEFINED       1    7600      0     0
PUBLIC SVC ENTERPRISE GROUP      CALL                744573906    202     6600 SH    CALL DEFINED       1    6600      0     0
PUBLIC SVC ENTERPRISE GROUP      PUT                 744573956    704    23000 SH    PUT  DEFINED       1   23000      0     0
PULTE HOMES INC                  COM                 745867101    207    23396 SH         DEFINED       1   23396      0     0
PULTE HOMES INC                  CALL                745867901    433    48900 SH    CALL DEFINED       1   48900      0     0
PULTE HOMES INC                  PUT                 745867951    250    28300 SH    PUT  DEFINED       1   28300      0     0
PVH CORP                         COM                 693656100    544     6086 SH         DEFINED       1    6086      0     0
PVH CORP                         CALL                693656900   1760    19700 SH    CALL DEFINED       1   19700      0     0
PVH CORP                         PUT                 693656950   1679    18800 SH    PUT  DEFINED       1   18800      0     0
QIAO XING UNIVERSAL TELEPHON     ORD                 G7303A109      8    11262 SH         DEFINED       1   11262      0     0
QLIK TECHNOLOGIES INC            COM                 74733T105    218     6815 SH         DEFINED       1    6815      0     0
QLOGIC CORP                      COM                 747277101    657    36991 SH         DEFINED       1   36991      0     0
QLOGIC CORP                      CALL                747277901    199    11200 SH    CALL DEFINED       1   11200      0     0
QUALCOMM INC                     COM                 747525103    417     6135 SH         DEFINED       1    6135      0     0
QUALCOMM INC                     CALL                747525903  19091   280500 SH    CALL DEFINED       1  280500      0     0
QUALCOMM INC                     PUT                 747525953  24148   354800 SH    PUT  DEFINED       1  354800      0     0
QUANTA SVCS INC                  COM                 74762E102    223    10657 SH         DEFINED       1   10657      0     0
QUANTA SVCS INC                  CALL                74762E902    238    11400 SH    CALL DEFINED       1   11400      0     0
QUANTA SVCS INC                  PUT                 74762E952    399    19100 SH    PUT  DEFINED       1   19100      0     0
QUANTUM FUEL SYS TECH WORLDW     COM NEW             74765E208     35    51565 SH         DEFINED       1   51565      0     0
QUATERRA RES INC                 COM                 747952109     10    19771 SH         DEFINED       1   19771      0     0
QUEST DIAGNOSTICS INC            CALL                74834L900    446     7300 SH    CALL DEFINED       1    7300      0     0
QUEST SOFTWARE INC               COM                 74834T103    516    22178 SH         DEFINED       1   22178      0     0
QUICKSILVER RESOURCES INC        COM                 74837R104     65    12851 SH         DEFINED       1   12851      0     0
QUICKSILVER RESOURCES INC        CALL                74837R904    103    20500 SH    CALL DEFINED       1   20500      0     0
QUICKSILVER RESOURCES INC        PUT                 74837R954     51    10100 SH    PUT  DEFINED       1   10100      0     0
QUIKSILVER INC                   COM                 74838C106     50    12350 SH         DEFINED       1   12350      0     0
RACKSPACE HOSTING INC            CALL                750086900   2144    37100 SH    CALL DEFINED       1   37100      0     0
RACKSPACE HOSTING INC            PUT                 750086950   2577    44600 SH    PUT  DEFINED       1   44600      0     0
RADIAN GROUP INC                 COM                 750236101     97    22328 SH         DEFINED       1   22328      0     0
RADIOSHACK CORP                  COM                 750438103    305    49111 SH         DEFINED       1   49111      0     0
RADIOSHACK CORP                  CALL                750438903     65    10500 SH    CALL DEFINED       1   10500      0     0
RADIOSHACK CORP                  PUT                 750438953    199    32000 SH    PUT  DEFINED       1   32000      0     0
RALPH LAUREN                     CORP CL A           751212101    918     5267 SH         DEFINED       1    5267      0     0
RALPH LAUREN CORP                CALL                751212901   4114    23600 SH    CALL DEFINED       1   23600      0     0
RALPH LAUREN CORP                PUT                 751212951   4515    25900 SH    PUT  DEFINED       1   25900      0     0
RAMBUS INC DEL                   COM                 750917106    242    37527 SH         DEFINED       1   37527      0     0
RAMBUS INC DEL                   CALL                750917906    466    72300 SH    CALL DEFINED       1   72300      0     0
RAMBUS INC DEL                   PUT                 750917956     70    10800 SH    PUT  DEFINED       1   10800      0     0
RANDGOLD RES LTD                 ADR                 752344309   2493    28339 SH         DEFINED       1   28339      0     0
RANDGOLD RES LTD                 CALL                752344909    686     7800 SH    CALL DEFINED       1    7800      0     0
RANDGOLD RES LTD                 PUT                 752344959   1285    14600 SH    PUT  DEFINED       1   14600      0     0
RARE ELEMENT RES LTD             COM                 75381M102    243    38619 SH         DEFINED       1   38619      0     0
RAYONIER INC                     COM                 754907103    461    10467 SH         DEFINED       1   10467      0     0
RAYTHEON CO                      CALL                755111907   2291    43400 SH    CALL DEFINED       1   43400      0     0
RAYTHEON CO                      PUT                 755111957   2444    46300 SH    PUT  DEFINED       1   46300      0     0
REALTY INCOME CORP               COM                 756109104    206     5324 SH         DEFINED       1    5324      0     0
REALTY INCOME CORP               CALL                756109904    252     6500 SH    CALL DEFINED       1    6500      0     0
REALTY INCOME CORP               PUT                 756109954    515    13300 SH    PUT  DEFINED       1   13300      0     0
RECON TECHNOLOGY LTD             SHS                 G7415M108     27    12876 SH         DEFINED       1   12876      0     0
RED HAT INC                      CALL                756577902   2497    41700 SH    CALL DEFINED       1   41700      0     0
RED HAT INC                      PUT                 756577952   2294    38300 SH    PUT  DEFINED       1   38300      0     0
REGAL BELOIT CORP                COM                 758750103    209     3187 SH         DEFINED       1    3187      0     0
REGENERON PHARMACEUTICALS        CALL                75886F907   1913    16400 SH    CALL DEFINED       1   16400      0     0
REGENERON PHARMACEUTICALS        PUT                 75886F957   1166    10000 SH    PUT  DEFINED       1   10000      0     0
REGIONS FINANCIAL CORP NEW       COM                 7591EP100    369    56055 SH         DEFINED       1   56055      0     0
REGIONS FINANCIAL CORP NEW       CALL                7591EP900   1451   220200 SH    CALL DEFINED       1  220200      0     0
REGIONS FINANCIAL CORP NEW       PUT                 7591EP950    212    32200 SH    PUT  DEFINED       1   32200      0     0
RENT A CTR INC NEW               COM                 76009N100    341     9024 SH         DEFINED       1    9024      0     0






                                                                                        
RENTECH INC                      COM                 760112102     28    13683 SH         DEFINED       1   13683      0     0
REPUBLIC AWYS HLDGS INC          COM                 760276105     59    11974 SH         DEFINED       1   11974      0     0
RESEARCH IN MOTION LTD           CALL                760975902   5358   364500 SH    CALL DEFINED       1  364500      0     0
RESEARCH IN MOTION LTD           PUT                 760975952   8078   549500 SH    PUT  DEFINED       1  549500      0     0
RESOURCE CAP CORP                COM                 76120W302    269    49932 SH         DEFINED       1   49932      0     0
REXAHN PHARMACEUTICALS INC       COM                 761640101      8    14433 SH         DEFINED       1   14433      0     0
REYNOLDS AMERICAN INC            CALL                761713906   1326    32000 SH    CALL DEFINED       1   32000      0     0
REYNOLDS AMERICAN INC            PUT                 761713956   1629    39300 SH    PUT  DEFINED       1   39300      0     0
RF MICRODEVICES INC              COM                 749941100    300    60219 SH         DEFINED       1   60219      0     0
RF MICRODEVICES INC              CALL                749941900     97    19400 SH    CALL DEFINED       1   19400      0     0
RF MICRODEVICES INC              PUT                 749941950    439    88200 SH    PUT  DEFINED       1   88200      0     0
RHINO RESOURCE PARTNERS LP COM   UNIT REPST          76218Y103    210    11343 SH         DEFINED       1   11343      0     0
RICHMONT MINES INC               COM                 76547T106    196    25251 SH         DEFINED       1   25251      0     0
RIGEL PHARMACEUTICALS INC        COM NEW             766559603    109    13513 SH         DEFINED       1   13513      0     0
RIO TINTO PLC                    CALL                767204900   2507    45100 SH    CALL DEFINED       1   45100      0     0
RIO TINTO PLC                    PUT                 767204950   2741    49300 SH    PUT  DEFINED       1   49300      0     0
RITE AID CORP                    COM                 767754104     92    52773 SH         DEFINED       1   52773      0     0
RIVERBED TECHNOLOGY INC          COM                 768573107    508    18114 SH         DEFINED       1   18114      0     0
RIVERBED TECHNOLOGY INC          CALL                768573907   2241    79800 SH    CALL DEFINED       1   79800      0     0
RIVERBED TECHNOLOGY INC          PUT                 768573957   2201    78400 SH    PUT  DEFINED       1   78400      0     0
ROBERT HALF INTL INC             COM                 770323103    778    25679 SH         DEFINED       1   25679      0     0
ROCKWELL AUTOMATION INC          CALL                773903909   1682    21100 SH    CALL DEFINED       1   21100      0     0
ROCKWELL AUTOMATION INC          PUT                 773903959    765     9600 SH    PUT  DEFINED       1    9600      0     0
ROCKWELL COLLINS INC             COM                 774341101    393     6825 SH         DEFINED       1    6825      0     0
ROCKWELL COLLINS INC             CALL                774341901    299     5200 SH    CALL DEFINED       1    5200      0     0
ROCKWELL COLLINS INC             PUT                 774341951    259     4500 SH    PUT  DEFINED       1    4500      0     0
ROCKWOOD HLDGS INC               CALL                774415903    605    11600 SH    CALL DEFINED       1   11600      0     0
ROCKWOOD HLDGS INC               PUT                 774415953    641    12300 SH    PUT  DEFINED       1   12300      0     0
ROSETTA GENOMICS LTD             SHS                 M82183118     41   100032 SH         DEFINED       1  100032      0     0
ROSETTA RESOURCES INC            COM                 777779307    493    10108 SH         DEFINED       1   10108      0     0
ROSETTA RESOURCES INC            PUT                 777779957    205     4200 SH    PUT  DEFINED       1    4200      0     0
ROSS STORES INC                  COM                 778296103   3409    58688 SH         DEFINED       1   58688      0     0
ROSS STORES INC                  CALL                778296903    703    12100 SH    CALL DEFINED       1   12100      0     0
ROSS STORES INC                  PUT                 778296953   3329    57300 SH    PUT  DEFINED       1   57300      0     0
ROUSE PPTYS INC                  CALL                779287901    311    23000 SH    CALL DEFINED       1   23000      0     0
ROUSE PPTYS INC                  PUT                 779287951    452    33400 SH    PUT  DEFINED       1   33400      0     0
ROVI CORP                        COM                 779376102    478    14677 SH         DEFINED       1   14677      0     0
ROYAL BK CDA MONTREAL QUE        CALL                780087902    250     4300 SH    CALL DEFINED       1    4300      0     0
ROYAL BK CDA MONTREAL QUE        PUT                 780087952   3408    58700 SH    PUT  DEFINED       1   58700      0     0
ROYAL CARIBBEAN CRUISES LTD      CALL                V7780T903    739    25100 SH    CALL DEFINED       1   25100      0     0
ROYAL CARIBBEAN CRUISES LTD      PUT                 V7780T953   1086    36900 SH    PUT  DEFINED       1   36900      0     0
ROYAL DUTCH SHELL PLC            SPONS ADR A         780259206    254     3623 SH         DEFINED       1    3623      0     0
ROYAL GOLD INC                   CALL                780287908   4096    62800 SH    CALL DEFINED       1   62800      0     0
ROYAL GOLD INC                   PUT                 780287958   1950    29900 SH    PUT  DEFINED       1   29900      0     0
ROYALE ENERGY INC                COM NEW             78074G200    153    29588 SH         DEFINED       1   29588      0     0
RPC INC                          COM                 749660106    274    25797 SH         DEFINED       1   25797      0     0
RPC INC                          CALL                749660906    110    10400 SH    CALL DEFINED       1   10400      0     0
RUBICON MINERALS CORP            COM                 780911103     46    14064 SH         DEFINED       1   14064      0     0
RUBICON TECHNOLOGY INC           COM                 78112T107    127    12221 SH         DEFINED       1   12221      0     0
RYDER SYS INC                    COM                 783549108    317     5998 SH         DEFINED       1    5998      0     0
RYDEX ETF TRUST                  TOP 50 ETF          78355W205    255     2475 SH         DEFINED       1    2475      0     0
RYLAND GROUP INC                 PUT                 783764953    195    10100 SH    PUT  DEFINED       1   10100      0     0
S & T BANCORP INC                COM                 783859101    215     9928 SH         DEFINED       1    9928      0     0
SAFEWAY INC                      COM NEW             786514208    251    12428 SH         DEFINED       1   12428      0     0
SAFEWAY INC                      CALL                786514908   1405    69500 SH    CALL DEFINED       1   69500      0     0
SAFEWAY INC                      PUT                 786514958   1162    57500 SH    PUT  DEFINED       1   57500      0     0
SAIC INC                         CALL                78390X901    168    12700 SH    CALL DEFINED       1   12700      0     0
SAKS INC                         COM                 79377W108    119    10242 SH         DEFINED       1   10242      0     0
SAKS INC                         CALL                79377W908    144    12400 SH    CALL DEFINED       1   12400      0     0






                                                                                        
SALESFORCE COM INC               COM                 79466L302    567     3672 SH         DEFINED       1    3672      0     0
SALESFORCE COM INC               CALL                79466L902  17166   111100 SH    CALL DEFINED       1  111100      0     0
SALESFORCE COM INC               PUT                 79466L952  15482   100200 SH    PUT  DEFINED       1  100200      0     0
SAMSON OIL & GAS LTD             SPON ADR            796043107     39    15930 SH         DEFINED       1   15930      0     0
SAN JUAN BASIN RTY TR            UNIT BEN INT        798241105    357    18418 SH         DEFINED       1   18418      0     0
SANDERSON FARMS INC              COM                 800013104    226     4267 SH         DEFINED       1    4267      0     0
SANDISK CORP                     COM                 80004C101   1189    23972 SH         DEFINED       1   23972      0     0
SANDISK CORP                     CALL                80004C901   7483   150900 SH    CALL DEFINED       1  150900      0     0
SANDISK CORP                     PUT                 80004C951   7255   146300 SH    PUT  DEFINED       1  146300      0     0
SANDRIDGE ENERGY INC             CALL                80007P907   1320   168600 SH    CALL DEFINED       1  168600      0     0
SANDRIDGE ENERGY INC             PUT                 80007P957    354    45200 SH    PUT  DEFINED       1   45200      0     0
SANOFI AVENTIS                   SPONSORED ADR       80105N105   1435    37022 SH         DEFINED       1   37022      0     0
SANOFI AVENTIS                   CALL                80105N905   1287    33200 SH    CALL DEFINED       1   33200      0     0
SANOFI AVENTIS                   PUT                 80105N955    763    19700 SH    PUT  DEFINED       1   19700      0     0
SAP AG                           SPON ADR            803054204    919    13160 SH         DEFINED       1   13160      0     0
SAP AG                           CALL                803054904   2095    30000 SH    CALL DEFINED       1   30000      0     0
SAP AG                           PUT                 803054954    943    13500 SH    PUT  DEFINED       1   13500      0     0
SARA LEE CORP                    CALL                803111903   2134    99100 SH    CALL DEFINED       1   99100      0     0
SARA LEE CORP                    PUT                 803111953   2831   131500 SH    PUT  DEFINED       1  131500      0     0
SATCON TECHNOLOGY CORP           COM                 803893106     80   220256 SH         DEFINED       1  220256      0     0
SAVIENT PHARMACEUTICALS INC      COM                 80517Q100     73    33639 SH         DEFINED       1   33639      0     0
SBA COMMUNICATIONS CORP          COM                 78388J106   1296    25497 SH         DEFINED       1   25497      0     0
SBA COMMUNICATIONS CORP          PUT                 78388J956    970    19100 SH    PUT  DEFINED       1   19100      0     0
SCANA CORP NEW                   COM                 80589M102    266     5839 SH         DEFINED       1    5839      0     0
SCHEIN HENRY INC                 COM                 806407102   1011    13363 SH         DEFINED       1   13363      0     0
SCHLUMBERGER LTD                 COM                 806857108   2788    39865 SH         DEFINED       1   39865      0     0
SCHLUMBERGER LTD                 CALL                806857908   8203   117300 SH    CALL DEFINED       1  117300      0     0
SCHLUMBERGER LTD                 PUT                 806857958  12126   173400 SH    PUT  DEFINED       1  173400      0     0
SCHNITZER STL INDS               CL A                806882106    792    19854 SH         DEFINED       1   19854      0     0
SCHOLASTIC CORP                  COM                 807066105    641    18183 SH         DEFINED       1   18183      0     0
SCHWAB CHARLES CORP NEW          COM                 808513105    693    48234 SH         DEFINED       1   48234      0     0
SCHWAB CHARLES CORP NEW          CALL                808513905    605    42100 SH    CALL DEFINED       1   42100      0     0
SCHWAB CHARLES CORP NEW          PUT                 808513955   1050    73100 SH    PUT  DEFINED       1   73100      0     0
SCICLONE PHARMACEUTICALS INC     COM                 80862K104    172    27371 SH         DEFINED       1   27371      0     0
SCRIPPS NETWORKS INTERACT IN     CL A COM            811065101    276     5664 SH         DEFINED       1    5664      0     0
SEABOARD CORP                    COM                 811543107    338      173 SH         DEFINED       1     173      0     0
SEACOAST BKG CORP FLA            COM                 811707306     44    25037 SH         DEFINED       1   25037      0     0
SEADRILL LIMITED                 CALL                G7945E905   2307    61500 SH    CALL DEFINED       1   61500      0     0
SEADRILL LIMITED                 PUT                 G7945E955   2528    67400 SH    PUT  DEFINED       1   67400      0     0
SEAGATE TECHNOLOGY PLC           SHS                 G7945M107    819    30390 SH         DEFINED       1   30390      0     0
SEAGATE TECHNOLOGY PLC           CALL                G7945M907   9151   339500 SH    CALL DEFINED       1  339500      0     0
SEAGATE TECHNOLOGY PLC           PUT                 G7945M957   5663   210100 SH    PUT  DEFINED       1  210100      0     0
SEARS HLDGS CORP                 COM                 812350106   1787    26971 SH         DEFINED       1   26971      0     0
SEARS HLDGS CORP                 CALL                812350906    331     5000 SH    CALL DEFINED       1    5000      0     0
SEI INVESTMENTS CO               COM                 784117103    767    37053 SH         DEFINED       1   37053      0     0
SELECT COMFORT CORP              COM                 81616X103    574    17725 SH         DEFINED       1   17725      0     0
SELECT SECTOR SPDR TR            SBI MATERIALS       81369Y100    336     9085 SH         DEFINED       1    9085      0     0
SELECT SECTOR SPDR TR            SBI CONS STPLS      81369Y308    298     8753 SH         DEFINED       1    8753      0     0
SELECT SECTOR SPDR TR            SBI INT-INDS        81369Y704   1195    31942 SH         DEFINED       1   31942      0     0
SELECT SECTOR SPDR TR            SBI INT-UTILS       81369Y886   1408    40177 SH         DEFINED       1   40177      0     0
SELECT SECTOR SPDR TR            CALL                81369Y906   3709    51700 SH    CALL DEFINED       1   51700      0     0
SELECT SECTOR SPDR TR            CALL                81369Y905    665    42100 SH    CALL DEFINED       1   42100      0     0
SELECT SECTOR SPDR TR            CALL                81369Y904    389    10400 SH    CALL DEFINED       1   10400      0     0
SELECT SECTOR SPDR TR            PUT                 81369Y956   3351    46700 SH    PUT  DEFINED       1   46700      0     0
SELECT SECTOR SPDR TR            PUT                 81369Y956    203     5800 SH    PUT  DEFINED       1    5800      0     0
SELECT SECTOR SPDR TR            PUT                 81369Y959    275     7300 SH    PUT  DEFINED       1    7300      0     0
SENIOR HSG PPTYS TR              SH BEN INT          81721M109    258    11711 SH         DEFINED       1   11711      0     0
SEQUENOM INC                     COM NEW             817337405     79    19529 SH         DEFINED       1   19529      0     0
SEVEN ARTS ENTMT INC             COM                 81783N102      2    11624 SH         DEFINED       1   11624      0     0






                                                                                        
SHAW GROUP INC                   CALL                820280905   1624    51200 SH    CALL DEFINED       1   51200      0     0
SHAW GROUP INC                   PUT                 820280955    498    15700 SH    PUT  DEFINED       1   15700      0     0
SHERWIN WILLIAMS CO              COM                 824348106    702     6463 SH         DEFINED       1    6463      0     0
SHERWIN WILLIAMS CO              CALL                824348906    652     6000 SH    CALL DEFINED       1    6000      0     0
SHERWIN WILLIAMS CO              PUT                 824348956    652     6000 SH    PUT  DEFINED       1    6000      0     0
SHIRE PLC                        SPONSORED ADR       82481R106   3871    40867 SH         DEFINED       1   40867      0     0
SHUTTERFLY INC                   CALL                82568P904    269     8600 SH    CALL DEFINED       1    8600      0     0
SIEMENS A G                      SPONSORED ADR       826197501   1412    14007 SH         DEFINED       1   14007      0     0
SIEMENS A G                      CALL                826197901   1956    19400 SH    CALL DEFINED       1   19400      0     0
SIEMENS A G                      PUT                 826197951   1412    14000 SH    PUT  DEFINED       1   14000      0     0
SIFY TECHNOLOGIES LIMITED        SPONSORED ADR       82655M107     48    14583 SH         DEFINED       1   14583      0     0
SIGMA ALDRICH CORP               COM                 826552101    456     6246 SH         DEFINED       1    6246      0     0
SIGNATURE BK NEW YORK N Y        COM                 82669G104    587     9312 SH         DEFINED       1    9312      0     0
SIGNET JEWELERS LIMITED          SHS                 G81276100    402     8512 SH         DEFINED       1    8512      0     0
SILGAN HOLDINGS INC              COM                 827048109    389     8797 SH         DEFINED       1    8797      0     0
SILICON LABORATORIES INC         COM                 826919102    346     8047 SH         DEFINED       1    8047      0     0
SILICON LABORATORIES INC         CALL                826919902    361     8400 SH    CALL DEFINED       1    8400      0     0
SILICON LABORATORIES INC         PUT                 826919952    331     7700 SH    PUT  DEFINED       1    7700      0     0
SILVER STD RES INC               COM                 82823L106    183    12207 SH         DEFINED       1   12207      0     0
SILVER STD RES INC               CALL                82823L906    468    31100 SH    CALL DEFINED       1   31100      0     0
SILVER STD RES INC               PUT                 82823L956    550    36600 SH    PUT  DEFINED       1   36600      0     0
SILVER WHEATON CORP              COM                 828336107    760    22904 SH         DEFINED       1   22904      0     0
SILVER WHEATON CORP              CALL                828336907   4160   125300 SH    CALL DEFINED       1  125300      0     0
SILVER WHEATON CORP              PUT                 828336957   3323   100100 SH    PUT  DEFINED       1  100100      0     0
SILVERCORP METALS INC            COM                 82835P103    118    17062 SH         DEFINED       1   17062      0     0
SILVERCORP METALS INC            CALL                82835P903    198    28800 SH    CALL DEFINED       1   28800      0     0
SILVERCORP METALS INC            PUT                 82835P953     87    12600 SH    PUT  DEFINED       1   12600      0     0
SIMON PPTY GROUP INC NEW         COM                 828806109    746     5120 SH         DEFINED       1    5120      0     0
SIMON PPTY GROUP INC NEW         CALL                828806909   2273    15600 SH    CALL DEFINED       1   15600      0     0
SIMON PPTY GROUP INC NEW         PUT                 828806959   6221    42700 SH    PUT  DEFINED       1   42700      0     0
SINA CORP                        ORD                 G81477104   3298    50745 SH         DEFINED       1   50745      0     0
SINA CORP                        CALL                G81477904  10771   165700 SH    CALL DEFINED       1  165700      0     0
SINA CORP                        PUT                 G81477954   6715   103300 SH    PUT  DEFINED       1  103300      0     0
SIRIUS XM RADIO INC              COM                 82967N108    717   311625 SH         DEFINED       1  311625      0     0
SIRIUS XM RADIO INC              CALL                82967N908    172    74500 SH    CALL DEFINED       1   74500      0     0
SIRIUS XM RADIO INC              PUT                 82967N958    318   137700 SH    PUT  DEFINED       1  137700      0     0
SKECHERS U S A INC               CALL                830566905    192    15100 SH    CALL DEFINED       1   15100      0     0
SKECHERS U S A INC               PUT                 830566955    223    17500 SH    PUT  DEFINED       1   17500      0     0
SKY-MOBI LTD                     SPONSORED ADS       83084G109     88    25472 SH         DEFINED       1   25472      0     0
SKYWORKS SOLUTIONS INC           COM                 83088M102   1596    57750 SH         DEFINED       1   57750      0     0
SKYWORKS SOLUTIONS INC           CALL                83088M902   1241    44900 SH    CALL DEFINED       1   44900      0     0
SKYWORKS SOLUTIONS INC           PUT                 83088M952   1792    64800 SH    PUT  DEFINED       1   64800      0     0
SL GREEN RLTY CORP               CALL                78440X901    357     4600 SH    CALL DEFINED       1    4600      0     0
SL GREEN RLTY CORP               PUT                 78440X951    465     6000 SH    PUT  DEFINED       1    6000      0     0
SLM CORP                         COM                 78442P106    877    55652 SH         DEFINED       1   55652      0     0
SLM CORP                         CALL                78442P906    258    16400 SH    CALL DEFINED       1   16400      0     0
SLM CORP                         PUT                 78442P956    192    12200 SH    PUT  DEFINED       1   12200      0     0
SM ENERGY CO                     COM                 78454L100    359     5070 SH         DEFINED       1    5070      0     0
SMITH & WESSON HLDG CORP         COM                 831756101    190    24535 SH         DEFINED       1   24535      0     0
SMITH MICRO SOFTWARE INC         COM                 832154108     30    12720 SH         DEFINED       1   12720      0     0
SMITHFIELD FOODS INC             CALL                832248908    672    30500 SH    CALL DEFINED       1   30500      0     0
SMITHFIELD FOODS INC             PUT                 832248958   1137    51600 SH    PUT  DEFINED       1   51600      0     0
SMUCKER J M CO                   CALL                832696905    374     4600 SH    CALL DEFINED       1    4600      0     0
SMUCKER J M CO                   PUT                 832696955   1497    18400 SH    PUT  DEFINED       1   18400      0     0
SODASTREAM INTERNATIONAL LTD USD SHS                 M9068E105    383    11371 SH         DEFINED       1   11371      0     0
SOHU COM INC                     COM                 83408W103    838    15196 SH         DEFINED       1   15196      0     0
SOHU COM INC                     CALL                83408W903   1269    23000 SH    CALL DEFINED       1   23000      0     0
SOHU COM INC                     PUT                 83408W953   3647    66100 SH    PUT  DEFINED       1   66100      0     0
SOLAR CAP LTD                    COM                 83413U100    374    16925 SH         DEFINED       1   16925      0     0






                                                                                        
SOMAXON PHARMACEUTICALS INC      COM                 834453102      9    17161 SH         DEFINED       1   17161      0     0
SONIC CORP                       COM                 835451105    107    13921 SH         DEFINED       1   13921      0     0
SONY CORP                        CALL                835699907    509    24500 SH    CALL DEFINED       1   24500      0     0
SOTHEBYS                         CALL                835898907   1090    27700 SH    CALL DEFINED       1   27700      0     0
SOTHEBYS                         PUT                 835898957    708    18000 SH    PUT  DEFINED       1   18000      0     0
SOURCEFIRE INC                   COM                 83616T108    497    10321 SH         DEFINED       1   10321      0     0
SOUTHERN CO                      CALL                842587907   2017    44900 SH    CALL DEFINED       1   44900      0     0
SOUTHERN CO                      PUT                 842587957   3154    70200 SH    PUT  DEFINED       1   70200      0     0
SOUTHERN COPPER CORP             COM                 84265V105    588    18533 SH         DEFINED       1   18533      0     0
SOUTHERN COPPER CORP             CALL                84265V905   4420   139400 SH    CALL DEFINED       1  139400      0     0
SOUTHERN COPPER CORP             PUT                 84265V955   2039    64300 SH    PUT  DEFINED       1   64300      0     0
SOUTHWEST AIRLS CO               COM                 844741108    518    62823 SH         DEFINED       1   62823      0     0
SOUTHWEST AIRLS CO               CALL                844741908    641    77800 SH    CALL DEFINED       1   77800      0     0
SOUTHWEST AIRLS CO               PUT                 844741958    200    24300 SH    PUT  DEFINED       1   24300      0     0
SOUTHWESTERN ENERGY CO           COM                 845467109    224     7304 SH         DEFINED       1    7304      0     0
SOUTHWESTERN ENERGY CO           CALL                845467909   2457    80300 SH    CALL DEFINED       1   80300      0     0
SOUTHWESTERN ENERGY CO           PUT                 845467959   2457    80300 SH    PUT  DEFINED       1   80300      0     0
SPDR DOW JONES INDL AVRG ETF     CALL                78467X909   3295    25000 SH    CALL DEFINED       1   25000      0     0
SPDR DOW JONES INDL AVRG ETF     PUT                 78467X959   2689    20400 SH    PUT  DEFINED       1   20400      0     0
SPDR GOLD TRUST                  GOLD SHS            78463V107    406     2501 SH         DEFINED       1    2501      0     0
SPDR GOLD TRUST                  CALL                78463V907   8852    54600 SH    CALL DEFINED       1   54600      0     0
SPDR GOLD TRUST                  PUT                 78463V957  10716    66100 SH    PUT  DEFINED       1   66100      0     0
SPDR INDEX SHS FDS               S&P CHINA ETF       78463X400    407     5951 SH         DEFINED       1    5951      0     0
SPDR INDEX SHS FDS               S&P EMKTSC ETF      78463X756    687    14961 SH         DEFINED       1   14961      0     0
SPDR INDEX SHS FDS               MSCI ACWI EXUS      78463X848    246     7838 SH         DEFINED       1    7838      0     0
SPDR S&P MIDCAP 400 ETF TR       UTSER1 S&PDCRP      78467Y107    705     3901 SH         DEFINED       1    3901      0     0
SPDR SERIES TRUST                BRCLYS 1-3MT ETF    78464A680    648    14140 SH         DEFINED       1   14140      0     0
SPDR SERIES TRUST                S&P PHARMAC         78464A722    257     4505 SH         DEFINED       1    4505      0     0
SPDR SERIES TRUST                S&P OILGAS EXP      78464A730    892    15678 SH         DEFINED       1   15678      0     0
SPDR SERIES TRUST                OILGAS EQUIP        78464A748    325     8930 SH         DEFINED       1    8930      0     0
SPDR SERIES TRUST                SPDR KBW BK ETF     78464A797    200     8404 SH         DEFINED       1    8404      0     0
SPDR SERIES TRUST                DJ TTL MKT ETF      78464A805    237     2258 SH         DEFINED       1    2258      0     0
SPDR SERIES TRUST                S&P HOMEBUILD       78464A888    276    12956 SH         DEFINED       1   12956      0     0
SPDR SERIES TRUST                CALL                78464A905    293     5900 SH    CALL DEFINED       1    5900      0     0
SPDR SERIES TRUST                PUT                 78464A958    367    17200 SH    PUT  DEFINED       1   17200      0     0
SPDR SERIES TRUST                PUT                 78464A955    303     6100 SH    PUT  DEFINED       1    6100      0     0
SPDR SERIES TRUST                PUT                 78464A950    973    17100 SH    PUT  DEFINED       1   17100      0     0
SPDR TR                          CALL                78462F903  32935   233900 SH    CALL DEFINED       1  233900      0     0
SPDR TR                          PUT                 78462F953  46749   332000 SH    PUT  DEFINED       1  332000      0     0
SPECTRA ENERGY CORP              COM                 847560109    359    11366 SH         DEFINED       1   11366      0     0
SPECTRA ENERGY CORP              CALL                847560909   2054    65100 SH    CALL DEFINED       1   65100      0     0
SPECTRA ENERGY CORP              PUT                 847560959    565    17900 SH    PUT  DEFINED       1   17900      0     0
SPECTRUM PHARMACEUTICALS INC     COM                 84763A108    325    25767 SH         DEFINED       1   25767      0     0
SPREADTRUM COMMUNICATIONS IN     ADR                 849415203    303    18446 SH         DEFINED       1   18446      0     0
SPRINT NEXTEL CORP               COM SER 1           852061100    161    56467 SH         DEFINED       1   56467      0     0
SPRINT NEXTEL CORP               CALL                852061900    591   207200 SH    CALL DEFINED       1  207200      0     0
SPRINT NEXTEL CORP               PUT                 852061950    616   216000 SH    PUT  DEFINED       1  216000      0     0
SPROTT RESOURCE LENDING CORP     COM                 85207J100     18    11660 SH         DEFINED       1   11660      0     0
SPX CORP                         CALL                784635904    566     7300 SH    CALL DEFINED       1    7300      0     0
SPX CORP                         PUT                 784635954   1923    24800 SH    PUT  DEFINED       1   24800      0     0
ST JOE CO                        CALL                790148900    492    25900 SH    CALL DEFINED       1   25900      0     0
ST JUDE MED INC                  CALL                790849903   1112    25100 SH    CALL DEFINED       1   25100      0     0
ST JUDE MED INC                  PUT                 790849953   2783    62800 SH    PUT  DEFINED       1   62800      0     0
STANDARD PAC CORP NEW            PUT                 85375C951     66    14800 SH    PUT  DEFINED       1   14800      0     0
STANLEY BLACK & DECKER INC       UNIT 99/99/9999     854502309    395     3244 SH         DEFINED       1    3244      0     0
STANLEY BLACK & DECKER INC       CALL                854502901   2116    27500 SH    CALL DEFINED       1   27500      0     0
STANLEY BLACK & DECKER INC       PUT                 854502951   4248    55200 SH    PUT  DEFINED       1   55200      0     0
STAPLES INC                      COM                 855030102    738    45636 SH         DEFINED       1   45636      0     0
STAPLES INC                      CALL                855030902   1808   111700 SH    CALL DEFINED       1  111700      0     0






                                                                                        
STAPLES INC                      PUT                 855030952   1703   105200 SH    PUT  DEFINED       1  105200      0     0
STAR BULK CARRIERS CORP          COM                 Y8162K105     41    45947 SH         DEFINED       1   45947      0     0
STAR SCIENTIFIC INC              COM                 85517P101     45    13841 SH         DEFINED       1   13841      0     0
STARBUCKS CORP                   COM                 855244109    342     6114 SH         DEFINED       1    6114      0     0
STARBUCKS CORP                   CALL                855244909  11005   196900 SH    CALL DEFINED       1  196900      0     0
STARBUCKS CORP                   PUT                 855244959  11849   212000 SH    PUT  DEFINED       1  212000      0     0
STARWOOD HOTELS&RESORTS WRLD     CALL                85590A901   2375    42100 SH    CALL DEFINED       1   42100      0     0
STARWOOD HOTELS&RESORTS WRLD     PUT                 85590A951   2572    45600 SH    PUT  DEFINED       1   45600      0     0
STATE STR CORP                   CALL                857477903   2948    64800 SH    CALL DEFINED       1   64800      0     0
STATE STR CORP                   PUT                 857477953   2011    44200 SH    PUT  DEFINED       1   44200      0     0
STATOILHYDRO ASA                 SPONSORED ADR       85771P102    501    18494 SH         DEFINED       1   18494      0     0
STEC INC                         COM                 784774101    234    24806 SH         DEFINED       1   24806      0     0
STEC INC                         CALL                784774901    322    34100 SH    CALL DEFINED       1   34100      0     0
STEC INC                         PUT                 784774951    662    70100 SH    PUT  DEFINED       1   70100      0     0
STEEL DYNAMICS INC               COM                 858119100    456    31412 SH         DEFINED       1   31412      0     0
STEEL DYNAMICS INC               CALL                858119900    659    45300 SH    CALL DEFINED       1   45300      0     0
STEEL DYNAMICS INC               PUT                 858119950    236    16200 SH    PUT  DEFINED       1   16200      0     0
STEMCELLS INC                    COM NEW             85857R204     64    58081 SH         DEFINED       1   58081      0     0
STEREOTAXIS INC                  COM                 85916J102     50    75816 SH         DEFINED       1   75816      0     0
STERICYCLE INC                   COM                 858912108   2545    30427 SH         DEFINED       1   30427      0     0
STERICYCLE INC                   CALL                858912908    309     3700 SH    CALL DEFINED       1    3700      0     0
STILLWATER MNG CO                CALL                86074Q902    769    60800 SH    CALL DEFINED       1   60800      0     0
STILLWATER MNG CO                PUT                 86074Q952   1441   114000 SH    PUT  DEFINED       1  114000      0     0
STMICROELECTRONICS N V           NY REGISTRY         861012102     98    11953 SH         DEFINED       1   11953      0     0
STRYKER CORP                     CALL                863667901   1087    19600 SH    CALL DEFINED       1   19600      0     0
STRYKER CORP                     PUT                 863667951   4444    80100 SH    PUT  DEFINED       1   80100      0     0
SUNCOKE ENERGY INC               PUT                 86722A953    315    22200 SH    PUT  DEFINED       1   22200      0     0
SUNCOR ENERGY INC NEW            CALL                867224907   1553    47500 SH    CALL DEFINED       1   47500      0     0
SUNCOR ENERGY INC NEW            PUT                 867224957   1615    49400 SH    PUT  DEFINED       1   49400      0     0
SUNOCO INC                       COM                 86764P109    215     5630 SH         DEFINED       1    5630      0     0
SUNRISE SENIOR LIVING INC        COM                 86768K106    101    16040 SH         DEFINED       1   16040      0     0
SUNSTONE HOTEL INVS INC NEW      COM                 867892101    127    13006 SH         DEFINED       1   13006      0     0
SUNTECH PWR HLDGS CO LTD         ADR                 86800C104     33    10821 SH         DEFINED       1   10821      0     0
SUNTRUST BKS INC                 CALL                867914903   1675    69300 SH    CALL DEFINED       1   69300      0     0
SUNTRUST BKS INC                 PUT                 867914953   2777   114900 SH    PUT  DEFINED       1  114900      0     0
SUPERCONDUCTOR TECHNOLOGIES      COM NEW             867931305     21    27427 SH         DEFINED       1   27427      0     0
SUPERIOR ENERGY SVCS INC         CALL                868157908    279    10600 SH    CALL DEFINED       1   10600      0     0
SUPERIOR ENERGY SVCS INC         PUT                 868157958    638    24200 SH    PUT  DEFINED       1   24200      0     0
SUPERVALU INC                    COM                 868536103    642   112355 SH         DEFINED       1  112355      0     0
SUPERVALU INC                    CALL                868536903    351    61500 SH    CALL DEFINED       1   61500      0     0
SUPERVALU INC                    PUT                 868536953    461    80700 SH    PUT  DEFINED       1   80700      0     0
SVB FINL GROUP                   COM                 78486Q101    537     8346 SH         DEFINED       1    8346      0     0
SWEDISH EXPT CR CORP             ROG ARGI ETN22      870297603    137    14966 SH         DEFINED       1   14966      0     0
SWISHER HYGIENE INC              COM                 870808102     33    13293 SH         DEFINED       1   13293      0     0
SWS GROUP INC                    COM                 78503N107     63    10999 SH         DEFINED       1   10999      0     0
SYMANTEC CORP                    CALL                871503908   1315    70300 SH    CALL DEFINED       1   70300      0     0
SYMANTEC CORP                    PUT                 871503958    658    35200 SH    PUT  DEFINED       1   35200      0     0
SYNAPTICS INC                    CALL                87157D909    540    14800 SH    CALL DEFINED       1   14800      0     0
SYNAPTICS INC                    PUT                 87157D959    515    14100 SH    PUT  DEFINED       1   14100      0     0
SYNTHESIS ENERGY SYS INC         COM                 871628103     19    12701 SH         DEFINED       1   12701      0     0
SYNTROLEUM CORP                  COM                 871630109     16    16395 SH         DEFINED       1   16395      0     0
SYSCO CORP                       COM                 871829107    328    10990 SH         DEFINED       1   10990      0     0
SYSCO CORP                       CALL                871829907   3562   119300 SH    CALL DEFINED       1  119300      0     0
SYSCO CORP                       PUT                 871829957   2631    88100 SH    PUT  DEFINED       1   88100      0     0
TAIWAN SEMICONDUCTOR MFG LTD     SPONSORED ADR       874039100    501    32816 SH         DEFINED       1   32816      0     0
TAKE-TWO INTERACTIVE SOFTWAR     PUT                 874054959    195    12700 SH    PUT  DEFINED       1   12700      0     0
TALEO CORP                       CL A                87424N104   1357    29537 SH         DEFINED       1   29537      0     0
TALISMAN ENERGY INC              COM                 87425E103    158    12562 SH         DEFINED       1   12562      0     0
TALISMAN ENERGY INC              CALL                87425E903    266    21100 SH    CALL DEFINED       1   21100      0     0






                                                                                        
TALISMAN ENERGY INC              PUT                 87425E953    416    33000 SH    PUT  DEFINED       1   33000      0     0
TANGER FACTORY OUTLET CTRS I     COM                 875465106    405    13610 SH         DEFINED       1   13610      0     0
TARGA RESOURCES PARTNERS LP      COM UNIT            87611X105    298     7189 SH         DEFINED       1    7189      0     0
TARGACEPT INC                    COM                 87611R306     89    17319 SH         DEFINED       1   17319      0     0
TARGET CORP                      COM                 87612E106    789    13548 SH         DEFINED       1   13548      0     0
TARGET CORP                      CALL                87612E906   4160    71400 SH    CALL DEFINED       1   71400      0     0
TARGET CORP                      PUT                 87612E956   6357   109100 SH    PUT  DEFINED       1  109100      0     0
TASEKO MINES LTD                 COM                 876511106     48    13727 SH         DEFINED       1   13727      0     0
TATA MTRS LTD                    SPONSORED ADR       876568502    397    14703 SH         DEFINED       1   14703      0     0
TATA MTRS LTD                    CALL                876568902   1721    63800 SH    CALL DEFINED       1   63800      0     0
TATA MTRS LTD                    PUT                 876568952   1737    64400 SH    PUT  DEFINED       1   64400      0     0
TC PIPELINES LP                  UT COM LTD PRT      87233Q108    285     6341 SH         DEFINED       1    6341      0     0
TCW STRATEGIC INCOME FUND IN     COM                 872340104     94    18219 SH         DEFINED       1   18219      0     0
TD AMERITRADE HLDG CORP          COM                 87236Y108    855    43299 SH         DEFINED       1   43299      0     0
TD AMERITRADE HLDG CORP          CALL                87236Y908    880    44600 SH    CALL DEFINED       1   44600      0     0
TD AMERITRADE HLDG CORP          PUT                 87236Y958    722    36600 SH    PUT  DEFINED       1   36600      0     0
TEARLAB CORP                     COM                 878193101     43    12779 SH         DEFINED       1   12779      0     0
TECH DATA CORP                   COM                 878237106    403     7430 SH         DEFINED       1    7430      0     0
TECK RESOURCES LTD               CALL                878742904   1095    30700 SH    CALL DEFINED       1   30700      0     0
TECK RESOURCES LTD               PUT                 878742954   1555    43600 SH    PUT  DEFINED       1   43600      0     0
TEEKAY OFFSHORE PARTNERS L P     PARTNERSHIP UN      Y8565J101    223     7701 SH         DEFINED       1    7701      0     0
TELECOMMUNICATION SYS INC        CL A                87929J103     33    11818 SH         DEFINED       1   11818      0     0
TELEFONICA S A                   SPONSORED ADR       879382208    380    23129 SH         DEFINED       1   23129      0     0
TELETECH HOLDINGS INC            COM                 879939106    189    11741 SH         DEFINED       1   11741      0     0
TELLABS INC                      COM                 879664100    370    91349 SH         DEFINED       1   91349      0     0
TELLABS INC                      CALL                879664900    391    96600 SH    CALL DEFINED       1   96600      0     0
TELLABS INC                      PUT                 879664950     94    23100 SH    PUT  DEFINED       1   23100      0     0
TELULAR CORP                     COM NEW             87970T208     89    10500 SH         DEFINED       1   10500      0     0
TEMPLETON GLOBAL INCOME FD       COM                 880198106    219    22649 SH         DEFINED       1   22649      0     0
TEMPUR PEDIC INTL INC            CALL                88023U901   2330    27600 SH    CALL DEFINED       1   27600      0     0
TEMPUR PEDIC INTL INC            PUT                 88023U951   1790    21200 SH    PUT  DEFINED       1   21200      0     0
TENET HEALTHCARE CORP            COM                 88033G100     66    12418 SH         DEFINED       1   12418      0     0
TENGASCO INC                     COM NEW             88033R205     31    27812 SH         DEFINED       1   27812      0     0
TERADATA CORP DEL                COM                 88076W103    530     7774 SH         DEFINED       1    7774      0     0
TERADATA CORP DEL                CALL                88076W903   1847    27100 SH    CALL DEFINED       1   27100      0     0
TERADATA CORP DEL                PUT                 88076W953   2004    29400 SH    PUT  DEFINED       1   29400      0     0
TERADYNE INC                     CALL                880770902    345    20400 SH    CALL DEFINED       1   20400      0     0
TERADYNE INC                     PUT                 880770952    363    21500 SH    PUT  DEFINED       1   21500      0     0
TEREX CORP NEW                   COM                 880779103    650    28889 SH         DEFINED       1   28889      0     0
TEREX CORP NEW                   CALL                880779903   1791    79600 SH    CALL DEFINED       1   79600      0     0
TEREX CORP NEW                   PUT                 880779953   2000    88900 SH    PUT  DEFINED       1   88900      0     0
TESLA MTRS INC                   COM                 88160R101   1232    33101 SH         DEFINED       1   33101      0     0
TESLA MTRS INC                   CALL                88160R901    264     7100 SH    CALL DEFINED       1    7100      0     0
TESLA MTRS INC                   PUT                 88160R951    924    24800 SH    PUT  DEFINED       1   24800      0     0
TESORO CORP                      COM                 881609101    322    11981 SH         DEFINED       1   11981      0     0
TESORO CORP                      CALL                881609901   1181    44000 SH    CALL DEFINED       1   44000      0     0
TESORO CORP                      PUT                 881609951   1066    39700 SH    PUT  DEFINED       1   39700      0     0
TESSERA TECHNOLOGIES INC         CALL                88164L900    469    27200 SH    CALL DEFINED       1   27200      0     0
TESSERA TECHNOLOGIES INC         PUT                 88164L950    311    18000 SH    PUT  DEFINED       1   18000      0     0
TEVA PHARMACEUTICAL INDS LTD     ADR                 881624209   1561    34641 SH         DEFINED       1   34641      0     0
TEVA PHARMACEUTICAL INDS LTD     CALL                881624909   4195    93100 SH    CALL DEFINED       1   93100      0     0
TEVA PHARMACEUTICAL INDS LTD     PUT                 881624959   6390   141800 SH    PUT  DEFINED       1  141800      0     0
TEXAS INSTRS INC                 COM                 882508104   3133    93211 SH         DEFINED       1   93211      0     0
TEXAS INSTRS INC                 CALL                882508904   6638   197500 SH    CALL DEFINED       1  197500      0     0
TEXAS INSTRS INC                 PUT                 882508954   4884   145300 SH    PUT  DEFINED       1  145300      0     0
TEXTRON INC                      CALL                883203901   1316    47300 SH    CALL DEFINED       1   47300      0     0
TEXTRON INC                      PUT                 883203951    423    15200 SH    PUT  DEFINED       1   15200      0     0
TGC INDS INC                     COM NEW             872417308    101    10201 SH         DEFINED       1   10201      0     0
THERMO FISHER SCIENTIFIC INC     COM                 883556102   1456    25826 SH         DEFINED       1   25826      0     0






                                                                                        
THERMO FISHER SCIENTIFIC INC     CALL                883556902    609    10800 SH    CALL DEFINED       1   10800      0     0
THERMO FISHER SCIENTIFIC INC     PUT                 883556952   1099    19500 SH    PUT  DEFINED       1   19500      0     0
THOMAS & BETTS CORP              COM                 884315102    682     9480 SH         DEFINED       1    9480      0     0
THOMSON REUTERS CORP             COM                 884903105    288     9950 SH         DEFINED       1    9950      0     0
THORATEC CORP                    COM NEW             885175307    247     7330 SH         DEFINED       1    7330      0     0
THQ INC                          COM NEW             872443403     87   154714 SH         DEFINED       1  154714      0     0
TIBCO SOFTWARE INC               COM                 88632Q103   1112    36483 SH         DEFINED       1   36483      0     0
TIBCO SOFTWARE INC               CALL                88632Q903   1171    38400 SH    CALL DEFINED       1   38400      0     0
TIBCO SOFTWARE INC               PUT                 88632Q953   1089    35700 SH    PUT  DEFINED       1   35700      0     0
TIBET PHARMACEUTICALS INC        COM                 G88615102     60    43471 SH         DEFINED       1   43471      0     0
TICC CAPITAL CORP                COM                 87244T109    105    10776 SH         DEFINED       1   10776      0     0
TIFFANY & CO NEW                 COM                 886547108   2002    28954 SH         DEFINED       1   28954      0     0
TIFFANY & CO NEW                 CALL                886547908   4452    64400 SH    CALL DEFINED       1   64400      0     0
TIFFANY & CO NEW                 PUT                 886547958   4715    68200 SH    PUT  DEFINED       1   68200      0     0
TIME WARNER CABLE INC            CALL                88732J907    758     9300 SH    CALL DEFINED       1    9300      0     0
TIME WARNER CABLE INC            PUT                 88732J957   1793    22000 SH    PUT  DEFINED       1   22000      0     0
TIME WARNER INC                  COM NEW             887317303    788    20868 SH         DEFINED       1   20868      0     0
TIME WARNER INC                  CALL                887317903   1797    47600 SH    CALL DEFINED       1   47600      0     0
TIME WARNER INC                  PUT                 887317953   1046    27700 SH    PUT  DEFINED       1   27700      0     0
TIMKEN CO                        COM                 887389104    215     4233 SH         DEFINED       1    4233      0     0
TITANIUM METALS CORP             CALL                888339907    519    38300 SH    CALL DEFINED       1   38300      0     0
TITANIUM METALS CORP             PUT                 888339957    342    25200 SH    PUT  DEFINED       1   25200      0     0
TIVO INC                         CALL                888706908    899    75000 SH    CALL DEFINED       1   75000      0     0
TIVO INC                         PUT                 888706958    451    37600 SH    PUT  DEFINED       1   37600      0     0
TJX COS INC NEW                  CALL                872540909   3006    75700 SH    CALL DEFINED       1   75700      0     0
TJX COS INC NEW                  PUT                 872540959   3987   100400 SH    PUT  DEFINED       1  100400      0     0
TOLL BROTHERS INC                CALL                889478903    701    29200 SH    CALL DEFINED       1   29200      0     0
TOLL BROTHERS INC                PUT                 889478953   1418    59100 SH    PUT  DEFINED       1   59100      0     0
TORCHMARK CORP                   COM                 891027104    228     4575 SH         DEFINED       1    4575      0     0
TORM A/S                         SPONSORED ADR       891072100      6    10158 SH         DEFINED       1   10158      0     0
TORO CO                          COM                 891092108    237     3333 SH         DEFINED       1    3333      0     0
TORONTO DOMINION BK ONT          CALL                891160909    765     9000 SH    CALL DEFINED       1    9000      0     0
TORONTO DOMINION BK ONT          PUT                 891160959    866    10200 SH    PUT  DEFINED       1   10200      0     0
TOTAL S A                        SPONSORED ADR       89151E109   2443    47788 SH         DEFINED       1   47788      0     0
TOTAL S A                        CALL                89151E909   1738    34000 SH    CALL DEFINED       1   34000      0     0
TOTAL S A                        PUT                 89151E959   3353    65600 SH    PUT  DEFINED       1   65600      0     0
TOYOTA MOTOR CORP                CALL                892331907   1580    18200 SH    CALL DEFINED       1   18200      0     0
TOYOTA MOTOR CORP                PUT                 892331957    807     9300 SH    PUT  DEFINED       1    9300      0     0
TRACTOR SUPPLY CO                CALL                892356906   1675    18500 SH    CALL DEFINED       1   18500      0     0
TRACTOR SUPPLY CO                PUT                 892356956   2472    27300 SH    PUT  DEFINED       1   27300      0     0
TRANSATLANTIC PETROLEUM LTD      SHS                 G89982105     17    12900 SH         DEFINED       1   12900      0     0
TRANSDIGM GROUP INC              COM                 893641100    301     2602 SH         DEFINED       1    2602      0     0
TRANSOCEAN LTD                   CALL                H8817H900   7374   134800 SH    CALL DEFINED       1  134800      0     0
TRANSOCEAN LTD                   PUT                 H8817H950   6334   115800 SH    PUT  DEFINED       1  115800      0     0
TRAVELCENTERS OF AMERICA LLC     COM                 894174101     68    10660 SH         DEFINED       1   10660      0     0
TRAVELERS COMPANIES INC          CALL                89417E909   2717    45900 SH    CALL DEFINED       1   45900      0     0
TRAVELERS COMPANIES INC          PUT                 89417E959   5577    94200 SH    PUT  DEFINED       1   94200      0     0
TRAVELZOO INC                    COM                 89421Q106    276    11979 SH         DEFINED       1   11979      0     0
TRAVELZOO INC                    PUT                 89421Q956    308    13400 SH    PUT  DEFINED       1   13400      0     0
TRIMBLE NAVIGATION LTD           COM                 896239100   1442    26495 SH         DEFINED       1   26495      0     0
TRINA SOLAR LIMITED              SPON ADR            89628E104     73    10209 SH         DEFINED       1   10209      0     0
TRINA SOLAR LIMITED              CALL                89628E904    220    30900 SH    CALL DEFINED       1   30900      0     0
TRINITY INDS INC                 CALL                896522909    379    11500 SH    CALL DEFINED       1   11500      0     0
TRINITY INDS INC                 PUT                 896522959    412    12500 SH    PUT  DEFINED       1   12500      0     0
TRIQUINT SEMICONDUCTOR INC       COM                 89674K103    535    77717 SH         DEFINED       1   77717      0     0
TRIQUINT SEMICONDUCTOR INC       CALL                89674K903    372    54000 SH    CALL DEFINED       1   54000      0     0
TRIQUINT SEMICONDUCTOR INC       PUT                 89674K953    680    98600 SH    PUT  DEFINED       1   98600      0     0
TRIUMPH GROUP INC NEW            COM                 896818101    467     7449 SH         DEFINED       1    7449      0     0
TRUE RELIGION APPAREL INC        COM                 89784N104    228     8314 SH         DEFINED       1    8314      0     0






                                                                                        
TRW AUTOMOTIVE HLDGS CORP        CALL                87264S906    525    11300 SH    CALL DEFINED       1   11300      0     0
TRW AUTOMOTIVE HLDGS CORP        PUT                 87264S956    618    13300 SH    PUT  DEFINED       1   13300      0     0
TUPPERWARE BRANDS CORP           CALL                899896904    483     7600 SH    CALL DEFINED       1    7600      0     0
TUPPERWARE BRANDS CORP           PUT                 899896954    743    11700 SH    PUT  DEFINED       1   11700      0     0
TW TELECOM INC                   COM                 87311L104    319    14386 SH         DEFINED       1   14386      0     0
TYCO INTERNATIONAL LTD           SHS                 H89128104    453     8063 SH         DEFINED       1    8063      0     0
TYCO INTERNATIONAL LTD           CALL                H89128904    590    10500 SH    CALL DEFINED       1   10500      0     0
TYSON FOODS INC                  CALL                902494903   1130    59000 SH    CALL DEFINED       1   59000      0     0
TYSON FOODS INC                  PUT                 902494953    800    41800 SH    PUT  DEFINED       1   41800      0     0
U S AIRWAYS GROUP INC            CALL                90341W908    428    56400 SH    CALL DEFINED       1   56400      0     0
U S AIRWAYS GROUP INC            PUT                 90341W958    233    30700 SH    PUT  DEFINED       1   30700      0     0
U S G CORP                       COM NEW             903293405    236    13705 SH         DEFINED       1   13705      0     0
U S G CORP                       CALL                903293905    685    39800 SH    CALL DEFINED       1   39800      0     0
U S G CORP                       PUT                 903293955   1004    58400 SH    PUT  DEFINED       1   58400      0     0
U S GEOTHERMAL INC               COM                 90338S102      9    17099 SH         DEFINED       1   17099      0     0
UBS AG                           SHS NEW             H89231338    287    20469 SH         DEFINED       1   20469      0     0
UBS AG                           PUT                 H89231958    554    39500 SH    PUT  DEFINED       1   39500      0     0
ULTRA PETROLEUM CORP             CALL                903914909   1650    72900 SH    CALL DEFINED       1   72900      0     0
ULTRA PETROLEUM CORP             PUT                 903914959   1856    82000 SH    PUT  DEFINED       1   82000      0     0
ULTRAPAR PARTICIPACOES S A       SP ADR REP PFD      90400P101    206     9492 SH         DEFINED       1    9492      0     0
UMB FINL CORP                    COM                 902788108    300     6708 SH         DEFINED       1    6708      0     0
UNDER ARMOUR INC                 CL A                904311107    994    10575 SH         DEFINED       1   10575      0     0
UNDER ARMOUR INC                 CALL                904311907   5161    54900 SH    CALL DEFINED       1   54900      0     0
UNDER ARMOUR INC                 PUT                 904311957   3563    37900 SH    PUT  DEFINED       1   37900      0     0
UNILEVER N V                     N Y SHS NEW         904784709    354    10394 SH         DEFINED       1   10394      0     0
UNILEVER PLC                     SPON ADR NEW        904767704    463    14010 SH         DEFINED       1   14010      0     0
UNION PAC CORP                   COM                 907818108   2652    24674 SH         DEFINED       1   24674      0     0
UNION PAC CORP                   CALL                907818908   5449    50700 SH    CALL DEFINED       1   50700      0     0
UNION PAC CORP                   PUT                 907818958   4740    44100 SH    PUT  DEFINED       1   44100      0     0
UNISYS   CORP                    CALL                909214906    260    13200 SH    CALL DEFINED       1   13200      0     0
UNISYS   CORP                    PUT                 909214956    264    13400 SH    PUT  DEFINED       1   13400      0     0
UNITED BANKSHARES INC WEST V     COM                 909907107    548    18973 SH         DEFINED       1   18973      0     0
UNITED CONTL HLDGS INC           CALL                910047909   3806   177000 SH    CALL DEFINED       1  177000      0     0
UNITED CONTL HLDGS INC           PUT                 910047959   2767   128700 SH    PUT  DEFINED       1  128700      0     0
UNITED NAT FOODS INC             COM                 911163103    322     6897 SH         DEFINED       1    6897      0     0
UNITED PARCEL SERVICE INC        CALL                911312906  19341   239600 SH    CALL DEFINED       1  239600      0     0
UNITED PARCEL SERVICE INC        PUT                 911312956  16757   207600 SH    PUT  DEFINED       1  207600      0     0
UNITED RENTALS INC               CALL                911363909   2453    57200 SH    CALL DEFINED       1   57200      0     0
UNITED RENTALS INC               PUT                 911363959    755    17600 SH    PUT  DEFINED       1   17600      0     0
UNITED STATES NATL GAS FUND      CALL                912318901    290    18200 SH    CALL DEFINED       1   18200      0     0
UNITED STATES NATL GAS FUND      PUT                 912318951    245    15400 SH    PUT  DEFINED       1   15400      0     0
UNITED STATES NATL GAS FUND      UNIT PAR $0.001     912318201    958    60188 SH         DEFINED       1   60188      0     0
UNITED STATES OIL FUND LP        UNITS               91232N108    786    20043 SH         DEFINED       1   20043      0     0
UNITED STATES OIL FUND LP        CALL                91232N908    443    11300 SH    CALL DEFINED       1   11300      0     0
UNITED STATES OIL FUND LP        PUT                 91232N958    608    15500 SH    PUT  DEFINED       1   15500      0     0
UNITED STATES STL CORP NEW       CALL                912909908   5536   188500 SH    CALL DEFINED       1  188500      0     0
UNITED STATES STL CORP NEW       PUT                 912909958   4784   162900 SH    PUT  DEFINED       1  162900      0     0
UNITED STS 12 MONTH NAT GAS      UNIT BEN INT        91288X109    169    10407 SH         DEFINED       1   10407      0     0
UNITED STS 12 MONTH OIL FD L     UNIT BEN INT        91288V103    267     5825 SH         DEFINED       1    5825      0     0
UNITED STS BRENT OIL FD LP       UNIT                91167Q100    279     3238 SH         DEFINED       1    3238      0     0
UNITED STS COMMODITY INDEX F     COMM IDX FND        911717106    210     3434 SH         DEFINED       1    3434      0     0
UNITED STS GASOLINE FD LP        UNITS               91201T102    208     3642 SH         DEFINED       1    3642      0     0
UNITED TECHNOLOGIES CORP         COM                 913017109    361     4356 SH         DEFINED       1    4356      0     0
UNITED TECHNOLOGIES CORP         CALL                913017909   1476    17800 SH    CALL DEFINED       1   17800      0     0
UNITED TECHNOLOGIES CORP         PUT                 913017959   4172    50300 SH    PUT  DEFINED       1   50300      0     0
UNITEDHEALTH GROUP INC           COM                 91324P102    315     5343 SH         DEFINED       1    5343      0     0
UNITEDHEALTH GROUP INC           CALL                91324P902   4220    71600 SH    CALL DEFINED       1   71600      0     0
UNITEDHEALTH GROUP INC           PUT                 91324P952  12802   217200 SH    PUT  DEFINED       1  217200      0     0
UNIVERSAL DISPLAY CORP           PUT                 91347P955    442    12100 SH    PUT  DEFINED       1   12100      0     0






                                                                                        
UQM TECHNOLOGIES INC             COM                 903213106     21    14484 SH         DEFINED       1   14484      0     0
URANERZ ENERGY CORPORATION       COM                 91688T104     39    15530 SH         DEFINED       1   15530      0     0
URANIUM RES INC                  COM PAR $0.001      916901507     35    38206 SH         DEFINED       1   38206      0     0
URBAN OUTFITTERS INC             COM                 917047102   1333    45786 SH         DEFINED       1   45786      0     0
URBAN OUTFITTERS INC             CALL                917047902    399    13700 SH    CALL DEFINED       1   13700      0     0
URBAN OUTFITTERS INC             PUT                 917047952   1301    44700 SH    PUT  DEFINED       1   44700      0     0
US BANCORP DEL                   CALL                902973904   6079   191900 SH    CALL DEFINED       1  191900      0     0
US BANCORP DEL                   PUT                 902973954   6932   218800 SH    PUT  DEFINED       1  218800      0     0
USEC INC                         COM                 90333E108     82    77683 SH         DEFINED       1   77683      0     0
USEC INC                         CALL                90333E908     14    13300 SH    CALL DEFINED       1   13300      0     0
USEC INC                         PUT                 90333E958     55    51900 SH    PUT  DEFINED       1   51900      0     0
V F CORP                         COM                 918204108   2447    16760 SH         DEFINED       1   16760      0     0
V F CORP                         CALL                918204908   1051     7200 SH    CALL DEFINED       1    7200      0     0
V F CORP                         PUT                 918204958    321     2200 SH    PUT  DEFINED       1    2200      0     0
VALASSIS COMMUNICATIONS INC      PUT                 918866954    398    17300 SH    PUT  DEFINED       1   17300      0     0
VALEANT PHARMACEUTICALS INTL     CALL                91911K902    811    15100 SH    CALL DEFINED       1   15100      0     0
VALEANT PHARMACEUTICALS INTL     PUT                 91911K952   2652    49400 SH    PUT  DEFINED       1   49400      0     0
VALENCE TECHNOLOGY INC           COM                 918914102     17    21107 SH         DEFINED       1   21107      0     0
VALERO ENERGY CORP NEW           COM                 91913Y100    954    37024 SH         DEFINED       1   37024      0     0
VALERO ENERGY CORP NEW           CALL                91913Y900   3670   142400 SH    CALL DEFINED       1  142400      0     0
VALERO ENERGY CORP NEW           PUT                 91913Y950   3976   154300 SH    PUT  DEFINED       1  154300      0     0
VALSPAR CORP                     COM                 920355104    379     7856 SH         DEFINED       1    7856      0     0
VALUECLICK INC                   COM                 92046N102    547    27687 SH         DEFINED       1   27687      0     0
VALUECLICK INC                   CALL                92046N902    215    10900 SH    CALL DEFINED       1   10900      0     0
VALUECLICK INC                   PUT                 92046N952    211    10700 SH    PUT  DEFINED       1   10700      0     0
VANGUARD BD INDEX FD INC         SHORT TRM BOND      921937827    321     3971 SH         DEFINED       1    3971      0     0
VANGUARD INTL EQUITY INDEX F     EMR MKT ETF         922042858    206     4746 SH         DEFINED       1    4746      0     0
VANGUARD NATURAL RESOURCES L     COM UNIT            92205F106    675    24439 SH         DEFINED       1   24439      0     0
VANGUARD SCOTTSDALE FDS          SHRT-TERM GOV       92206C102   1362    22395 SH         DEFINED       1   22395      0     0
VANGUARD SCOTTSDALE FDS          SHRT-TERM CORP      92206C409    502     6356 SH         DEFINED       1    6356      0     0
VANGUARD SCOTTSDALE FDS          VNG RUS1000GRW      92206C680    362     5340 SH         DEFINED       1    5340      0     0
VANGUARD SCOTTSDALE FDS          MORTG-BACK SEC      92206C771   1730    33325 SH         DEFINED       1   33325      0     0
VANGUARD SCOTTSDALE FDS          LG-TERM COR BD      92206C813  18798   221278 SH         DEFINED       1  221278      0     0
VANGUARD SCOTTSDALE FDS          LONG-TERM GOV       92206C847   1048    14899 SH         DEFINED       1   14899      0     0
VANGUARD SCOTTSDALE FDS          INT-TERM CORP       92206C870   2846    34001 SH         DEFINED       1   34001      0     0
VANGUARD STAR FD                 INTL STK IDXFD      921909768    982    21522 SH         DEFINED       1   21522      0     0
VANGUARD WORLD FDS               INDUSTRIAL ETF      92204A603    268     3861 SH         DEFINED       1    3861      0     0
VANGUARD WORLD FDS               TELCOMM ETF         92204A884    227     3490 SH         DEFINED       1    3490      0     0
VARIAN MED SYS INC               CALL                92220P905    303     4400 SH    CALL DEFINED       1    4400      0     0
VARIAN MED SYS INC               PUT                 92220P955   1303    18900 SH    PUT  DEFINED       1   18900      0     0
VEECO INSTRS INC DEL             COM                 922417100    692    24197 SH         DEFINED       1   24197      0     0
VEECO INSTRS INC DEL             CALL                922417900    297    10400 SH    CALL DEFINED       1   10400      0     0
VEECO INSTRS INC DEL             PUT                 922417950    972    34000 SH    PUT  DEFINED       1   34000      0     0
VELTI PLC ST HELIER              SHS                 G93285107    177    13071 SH         DEFINED       1   13071      0     0
VENTAS INC                       COM                 92276F100    282     4946 SH         DEFINED       1    4946      0     0
VENTAS INC                       CALL                92276F900    651    11400 SH    CALL DEFINED       1   11400      0     0
VENTAS INC                       PUT                 92276F950    822    14400 SH    PUT  DEFINED       1   14400      0     0
VERA BRADLEY INC                 COM                 92335C106    400    13263 SH         DEFINED       1   13263      0     0
VERIFONE HLDGS INC               CALL                92342Y909   4201    81000 SH    CALL DEFINED       1   81000      0     0
VERIFONE HLDGS INC               PUT                 92342Y959   4004    77200 SH    PUT  DEFINED       1   77200      0     0
VERISIGN INC                     COM                 92343E102   1360    35469 SH         DEFINED       1   35469      0     0
VERISIGN INC                     CALL                92343E902    813    21200 SH    CALL DEFINED       1   21200      0     0
VERISIGN INC                     PUT                 92343E952   1032    26900 SH    PUT  DEFINED       1   26900      0     0
VERISK ANALYTICS INC             CL A                92345Y106    339     7228 SH         DEFINED       1    7228      0     0
VERIZON COMMUNICATIONS INC       COM                 92343V104   2374    62095 SH         DEFINED       1   62095      0     0
VERIZON COMMUNICATIONS INC       CALL                92343V904  14294   373900 SH    CALL DEFINED       1  373900      0     0
VERIZON COMMUNICATIONS INC       PUT                 92343V954  17697   462900 SH    PUT  DEFINED       1  462900      0     0
VERMILLION INC                   COM NEW             92407M206     48    24008 SH         DEFINED       1   24008      0     0
VERTEX PHARMACEUTICALS INC       COM                 92532F100   1063    25921 SH         DEFINED       1   25921      0     0






                                                                                        
VERTEX PHARMACEUTICALS INC       CALL                92532F900   1632    39800 SH    CALL DEFINED       1   39800      0     0
VERTEX PHARMACEUTICALS INC       PUT                 92532F950   1370    33400 SH    PUT  DEFINED       1   33400      0     0
VIACOM INC NEW                   CL B                92553P201   3548    74756 SH         DEFINED       1   74756      0     0
VIACOM INC NEW                   CALL                92553P901   2269    47800 SH    CALL DEFINED       1   47800      0     0
VIACOM INC NEW                   PUT                 92553P951   2335    49200 SH    PUT  DEFINED       1   49200      0     0
VICAL INC                        COM                 925602104     39    11629 SH         DEFINED       1   11629      0     0
VIRGIN MEDIA INC                 COM                 92769L101    556    22273 SH         DEFINED       1   22273      0     0
VIRGIN MEDIA INC                 CALL                92769L901    652    26100 SH    CALL DEFINED       1   26100      0     0
VIRGIN MEDIA INC                 PUT                 92769L951    232     9300 SH    PUT  DEFINED       1    9300      0     0
VIRNETX HOLDING CORP             COM                 92823T108    275    11483 SH         DEFINED       1   11483      0     0
VISA INC                         COM CL A            92826C839   1006     8523 SH         DEFINED       1    8523      0     0
VISA INC                         CALL                92826C909   8720    73900 SH    CALL DEFINED       1   73900      0     0
VISA INC                         PUT                 92826C959  10903    92400 SH    PUT  DEFINED       1   92400      0     0
VISHAY INTERTECHNOLOGY INC       CALL                928298908    277    22800 SH    CALL DEFINED       1   22800      0     0
VISTAPRINT N V                   SHS                 N93540107    249     6437 SH         DEFINED       1    6437      0     0
VIVUS INC                        COM                 928551100    268    11987 SH         DEFINED       1   11987      0     0
VMWARE INC                       CALL                928563902   8293    73800 SH    CALL DEFINED       1   73800      0     0
VMWARE INC                       PUT                 928563952   9136    81300 SH    PUT  DEFINED       1   81300      0     0
VODAFONE GROUP PLC NEW           SPONS ADR NEW       92857W209   1057    38221 SH         DEFINED       1   38221      0     0
VODAFONE GROUP PLC NEW           CALL                92857W909   3899   140900 SH    CALL DEFINED       1  140900      0     0
VODAFONE GROUP PLC NEW           PUT                 92857W959   1810    65400 SH    PUT  DEFINED       1   65400      0     0
VONAGE HLDGS CORP                COM                 92886T201     82    37296 SH         DEFINED       1   37296      0     0
VORNADO RLTY TR                  CALL                929042909   1086    12900 SH    CALL DEFINED       1   12900      0     0
VORNADO RLTY TR                  PUT                 929042959   1271    15100 SH    PUT  DEFINED       1   15100      0     0
VOYAGER OIL & GAS INC            COM                 92911K100     35    14329 SH         DEFINED       1   14329      0     0
VULCAN MATLS CO                  CALL                929160909    508    11900 SH    CALL DEFINED       1   11900      0     0
VULCAN MATLS CO                  PUT                 929160959    731    17100 SH    PUT  DEFINED       1   17100      0     0
WAL MART STORES INC              COM                 931142103    210     3435 SH         DEFINED       1    3435      0     0
WAL MART STORES INC              CALL                931142903  15845   258900 SH    CALL DEFINED       1  258900      0     0
WAL MART STORES INC              PUT                 931142953   8856   144700 SH    PUT  DEFINED       1  144700      0     0
WALGREEN CO                      COM                 931422109   1120    33445 SH         DEFINED       1   33445      0     0
WALGREEN CO                      CALL                931422909   7850   234400 SH    CALL DEFINED       1  234400      0     0
WALGREEN CO                      PUT                 931422959   9669   288700 SH    PUT  DEFINED       1  288700      0     0
WARNER CHILCOTT PLC IRELAND      SHS A               G94368100   1290    76761 SH         DEFINED       1   76761      0     0
WASHINGTON POST CO               CL B                939640108    276      740 SH         DEFINED       1     740      0     0
WASTE MGMT INC DEL               COM                 94106L109    460    13167 SH         DEFINED       1   13167      0     0
WASTE MGMT INC DEL               CALL                94106L909   3727   106600 SH    CALL DEFINED       1  106600      0     0
WASTE MGMT INC DEL               PUT                 94106L959   7775   222400 SH    PUT  DEFINED       1  222400      0     0
WATERS CORP                      CALL                941848903    482     5200 SH    CALL DEFINED       1    5200      0     0
WATERS CORP                      PUT                 941848953    473     5100 SH    PUT  DEFINED       1    5100      0     0
WATSON PHARMACEUTICALS INC       COM                 942683103    352     5243 SH         DEFINED       1    5243      0     0
WATSON PHARMACEUTICALS INC       CALL                942683903   2656    39600 SH    CALL DEFINED       1   39600      0     0
WATSON PHARMACEUTICALS INC       PUT                 942683953   1710    25500 SH    PUT  DEFINED       1   25500      0     0
WAVE SYSTEMS CORP                COM NEW             943526301     28    15000 SH         DEFINED       1   15000      0     0
WEATHERFORD INTERNATIONAL LT     REG                 H27013103    643    42617 SH         DEFINED       1   42617      0     0
WEATHERFORD INTERNATIONAL LT     CALL                H27013903   4667   309300 SH    CALL DEFINED       1  309300      0     0
WEATHERFORD INTERNATIONAL LT     PUT                 H27013953   3273   216900 SH    PUT  DEFINED       1  216900      0     0
WEBMD HEALTH CORP                CL A                94770V102    233     9122 SH         DEFINED       1    9122      0     0
WEIGHT WATCHERS INTL INC NEW     COM                 948626106    373     4836 SH         DEFINED       1    4836      0     0
WEIGHT WATCHERS INTL INC NEW     CALL                948626906   1629    21100 SH    CALL DEFINED       1   21100      0     0
WEIGHT WATCHERS INTL INC NEW     PUT                 948626956   3304    42800 SH    PUT  DEFINED       1   42800      0     0
WELLPOINT INC                    COM                 94973V107    332     4495 SH         DEFINED       1    4495      0     0
WELLPOINT INC                    CALL                94973V907   4708    63800 SH    CALL DEFINED       1   63800      0     0
WELLPOINT INC                    PUT                 94973V957   7314    99100 SH    PUT  DEFINED       1   99100      0     0
WELLS FARGO & CO NEW             COM                 949746101    256     7503 SH         DEFINED       1    7503      0     0
WELLS FARGO & CO NEW             PERP PFD CNV A      949746804    623      558 SH         DEFINED       1     558      0     0
WELLS FARGO & CO NEW             CALL                949746901  11833   346600 SH    CALL DEFINED       1  346600      0     0
WELLS FARGO & CO NEW             PUT                 949746951  17838   522500 SH    PUT  DEFINED       1  522500      0     0
WELLS FARGO ADV GLB DIV OPP      COM                 94987C103    134    15736 SH         DEFINED       1   15736      0     0






                                                                                        
WELLS FARGO ADVANTAGE INCOME COM SHS                 94987B105    186    18147 SH         DEFINED       1   18147      0     0
WENDYS CO                        COM                 95058W100    276    55398 SH         DEFINED       1   55398      0     0
WENDYS CO                        CALL                95058W900     63    12600 SH    CALL DEFINED       1   12600      0     0
WENDYS CO                        PUT                 95058W950    154    30700 SH    PUT  DEFINED       1   30700      0     0
WESCO INTL INC                   COM                 95082P105    203     3108 SH         DEFINED       1    3108      0     0
WESTAMERICA BANCORPORATION       COM                 957090103    288     5995 SH         DEFINED       1    5995      0     0
WESTERN ASSET CLYM INFL OPP      COM                 95766R104    241    18829 SH         DEFINED       1   18829      0     0
WESTERN ASSET HIGH INCM FD I     COM                 95766J102    150    14988 SH         DEFINED       1   14988      0     0
WESTERN ASSETT MGD HI INCM F     COM                 95766L107     67    10859 SH         DEFINED       1   10859      0     0
WESTERN DIGITAL CORP             COM                 958102105    233     5640 SH         DEFINED       1    5640      0     0
WESTERN DIGITAL CORP             CALL                958102905   2140    51700 SH    CALL DEFINED       1   51700      0     0
WESTERN DIGITAL CORP             PUT                 958102955    666    16100 SH    PUT  DEFINED       1   16100      0     0
WESTERN GAS PARTNERS LP          COM UNIT LP IN      958254104    200     4341 SH         DEFINED       1    4341      0     0
WESTERN REFNG INC                CALL                959319904    356    18900 SH    CALL DEFINED       1   18900      0     0
WESTERN REFNG INC                PUT                 959319954    634    33700 SH    PUT  DEFINED       1   33700      0     0
WESTERN UN CO                    COM                 959802109    248    14072 SH         DEFINED       1   14072      0     0
WESTERN UN CO                    CALL                959802909    378    21500 SH    CALL DEFINED       1   21500      0     0
WESTERN UN CO                    PUT                 959802959   2006   114000 SH    PUT  DEFINED       1  114000      0     0
WESTPORT INNOVATIONS INC         COM NEW             960908309   1187    28997 SH         DEFINED       1   28997      0     0
WEYERHAEUSER CO                  CALL                962166904    835    38100 SH    CALL DEFINED       1   38100      0     0
WEYERHAEUSER CO                  PUT                 962166954   1591    72600 SH    PUT  DEFINED       1   72600      0     0
WHIRLPOOL CORP                   CALL                963320906   3028    39400 SH    CALL DEFINED       1   39400      0     0
WHIRLPOOL CORP                   PUT                 963320956   2744    35700 SH    PUT  DEFINED       1   35700      0     0
WHITING PETE CORP NEW            CALL                966387902   4165    76700 SH    CALL DEFINED       1   76700      0     0
WHITING PETE CORP NEW            PUT                 966387952   3671    67600 SH    PUT  DEFINED       1   67600      0     0
WHOLE FOODS MKT INC              COM                 966837106    368     4423 SH         DEFINED       1    4423      0     0
WHOLE FOODS MKT INC              CALL                966837906   5217    62700 SH    CALL DEFINED       1   62700      0     0
WHOLE FOODS MKT INC              PUT                 966837956   3994    48000 SH    PUT  DEFINED       1   48000      0     0
WILLBROS GROUP INC DEL           COM                 969203108     37    11277 SH         DEFINED       1   11277      0     0
WILLIAMS COS INC DEL             CALL                969457900    216     7000 SH    CALL DEFINED       1    7000      0     0
WILLIAMS COS INC DEL             PUT                 969457950    431    14000 SH    PUT  DEFINED       1   14000      0     0
WILLIAMS PARTNERS L P            COM UNIT L P        96950F104    825    14574 SH         DEFINED       1   14574      0     0
WILLIAMS PARTNERS L P            CALL                96950F904    277     4900 SH    CALL DEFINED       1    4900      0     0
WILLIAMS PARTNERS L P            PUT                 96950F954    475     8400 SH    PUT  DEFINED       1    8400      0     0
WILLIAMS SONOMA INC              CALL                969904901    656    17500 SH    CALL DEFINED       1   17500      0     0
WILLIAMS SONOMA INC              PUT                 969904951   1196    31900 SH    PUT  DEFINED       1   31900      0     0
WINDSTREAM CORP                  COM                 97381W104    304    26010 SH         DEFINED       1   26010      0     0
WINDSTREAM CORP                  CALL                97381W904    421    36000 SH    CALL DEFINED       1   36000      0     0
WISDOMTREE INVTS INC             COM                 97717P104    110    13176 SH         DEFINED       1   13176      0     0
WISDOMTREE TRUST                 CHINESE YUAN ETF    97717W182    394    15561 SH         DEFINED       1   15561      0     0
WISDOMTREE TRUST                 INTL REAL EST       97717W331    241     9133 SH         DEFINED       1    9133      0     0
WISDOMTREE TRUST                 INDIA ERNGS FD      97717W422    197    10214 SH         DEFINED       1   10214      0     0
WISDOMTREE TRUST                 WRLD EX-US GRWTH    97717W844    253     4989 SH         DEFINED       1    4989      0     0
WPCS INTL INC                    COM NEW             92931L203     25    19899 SH         DEFINED       1   19899      0     0
WYNDHAM WORLDWIDE CORP           CALL                98310W908    851    18300 SH    CALL DEFINED       1   18300      0     0
WYNDHAM WORLDWIDE CORP           PUT                 98310W958   3805    81800 SH    PUT  DEFINED       1   81800      0     0
WYNN RESORTS LTD                 COM                 983134107   1961    15707 SH         DEFINED       1   15707      0     0
WYNN RESORTS LTD                 CALL                983134907   9791    78400 SH    CALL DEFINED       1   78400      0     0
WYNN RESORTS LTD                 PUT                 983134957   8354    66900 SH    PUT  DEFINED       1   66900      0     0
XEROX CORP                       COM                 984121103    399    49358 SH         DEFINED       1   49358      0     0
XEROX CORP                       CALL                984121903    929   115000 SH    CALL DEFINED       1  115000      0     0
XEROX CORP                       PUT                 984121953    362    44800 SH    PUT  DEFINED       1   44800      0     0
XILINX INC                       COM                 983919101   2549    69982 SH         DEFINED       1   69982      0     0
XILINX INC                       CALL                983919901    872    23900 SH    CALL DEFINED       1   23900      0     0
XILINX INC                       PUT                 983919951    810    22200 SH    PUT  DEFINED       1   22200      0     0
XL GROUP PLC                     CALL                G98290902    232    10700 SH    CALL DEFINED       1   10700      0     0
YAHOO INC                        COM                 984332106    204    13434 SH         DEFINED       1   13434      0     0
YAHOO INC                        CALL                984332906   2551   167600 SH    CALL DEFINED       1  167600      0     0
YAHOO INC                        PUT                 984332956   2470   162300 SH    PUT  DEFINED       1  162300      0     0






                                                                                        
YAMANA GOLD INC                  CALL                98462Y900    773    49500 SH    CALL DEFINED       1   49500      0     0
YAMANA GOLD INC                  PUT                 98462Y950    547    35000 SH    PUT  DEFINED       1   35000      0     0
YELP INC                         CL A                985817105    235     8742 SH         DEFINED       1    8742      0     0
YOUKU COM INC                    SPONSORED ADR       98742U100    300    13642 SH         DEFINED       1   13642      0     0
YUM BRANDS INC                   COM                 988498101    639     8980 SH         DEFINED       1    8980      0     0
YUM BRANDS INC                   CALL                988498901   3808    53500 SH    CALL DEFINED       1   53500      0     0
YUM BRANDS INC                   PUT                 988498951   5659    79500 SH    PUT  DEFINED       1   79500      0     0
ZALE CORP NEW                    COM                 988858106     55    17961 SH         DEFINED       1   17961      0     0
ZALICUS INC                      COM                 98887C105     25    20805 SH         DEFINED       1   20805      0     0
ZEBRA TECHNOLOGIES CORP          CL A                989207105    245     5950 SH         DEFINED       1    5950      0     0
ZIMMER HLDGS INC                 CALL                98956P902   1646    25600 SH    CALL DEFINED       1   25600      0     0
ZIMMER HLDGS INC                 PUT                 98956P952    694    10800 SH    PUT  DEFINED       1   10800      0     0
ZIONS BANCORPORATION             COM                 989701107    701    32698 SH         DEFINED       1   32698      0     0
ZIONS BANCORPORATION             CALL                989701907   1629    75900 SH    CALL DEFINED       1   75900      0     0
ZIONS BANCORPORATION             PUT                 989701957   1328    61900 SH    PUT  DEFINED       1   61900      0     0
ZOLL MED CORP                    COM                 989922109   1440    15549 SH         DEFINED       1   15549      0     0
ZUMIEZ INC                       COM                 989817101    249     6887 SH         DEFINED       1    6887      0     0
ZWEIG FD                         COM                 989834106    129    40099 SH         DEFINED       1   40099      0     0
ZYNGA INC                        CL A                98986T108   1859   141452 SH         DEFINED       1  141452      0     0
ZYNGA INC                        CALL                98986T908    402    30600 SH    CALL DEFINED       1   30600      0     0
ZYNGA INC                        PUT                 98986T958   1957   148800 SH    PUT  DEFINED       1  148800      0     0
CONSUMER DISCRETIONARY SELT      COM                 81369Y407  28949   642034 SH         Defined       2  634603         7432
GUGGENHEIM ENHANCED ULTRA-SHOR   COM                 18383M654  25603   513188 SH         Defined       2  507410         5778
ISHARES BARCLAYS 1-3 YEAR TR     COM                 464287457  78855   935187 SH         Defined       2  924812        10375
ISHARES BARCLAYS 7-10 YEAR       COM                 464287440   2676    25906 SH         Defined       2   25906
ISHARES BARCLAYS AGGREGATE       COM                 464287226 208373  1896882 SH         Defined       2 1875613        21269
ISHARES DJ US CNSMER SERVICE     COM                 464287580   1089    13447 SH         Defined       2   13447
ISHARES DJ US CONSMR GOODS       COM                 464287812   1081    14583 SH         Defined       2   14583
ISHARES DJ US INDUSTRIAL SEC     COM                 464287754    262     3673 SH         Defined       2    3673
ISHARES DJ US PHARMA INDEX FUN   COM                 464288836   2669    32128 SH         Defined       2   32128
ISHARES DJ US REAL ESTATE        COM                 464287739    518     8310 SH         Defined       2    8310
ISHARES HIGH DIVIDEND EQUITY F   COM                 46429B663  30583   535135 SH         Defined       2  528811         6324
ISHARES IBOXX H/Y CORP BOND      COM                 464288513  48710   536936 SH         Defined       2  530539         6397
ISHARES IBOXX INV GR CORP BD     COM                 464287242  77482   670087 SH         Defined       2  662338         7749
ISHARES NASDAQ BIOTECH INDX      COM                 464287556   1048     8503 SH         Defined       2    8503
ISHARES S&P GLBL HEALTHCARE      COM                 464287325   1066    17726 SH         Defined       2   17726
PHARMACEUTICAL HOLDRS TRUST      COM                 71712A206   1071    27848 SH         Defined       2   27848
POWERSHARES DB COMMODITY IND     COM                 73935S105  56769  1971148 SH         Defined       2 1947649        23499
POWERSHARES DB PREC METALS F     COM                 73936B200  20015   343127 SH         Defined       2  339011         4116
POWERSHARES DB US DOL IND BU     COM                 73936D107  48806  2227557 SH         Defined       2 2201234        26323
POWERSHARES FIN PFD PORTFOLI     COM                 73935X229    523    29219 SH         Defined       2   29219
PROSHARES SHORT S&P500           COM                 74347R503  93086  2603080 SH         Defined       2 2572261        30819
SPDR GOLD TRUST                  COM                 78463V107    717     4420 SH         Defined       2    4420
SPDR S&P DIVIDEND ETF            COM                 78464A763  54365   959842 SH         Defined       2  948672        11171
SPDR S&P HOMEBUILDERS ETF        COM                 78464A888    542    25392 SH         Defined       2   25392
SPDR S&P PHARMACEUTICALS ETF     COM                 78464A722  51553   902849 SH         Defined       2  891130        11719
UTILITIES SELECT SECTOR SPDR     COM                 81369Y886   1032    29459 SH         Defined       2   29459
VANGUARD EMERGING MARKET ETF     COM                 922042858  24333   559759 SH         Defined       2  553229         6530
VANGUARD EUROPE PACIFIC ETF      COM                 921943858  24982   734114 SH         Defined       2  725613         8501
WISDOMTREE DEFA FUND             COM                 97717W703    225     5014 SH         Defined       2    4828          186
WISDOMTREE EARNINGS 500 FUND     COM                 97717W588    254     5142 SH         Defined       2    4960          182
WISDOMTREE MIDCAP EARNINGS       COM                 97717W570    273     4465 SH         Defined       2    4329          136
WISDOMTREE SMALLCAP EARNINGS     COM                 97717W562    269     4738 SH         Defined       2    4579          159