UNITED STATES
                      SECURITIES AND EXCHANGE COMMISSION
                             Washington D.C. 20549

                                   Form 13F

                              Form 13F Cover Page

Report for Calendar Year or Quarter Ended: June 30, 2009

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:        State Street Corporation
Address:     One Lincoln Street
             Boston, Massachusetts 02111

Form 13F File Number:  28-00399

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 the reporting manager:

Name:        James J. Malerba
Title        Executive Vice President and Corporate Controller
Telephone:   617-664-8697

Signature, Place, and Date of Signing:

     /s/ JAMES J. MALERBA               Boston, Massachusetts  August 10, 2009
-------------------------------         ---------------------  ---------------
          [Signature]                       [City, State]          [Date]

Report Type (Check only one):

[_] 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).)

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



                             Form 13F SUMMARY PAGE

List of Other Managers Reporting for this Manager:
(if there are no entries in this list, omit this section.)

28-00096     Capital Guardian Trust Company
28-10372     Philadelphia International Advisors, L.P.
28-02924     Turner Investment Partners Inc. (Turner Investment Partners)
28-03570     AXA (Alliance Capital Management L.P.)
28-00115     T. Rowe Price Associates, Inc.
28-00694     JP Morgan Chase & Co (JP Morgan Fleming Asset Management Limited)
28-03459     Smith Asset Management Group L.P.
28-04557     Wellington Management Company LLP

Report Summary:

Number of Other Included Managers:            11
Form 13F Information Table Entry Total:       3,869
Form 13F Information Table Value Total:       359,568,212 (thousands)

List of Other Included Managers:

Provide a numbered list of the names(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.]

     Form 13F
     File
No.  Number       Name
---  -----------  ------------------------------------------------------------

1    28-00733     State Street Bank and Trust Company
2    28-11338     SSgA Funds Management, Inc.
3    28-11339     Tuckerman Group, LLC
4    28-11328     Rexiter Capital Management LTD
5    28-11326     State Street Global Advisors LTD
6    28-11327     State Street Global Advisors Ltd.
7    28-11329     State Street Banque, SA
8    28-11330     State Street Global Advisors, Australia
10   28-11332     State Street Global Advisors (Japan) Co., Ltd.
12   28-11331     State Street Global Advisors Asia LTD
13   28-11334     State Street Global Advisors GmbH




                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
1ST SOURCE CORP      COM          33690110      5,999     347,358 SH         DEFINED  1,2,5                      347,358
3COM CORP            COM          88553510     58,954  12,463,757 SH         DEFINED  1,2,5,7,8               12,463,757
3-D SYS CORP DEL     COM NEW      88554D20      1,605     222,610 SH         DEFINED  1,2,6                      222,610
3M CO                COM          88579Y10  3,040,933  50,597,891 SH         DEFINED  1,2,5,6,7,8,10,12,13    50,597,891
3PAR INC             COM          88580F10      4,851     391,244 SH         DEFINED  1,2,6                      391,244
4 KIDS ENTMT INC     COM          35086510         37      17,836 SH         DEFINED  1                           17,836
8X8 INC NEW          COM          28291410         25      41,863 SH         DEFINED  1                           41,863
99 CENTS ONLY STORES COM          65440K10     15,449   1,137,611 SH         DEFINED  1,2,5,6                  1,137,611
A C MOORE ARTS & CRA COM          00086T10         72      19,251 SH         DEFINED  1                           19,251
A D C TELECOMMUNICAT COM NEW      00088630     22,127   2,779,820 SH         DEFINED  1,2,5,6                  2,779,820
A H BELO CORP        COM CL A     00128210         76      77,996 SH         DEFINED  1                           77,996
AAON INC             COM PAR $0   00036020      4,511     226,471 SH         DEFINED  1,2,5,6                    226,471
AAR CORP             COM          00036110     11,190     697,194 SH         DEFINED  1,2,5,6                    697,194
AARONS INC           COM          00253520     51,442   1,725,092 SH         DEFINED  1,2,5,6,10               1,725,092
AASTROM BIOSCIENCES  COM          00253U10         58     137,207 SH         DEFINED  1                          137,207
ABAXIS INC           COM          00256710      6,912     336,509 SH         DEFINED  1,2,6                      336,509
ABB LTD              SPONSORED    00037520        755      47,869 SH         DEFINED  1                           47,869
ABBOTT LABS          COM          00282410  2,409,928  51,231,459 SH         DEFINED  1,2,5,6,7,8,10,12,13    51,231,459
ABERCROMBIE & FITCH  CL A         00289620     91,569   3,606,491 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,606,491
ABINGTON BANCORP INC COM          00350L10      2,628     330,092 SH         DEFINED  1,2                        330,092
ABIOMED INC          COM          00365410      4,031     456,992 SH         DEFINED  1,2,5,6                    456,992
ABM INDS INC         COM          00095710     22,938   1,269,371 SH         DEFINED  1,2,5                    1,269,371
ABOVENET INC         COM          00374N10      6,652      82,138 SH         DEFINED  1,2                         82,138
ABRAXAS PETE CORP    COM          00383010         75      78,618 SH         DEFINED  1,2,5                       78,618
ABRAXIS BIOSCIENCE I COM          00383Y10      2,638      71,579 SH         DEFINED  1,2,5,6,10                  71,579
ACACIA RESH CORP     ACACIA TCH   00388130      3,023     384,152 SH         DEFINED  1,2,5                      384,152
ACADIA PHARMACEUTICA COM          00422510         82      37,560 SH         DEFINED  1                           37,560
ACADIA RLTY TR       COM SH BEN   00423910     19,131   1,466,004 SH         DEFINED  1,2,3,5,8                1,466,004
ACCELRYS INC         COM          00430U10      1,769     299,313 SH         DEFINED  1,2                        299,313
ACCENTURE LTD BERMUD CL A         G1150G11    284,695   8,508,531 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,508,531
ACCESS INTEGRATED TE CL A         00432910         30      30,102 SH         DEFINED  1                           30,102
ACCO BRANDS CORP     COM          00081T10      2,352     833,970 SH         DEFINED  1,2,5                      833,970
ACCURAY INC          COM          00439710      3,645     548,884 SH         DEFINED  1,2,5,6                    548,884
ACE LTD              SHS          H0023R10     80,728   1,825,190 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,825,190
ACETO CORP           COM          00444610      2,227     333,893 SH         DEFINED  1,2                        333,893
ACI WORLDWIDE INC    COM          00449810     14,793   1,059,644 SH         DEFINED  1,2,5,6                  1,059,644
ACME PACKET INC      COM          00476410      4,981     492,186 SH         DEFINED  1,2,5,6                    492,186
ACORDA THERAPEUTICS  COM          00484M10     38,172   1,354,080 SH         DEFINED  1,2,5,6                  1,354,080
ACTEL CORP           COM          00493410      5,684     529,774 SH         DEFINED  1,2,5,6                    529,774
ACTIONS SEMICONDUCTO ADR          00507E10        188      98,253 SH         DEFINED  2                           98,253
ACTIVE POWER INC     COM          00504W10         47      55,230 SH         DEFINED  1                           55,230
ACTIVIDENTITY CORP   COM          00506P10      1,111     439,285 SH         DEFINED  1,2                        439,285
ACTIVISION BLIZZARD  COM          00507V10    133,526  10,572,092 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,572,092
ACTUANT CORP         CL A NEW     00508X20     12,443   1,019,923 SH         DEFINED  1,2,5,6                  1,019,923
ACTUATE CORP         COM          00508B10      3,484     725,925 SH         DEFINED  1,2,5                      725,925
ACUITY BRANDS INC    COM          00508Y10     19,526     696,102 SH         DEFINED  1,2,5,6                    696,102
ACURA PHARMACEUTICAL COM NEW      00509L70        529      88,445 SH         DEFINED  1,2                         88,445
ACXIOM CORP          COM          00512510     23,209   2,628,412 SH         DEFINED  1,2,5,6                  2,628,412
ADAPTEC INC          COM          00651F10      5,354   2,020,514 SH         DEFINED  1,2,5                    2,020,514
ADMINISTAFF INC      COM          00709410     10,329     443,880 SH         DEFINED  1,2,5,6                    443,880
ADOBE SYS INC        COM          00724F10    478,234  16,898,717 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,898,717
ADOLOR CORP          COM          00724X10      1,390     789,915 SH         DEFINED  1,2                        789,915
ADTRAN INC           COM          00738A10     34,585   1,610,855 SH         DEFINED  1,2,5,6,7,8              1,610,855
ADVANCE AMER CASH AD COM          00739W10      3,767     850,236 SH         DEFINED  1,2,5                      850,236





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
ADVANCE AUTO PARTS I COM          00751Y10    136,901   3,299,604 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,299,604
ADVANCED ANALOGIC TE COM          00752J10      2,690     586,026 SH         DEFINED  1,2,5,6                    586,026
ADVANCED BATTERY TEC COM          00752H10      2,767     686,721 SH         DEFINED  1,2                        686,721
ADVANCED ENERGY INDS COM          00797310      4,657     518,046 SH         DEFINED  1,2,5,6                    518,046
ADVANCED MICRO DEVIC NOTE 6.00    007903AL        891   1,900,000 SH         DEFINED  1,2                      1,900,000
ADVANCED MICRO DEVIC NOTE 5.75    007903AN        308     500,000 SH         DEFINED  2                          500,000
ADVANCED MICRO DEVIC COM          00790310     77,856  20,117,777 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,117,777
ADVANCED SEMICONDUCT SPONSORED    00756M40      1,378     464,073 SH         DEFINED  1,6,8                      464,073
ADVANTA CORP         CL B         00794220         24      56,618 SH         DEFINED  1,2                         56,618
ADVENT SOFTWARE INC  COM          00797410     12,800     390,373 SH         DEFINED  1,2,5,6                    390,373
ADVENTRX PHARMACEUTI COM          00764X10          9      63,059 SH         DEFINED  1                           63,059
ADVISORY BRD CO      COM          00762W10      6,153     239,401 SH         DEFINED  1,2,5,6                    239,401
AECOM TECHNOLOGY COR COM          00766T10     59,732   1,866,624 SH         DEFINED  1,2,5,6,7,8,10           1,866,624
AEGON N V            NY REGISTR   00792410        315      51,126 SH         DEFINED  1,2                         51,126
AEP INDS INC         COM          00103110      2,180      82,599 SH         DEFINED  1,2                         82,599
AERCAP HOLDINGS NV   SHS          N0098510        126      17,508 SH         DEFINED  1,5                         17,508
AEROPOSTALE          COM          00786510     69,967   2,041,638 SH         DEFINED  1,2,5,6,10               2,041,638
AEROVIRONMENT INC    COM          00807310      5,873     190,308 SH         DEFINED  1,2,5,6                    190,308
AES CORP             COM          00130H10    315,265  27,154,602 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,154,602
AETNA INC NEW        COM          00817Y10    649,946  25,945,935 SH         DEFINED  1,2,5,6,7,8,10,12,13    25,945,935
AFC ENTERPRISES INC  COM          00104Q10      2,475     366,716 SH         DEFINED  1,2,6,8                    366,716
AFFILIATED COMPUTER  CL A         00819010    156,032   3,512,650 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,512,650
AFFILIATED MANAGERS  COM          00825210     54,685     939,771 SH         DEFINED  1,2,5,6,10                 939,771
AFFYMAX INC          COM          00826A10      3,034     164,611 SH         DEFINED  1,2,6                      164,611
AFFYMETRIX INC       COM          00826T10     11,667   1,967,534 SH         DEFINED  1,2,5,6                  1,967,534
AFLAC INC            COM          00105510    527,797  16,976,413 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,976,413
AGCO CORP            COM          00108410     65,779   2,262,776 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,262,776
AGFEED INDUSTRIES IN COM          00846L10      1,705     287,545 SH         DEFINED  1,2                        287,545
AGILENT TECHNOLOGIES COM          00846U10    224,028  11,030,426 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,030,426
AGILYSYS INC         COM          00847J10      2,230     476,590 SH         DEFINED  1,2,5                      476,590
AGL RES INC          COM          00120410     49,350   1,551,899 SH         DEFINED  1,2,5,6,8,10             1,551,899
AGREE REALTY CORP    COM          00849210      2,662     145,228 SH         DEFINED  1,2,3,8                    145,228
AGRIUM INC           COM          00891610      2,577      64,600 SH         DEFINED  7                           64,600
AIR METHODS CORP     COM PAR $.   00912830      5,453     199,301 SH         DEFINED  1,2,6                      199,301
AIR PRODS & CHEMS IN COM          00915810    460,395   7,127,960 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,127,960
AIR TRANSPORT SERVIC COM          00922R10      1,456     619,578 SH         DEFINED  1,2                        619,578
AIRCASTLE LTD        COM          G0129K10      4,442     604,392 SH         DEFINED  1,2,5                      604,392
AIRGAS INC           COM          00936310     71,852   1,772,805 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,772,805
AIRTRAN HLDGS INC    COM          00949P10     17,100   2,762,469 SH         DEFINED  1,2,5,6                  2,762,469
AIRVANA INC          COM          00950V10      2,244     354,541 SH         DEFINED  1,2,6                      354,541
AK STL HLDG CORP     COM          00154710     95,578   4,980,591 SH         DEFINED  1,2,5,6,8,10,13          4,980,591
AKAMAI TECHNOLOGIES  COM          00971T10    104,527   5,449,790 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,449,790
AKEENA SOLAR INC DE  COM          00972010         19      14,700 SH         DEFINED  1                           14,700
AKORN INC            COM          00972810        875     722,889 SH         DEFINED  1,2,5,6                    722,889
ALAMO GROUP INC      COM          01131110        791      78,360 SH         DEFINED  1,2                         78,360
ALASKA AIR GROUP INC COM          01165910     19,457   1,065,561 SH         DEFINED  1,2,5,7                  1,065,561
ALASKA COMMUNICATION COM          01167P10      4,494     613,993 SH         DEFINED  1,2,5,6                    613,993
ALBANY INTL CORP     CL A         01234810      5,793     509,035 SH         DEFINED  1,2,5                      509,035
ALBANY MOLECULAR RES COM          01242310      5,442     648,580 SH         DEFINED  1,2,5,6                    648,580
ALBEMARLE CORP       COM          01265310     43,501   1,701,237 SH         DEFINED  1,2,5,6,10               1,701,237
ALBERTO CULVER CO NE COM          01307810     43,442   1,708,278 SH         DEFINED  1,2,5,6,8,10,12          1,708,278
ALCATEL-LUCENT       SPONSORED    01390430        709     285,782 SH         DEFINED  1,5,8,12                   285,782
ALCOA INC            NOTE 5.25    013817AT        963     550,000 SH         DEFINED  1,2                        550,000
ALCOA INC            COM          01381710    427,100  41,345,612 SH         DEFINED  1,2,5,6,7,8,10,12,13    41,345,612





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
ALCON INC            COM SHS      H0130110     16,062     138,324 SH         DEFINED  1,2,5,6,8,12               138,324
ALESCO FINL INC      COM          01448510         36      45,924 SH         DEFINED  1                           45,924
ALEXANDER & BALDWIN  COM          01448210     21,550     919,375 SH         DEFINED  1,2,5,6,10                 919,375
ALEXANDERS INC       COM          01475210     18,813      69,782 SH         DEFINED  1,2,3,5,6,8                 69,782
ALEXANDRIA REAL ESTA COM          01527110     49,747   1,389,983 SH         DEFINED  1,2,3,5,6,8,10           1,389,983
ALEXION PHARMACEUTIC COM          01535110     50,935   1,239,001 SH         DEFINED  1,2,5,6,10               1,239,001
ALEXZA PHARMACEUTICA COM          01538410         29      12,300 SH         DEFINED  1                           12,300
ALICO INC            COM          01623010      1,644      54,759 SH         DEFINED  1,2,5                       54,759
ALIGN TECHNOLOGY INC COM          01625510     12,106   1,142,076 SH         DEFINED  1,2,5,6                  1,142,076
ALKERMES INC         COM          01642T10     36,442   3,368,009 SH         DEFINED  1,2,5,6                  3,368,009
ALLEGHANY CORP DEL   COM          01717510     15,947      58,844 SH         DEFINED  1,2,5,8,10                  58,844
ALLEGHENY ENERGY INC COM          01736110    156,879   6,116,149 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,116,149
ALLEGHENY TECHNOLOGI COM          01741R10    141,555   4,052,527 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,052,527
ALLEGIANT TRAVEL CO  COM          01748X10      8,510     214,675 SH         DEFINED  1,2,5,6                    214,675
ALLERGAN INC         COM          01849010    460,833   9,685,438 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,685,438
ALLETE INC           COM NEW      01852230     16,108     560,278 SH         DEFINED  1,2,5                      560,278
ALLIANCE DATA SYSTEM COM          01858110    100,325   2,435,669 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,435,669
ALLIANCE FIBER OPTIC COM          01868010         17      15,571 SH         DEFINED  1                           15,571
ALLIANCE FINANCIAL C COM          01920510      1,366      48,173 SH         DEFINED  1,2                         48,173
ALLIANCE HEALTHCARE  COM NEW      01860620      5,121     698,679 SH         DEFINED  1,2,5,6                    698,679
ALLIANCE HOLDINGS GP COM UNITS    01861G10        296      15,413 SH         DEFINED  1,2                         15,413
ALLIANCE ONE INTL IN COM          01877210      5,836   1,535,903 SH         DEFINED  1,2,5                    1,535,903
ALLIANCE RES PARTNER UT LTD PAR   01877R10        900      27,688 SH         DEFINED  1,2                         27,688
ALLIANCEBERNSTEIN HO UNIT LTD P   01881G10        853      42,483 SH         DEFINED  1,2                         42,483
ALLIANT ENERGY CORP  COM          01880210     70,579   2,701,055 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,701,055
ALLIANT TECHSYSTEMS  COM          01880410     66,100     802,579 SH         DEFINED  1,2,5,6,8,10,12            802,579
ALLIANZ SE           SP ADR 1/1   01880510      1,219     132,409 SH         DEFINED  1,2                        132,409
ALLIED CAP CORP NEW  COM          01903Q10     11,245   3,231,339 SH         DEFINED  1,2,5,6,7,8,12           3,231,339
ALLIED HEALTHCARE IN COM          01923A10        953     439,353 SH         DEFINED  1,2                        439,353
ALLIED IRISH BKS P L SPON ADR O   01922840         99      20,852 SH         DEFINED  1                           20,852
ALLIED NEVADA GOLD C COM          01934410      4,756     590,041 SH         DEFINED  1,2,6                      590,041
ALLIED WRLD ASSUR CO SHS          G0219G20     25,016     612,684 SH         DEFINED  1,2,5,8,10                 612,684
ALLION HEALTHCARE IN COM          01961510      1,312     220,556 SH         DEFINED  1,2,5                      220,556
ALLIS CHALMERS ENERG COM PAR $.   01964550      2,222     961,812 SH         DEFINED  1,2,5                      961,812
ALLOS THERAPEUTICS I COM          01977710      7,464     900,416 SH         DEFINED  1,2,5,6                    900,416
ALLOY INC            NEW COM      01985530         77      14,486 SH         DEFINED  1                           14,486
ALLSCRIPT MISYS HEAL COM          01988P10      9,661     609,120 SH         DEFINED  1,2,5,6,10                 609,120
ALLSTATE CORP        COM          02000210    462,494  18,954,681 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,954,681
ALMOST FAMILY INC    COM          02040910      2,391      90,774 SH         DEFINED  1,2,6                       90,774
ALNYLAM PHARMACEUTIC COM          02043Q10     28,882   1,296,907 SH         DEFINED  1,2,5,6                  1,296,907
ALON USA ENERGY INC  COM          02052010      1,753     169,341 SH         DEFINED  1,2,5,6                    169,341
ALPHA NATURAL RESOUR COM          02076X10     52,012   1,979,920 SH         DEFINED  1,2,5,6,7,10             1,979,920
ALPHATEC HOLDINGS IN COM          02081G10        896     269,744 SH         DEFINED  1,2                        269,744
ALTAIR NANOTECHNOLOG COM          02137310        103     109,119 SH         DEFINED  1,5                        109,119
ALTERA CORP          COM          02144110    158,538   9,732,244 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,732,244
ALTRA HOLDINGS INC   COM          02208R10      4,062     542,353 SH         DEFINED  1,2                        542,353
ALTRIA GROUP INC     COM          02209S10  1,345,107  82,068,745 SH         DEFINED  1,2,5,6,7,8,10,12,13    82,068,745
ALTUS PHARMACEUTICAL COM          02216N10          9      21,650 SH         DEFINED  1                           21,650
ALUMINA LTD          SPONSORED    02220510         99      21,533 SH         DEFINED  1                           21,533
ALVARION LTD         SHS          M0861T10        223      49,811 SH         DEFINED  1,2                         49,811
AMAG PHARMACEUTICALS COM          00163U10     13,695     250,508 SH         DEFINED  1,2,5,6                    250,508
AMAZON COM INC       COM          02313510    879,696  10,515,131 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,515,131
AMB PROPERTY CORP    COM          00163T10    101,210   5,380,665 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   5,380,665
AMBAC FINL GROUP INC COM          02313910      4,823   5,241,901 SH         DEFINED  1,2,5,6                  5,241,901





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
AMBASSADORS GROUP IN COM          02317710      3,578     259,808 SH         DEFINED  1,2,5,6                    259,808
AMCOL INTL CORP      COM          02341W10      8,655     401,073 SH         DEFINED  1,2,5,6                    401,073
AMCORE FINL INC      COM          02391210         43      52,320 SH         DEFINED  1                           52,320
AMDOCS LTD           ORD          G0260210     34,541   1,610,287 SH         DEFINED  1,5,6,8,10,12            1,610,287
AMEDISYS INC         COM          02343610     15,902     481,585 SH         DEFINED  1,2,5,6                    481,585
AMERCO               COM          02358610      5,883     158,361 SH         DEFINED  1,2,5,6                    158,361
AMEREN CORP          COM          02360810    189,766   7,624,171 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,624,171
AMERICA MOVIL SAB DE SPON ADR L   02364W10    162,339   4,192,636 SH         DEFINED  1,2,4,5,6,7,8            4,192,636
AMERICA SVC GROUP IN COM          02364L10      1,477      91,909 SH         DEFINED  1,2,5                       91,909
AMERICAN APPAREL INC COM          02385010      1,477     405,833 SH         DEFINED  1,2,5,6                    405,833
AMERICAN AXLE & MFG  COM          02406110      2,358     685,338 SH         DEFINED  1,2,5,6                    685,338
AMERICAN CAMPUS CMNT COM          02483510     39,566   1,783,871 SH         DEFINED  1,2,3,5,8                1,783,871
AMERICAN CAP LTD     COM          02503Y10     11,195   3,487,667 SH         DEFINED  1,2,5,6,8,10             3,487,667
AMERICAN CAPITAL AGE COM          02503X10      3,614     157,335 SH         DEFINED  1,2                        157,335
AMERICAN CARESOURCE  COM          02505A10        238      63,588 SH         DEFINED  1,2                         63,588
AMERICAN COMMERCIAL  COM PAR $0   02519540      2,272     146,779 SH         DEFINED  1,2,5,6                    146,779
AMERICAN DAIRY INC   COM          02533410      4,270     107,665 SH         DEFINED  1,2,6                      107,665
AMERICAN DENTAL PART COM          02535310      1,186     130,733 SH         DEFINED  1,2                        130,733
AMERICAN EAGLE OUTFI COM          02553E10     78,248   5,522,072 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,522,072
AMERICAN ECOLOGY COR COM NEW      02553340      4,385     244,681 SH         DEFINED  1,2,5,6                    244,681
AMERICAN ELEC PWR IN COM          02553710    520,772  18,026,015 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,026,015
AMERICAN EQTY INVT L COM          02567620      7,743   1,387,679 SH         DEFINED  1,2,5                    1,387,679
AMERICAN EXPRESS CO  COM          02581610  1,077,038  46,344,129 SH         DEFINED  1,2,5,6,7,8,10,12,13    46,344,129
AMERICAN FINL GROUP  COM          02593210     41,243   1,911,145 SH         DEFINED  1,2,5,6,8,10             1,911,145
AMERICAN GREETINGS C CL A         02637510     12,208   1,045,174 SH         DEFINED  1,2,5                    1,045,174
AMERICAN INTL GROUP  COM          02687410    111,240  95,896,763 SH         DEFINED  1,2,5,6,7,8,10,12,13    95,896,763
AMERICAN INTL GROUP  UNIT 99/99   02687411        127      13,350 SH         DEFINED  1                           13,350
AMERICAN ITALIAN PAS CL A         02707010      9,582     328,730 SH         DEFINED  1,2,6                      328,730
AMERICAN MED SYS HLD COM          02744M10     25,130   1,586,469 SH         DEFINED  1,2,5,6                  1,586,469
AMERICAN NATL BANKSH COM          02774510      1,289      66,962 SH         DEFINED  1,2                         66,962
AMERICAN NATL INS CO COM          02859110     12,284     162,531 SH         DEFINED  1,2,5,6,8,10               162,531
AMERICAN OIL & GAS I COM          02872310         41      41,300 SH         DEFINED  1                           41,300
AMERICAN ORIENTAL BI COM          02873110      5,531   1,045,578 SH         DEFINED  1,2,5,6                  1,045,578
AMERICAN PHYSICIANS  COM          02888210      1,701      74,982 SH         DEFINED  1,2                         74,982
AMERICAN PHYSICIANS  COM          02888410      7,209     184,099 SH         DEFINED  1,2                        184,099
AMERICAN PUBLIC EDUC COM          02913V10     10,172     257,186 SH         DEFINED  1,2,5,6                    257,186
AMERICAN RAILCAR IND COM          02916P10      1,541     186,517 SH         DEFINED  1,2,5                      186,517
AMERICAN REPROGRAPHI COM          02926310      5,026     604,141 SH         DEFINED  1,2,5,6                    604,141
AMERICAN RLTY INVS I COM          02917410        125      12,272 SH         DEFINED  1,2                         12,272
AMERICAN SAFETY INS  ORD          G0299510      1,532     112,571 SH         DEFINED  1                          112,571
AMERICAN SCIENCE & E COM          02942910      9,670     139,902 SH         DEFINED  1,2,5,6                    139,902
AMERICAN SOFTWARE IN CL A         02968310      1,870     324,708 SH         DEFINED  1,2                        324,708
AMERICAN STS WTR CO  COM          02989910     21,228     612,830 SH         DEFINED  1,2,5                      612,830
AMERICAN SUPERCONDUC COM          03011110     16,195     616,970 SH         DEFINED  1,2,5,6                    616,970
AMERICAN TECHNOLOGY  COM NEW      03014520         54      28,203 SH         DEFINED  1                           28,203
AMERICAN TOWER CORP  CL A         02991220    395,128  12,531,822 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,531,822
AMERICAN VANGUARD CO COM          03037110      3,391     300,083 SH         DEFINED  1,2                        300,083
AMERICAN WOODMARK CO COM          03050610      6,386     266,651 SH         DEFINED  1,2,5                      266,651
AMERICAN WTR WKS CO  COM          03042010     15,361     803,813 SH         DEFINED  1,2,5,7,8,10               803,813
AMERICANWEST BANCORP COM          03058P10          9      15,968 SH         DEFINED  1                           15,968
AMERICAS CAR MART IN COM          03062T10      2,935     143,148 SH         DEFINED  1,2,5                      143,148
AMERICREDIT CORP     COM          03060R10     41,426   3,057,254 SH         DEFINED  1,2,5,6,10               3,057,254
AMERIGAS PARTNERS L  UNIT L P I   03097510      1,458      43,235 SH         DEFINED  1,2,8                       43,235
AMERIGON INC         COM          03070L30      1,698     278,368 SH         DEFINED  1,2,5                      278,368





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
AMERIGROUP CORP      COM          03073T10     37,184   1,384,867 SH         DEFINED  1,2,5                    1,384,867
AMERIPRISE FINL INC  COM          03076C10    241,041   9,931,661 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,931,661
AMERIS BANCORP       COM          03076K10      1,567     247,890 SH         DEFINED  1,2                        247,890
AMERISAFE INC        COM          03071H10      5,816     373,783 SH         DEFINED  1,2                        373,783
AMERISERV FINL INC   COM          03074A10         19      10,294 SH         DEFINED  1                           10,294
AMERISOURCEBERGEN CO COM          03073E10    182,923  10,311,306 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,311,306
AMERISTAR CASINOS IN COM          03070Q10      8,913     468,366 SH         DEFINED  1,2,5                      468,366
AMERITYRE CORP       COM          03073V10          3      12,400 SH         DEFINED  1                           12,400
AMERON INTL INC      COM          03071010      9,994     149,074 SH         DEFINED  1,2,5                      149,074
AMES NATL CORP       COM          03100110      2,189      89,677 SH         DEFINED  1,2                         89,677
AMETEK INC NEW       COM          03110010     87,500   2,530,360 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,530,360
AMGEN INC            NOTE 0.12    031162AN      3,278   3,450,000 SH         DEFINED  1,2                      3,450,000
AMGEN INC            NOTE 0.37    031162AQ        451     500,000 SH         DEFINED  2                          500,000
AMGEN INC            COM          03116210  1,853,799  35,016,978 SH         DEFINED  1,2,5,6,7,8,10,12,13    35,016,978
AMICAS INC           COM          00171210        841     302,536 SH         DEFINED  1,2                        302,536
AMICUS THERAPEUTICS  COM          03152W10      2,560     223,615 SH         DEFINED  1,2,6                      223,615
AMKOR TECHNOLOGY INC COM          03165210     10,368   2,196,544 SH         DEFINED  1,2,5,6,8                2,196,544
AMN HEALTHCARE SERVI COM          00174410      4,471     700,715 SH         DEFINED  1,2,5,6                    700,715
AMPAL AMERN ISRAEL C CL A         03201510        595     243,855 SH         DEFINED  1,2                        243,855
AMPCO-PITTSBURGH COR COM          03203710      4,308     183,692 SH         DEFINED  1,2,6                      183,692
AMPHENOL CORP NEW    CL A         03209510    168,156   5,314,658 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,314,658
AMR CORP             COM          00176510     13,227   3,290,277 SH         DEFINED  1,2,5,6,8,10             3,290,277
AMREP CORP NEW       COM          03215910        277      25,094 SH         DEFINED  1,2                         25,094
AMSURG CORP          COM          03232P40     12,533     584,570 SH         DEFINED  1,2,5                      584,570
AMTRUST FINANCIAL SE COM          03235930      6,495     569,747 SH         DEFINED  1,2,5,6                    569,747
AMYLIN PHARMACEUTICA COM          03234610     38,790   2,873,298 SH         DEFINED  1,2,5,6,7,8,10           2,873,298
ANADARKO PETE CORP   COM          03251110    809,713  17,839,019 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,839,019
ANADIGICS INC        COM          03251510      4,196   1,001,361 SH         DEFINED  1,2,5,6                  1,001,361
ANADYS PHARMACEUTICA COM          03252Q40         55      29,729 SH         DEFINED  1                           29,729
ANALOG DEVICES INC   COM          03265410    232,691   9,390,284 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,390,284
ANALOGIC CORP        COM PAR $0   03265720      7,929     214,577 SH         DEFINED  1,2,5                      214,577
ANALYSTS INTL CORP   COM          03268110         10      17,048 SH         DEFINED  1                           17,048
ANAREN INC           COM          03274410      3,715     210,138 SH         DEFINED  1,2,6                      210,138
ANCHOR BANCORP WIS I COM          03283910         91      70,025 SH         DEFINED  1                           70,025
ANDERSONS INC        COM          03416410      8,954     299,071 SH         DEFINED  1,2,5                      299,071
ANESIVA INC COM      COM          03460L10          3      10,685 SH         DEFINED  1                           10,685
ANGIODYNAMICS INC    COM          03475V10      5,386     405,864 SH         DEFINED  1,2                        405,864
ANGLOGOLD ASHANTI LT SPONSORED    03512820     28,378     774,722 SH         DEFINED  1,2,6,7                    774,722
ANIKA THERAPEUTICS I COM          03525510         53      11,120 SH         DEFINED  1,5                         11,120
ANIMAL HEALTH INTL I COM          03525N10         21      13,800 SH         DEFINED  1                           13,800
ANIXTER INTL INC     COM          03529010     20,558     546,892 SH         DEFINED  1,2,5,6                    546,892
ANNALY CAP MGMT INC  COM          03571040    163,573  10,804,027 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,804,027
ANNTAYLOR STORES COR COM          03611510     12,344   1,546,855 SH         DEFINED  1,2,5,6                  1,546,855
ANSYS INC            COM          03662Q10     53,595   1,719,991 SH         DEFINED  1,2,5,6,8,10             1,719,991
ANTARES PHARMA INC   COM          03664210         10      11,492 SH         DEFINED  1                           11,492
ANTHRACITE CAP INC   COM          03702310        691   1,114,018 SH         DEFINED  1,2                      1,114,018
ANTIGENICS INC DEL   COM          03703210         86      40,922 SH         DEFINED  1                           40,922
ANWORTH MORTGAGE ASS COM          03734710     15,492   2,148,635 SH         DEFINED  1,2,5                    2,148,635
AON CORP             COM          03738910    559,884  14,784,363 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,784,363
APAC CUSTOMER SERVIC COM          00185E10      1,431     278,901 SH         DEFINED  1,2,6                      278,901
APACHE CORP          COM          03741110    889,618  12,330,116 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,330,116
APARTMENT INVT & MGM CL A         03748R10     55,255   6,243,459 SH         DEFINED  1,2,3,5,6,7,8,10,13      6,243,459
APCO ARGENTINA INC C ORD          03748910        322      16,732 SH         DEFINED  1,2                         16,732
APOGEE ENTERPRISES I COM          03759810     18,180   1,480,485 SH         DEFINED  1,2,5                    1,480,485





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
APOLLO GROUP INC     CL A         03760410    308,960   4,344,202 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,344,202
APOLLO INVT CORP     COM          03761U10     22,479   3,752,714 SH         DEFINED  1,2,5                    3,752,714
APPLE INC            COM          03783310  4,180,804  29,353,397 SH         DEFINED  1,2,5,6,7,8,10,12,13    29,353,397
APPLIED ENERGETICS I COM          03819M10         22      46,638 SH         DEFINED  1                           46,638
APPLIED INDL TECHNOL COM          03820C10     13,725     696,691 SH         DEFINED  1,2,5,6                    696,691
APPLIED MATLS INC    COM          03822210    465,075  42,241,130 SH         DEFINED  1,2,5,6,7,8,10,12,13    42,241,130
APPLIED MICRO CIRCUI COM NEW      03822W40      9,174   1,128,360 SH         DEFINED  1,2,5,6                  1,128,360
APPLIED SIGNAL TECHN COM          03823710      6,786     265,997 SH         DEFINED  1,2,6                      265,997
APPROACH RESOURCES I COM          03834A10        965     139,889 SH         DEFINED  1,2,6                      139,889
APTARGROUP INC       COM          03833610     44,639   1,321,844 SH         DEFINED  1,2,5,6,10               1,321,844
AQUA AMERICA INC     COM          03836W10     57,260   3,198,904 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,198,904
ARACRUZ CELULOSE S A SPON ADR P   03849620        574      38,666 SH         DEFINED  1,2,6                       38,666
ARBITRON INC         COM          03875Q10      6,999     440,439 SH         DEFINED  1,2,5,6                    440,439
ARBOR RLTY TR INC    COM          03892310         52      29,639 SH         DEFINED  1                           29,639
ARCADIA RES INC      COM          03920910         25      41,100 SH         DEFINED  1                           41,100
ARCELORMITTAL SA LUX NOTE 5.00    03938LAK        442     350,000 SH         DEFINED  2                          350,000
ARCH CAP GROUP LTD   ORD          G0450A10     44,733     763,625 SH         DEFINED  1,2,5,6,7,8,10,12,13       763,625
ARCH CHEMICALS INC   COM          03937R10     10,124     411,711 SH         DEFINED  1,2,5                      411,711
ARCH COAL INC        COM          03938010     72,246   4,700,481 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,700,481
ARCHER DANIELS MIDLA NOTE 0.87    039483AW      1,320   1,450,000 SH         DEFINED  1,2                      1,450,000
ARCHER DANIELS MIDLA COM          03948310    627,792  23,451,322 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,451,322
ARCHER DANIELS MIDLA UNIT 99/99   03948320        365      10,000 SH         DEFINED  2                           10,000
ARCSIGHT INC         COM          03966610      4,270     240,312 SH         DEFINED  1,2,6                      240,312
ARCTIC CAT INC       COM          03967010        197      48,648 SH         DEFINED  1                           48,648
ARDEA BIOSCIENCES IN COM          03969P10      2,691     170,995 SH         DEFINED  1,2                        170,995
ARDEN GROUP INC      CL A         03976210      2,568      20,530 SH         DEFINED  1,2,6                       20,530
ARENA PHARMACEUTICAL COM          04004710      6,205   1,243,569 SH         DEFINED  1,2,5,6                  1,243,569
ARENA RESOURCES INC  COM          04004910     23,547     739,298 SH         DEFINED  1,2,5,6                    739,298
ARES CAP CORP        COM          04010L10     13,223   1,640,562 SH         DEFINED  1,2,5                    1,640,562
ARGAN INC            COM          04010E10        869      61,481 SH         DEFINED  1,2                         61,481
ARGO GROUP INTL HLDG COM          G0464B10     13,505     478,574 SH         DEFINED  1,2,5                      478,574
ARGON ST INC         COM          04014910      4,798     233,275 SH         DEFINED  1,2,5                      233,275
ARIAD PHARMACEUTICAL COM          04033A10      1,626   1,016,414 SH         DEFINED  1,2                      1,016,414
ARIBA INC            COM NEW      04033V20     14,790   1,503,052 SH         DEFINED  1,2,5,6                  1,503,052
ARISTOTLE CORP       COM NEW      04044820         54      10,522 SH         DEFINED  1                           10,522
ARKANSAS BEST CORP D COM          04079010     12,305     466,997 SH         DEFINED  1,2,5                      466,997
ARLINGTON ASSET INVT COM          04135610         70     184,349 SH         DEFINED  1                          184,349
ARM HLDGS PLC        SPONSORED    04206810         90      15,064 SH         DEFINED  1                           15,064
ARMSTRONG WORLD INDS COM          04247X10      3,874     234,952 SH         DEFINED  1,2,5,8,10                 234,952
ARQULE INC           COM          04269E10      4,104     668,365 SH         DEFINED  1,2,6                      668,365
ARRAY BIOPHARMA INC  COM          04269X10      2,022     643,796 SH         DEFINED  1,2,6                      643,796
ARRIS GROUP INC      COM          04269Q10     50,959   4,187,263 SH         DEFINED  1,2,5,6,7,8              4,187,263
ARROW ELECTRS INC    COM          04273510     82,025   3,861,800 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,861,800
ARROW FINL CORP      COM          04274410      5,006     185,414 SH         DEFINED  1,2,5                      185,414
ARROWHEAD RESH CORP  COM          04279710          7      16,800 SH         DEFINED  1                           16,800
ART TECHNOLOGY GROUP COM          04289L10      7,985   2,101,334 SH         DEFINED  1,2,5,6                  2,101,334
ARTESIAN RESOURCES C CL A         04311320      1,073      67,326 SH         DEFINED  1,2                         67,326
ARUBA NETWORKS INC   COM          04317610      6,644     760,214 SH         DEFINED  1,2,5,6                    760,214
ARVINMERITOR INC     COM          04335310      5,020   1,143,456 SH         DEFINED  1,2,5                    1,143,456
ARYX THERAPEUTICS IN COM          04338710        704     170,402 SH         DEFINED  1,2                        170,402
ASBURY AUTOMOTIVE GR COM          04343610      6,052     590,974 SH         DEFINED  1,2,5                      590,974
ASCENT MEDIA CORP    COM SER A    04363210      6,073     228,464 SH         DEFINED  1,2,5,6,7                  228,464
ASCENT SOLAR TECHNOL COM          04363510      1,414     180,778 SH         DEFINED  1,2                        180,778
ASHFORD HOSPITALITY  COM SHS      04410310      8,690   3,092,521 SH         DEFINED  1,2,3,5,6,8              3,092,521





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
ASHLAND INC NEW      COM          04420910     52,651   1,877,052 SH         DEFINED  1,2,5,6,8,10,12          1,877,052
ASIAINFO HLDGS INC   COM          04518A10      7,186     417,558 SH         DEFINED  1,2,6                      417,558
ASPECT MED SYS INC   COM          04523510      1,025     173,395 SH         DEFINED  1,2                        173,395
ASPEN INSURANCE HOLD SHS          G0538410     23,273   1,041,764 SH         DEFINED  1,2,5,7,8,10             1,041,764
ASPENBIO PHARMA INC  COM          04534610         39      14,678 SH         DEFINED  1                           14,678
ASSET ACCEP CAP CORP COM          04543P10      1,702     221,377 SH         DEFINED  1,2,5,6                    221,377
ASSISTED LIVING CONC CL A NEW     04544X30      2,246     154,375 SH         DEFINED  1,2,5,6                    154,375
ASSOCIATED BANC CORP COM          04548710     49,838   3,987,009 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,987,009
ASSOCIATED ESTATES R COM          04560410      2,814     472,122 SH         DEFINED  1,2,3,5,8                  472,122
ASSURANT INC         COM          04621X10    106,900   4,437,524 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,437,524
ASSURED GUARANTY LTD COM          G0585R10     11,001     888,629 SH         DEFINED  1,2,5                      888,629
ASTEC INDS INC       COM          04622410      9,362     315,337 SH         DEFINED  1,2,5,6                    315,337
ASTORIA FINL CORP    COM          04626510     19,395   2,260,540 SH         DEFINED  1,2,5,6,8,12             2,260,540
ASTRAZENECA PLC      SPONSORED    04635310      4,816     109,111 SH         DEFINED  1                          109,111
ASTRONICS CORP       COM          04643310        812      78,107 SH         DEFINED  1,2                         78,107
AT&T INC             COM          00206R10  4,984,842 200,678,038 SH         DEFINED  1,2,5,6,7,8,10,12,13   200,678,038
ATC TECHNOLOGY CORP  COM          00211W10      7,569     521,977 SH         DEFINED  1,2,5,6                    521,977
ATHENAHEALTH INC     COM          04685W10     16,668     450,368 SH         DEFINED  1,2,5,6                    450,368
ATHEROS COMMUNICATIO COM          04743P10     17,471     908,044 SH         DEFINED  1,2,5,6                    908,044
ATLANTIC TELE NETWOR COM NEW      04907920      6,043     153,795 SH         DEFINED  1,2                        153,795
ATLAS AIR WORLDWIDE  COM NEW      04916420      8,508     366,884 SH         DEFINED  1,2,5                      366,884
ATLAS AMER INC       COM          04916710      9,843     550,788 SH         DEFINED  1,2,5,6                    550,788
ATLAS ENERGY RESOURC COM          04930310        689      33,713 SH         DEFINED  1,2                         33,713
ATLAS PIPELINE PARTN UNIT L P I   04939210        432      54,251 SH         DEFINED  1,2                         54,251
ATMEL CORP           COM          04951310     38,924  10,435,497 SH         DEFINED  1,2,5,6,10              10,435,497
ATMI INC             COM          00207R10      8,478     545,908 SH         DEFINED  1,2,5,6                    545,908
ATMOS ENERGY CORP    COM          04956010     29,776   1,189,118 SH         DEFINED  1,2,5,6,7,8,10           1,189,118
ATP OIL & GAS CORP   COM          00208J10      4,176     599,949 SH         DEFINED  1,2,5,6                    599,949
ATRION CORP          COM          04990410      2,927      21,827 SH         DEFINED  1,2,6                       21,827
ATS MED INC          COM          00208310      1,725     522,849 SH         DEFINED  1,2,6                      522,849
ATWOOD OCEANICS INC  COM          05009510     28,000   1,124,053 SH         DEFINED  1,2,5,6,10               1,124,053
AU OPTRONICS CORP    SPONSORED    00225510      6,320     652,873 SH         DEFINED  1,2,5,6                    652,873
AUBURN NATL BANCORP  COM          05047310        606      21,246 SH         DEFINED  1,2                         21,246
AUDIOCODES LTD       ORD          M1534210         27      17,733 SH         DEFINED  1,2                         17,733
AUDIOVOX CORP        CL A         05075710      1,657     282,785 SH         DEFINED  1,2,5                      282,785
AUTHENTEC INC        COM          05266010         21      11,500 SH         DEFINED  1                           11,500
AUTHENTIDATE HLDG CO COM          05266610         36      30,017 SH         DEFINED  1                           30,017
AUTOBYTEL INC        COM          05275N10         22      50,400 SH         DEFINED  1                           50,400
AUTODESK INC         COM          05276910    135,303   7,128,716 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,128,716
AUTOLIV INC          COM          05280010     25,255     877,837 SH         DEFINED  1,2,5,6,8,10,12            877,837
AUTOMATIC DATA PROCE COM          05301510    586,066  16,536,865 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,536,865
AUTONATION INC       COM          05329W10     98,667   5,686,856 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,686,856
AUTOZONE INC         COM          05333210    230,502   1,525,389 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,525,389
AUXILIUM PHARMACEUTI COM          05334D10     22,661     722,161 SH         DEFINED  1,2,5,6                    722,161
AVALONBAY CMNTYS INC COM          05348410    222,222   3,972,511 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   3,972,511
AVANIR PHARMACEUTICA CL A NEW     05348P40      1,297     584,458 SH         DEFINED  1,2                        584,458
AVATAR HLDGS INC     COM          05349410      1,649      90,780 SH         DEFINED  1,2,5                       90,780
AVERY DENNISON CORP  COM          05361110    112,595   4,384,541 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,384,541
AVI BIOPHARMA INC    COM          00234610      1,250     790,860 SH         DEFINED  1,2,5                      790,860
AVID TECHNOLOGY INC  COM          05367P10      6,857     511,312 SH         DEFINED  1,2,5,6                    511,312
AVIGEN INC           COM          05369010         23      17,802 SH         DEFINED  1                           17,802
AVIS BUDGET GROUP    COM          05377410     17,797   3,149,951 SH         DEFINED  1,2,5,6,8                3,149,951
AVISTA CORP          COM          05379B10     24,124   1,354,546 SH         DEFINED  1,2,5                    1,354,546
AVNET INC            COM          05380710     89,530   4,257,248 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,257,248





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
AVOCENT CORP         COM          05389310     17,512   1,254,447 SH         DEFINED  1,2,5                    1,254,447
AVON PRODS INC       COM          05430310    351,936  13,651,514 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,651,514
AVX CORP NEW         COM          00244410      8,199     825,701 SH         DEFINED  1,2,5,10                   825,701
AWARE INC MASS       COM          05453N10         39      14,192 SH         DEFINED  1                           14,192
AXA                  SPONSORED    05453610        808      42,636 SH         DEFINED  1                           42,636
AXCELIS TECHNOLOGIES COM          05454010         59     128,342 SH         DEFINED  1                          128,342
AXIS CAPITAL HOLDING SHS          G0692U10     52,907   2,020,878 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,020,878
AXSYS TECHNOLOGIES I COM          05461510      7,877     146,841 SH         DEFINED  1,2,5,6                    146,841
AXT INC              COM          00246W10         41      29,487 SH         DEFINED  1,2                         29,487
AZZ INC              COM          00247410      7,263     211,066 SH         DEFINED  1,2,5,6                    211,066
B & G FOODS INC NEW  CL A         05508R10      3,350     398,330 SH         DEFINED  1,2                        398,330
BADGER METER INC     COM          05652510      9,256     225,766 SH         DEFINED  1,2,5,6                    225,766
BAIDU INC            SPON ADR R   05675210     75,515     250,806 SH         DEFINED  1,2,5,6,7                  250,806
BAKER HUGHES INC     COM          05722410    397,898  10,919,257 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,919,257
BAKER MICHAEL CORP   COM          05714910      4,271     100,819 SH         DEFINED  1,2,6                      100,819
BALCHEM CORP         COM          05766520      6,877     280,451 SH         DEFINED  1,2,6                      280,451
BALDOR ELEC CO       COM          05774110     19,277     810,300 SH         DEFINED  1,2,5                      810,300
BALDWIN & LYONS INC  CL B         05775520      2,791     141,661 SH         DEFINED  1,2,5                      141,661
BALL CORP            COM          05849810    160,061   3,544,315 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,544,315
BALLY TECHNOLOGIES I COM          05874B10     27,714     926,281 SH         DEFINED  1,2,5,6                    926,281
BANCFIRST CORP       COM          05945F10      3,887     112,401 SH         DEFINED  1,2,5                      112,401
BANCO BILBAO VIZCAYA SPONSORED    05946K10      3,321     264,392 SH         DEFINED  1,2,5,8,12                 264,392
BANCO BRADESCO S A   SP ADR PFD   05946030    120,569   8,163,118 SH         DEFINED  1,2,4,6,7                8,163,118
BANCO LATINOAMERICAN CL E         P1699413      6,190     497,950 SH         DEFINED  1,2                        497,950
BANCO MACRO SA       SPON ADR B   05961W10        423      26,101 SH         DEFINED  1,2                         26,101
BANCO SANTANDER CHIL SP ADR REP   05965X10     14,149     303,047 SH         DEFINED  1,2,5,6,7                  303,047
BANCO SANTANDER SA   ADR          05964H10      5,725     473,175 SH         DEFINED  1,2,5,8,12,13              473,175
BANCOLOMBIA S A      SPON ADR P   05968L10     19,661     644,618 SH         DEFINED  1,2,5,6,7,10               644,618
BANCORP INC DEL      COM          05969A10        605     100,887 SH         DEFINED  1,2                        100,887
BANCORP RHODE ISLAND COM          05969010        695      35,264 SH         DEFINED  1,2                         35,264
BANCORPSOUTH INC     COM          05969210     48,169   2,346,282 SH         DEFINED  1,2,5,6,10               2,346,282
BANCTRUST FINANCIAL  COM          05978R10        101      33,851 SH         DEFINED  1                           33,851
BANK HAWAII CORP     COM          06254010     48,268   1,347,153 SH         DEFINED  1,2,5,6,7,10             1,347,153
BANK KY FINL CORP    COM          06289610        713      25,458 SH         DEFINED  1,2                         25,458
BANK MUTUAL CORP NEW COM          06375010      7,109     815,273 SH         DEFINED  1,2,5                      815,273
BANK NOVA SCOTIA HAL COM          06414910      3,592      95,782 SH         DEFINED  1,7                         95,782
BANK OF AMERICA CORP COM          06050510  4,715,490 357,234,081 SH         DEFINED  1,2,5,6,7,8,10,12,13   357,234,081
BANK OF GRANITE CORP COM          06240110         49      16,359 SH         DEFINED  1                           16,359
BANK OF MARIN BANCOR COM          06342510      1,397      51,828 SH         DEFINED  1,2                         51,828
BANK OF NEW YORK MEL COM          06405810  1,301,957  44,420,229 SH         DEFINED  1,2,5,6,7,8,10,12,13    44,420,229
BANK OF THE OZARKS I COM          06390410      6,016     278,125 SH         DEFINED  1,2,5,6                    278,125
BANKFINANCIAL CORP   COM          06643P10      3,163     356,950 SH         DEFINED  1,2                        356,950
BANKRATE INC         COM          06646V10      4,875     193,160 SH         DEFINED  1,2,5,6                    193,160
BANNER CORP          COM          06652V10      1,078     282,288 SH         DEFINED  1,2                        282,288
BAR HBR BANKSHARES   COM          06684910        893      28,953 SH         DEFINED  1,2                         28,953
BARCLAYS BK PLC      IPMS INDIA   06739F29     56,041   1,144,636 SH         DEFINED  4,5                      1,144,636
BARCLAYS PLC         ADR          06738E20      3,862     209,419 SH         DEFINED  1,2                        209,419
BARD C R INC         COM          06738310    230,076   3,090,337 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,090,337
BARE ESCENTUALS INC  COM          06751110      8,634     968,994 SH         DEFINED  1,2,5,6                    968,994
BARNES & NOBLE INC   COM          06777410     34,227   1,659,104 SH         DEFINED  1,2,5,6,8,10             1,659,104
BARNES GROUP INC     COM          06780610     11,421     960,522 SH         DEFINED  1,2,5                      960,522
BARNWELL INDS INC    COM          06822110         42      10,533 SH         DEFINED  1,2                         10,533
BARRETT BILL CORP    COM          06846N10     32,044   1,166,951 SH         DEFINED  1,2,5,6                  1,166,951
BARRETT BUSINESS SER COM          06846310        634      60,396 SH         DEFINED  1,2                         60,396





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
BARRICK GOLD CORP    COM          06790110        993      29,605 SH         DEFINED  1,5                         29,605
BASIC ENERGY SVCS IN COM          06985P10      4,404     644,812 SH         DEFINED  1,2,5                      644,812
BASIN WTR INC        COM          07011T30          5      12,156 SH         DEFINED  1                           12,156
BASSETT FURNITURE IN COM          07020310         81      29,544 SH         DEFINED  1,2                         29,544
BAUER EDDIE HLDGS IN COM          07162510          4      25,800 SH         DEFINED  1                           25,800
BAXTER INTL INC      COM          07181310  1,253,136  23,661,929 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,661,929
BB&T CORP            COM          05493710    537,581  24,457,752 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,457,752
BE AEROSPACE INC     COM          07330210     30,889   2,151,036 SH         DEFINED  1,2,5,6,10               2,151,036
BEACON POWER CORP    COM          07367710         65      84,846 SH         DEFINED  1                           84,846
BEACON ROOFING SUPPL COM          07368510     11,578     800,684 SH         DEFINED  1,2,5,6                    800,684
BEAZER HOMES USA INC COM          07556Q10      1,181     645,564 SH         DEFINED  1,2,6                      645,564
BEBE STORES INC      COM          07557110      2,750     399,663 SH         DEFINED  1,2,5                      399,663
BECKMAN COULTER INC  NOTE 2.50    075811AD        346     350,000 SH         DEFINED  2                          350,000
BECKMAN COULTER INC  COM          07581110     91,982   1,609,765 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,609,765
BECTON DICKINSON & C COM          07588710    949,149  13,310,179 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,310,179
BED BATH & BEYOND IN COM          07589610    273,426   8,891,901 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,891,901
BEL FUSE INC         CL B         07734730      3,067     191,226 SH         DEFINED  1,2,6                      191,226
BELDEN INC           COM          07745410     13,972     836,666 SH         DEFINED  1,2,5,6                    836,666
BELO CORP            COM SER A    08055510      2,909   1,625,266 SH         DEFINED  1,2,5                    1,625,266
BEMIS INC            COM          08143710    102,817   4,080,046 SH         DEFINED  1,2,5,6,8,10,12,13       4,080,046
BENCHMARK ELECTRS IN COM          08160H10     25,943   1,801,593 SH         DEFINED  1,2,5                    1,801,593
BENEFICIAL MUTUAL BA COM          08173R10      4,726     492,243 SH         DEFINED  1,2,5,6                    492,243
BENIHANA INC         CL A         08204720        763     120,674 SH         DEFINED  1,2                        120,674
BERKLEY W R CORP     COM          08442310     78,807   3,670,572 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,670,572
BERKSHIRE HATHAWAY I CL B         08467020    562,791     194,352 SH         DEFINED  1,2,5,6,7,8,10,12,13       194,352
BERKSHIRE HILLS BANC COM          08468010      5,696     274,102 SH         DEFINED  1,2,5                      274,102
BERRY PETE CO        CL A         08578910     13,209     710,570 SH         DEFINED  1,2,5                      710,570
BEST BUY INC         COM          08651610    410,595  12,260,224 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,260,224
BGC PARTNERS INC     CL A         05541T10      2,110     556,725 SH         DEFINED  1,2,5                      556,725
BHP BILLITON LTD     SPONSORED    08860610      4,743      86,664 SH         DEFINED  1,2                         86,664
BHP BILLITON PLC     SPONSORED    05545E20      1,881      41,368 SH         DEFINED  1                           41,368
BIDZ COM INC         COM          08883T20         43      15,200 SH         DEFINED  1                           15,200
BIG 5 SPORTING GOODS COM          08915P10      3,987     360,471 SH         DEFINED  1,2,5                      360,471
BIG LOTS INC         COM          08930210     60,520   2,877,798 SH         DEFINED  1,2,5,6,7,8,10,13        2,877,798
BIGBAND NETWORKS INC COM          08975050      2,758     533,546 SH         DEFINED  1,2,6                      533,546
BIO RAD LABS INC     CL A         09057220     28,541     378,123 SH         DEFINED  1,2,5,6,10                 378,123
BIOANALYTICAL SYS IN COM          09058M10         12      14,300 SH         DEFINED  1                           14,300
BIOCRYST PHARMACEUTI COM          09058V10      1,051     260,771 SH         DEFINED  1,2,5                      260,771
BIODEL INC           COM          09064M10        970     187,925 SH         DEFINED  1,2                        187,925
BIODELIVERY SCIENCES COM          09060J10        554      82,985 SH         DEFINED  1,2                         82,985
BIOGEN IDEC INC      COM          09062X10    510,281  11,301,900 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,301,900
BIOLASE TECHNOLOGY I COM          09091110         62      36,589 SH         DEFINED  1                           36,589
BIOMARIN PHARMACEUTI COM          09061G10     36,710   2,351,670 SH         DEFINED  1,2,5,6,8,10             2,351,670
BIOMED REALTY TRUST  COM          09063H10     31,882   3,116,518 SH         DEFINED  1,2,3,5,8                3,116,518
BIOMIMETIC THERAPEUT COM          09064X10      2,133     230,831 SH         DEFINED  1,2                        230,831
BIONOVO INC          COM          09064310          7      12,100 SH         DEFINED  1                           12,100
BIO-REFERENCE LABS I COM $.01 N   09057G60      5,321     168,324 SH         DEFINED  1,2,6                      168,324
BIOSANTE PHARMACEUTI COM NEW      09065V20         22      10,780 SH         DEFINED  1                           10,780
BIOSCRIP INC         COM          09069N10      3,089     521,861 SH         DEFINED  1,2                        521,861
BIOSPECIFICS TECHNOL COM          09093110        694      29,114 SH         DEFINED  1,2                         29,114
BIOVAIL CORP         COM          09067J10      1,551     115,340 SH         DEFINED  1,2,7,13                   115,340
BJ SVCS CO           COM          05548210    161,406  11,841,980 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,841,980
BJS RESTAURANTS INC  COM          09180C10      4,400     260,826 SH         DEFINED  1,2,5,6                    260,826
BJS WHOLESALE CLUB I COM          05548J10     36,458   1,131,196 SH         DEFINED  1,2,5,6,7,8,10           1,131,196





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
BLACK & DECKER CORP  COM          09179710     55,138   1,923,861 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,923,861
BLACK BOX CORP DEL   COM          09182610     12,793     382,211 SH         DEFINED  1,2,5                      382,211
BLACK HILLS CORP     COM          09211310     45,680   1,986,955 SH         DEFINED  1,2,5                    1,986,955
BLACKBAUD INC        COM          09227Q10     11,348     729,743 SH         DEFINED  1,2,5,6,8                  729,743
BLACKBOARD INC       COM          09193550     13,555     469,680 SH         DEFINED  1,2,5,6                    469,680
BLACKROCK INC        COM          09247X10     45,758     260,851 SH         DEFINED  1,2,5,6,7,8,10,12,13       260,851
BLACKROCK KELSO CAPI COM          09253310      1,304     209,255 SH         DEFINED  1,2,5                      209,255
BLACKSTONE GROUP L P COM UNIT L   09253U10      2,181     206,884 SH         DEFINED  1,2,8                      206,884
BLOCK H & R INC      COM          09367110    188,420  10,935,594 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,935,594
BLOCKBUSTER INC      CL A         09367910        207     313,622 SH         DEFINED  1,2,5                      313,622
BLOCKBUSTER INC      CL B         09367920          7      18,890 SH         DEFINED  1                           18,890
BLOUNT INTL INC NEW  COM          09518010      4,884     567,291 SH         DEFINED  1,2,5,6                    567,291
BLUE COAT SYSTEMS IN COM NEW      09534T50      9,841     594,984 SH         DEFINED  1,2,5,6                    594,984
BLUE DOLPHIN ENERGY  COM NEW      09539520          8      19,649 SH         DEFINED  1,2                         19,649
BLUE NILE INC        COM          09578R10      8,826     205,305 SH         DEFINED  1,2,5,6                    205,305
BLUEGREEN CORP       COM          09623110        540     214,334 SH         DEFINED  1,2                        214,334
BLUELINX HLDGS INC   COM          09624H10        347     115,500 SH         DEFINED  1,2                        115,500
BLYTH INC            COM NEW      09643P20      6,753     205,944 SH         DEFINED  1,2,5                      205,944
BMB MUNAI INC        COM          09656A10        238     214,801 SH         DEFINED  1,7                        214,801
BMC SOFTWARE INC     COM          05592110    233,910   6,922,459 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,922,459
BMP SUNSTONE CORP    COM          05569C10      1,473     310,849 SH         DEFINED  1,2                        310,849
BOARDWALK PIPELINE P UT LTD PAR   09662710        981      43,442 SH         DEFINED  1,2,8                       43,442
BOB EVANS FARMS INC  COM          09676110     23,462     816,348 SH         DEFINED  1,2,5                      816,348
BOEING CO            COM          09702310  1,193,294  28,077,513 SH         DEFINED  1,2,5,6,7,8,10,12,13    28,077,513
BOISE INC            COM          09746Y10        800     465,233 SH         DEFINED  1,2                        465,233
BOK FINL CORP        COM NEW      05561Q20     18,872     500,995 SH         DEFINED  1,2,5,10                   500,995
BOLT TECHNOLOGY CORP COM          09769810      1,223     108,773 SH         DEFINED  1,2                        108,773
BON-TON STORES INC   COM          09776J10      5,161   1,522,501 SH         DEFINED  1                        1,522,501
BOOKS-A-MILLION INC  COM          09857010        533      74,974 SH         DEFINED  1,2                         74,974
BOOTS & COOTS/INTL W COM NEW      09946950      1,134     815,902 SH         DEFINED  1,2                        815,902
BORDERS GROUP INC    COM          09970910      3,351     910,625 SH         DEFINED  1,2,5                      910,625
BORGWARNER INC       COM          09972410     88,212   2,583,069 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,583,069
BORLAND SOFTWARE COR COM          09984910         69      53,493 SH         DEFINED  1                           53,493
BOSTON BEER INC      CL A         10055710      4,195     141,765 SH         DEFINED  1,2,6                      141,765
BOSTON PPTYS LTD PAR NOTE 2.87    10112RAK        657     750,000 SH         DEFINED  1,2                        750,000
BOSTON PRIVATE FINL  COM          10111910     13,979   3,120,243 SH         DEFINED  1,2,5                    3,120,243
BOSTON PROPERTIES IN COM          10112110    317,633   6,658,978 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   6,658,978
BOSTON SCIENTIFIC CO COM          10113710    525,071  51,782,194 SH         DEFINED  1,2,5,6,7,8,10,12,13    51,782,194
BOTTOMLINE TECH DEL  COM          10138810      2,829     313,933 SH         DEFINED  1,2                        313,933
BOVIE MEDICAL CORP   COM          10211F10      1,599     183,547 SH         DEFINED  1,2,5                      183,547
BOWNE & CO INC       COM          10304310      3,053     468,944 SH         DEFINED  1,2,5                      468,944
BOYD GAMING CORP     COM          10330410      9,558   1,124,453 SH         DEFINED  1,2,5,6,10               1,124,453
BP PLC               SPONSORED    05562210  2,153,060  45,156,455 SH         DEFINED  1,2,5                   45,156,455
BP PRUDHOE BAY RTY T UNIT BEN I   05563010      1,607      23,295 SH         DEFINED  1,2                         23,295
BPZ RESOURCES INC    COM          05563910      5,037   1,030,133 SH         DEFINED  1,2,5,6                  1,030,133
BRADY CORP           CL A         10467410     23,982     954,689 SH         DEFINED  1,2,5                      954,689
BRANDYWINE RLTY TR   SH BEN INT   10536820     29,498   3,959,521 SH         DEFINED  1,2,3,5,6,7,8,10         3,959,521
BRASIL TELECOM PARTI SPON ADR P   10553010      1,189      30,956 SH         DEFINED  1,2                         30,956
BRASKEM S A          SP ADR PFD   10553210        239      32,471 SH         DEFINED  1,2,6                       32,471
BRE PROPERTIES INC   CL A         05564E10     39,646   1,668,602 SH         DEFINED  1,2,3,5,6,8,10           1,668,602
BREITBURN ENERGY PAR COM UT LTD   10677610        211      27,482 SH         DEFINED  1,2                         27,482
BRIDGE BANCORP INC   COM          10803510      1,724      63,354 SH         DEFINED  1,2                         63,354
BRIDGEPOINT ED INC   COM          10807M10      2,807     165,138 SH         DEFINED  1,2                        165,138
BRIGGS & STRATTON CO COM          10904310     12,558     941,357 SH         DEFINED  1,2,5,6                    941,357





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
BRIGHAM EXPLORATION  COM          10917810      4,122   1,177,637 SH         DEFINED  1,2,5,6                  1,177,637
BRIGHTPOINT INC      COM NEW      10947340      6,792   1,083,263 SH         DEFINED  1,2,5                    1,083,263
BRINKER INTL INC     COM          10964110     38,435   2,256,880 SH         DEFINED  1,2,5,6,8,10,12          2,256,880
BRINKS CO            COM          10969610     34,721   1,196,032 SH         DEFINED  1,2,5,6,7,10             1,196,032
BRINKS HOME SEC HLDG COM          10969910     26,327     929,960 SH         DEFINED  1,2,5,6,7,10               929,960
BRISTOL MYERS SQUIBB COM          11012210  1,321,105  65,047,032 SH         DEFINED  1,2,5,6,7,8,10,12,13    65,047,032
BRISTOW GROUP INC    COM          11039410     15,685     529,360 SH         DEFINED  1,2,5                      529,360
BRITISH AMERN TOB PL SPONSORED    11044810      1,276      22,872 SH         DEFINED  1                           22,872
BRITISH SKY BROADCAS SPONSORED    11101310        294       9,779 SH         DEFINED  1                            9,779
BROADCOM CORP        CL A         11132010    362,369  14,617,538 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,617,538
BROADPOINT GLEACHER  COM          11134A10      2,225     398,705 SH         DEFINED  1,2                        398,705
BROADRIDGE FINL SOLU COM          11133T10     64,904   3,914,622 SH         DEFINED  1,2,5,6,8,10,12          3,914,622
BROADWIND ENERGY INC COM          11161T10      4,235     374,074 SH         DEFINED  1,2                        374,074
BROCADE COMMUNICATIO COM NEW      11162130     32,750   4,177,253 SH         DEFINED  1,2,5,6,8,10             4,177,253
BRONCO DRILLING CO I COM          11221110      1,529     357,258 SH         DEFINED  1,2,5                      357,258
BROOKDALE SR LIVING  COM          11246310      4,386     450,268 SH         DEFINED  1,2,5,6,10                 450,268
BROOKFIELD ASSET MGM CL A LTD V   11258510      1,225      71,765 SH         DEFINED  1,7                         71,765
BROOKFIELD HOMES COR COM          11272310        654     163,489 SH         DEFINED  1,2                        163,489
BROOKFIELD INFRAST P LP INT UNI   G1625210        331      26,841 SH         DEFINED  1,2,7                       26,841
BROOKFIELD PPTYS COR COM          11290010      4,421     554,723 SH         DEFINED  1,2,3,7                    554,723
BROOKLINE BANCORP IN COM          11373M10     18,732   2,009,902 SH         DEFINED  1,2,5                    2,009,902
BROOKLYN FEDERAL BAN COM          11403910        376      33,426 SH         DEFINED  1,2                         33,426
BROOKS AUTOMATION IN COM          11434010      5,478   1,222,722 SH         DEFINED  1,2,5,6                  1,222,722
BROWN & BROWN INC    COM          11523610     47,576   2,387,148 SH         DEFINED  1,2,5,6,8,10,12          2,387,148
BROWN FORMAN CORP    CL A         11563710        535      11,588 SH         DEFINED  1,2,5                       11,588
BROWN FORMAN CORP    CL B         11563720    134,362   3,126,143 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,126,143
BROWN SHOE INC NEW   COM          11573610      5,463     754,554 SH         DEFINED  1,2,5                      754,554
BRUKER CORP          COM          11679410      7,973     861,001 SH         DEFINED  1,2,5,6                    861,001
BRUNSWICK CORP       COM          11704310      7,979   1,847,094 SH         DEFINED  1,2,5,6,8                1,847,094
BRUSH ENGINEERED MAT COM          11742110      6,445     384,752 SH         DEFINED  1,2,5,6                    384,752
BRYN MAWR BK CORP    COM          11766510      1,872      99,209 SH         DEFINED  1,2                         99,209
BUCKEYE GP HOLDINGS  COM UNITS    11816710        210      10,346 SH         DEFINED  1,2                         10,346
BUCKEYE PARTNERS L P UNIT LTD P   11823010      2,237      52,227 SH         DEFINED  1,2                         52,227
BUCKEYE TECHNOLOGIES COM          11825510      4,846   1,079,327 SH         DEFINED  1,2,5                    1,079,327
BUCKLE INC           COM          11844010     29,880     940,515 SH         DEFINED  1,2,5                      940,515
BUCYRUS INTL INC NEW COM          11875910     43,665   1,528,890 SH         DEFINED  1,2,5,6,10               1,528,890
BUFFALO WILD WINGS I COM          11984810      9,092     279,569 SH         DEFINED  1,2,5,6                    279,569
BUILD A BEAR WORKSHO COM          12007610      1,239     277,282 SH         DEFINED  1,2                        277,282
BUILDERS FIRSTSOURCE COM          12008R10        926     222,700 SH         DEFINED  1,2                        222,700
BUNGE LIMITED        COM          G1696210    108,637   1,803,098 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,803,098
BURGER KING HLDGS IN COM          12120820     17,400   1,007,544 SH         DEFINED  1,2,5,6,8,10             1,007,544
BURLINGTON NORTHN SA COM          12189T10    657,188   8,936,468 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,936,468
BWAY HOLDING COMPANY COM          12429T10      3,452     196,924 SH         DEFINED  1,2,6                      196,924
C D I CORP           COM          12507110      3,020     270,872 SH         DEFINED  1,2,5                      270,872
C H ROBINSON WORLDWI COM NEW      12541W20    273,051   5,235,878 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,235,878
C&D TECHNOLOGIES INC COM          12466110        126      62,924 SH         DEFINED  1,5                         62,924
CA INC               COM          12673P10    244,791  14,044,254 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,044,254
CABELAS INC          COM          12680430      7,881     640,752 SH         DEFINED  1,2,5                      640,752
CABLEVISION SYS CORP CL A NY CA   12686C10     77,331   3,984,096 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,984,096
CABOT CORP           COM          12705510     66,946   5,321,588 SH         DEFINED  1,2,5,6,8,10,12          5,321,588
CABOT MICROELECTRONI COM          12709P10     11,280     398,718 SH         DEFINED  1,2,5,6                    398,718
CABOT OIL & GAS CORP COM          12709710    134,785   4,398,984 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,398,984
CACHE INC            COM NEW      12715030         63      16,157 SH         DEFINED  1                           16,157
CACI INTL INC        CL A         12719030     24,109     564,486 SH         DEFINED  1,2,5                      564,486





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
CADENCE DESIGN SYSTE COM          12738710     30,509   5,171,028 SH         DEFINED  1,2,5,6,7,10             5,171,028
CADENCE FINL CORP    COM          12738A10         24      10,806 SH         DEFINED  1                           10,806
CADENCE PHARMACEUTIC COM          12738T10      3,752     375,529 SH         DEFINED  1,2,6                      375,529
CADIZ INC            COM NEW      12753720      1,767     183,471 SH         DEFINED  1,2                        183,471
CAI INTERNATIONAL IN COM          12477X10        535     104,916 SH         DEFINED  1,2                        104,916
CAL DIVE INTL INC DE COM          12802T10     11,320   1,311,733 SH         DEFINED  1,2,5,6                  1,311,733
CAL MAINE FOODS INC  COM NEW      12803020      6,798     272,368 SH         DEFINED  1,2,5,6                    272,368
CALAMOS ASSET MGMT I CL A         12811R10      5,560     394,042 SH         DEFINED  1,2,5,6                    394,042
CALAMP CORP          COM          12812610         15      18,691 SH         DEFINED  1                           18,691
CALAVO GROWERS INC   COM          12824610      2,549     128,524 SH         DEFINED  1,2,6                      128,524
CALGON CARBON CORP   COM          12960310     14,400   1,036,718 SH         DEFINED  1,2,5,6                  1,036,718
CALIFORNIA MICRO DEV COM          13043910         73      29,822 SH         DEFINED  1                           29,822
CALIFORNIA PIZZA KIT COM          13054D10      8,884     668,489 SH         DEFINED  1,2,5,6                    668,489
CALIFORNIA WTR SVC G COM          13078810     13,875     376,621 SH         DEFINED  1,2,5                      376,621
CALIPER LIFE SCIENCE COM          13087210         63      35,506 SH         DEFINED  1                           35,506
CALLAWAY GOLF CO     COM          13119310      8,834   1,742,503 SH         DEFINED  1,2,5                    1,742,503
CALLIDUS SOFTWARE IN COM          13123E50        808     283,512 SH         DEFINED  1,2                        283,512
CALLON PETE CO DEL   COM          13123X10         47      23,942 SH         DEFINED  1                           23,942
CALPINE CORP         COM NEW      13134730     55,629   4,989,126 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,989,126
CALUMET SPECIALTY PR UT LTD PAR   13147610        190      12,244 SH         DEFINED  1,2                         12,244
CAMBREX CORP         COM          13201110      1,791     434,822 SH         DEFINED  1,2                        434,822
CAMDEN NATL CORP     COM          13303410      4,178     122,784 SH         DEFINED  1,2,5                      122,784
CAMDEN PPTY TR       SH BEN INT   13313110     59,960   2,172,451 SH         DEFINED  1,2,3,5,6,7,8,10         2,172,451
CAMERON INTERNATIONA COM          13342B10    251,226   8,877,227 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,877,227
CAMPBELL SOUP CO     COM          13442910    214,859   7,303,169 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,303,169
CANADIAN NAT RES LTD COM          13638510      1,167      22,232 SH         DEFINED  1,7                         22,232
CANADIAN NATL RY CO  COM          13637510        484      11,255 SH         DEFINED  1,5                         11,255
CANDELA CORP         COM          13690710         19      18,860 SH         DEFINED  1                           18,860
CANO PETE INC        COM          13780110         29      30,300 SH         DEFINED  1                           30,300
CANTEL MEDICAL CORP  COM          13809810      3,981     245,264 SH         DEFINED  1,2,6                      245,264
CAPE BANCORP INC     COM          13920910        988     114,513 SH         DEFINED  1,2                        114,513
CAPELLA EDUCATION CO COM          13959410     13,427     223,937 SH         DEFINED  1,2,5,6                    223,937
CAPITAL CITY BK GROU COM          13967410      2,866     170,117 SH         DEFINED  1,2,5                      170,117
CAPITAL ONE FINL COR COM          14040H10    373,472  17,069,087 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,069,087
CAPITAL PRODUCT PART COM UNIT L   Y1108210        117      12,983 SH         DEFINED  1,2                         12,983
CAPITAL SOUTHWEST CO COM          14050110      3,009      41,588 SH         DEFINED  1,2,5                       41,588
CAPITAL SR LIVING CO COM          14047510      1,461     321,125 SH         DEFINED  1,2                        321,125
CAPITAL TRUST INC MD CL A NEW     14052H50         36      24,663 SH         DEFINED  1                           24,663
CAPITALSOURCE INC    COM          14055X10     12,481   2,557,628 SH         DEFINED  1,2,5,8,10               2,557,628
CAPITOL BANCORP LTD  COM          14056D10         59      22,142 SH         DEFINED  1,2                         22,142
CAPITOL FED FINL     COM          14057C10      9,768     254,842 SH         DEFINED  1,2,5,6,10                 254,842
CAPLEASE INC         COM          14028810      2,665     965,610 SH         DEFINED  1,2,3                      965,610
CAPSTEAD MTG CORP    COM NO PAR   14067E50     19,694   1,549,527 SH         DEFINED  1,2,5                    1,549,527
CAPSTONE TURBINE COR COM          14067D10        117     141,492 SH         DEFINED  1,2,5                      141,492
CARACO PHARMACEUTICA COM          14075T10        450     146,662 SH         DEFINED  1,2,5                      146,662
CARBO CERAMICS INC   COM          14078110     10,467     306,051 SH         DEFINED  1,2,5,6                    306,051
CARDIAC SCIENCE CORP COM          14141A10      1,471     365,841 SH         DEFINED  1,2                        365,841
CARDICA INC          COM          14141R10         15      10,800 SH         DEFINED  1                           10,800
CARDINAL FINL CORP   COM          14149F10      3,060     390,842 SH         DEFINED  1,2,6                      390,842
CARDINAL HEALTH INC  COM          14149Y10    348,306  11,401,183 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,401,183
CARDIONET INC        COM          14159L10      4,995     306,082 SH         DEFINED  1,2,5,6                    306,082
CARDIOVASCULAR SYS I COM          14161910        556      72,083 SH         DEFINED  1,2                         72,083
CARDIUM THERAPEUTICS COM          14191610        469     253,652 SH         DEFINED  1,2                        253,652
CARDTRONICS INC      COM          14161H10        687     180,326 SH         DEFINED  1,2                        180,326





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
CARE INVESTMENT TRUS COM          14165710        835     160,577 SH         DEFINED  1,2                        160,577
CAREER EDUCATION COR COM          14166510     43,684   1,755,090 SH         DEFINED  1,2,5,6,7,10             1,755,090
CARIBOU COFFEE INC   COM          14204220        268      41,679 SH         DEFINED  1,2                         41,679
CARLISLE COS INC     COM          14233910     35,369   1,471,246 SH         DEFINED  1,2,5,6,10               1,471,246
CARMAX INC           COM          14313010     89,118   6,062,448 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,062,448
CARMIKE CINEMAS INC  COM          14343640        800      95,443 SH         DEFINED  1,2                         95,443
CARNIVAL CORP        PAIRED CTF   14365830    344,792  13,379,581 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,379,581
CARPENTER TECHNOLOGY COM          14428510     44,498   2,138,314 SH         DEFINED  1,2,5,6,10               2,138,314
CARRIAGE SVCS INC    COM          14390510         70      19,570 SH         DEFINED  1                           19,570
CARRIZO OIL & CO INC COM          14457710      6,889     401,664 SH         DEFINED  1,2,5,6                    401,664
CARROLS RESTAURANT G COM          14574X10        683     102,575 SH         DEFINED  1,2                        102,575
CARTER INC           COM          14622910     42,989   1,746,805 SH         DEFINED  1,2,5,6,7                1,746,805
CASCADE BANCORP      COM          14715410        153     108,238 SH         DEFINED  1                          108,238
CASCADE CORP         COM          14719510      2,778     176,626 SH         DEFINED  1,2,5                      176,626
CASELLA WASTE SYS IN CL A         14744810         47      23,560 SH         DEFINED  1                           23,560
CASEYS GEN STORES IN COM          14752810     44,730   1,741,161 SH         DEFINED  1,2,5,6,8                1,741,161
CASH AMER INTL INC   COM          14754D10     14,186     606,510 SH         DEFINED  1,2,5,6                    606,510
CASS INFORMATION SYS COM          14808P10      3,233      98,757 SH         DEFINED  1,2,6                       98,757
CASTLE A M & CO      COM          14841110      3,230     267,373 SH         DEFINED  1,2,5                      267,373
CASUAL MALE RETAIL G COM          14871110         76      34,646 SH         DEFINED  1                           34,646
CATALYST HEALTH SOLU COM          14888B10     13,934     558,695 SH         DEFINED  1,2,5,6                    558,695
CATAPULT COMMUNICATI COM          14901610        125      13,504 SH         DEFINED  1                           13,504
CATERPILLAR INC DEL  COM          14912310  1,416,669  42,877,393 SH         DEFINED  1,2,5,6,7,8,10,12,13    42,877,393
CATHAY GENERAL BANCO COM          14915010     20,883   2,195,899 SH         DEFINED  1,2,5                    2,195,899
CATO CORP NEW        CL A         14920510     26,753   1,533,981 SH         DEFINED  1,2,5                    1,533,981
CAVCO INDS INC DEL   COM          14956810      2,377      93,823 SH         DEFINED  1,2,5                       93,823
CAVIUM NETWORKS INC  COM          14965A10      7,792     463,541 SH         DEFINED  1,2,5,6                    463,541
CB RICHARD ELLIS GRO CL A         12497T10     66,607   7,116,112 SH         DEFINED  1,2,5,6,10,13            7,116,112
CBEYOND INC          COM          14984710      5,379     374,856 SH         DEFINED  1,2,5,6                    374,856
CBIZ INC             COM          12480510      5,805     815,363 SH         DEFINED  1,2,5,6                    815,363
CBL & ASSOC PPTYS IN COM          12483010     19,875   3,687,298 SH         DEFINED  1,2,3,5,6,7,8            3,687,298
CBS CORP NEW         CL B         12485720    144,560  20,890,116 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,890,116
CDC CORP             SHS A        G2022L10         51      33,545 SH         DEFINED  1,5,6                       33,545
CDN IMPERIAL BK OF C COM          13606910        226       4,506 SH         DEFINED  1                            4,506
CEC ENTMT INC        COM          12513710     16,320     553,606 SH         DEFINED  1,2,5,6                    553,606
CEDAR FAIR L P       DEPOSITRY    15018510        710      64,869 SH         DEFINED  1,2                         64,869
CEDAR SHOPPING CTRS  COM NEW      15060220      7,215   1,596,275 SH         DEFINED  1,2,3,5,8                1,596,275
CELADON GROUP INC    COM          15083810      3,506     417,844 SH         DEFINED  1,2                        417,844
CELANESE CORP DEL    COM SER A    15087010    105,669   4,449,221 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,449,221
CELERA CORP          COM          15100E10     25,643   3,365,162 SH         DEFINED  1,2,5,6                  3,365,162
CELESTICA INC        SUB VTG SH   15101Q10        118      17,361 SH         DEFINED  1,2                         17,361
CELGENE CORP         COM          15102010    712,532  14,894,071 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,894,071
CELL GENESYS INC     COM          15092110         16      54,937 SH         DEFINED  1                           54,937
CELL THERAPEUTICS IN COM NO PAR   15093450     11,183   6,501,562 SH         DEFINED  1,2                      6,501,562
CELLCOM ISRAEL LTD   SHS          M2196U10      3,511     132,134 SH         DEFINED  1,2,5,7,10                 132,134
CELLDEX THERAPEUTICS COM          15117B10      2,880     368,244 SH         DEFINED  1,2                        368,244
CEL-SCI CORP         COM NEW      15083740         14      33,758 SH         DEFINED  1                           33,758
CEMEX SAB DE CV      SPON ADR N   15129088      2,712     290,358 SH         DEFINED  1,2,6,7,8                  290,358
CENTENE CORP DEL     COM          15135B10     24,814   1,241,926 SH         DEFINED  1,2,5,7                  1,241,926
CENTENNIAL COMMUNCTN CL A NEW     15133V20      9,176   1,095,016 SH         DEFINED  1,2,5,6                  1,095,016
CENTER BANCORP INC   COM          15140810        875     107,402 SH         DEFINED  1,2                        107,402
CENTER FINL CORP CAL COM          15146E10         25      10,013 SH         DEFINED  1                           10,013
CENTERPOINT ENERGY I COM          15189T10    149,483  13,491,254 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,491,254
CENTERSTATE BKS FLA  COM          15201P10        717      96,675 SH         DEFINED  1,2                         96,675





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
CENTEX CORP          COM          15231210     54,058   6,389,882 SH         DEFINED  1,2,5,6,8,10,12,13       6,389,882
CENTRAIS ELETRICAS B SPONSORED    15234Q20      2,183     149,759 SH         DEFINED  1,2,6                      149,759
CENTRAL EUROPEAN DIS COM          15343510     13,160     495,299 SH         DEFINED  1,2,5,10                   495,299
CENTRAL EUROPEAN MED CL A NEW     G2004520      4,634     235,368 SH         DEFINED  1,5,6,10                   235,368
CENTRAL FED CORP     COM          15346Q10         90      30,900 SH         DEFINED  1                           30,900
CENTRAL GARDEN & PET COM          15352710        415      37,839 SH         DEFINED  1,2,5                       37,839
CENTRAL GARDEN & PET CL A NON-V   15352720     13,928   1,414,026 SH         DEFINED  1,2,5                    1,414,026
CENTRAL PAC FINL COR COM          15476010      6,568   1,751,403 SH         DEFINED  1,2,5                    1,751,403
CENTRAL VT PUB SVC C COM          15577110      4,276     236,235 SH         DEFINED  1,2,5                      236,235
CENTURY ALUM CO      COM          15643110      6,115     978,423 SH         DEFINED  1,2,5,6                    978,423
CENTURY BANCORP INC  CL A NON V   15643210        654      35,485 SH         DEFINED  1,2                         35,485
CENTURY CASINOS INC  COM          15649210         80      26,962 SH         DEFINED  1                           26,962
CENTURYTEL INC       COM          15670010    138,970   4,526,721 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,526,721
CENVEO INC           COM          15670S10      3,051     721,314 SH         DEFINED  1,2,5,6                    721,314
CEPHALON INC         NOTE 2.00    156708AP      1,645   1,300,000 SH         DEFINED  1,2                      1,300,000
CEPHALON INC         COM          15670810    151,128   2,667,741 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,667,741
CEPHEID              COM          15670R10     11,353   1,205,236 SH         DEFINED  1,2,5,6,8                1,205,236
CERADYNE INC         COM          15671010     12,797     724,606 SH         DEFINED  1,2,5,6                    724,606
CERAGON NETWORKS LTD ORD          M2201310        255      38,403 SH         DEFINED  1                           38,403
CERNER CORP          COM          15678210     93,090   1,494,466 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,494,466
CERUS CORP           COM          15708510         30      29,597 SH         DEFINED  1                           29,597
CEVA INC             COM          15721010      2,451     282,357 SH         DEFINED  1,2                        282,357
CF INDS HLDGS INC    COM          12526910    152,616   2,058,487 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,058,487
CFS BANCORP INC      COM          12525D10         63      14,968 SH         DEFINED  1                           14,968
CH ENERGY GROUP INC  COM          12541M10     12,979     277,916 SH         DEFINED  1,2,5                      277,916
CHAMPION ENTERPRISES COM          15849610         50     156,108 SH         DEFINED  1                          156,108
CHARLES & COLVARD LT COM          15976510          5      10,104 SH         DEFINED  1                           10,104
CHARLES RIV LABS INT COM          15986410     50,818   1,505,729 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,505,729
CHARLOTTE RUSSE HLDG COM          16104810      4,108     321,434 SH         DEFINED  1,2,5,6                    321,434
CHARMING SHOPPES INC COM          16113310      7,103   1,909,529 SH         DEFINED  1,2,5,6                  1,909,529
CHART INDS INC       COM PAR $0   16115Q30     12,904     709,806 SH         DEFINED  1,2,5                      709,806
CHASE CORP           COM          16150R10        657      55,177 SH         DEFINED  1,2                         55,177
CHATTEM INC          COM          16245610     23,210     340,825 SH         DEFINED  1,2,5,6                    340,825
CHECK POINT SOFTWARE ORD          M2246510     27,348   1,165,233 SH         DEFINED  1,2,5,6,7,8,10,12        1,165,233
CHECKPOINT SYS INC   COM          16282510      9,989     636,675 SH         DEFINED  1,2,5                      636,675
CHEESECAKE FACTORY I COM          16307210     28,746   1,661,645 SH         DEFINED  1,2,5,6                  1,661,645
CHELSEA THERAPEUTICS COM          16342810      1,038     246,059 SH         DEFINED  1,2                        246,059
CHEMED CORP NEW      COM          16359R10     17,970     455,155 SH         DEFINED  1,2,5,6,7                  455,155
CHEMICAL FINL CORP   COM          16373110      7,779     390,725 SH         DEFINED  1,2,5                      390,725
CHENIERE ENERGY INC  COM NEW      16411R20      2,372     806,891 SH         DEFINED  1,2,6                      806,891
CHENIERE ENERGY PART COM UNIT     16411Q10         88      11,990 SH         DEFINED  1,2                         11,990
CHEROKEE INC DEL NEW COM          16444H10      2,415     121,869 SH         DEFINED  1,2,5                      121,869
CHESAPEAKE ENERGY CO NOTE 2.50    165167BZ      1,345   1,250,000 SH         DEFINED  1,2                      1,250,000
CHESAPEAKE ENERGY CO NOTE 2.25    165167CB        368     600,000 SH         DEFINED  2                          600,000
CHESAPEAKE ENERGY CO COM          16516710    407,981  20,573,922 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,573,922
CHESAPEAKE UTILS COR COM          16530310      4,095     125,875 SH         DEFINED  1,2                        125,875
CHEVIOT FINL CORP    COM          16677410         90      11,200 SH         DEFINED  1,2                         11,200
CHEVRON CORP NEW     COM          16676410  6,014,929  90,791,382 SH         DEFINED  1,2,5,6,7,8,10,12,13    90,791,382
CHICAGO BRIDGE & IRO N Y REGIST   16725010        561      45,210 SH         DEFINED  1,2,5,6                     45,210
CHICOPEE BANCORP INC COM          16856510        786      60,620 SH         DEFINED  1,2                         60,620
CHICOS FAS INC       COM          16861510     55,332   5,686,700 SH         DEFINED  1,2,5,6,10               5,686,700
CHILDRENS PL RETAIL  COM          16890510     34,247   1,295,762 SH         DEFINED  1,2,5,6                  1,295,762
CHILE FD INC         COM          16883410      1,778     116,300 SH         DEFINED  5                          116,300
CHIMERA INVT CORP    COM          16934Q10     24,790   7,103,224 SH         DEFINED  1,2,5,10                 7,103,224





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
CHINA AUTOMOTIVE SYS COM          16936R10        112      20,450 SH         DEFINED  1,2                         20,450
CHINA BAK BATTERY IN COM          16936Y10      1,333     451,818 SH         DEFINED  1,2                        451,818
CHINA DIGITAL TV HLD SPONSORED    16938G10        245      27,989 SH         DEFINED  1,2,6                       27,989
CHINA FIRE & SEC GRO COM          16938R10      1,877     154,270 SH         DEFINED  1,2                        154,270
CHINA GREEN AGRICULT COM          16943W10        392      48,433 SH         DEFINED  1,2                         48,433
CHINA HOUSING & LAND COM          16939V10      1,480     256,859 SH         DEFINED  1,2                        256,859
CHINA INFORMATION SE COM          16944F10        642     224,341 SH         DEFINED  1,2,6                      224,341
CHINA LIFE INS CO LT SPON ADR R   16939P10        396       7,151 SH         DEFINED  6                            7,151
CHINA MED TECHNOLOGI SPONSORED    16948310        523      26,249 SH         DEFINED  1,2,6                       26,249
CHINA MOBILE LIMITED SPONSORED    16941M10        839      16,762 SH         DEFINED  1,6                         16,762
CHINA PETE & CHEM CO SPON ADR H   16941R10     12,366     163,012 SH         DEFINED  1,4,5,6                    163,012
CHINA PRECISION STEE COM          16941J10        703     283,389 SH         DEFINED  1,2                        283,389
CHINA SEC & SURVE TE COM          16942J10      2,783     369,141 SH         DEFINED  1,2                        369,141
CHINA SKY ONE MED IN COM          16941P10      1,399     103,786 SH         DEFINED  1,2                        103,786
CHINA TRANSINFO TECH COM          16945310        191      40,706 SH         DEFINED  1,2                         40,706
CHINA UNICOM (HONG K SPONSORED    16945R10        148      11,111 SH         DEFINED  1,6                         11,111
CHINA YUCHAI INTL LT COM          G2108210        739     103,063 SH         DEFINED  1,5,7,8                    103,063
CHINA-BIOTICS INC    COM          16937B10        471      43,649 SH         DEFINED  1,2                         43,649
CHINACAST EDU CORP   COM          16946T10      2,341     326,558 SH         DEFINED  1,2                        326,558
CHINDEX INTERNATIONA COM          16946710      1,824     147,491 SH         DEFINED  1,2,6                      147,491
CHIPOTLE MEXICAN GRI CL A         16965610     49,378     617,229 SH         DEFINED  1,2,5,6,10                 617,229
CHIPOTLE MEXICAN GRI CL B         16965620      1,352      19,378 SH         DEFINED  1,2,5                       19,378
CHIQUITA BRANDS INTL COM          17003280      8,435     822,170 SH         DEFINED  1,2,5                      822,170
CHOICE HOTELS INTL I COM          16990510      9,007     338,488 SH         DEFINED  1,2,5,6,10                 338,488
CHORDIANT SOFTWARE I COM NEW      17040430      1,468     404,392 SH         DEFINED  1,2,5,6                    404,392
CHRISTOPHER & BANKS  COM          17104610      4,025     599,917 SH         DEFINED  1,2,5                      599,917
CHUBB CORP           COM          17123210    543,909  13,638,651 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,638,651
CHUNGHWA TELECOM CO  SPONS ADR    17133Q40      4,691     236,573 SH         DEFINED  1,2,6,8,12                 236,573
CHURCH & DWIGHT INC  COM          17134010     94,477   1,739,583 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,739,583
CHURCHILL DOWNS INC  COM          17148410      4,880     144,990 SH         DEFINED  1,2,5                      144,990
CIBER INC            COM          17163B10      4,608   1,486,459 SH         DEFINED  1,2,5                    1,486,459
CIENA CORP           COM NEW      17177930     28,308   2,735,063 SH         DEFINED  1,2,5,6,10,13            2,735,063
CIGNA CORP           COM          12550910    224,761   9,330,066 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,330,066
CIMAREX ENERGY CO    COM          17179810     70,615   2,491,711 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,491,711
CINCINNATI BELL INC  COM          17187110     16,418   5,780,887 SH         DEFINED  1,2,5                    5,780,887
CINCINNATI FINL CORP COM          17206210    151,483   6,777,760 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,777,760
CINEMARK HOLDINGS IN COM          17243V10      5,584     493,312 SH         DEFINED  1,2,5,6                    493,312
CINTAS CORP          COM          17290810     95,066   4,162,277 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,162,277
CIRCOR INTL INC      COM          17273K10      8,842     374,520 SH         DEFINED  1,2,5                      374,520
CIRRUS LOGIC INC     COM          17275510      6,045   1,343,389 SH         DEFINED  1,2,5,6                  1,343,389
CISCO SYS INC        COM          17275R10  3,721,167 199,526,407 SH         DEFINED  1,2,5,6,7,8,10,12,13   199,526,407
CIT GROUP INC        COM          12558110     30,464  14,169,356 SH         DEFINED  1,2,5,6,8,10,12,13      14,169,356
CITI TRENDS INC      COM          17306X10      5,401     208,678 SH         DEFINED  1,2,6                      208,678
CITIGROUP INC        COM          17296710    637,396 214,611,455 SH         DEFINED  1,2,5,6,7,8,10,12,13   214,611,455
CITIZENS & NORTHN CO COM          17292210      3,004     146,053 SH         DEFINED  1,2                        146,053
CITIZENS FIRST BANCO COM          17461R10         16      19,125 SH         DEFINED  1                           19,125
CITIZENS HLDG CO MIS COM          17471510      1,206      38,656 SH         DEFINED  1,2                         38,656
CITIZENS INC         CL A         17474010      3,051     501,804 SH         DEFINED  1,2,5,6                    501,804
CITIZENS REPUBLIC BA COM          17442010      3,922   5,524,092 SH         DEFINED  1,2,5                    5,524,092
CITRIX SYS INC       COM          17737610    181,872   5,703,112 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,703,112
CITY BK LYNNWOOD WAS COM          17770A10         70      29,835 SH         DEFINED  1                           29,835
CITY HLDG CO         COM          17783510     10,425     343,376 SH         DEFINED  1,2,5                      343,376
CITY NATL CORP       COM          17856610     42,051   1,141,770 SH         DEFINED  1,2,5,6,8,10,12          1,141,770
CKE RESTAURANTS INC  COM          12561E10      8,236     971,247 SH         DEFINED  1,2,5,6                    971,247





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
CKX INC              COM          12562M10      5,541     779,391 SH         DEFINED  1,2,5,6                    779,391
CLARCOR INC          COM          17989510     25,791     883,555 SH         DEFINED  1,2,5,6                    883,555
CLARIENT INC         COM          18048910      1,069     287,460 SH         DEFINED  1,2                        287,460
CLEAN ENERGY FUELS C COM          18449910      3,113     361,564 SH         DEFINED  1,2,5,6                    361,564
CLEAN HARBORS INC    COM          18449610     29,352     543,660 SH         DEFINED  1,2,5,6                    543,660
CLEAR CHANNEL OUTDOO CL A         18451C10      2,101     396,380 SH         DEFINED  1,2,5,6,10                 396,380
CLEARWATER PAPER COR COM          18538R10      4,856     192,017 SH         DEFINED  1,2,5                      192,017
CLEARWIRE CORP NEW   CL A         18538Q10      3,359     607,370 SH         DEFINED  1,2,5,10                   607,370
CLECO CORP NEW       COM          12561W10     35,176   1,568,965 SH         DEFINED  1,2,5                    1,568,965
CLIFFS NATURAL RESOU COM          18683K10    113,406   4,634,492 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,634,492
CLIFTON SVGS BANCORP COM          18712Q10      2,189     203,464 SH         DEFINED  1,2                        203,464
CLINICAL DATA INC NE COM          18725U10      1,503     136,404 SH         DEFINED  1,2,6                      136,404
CLOROX CO DEL        COM          18905410    264,573   4,738,898 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,738,898
CME GROUP INC        COM          12572Q10    708,312   2,276,651 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,276,651
CMS ENERGY CORP      COM          12589610    132,789  10,992,472 SH         DEFINED  1,2,5,6,7,10,13         10,992,472
CNA FINL CORP        COM          12611710      5,341     345,221 SH         DEFINED  1,2,5,7,8,10,12            345,221
CNA SURETY CORP      COM          12612L10      4,066     301,425 SH         DEFINED  1,2,5                      301,425
CNB FINL CORP PA     COM          12612810      1,291      91,138 SH         DEFINED  1,2                         91,138
CNH GLOBAL N V       SHS NEW      N2093520        142      10,140 SH         DEFINED  1,5,6                       10,140
CNOOC LTD            SPONSORED    12613210        474       3,850 SH         DEFINED  1,6                          3,850
CNX GAS CORP         COM          12618H30     10,500     399,688 SH         DEFINED  1,2,5,6,10                 399,688
COACH INC            COM          18975410    279,512  10,398,524 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,398,524
COBIZ FINANCIAL INC  COM          19089710      1,958     305,477 SH         DEFINED  1,2,5                      305,477
COBRA ELECTRS CORP   COM          19104210         13      10,846 SH         DEFINED  1                           10,846
COCA COLA BOTTLING C COM          19109810      3,566      64,688 SH         DEFINED  1,2,6                       64,688
COCA COLA CO         COM          19121610  3,477,760  72,468,424 SH         DEFINED  1,2,5,6,7,8,10,12,13    72,468,424
COCA COLA ENTERPRISE COM          19121910    224,894  13,507,124 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,507,124
COEUR D ALENE MINES  COM NEW      19210850     41,527   3,376,187 SH         DEFINED  1,2,5                    3,376,187
COGDELL SPENCER INC  COM          19238U10      1,631     380,199 SH         DEFINED  1,2,3                      380,199
COGENT COMM GROUP IN COM NEW      19239V30      6,241     765,721 SH         DEFINED  1,2,5,6                    765,721
COGENT INC           COM          19239Y10      7,809     727,759 SH         DEFINED  1,2,5,6                    727,759
COGNEX CORP          COM          19242210     11,302     799,888 SH         DEFINED  1,2,5                      799,888
COGNIZANT TECHNOLOGY CL A         19244610    244,966   9,174,746 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,174,746
COGO GROUP INC       COM          19244810      2,899     485,532 SH         DEFINED  1,2,5,6                    485,532
COHEN & STEERS INC   COM          19247A10      3,586     239,873 SH         DEFINED  1,2,5,6                    239,873
COHERENT INC         COM          19247910     10,231     494,738 SH         DEFINED  1,2,5,6                    494,738
COHU INC             COM          19257610      3,608     401,797 SH         DEFINED  1,2,5                      401,797
COINSTAR INC         COM          19259P30     13,111     491,040 SH         DEFINED  1,2,5,6                    491,040
COLDWATER CREEK INC  COM          19306810      7,133   1,169,275 SH         DEFINED  1,2,5,6                  1,169,275
COLE KENNETH PRODTNS CL A         19329410        906     128,816 SH         DEFINED  1,2                        128,816
COLEMAN CABLE INC    COM          19345930         90      31,900 SH         DEFINED  1                           31,900
COLFAX CORP          COM          19401410      2,473     320,281 SH         DEFINED  1,2,5                      320,281
COLGATE PALMOLIVE CO COM          19416210  1,230,922  17,400,646 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,400,646
COLLECTIVE BRANDS IN COM          19421W10     46,944   3,221,937 SH         DEFINED  1,2,5                    3,221,937
COLONIAL BANCGROUP I COM          19549330      1,937   3,123,890 SH         DEFINED  1,2,5,6,8                3,123,890
COLONIAL PPTYS TR    COM SH BEN   19587210     12,078   1,632,150 SH         DEFINED  1,2,3,5,6,8              1,632,150
COLUMBIA BKG SYS INC COM          19723610      3,101     303,130 SH         DEFINED  1,2,5                      303,130
COLUMBIA LABS INC    COM          19777910         59      52,029 SH         DEFINED  1,5                         52,029
COLUMBIA SPORTSWEAR  COM          19851610      6,483     209,661 SH         DEFINED  1,2,5                      209,661
COLUMBUS MCKINNON CO COM          19933310      3,483     275,320 SH         DEFINED  1,2,5                      275,320
COMARCO INC          COM          20008010         23      13,186 SH         DEFINED  1                           13,186
COMBINATORX INC      COM          20010A10         16      19,600 SH         DEFINED  1                           19,600
COMCAST CORP NEW     CL A         20030N10  1,279,462  88,482,852 SH         DEFINED  1,2,5,6,7,8,10,12,13    88,482,852
COMCAST CORP NEW     CL A SPL     20030N20     67,993   4,822,228 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,822,228





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
COMERICA INC         COM          20034010    140,127   6,625,408 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,625,408
COMFORT SYS USA INC  COM          19990810      8,963     874,452 SH         DEFINED  1,2,5,6                    874,452
COMMERCE BANCSHARES  COM          20052510     57,482   1,805,911 SH         DEFINED  1,2,5,6,7,8,10,12        1,805,911
COMMERCIAL METALS CO COM          20172310     63,783   3,979,001 SH         DEFINED  1,2,5,6,8,10             3,979,001
COMMERCIAL VEH GROUP COM          20260810         23      16,184 SH         DEFINED  1                           16,184
COMMSCOPE INC        COM          20337210     50,075   1,906,907 SH         DEFINED  1,2,5,6,7,10             1,906,907
COMMUNICATIONS SYS I COM          20390010        672      68,573 SH         DEFINED  1,2                         68,573
COMMUNITY BANCORP NE COM          20343T10         13      13,600 SH         DEFINED  1                           13,600
COMMUNITY BK SYS INC COM          20360710     18,349   1,260,212 SH         DEFINED  1,2,5                    1,260,212
COMMUNITY HEALTH SYS COM          20366810     54,463   2,156,951 SH         DEFINED  1,2,5,6,8,10,12          2,156,951
COMMUNITY TR BANCORP COM          20414910      6,852     256,142 SH         DEFINED  1,2,5                      256,142
COMMVAULT SYSTEMS IN COM          20416610     10,676     643,532 SH         DEFINED  1,2,5,6                    643,532
COMPANHIA BRASILEIRA SPON ADR P   20440T20     11,166     290,315 SH         DEFINED  1,2,6,7                    290,315
COMPANHIA DE BEBIDAS SPON ADR P   20441W20     28,059     432,813 SH         DEFINED  1,2,6,7                    432,813
COMPANHIA ENERGETICA SP ADR N-V   20440960     19,475   1,449,025 SH         DEFINED  1,2,6,7                  1,449,025
COMPANHIA PARANAENSE SPON ADR P   20441B40     31,098   2,200,847 SH         DEFINED  1,2,6,7                  2,200,847
COMPANHIA SIDERURGIC SPONSORED    20440W10     28,990   1,297,114 SH         DEFINED  1,2,6,7                  1,297,114
COMPANIA CERVECERIAS SPONSORED    20442910      8,903     254,368 SH         DEFINED  1,2,5,6,7                  254,368
COMPANIA DE MINAS BU SPONSORED    20444810      2,452     102,027 SH         DEFINED  1,2,5,6,7,10               102,027
COMPASS DIVERSIFIED  SH BEN INT   20451Q10      4,924     608,705 SH         DEFINED  1,2                        608,705
COMPASS MINERALS INT COM          20451N10     48,221     878,188 SH         DEFINED  1,2,5,6,7,10               878,188
COMPELLENT TECHNOLOG COM          20452A10      3,690     241,944 SH         DEFINED  1,2,6                      241,944
COMPLETE PRODUCTION  COM          20453E10      7,076   1,112,509 SH         DEFINED  1,2,5                    1,112,509
COMPUCREDIT CORP     COM          20478N10        648     281,796 SH         DEFINED  1,2,5                      281,796
COMPUTER PROGRAMS &  COM          20530610      5,635     147,096 SH         DEFINED  1,2,5                      147,096
COMPUTER SCIENCES CO COM          20536310    262,472   5,924,875 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,924,875
COMPUTER TASK GROUP  COM          20547710        659     107,875 SH         DEFINED  1,2                        107,875
COMPUWARE CORP       COM          20563810     54,709   7,975,002 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,975,002
COMSCORE INC         COM          20564W10      3,776     283,514 SH         DEFINED  1,2,6                      283,514
COMSTOCK RES INC     COM NEW      20576820     40,970   1,239,631 SH         DEFINED  1,2,5,6,10               1,239,631
COMSYS IT PARTNERS I COM          20581E10      1,292     220,851 SH         DEFINED  1,2                        220,851
COMTECH TELECOMMUNIC COM NEW      20582620     14,436     452,836 SH         DEFINED  1,2,5,6                    452,836
COMVERGE INC         COM          20585910      3,137     259,259 SH         DEFINED  1,2,6                      259,259
CONAGRA FOODS INC    COM          20588710    415,862  21,818,566 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,818,566
CONCEPTUS INC        COM          20601610      7,152     423,182 SH         DEFINED  1,2,5,6                    423,182
CONCHO RES INC       COM          20605P10     20,968     730,849 SH         DEFINED  1,2,5,6,10                 730,849
CONCUR TECHNOLOGIES  COM          20670810     21,758     700,078 SH         DEFINED  1,2,5,6                    700,078
CONEXANT SYSTEMS INC COM NEW      20714230         79      55,124 SH         DEFINED  1,2                         55,124
CONMED CORP          COM          20741010      9,501     612,188 SH         DEFINED  1,2,5                      612,188
CONNECTICUT WTR SVC  COM          20779710      2,951     136,052 SH         DEFINED  1,2,5                      136,052
CONNS INC            COM          20824210      1,890     151,200 SH         DEFINED  1,2,5                      151,200
CONOCOPHILLIPS       COM          20825C10  2,204,718  52,418,397 SH         DEFINED  1,2,5,6,7,8,10,12,13    52,418,397
CONSECO INC          COM NEW      20846488      9,430   3,978,752 SH         DEFINED  1,2,5,6,7,8              3,978,752
CONSOL ENERGY INC    COM          20854P10    242,488   7,140,404 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,140,404
CONSOLIDATED COMM HL COM          20903410      4,060     346,712 SH         DEFINED  1,2                        346,712
CONSOLIDATED EDISON  COM          20911510    392,004  10,475,798 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,475,798
CONSOLIDATED GRAPHIC COM          20934110      3,978     228,336 SH         DEFINED  1,2,5                      228,336
CONSOLIDATED TOMOKA  COM          21022610      2,736      78,001 SH         DEFINED  1,2,6                       78,001
CONSOLIDATED WATER C ORD          G2377310      2,410     152,053 SH         DEFINED  1,2                        152,053
CONSTANT CONTACT INC COM          21031310      6,130     308,971 SH         DEFINED  1,2,6                      308,971
CONSTELLATION BRANDS CL A         21036P10     85,805   6,766,974 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,766,974
CONSTELLATION ENERGY COM          21037110    186,419   7,013,499 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,013,499
CONTANGO OIL & GAS C COM NEW      21075N20      8,738     205,637 SH         DEFINED  1,2,5,6                    205,637
CONTINENTAL AIRLS IN CL B         21079530     12,608   1,423,000 SH         DEFINED  1,2,5,6,8,10             1,423,000





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
CONTINENTAL RESOURCE COM          21201510      9,570     344,866 SH         DEFINED  1,2,5,6,10,12              344,866
CONTINUCARE CORP     COM          21217210        574     246,235 SH         DEFINED  1,2                        246,235
CONVERA CORP         CL A         21191910          4      20,138 SH         DEFINED  1                           20,138
CONVERGYS CORP       COM          21248510     41,944   4,519,800 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,519,800
CON-WAY INC          COM          20594410     35,322   1,000,342 SH         DEFINED  1,2,5,6,8,10             1,000,342
COOPER COS INC       COM NEW      21664840     16,337     660,603 SH         DEFINED  1,2,5,6,10                 660,603
COOPER INDS LTD      CL A         G2418210    155,092   4,994,904 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,994,904
COOPER TIRE & RUBR C COM          21683110      9,233     930,768 SH         DEFINED  1,2,5                      930,768
COPA HOLDINGS SA     CL A         P3107610     43,409   1,063,420 SH         DEFINED  1,4,5,7,10               1,063,420
COPANO ENERGY L L C  COM UNITS    21720210        862      53,733 SH         DEFINED  1,2                         53,733
COPART INC           COM          21720410     47,361   1,366,049 SH         DEFINED  1,2,5,6,10               1,366,049
CORE LABORATORIES N  COM          N2271710      3,481      39,937 SH         DEFINED  1,2,5,6                     39,937
CORE MARK HOLDING CO COM          21868110      3,732     143,197 SH         DEFINED  1,2,6,8                    143,197
CORINTHIAN COLLEGES  COM          21886810     34,276   2,024,570 SH         DEFINED  1,2,5,6                  2,024,570
CORN PRODS INTL INC  COM          21902310     37,808   1,411,262 SH         DEFINED  1,2,5,6,8,10             1,411,262
CORNELL COMPANIES IN COM          21914110      2,765     170,543 SH         DEFINED  1,2,5,6                    170,543
CORNERSTONE THERAPEU COM          21924P10        810      73,712 SH         DEFINED  1,2                         73,712
CORNING INC          COM          21935010    824,175  51,318,474 SH         DEFINED  1,2,5,6,7,8,10,12,13    51,318,474
CORPBANCA            SP ADR REG   21987A20      1,075      36,437 SH         DEFINED  1,2,5                       36,437
CORPORATE EXECUTIVE  COM          21988R10     20,809   1,002,378 SH         DEFINED  1,2,5,6                  1,002,378
CORPORATE OFFICE PPT SH BEN INT   22002T10     59,478   2,027,905 SH         DEFINED  1,2,3,5,8,10             2,027,905
CORRECTIONS CORP AME COM NEW      22025Y40     57,412   3,379,189 SH         DEFINED  1,2,3,5,6,7,8,10         3,379,189
CORUS BANKSHARES INC COM          22087310         18      64,952 SH         DEFINED  1                           64,952
CORVEL CORP          COM          22100610      3,486     153,096 SH         DEFINED  1,2,5,6                    153,096
COSI INC             COM          22122P10         16      25,700 SH         DEFINED  1                           25,700
COST PLUS INC CALIF  COM          22148510         42      28,329 SH         DEFINED  1                           28,329
COSTAR GROUP INC     COM          22160N10     10,935     274,255 SH         DEFINED  1,2,5,6                    274,255
COSTCO WHSL CORP NEW COM          22160K10    647,843  14,151,222 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,151,222
COUGAR BIOTECHNOLOGY COM          22208310      8,633     200,946 SH         DEFINED  1,2,6                      200,946
COURIER CORP         COM          22266010      3,458     226,624 SH         DEFINED  1,2,5                      226,624
COUSINS PPTYS INC    COM          22279510     15,110   1,777,639 SH         DEFINED  1,2,3,5,8                1,777,639
COVANCE INC          COM          22281610     78,340   1,592,279 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,592,279
COVANTA HLDG CORP    COM          22282E10     21,998   1,297,078 SH         DEFINED  1,2,5,6,10               1,297,078
COVENANT TRANSN GROU CL A         22284P10         69      12,631 SH         DEFINED  1                           12,631
COVENTRY HEALTH CARE COM          22286210    111,559   5,962,552 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,962,552
COVIDIEN PLC         SHS          G2554F10    114,552   3,059,613 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,059,613
COWEN GROUP INC      COM          22362110        128      15,360 SH         DEFINED  1                           15,360
CP HOLDRS            DEP RCPTS    12616K10        217       2,407 SH         DEFINED  1                            2,407
CPFL ENERGIA S A     SPONSORED    12615310        313       6,471 SH         DEFINED  1,6                          6,471
CPI CORP             COM          12590210        792      46,610 SH         DEFINED  1,2                         46,610
CPI INTERNATIONAL IN COM          12618M10      1,074     123,567 SH         DEFINED  1,2                        123,567
CRA INTL INC         COM          12618T10      4,824     173,766 SH         DEFINED  1,2,5,6                    173,766
CRACKER BARREL OLD C COM          22410J10     11,307     405,265 SH         DEFINED  1,2,5                      405,265
CRANE CO             COM          22439910     22,735   1,019,071 SH         DEFINED  1,2,5,6,7,10             1,019,071
CRAWFORD & CO        CL B         22463310      1,525     317,650 SH         DEFINED  1,2,5,6                    317,650
CRAY INC             COM NEW      22522330      4,607     584,601 SH         DEFINED  1,2,5                      584,601
CREDICORP LTD        COM          G2519Y10     68,257   1,172,804 SH         DEFINED  1,2,4,6,7,10             1,172,804
CREDIT ACCEP CORP MI COM          22531010      2,060      94,286 SH         DEFINED  1,2,5,6                     94,286
CREDIT SUISSE GROUP  SPONSORED    22540110      1,080      23,614 SH         DEFINED  1                           23,614
CREDO PETE CORP      COM PAR $0   22543920        667      62,478 SH         DEFINED  1,2                         62,478
CREE INC             COM          22544710     56,794   1,931,758 SH         DEFINED  1,2,5,6,10               1,931,758
CROCS INC            COM          22704610      6,778   1,993,614 SH         DEFINED  1,2,5,6                  1,993,614
CROSS CTRY HEALTHCAR COM          22748310      3,525     513,112 SH         DEFINED  1,2,5                      513,112
CROSSTEX ENERGY INC  COM          22765Y10      2,816     675,388 SH         DEFINED  1,2,5                      675,388





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
CROSSTEX ENERGY L P  COM          22765U10        126      40,417 SH         DEFINED  1,2                         40,417
CROWN CASTLE INTL CO COM          22822710     95,103   3,959,344 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,959,344
CROWN HOLDINGS INC   COM          22836810     85,719   3,550,919 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,550,919
CROWN MEDIA HLDGS IN CL A         22841110        340     203,874 SH         DEFINED  1,2,5                      203,874
CRYOLIFE INC         COM          22890310      2,493     450,079 SH         DEFINED  1,2,6                      450,079
CSG SYS INTL INC     COM          12634910     10,917     824,532 SH         DEFINED  1,2,5,6                    824,532
CSS INDS INC         COM          12590610      2,534     124,356 SH         DEFINED  1,2,5                      124,356
CSX CORP             COM          12640810    468,481  13,528,183 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,528,183
CTC MEDIA INC        COM          12642X10      5,239     442,834 SH         DEFINED  1,2,5,6,10                 442,834
CTRIP COM INTL LTD   ADR          22943F10     17,455     376,992 SH         DEFINED  1,2,4,5,6                  376,992
CTS CORP             COM          12650110      4,635     707,621 SH         DEFINED  1,2,5                      707,621
CUBIC CORP           COM          22966910     10,354     289,298 SH         DEFINED  1,2,5,6                    289,298
CUBIC ENERGY INC     COM          22967510        267     247,600 SH         DEFINED  1,2                        247,600
CUBIST PHARMACEUTICA COM          22967810     37,174   2,028,055 SH         DEFINED  1,2,5,6                  2,028,055
CULLEN FROST BANKERS COM          22989910     68,316   1,481,266 SH         DEFINED  1,2,5,6,10               1,481,266
CULP INC             COM          23021510         56      11,213 SH         DEFINED  1                           11,213
CUMMINS INC          COM          23102110    590,490  16,770,525 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,770,525
CUMULUS MEDIA INC    CL A         23108210         43      45,763 SH         DEFINED  1,2                         45,763
CURAGEN CORP         COM          23126R10        820     569,298 SH         DEFINED  1                          569,298
CURIS INC            COM          23126910        931     582,118 SH         DEFINED  1,2                        582,118
CURTISS WRIGHT CORP  COM          23156110     25,256     849,511 SH         DEFINED  1,2,5                      849,511
CUTERA INC           COM          23210910      1,323     153,455 SH         DEFINED  1,2                        153,455
CVB FINL CORP        COM          12660010     15,165   2,540,163 SH         DEFINED  1,2,5                    2,540,163
CVR ENERGY INC       COM          12662P10      3,156     430,586 SH         DEFINED  1,2,5,8                    430,586
CVS CAREMARK CORPORA COM          12665010  1,572,728  49,348,230 SH         DEFINED  1,2,5,6,7,8,10,12,13    49,348,230
CYBERONICS INC       COM          23251P10      7,419     446,149 SH         DEFINED  1,2,5,6                    446,149
CYBERSOURCE CORP     COM          23251J10     19,663   1,285,172 SH         DEFINED  1,2,5,6                  1,285,172
CYMER INC            COM          23257210     18,244     613,654 SH         DEFINED  1,2,5,6                    613,654
CYNOSURE INC         CL A         23257720      1,277     166,879 SH         DEFINED  1,2                        166,879
CYPRESS BIOSCIENCES  COM PAR $.   23267450      5,137     545,348 SH         DEFINED  1,2,5,6                    545,348
CYPRESS SEMICONDUCTO COM          23280610     30,897   3,358,412 SH         DEFINED  1,2,5,6,7,8,10           3,358,412
CYTEC INDS INC       COM          23282010     18,025     968,035 SH         DEFINED  1,2,5,6,8,10               968,035
CYTOKINETICS INC     COM          23282W10      1,497     528,956 SH         DEFINED  1,2                        528,956
CYTORI THERAPEUTICS  COM          23283K10        986     273,192 SH         DEFINED  1,2                        273,192
CYTRX CORP           COM NEW      23282830         78      72,369 SH         DEFINED  1                           72,369
D & E COMMUNICATIONS COM          23286010      2,029     198,328 SH         DEFINED  1,2                        198,328
D R HORTON INC       COM          23331A10    116,564  12,453,459 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,453,459
DAIMLER AG           REG SHS      D1668R12      1,205      33,235 SH         DEFINED  1                           33,235
DAKTRONICS INC       COM          23426410      4,185     543,462 SH         DEFINED  1,2,5,6                    543,462
DANA HOLDING CORP    COM          23582520      1,666   1,301,301 SH         DEFINED  1,2                      1,301,301
DANAHER CORP DEL     NOTE         235851AF        502     550,000 SH         DEFINED  1,2                        550,000
DANAHER CORP DEL     COM          23585110    486,251   7,875,789 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,875,789
DANVERS BANCORP INC  COM          23644210      3,299     245,252 SH         DEFINED  1,2,6                      245,252
DARDEN RESTAURANTS I COM          23719410    159,280   4,829,601 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,829,601
DARLING INTL INC     COM          23726610     12,507   1,895,035 SH         DEFINED  1,2,5,6                  1,895,035
DATA DOMAIN INC      COM          23767P10     23,701     710,034 SH         DEFINED  1,2,5,6                    710,034
DATARAM CORP         COM PAR $1   23810820         21      14,300 SH         DEFINED  1                           14,300
DAVITA INC           COM          23918K10    166,148   3,359,231 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,359,231
DAWSON GEOPHYSICAL C COM          23935910      3,950     132,325 SH         DEFINED  1,2,5,6                    132,325
DCP MIDSTREAM PARTNE COM UT LTD   23311P10        539      24,878 SH         DEFINED  1,2                         24,878
DCT INDUSTRIAL TRUST COM          23315310     24,572   6,022,517 SH         DEFINED  1,2,3,5,8                6,022,517
DDI CORP             COM 0.0001   23316250        612     134,995 SH         DEFINED  1,2                        134,995
DEALERTRACK HLDGS IN COM          24230910     10,717     630,772 SH         DEFINED  1,2,5,6                    630,772
DEAN FOODS CO NEW    COM          24237010    161,589   8,420,468 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,420,468





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
DEARBORN BANCORP INC COM          24242R10         20      11,040 SH         DEFINED  1                           11,040
DECKERS OUTDOOR CORP COM          24353710     16,292     231,843 SH         DEFINED  1,2,5,6                    231,843
DECORATOR INDS INC   COM PAR $0   24363120          9      11,400 SH         DEFINED  1                           11,400
DEERE & CO           COM          24419910    516,321  12,924,192 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,924,192
DEL MONTE FOODS CO   COM          24522P10     27,545   2,936,594 SH         DEFINED  1,2,5,6,10               2,936,594
DELCATH SYS INC      COM          24661P10        667     186,189 SH         DEFINED  1,2                        186,189
DELEK US HLDGS INC   COM          24664710      2,264     266,943 SH         DEFINED  1,2,5                      266,943
DELIA'S INC NEW      COM          24691110         78      32,909 SH         DEFINED  1                           32,909
DELL INC             COM          24702R10    774,011  56,373,709 SH         DEFINED  1,2,5,6,7,8,10,12,13    56,373,709
DELPHI FINL GROUP IN CL A         24713110     19,415     999,245 SH         DEFINED  1,2,5                      999,245
DELTA AIR LINES INC  COM NEW      24736170     46,879   8,096,590 SH         DEFINED  1,2,5,6,7,8,10,12        8,096,590
DELTA PETE CORP      COM NEW      24790720      4,690   2,429,903 SH         DEFINED  1,2,5,6                  2,429,903
DELTEK INC           COM          24784L10        901     207,635 SH         DEFINED  1,2                        207,635
DELTIC TIMBER CORP   COM          24785010      5,919     166,881 SH         DEFINED  1,2,5,6                    166,881
DELUXE CORP          COM          24801910     19,340   1,509,742 SH         DEFINED  1,2,5                    1,509,742
DEMANDTEC INC        COM NEW      24802R50      2,346     266,634 SH         DEFINED  1,2,6                      266,634
DENBURY RES INC      COM NEW      24791620    145,146   9,853,749 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,853,749
DENDREON CORP        COM          24823Q10     44,019   1,760,771 SH         DEFINED  1,2,5,6,10               1,760,771
DENNYS CORP          COM          24869P10      3,250   1,511,721 SH         DEFINED  1,2,5,6                  1,511,721
DENTSPLY INTL INC NE COM          24903010    142,611   4,665,076 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,665,076
DEPOMED INC          COM          24990810      2,600     799,877 SH         DEFINED  1,2                        799,877
DESARROLLADORA HOMEX SPONSORED    25030W10     37,850   1,357,134 SH         DEFINED  1,4,6                    1,357,134
DESIGN WITHIN REACH  COM          25055710         10      13,900 SH         DEFINED  1                           13,900
DESTINATION MATERNIT COM          25065D10        760      45,585 SH         DEFINED  1,2,5                       45,585
DEUTSCHE BANK AG     NAMEN AKT    D1819089        218       3,572 SH         DEFINED  1                            3,572
DEUTSCHE TELEKOM AG  SPONSORED    25156610        622      52,679 SH         DEFINED  1                           52,679
DEVELOPERS DIVERSIFI NOTE 3.00    251591AS        348     500,000 SH         DEFINED  2                          500,000
DEVELOPERS DIVERSIFI COM          25159110     22,807   4,673,513 SH         DEFINED  1,2,3,5,6,8,13           4,673,513
DEVON ENERGY CORP NE COM          25179M10    835,082  15,322,610 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,322,610
DEVRY INC DEL        COM          25189310     93,639   1,871,286 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,871,286
DEXCOM INC           COM          25213110      3,501     565,599 SH         DEFINED  1,2,6                      565,599
DG FASTCHANNEL INC   COM          23326R10      4,357     238,109 SH         DEFINED  1,2,5,6                    238,109
DHT MARITIME INC     COM          Y2065G10      3,203     614,728 SH         DEFINED  1,2                        614,728
DIAGEO P L C         SPON ADR N   25243Q20        437       7,627 SH         DEFINED  1                            7,627
DIAMOND FOODS INC    COM          25260310      7,228     259,070 SH         DEFINED  1,2,6                      259,070
DIAMOND HILL INVESTM COM NEW      25264R20      1,199      29,851 SH         DEFINED  1,2                         29,851
DIAMOND MGMT & TECHN COM          25269L10        993     236,547 SH         DEFINED  1,2                        236,547
DIAMOND OFFSHORE DRI COM          25271C10    220,059   2,649,721 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,649,721
DIAMONDROCK HOSPITAL COM          25278430     23,373   3,733,745 SH         DEFINED  1,2,3,5,8                3,733,745
DIANA SHIPPING INC   COM          Y2066G10        272      20,394 SH         DEFINED  1,5,6                       20,394
DICE HLDGS INC       COM          25301710        866     186,210 SH         DEFINED  1,2,6                      186,210
DICKS SPORTING GOODS COM          25339310     47,970   2,788,925 SH         DEFINED  1,2,5,6,10               2,788,925
DIEBOLD INC          COM          25365110     48,192   1,828,242 SH         DEFINED  1,2,5,6,8,10,12          1,828,242
DIEDRICH COFFEE INC  COM NEW      25367520        673      28,297 SH         DEFINED  1,2                         28,297
DIGI INTL INC        COM          25379810      5,600     574,324 SH         DEFINED  1,2,5,6                    574,324
DIGITAL RIV INC      COM          25388B10     38,237   1,052,774 SH         DEFINED  1,2,5,6                  1,052,774
DIGITAL RLTY TR INC  COM          25386810     77,360   2,157,879 SH         DEFINED  1,2,3,5,6,7,8,10         2,157,879
DIGITALGLOBE INC     COM NEW      25389M87      3,483     181,382 SH         DEFINED  1,2                        181,382
DILLARDS INC         CL A         25406710     11,020   1,197,799 SH         DEFINED  1,2,5,8                  1,197,799
DIME CMNTY BANCSHARE COM          25392210      5,138     563,976 SH         DEFINED  1,2,5                      563,976
DINEEQUITY INC       COM          25442310      9,668     309,965 SH         DEFINED  1,2,5,6                    309,965
DIODES INC           COM          25454310      7,593     485,510 SH         DEFINED  1,2,5,6                    485,510
DIONEX CORP          COM          25454610     19,171     314,129 SH         DEFINED  1,2,5,6                    314,129
DIRECTV GROUP INC    COM          25459L10    638,417  25,836,395 SH         DEFINED  1,2,5,6,7,8,10,12,13    25,836,395





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
DISCOVER FINL SVCS   COM          25470910    173,794  16,922,456 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,922,456
DISCOVERY COMMUNICAT COM SER A    25470F10     20,796     923,858 SH         DEFINED  1,2,5,6,7,8,10,12,13       923,858
DISCOVERY COMMUNICAT COM SER C    25470F30     58,906   2,869,261 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,869,261
DISCOVERY LABORATORI COM          25466810      1,458   1,375,554 SH         DEFINED  1,2,5                    1,375,554
DISH NETWORK CORP    CL A         25470M10     69,458   4,284,898 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,284,898
DISNEY WALT CO       COM DISNEY   25468710  1,485,157  63,658,701 SH         DEFINED  1,2,5,6,7,8,10,12,13    63,658,701
DITECH NETWORKS INC  COM          25500T10         32      25,885 SH         DEFINED  1                           25,885
DIVX INC             COM          25541310      2,916     531,102 SH         DEFINED  1,2,5,6                    531,102
DIXIE GROUP INC      CL A         25551910         41      13,964 SH         DEFINED  1                           13,964
DOLAN MEDIA CO       COM          25659P40      4,692     366,881 SH         DEFINED  1,2,6                      366,881
DOLBY LABORATORIES I COM          25659T10     27,352     733,682 SH         DEFINED  1,2,5,6,7,8,10,12,13       733,682
DOLLAR FINL CORP     COM          25666410      4,773     346,153 SH         DEFINED  1,2,5,6                    346,153
DOLLAR THRIFTY AUTOM COM          25674310      9,724     697,068 SH         DEFINED  1,2                        697,068
DOLLAR TREE INC      COM          25674610    127,902   3,038,056 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,038,056
DOMINION RES INC VA  COM          25746U10    719,892  21,540,765 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,540,765
DOMINOS PIZZA INC    COM          25754A20      4,365     582,758 SH         DEFINED  1,2,5                      582,758
DOMTAR CORP          COM NEW      25755920     13,444     810,875 SH         DEFINED  1,2,5,6,7,8,10             810,875
DONALDSON INC        COM          25765110     51,945   1,499,558 SH         DEFINED  1,2,5,6,10               1,499,558
DONEGAL GROUP INC    CL A         25770120      2,824     185,692 SH         DEFINED  1,2                        185,692
DONNELLEY R R & SONS COM          25786710     82,279   7,080,842 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,080,842
DORAL FINL CORP      COM NEW      25811P88        164      65,629 SH         DEFINED  1,2                         65,629
DORCHESTER MINERALS  COM UNIT     25820R10        764      33,485 SH         DEFINED  1,2                         33,485
DORMAN PRODUCTS INC  COM          25827810      1,919     138,725 SH         DEFINED  1,2                        138,725
DOT HILL SYS CORP    COM          25848T10         41      51,627 SH         DEFINED  1                           51,627
DOUBLE EAGLE PETE CO COM PAR $0   25857020         55      11,025 SH         DEFINED  1,2,5                       11,025
DOUBLE-TAKE SOFTWARE COM          25859810      1,918     221,723 SH         DEFINED  1,2,6                      221,723
DOUGLAS EMMETT INC   COM          25960P10     33,797   3,759,396 SH         DEFINED  1,2,3,5,7,8,10           3,759,396
DOVER CORP           COM          26000310    208,119   6,289,475 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,289,475
DOVER DOWNS GAMING & COM          26009510      1,358     292,036 SH         DEFINED  1,2,5                      292,036
DOVER MOTORSPORTS IN COM          26017410         41      29,199 SH         DEFINED  1                           29,199
DOW CHEM CO          COM          26054310    595,805  36,914,778 SH         DEFINED  1,2,5,6,7,8,10,12,13    36,914,778
DPL INC              COM          23329310     60,195   2,597,992 SH         DEFINED  1,2,5,6,7,8,10           2,597,992
DR PEPPER SNAPPLE GR COM          26138E10    202,869   9,573,826 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,573,826
DR REDDYS LABS LTD   ADR          25613520      6,565     387,319 SH         DEFINED  1,2,4,5,6                  387,319
DRDGOLD LIMITED      SPON ADR N   26152H30         78      10,307 SH         DEFINED  1                           10,307
DREAMWORKS ANIMATION CL A         26153C10     40,992   1,485,773 SH         DEFINED  1,2,5,10                 1,485,773
DRESS BARN INC       COM          26157010     36,691   2,565,812 SH         DEFINED  1,2,5,6                  2,565,812
DRESSER-RAND GROUP I COM          26160810     33,116   1,268,797 SH         DEFINED  1,2,5,6,10               1,268,797
DREW INDS INC        COM NEW      26168L20      3,515     288,818 SH         DEFINED  1,2,5,6                    288,818
DRI CORPORATION      COM          23330F10         26      16,137 SH         DEFINED  1                           16,137
DRIL-QUIP INC        COM          26203710     28,615     751,037 SH         DEFINED  1,2,5,6                    751,037
DRUGSTORE COM INC    COM          26224110      1,743     952,287 SH         DEFINED  1,2                        952,287
DRYSHIPS INC         SHS          Y2109Q10        180      31,129 SH         DEFINED  1,5,6                       31,129
DSP GROUP INC        COM          23332B10      4,384     648,501 SH         DEFINED  1,2,5                      648,501
DST SYS INC DEL      COM          23332610     38,402   1,039,298 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,039,298
DSW INC              CL A         23334L10      2,078     211,015 SH         DEFINED  1,2,5,6                    211,015
DTE ENERGY CO        COM          23333110    196,336   6,135,503 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,135,503
DTS INC              COM          23335C10      6,883     254,267 SH         DEFINED  1,2,5,6                    254,267
DU PONT E I DE NEMOU COM          26353410    957,753  37,383,002 SH         DEFINED  1,2,5,6,7,8,10,12,13    37,383,002
DUCOMMUN INC DEL     COM          26414710      3,515     187,063 SH         DEFINED  1,2,5                      187,063
DUFF & PHELPS CORP N CL A         26433B10      3,507     197,268 SH         DEFINED  1,2,6                      197,268
DUKE ENERGY CORP NEW COM          26441C10    711,938  48,796,327 SH         DEFINED  1,2,5,6,7,8,10,12,13    48,796,327
DUKE REALTY CORP     COM NEW      26441150     81,982   9,347,953 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   9,347,953
DUN & BRADSTREET COR COM          26483E10    136,544   1,681,374 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,681,374





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
DUNCAN ENERGY PARTNE COM UNITS    26502610        227      14,029 SH         DEFINED  1,2                         14,029
DUPONT FABROS TECHNO COM          26613Q10      9,934   1,054,538 SH         DEFINED  1,2,3,5,6,8              1,054,538
DURECT CORP          COM          26660510      2,792   1,173,271 SH         DEFINED  1,2,5,6                  1,173,271
DXP ENTERPRISES INC  COM NEW      23337740      1,495     130,365 SH         DEFINED  1,2,5                      130,365
DYAX CORP            COM          26746E10      1,525     712,398 SH         DEFINED  1,2,5                      712,398
DYCOM INDS INC       COM          26747510     12,425   1,122,383 SH         DEFINED  1,2,5,6                  1,122,383
DYNAMEX INC          COM          26784F10      2,192     142,457 SH         DEFINED  1,2                        142,457
DYNAMIC MATLS CORP   COM          26788810      3,727     193,298 SH         DEFINED  1,2,5,6                    193,298
DYNAMICS RESH CORP   COM          26805710        726      72,514 SH         DEFINED  1,2                         72,514
DYNAVAX TECHNOLOGIES COM          26815810         43      33,691 SH         DEFINED  1                           33,691
DYNCORP INTL INC     CL A         26817C10      7,175     427,356 SH         DEFINED  1,2,5,6                    427,356
DYNEGY INC DEL       CL A         26817G10     39,070  17,211,610 SH         DEFINED  1,2,5,6,7,8,10,13       17,211,610
DYNEX CAP INC        COM NEW      26817Q50        889     108,381 SH         DEFINED  1,2                        108,381
E HOUSE CHINA HLDGS  ADR          26852W10        688      44,590 SH         DEFINED  1,2,6                       44,590
E M C CORP MASS      NOTE 1.75    268648AM      2,703   2,650,000 SH         DEFINED  1,2                      2,650,000
E M C CORP MASS      COM          26864810    856,660  65,393,860 SH         DEFINED  1,2,5,6,7,8,10,12,13    65,393,860
E TRADE FINANCIAL CO COM          26924610     38,398  29,765,542 SH         DEFINED  1,2,5,6,10,13           29,765,542
EAGLE BANCORP INC MD COM          26894810        723      82,463 SH         DEFINED  1,2                         82,463
EAGLE BULK SHIPPING  COM          Y2187A10      2,491     528,910 SH         DEFINED  1,2,5                      528,910
EAGLE MATERIALS INC  COM          26969P10     14,302     566,649 SH         DEFINED  1,2,5,6,7,10               566,649
EAGLE ROCK ENERGY PA UNIT         26985R10        103      32,311 SH         DEFINED  1,2                         32,311
EARTHLINK INC        COM          27032110     20,466   2,761,965 SH         DEFINED  1,2,5                    2,761,965
EAST WEST BANCORP IN COM          27579R10     14,515   2,236,447 SH         DEFINED  1,2,5,6                  2,236,447
EASTERN CO           COM          27631710        977      59,229 SH         DEFINED  1,2                         59,229
EASTERN INS HLDGS IN COM          27653410        751      79,823 SH         DEFINED  1,2                         79,823
EASTGROUP PPTY INC   COM          27727610     24,967     756,109 SH         DEFINED  1,2,3,5,8                  756,109
EASTMAN CHEM CO      COM          27743210    120,223   3,172,099 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,172,099
EASTMAN KODAK CO     NOTE 3.37    277461BE        121     150,000 SH         DEFINED  1                          150,000
EASTMAN KODAK CO     COM          27746110     30,705  10,373,170 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,373,170
EATON CORP           COM          27805810    228,724   5,127,202 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,127,202
EATON VANCE CORP     COM NON VT   27826510     78,199   2,923,341 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,923,341
EBAY INC             COM          27864210    629,819  36,767,011 SH         DEFINED  1,2,5,6,7,8,10,12,13    36,767,011
EBIX INC             COM NEW      27871520      4,406     140,674 SH         DEFINED  1,2,6                      140,674
ECHELON CORP         COM          27874N10      3,770     444,588 SH         DEFINED  1,2,5,6                    444,588
ECHOSTAR CORP        CL A         27876810      9,031     566,572 SH         DEFINED  1,2,5,6,8,10               566,572
ECLIPSYS CORP        COM          27885610     15,351     863,398 SH         DEFINED  1,2,5,6                    863,398
ECOLAB INC           COM          27886510    250,634   6,428,164 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,428,164
ECOPETROL S A        SPONSORED    27915810      3,562     146,058 SH         DEFINED  1,5,6,10                   146,058
EDGE PETE CORP DEL   COM          27986210         18      31,206 SH         DEFINED  1                           31,206
EDGEWATER TECHNOLOGY COM          28035810         44      17,022 SH         DEFINED  1                           17,022
EDISON INTL          COM          28102010  1,138,614  36,192,430 SH         DEFINED  1,2,5,6,7,8,10,12,13    36,192,430
EDUCATION RLTY TR IN COM          28140H10      5,050   1,177,094 SH         DEFINED  1,2,3,5,8                1,177,094
EDWARDS LIFESCIENCES COM          28176E10    137,118   2,015,547 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,015,547
EF JOHNSON TECHNOLOG COM          26843B10         20      31,750 SH         DEFINED  1                           31,750
EHEALTH INC          COM          28238P10      6,140     347,669 SH         DEFINED  1,2,5,6                    347,669
EINSTEIN NOAH REST G COM          28257U10        552      63,822 SH         DEFINED  1,2                         63,822
EL PASO CORP         COM          28336L10    276,694  29,977,727 SH         DEFINED  1,2,5,6,7,8,10,12,13    29,977,727
EL PASO ELEC CO      COM NEW      28367785     14,288   1,023,467 SH         DEFINED  1,2,5                    1,023,467
EL PASO PIPELINE PAR COM UNIT L   28370210        608      34,662 SH         DEFINED  1,2                         34,662
ELAN PLC             ADR          28413120         69      10,785 SH         DEFINED  1,5                         10,785
ELECTRO OPTICAL SCIE COM          28519210      1,421     182,415 SH         DEFINED  1,2                        182,415
ELECTRO RENT CORP    COM          28521810      2,954     311,240 SH         DEFINED  1,2,5                      311,240
ELECTRO SCIENTIFIC I COM          28522910      4,912     437,777 SH         DEFINED  1,2,5,6                    437,777
ELECTRONIC ARTS INC  COM          28551210    217,794  10,027,359 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,027,359





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
ELECTRONICS FOR IMAG COM          28608210      8,932     837,932 SH         DEFINED  1,2,5                      837,932
ELIXIR GAMING TECHNO COM          28661G10         12      75,800 SH         DEFINED  1                           75,800
ELIZABETH ARDEN INC  COM          28660G10      3,405     390,030 SH         DEFINED  1,2,5                      390,030
ELLIS PERRY INTL INC COM          28885310      1,359     186,637 SH         DEFINED  1,2                        186,637
ELOYALTY CORP        COM NEW      29015130        484      61,382 SH         DEFINED  1,2                         61,382
EMBARQ CORP          COM          29078E10    188,684   4,486,064 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,486,064
EMBOTELLADORA ANDINA SPON ADR A   29081P20        184      12,486 SH         DEFINED  1,2,6                       12,486
EMBOTELLADORA ANDINA SPON ADR B   29081P30        546      31,777 SH         DEFINED  1,2,5,6                     31,777
EMBRAER-EMPRESA BRAS SP ADR COM   29081M10        527      31,818 SH         DEFINED  1,2,6                       31,818
EMC INS GROUP INC    COM          26866410      1,672      80,351 SH         DEFINED  1,2                         80,351
EMCOR GROUP INC      COM          29084Q10     34,195   1,699,565 SH         DEFINED  1,2,5,6,8                1,699,565
EMCORE CORP          COM          29084610      1,189     943,639 SH         DEFINED  1,2,5,6                    943,639
EMERGENCY MEDICAL SV CL A         29100P10      5,457     148,204 SH         DEFINED  1,2,5,6                    148,204
EMERGENT BIOSOLUTION COM          29089Q10      5,345     373,006 SH         DEFINED  1,2,6                      373,006
EMERITUS CORP        COM          29100510      3,727     282,122 SH         DEFINED  1,2,5,6                    282,122
EMERSON ELEC CO      COM          29101110    773,611  23,876,894 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,876,894
EMERSON RADIO CORP   COM NEW      29108720          6      10,566 SH         DEFINED  1                           10,566
EMMIS COMMUNICATIONS CL A         29152510         35     117,422 SH         DEFINED  1                          117,422
EMPIRE DIST ELEC CO  COM          29164110      9,411     569,685 SH         DEFINED  1,2,5                      569,685
EMPIRE RESORTS INC   COM          29205210         85      46,946 SH         DEFINED  1,5                         46,946
EMPLOYERS HOLDINGS I COM          29221810     12,784     943,460 SH         DEFINED  1,2,5                      943,460
EMPRESA NACIONAL DE  SPONSORED    29244T10     14,802     297,293 SH         DEFINED  1,2,5,6,7                  297,293
EMS TECHNOLOGIES INC COM          26873N10      4,691     224,473 SH         DEFINED  1,2,6                      224,473
EMULEX CORP          COM NEW      29247520     11,457   1,171,503 SH         DEFINED  1,2,5                    1,171,503
ENBRIDGE ENERGY MANA SHS UNITS    29250X10        727      20,066 SH         DEFINED  1,2,5                       20,066
ENBRIDGE ENERGY PART COM          29250R10      2,707      70,161 SH         DEFINED  1,2                         70,161
ENCORE ACQUISITION C COM          29255W10     44,570   1,444,741 SH         DEFINED  1,2,5,6,10               1,444,741
ENCORE BANCSHARES IN COM          29255V20        234      32,396 SH         DEFINED  1                           32,396
ENCORE CAP GROUP INC COM          29255410      4,204     317,251 SH         DEFINED  1,2,5                      317,251
ENCORE ENERGY PARTNE COM UNIT     29257A10        335      23,417 SH         DEFINED  1,2                         23,417
ENCORE WIRE CORP     COM          29256210      9,017     422,347 SH         DEFINED  1,2,5                      422,347
ENDEAVOUR INTL CORP  COM          29259G10      2,003   1,473,049 SH         DEFINED  1,2,6                    1,473,049
ENDO PHARMACEUTICALS COM          29264F20     47,427   2,646,586 SH         DEFINED  1,2,5,6,7,10             2,646,586
ENDOLOGIX INC        COM          29266S10      1,540     459,704 SH         DEFINED  1,2                        459,704
ENDURANCE SPECIALTY  SHS          G3039710     19,103     651,983 SH         DEFINED  1,2,5,6,7,8,10             651,983
ENDWAVE CORP         COM NEW      29264A20         43      16,728 SH         DEFINED  1                           16,728
ENER1 INC            COM NEW      29267A20      3,204     586,870 SH         DEFINED  1,2,6                      586,870
ENERGEN CORP         COM          29265N10     64,905   1,626,692 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,626,692
ENERGIZER HLDGS INC  COM          29266R10     92,710   1,774,686 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,774,686
ENERGY CONVERSION DE COM          29265910      9,936     702,173 SH         DEFINED  1,2,5,6                    702,173
ENERGY RECOVERY INC  COM          29270J10      2,465     348,166 SH         DEFINED  1,2,6                      348,166
ENERGY TRANSFER EQUI COM UT LTD   29273V10      4,659     183,642 SH         DEFINED  1,2,8                      183,642
ENERGY TRANSFER PRTN UNIT LTD P   29273R10      3,951      97,590 SH         DEFINED  1,2                         97,590
ENERGYSOLUTIONS INC  COM          29275620     10,651   1,157,713 SH         DEFINED  1,2,5                    1,157,713
ENERNOC INC          COM          29276410      3,035     140,049 SH         DEFINED  1,2,5,6                    140,049
ENERPLUS RES FD      UNIT TR G    29274D60        836      38,900 SH         DEFINED  7                           38,900
ENERSIS S A          SPONSORED    29274F10     19,782   1,071,049 SH         DEFINED  1,2,5,6,7                1,071,049
ENERSYS              COM          29275Y10     16,267     894,258 SH         DEFINED  1,2,5                      894,258
ENGLOBAL CORP        COM          29330610      1,584     321,933 SH         DEFINED  1,2,5                      321,933
ENI S P A            SPONSORED    26874R10      1,451      30,615 SH         DEFINED  1,2                         30,615
ENNIS INC            COM          29338910      5,005     401,689 SH         DEFINED  1,2,5                      401,689
ENPRO INDS INC       COM          29355X10     10,850     602,470 SH         DEFINED  1,2,5                      602,470
ENSCO INTL INC       COM          26874Q10    210,060   6,024,079 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,024,079
ENSIGN GROUP INC     COM          29358P10      1,968     138,320 SH         DEFINED  1,2,6                      138,320





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
ENSTAR GROUP LIMITED SHS          G3075P10      4,427      75,230 SH         DEFINED  1,2,5                       75,230
ENTEGRIS INC         COM          29362U10      5,142   1,890,542 SH         DEFINED  1,2,5,6                  1,890,542
ENTERCOM COMMUNICATI CL A         29363910         65      42,491 SH         DEFINED  1                           42,491
ENTERGY CORP NEW     COM          29364G10    532,697   6,871,731 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,871,731
ENTEROMEDICS INC     COM          29365M10        414     124,413 SH         DEFINED  1,2                        124,413
ENTERPRISE BANCORP I COM          29366810        471      39,897 SH         DEFINED  1,2                         39,897
ENTERPRISE FINL SVCS COM          29371210      1,295     142,441 SH         DEFINED  1,2                        142,441
ENTERPRISE GP HLDGS  UNIT LP IN   29371610        971      38,624 SH         DEFINED  1,2,8                       38,624
ENTERPRISE PRODS PAR COM          29379210      7,318     293,438 SH         DEFINED  1,2,8                      293,438
ENTERTAINMENT PPTYS  COM SH BEN   29380T10     14,541     705,858 SH         DEFINED  1,2,3,5,8                  705,858
ENTORIAN TECHNOLOGIE COM          29383P10          4      13,199 SH         DEFINED  1                           13,199
ENTRAVISION COMMUNIC CL A         29382R10         29      59,481 SH         DEFINED  1                           59,481
ENTREMED INC         COM          29382F10         11      23,290 SH         DEFINED  1                           23,290
ENTROPIC COMMUNICATI COM          29384R10      1,180     524,455 SH         DEFINED  1,2                        524,455
ENTRUST INC          COM          29384810      1,218     673,191 SH         DEFINED  1,2,5                      673,191
ENZO BIOCHEM INC     COM          29410010      2,246     507,002 SH         DEFINED  1,2,5,6                    507,002
ENZON PHARMACEUTICAL COM          29390410      9,020   1,140,346 SH         DEFINED  1,2,5,6                  1,140,346
EOG RES INC          COM          26875P10    594,875   8,758,465 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,758,465
EPICEPT CORP         COM          29426420         20      25,527 SH         DEFINED  1                           25,527
EPICOR SOFTWARE CORP COM          29426L10      4,865     917,957 SH         DEFINED  1,2,5,6                    917,957
EPIQ SYS INC         COM          26882D10      8,189     532,438 SH         DEFINED  1,2,5,6                    532,438
EPLUS INC            COM          29426810        539      36,974 SH         DEFINED  1,2                         36,974
EPOCH HOLDING CORP   COM          29428R10      1,219     141,055 SH         DEFINED  1,2                        141,055
EQT CORP             COM          26884L10    165,219   4,732,718 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,732,718
EQUIFAX INC          COM          29442910    126,679   4,853,593 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,853,593
EQUINIX INC          COM NEW      29444U50     34,458     473,718 SH         DEFINED  1,2,5,6,8,10               473,718
EQUITY LIFESTYLE PPT COM          29472R10     27,532     740,511 SH         DEFINED  1,2,3,5,6,8                740,511
EQUITY ONE           COM          29475210     18,374   1,385,685 SH         DEFINED  1,2,3,5,8                1,385,685
EQUITY RESIDENTIAL   SH BEN INT   29476L10    298,763  13,439,618 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  13,439,618
ERESEARCHTECHNOLOGY  COM          29481V10      5,135     828,176 SH         DEFINED  1,2,5,6                    828,176
ERICSSON L M TEL CO  ADR B SEK    29482160      5,446     556,826 SH         DEFINED  1,2                        556,826
ERIE INDTY CO        CL A         29530P10     12,625     353,061 SH         DEFINED  1,2,5,6,8,10,12            353,061
ESB FINL CORP        COM          26884F10      1,461     111,359 SH         DEFINED  1,2                        111,359
ESCO TECHNOLOGIES IN COM          29631510     19,408     433,219 SH         DEFINED  1,2,5,6                    433,219
ESSA BANCORP INC     COM          29667D10      3,057     223,635 SH         DEFINED  1,2                        223,635
ESSEX PPTY TR INC    COM          29717810     61,627     990,318 SH         DEFINED  1,2,3,5,6,8,10             990,318
ESTERLINE TECHNOLOGI COM          29742510     14,359     530,433 SH         DEFINED  1,2,5,6                    530,433
ETHAN ALLEN INTERIOR COM          29760210      4,745     458,041 SH         DEFINED  1,2,5                      458,041
EUROBANCSHARES INC   COM          29871610         22      10,800 SH         DEFINED  1                           10,800
EURONET WORLDWIDE IN COM          29873610     14,225     733,611 SH         DEFINED  1,2,5,6                    733,611
EV ENERGY PARTNERS L COM UNITS    26926V10        196      10,384 SH         DEFINED  1,2                         10,384
EV3 INC              COM          26928A20     12,578   1,170,070 SH         DEFINED  1,2,5,6                  1,170,070
EVANS & SUTHERLAND C COM          29909610          8      16,128 SH         DEFINED  1                           16,128
EVERCORE PARTNERS IN CLASS A      29977A10      3,173     161,574 SH         DEFINED  1,2,6                      161,574
EVEREST RE GROUP LTD COM          G3223R10     88,579   1,237,656 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,237,656
EVERGREEN ENERGY INC COM          30024B10      1,530   1,560,829 SH         DEFINED  1,2                      1,560,829
EVERGREEN SOLAR INC  COM          30033R10      5,422   2,498,749 SH         DEFINED  1,2,5,6                  2,498,749
EVOLVING SYS INC     COM          30049R10         70      26,876 SH         DEFINED  1                           26,876
EXACT SCIENCES CORP  COM          30063P10         55      20,617 SH         DEFINED  1                           20,617
EXACTECH INC         COM          30064E10      1,397      96,341 SH         DEFINED  1,2,6                       96,341
EXAR CORP            COM          30064510      4,569     635,510 SH         DEFINED  1,2,5                      635,510
EXCEL MARITIME CARRI COM          V3267N10        170      25,231 SH         DEFINED  1,2,5,6                     25,231
EXCO RESOURCES INC   COM          26927940     29,024   2,246,402 SH         DEFINED  1,2,5,6,10               2,246,402
EXELIXIS INC         COM          30161Q10      8,337   1,712,004 SH         DEFINED  1,2,5,6                  1,712,004





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
EXELON CORP          COM          30161N10  1,202,618  23,484,045 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,484,045
EXIDE TECHNOLOGIES   COM NEW      30205120      3,590     962,562 SH         DEFINED  1,2,5,8                    962,562
EXLSERVICE HOLDINGS  COM          30208110      2,389     213,120 SH         DEFINED  1,2,5,6                    213,120
EXPEDIA INC DEL      COM          30212P10    120,558   7,978,705 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,978,705
EXPEDITORS INTL WASH COM          30213010    217,108   6,511,937 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,511,937
EXPONENT INC         COM          30214U10      4,724     192,733 SH         DEFINED  1,2,6                      192,733
EXPRESS SCRIPTS INC  COM          30218210    631,372   9,183,594 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,183,594
EXTERRAN HLDGS INC   COM          30225X10     30,406   1,895,654 SH         DEFINED  1,2,5,6,8,10             1,895,654
EXTERRAN PARTNERS LP COM UNITS    30225N10        154      11,216 SH         DEFINED  1,2                         11,216
EXTRA SPACE STORAGE  COM          30225T10     22,053   2,641,031 SH         DEFINED  1,2,3,5,8                2,641,031
EXTREME NETWORKS INC COM          30226D10      2,630   1,315,091 SH         DEFINED  1,2,5                    1,315,091
EXXON MOBIL CORP     COM          30231G10 11,901,548 170,240,994 SH         DEFINED  1,2,5,6,7,8,10,12,13   170,240,994
EZCORP INC           CL A NON V   30230110     12,823   1,189,560 SH         DEFINED  1,2,5,6,7,8              1,189,560
F M C CORP           COM NEW      30249130     83,614   1,767,737 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,767,737
F5 NETWORKS INC      COM          31561610     56,976   1,646,233 SH         DEFINED  1,2,5,6,10               1,646,233
FACET BIOTECH CORP   SHS          30303Q10      4,063     437,357 SH         DEFINED  1,2,5,6                    437,357
FACTSET RESH SYS INC COM          30307510     41,595     834,075 SH         DEFINED  1,2,5,6,10                 834,075
FAIR ISAAC CORP      COM          30325010     22,181   1,434,737 SH         DEFINED  1,2,5,6                  1,434,737
FAIRCHILD SEMICONDUC COM          30372610     18,613   2,662,747 SH         DEFINED  1,2,5,6,7,10             2,662,747
FAIRPOINT COMMUNICAT COM          30556010        972   1,619,749 SH         DEFINED  1,2,5,6                  1,619,749
FALCONSTOR SOFTWARE  COM          30613710      2,349     494,597 SH         DEFINED  1,2,5,6                    494,597
FAMILY DLR STORES IN COM          30700010    172,801   6,106,051 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,106,051
FAMOUS DAVES AMER IN COM          30706810         72      11,790 SH         DEFINED  1                           11,790
FARMER BROS CO       COM          30767510      2,074      90,636 SH         DEFINED  1,2,5                       90,636
FARMERS CAP BK CORP  COM          30956210      2,658     105,604 SH         DEFINED  1,2                        105,604
FARO TECHNOLOGIES IN COM          31164210      4,029     259,444 SH         DEFINED  1,2,5,6                    259,444
FASTENAL CO          COM          31190010    135,755   4,092,718 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,092,718
FBL FINL GROUP INC   CL A         30239F10      1,791     216,828 SH         DEFINED  1,2,5                      216,828
FBR CAPITAL MARKETS  COM          30247C30      1,658     352,700 SH         DEFINED  1,2,5,6                    352,700
FCSTONE GROUP INC    COM          31308T10      1,532     387,838 SH         DEFINED  1,2,5,6                    387,838
FEDERAL HOME LN MTG  COM          31340030      1,173   1,891,609 SH         DEFINED  1,2,5,6,10               1,891,609
FEDERAL MOGUL CORP   COM          31354940      3,298     348,977 SH         DEFINED  1,2,5,8,10                 348,977
FEDERAL NATL MTG ASS COM          31358610      1,960   3,379,992 SH         DEFINED  1,2,5,6,10               3,379,992
FEDERAL REALTY INVT  SH BEN INT   31374720    114,957   2,231,306 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   2,231,306
FEDERAL SIGNAL CORP  COM          31385510     10,202   1,333,542 SH         DEFINED  1,2,5                    1,333,542
FEDERATED INVS INC P CL B         31421110     68,295   2,835,001 SH         DEFINED  1,2,5,6,8,10,12,13       2,835,001
FEDEX CORP           COM          31428X10    554,697   9,972,979 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,972,979
FEI CO               COM          30241L10     13,494     589,254 SH         DEFINED  1,2,5,6                    589,254
FELCOR LODGING TR IN COM          31430F10      5,339   2,170,155 SH         DEFINED  1,2,3,5,8                2,170,155
FEMALE HEALTH CO     COM          31446210        536     111,599 SH         DEFINED  1,2                        111,599
FERRELLGAS PARTNERS  UNIT LTD P   31529310        899      55,350 SH         DEFINED  1,2                         55,350
FERRO CORP           COM          31540510      1,902     691,729 SH         DEFINED  1,2,5                      691,729
FGX INTERNATIONAL HL ORD SHS      G3396L10      2,157     189,559 SH         DEFINED  1,2                        189,559
FIBERNET TELECOM GRP COM PAR $0   31565340        701      56,423 SH         DEFINED  1,2                         56,423
FIBERTOWER CORP      COM          31567R10         56     111,254 SH         DEFINED  1,6                        111,254
FIDELITY NATIONAL FI CL A         31620R10     88,923   6,572,319 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,572,319
FIDELITY NATL INFORM COM          31620M10    123,376   6,181,147 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,181,147
FIFTH STREET FINANCE COM          31678A10      2,729     271,800 SH         DEFINED  1,2                        271,800
FIFTH THIRD BANCORP  COM          31677310    217,578  30,644,819 SH         DEFINED  1,2,5,6,7,8,10,12,13    30,644,819
FINANCIAL FED CORP   COM          31749210      8,588     417,922 SH         DEFINED  1,2,5                      417,922
FINANCIAL INSTNS INC COM          31758540      2,174     159,158 SH         DEFINED  1,2                        159,158
FINISAR              COM          31787A10        391     685,620 SH         DEFINED  1,2,5,6                    685,620
FINISH LINE INC      CL A         31792310      5,629     758,682 SH         DEFINED  1,2,5                      758,682
FIRST ACCEPTANCE COR COM          31845710        505     237,046 SH         DEFINED  1,2                        237,046





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
FIRST ADVANTAGE CORP CL A         31845F10      2,469     162,296 SH         DEFINED  1,2                        162,296
FIRST AMERN CORP CAL COM          31852230     76,343   2,946,456 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,946,456
FIRST BANCORP INC ME COM          31866P10      2,914     149,664 SH         DEFINED  1,2                        149,664
FIRST BANCORP N C    COM          31891010      3,429     218,697 SH         DEFINED  1,2,5                      218,697
FIRST BANCORP P R    COM          31867210      6,621   1,676,270 SH         DEFINED  1,2,5                    1,676,270
FIRST BUSEY CORP     COM          31938310      3,013     409,994 SH         DEFINED  1,2,5                      409,994
FIRST CALIFORNIA FIN COM NEW      31939510        288      46,743 SH         DEFINED  1,2                         46,743
FIRST CASH FINL SVCS COM          31942D10      6,788     387,453 SH         DEFINED  1,2,5,6                    387,453
FIRST CMNTY BANCSHAR COM          31983A10      2,080     162,013 SH         DEFINED  1,2,5                      162,013
FIRST COMWLTH FINL C COM          31982910     18,518   2,920,751 SH         DEFINED  1,2,5                    2,920,751
FIRST CTZNS BANCSHAR CL A         31946M10      8,637      64,626 SH         DEFINED  1,2,5,6,7,10                64,626
FIRST DEFIANCE FINL  COM          32006W10      1,011      77,785 SH         DEFINED  1,2                         77,785
FIRST FINANCIAL NORT COM          32022K10      4,545     581,238 SH         DEFINED  1,2                        581,238
FIRST FINL BANCORP O COM          32020910      5,684     754,857 SH         DEFINED  1,2,5                      754,857
FIRST FINL BANKSHARE COM          32020R10     17,035     338,269 SH         DEFINED  1,2,5,6                    338,269
FIRST FINL CORP IND  COM          32021810      6,245     197,754 SH         DEFINED  1,2,5,6                    197,754
FIRST FINL HLDGS INC COM          32023910      1,762     187,487 SH         DEFINED  1,2                        187,487
FIRST FINL SVC CORP  COM          32022D10        738      42,418 SH         DEFINED  1,2                         42,418
FIRST HORIZON NATL C COM          32051710     94,860   7,905,012 SH         DEFINED  1,2,5,6,8,10,12,13       7,905,012
FIRST INDUSTRIAL REA COM          32054K10      5,753   1,322,569 SH         DEFINED  1,2,3,5,8                1,322,569
FIRST LONG IS CORP   COM          32073410      1,469      63,498 SH         DEFINED  1,2                         63,498
FIRST MARBLEHEAD COR COM          32077110      2,047   1,013,235 SH         DEFINED  1,2,5                    1,013,235
FIRST MERCHANTS CORP COM          32081710      2,853     355,241 SH         DEFINED  1,2,5                      355,241
FIRST MERCURY FINANC COM          32084110      3,329     241,779 SH         DEFINED  1,2                        241,779
FIRST MIDWEST BANCOR COM          32086710     13,605   1,861,191 SH         DEFINED  1,2,5                    1,861,191
FIRST NIAGARA FINL G COM          33582V10     43,792   3,834,669 SH         DEFINED  1,2,5,10                 3,834,669
FIRST PL FINL CORP   COM          33610T10        130      41,754 SH         DEFINED  1                           41,754
FIRST POTOMAC RLTY T COM          33610F10     10,498   1,076,690 SH         DEFINED  1,2,3,8                  1,076,690
FIRST SEC GROUP INC  COM          33631210         64      16,800 SH         DEFINED  1                           16,800
FIRST SOLAR INC      COM          33643310    111,330     686,376 SH         DEFINED  1,2,5,6,7,8,10,12,13       686,376
FIRST SOUTH BANCORP  COM          33646W10      1,629     140,408 SH         DEFINED  1,2                        140,408
FIRST ST BANCORPORAT COM          33645310         23      11,662 SH         DEFINED  1                           11,662
FIRSTENERGY CORP     COM          33793210    803,829  20,743,984 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,743,984
FIRSTMERIT CORP      COM          33791510     49,919   2,936,433 SH         DEFINED  1,2,5,6                  2,936,433
FISERV INC           COM          33773810    233,045   5,098,342 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,098,342
FISHER COMMUNICATION COM          33775620      1,349     105,500 SH         DEFINED  1,2,5,6                    105,500
FIVE STAR QUALITY CA COM          33832D10         70      36,554 SH         DEFINED  1                           36,554
FLAGSTAR BANCORP INC COM          33793010        729   1,071,979 SH         DEFINED  1,2                      1,071,979
FLAGSTONE REINSURANC SHS          G3529T10      5,788     561,982 SH         DEFINED  1,2                        561,982
FLANDERS CORP        COM          33849410      1,235     202,097 SH         DEFINED  1,2                        202,097
FLEXSTEEL INDS INC   COM          33938210        158      18,861 SH         DEFINED  1                           18,861
FLEXTRONICS INTL LTD ORD          Y2573F10     30,875   7,439,854 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,439,854
FLIR SYS INC         COM          30244510    104,014   4,610,537 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,610,537
FLORIDA PUB UTILS CO COM          34113510        878      62,582 SH         DEFINED  1,2                         62,582
FLOTEK INDS INC DEL  COM          34338910         52      25,751 SH         DEFINED  1,5                         25,751
FLOW INTL CORP       COM          34346810      1,199     510,146 SH         DEFINED  1,2                        510,146
FLOWERS FOODS INC    COM          34349810     31,971   1,463,882 SH         DEFINED  1,2,5,6,10               1,463,882
FLOWSERVE CORP       COM          34354P10    130,023   1,862,531 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,862,531
FLUOR CORP NEW       COM          34341210    309,564   6,035,561 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,035,561
FLUSHING FINL CORP   COM          34387310      3,278     350,632 SH         DEFINED  1,2,5                      350,632
FMC TECHNOLOGIES INC COM          30249U10    177,712   4,728,901 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,728,901
FNB CORP PA          COM          30252010     22,267   3,597,291 SH         DEFINED  1,2,5                    3,597,291
FOCUS MEDIA HLDG LTD SPONSORED    34415V10      1,152     142,923 SH         DEFINED  1,2,6                      142,923
FOMENTO ECONOMICO ME SPON ADR U   34441910     21,873     678,441 SH         DEFINED  1,2,6,7                    678,441





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
FOOT LOCKER INC      COM          34484910     57,136   5,457,083 SH         DEFINED  1,2,5,6,7,8,10,12        5,457,083
FORCE PROTECTION INC COM NEW      34520320     12,943   1,464,119 SH         DEFINED  1,2,5,6                  1,464,119
FORD MTR CO CAP TR I PFD TR CV6   34539520        573      26,000 SH         DEFINED  1,2                         26,000
FORD MTR CO DEL      NOTE 4.25    345370CF        338     400,000 SH         DEFINED  2                          400,000
FORD MTR CO DEL      COM PAR $0   34537086    632,178 104,148,014 SH         DEFINED  1,2,5,6,7,8,10,12,13   104,148,014
FOREST CITY ENTERPRI CL A         34555010      8,345   1,264,463 SH         DEFINED  1,2,3,5,6,8,10,12        1,264,463
FOREST LABS INC      COM          34583810    291,211  11,597,418 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,597,418
FOREST OIL CORP      COM PAR $0   34609170     38,105   2,553,972 SH         DEFINED  1,2,5,6,7,10             2,553,972
FORESTAR GROUP INC   COM          34623310      7,474     629,115 SH         DEFINED  1,2,5,6                    629,115
FORGENT NETWORKS INC COM          34629U10          3      12,271 SH         DEFINED  1                           12,271
FORMFACTOR INC       COM          34637510     12,982     751,260 SH         DEFINED  1,2,5,6                    751,260
FORRESTER RESH INC   COM          34656310      9,140     372,299 SH         DEFINED  1,2,5,6                    372,299
FORTRESS INVESTMENT  CL A         34958B10        310      90,697 SH         DEFINED  1,2,8                       90,697
FORTUNE BRANDS INC   COM          34963110    166,869   4,803,369 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,803,369
FORWARD AIR CORP     COM          34985310     11,263     528,271 SH         DEFINED  1,2,5,6,8                  528,271
FORWARD INDS INC N Y COM NEW      34986230         21      12,523 SH         DEFINED  1                           12,523
FOSSIL INC           COM          34988210     27,709   1,150,726 SH         DEFINED  1,2,5,6,8                1,150,726
FOSTER L B CO        COM          35006010      5,380     178,930 SH         DEFINED  1,2,5,6                    178,930
FOSTER WHEELER AG    COM          H2717810     21,106     888,692 SH         DEFINED  1,2,5,7,8,10,12,13         888,692
FOUNDATION COAL HLDG COM          35039W10     43,066   1,532,035 SH         DEFINED  1,2,5,6,10               1,532,035
FOX CHASE BANCORP    COM          35137P10      1,761     183,663 SH         DEFINED  1,2                        183,663
FPIC INS GROUP INC   COM          30256310      4,953     161,773 SH         DEFINED  1,2,5                      161,773
FPL GROUP INC        COM          30257110    833,849  14,664,957 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,664,957
FRANCE TELECOM       SPONSORED    35177Q10        921      40,363 SH         DEFINED  1,2                         40,363
FRANKLIN COVEY CO    COM          35346910        518      83,184 SH         DEFINED  1,2                         83,184
FRANKLIN ELEC INC    COM          35351410      8,829     340,637 SH         DEFINED  1,2,5                      340,637
FRANKLIN RES INC     COM          35461310    389,959   5,415,344 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,415,344
FRANKLIN STREET PPTY COM          35471R10     14,412   1,087,695 SH         DEFINED  1,2,3,5                  1,087,695
FREDS INC            CL A         35610810      9,083     718,629 SH         DEFINED  1,2,5                      718,629
FREEPORT-MCMORAN COP PFD CONV     35671D78      1,708      21,500 SH         DEFINED  1,2                         21,500
FREEPORT-MCMORAN COP COM          35671D85    731,977  14,607,400 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,607,400
FREIGHTCAR AMER INC  COM          35702310      3,017     179,455 SH         DEFINED  1,2,5                      179,455
FRESENIUS KABI PHARM RIGHT 06/3   35802M11         23      84,455 SH         DEFINED  1,2                         84,455
FRESENIUS MED CARE A SPONSORED    35802910        211       4,694 SH         DEFINED  1                            4,694
FRESH DEL MONTE PROD ORD          G3673810      9,240     568,247 SH         DEFINED  1,2,5                      568,247
FRIEDMAN INDS INC    COM          35843510         61      11,240 SH         DEFINED  1                           11,240
FRISCHS RESTAURANTS  COM          35874810        665      22,524 SH         DEFINED  1,2                         22,524
FRONTIER COMMUNICATI COM          35906A10     64,799   9,075,524 SH         DEFINED  1,2,5,6,8,10,12,13       9,075,524
FRONTIER FINL CORP W COM          35907K10        190     161,437 SH         DEFINED  1,2                        161,437
FRONTIER OIL CORP    COM          35914P10     56,188   4,285,852 SH         DEFINED  1,2,5,6,7,8,10           4,285,852
FRONTLINE LTD        SHS          G3682E12      8,031     329,663 SH         DEFINED  1,5,8,10                   329,663
FROZEN FOOD EXPRESS  COM          35936010         46      14,321 SH         DEFINED  1,5                         14,321
FSI INTL INC         COM          30263310         20      49,179 SH         DEFINED  1                           49,179
FTI CONSULTING INC   COM          30294110     59,713   1,177,299 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,177,299
FUEL SYS SOLUTIONS I COM          35952W10      3,400     168,412 SH         DEFINED  1,2,5,6                    168,412
FUEL TECH INC        COM          35952310      2,488     256,452 SH         DEFINED  1,2,5,6                    256,452
FUELCELL ENERGY INC  COM          35952H10      5,615   1,343,224 SH         DEFINED  1,2,5,6                  1,343,224
FULLER H B CO        COM          35969410     16,947     902,864 SH         DEFINED  1,2,5                      902,864
FULTON FINL CORP PA  COM          36027110     28,899   5,568,135 SH         DEFINED  1,2,5,6,8,10,12          5,568,135
FUQI INTERNATIONAL I COM NEW      36102A20      2,123     102,512 SH         DEFINED  1,2                        102,512
FURMANITE CORPORATIO COM          36108610      2,179     488,618 SH         DEFINED  1,2,5,6                    488,618
FURNITURE BRANDS INT COM          36092110      2,035     671,491 SH         DEFINED  1,2,5                      671,491
FUSHI COPPERWELD INC COM          36113E10      1,464     177,052 SH         DEFINED  1,2,6                      177,052
FX ENERGY INC        COM          30269510      2,101     550,097 SH         DEFINED  1,2,5                      550,097





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
G & K SVCS INC       CL A         36126810      7,010     331,431 SH         DEFINED  1,2,5                      331,431
GAIAM INC            CL A         36268Q10      1,347     246,330 SH         DEFINED  1,2,6                      246,330
GALLAGHER ARTHUR J & COM          36357610     43,359   2,031,805 SH         DEFINED  1,2,5,6,8,10,12          2,031,805
GAMCO INVESTORS INC  COM          36143810      4,709      97,086 SH         DEFINED  1,2,5,6                     97,086
GAMESTOP CORP NEW    CL A         36467W10    125,486   5,701,326 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,701,326
GANDER MOUNTAIN CO   COM          36471P10        224      37,304 SH         DEFINED  1,2                         37,304
GANNETT INC          COM          36473010     36,333  10,177,219 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,177,219
GAP INC DEL          COM          36476010    318,498  19,420,632 SH         DEFINED  1,2,5,6,7,8,10,12,13    19,420,632
GARDNER DENVER INC   COM          36555810     23,355     927,875 SH         DEFINED  1,2,5,6,7,10               927,875
GARMIN LTD           ORD          G3726010     37,231   1,563,005 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,563,005
GARTNER INC          COM          36665110     29,400   1,926,599 SH         DEFINED  1,2,5,6,7,8              1,926,599
GASCO ENERGY INC     COM          36722010         36     128,969 SH         DEFINED  1,2,5                      128,969
GASTAR EXPL LTD      COM          36729910         50     124,316 SH         DEFINED  1,2                        124,316
GATX CORP            COM          36144810     25,212     980,231 SH         DEFINED  1,2,5,6,10                 980,231
GAYLORD ENTMT CO NEW COM          36790510      8,001     629,538 SH         DEFINED  1,2,5                      629,538
GENAERA CORP         COM NEW      36867G20          1      10,523 SH         DEFINED  1                           10,523
GENCO SHIPPING & TRA SHS          Y2685T10      7,522     346,322 SH         DEFINED  1,2,5                      346,322
GENCORP INC          COM          36868210      1,857     972,139 SH         DEFINED  1,2,6,8                    972,139
GENERAL CABLE CORP D COM          36930010     32,206     857,000 SH         DEFINED  1,2,5,6,10                 857,000
GENERAL COMMUNICATIO CL A         36938510      7,544   1,088,615 SH         DEFINED  1,2,5,6                  1,088,615
GENERAL DYNAMICS COR COM          36955010    651,071  11,754,302 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,754,302
GENERAL ELECTRIC CO  COM          36960410  4,029,732 343,833,762 SH         DEFINED  1,2,5,6,7,8,10,12,13   343,833,762
GENERAL MARITIME COR SHS          Y2693R10      7,053     713,154 SH         DEFINED  1,2,5,8                    713,154
GENERAL MLS INC      COM          37033410  1,059,716  18,916,737 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,916,737
GENERAL MOLY INC     COM          37037310      1,920     864,729 SH         DEFINED  1,2,6                      864,729
GENERAL STEEL HOLDIN COM          37085310        565     142,337 SH         DEFINED  1,2                        142,337
GENESCO INC          COM          37153210      7,788     414,927 SH         DEFINED  1,2,5                      414,927
GENESEE & WYO INC    CL A         37155910     14,181     534,915 SH         DEFINED  1,2,5,6                    534,915
GENESIS ENERGY L P   UNIT LTD P   37192710        421      33,113 SH         DEFINED  1,2                         33,113
GENOMIC HEALTH INC   COM          37244C10      3,925     226,465 SH         DEFINED  1,2,5,6                    226,465
GENOPTIX INC         COM          37243V10      7,368     230,321 SH         DEFINED  1,2,5,6                    230,321
GENPACT LIMITED      SHS          G3922B10      5,271     448,559 SH         DEFINED  1,2,5,10                   448,559
GEN-PROBE INC NEW    COM          36866T10     45,546   1,058,967 SH         DEFINED  1,2,5,6,10               1,058,967
GENTEK INC           COM NEW      37245X20      2,952     132,187 SH         DEFINED  1,2,6                      132,187
GENTEX CORP          COM          37190110     34,118   2,941,243 SH         DEFINED  1,2,5,6,8,10,12          2,941,243
GENTIVA HEALTH SERVI COM          37247A10      8,899     540,620 SH         DEFINED  1,2,5,6                    540,620
GENUINE PARTS CO     COM          37246010    171,529   5,111,110 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,111,110
GENVEC INC           COM          37246C10         52      70,855 SH         DEFINED  1,5                         70,855
GENWORTH FINL INC    COM CL A     37247D10    110,444  15,800,313 SH         DEFINED  1,2,5,6,8,10,12,13      15,800,313
GENZYME CORP         COM          37291710    492,159   8,840,642 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,840,642
GEO GROUP INC        COM          36159R10     15,202     818,185 SH         DEFINED  1,2,5,6                    818,185
GEOEYE INC           COM          37250W10      5,927     251,589 SH         DEFINED  1,2,6                      251,589
GEOKINETICS INC      COM PAR $0   37291030        930      68,142 SH         DEFINED  1,2                         68,142
GEOMET INC DEL       COM          37250U20         28      25,500 SH         DEFINED  1                           25,500
GEORESOURCES INC     COM          37247610        881      86,334 SH         DEFINED  1,2                         86,334
GEORGIA GULF CORP    COM PAR $0   37320020         14      22,107 SH         DEFINED  1                           22,107
GERBER SCIENTIFIC IN COM          37373010        129      51,470 SH         DEFINED  1                           51,470
GERDAU S A           SPONSORED    37373710     16,461   1,572,189 SH         DEFINED  1,2,6,7                  1,572,189
GERMAN AMERN BANCORP COM          37386510      1,936     134,358 SH         DEFINED  1,2                        134,358
GERON CORP           COM          37416310     11,289   1,471,838 SH         DEFINED  1,2,5,6                  1,471,838
GETTY RLTY CORP NEW  COM          37429710      7,924     419,948 SH         DEFINED  1,2,3,5,8                  419,948
GFI GROUP INC        COM          36165220      6,569     974,606 SH         DEFINED  1,2,5                      974,606
GIANT INTERACTIVE GR ADR          37451110        338      41,582 SH         DEFINED  1,2,6                       41,582
GIBRALTAR INDS INC   COM          37468910      4,493     651,220 SH         DEFINED  1,2,5                      651,220





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
G-III APPAREL GROUP  COM          36237H10      2,191     190,679 SH         DEFINED  1,2                        190,679
GILAT SATELLITE NETW SHS NEW      M5147411         56      12,550 SH         DEFINED  1                           12,550
GILDAN ACTIVEWEAR IN COM          37591610      1,093      73,870 SH         DEFINED  1,7                         73,870
GILEAD SCIENCES INC  NOTE 0.62    375558AH      1,356   1,050,000 SH         DEFINED  1,2                      1,050,000
GILEAD SCIENCES INC  COM          37555810  1,396,897  29,822,727 SH         DEFINED  1,2,5,6,7,8,10,12,13    29,822,727
GLACIER BANCORP INC  COM          37637Q10     26,115   1,768,136 SH         DEFINED  1,2,5,6                  1,768,136
GLADSTONE CAPITAL CO COM          37653510      2,143     284,651 SH         DEFINED  1,2                        284,651
GLADSTONE COML CORP  COM          37653610      1,364     105,216 SH         DEFINED  1,2,3,5                    105,216
GLADSTONE INVT CORP  COM          37654610      1,510     312,552 SH         DEFINED  1,2                        312,552
GLATFELTER           COM          37731610      8,830     992,080 SH         DEFINED  1,2,5                      992,080
GLAXOSMITHKLINE PLC  SPONSORED    37733W10    550,087  15,565,562 SH         DEFINED  1,2                     15,565,562
GLG PARTNERS INC     COM          37929X10     12,937   3,163,030 SH         DEFINED  1,2,6,7,10               3,163,030
GLIMCHER RLTY TR     SH BEN INT   37930210      2,354     811,877 SH         DEFINED  1,2,3,8                    811,877
GLOBAL CASH ACCESS H COM          37896710      8,506   1,068,630 SH         DEFINED  1,2,5,6                  1,068,630
GLOBAL CROSSING LTD  SHS NEW      G3921A17      4,046     440,695 SH         DEFINED  1,2,5                      440,695
GLOBAL INDS LTD      COM          37933610      9,819   1,734,779 SH         DEFINED  1,2,5,6                  1,734,779
GLOBAL PMTS INC      COM          37940X10     58,126   1,551,672 SH         DEFINED  1,2,5,6,10               1,551,672
GLOBAL SOURCES LTD   ORD          G3930010      1,136     157,530 SH         DEFINED  1,2                        157,530
GLOBALSTAR INC       COM          37897340         95      90,114 SH         DEFINED  1                           90,114
GLOBECOMM SYSTEMS IN COM          37956X10      2,044     284,307 SH         DEFINED  1,2                        284,307
GMX RES INC          COM          38011M10      3,328     312,741 SH         DEFINED  1,2,5,6                    312,741
GOL LINHAS AEREAS IN SP ADR REP   38045R10         61      10,805 SH         DEFINED  1,6                         10,805
GOLAR LNG LTD BERMUD SHS          G9456A10      3,123     365,248 SH         DEFINED  1                          365,248
GOLD FIELDS LTD NEW  SPONSORED    38059T10        374      31,068 SH         DEFINED  1,6                         31,068
GOLDMAN SACHS GROUP  COM          38141G10  2,739,283  18,578,971 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,578,971
GOODRICH CORP        COM          38238810    198,854   3,979,459 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,979,459
GOODRICH PETE CORP   COM NEW      38241040     11,200     455,475 SH         DEFINED  1,2,5,6                    455,475
GOODYEAR TIRE & RUBR COM          38255010     84,718   7,523,767 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,523,767
GOOGLE INC           CL A         38259P50  3,210,047   7,614,144 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,614,144
GORMAN RUPP CO       COM          38308210      3,998     198,219 SH         DEFINED  1,2,5,6                    198,219
GOVERNMENT PPTYS INC COM SHS BE   38376A10        228      11,123 SH         DEFINED  1,2,3                       11,123
GP STRATEGIES CORP   COM          36225V10        798     135,400 SH         DEFINED  1,2                        135,400
GRACE W R & CO DEL N COM          38388F10     14,853   1,200,751 SH         DEFINED  1,2,5,6                  1,200,751
GRACO INC            COM          38410910     27,219   1,236,101 SH         DEFINED  1,2,5,6,10               1,236,101
GRAFTECH INTL LTD    COM          38431310     28,893   2,554,637 SH         DEFINED  1,2,5,6                  2,554,637
GRAHAM CORP          COM          38455610      2,782     209,173 SH         DEFINED  1,2                        209,173
GRAINGER W W INC     COM          38480210    163,055   1,991,393 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,991,393
GRAMERCY CAP CORP    COM          38487110      1,068     663,111 SH         DEFINED  1,2,3                      663,111
GRAN TIERRA ENERGY I COM          38500T10     11,344   3,288,141 SH         DEFINED  1,2                      3,288,141
GRAND CANYON ED INC  COM          38526M10      3,465     206,522 SH         DEFINED  1,2,6                      206,522
GRANITE CONSTR INC   COM          38732810     40,709   1,223,233 SH         DEFINED  1,2,5,7,8                1,223,233
GRAPHIC PACKAGING HL COM          38868910      3,275   1,789,525 SH         DEFINED  1,2,5                    1,789,525
GRAY TELEVISION INC  COM          38937510         15      30,758 SH         DEFINED  1                           30,758
GREAT ATLANTIC & PAC COM          39006410      3,005     707,082 SH         DEFINED  1,2,5,6,8                  707,082
GREAT LAKES DREDGE & COM          39060710      2,472     517,103 SH         DEFINED  1,2                        517,103
GREAT PLAINS ENERGY  COM          39116410     40,247   2,588,219 SH         DEFINED  1,2,5,6,10               2,588,219
GREAT SOUTHN BANCORP COM          39090510      2,674     130,106 SH         DEFINED  1,2                        130,106
GREAT WOLF RESORTS I COM          39152310        885     433,679 SH         DEFINED  1,2                        433,679
GREATBATCH INC       COM          39153L10     10,503     464,513 SH         DEFINED  1,2,5                      464,513
GREEN BANKSHARES INC COM NEW      39436120        134      29,966 SH         DEFINED  1                           29,966
GREEN MTN COFFEE ROA COM          39312210     18,926     320,128 SH         DEFINED  1,2,5,6,10                 320,128
GREEN PLAINS RENEWAB COM          39322210        642      98,089 SH         DEFINED  1,2                         98,089
GREENBRIER COS INC   COM          39365710      1,757     244,310 SH         DEFINED  1,2                        244,310
GREENHILL & CO INC   COM          39525910     17,055     236,182 SH         DEFINED  1,2,5,6,10                 236,182





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
GREENLIGHT CAPITAL R CLASS A      G4095J10      9,739     562,650 SH         DEFINED  1,2,6                      562,650
GREIF INC            CL A         39762410     28,976     655,262 SH         DEFINED  1,2,5,6,10                 655,262
GRIFFIN LD & NURSERI CL A         39823110      1,317      42,109 SH         DEFINED  1,2                         42,109
GRIFFON CORP         COM          39843310      6,801     817,381 SH         DEFINED  1,2,5,6                    817,381
GROUP 1 AUTOMOTIVE I COM          39890510     31,385   1,206,173 SH         DEFINED  1,2,5                    1,206,173
GROUPE CGI INC       CL A SUB V   39945C10        192      21,670 SH         DEFINED  1,7                         21,670
GRUBB & ELLIS CO     COM PAR $0   40009520         34      42,081 SH         DEFINED  1                           42,081
GRUPO AEROPORTUARIO  SPON ADR S   40051E20      1,964      50,362 SH         DEFINED  1,4                         50,362
GRUPO FINANCIERO GAL SP ADR 10    39990910        113      34,307 SH         DEFINED  1,2                         34,307
GRUPO TELEVISA SA DE SP ADR REP   40049J20     65,685   3,863,798 SH         DEFINED  1,2,4,6,7                3,863,798
GSE SYS INC          COM          36227K10        909     134,666 SH         DEFINED  1,2                        134,666
GSI COMMERCE INC     COM          36238G10      5,816     408,148 SH         DEFINED  1,2,5,6                    408,148
GSI TECHNOLOGY       COM          36241U10        717     185,759 SH         DEFINED  1,2                        185,759
GT SOLAR INTL INC    COM          3623E020      3,322     623,211 SH         DEFINED  1,2,5,6                    623,211
GTX INC DEL          COM          40052B10      2,350     254,617 SH         DEFINED  1,2,5,6                    254,617
GUARANTY BANCORP DEL COM          40075T10      1,659     868,621 SH         DEFINED  1,2                        868,621
GUARANTY FINL GROUP  COM          40108N10         30     160,200 SH         DEFINED  1,2,6,13                   160,200
GUESS INC            COM          40161710     50,309   1,951,472 SH         DEFINED  1,2,5,6,10               1,951,472
GULF ISLAND FABRICAT COM          40230710      3,331     210,453 SH         DEFINED  1,2,5                      210,453
GULFMARK OFFSHORE IN COM          40262910      9,387     340,093 SH         DEFINED  1,2,5,6                    340,093
GULFPORT ENERGY CORP COM NEW      40263530      2,421     353,369 SH         DEFINED  1,2,5,6                    353,369
GYMBOREE CORP        COM          40377710     38,828   1,094,370 SH         DEFINED  1,2,5,6                  1,094,370
H & E EQUIPMENT SERV COM          40403010      4,892     523,165 SH         DEFINED  1,2,5                      523,165
HACKETT GROUP INC    COM          40460910      1,293     554,875 SH         DEFINED  1,2,5                      554,875
HAEMONETICS CORP     COM          40502410     27,368     480,132 SH         DEFINED  1,2,5,6                    480,132
HAIN CELESTIAL GROUP COM          40521710     10,241     656,026 SH         DEFINED  1,2,5                      656,026
HALLIBURTON CO       COM          40621610    786,592  37,999,603 SH         DEFINED  1,2,5,6,7,8,10,12,13    37,999,603
HALLMARK FINL SVCS I COM NEW      40624Q20        592      82,819 SH         DEFINED  1,2                         82,819
HALOZYME THERAPEUTIC COM          40637H10      6,226     892,041 SH         DEFINED  1,2,5,6                    892,041
HAMPTON ROADS BANKSH COM          40932110      1,846     223,790 SH         DEFINED  1,2                        223,790
HANA BIOSCIENCES INC COM          40963P10         11      22,892 SH         DEFINED  1                           22,892
HANCOCK HLDG CO      COM          41012010     28,730     884,262 SH         DEFINED  1,2,5,6                    884,262
HANESBRANDS INC      COM          41034510     29,311   1,952,777 SH         DEFINED  1,2,5,6,8,10             1,952,777
HANGER ORTHOPEDIC GR COM NEW      41043F20      6,037     444,213 SH         DEFINED  1,2,5,6                    444,213
HANMI FINL CORP      COM          41049510        478     273,254 SH         DEFINED  1,2                        273,254
HANOVER INS GROUP IN COM          41086710     39,324   1,031,845 SH         DEFINED  1,2,5,6,7,8,10           1,031,845
HANSEN MEDICAL INC   COM          41130710      1,557     315,264 SH         DEFINED  1,2,5,6                    315,264
HANSEN NAT CORP      COM          41131010     53,333   1,728,228 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,728,228
HARBIN ELECTRIC INC  COM          41145W10      1,640     104,889 SH         DEFINED  1,2                        104,889
HARLEY DAVIDSON INC  COM          41282210    121,607   7,501,972 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,501,972
HARLEYSVILLE GROUP I COM          41282410      8,539     302,590 SH         DEFINED  1,2,5                      302,590
HARLEYSVILLE NATL CO COM          41285010      3,415     722,006 SH         DEFINED  1,2,5                      722,006
HARMAN INTL INDS INC COM          41308610     37,163   1,976,740 SH         DEFINED  1,2,5,6,8,10,12,13       1,976,740
HARMONIC INC         COM          41316010     11,657   1,979,034 SH         DEFINED  1,2,5,6                  1,979,034
HARMONY GOLD MNG LTD SPONSORED    41321630        240      23,296 SH         DEFINED  1,6                         23,296
HARRIS & HARRIS GROU COM          41383310      1,914     328,315 SH         DEFINED  1,2                        328,315
HARRIS CORP DEL      COM          41387510    133,707   4,714,633 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,714,633
HARRIS INTERACTIVE I COM          41454910         11      25,764 SH         DEFINED  1                           25,764
HARRIS STRATEX NTWRK CL A         41457P10      8,423   1,299,822 SH         DEFINED  1,2,5,7,8,13             1,299,822
HARSCO CORP          COM          41586410     70,887   2,504,845 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,504,845
HARTE-HANKS INC      COM          41619610     10,072   1,088,818 SH         DEFINED  1,2,5                    1,088,818
HARTFORD FINL SVCS G COM          41651510    246,401  20,758,261 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,758,261
HARVARD BIOSCIENCE I COM          41690610        868     219,840 SH         DEFINED  1,2                        219,840
HARVEST NATURAL RESO COM          41754V10      2,241     508,211 SH         DEFINED  1,2,5                      508,211





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
HASBRO INC           COM          41805610    106,653   4,399,885 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,399,885
HATTERAS FINL CORP   COM          41902R10     19,220     672,255 SH         DEFINED  1,2,5                      672,255
HAVERTY FURNITURE IN COM          41959610      2,554     279,105 SH         DEFINED  1,2                        279,105
HAWAIIAN ELEC INDUST COM          41987010     36,493   1,914,635 SH         DEFINED  1,2,5,6,8,10             1,914,635
HAWAIIAN HOLDINGS IN COM          41987910      6,336   1,052,436 SH         DEFINED  1,2,6                    1,052,436
HAWK CORP            CL A         42008910        727      52,521 SH         DEFINED  1,2                         52,521
HAWKINS INC          COM          42026110      2,348     104,005 SH         DEFINED  1,2                        104,005
HAYNES INTERNATIONAL COM NEW      42087720      4,125     174,036 SH         DEFINED  1,2,5,6                    174,036
HCC INS HLDGS INC    COM          40413210     56,964   2,372,520 SH         DEFINED  1,2,5,6,7,8,10           2,372,520
HCP INC              COM          40414L10    303,347  14,315,592 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  14,315,592
HDFC BANK LTD        ADR REPS 3   40415F10     17,350     168,239 SH         DEFINED  1,2,4,5,6,8                168,239
HEADWATERS INC       COM          42210P10      2,345     697,832 SH         DEFINED  1,2,5                      697,832
HEALTH CARE REIT INC COM          42217K10    187,858   5,509,037 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   5,509,037
HEALTH GRADES INC    COM          42218Q10        847     216,513 SH         DEFINED  1,2,5                      216,513
HEALTH MGMT ASSOC IN CL A         42193310     32,712   6,621,837 SH         DEFINED  1,2,5,6,8,10             6,621,837
HEALTH NET INC       COM          42222G10     34,414   2,213,112 SH         DEFINED  1,2,5,6,7,8,10,12        2,213,112
HEALTHCARE RLTY TR   COM          42194610     33,382   1,983,510 SH         DEFINED  1,2,3,5,8                1,983,510
HEALTHCARE SVCS GRP  COM          42190610     11,737     656,453 SH         DEFINED  1,2,5,6                    656,453
HEALTHSOUTH CORP     COM NEW      42192430     19,902   1,378,251 SH         DEFINED  1,2,5,6                  1,378,251
HEALTHSPRING INC     COM          42224N10     13,912   1,281,021 SH         DEFINED  1,2,5                    1,281,021
HEALTHTRONICS INC    COM          42222L10         75      37,393 SH         DEFINED  1                           37,393
HEALTHWAYS INC       COM          42224510      8,221     611,250 SH         DEFINED  1,2,5,6                    611,250
HEARTLAND EXPRESS IN COM          42234710     16,750   1,137,884 SH         DEFINED  1,2,5,6                  1,137,884
HEARTLAND FINL USA I COM          42234Q10      2,574     180,281 SH         DEFINED  1,2                        180,281
HEARTLAND PMT SYS IN COM          42235N10      4,816     503,266 SH         DEFINED  1,2,5,6                    503,266
HEARTWARE INTL INC   COM          42236810      1,123      40,230 SH         DEFINED  1,2                         40,230
HECKMANN CORP        COM          42268010      3,932   1,048,648 SH         DEFINED  1,2,5                    1,048,648
HECLA MNG CO         COM          42270410     34,024  12,695,665 SH         DEFINED  1,2,5,6                 12,695,665
HEELYS INC           COM          42279M10         35      17,400 SH         DEFINED  1                           17,400
HEICO CORP NEW       COM          42280610     10,674     294,373 SH         DEFINED  1,2,5,6                    294,373
HEICO CORP NEW       CL A         42280620        962      32,864 SH         DEFINED  1,2,5,6                     32,864
HEIDRICK & STRUGGLES COM          42281910      6,594     361,290 SH         DEFINED  1,2,5,6                    361,290
HEINZ H J CO         COM          42307410    366,642  10,270,097 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,270,097
HELEN OF TROY CORP L COM          G4388N10      8,119     483,539 SH         DEFINED  1,2,5,7,8                  483,539
HELIX ENERGY SOLUTIO COM          42330P10     29,048   2,672,333 SH         DEFINED  1,2,5,6,10               2,672,333
HELLENIC TELECOM ORG SPONSORED    42332530        952     124,403 SH         DEFINED  1,2                        124,403
HELMERICH & PAYNE IN COM          42345210     88,252   2,858,839 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,858,839
HEMISPHERX BIOPHARMA COM          42366C10      3,510   1,382,047 SH         DEFINED  1,2                      1,382,047
HENRY JACK & ASSOC I COM          42628110     41,266   1,988,732 SH         DEFINED  1,2,5,6                  1,988,732
HERBALIFE LTD        COM USD SH   G4412G10     20,638     654,351 SH         DEFINED  1,2,5,7,10                 654,351
HERCULES OFFSHORE IN COM          42709310      7,022   1,773,192 SH         DEFINED  1,2,5,6                  1,773,192
HERCULES TECH GROWTH COM          42709650      6,137     730,653 SH         DEFINED  1,2                        730,653
HERITAGE COMMERCE CO COM          42692710         85      22,901 SH         DEFINED  1                           22,901
HERITAGE CRYSTAL CLE COM          42726M10        152      12,540 SH         DEFINED  1,2                         12,540
HERITAGE FINL CORP W COM          42722X10        668      57,828 SH         DEFINED  1,2                         57,828
HERLEY INDS INC DEL  COM          42739810      2,125     193,679 SH         DEFINED  1,2                        193,679
HERSHA HOSPITALITY T SH BEN INT   42782510      3,327   1,341,656 SH         DEFINED  1,2,3,5                  1,341,656
HERSHEY CO           COM          42786610    191,156   5,309,901 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,309,901
HERTZ GLOBAL HOLDING COM          42805T10     21,078   2,638,023 SH         DEFINED  1,2,5,6,7,8,10           2,638,023
HESS CORP            COM          42809H10    542,642  10,095,657 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,095,657
HEWITT ASSOCS INC    COM          42822Q10     55,226   1,854,462 SH         DEFINED  1,2,5,6,7,8,10           1,854,462
HEWLETT PACKARD CO   COM          42823610  4,288,619 110,960,383 SH         DEFINED  1,2,5,6,7,8,10,12,13   110,960,383
HEXCEL CORP NEW      COM          42829110     17,571   1,843,715 SH         DEFINED  1,2,5,6                  1,843,715
HFF INC              CL A         40418F10         47      12,100 SH         DEFINED  1                           12,100





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
HHGREGG INC          COM          42833L10      2,947     194,389 SH         DEFINED  1,2,6                      194,389
HIBBETT SPORTS INC   COM          42856710      7,793     432,924 SH         DEFINED  1,2,5,6                    432,924
HICKORY TECH CORP    COM          42906010        967     125,971 SH         DEFINED  1,2                        125,971
HIGHWOODS PPTYS INC  COM          43128410     61,983   2,770,797 SH         DEFINED  1,2,3,5,6,8              2,770,797
HILL INTERNATIONAL I COM          43146610      1,463     340,124 SH         DEFINED  1,2,5,6                    340,124
HILL ROM HLDGS INC   COM          43147510     24,590   1,516,020 SH         DEFINED  1,2,5,6,7,8,10,12        1,516,020
HILLENBRAND INC      COM          43157110     13,613     818,112 SH         DEFINED  1,2,5,6,7,10               818,112
HILLTOP HOLDINGS INC COM          43274810      8,068     679,694 SH         DEFINED  1,2,3,5,6                  679,694
HIMAX TECHNOLOGIES I SPONSORED    43289P10        126      33,681 SH         DEFINED  2                           33,681
HI-TECH PHARMACAL IN COM          42840B10        584      65,638 SH         DEFINED  1,2                         65,638
HITTITE MICROWAVE CO COM          43365Y10     10,677     307,244 SH         DEFINED  1,2,5,6                    307,244
HLTH CORPORATION     COM          40422Y10     15,762   1,203,218 SH         DEFINED  1,2,5,6,8,10,12          1,203,218
HMS HLDGS CORP       COM          40425J10     16,972     416,800 SH         DEFINED  1,2,5,6                    416,800
HNI CORP             COM          40425110     21,550   1,193,266 SH         DEFINED  1,2,5,6                  1,193,266
HOKU SCIENTIFIC INC  COM          43471210         42      16,600 SH         DEFINED  1                           16,600
HOLLIS-EDEN PHARMACE COM          43590210         12      23,507 SH         DEFINED  1                           23,507
HOLLY CORP           COM PAR $0   43575830     18,877   1,049,893 SH         DEFINED  1,2,5,6,10               1,049,893
HOLLY ENERGY PARTNER COM UT LTD   43576310        248       7,804 SH         DEFINED  1,2                          7,804
HOLLYWOOD MEDIA CORP COM          43623310         24      15,519 SH         DEFINED  1                           15,519
HOLOGIC INC          FRNT  2.00   436440AA      1,704   2,400,000 SH         DEFINED  1,2                      2,400,000
HOLOGIC INC          COM          43644010     86,499   6,070,088 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,070,088
HOME BANCORP INC     COM          43689E10      1,044      87,461 SH         DEFINED  1,2                         87,461
HOME BANCSHARES INC  COM          43689320      4,319     226,830 SH         DEFINED  1,2,5,6                    226,830
HOME DEPOT INC       COM          43707610  1,429,827  60,508,955 SH         DEFINED  1,2,5,6,7,8,10,12,13    60,508,955
HOME DIAGNOSTICS INC COM          43708010        671     109,244 SH         DEFINED  1,2                        109,244
HOME FED BANCORP INC COM          43710G10      1,933     189,655 SH         DEFINED  1,2                        189,655
HOME INNS & HOTELS M SPON ADR     43713W10        192      12,072 SH         DEFINED  1,2,6                       12,072
HOME PROPERTIES INC  COM          43730610     39,128   1,147,462 SH         DEFINED  1,2,3,5,8                1,147,462
HONDA MOTOR LTD      AMERN SHS    43812830      1,069      39,049 SH         DEFINED  1,2                         39,049
HONEYWELL INTL INC   COM          43851610  2,509,754  79,928,476 SH         DEFINED  1,2,5,6,7,8,10,12,13    79,928,476
HOOKER FURNITURE COR COM          43903810      2,226     193,925 SH         DEFINED  1,2                        193,925
HOOPER HOLMES INC    COM          43910410         30      68,456 SH         DEFINED  1                           68,456
HORACE MANN EDUCATOR COM          44032710     11,002   1,103,461 SH         DEFINED  1,2,5                    1,103,461
HORIZON FINL CORP WA COM          44041F10         12      10,914 SH         DEFINED  1,2                         10,914
HORIZON LINES INC    COM          44044K10      2,052     531,491 SH         DEFINED  1,2,5                      531,491
HORMEL FOODS CORP    COM          44045210     76,995   2,229,146 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,229,146
HORNBECK OFFSHORE SV COM          44054310      9,102     425,507 SH         DEFINED  1,2,5,6                    425,507
HORSEHEAD HLDG CORP  COM          44069430      4,541     609,564 SH         DEFINED  1,2,6                      609,564
HOSPIRA INC          COM          44106010    219,395   5,695,609 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,695,609
HOSPITALITY PPTYS TR COM SH BEN   44106M10     50,538   4,250,495 SH         DEFINED  1,2,3,5,6,8,10           4,250,495
HOST HOTELS & RESORT COM          44107P10    251,067  29,924,525 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  29,924,525
HOT TOPIC INC        COM          44133910      8,553   1,170,088 SH         DEFINED  1,2,5,6                  1,170,088
HOUSTON AMERN ENERGY COM          44183U10         39      21,228 SH         DEFINED  1,2                         21,228
HOUSTON WIRE & CABLE COM          44244K10      4,821     404,775 SH         DEFINED  1,2,6                      404,775
HOVNANIAN ENTERPRISE CL A         44248720      1,601     678,472 SH         DEFINED  1,2,5,6                    678,472
HQ SUSTAINABLE MARIT COM NEW      40426A20        648      70,801 SH         DEFINED  1,2                         70,801
HRPT PPTYS TR        COM SH BEN   40426W10     29,255   7,205,744 SH         DEFINED  1,2,3,5,6,7,8,10         7,205,744
HSBC HLDGS PLC       SPON ADR N   40428040      3,409      81,602 SH         DEFINED  1,2                         81,602
HSN INC              COM          40430310      7,889     746,311 SH         DEFINED  1,2,5,6,7                  746,311
HSW INTERNATIONAL IN COM          40431N10          4      15,895 SH         DEFINED  1                           15,895
HUANENG PWR INTL INC SPON ADR H   44330410        242       8,638 SH         DEFINED  1,6                          8,638
HUB GROUP INC        CL A         44332010     12,811     620,694 SH         DEFINED  1,2,5,6                    620,694
HUBBELL INC          CL B         44351020     34,748   1,083,854 SH         DEFINED  1,2,5,6,10               1,083,854
HUDSON CITY BANCORP  COM          44368310    279,020  20,994,707 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,994,707





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
HUDSON HIGHLAND GROU COM          44379210         53      27,048 SH         DEFINED  1                           27,048
HUGHES COMMUNICATION COM          44439810      2,763     121,019 SH         DEFINED  1,2,5,6                    121,019
HUGOTON RTY TR TEX   UNIT BEN I   44471710        748      51,756 SH         DEFINED  1,2,5                       51,756
HUMAN GENOME SCIENCE COM          44490310      6,287   2,190,718 SH         DEFINED  1,2,5,6                  2,190,718
HUMANA INC           COM          44485910    180,680   5,600,734 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,600,734
HUNT J B TRANS SVCS  COM          44565810     65,190   2,133,866 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,133,866
HUNTINGTON BANCSHARE COM          44615010    102,425  24,503,558 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,503,558
HUNTSMAN CORP        COM          44701110      9,759   1,940,219 SH         DEFINED  1,2,5,8,10               1,940,219
HURCO COMPANIES INC  COM          44732410      1,389      88,892 SH         DEFINED  1,2                         88,892
HURON CONSULTING GRO COM          44746210     14,490     313,434 SH         DEFINED  1,2,5,6                    313,434
HUTCHINSON TECHNOLOG COM          44840710        186      95,546 SH         DEFINED  1,2                         95,546
HYPERCOM CORP        COM          44913M10         85      56,978 SH         DEFINED  1,2                         56,978
HYTHIAM INC          COM          44919F10          8      26,772 SH         DEFINED  1                           26,772
I2 TECHNOLOGIES INC  COM NEW      46575420      2,741     218,400 SH         DEFINED  1,2,5                      218,400
IAC INTERACTIVECORP  COM PAR $.   44919P50     34,530   2,151,418 SH         DEFINED  1,2,5,6,7,8,10,12        2,151,418
IAMGOLD CORP         COM          45091310      1,185     117,100 SH         DEFINED  7                          117,100
IBASIS INC           COM NEW      45073220        570     435,431 SH         DEFINED  1,2                        435,431
IBERIABANK CORP      COM          45082810     17,826     452,333 SH         DEFINED  1,2,5                      452,333
ICAD INC             COM          44934S10         54      41,690 SH         DEFINED  1,2                         41,690
ICAHN ENTERPRISES LP DEPOSITRY    45110010        375       9,568 SH         DEFINED  1,2,8                        9,568
ICF INTL INC         COM          44925C10      2,694      97,651 SH         DEFINED  1,2,6                       97,651
ICICI BK LTD         ADR          45104G10     28,422     963,466 SH         DEFINED  1,2,5,6,7,8,12             963,466
ICO GLOBAL COMM HLDG CL A         44930K10         80     129,134 SH         DEFINED  1,2,6                      129,134
ICO INC NEW          COM          44929310        925     339,927 SH         DEFINED  1,2                        339,927
ICON PUB LTD CO      SPONSORED    45103T10      1,008      46,727 SH         DEFINED  5                           46,727
ICONIX BRAND GROUP I COM          45105510     18,973   1,233,626 SH         DEFINED  1,2,5,6                  1,233,626
ICT GROUP INC        COM          44929Y10        931     106,668 SH         DEFINED  1,2                        106,668
ICU MED INC          COM          44930G10      9,244     224,639 SH         DEFINED  1,2,5,6                    224,639
ICX TECHNOLOGIES INC COM          44934T10      1,041     173,422 SH         DEFINED  1,2,6                      173,422
IDACORP INC          COM          45110710     37,667   1,440,954 SH         DEFINED  1,2,5,8                  1,440,954
IDENIX PHARMACEUTICA COM          45166R20      1,502     408,142 SH         DEFINED  1,2,6                      408,142
IDERA PHARMACEUTICAL COM NEW      45168K30      1,453     247,874 SH         DEFINED  1,2                        247,874
IDEX CORP            COM          45167R10     39,776   1,618,881 SH         DEFINED  1,2,5,6,10               1,618,881
IDEXX LABS INC       COM          45168D10     58,814   1,273,030 SH         DEFINED  1,2,5,6,10               1,273,030
IDT CORP             CL B NEW     44894750         64      39,424 SH         DEFINED  1                           39,424
IESI BFC LTD         COM          44951D10        241      20,700 SH         DEFINED  1                           20,700
I-FLOW CORP          COM NEW      44952030      2,313     333,267 SH         DEFINED  1,2                        333,267
IGATE CORP           COM          45169U10      2,716     410,265 SH         DEFINED  1,2                        410,265
IGO INC              COM          44959310         19      26,437 SH         DEFINED  1                           26,437
IHS INC              CL A         45173410     33,042     662,557 SH         DEFINED  1,2,5,6,7,8,10,12,13       662,557
II VI INC            COM          90210410      9,333     419,843 SH         DEFINED  1,2,5,6                    419,843
IKANOS COMMUNICATION COM          45173E10         20      12,200 SH         DEFINED  1                           12,200
ILLINOIS TOOL WKS IN COM          45230810    462,790  12,393,942 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,393,942
ILLUMINA INC         COM          45232710     73,214   1,880,171 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,880,171
IMATION CORP         COM          45245A10      6,852     900,438 SH         DEFINED  1,2,5                      900,438
IMERGENT INC         COM          45247Q10        514      73,373 SH         DEFINED  1,2,5                       73,373
IMMERSION CORP       COM          45252110      1,965     397,845 SH         DEFINED  1,2,5                      397,845
IMMUCOR INC          COM          45252610     23,896   1,736,633 SH         DEFINED  1,2,5,6                  1,736,633
IMMUNOGEN INC        COM          45253H10      6,662     772,862 SH         DEFINED  1,2,5,6                    772,862
IMMUNOMEDICS INC     COM          45290710      2,109     830,267 SH         DEFINED  1,2,5                      830,267
IMPAX LABORATORIES I COM          45256B10      5,952     808,638 SH         DEFINED  1,2                        808,638
IMPERIAL OIL LTD     COM NEW      45303840      1,105      28,719 SH         DEFINED  1                           28,719
IMPERIAL SUGAR CO NE COM NEW      45309620      1,977     163,244 SH         DEFINED  1,2                        163,244
IMS HEALTH INC       COM          44993410     78,662   6,193,873 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,193,873





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
INCONTACT INC        COM          45336E10        480     175,254 SH         DEFINED  1,2                        175,254
INCYTE CORP          COM          45337C10      3,815   1,159,658 SH         DEFINED  1,2,5,6                  1,159,658
INDEPENDENCE HLDG CO COM NEW      45344030        582      91,554 SH         DEFINED  1,2                         91,554
INDEPENDENT BANK COR COM          45383610      6,814     345,877 SH         DEFINED  1,2,5                      345,877
INDEPENDENT BANK COR COM          45383810         55      41,487 SH         DEFINED  1                           41,487
INERGY HLDGS L P     COM          45661Q10        413      10,060 SH         DEFINED  1,2                         10,060
INERGY L P           UNIT LTD P   45661510      1,422      55,802 SH         DEFINED  1,2                         55,802
INFINERA CORPORATION COM          45667G10     12,857   1,408,252 SH         DEFINED  1,2,5,6                  1,408,252
INFINITY PHARMACEUTI COM          45665G30        995     170,335 SH         DEFINED  1,2                        170,335
INFINITY PPTY & CAS  COM          45665Q10      9,463     259,537 SH         DEFINED  1,2,5                      259,537
INFOGROUP INC        COM          45670G10      5,945   1,041,212 SH         DEFINED  1,2,5                    1,041,212
INFORMATICA CORP     COM          45666Q10     28,948   1,683,999 SH         DEFINED  1,2,5,6                  1,683,999
INFORMATION SERVICES COM          45675Y10        689     229,038 SH         DEFINED  1,2                        229,038
INFOSPACE INC        COM PAR $.   45678T30      4,406     664,491 SH         DEFINED  1,2,5,6                    664,491
INFOSYS TECHNOLOGIES SPONSORED    45678810     52,486   1,427,020 SH         DEFINED  1,2,4,5,6,8              1,427,020
ING GROEP N V        SPONSORED    45683710        562      55,426 SH         DEFINED  1                           55,426
INGERSOLL-RAND COMPA CL A         G4776G10     91,305   4,368,680 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,368,680
INGLES MKTS INC      CL A         45703010      3,047     199,942 SH         DEFINED  1,2,5                      199,942
INGRAM MICRO INC     CL A         45715310     85,259   4,871,928 SH         DEFINED  1,2,5,6,7,8,10           4,871,928
INLAND REAL ESTATE C COM NEW      45746120     15,137   2,162,414 SH         DEFINED  1,2,3,5,8                2,162,414
INNERWORKINGS INC    COM          45773Y10      1,845     388,415 SH         DEFINED  1,2,5,6                    388,415
INNODATA ISOGEN INC  COM NEW      45764220        764     174,318 SH         DEFINED  1,2                        174,318
INNOPHOS HOLDINGS IN COM          45774N10      6,654     393,941 SH         DEFINED  1,2,5,6                    393,941
INNOSPEC INC         COM          45768S10      3,509     326,383 SH         DEFINED  1,2,5                      326,383
INNOTRAC CORP        COM          45767M10         19      10,328 SH         DEFINED  1                           10,328
INNOVATIVE SOLUTIONS COM          45769N10        107      23,870 SH         DEFINED  1                           23,870
INSIGHT ENTERPRISES  COM          45765U10      8,369     866,315 SH         DEFINED  1,2,5                      866,315
INSITUFORM TECHNOLOG CL A         45766710     11,701     689,532 SH         DEFINED  1,2,5                      689,532
INSMED INC           COM NEW      45766920      1,648   1,647,758 SH         DEFINED  1,2,5                    1,647,758
INSPIRE PHARMACEUTIC COM          45773310      3,441     618,936 SH         DEFINED  1,2,5,6                    618,936
INSTEEL INDUSTRIES I COM          45774W10      3,070     372,616 SH         DEFINED  1,2,5                      372,616
INSULET CORP         COM          45784P10      2,310     299,977 SH         DEFINED  1,2,5,6                    299,977
INTEGRA BK CORP      COM          45814P10         47      40,920 SH         DEFINED  1,2                         40,920
INTEGRA LIFESCIENCES COM NEW      45798520      7,895     297,808 SH         DEFINED  1,2,5,6                    297,808
INTEGRAL SYS INC MD  COM          45810H10      2,239     269,079 SH         DEFINED  1,2                        269,079
INTEGRATED DEVICE TE COM          45811810     20,118   3,330,777 SH         DEFINED  1,2,5,6,10               3,330,777
INTEGRATED ELECTRICA COM          45811E30        906     115,975 SH         DEFINED  1,2,5                      115,975
INTEGRATED SILICON S COM          45812P10         52      19,649 SH         DEFINED  1                           19,649
INTEGRYS ENERGY GROU COM          45822P10    108,600   3,621,207 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,621,207
INTEL CORP           SDCV  2.95   458140AD      1,092   1,300,000 SH         DEFINED  1,2                      1,300,000
INTEL CORP           COM          45814010  3,120,034 188,521,679 SH         DEFINED  1,2,5,6,7,8,10,12,13   188,521,679
INTELLON CORP        COM          45816W50        765     180,045 SH         DEFINED  1,2                        180,045
INTER PARFUMS INC    COM          45833410      1,700     231,548 SH         DEFINED  1,2                        231,548
INTERACTIVE BROKERS  COM          45841N10      7,519     484,189 SH         DEFINED  1,2,5,6,10                 484,189
INTERACTIVE DATA COR COM          45840J10      8,498     367,222 SH         DEFINED  1,2,5,10                   367,222
INTERACTIVE INTELLIG COM          45839M10      2,058     167,859 SH         DEFINED  1,2,5,6                    167,859
INTERCONTINENTALEXCH COM          45865V10    302,975   2,652,088 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,652,088
INTERDIGITAL INC     COM          45867G10     21,433     876,962 SH         DEFINED  1,2,5,6                    876,962
INTERFACE INC        CL A         45866510      5,806     933,497 SH         DEFINED  1,2,5                      933,497
INTERLEUKIN GENETICS COM          45873810          6      12,342 SH         DEFINED  1                           12,342
INTERLINE BRANDS INC COM          45874310      6,925     506,236 SH         DEFINED  1,2,5                      506,236
INTERMEC INC         COM          45878610     11,753     911,120 SH         DEFINED  1,2,5,6                    911,120
INTERMUNE INC        COM          45884X10      8,498     559,107 SH         DEFINED  1,2,5,6                    559,107
INTERNAP NETWORK SVC COM PAR $.   45885A30      3,925   1,124,540 SH         DEFINED  1,2,5                    1,124,540





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
INTERNATIONAL ASSETS COM          45902810      1,353      90,968 SH         DEFINED  1,2                         90,968
INTERNATIONAL BANCSH COM          45904410     16,371   1,587,862 SH         DEFINED  1,2,5                    1,587,862
INTERNATIONAL BUSINE COM          45920010  6,764,706  64,783,623 SH         DEFINED  1,2,5,6,7,8,10,12,13    64,783,623
INTERNATIONAL COAL G COM          45928H10      5,092   1,780,305 SH         DEFINED  1,2,5,6                  1,780,305
INTERNATIONAL FLAVOR COM          45950610     89,867   2,746,556 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,746,556
INTERNATIONAL GAME T DBCV  2.60   459902AP        518     525,000 SH         DEFINED  1,2                        525,000
INTERNATIONAL GAME T COM          45990210    146,792   9,232,175 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,232,175
INTERNATIONAL RECTIF COM          46025410     23,855   1,610,707 SH         DEFINED  1,2,5,6,10               1,610,707
INTERNATIONAL SHIPHO COM NEW      46032120      2,086      77,388 SH         DEFINED  1,2                         77,388
INTERNATIONAL SPEEDW CL A         46033520     14,291     557,808 SH         DEFINED  1,2,5,10                   557,808
INTERNET BRANDS INC  COM CLASS    46060810      2,390     341,473 SH         DEFINED  1,2,6                      341,473
INTERNET CAP GROUP I COM NEW      46059C20      3,554     528,029 SH         DEFINED  1,2,6                      528,029
INTERPUBLIC GROUP CO COM          46069010     84,181  16,669,523 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,669,523
INTERSIL CORP        CL A         46069S10     34,517   2,745,945 SH         DEFINED  1,2,5,6,10               2,745,945
INTERVAL LEISURE GRO COM          46113M10      6,831     732,963 SH         DEFINED  1,2,5,6,7                  732,963
INTEVAC INC          COM          46114810      2,997     344,098 SH         DEFINED  1,2,5                      344,098
INTL PAPER CO        COM          46014610    538,197  35,571,500 SH         DEFINED  1,2,5,6,7,8,10,12,13    35,571,500
INTREPID POTASH INC  COM          46121Y10     12,544     446,710 SH         DEFINED  1,2,5,6,10                 446,710
INTUIT               COM          46120210    299,345  10,618,828 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,618,828
INTUITIVE SURGICAL I COM NEW      46120E60    196,258   1,199,184 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,199,184
INVACARE CORP        COM          46120310     17,054     966,227 SH         DEFINED  1,2,5                      966,227
INVENTIV HEALTH INC  COM          46122E10      8,427     622,851 SH         DEFINED  1,2,5,6                    622,851
INVENTURE GROUP INC  COM          46121410         43      17,407 SH         DEFINED  1                           17,407
INVERNESS MED INNOVA COM          46126P10     31,408     882,740 SH         DEFINED  1,2,5,6,10                 882,740
INVESCO LTD          SHS          G491BT10    249,171  13,982,649 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,982,649
INVESTMENT TECHNOLOG COM          46145F10     13,267     650,683 SH         DEFINED  1,2,5,6,10                 650,683
INVESTORS BANCORP IN COM          46146P10      7,142     776,273 SH         DEFINED  1,2,5,6                    776,273
INVESTORS REAL ESTAT SH BEN INT   46173010      8,717     980,592 SH         DEFINED  1,2,3,5,8                  980,592
ION GEOPHYSICAL CORP COM          46204410      4,416   1,718,402 SH         DEFINED  1,2,5                    1,718,402
IOWA TELECOMM SERVIC COM          46259420      6,723     537,392 SH         DEFINED  1,2,5                      537,392
IPASS INC            COM          46261V10        666     416,540 SH         DEFINED  1,2                        416,540
IPC HLDGS LTD        ORD          G4933P10     25,372     928,035 SH         DEFINED  1,2,5                      928,035
IPC THE HOSPITALIST  COM          44984A10      5,833     218,561 SH         DEFINED  1,2,6                      218,561
IPCS INC             COM NEW      44980Y30      3,803     254,224 SH         DEFINED  1,2,5,6                    254,224
IPG PHOTONICS CORP   COM          44980X10      3,079     280,676 SH         DEFINED  1,2,5,6                    280,676
IRIS INTL INC        COM          46270W10      3,284     278,341 SH         DEFINED  1,2,6                      278,341
IROBOT CORP          COM          46272610      3,213     247,573 SH         DEFINED  1,2,6                      247,573
IRON MTN INC         COM          46284610    174,729   6,077,545 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,077,545
IRWIN FINL CORP      COM          46411910         16      21,729 SH         DEFINED  1                           21,729
ISHARES INC          MSCI BRAZI   46428640      3,221      60,811 SH         DEFINED  7                           60,811
ISHARES INC          MSCI CDA I   46428650      8,722     407,200 SH         DEFINED  2                          407,200
ISHARES INC          MSCI BRIC    46428665        465      13,101 SH         DEFINED  6                           13,101
ISHARES INC          MSCI UTD K   46428669      7,614     576,348 SH         DEFINED  1                          576,348
ISHARES INC          MSCI TAIWA   46428673      6,986     692,414 SH         DEFINED  1,6                        692,414
ISHARES INC          MSCI S KOR   46428677     11,585     333,003 SH         DEFINED  1,5,6                      333,003
ISHARES INC          MSCI MALAY   46428683        282      31,655 SH         DEFINED  6                           31,655
ISHARES TR           BARCLYS TI   46428717     25,949     255,300 SH         DEFINED  2                          255,300
ISHARES TR           S&P 500 IN   46428720     50,118     542,692 SH         DEFINED  2,6                        542,692
ISHARES TR           MSCI EMERG   46428723     50,826   1,576,976 SH         DEFINED  1,2,10                   1,576,976
ISHARES TR           IBOXX INV    46428724      9,727      97,000 SH         DEFINED  2                           97,000
ISHARES TR           MSCI EAFE    46428746     78,208   1,707,216 SH         DEFINED  2,6                      1,707,216
ISHARES TR           S&P MIDCAP   46428750      4,519      78,200 SH         DEFINED  2                           78,200
ISHARES TR           RUSSELL100   46428759     10,098     212,193 SH         DEFINED  2                          212,193
ISHARES TR           RUSSELL 20   46428765        554      10,840 SH         DEFINED  1                           10,840





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
ISHARES TR           S&P SMLCAP   46428780     27,969     629,500 SH         DEFINED  1,2                        629,500
ISHARES TR           BARCLYS IN   46428861      5,664      54,407 SH         DEFINED  1                           54,407
ISHARES TR           BARCLYS 1-   46428864      9,307      90,300 SH         DEFINED  2                           90,300
ISILON SYS INC       COM          46432L10      1,187     279,972 SH         DEFINED  1,2,6                      279,972
ISIS PHARMACEUTICALS COM          46433010     46,569   2,822,339 SH         DEFINED  1,2,5,6                  2,822,339
ISLE OF CAPRI CASINO COM          46459210      4,609     346,030 SH         DEFINED  1,2,5,6                    346,030
ISRAMCO INC          COM NEW      46514140        872       8,182 SH         DEFINED  1,2                          8,182
ISTA PHARMACEUTICALS COM NEW      45031X20      1,466     349,129 SH         DEFINED  1,2                        349,129
ISTAR FINL INC       COM          45031U10      5,763   2,029,318 SH         DEFINED  1,2,5                    2,029,318
ITAU UNIBANCO BANCO  SPONS ADR    46556210     85,389   5,394,143 SH         DEFINED  1,2,4,5,6,7,8            5,394,143
ITC HLDGS CORP       COM          46568510     23,644     521,254 SH         DEFINED  1,2,5,6,10                 521,254
ITRON INC            COM          46574110     42,120     764,846 SH         DEFINED  1,2,5,6,10                 764,846
ITT CORP NEW         COM          45091110    254,684   5,723,226 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,723,226
ITT EDUCATIONAL SERV COM          45068B10     91,373     907,739 SH         DEFINED  1,2,5,6,7,8,10,12,13       907,739
ITURAN LOCATION AND  SHS          M6158M10        138      16,667 SH         DEFINED  1                           16,667
IXIA                 COM          45071R10      3,601     534,247 SH         DEFINED  1,2,5,6                    534,247
IXYS CORP            COM          46600W10      3,914     386,760 SH         DEFINED  1,2,5,6                    386,760
J & J SNACK FOODS CO COM          46603210     10,894     303,450 SH         DEFINED  1,2,5                      303,450
J CREW GROUP INC     COM          46612H40     56,566   2,093,485 SH         DEFINED  1,2,5,6                  2,093,485
J2 GLOBAL COMMUNICAT COM NEW      46626E20     19,652     871,100 SH         DEFINED  1,2,5,6                    871,100
JABIL CIRCUIT INC    COM          46631310     50,372   6,788,637 SH         DEFINED  1,2,5,6,8,10,12,13       6,788,637
JACK IN THE BOX INC  COM          46636710     22,399     997,726 SH         DEFINED  1,2,5,6                    997,726
JACKSON HEWITT TAX S COM          46820210      3,453     551,618 SH         DEFINED  1,2,5                      551,618
JACO ELECTRS INC     COM          46978310         17      19,600 SH         DEFINED  1                           19,600
JACOBS ENGR GROUP IN COM          46981410    160,348   3,809,637 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,809,637
JAKKS PAC INC        COM          47012E10      7,218     562,593 SH         DEFINED  1,2,5                      562,593
JAMBA INC            COM          47023A10         13      11,001 SH         DEFINED  1                           11,001
JAMES RIVER COAL CO  COM NEW      47035520      7,014     463,557 SH         DEFINED  1,2,5                      463,557
JANUS CAP GROUP INC  COM          47102X10     64,288   5,639,311 SH         DEFINED  1,2,5,6,8,10,12,13       5,639,311
JARDEN CORP          COM          47110910     25,334   1,351,134 SH         DEFINED  1,2,5,6,7,10             1,351,134
JAVELIN PHARMACEUTIC COM          47189410        627     509,586 SH         DEFINED  1,2                        509,586
JAZZ PHARMACEUTICALS COM          47214710        111      30,100 SH         DEFINED  1                           30,100
JDA SOFTWARE GROUP I COM          46612K10      9,326     623,394 SH         DEFINED  1,2,5                      623,394
JDS UNIPHASE CORP    COM PAR $0   46612J50     45,674   7,984,907 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,984,907
JEFFERIES GROUP INC  COM          47231910     58,549   2,744,915 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,744,915
JETBLUE AIRWAYS CORP COM          47714310     25,093   5,876,640 SH         DEFINED  1,2,5                    5,876,640
JMP GROUP INC        COM          46629U10      1,085     141,063 SH         DEFINED  1,2                        141,063
JO-ANN STORES INC    COM          47758P30     11,147     539,285 SH         DEFINED  1,2,5                      539,285
JOES JEANS INC       COM          47777N10          9      13,239 SH         DEFINED  1                           13,239
JOHN BEAN TECHNOLOGI COM          47783910     15,609   1,246,747 SH         DEFINED  1,2,5,6,7                1,246,747
JOHNSON & JOHNSON    COM          47816010  7,329,137 129,034,100 SH         DEFINED  1,2,5,6,7,8,10,12,13   129,034,100
JOHNSON CTLS INC     COM          47836610    404,159  18,607,705 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,607,705
JONES APPAREL GROUP  COM          48007410     16,686   1,555,056 SH         DEFINED  1,2,5,6,8                1,555,056
JONES LANG LASALLE I COM          48020Q10     31,131     951,141 SH         DEFINED  1,2,5,6,10                 951,141
JONES SODA CO        COM          48023P10         30      27,800 SH         DEFINED  1                           27,800
JOS A BANK CLOTHIERS COM          48083810     27,529     798,859 SH         DEFINED  1,2,5,6                    798,859
JOURNAL COMMUNICATIO CL A         48113010        743     707,626 SH         DEFINED  1,2                        707,626
JOY GLOBAL INC       COM          48116510     98,911   2,769,056 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,769,056
JPMORGAN CHASE & CO  COM          46625H10  5,040,949 147,785,078 SH         DEFINED  1,2,5,6,7,8,10,12,13   147,785,078
JUNIPER NETWORKS INC COM          48203R10    390,485  16,545,977 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,545,977
K FED BANCORP        COM          48246S10        362      39,487 SH         DEFINED  1,2                         39,487
K SEA TRANSN PARTNER COM          48268Y10        256      13,034 SH         DEFINED  1,2                         13,034
K TRON INTL INC      COM          48273010      2,859      35,736 SH         DEFINED  1,2,5,6                     35,736
K V PHARMACEUTICAL C CL A         48274020      1,904     593,006 SH         DEFINED  1,2,6                      593,006





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
K12 INC              COM          48273U10      6,596     306,098 SH         DEFINED  1,2,6                      306,098
KADANT INC           COM          48282T10      3,649     323,194 SH         DEFINED  1,2                        323,194
KAISER ALUMINUM CORP COM PAR $0   48300770      9,252     257,636 SH         DEFINED  1,2,5                      257,636
KAMAN CORP           COM          48354810      7,317     439,486 SH         DEFINED  1,2,5,6                    439,486
KANSAS CITY LIFE INS COM          48483610      2,452      91,126 SH         DEFINED  1,2,5                       91,126
KANSAS CITY SOUTHERN COM NEW      48517030     29,099   1,806,267 SH         DEFINED  1,2,5,6,10               1,806,267
KAPSTONE PAPER & PAC COM          48562P10      1,114     237,533 SH         DEFINED  1,2                        237,533
KAYDON CORP          COM          48658710     22,260     683,651 SH         DEFINED  1,2,5                      683,651
KAYNE ANDERSON ENERG COM          48660Q10      2,031     153,175 SH         DEFINED  1,2                        153,175
KB FINANCIAL GROUP I SPONSORED    48241A10      3,762     112,942 SH         DEFINED  1,2,5,6                    112,942
KB HOME              COM          48666K10     52,146   3,811,861 SH         DEFINED  1,2,5,6,10,13            3,811,861
KBR INC              COM          48242W10     83,894   4,549,590 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,549,590
KBW INC              COM          48242310     14,019     487,448 SH         DEFINED  1,2,5,6                    487,448
KEARNY FINL CORP     COM          48716910      4,164     363,975 SH         DEFINED  1,2,5                      363,975
KEITHLEY INSTRS INC  COM          48758410        125      31,186 SH         DEFINED  1                           31,186
KELLOGG CO           COM          48783610    391,165   8,399,509 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,399,509
KELLY SVCS INC       CL A         48815220      8,336     761,286 SH         DEFINED  1,2,5                      761,286
KENDLE INTERNATIONAL COM          48880L10      2,675     218,583 SH         DEFINED  1,2,5,6                    218,583
KENEXA CORP          COM          48887910      4,316     373,035 SH         DEFINED  1,2,5,6                    373,035
KENNAMETAL INC       COM          48917010     26,181   1,365,028 SH         DEFINED  1,2,5,6,10               1,365,028
KENSEY NASH CORP     COM          49005710      4,279     163,262 SH         DEFINED  1,2,6                      163,262
KENTUCKY FIRST FED B COM          49129210        156      12,801 SH         DEFINED  1,2                         12,801
KERYX BIOPHARMACEUTI COM          49251510         42      46,674 SH         DEFINED  1                           46,674
KEY ENERGY SVCS INC  COM          49291410     12,527   2,174,884 SH         DEFINED  1,2,5,6,7                2,174,884
KEYCORP NEW          COM          49326710    152,933  29,185,702 SH         DEFINED  1,2,5,6,7,8,10,12,13    29,185,702
KEYNOTE SYS INC      COM          49330810      1,398     183,043 SH         DEFINED  1,2                        183,043
KFORCE INC           COM          49373210      4,928     595,847 SH         DEFINED  1,2,5,6                    595,847
KILROY RLTY CORP     COM          49427F10     25,924   1,262,129 SH         DEFINED  1,2,3,5,6,8              1,262,129
KIMBALL INTL INC     CL B         49427410      3,583     572,350 SH         DEFINED  1,2,5                      572,350
KIMBERLY CLARK CORP  COM          49436810    767,497  14,638,506 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,638,506
KIMCO REALTY CORP    COM          49446R10    174,636  17,376,678 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  17,376,678
KINDER MORGAN ENERGY UT LTD PAR   49455010      8,320     162,761 SH         DEFINED  1,2,8                      162,761
KINDER MORGAN MANAGE SHS          49455U10     15,990     353,994 SH         DEFINED  1,2,5,6,7,8,10,12,13       353,994
KINDRED HEALTHCARE I COM          49458010     12,878   1,041,105 SH         DEFINED  1,2,5,8                  1,041,105
KINETIC CONCEPTS INC COM NEW      49460W20     48,435   1,777,438 SH         DEFINED  1,2,5,6,8,10,12          1,777,438
KING PHARMACEUTICALS COM          49558210     85,569   8,885,662 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,885,662
KINROSS GOLD CORP    COM NO PAR   49690240      3,422     188,567 SH         DEFINED  1,5,7,13                   188,567
KIRBY CORP           COM          49726610     23,945     753,233 SH         DEFINED  1,2,5,6,10                 753,233
KIRKLANDS INC        COM          49749810      1,537     127,988 SH         DEFINED  1,2                        127,988
KITE RLTY GROUP TR   COM          49803T10      4,540   1,554,846 SH         DEFINED  1,2,3,8                  1,554,846
KKR FINANCIAL HLDGS  COM          48248A30        209     225,225 SH         DEFINED  1,2                        225,225
KLA-TENCOR CORP      COM          48248010    134,612   5,331,173 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,331,173
KNIGHT CAPITAL GROUP CL A         49900510     56,832   3,333,248 SH         DEFINED  1,2,5,6,7,8,13           3,333,248
KNIGHT TRANSN INC    COM          49906410     16,929   1,022,906 SH         DEFINED  1,2,5,6                  1,022,906
KNIGHTSBRIDGE TANKER ORD          G5299G10      2,834     207,768 SH         DEFINED  1,2,5                      207,768
KNOLL INC            COM NEW      49890420      6,370     840,422 SH         DEFINED  1,2,5                      840,422
KNOLOGY INC          COM          49918380      4,331     501,843 SH         DEFINED  1,2,5,6                    501,843
KNOT INC             COM          49918410      3,523     447,130 SH         DEFINED  1,2,5,6                    447,130
KODIAK OIL & GAS COR COM          50015Q10         62      56,500 SH         DEFINED  1                           56,500
KOHLBERG CAPITAL COR COM          50023310      1,442     228,107 SH         DEFINED  1,2                        228,107
KOHLS CORP           COM          50025510    434,590  10,165,850 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,165,850
KONINKLIJKE PHILIPS  NY REG SH    50047230        812      44,107 SH         DEFINED  1,2                         44,107
KOPIN CORP           COM          50060010      3,736   1,012,577 SH         DEFINED  1,2,5,6                  1,012,577
KOPPERS HOLDINGS INC COM          50060P10      7,634     289,510 SH         DEFINED  1,2,5                      289,510





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
KOREA ELECTRIC PWR   SPONSORED    50063110      3,457     300,634 SH         DEFINED  1,2,6                      300,634
KORN FERRY INTL      COM NEW      50064320     12,341   1,159,910 SH         DEFINED  1,2,5,6                  1,159,910
KOWABUNGA INC        COM          50074710         18      65,900 SH         DEFINED  1                           65,900
KRAFT FOODS INC      CL A         50075N10  1,762,978  69,572,921 SH         DEFINED  1,2,5,6,7,8,10,12,13    69,572,921
KRATOS DEFENSE & SEC COM          50077B10         47      52,992 SH         DEFINED  1                           52,992
KRISPY KREME DOUGHNU COM          50101410      2,238     745,950 SH         DEFINED  1,2,6                      745,950
KROGER CO            COM          50104410    528,956  23,988,927 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,988,927
KRONOS WORLDWIDE INC COM          50105F10         96      14,372 SH         DEFINED  1,2                         14,372
K-SWISS INC          CL A         48268610      3,264     383,970 SH         DEFINED  1,2,5                      383,970
KT CORP              SPONSORED    48268K10        715      49,770 SH         DEFINED  1,2,5                       49,770
KUBOTA CORP          ADR          50117320        212       5,180 SH         DEFINED  1                            5,180
KULICKE & SOFFA INDS COM          50124210      3,057     899,126 SH         DEFINED  1,2,6                      899,126
KVH INDS INC         COM          48273810        813     118,989 SH         DEFINED  1,2                        118,989
KYOCERA CORP         ADR          50155620        391       5,235 SH         DEFINED  1,2                          5,235
L-1 IDENTITY SOLUTIO COM          50212A10      8,970   1,158,940 SH         DEFINED  1,2,5                    1,158,940
L-3 COMMUNICATIONS C DEBT 3.00    502413AW        288     300,000 SH         DEFINED  1,2                        300,000
L-3 COMMUNICATIONS H COM          50242410    247,084   3,561,313 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,561,313
LA BARGE INC         COM          50247010      1,382     149,097 SH         DEFINED  1,2                        149,097
LA JOLLA PHARMACEUTI COM NEW      50345930          9      47,641 SH         DEFINED  1                           47,641
LA Z BOY INC         COM          50533610      3,806     806,308 SH         DEFINED  1,2                        806,308
LABORATORY CORP AMER COM NEW      50540R40    244,265   3,603,255 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,603,255
LABRANCHE & CO INC   COM          50544710      6,352   1,477,296 SH         DEFINED  1,2,5                    1,477,296
LACLEDE GROUP INC    COM          50559710     14,544     439,002 SH         DEFINED  1,2,5                      439,002
LADENBURG THALMAN FI COM          50575Q10         33      60,925 SH         DEFINED  1                           60,925
LADISH INC           COM NEW      50575420      3,296     254,153 SH         DEFINED  1,2,5                      254,153
LAKELAND BANCORP INC COM          51163710      3,220     358,136 SH         DEFINED  1,2,5                      358,136
LAKELAND FINL CORP   COM          51165610      4,038     212,520 SH         DEFINED  1,2                        212,520
LAKES ENTMNT INC     COM          51206P10        636     218,655 SH         DEFINED  1,2,5                      218,655
LAM RESEARCH CORP    COM          51280710     85,738   3,297,597 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,297,597
LAMAR ADVERTISING CO CL A         51281510     23,552   1,542,369 SH         DEFINED  1,2,5,6,8,10,12          1,542,369
LAN AIRLINES S A     SPONSORED    50172310     15,253   1,267,911 SH         DEFINED  1,2,5,6,7                1,267,911
LANCASTER COLONY COR COM          51384710     23,524     533,793 SH         DEFINED  1,2,5                      533,793
LANCE INC            COM          51460610     11,131     481,233 SH         DEFINED  1,2,5,6                    481,233
LANDAUER INC         COM          51476K10     10,962     178,709 SH         DEFINED  1,2,5,6                    178,709
LANDEC CORP          COM          51476610      2,183     321,449 SH         DEFINED  1,2,6                      321,449
LANDRYS RESTAURANTS  COM          51508L10      1,457     169,468 SH         DEFINED  1,2,5                      169,468
LANDSTAR SYS INC     COM          51509810     39,705   1,103,518 SH         DEFINED  1,2,5,6,10               1,103,518
LANNET INC           COM          51601210        615      89,793 SH         DEFINED  1,2                         89,793
LAS VEGAS SANDS CORP COM          51783410     33,907   4,313,837 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,313,837
LASALLE HOTEL PPTYS  COM SH BEN   51794210     25,654   2,078,927 SH         DEFINED  1,2,3,5,8                2,078,927
LASERCARD CORP       COM          51807U10         35      10,671 SH         DEFINED  1                           10,671
LATTICE SEMICONDUCTO COM          51841510      3,159   1,680,429 SH         DEFINED  1,2,5,6                  1,680,429
LAUDER ESTEE COS INC CL A         51843910    121,377   3,715,256 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,715,256
LAWSON PRODS INC     COM          52077610      1,162      81,753 SH         DEFINED  1,2,5                       81,753
LAWSON SOFTWARE INC  COM          52078P10     13,786   2,457,339 SH         DEFINED  1,2,5                    2,457,339
LAYNE CHRISTENSEN CO COM          52105010      6,516     318,642 SH         DEFINED  1,2,5                      318,642
LAZARD LTD           SHS A        G5405010     19,069     708,365 SH         DEFINED  1,2,5,10                   708,365
LCA-VISION INC       COM PAR $.   50180330        673     159,552 SH         DEFINED  1,2                        159,552
LEAP WIRELESS INTL I COM NEW      52186330     19,795     601,132 SH         DEFINED  1,2,5,6,8,10               601,132
LEAPFROG ENTERPRISES CL A         52186N10      1,109     484,257 SH         DEFINED  1,2                        484,257
LEAR CORP            COM          52186510        757   1,513,795 SH         DEFINED  1,2,5,6,8                1,513,795
LEARNING TREE INTL I COM          52201510        815      79,149 SH         DEFINED  1,2                         79,149
LECG CORP            COM          52323410        132      40,614 SH         DEFINED  1,2                         40,614
LECROY CORP          COM          52324W10         75      19,918 SH         DEFINED  1                           19,918





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
LEE ENTERPRISES INC  COM          52376810         29      54,915 SH         DEFINED  1                           54,915
LEGACY BANCORP INC   CL A         52463G10        795      71,637 SH         DEFINED  1,2                         71,637
LEGACY RESERVES LP   UNIT LP IN   52470730        200      15,463 SH         DEFINED  1,2                         15,463
LEGG MASON INC       COM          52490110    143,730   5,895,401 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,895,401
LEGG MASON INC       UNIT 99/99   52490130        378      15,000 SH         DEFINED  1,2                         15,000
LEGGETT & PLATT INC  COM          52466010    131,185   8,613,611 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,613,611
LENDER PROCESSING SV COM          52602E10     77,689   2,797,602 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,797,602
LENNAR CORP          CL A         52605710     66,876   6,901,577 SH         DEFINED  1,2,5,6,8,10,12,13       6,901,577
LENNOX INTL INC      COM          52610710     49,242   1,533,551 SH         DEFINED  1,2,5,6,10               1,533,551
LEUCADIA NATL CORP   COM          52728810    133,275   6,319,352 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,319,352
LEVEL 3 COMMUNICATIO COM          52729N10     34,630  22,934,090 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,934,090
LEXICON PHARMACEUTIC COM          52887210      1,208     974,083 SH         DEFINED  1,2,5,6                    974,083
LEXINGTON REALTY TRU COM          52904310      8,905   2,618,998 SH         DEFINED  1,2,3,5,8                2,618,998
LEXMARK INTL NEW     CL A         52977110     38,299   2,416,331 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,416,331
LG DISPLAY CO LTD    SPONS ADR    50186V10        630      50,415 SH         DEFINED  1,2,6                       50,415
LHC GROUP INC        COM          50187A10      5,296     238,463 SH         DEFINED  1,2,5,6                    238,463
LIBERTY GLOBAL INC   COM SER A    53055510     51,678   3,252,204 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,252,204
LIBERTY GLOBAL INC   COM SER C    53055530     12,566     794,823 SH         DEFINED  1,2,5,6,7,8,10,12,13       794,823
LIBERTY MEDIA CORP N INT COM SE   53071M10     45,387   9,059,336 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,059,336
LIBERTY MEDIA CORP N CAP COM SE   53071M30     13,169     971,130 SH         DEFINED  1,2,5,6,7,8,10             971,130
LIBERTY MEDIA CORP N ENT COM SE   53071M50    191,480   7,171,517 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,171,517
LIBERTY MEDIA CORP N DEB 3.12     530718AF      1,188   1,400,000 SH         DEFINED  1,2                      1,400,000
LIBERTY PPTY TR      SH BEN INT   53117210     91,042   3,951,486 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   3,951,486
LIFE PARTNERS HOLDIN COM          53215T10      1,893     133,526 SH         DEFINED  1,2,6                      133,526
LIFE SCIENCES RESH I COM          53216910        696      97,051 SH         DEFINED  1,2                         97,051
LIFE TECHNOLOGIES CO COM          53217V10    254,815   6,107,742 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,107,742
LIFE TIME FITNESS IN COM          53217R20     17,465     872,809 SH         DEFINED  1,2,5,6                    872,809
LIFEPOINT HOSPITALS  NOTE 3.50    53219LAH        682     850,000 SH         DEFINED  1,2                        850,000
LIFEPOINT HOSPITALS  COM          53219L10     32,070   1,221,733 SH         DEFINED  1,2,5,6,7,10             1,221,733
LIFEWAY FOODS INC    COM          53191410        677      52,445 SH         DEFINED  1,2                         52,445
LIGAND PHARMACEUTICA CL B         53220K20      4,351   1,521,359 SH         DEFINED  1,2,5,6                  1,521,359
LIGHTPATH TECHNOLOGI CL A NEW     53225780         14      10,618 SH         DEFINED  1,2                         10,618
LILLY ELI & CO       COM          53245710  1,243,217  35,889,647 SH         DEFINED  1,2,5,6,7,8,10,12,13    35,889,647
LIMELIGHT NETWORKS I COM          53261M10      1,690     384,171 SH         DEFINED  1,2,6                      384,171
LIMITED BRANDS INC   COM          53271610    133,449  11,148,595 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,148,595
LIN TV CORP          CL A         53277410        932     554,929 SH         DEFINED  1,2                        554,929
LINCARE HLDGS INC    COM          53279110     35,305   1,501,079 SH         DEFINED  1,2,5,6,7,8,10,12        1,501,079
LINCOLN EDL SVCS COR COM          53353510      3,403     162,574 SH         DEFINED  1,2,6                      162,574
LINCOLN ELEC HLDGS I COM          53390010     31,081     862,390 SH         DEFINED  1,2,5,6,10                 862,390
LINCOLN NATL CORP IN COM          53418710    184,099  10,697,210 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,697,210
LINDSAY CORP         COM          53555510      5,894     178,081 SH         DEFINED  1,2,5,6                    178,081
LINEAR TECHNOLOGY CO NOTE 3.00    535678AC        910   1,100,000 SH         DEFINED  1,2                      1,100,000
LINEAR TECHNOLOGY CO COM          53567810    171,212   7,332,432 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,332,432
LINN ENERGY LLC      UNIT LTD L   53602010      2,910     148,684 SH         DEFINED  1,2                        148,684
LIONBRIDGE TECHNOLOG COM          53625210        915     497,546 SH         DEFINED  1,2                        497,546
LIONS GATE ENTMNT CO COM NEW      53591920        199      35,466 SH         DEFINED  1,2,6                       35,466
LIQUIDITY SERVICES I COM          53635B10      1,801     182,654 SH         DEFINED  1,2,6                      182,654
LITHIA MTRS INC      CL A         53679710      2,473     267,648 SH         DEFINED  1,2                        267,648
LITTELFUSE INC       COM          53700810      7,825     392,033 SH         DEFINED  1,2,5                      392,033
LIVE NATION INC      COM          53803410      6,576   1,353,036 SH         DEFINED  1,2,5,6                  1,353,036
LIVEPERSON INC       COM          53814610      1,745     436,194 SH         DEFINED  1,2                        436,194
LIZ CLAIBORNE INC    COM          53932010      5,657   1,964,239 SH         DEFINED  1,2,5,6                  1,964,239
LKQ CORP             COM          50188920     44,821   2,724,674 SH         DEFINED  1,2,5,6,10               2,724,674
LLOYDS BANKING GROUP SPONSORED    53943910        264      55,413 SH         DEFINED  1,2                         55,413





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
LMI AEROSPACE INC    COM          50207910      1,106     109,331 SH         DEFINED  1,2,5                      109,331
LOCKHEED MARTIN CORP COM          53983010  6,101,752  75,657,185 SH         DEFINED  1,2,5,6,7,8,10,12,13    75,657,185
LODGENET INTERACTIVE COM          54021110        621     182,139 SH         DEFINED  1,2                        182,139
LODGIAN INC          COM PAR $.   54021P40         46      35,430 SH         DEFINED  1                           35,430
LOEWS CORP           COM          54042410    352,876  12,878,678 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,878,678
LOGITECH INTL S A    SHS          H5043023        206      14,714 SH         DEFINED  1                           14,714
LO-JACK CORP         COM          53945110        161      38,398 SH         DEFINED  1                           38,398
LOOPNET INC          COM          54352430      3,443     444,244 SH         DEFINED  1,2,6                      444,244
LORAL SPACE & COMMUN COM          54388110      3,983     154,680 SH         DEFINED  1,2,5                      154,680
LORILLARD INC        COM          54414710    361,977   5,341,252 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,341,252
LOUISIANA PAC CORP   COM          54634710      9,180   2,684,129 SH         DEFINED  1,2,5,6                  2,684,129
LOWES COS INC        COM          54866110  2,189,668 112,811,354 SH         DEFINED  1,2,5,6,7,8,10,12,13   112,811,354
LSB INDS INC         COM          50216010      4,897     302,855 SH         DEFINED  1,2,6                      302,855
LSI CORPORATION      COM          50216110    100,792  22,103,409 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,103,409
LSI INDS INC         COM          50216C10      1,565     287,108 SH         DEFINED  1,2                        287,108
LTC PPTYS INC        COM          50217510      8,705     425,695 SH         DEFINED  1,2,3,5,8                  425,695
LTX-CREDENCE CORP    COM          50240310         46      96,125 SH         DEFINED  1                           96,125
LUBRIZOL CORP        COM          54927110    162,700   3,439,028 SH         DEFINED  1,2,5,6,10               3,439,028
LUBYS INC            COM          54928210        938     231,036 SH         DEFINED  1,2                        231,036
LUCENT TECHNOLOGIES  DBCV 2.87    549463AH        886   1,250,000 SH         DEFINED  1,2                      1,250,000
LUFKIN INDS INC      COM          54976410     10,580     251,607 SH         DEFINED  1,2,5,6                    251,607
LULULEMON ATHLETICA  COM          55002110      6,655     510,781 SH         DEFINED  1,2,5,6                    510,781
LUMBER LIQUIDATORS I COM          55003Q10      2,824     179,160 SH         DEFINED  1,2,6                      179,160
LUMINEX CORP DEL     COM          55027E10     11,063     596,699 SH         DEFINED  1,2,5,6                    596,699
LYDALL INC DEL       COM          55081910        291      85,501 SH         DEFINED  1                           85,501
M & F WORLDWIDE CORP COM          55254110      4,421     221,048 SH         DEFINED  1,2,5,6                    221,048
M & T BK CORP        COM          55261F10    196,148   3,851,325 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,851,325
M D C HLDGS INC      COM          55267610     44,676   1,483,770 SH         DEFINED  1,2,5,6,10               1,483,770
M/I HOMES INC        COM          55305B10      3,658     373,603 SH         DEFINED  1,2,6                      373,603
MACATAWA BK CORP     COM          55422510         37      13,222 SH         DEFINED  1                           13,222
MACERICH CO          COM          55438210     48,903   2,777,019 SH         DEFINED  1,2,3,5,6,7,8,10         2,777,019
MAC-GRAY CORP        COM          55415310      1,745     131,786 SH         DEFINED  1,2                        131,786
MACK CALI RLTY CORP  COM          55448910     58,687   2,573,997 SH         DEFINED  1,2,3,5,6,8,10           2,573,997
MACQUARIE INFRASTR C MEMBERSHIP   55608B10        428     104,094 SH         DEFINED  1,2                        104,094
MACROVISION SOLUTION COM          55611C10     36,712   1,683,273 SH         DEFINED  1,2,5,6,7,10             1,683,273
MACYS INC            COM          55616P10    206,551  17,563,884 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,563,884
MADDEN STEVEN LTD    COM          55626910      7,285     287,834 SH         DEFINED  1,2,5,6                    287,834
MADECO SA            SPONS ADR    55630420        150      21,605 SH         DEFINED  1                           21,605
MAGELLAN HEALTH SVCS COM NEW      55907920     22,451     684,061 SH         DEFINED  1,2,5,6,8                  684,061
MAGELLAN MIDSTREAM H COM LP INT   55907R10      1,412      67,113 SH         DEFINED  1,2                         67,113
MAGELLAN MIDSTREAM P COM UNIT R   55908010      2,172      62,489 SH         DEFINED  1,2                         62,489
MAGMA DESIGN AUTOMAT COM          55918110         62      42,788 SH         DEFINED  1,2                         42,788
MAGNETEK INC         COM          55942410        111      79,520 SH         DEFINED  1,5                         79,520
MAGUIRE PPTYS INC    COM          55977510         70      82,388 SH         DEFINED  1,2,3,5                     82,388
MAHANAGAR TEL NIGAM  SPONS ADR    55977840        420      96,772 SH         DEFINED  5,8                         96,772
MAIDEN HOLDINGS LTD  SHS          G5753U11      3,924     598,139 SH         DEFINED  1,2                        598,139
MAIDENFORM BRANDS IN COM          56030510      5,065     441,609 SH         DEFINED  1,2,6                      441,609
MAIN STREET CAPITAL  COM          56035L10        752      54,915 SH         DEFINED  1,2                         54,915
MAINSOURCE FINANCIAL COM          56062Y10      2,833     381,861 SH         DEFINED  1,2                        381,861
MAJESCO ENTERTAINMEN COM NEW      56069020         33      16,900 SH         DEFINED  1                           16,900
MAKO SURGICAL CORP   COM          56087910      1,177     130,528 SH         DEFINED  1,2                        130,528
MANHATTAN ASSOCS INC COM          56275010      9,647     529,495 SH         DEFINED  1,2,5,6                    529,495
MANITOWOC INC        COM          56357110     19,633   3,732,560 SH         DEFINED  1,2,5,6,10,13            3,732,560
MANNATECH INC        COM          56377110        779     236,107 SH         DEFINED  1,2                        236,107





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
MANNKIND CORP        COM          56400P20      5,763     693,492 SH         DEFINED  1,2,5,6                    693,492
MANPOWER INC         COM          56418H10     89,249   2,107,913 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,107,913
MANTECH INTL CORP    CL A         56456310     21,840     507,431 SH         DEFINED  1,2,5,6                    507,431
MANULIFE FINL CORP   COM          56501R10      2,549     146,894 SH         DEFINED  1,5,7,13                   146,894
MAP PHARMACEUTICALS  COM          56509R10      1,407     115,113 SH         DEFINED  1,2,6                      115,113
MARATHON OIL CORP    COM          56584910    749,628  24,879,774 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,879,774
MARCHEX INC          CL B         56624R10      1,242     366,495 SH         DEFINED  1,2,6                      366,495
MARCUS CORP          COM          56633010      3,969     377,287 SH         DEFINED  1,2,5                      377,287
MARINE PRODS CORP    COM          56842710        600     160,078 SH         DEFINED  1,2,5                      160,078
MARINEMAX INC        COM          56790810        203      58,926 SH         DEFINED  1                           58,926
MARINER ENERGY INC   COM          56845T30     22,462   1,911,698 SH         DEFINED  1,2,5,6,10               1,911,698
MARKEL CORP          COM          57053510     32,186     114,256 SH         DEFINED  1,2,5,6,8,10,12            114,256
MARKET LEADER INC    COM          57056R10         26      14,200 SH         DEFINED  1                           14,200
MARKETAXESS HLDGS IN COM          57060D10      3,952     414,681 SH         DEFINED  1,2,6                      414,681
MARKWEST ENERGY PART UNIT LTD P   57075910        883      48,496 SH         DEFINED  1,2                         48,496
MARRIOTT INTL INC NE CL A         57190320    234,573  10,628,602 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,628,602
MARSH & MCLENNAN COS COM          57174810    363,903  18,077,629 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,077,629
MARSHALL & ILSLEY CO COM          57183710     80,552  16,781,713 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,781,713
MARTEK BIOSCIENCES C COM          57290110     32,465   1,535,004 SH         DEFINED  1,2,5,6,7,8              1,535,004
MARTEN TRANS LTD     COM          57307510      6,329     304,860 SH         DEFINED  1,2,6                      304,860
MARTHA STEWART LIVIN CL A         57308310      1,000     326,726 SH         DEFINED  1,2,6                      326,726
MARTIN MARIETTA MATL COM          57328410     77,666     984,613 SH         DEFINED  1,2,5,6,7,8,10,12,13       984,613
MARVEL ENTERTAINMENT COM          57383T10     35,629   1,001,093 SH         DEFINED  1,2,5,6,10               1,001,093
MARVELL TECHNOLOGY G ORD          G5876H10     72,938   6,266,191 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,266,191
MASCO CORP           COM          57459910    135,921  14,187,968 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,187,968
MASIMO CORP          COM          57479510     28,380   1,177,125 SH         DEFINED  1,2,5,6                  1,177,125
MASSEY ENERGY CO     NOTE 3.25    576203AJ        446     675,000 SH         DEFINED  2                          675,000
MASSEY ENERGY CORP   COM          57620610     92,575   4,737,705 SH         DEFINED  1,2,5,6,8,10,13          4,737,705
MASTEC INC           COM          57632310      8,683     740,902 SH         DEFINED  1,2,5                      740,902
MASTERCARD INC       CL A         57636Q10    401,039   2,396,979 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,396,979
MATRIX SVC CO        COM          57685310      5,230     455,590 SH         DEFINED  1,2,5,6                    455,590
MATRIXX INITIATIVES  COM          57685L10        623     111,383 SH         DEFINED  1,2                        111,383
MATTEL INC           COM          57708110    177,957  11,087,652 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,087,652
MATTHEWS INTL CORP   CL A         57712810     23,062     741,076 SH         DEFINED  1,2,5,6                    741,076
MATTSON TECHNOLOGY I COM          57722310         69      58,794 SH         DEFINED  1,2                         58,794
MAX CAPITAL GROUP LT SHS          G6052F10     13,955     755,960 SH         DEFINED  1,2,5                      755,960
MAXIM INTEGRATED PRO COM          57772K10     62,583   3,988,705 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,988,705
MAXIMUS INC          COM          57793310     14,426     349,720 SH         DEFINED  1,2,5,7,8                  349,720
MAXWELL TECHNOLOGIES COM          57776710      3,832     277,056 SH         DEFINED  1,2,6                      277,056
MAXYGEN INC          COM          57777610      4,163     619,566 SH         DEFINED  1,2,6                      619,566
MB FINANCIAL INC NEW COM          55264U10     13,269   1,302,195 SH         DEFINED  1,2,5                    1,302,195
MBIA INC             COM          55262C10     28,136   6,497,898 SH         DEFINED  1,2,5,6,8,10,12,13       6,497,898
MBT FINL CORP        COM          57887710         37      15,967 SH         DEFINED  1                           15,967
MCAFEE INC           COM          57906410    205,592   4,873,006 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,873,006
MCCLATCHY CO         CL A         57948910         65     130,928 SH         DEFINED  1,2,6,13                   130,928
MCCORMICK & CO INC   COM NON VT   57978020    135,316   4,159,726 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,159,726
MCCORMICK & SCHMICKS COM          57979310      1,137     149,468 SH         DEFINED  1,2                        149,468
MCDERMOTT INTL INC   COM          58003710     75,216   3,703,387 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,703,387
MCDONALDS CORP       COM          58013510  2,433,261  42,324,941 SH         DEFINED  1,2,5,6,7,8,10,12,13    42,324,941
MCG CAPITAL CORP     COM          58047P10      2,846   1,171,200 SH         DEFINED  1,2,5                    1,171,200
MCGRATH RENTCORP     COM          58058910      7,844     411,525 SH         DEFINED  1,2,5                      411,525
MCGRAW HILL COS INC  COM          58064510    329,204  10,933,368 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,933,368
MCKESSON CORP        COM          58155Q10    393,092   8,933,913 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,933,913
MCMORAN EXPLORATION  COM          58241110      5,939     996,515 SH         DEFINED  1,2,5,6                    996,515





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
MDRNA INC            COM          55276N10         33      23,650 SH         DEFINED  1                           23,650
MDS INC              COM          55269P30         68      12,800 SH         DEFINED  2                           12,800
MDU RES GROUP INC    COM          55269010     93,708   4,939,781 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,939,781
MEAD JOHNSON NUTRITI COM CL A     58283910     10,160     319,801 SH         DEFINED  1,2,6,10                   319,801
MEADOWBROOK INS GROU COM          58319P10      5,257     805,027 SH         DEFINED  1,2                        805,027
MEADWESTVACO CORP    COM          58333410    121,375   7,396,392 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,396,392
MEASUREMENT SPECIALT COM          58342110      1,489     211,200 SH         DEFINED  1,2                        211,200
MECHEL OAO           SPONSORED    58384010      3,116     373,187 SH         DEFINED  1,2,5,6,7,10               373,187
MEDALLION FINL CORP  COM          58392810      1,682     219,849 SH         DEFINED  1,2                        219,849
MEDAREX INC          COM          58391610     38,696   4,634,308 SH         DEFINED  1,2,5,6,8                4,634,308
MEDASSETS INC        COM          58404510     10,263     527,645 SH         DEFINED  1,2,5,6                    527,645
MEDCATH CORP         COM          58404W10      4,019     341,791 SH         DEFINED  1,2,5                      341,791
MEDCO HEALTH SOLUTIO COM          58405U10    712,937  15,631,163 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,631,163
MEDIA GEN INC        CL A         58440410        114      53,993 SH         DEFINED  1                           53,993
MEDIACOM COMMUNICATI CL A         58446K10      6,474   1,266,894 SH         DEFINED  1,2,5,6                  1,266,894
MEDICAL ACTION INDS  COM          58449L10      2,260     197,371 SH         DEFINED  1,2                        197,371
MEDICAL PPTYS TRUST  COM          58463J30     10,737   1,768,899 SH         DEFINED  1,2,3,5,8                1,768,899
MEDICINES CO         COM          58468810      7,148     851,967 SH         DEFINED  1,2,5,6                    851,967
MEDICIS PHARMACEUTIC CL A NEW     58469030     27,078   1,659,214 SH         DEFINED  1,2,5,6                  1,659,214
MEDIFAST INC         COM          58470H10      1,446     126,137 SH         DEFINED  1,2                        126,137
MEDIS TECHNOLOGIES L COM          58500P10         13      26,760 SH         DEFINED  1                           26,760
MEDIVATION INC       COM          58501N10      9,729     434,131 SH         DEFINED  1,2,5,6                    434,131
MEDNAX INC           COM          58502B10     25,193     597,990 SH         DEFINED  1,2,5,6,10                 597,990
MEDQUIST INC         COM          58494910        578      95,126 SH         DEFINED  1,2                         95,126
MEDTRONIC INC        NOTE 1.50    585055AL      1,935   2,000,000 SH         DEFINED  1,2                      2,000,000
MEDTRONIC INC        NOTE 1.62    585055AM      1,612   1,750,000 SH         DEFINED  1,2                      1,750,000
MEDTRONIC INC        COM          58505510  1,247,437  35,753,419 SH         DEFINED  1,2,5,6,7,8,10,12,13    35,753,419
MELCO CROWN ENTMT LT ADR          58546410        432      96,094 SH         DEFINED  1,5,6                       96,094
MELLANOX TECHNOLOGIE SHS          M5136311        352      29,294 SH         DEFINED  2                           29,294
MEMC ELECTR MATLS IN COM          55271510    123,035   6,908,182 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,908,182
MEMSIC INC           COM          58626410        626     147,546 SH         DEFINED  1,2                        147,546
MENS WEARHOUSE INC   COM          58711810     36,326   1,893,940 SH         DEFINED  1,2,5,6                  1,893,940
MENTOR GRAPHICS CORP COM          58720010     12,616   2,306,483 SH         DEFINED  1,2,5                    2,306,483
MERCADOLIBRE INC     COM          58733R10      9,175     341,337 SH         DEFINED  1,2,5,8                    341,337
MERCER INS GROUP INC COM          58790210        857      53,911 SH         DEFINED  1,2                         53,911
MERCHANTS BANCSHARES COM          58844810      1,103      49,343 SH         DEFINED  1,2                         49,343
MERCK & CO INC       COM          58933110  2,100,241  75,115,898 SH         DEFINED  1,2,5,6,7,8,10,12,13    75,115,898
MERCURY COMPUTER SYS COM          58937810      3,277     354,259 SH         DEFINED  1,2                        354,259
MERCURY GENL CORP NE COM          58940010     34,761   1,039,822 SH         DEFINED  1,2,5,6,8,10,12          1,039,822
MEREDITH CORP        COM          58943310     27,116   1,061,276 SH         DEFINED  1,2,5,6,10,13            1,061,276
MERGE HEALTHCARE INC COM          58949910        985     229,034 SH         DEFINED  1,2                        229,034
MERIDIAN BIOSCIENCE  COM          58958410     16,360     724,525 SH         DEFINED  1,2,5,6                    724,525
MERIDIAN INTERSTAT B COM          58964Q10        914     122,730 SH         DEFINED  1,2,6                      122,730
MERIDIAN RESOURCE CO COM          58977Q10         35      99,634 SH         DEFINED  1                           99,634
MERIT MED SYS INC    COM          58988910      8,426     516,909 SH         DEFINED  1,2,5,6                    516,909
MERITAGE HOMES CORP  COM          59001A10     34,653   1,837,378 SH         DEFINED  1,2,5,6                  1,837,378
MERIX CORP           COM          59004910         22      29,429 SH         DEFINED  1                           29,429
MESA AIR GROUP INC   COM          59047910          2      24,818 SH         DEFINED  1                           24,818
MET PRO CORP         COM          59087630      2,181     201,580 SH         DEFINED  1,2                        201,580
METABOLIX INC        COM          59101880      2,163     263,143 SH         DEFINED  1,2                        263,143
METALICO INC         COM          59117610      1,588     340,754 SH         DEFINED  1,2                        340,754
METAVANTE TECHNOLOGI COM          59140710     58,858   2,276,026 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,276,026
METHODE ELECTRS INC  COM          59152020      9,062   1,290,908 SH         DEFINED  1,2,5                    1,290,908
METLIFE INC          COM          59156R10    822,177  27,396,784 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,396,784





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
METRO BANCORP INC PA COM          59161R10      1,182      61,363 SH         DEFINED  1,2                         61,363
METROCORP BANCSHARES COM          59165010         31      10,154 SH         DEFINED  1                           10,154
METROPCS COMMUNICATI COM          59170810    101,998   7,663,272 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,663,272
METROPOLITAN HEALTH  COM          59214210        576     286,556 SH         DEFINED  1,2,5                      286,556
METTLER TOLEDO INTER COM          59268810     54,579     707,438 SH         DEFINED  1,2,5,6,8,10               707,438
MF GLOBAL LTD        SHS          G6064210     14,883   2,509,837 SH         DEFINED  1,2,7                    2,509,837
MFA FINANCIAL INC    COM          55272X10     29,227   4,223,539 SH         DEFINED  1,2,5                    4,223,539
MGE ENERGY INC       COM          55277P10     12,865     383,446 SH         DEFINED  1,2,5                      383,446
MGIC INVT CORP WIS   COM          55284810     16,045   3,646,601 SH         DEFINED  1,2,5,6                  3,646,601
MGM MIRAGE           COM          55295310     16,718   2,616,247 SH         DEFINED  1,2,5,6,7,8,10,12        2,616,247
MICREL INC           COM          59479310      9,774   1,335,265 SH         DEFINED  1,2,5,6                  1,335,265
MICROCHIP TECHNOLOGY SDCV 2.12    595017AB        602     800,000 SH         DEFINED  2                          800,000
MICROCHIP TECHNOLOGY COM          59501710    133,257   5,909,410 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,909,410
MICROMET INC         COM          59509C10      2,594     520,814 SH         DEFINED  1,2,6                      520,814
MICRON TECHNOLOGY IN NOTE 1.87    595112AH        472     800,000 SH         DEFINED  1,2                        800,000
MICRON TECHNOLOGY IN COM          59511210    164,858  32,580,621 SH         DEFINED  1,2,5,6,7,8,10,12,13    32,580,621
MICRONETICS INC DEL  COM          59512510         30      10,033 SH         DEFINED  1                           10,033
MICROS SYS INC       COM          59490110     42,321   1,671,442 SH         DEFINED  1,2,5,6,10               1,671,442
MICROSEMI CORP       COM          59513710     22,816   1,653,354 SH         DEFINED  1,2,5,6                  1,653,354
MICROSOFT CORP       COM          59491810  6,112,361 257,146,033 SH         DEFINED  1,2,5,6,7,8,10,12,13   257,146,033
MICROSTRATEGY INC    CL A NEW     59497240      9,331     185,808 SH         DEFINED  1,2,5,6                    185,808
MICROTUNE INC DEL    COM          59514P10      1,700     726,584 SH         DEFINED  1,2,5                      726,584
MICROVISION INC DEL  COM          59496010      2,673     870,648 SH         DEFINED  1,2                        870,648
MICRUS ENDOVASCULAR  COM          59518V10      1,644     181,861 SH         DEFINED  1,2,5                      181,861
MID-AMER APT CMNTYS  COM          59522J10     32,991     898,691 SH         DEFINED  1,2,3,5,8                  898,691
MIDAS GROUP INC      COM          59562610      2,670     254,815 SH         DEFINED  1,2                        254,815
MIDCAP SPDR TR       UNIT SER 1   59563510     10,194      96,900 SH         DEFINED  2                           96,900
MIDDLEBROOK PHARMACE COM          59608710        548     405,871 SH         DEFINED  1,2                        405,871
MIDDLEBY CORP        COM          59627810     12,150     276,629 SH         DEFINED  1,2,5,6                    276,629
MIDDLESEX WATER CO   COM          59668010      3,135     216,945 SH         DEFINED  1,2,5                      216,945
MIDSOUTH BANCORP INC COM          59803910        659      39,214 SH         DEFINED  1,2                         39,214
MIDWEST BANC HOLDING COM          59825110         40      53,000 SH         DEFINED  1                           53,000
MILLER HERMAN INC    COM          60054410     25,125   1,637,872 SH         DEFINED  1,2,5,6,8                1,637,872
MILLER INDS INC TENN COM NEW      60055120        741      84,180 SH         DEFINED  1,2                         84,180
MILLICOM INTL CELLUL SHS NEW      L6388F11      8,164     145,112 SH         DEFINED  1,2,5,6,8,12               145,112
MILLIPORE CORP       COM          60107310    130,105   1,853,079 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,853,079
MINDRAY MEDICAL INTL SPON ADR     60267510        774      27,726 SH         DEFINED  1,2,6                       27,726
MINDSPEED TECHNOLOGI COM NEW      60268220         42      19,383 SH         DEFINED  1                           19,383
MINE SAFETY APPLIANC COM          60272010     19,487     808,590 SH         DEFINED  1,2,5,6                    808,590
MINERALS TECHNOLOGIE COM          60315810     19,901     552,489 SH         DEFINED  1,2,5                      552,489
MIPS TECHNOLOGIES IN COM          60456710      2,025     674,935 SH         DEFINED  1,2                        674,935
MIRANT CORP NEW      COM          60467R10     44,349   2,817,603 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,817,603
MISSION WEST PPTYS I COM          60520310      2,245     328,624 SH         DEFINED  1,2,3,5                    328,624
MITCHAM INDS INC     COM          60650110         64      12,300 SH         DEFINED  1                           12,300
MITSUBISHI UFJ FINL  SPONSORED    60682210      2,008     327,028 SH         DEFINED  1,2                        327,028
MITSUI & CO LTD      ADR          60682720        666       2,841 SH         DEFINED  1,2                          2,841
MIZUHO FINL GROUP IN SPONSORED    60687Y10         77      16,640 SH         DEFINED  1                           16,640
MKS INSTRUMENT INC   COM          55306N10     14,167   1,078,142 SH         DEFINED  1,2,5,6                  1,078,142
MOBILE MINI INC      COM          60740F10      8,445     575,687 SH         DEFINED  1,2,5,6                    575,687
MOBILE TELESYSTEMS O SPONSORED    60740910     58,117   1,573,711 SH         DEFINED  1,2,4,5,6,7,8,10         1,573,711
MODINE MFG CO        COM          60782810      2,612     544,213 SH         DEFINED  1,2,5                      544,213
MODUSLINK GLOBAL SOL COM          60786L10      4,655     678,521 SH         DEFINED  1,2,5                      678,521
MOHAWK INDS INC      COM          60819010     68,157   1,910,227 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,910,227
MOLECULAR INSIGHT PH COM          60852M10        978     189,075 SH         DEFINED  1,2                        189,075





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
MOLEX INC            COM          60855410     60,192   3,870,848 SH         DEFINED  1,2,5,6,8,10,12,13       3,870,848
MOLEX INC            CL A         60855420      1,879     130,702 SH         DEFINED  1,2,5,6,8,12               130,702
MOLINA HEALTHCARE IN COM          60855R10      7,144     298,647 SH         DEFINED  1,2,5                      298,647
MOLSON COORS BREWING NOTE 2.50    60871RAA        320     300,000 SH         DEFINED  1                          300,000
MOLSON COORS BREWING CL B         60871R20    198,455   4,688,274 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,688,274
MOMENTA PHARMACEUTIC COM          60877T10      5,761     478,923 SH         DEFINED  1,2,5,6                    478,923
MONARCH CASINO & RES COM          60902710      1,218     166,867 SH         DEFINED  1,2,6                      166,867
MONEYGRAM INTL INC   COM          60935Y10      1,661     933,219 SH         DEFINED  1,2,6                      933,219
MONMOUTH REAL ESTATE CL A         60972010      1,680     286,744 SH         DEFINED  1,2,3                      286,744
MONOGRAM BIOSCIENCES COM NEW      60975U20        142      31,261 SH         DEFINED  1                           31,261
MONOLITHIC PWR SYS I COM          60983910     10,355     462,063 SH         DEFINED  1,2,5,6                    462,063
MONOTYPE IMAGING HOL COM          61022P10      3,487     512,053 SH         DEFINED  1,2,6                      512,053
MONRO MUFFLER BRAKE  COM          61023610     23,872     928,496 SH         DEFINED  1,2,5,6                    928,496
MONSANTO CO NEW      COM          61166W10  1,359,181  18,283,306 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,283,306
MONSTER WORLDWIDE IN COM          61174210     41,817   3,540,826 SH         DEFINED  1,2,5,6,8,10,13          3,540,826
MONTPELIER RE HOLDIN SHS          G6218510     19,667   1,479,865 SH         DEFINED  1,2,5                    1,479,865
MOODYS CORP          COM          61536910    183,305   6,956,556 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,956,556
MOOG INC             CL A         61539420     19,287     747,287 SH         DEFINED  1,2,5                      747,287
MORGAN STANLEY       COM NEW      61744644  4,220,384 148,031,698 SH         DEFINED  1,2,5,6,7,8,10,12,13   148,031,698
MORGANS HOTEL GROUP  COM          61748W10      1,326     346,088 SH         DEFINED  1,2,6                      346,088
MORNINGSTAR INC      COM          61770010      6,684     162,127 SH         DEFINED  1,2,5,6,10                 162,127
MORTONS RESTAURANT G COM          61943010         36      12,014 SH         DEFINED  1                           12,014
MOSAIC CO            COM          61945A10    104,909   2,368,159 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,368,159
MOSYS INC            COM          61971810         52      31,222 SH         DEFINED  1                           31,222
MOTOROLA INC         COM          62007610    484,279  73,043,633 SH         DEFINED  1,2,5,6,7,8,10,12,13    73,043,633
MOVADO GROUP INC     COM          62458010      2,811     266,661 SH         DEFINED  1,2,5                      266,661
MOVE INC COM         COM          62458M10      4,854   2,247,334 SH         DEFINED  1,2,5,6                  2,247,334
MPS GROUP INC        COM          55340910     20,667   2,705,158 SH         DEFINED  1,2,5                    2,705,158
MRV COMMUNICATIONS I COM          55347710          5      10,200 SH         DEFINED  5                           10,200
MSC INDL DIRECT INC  CL A         55353010     33,231     936,612 SH         DEFINED  1,2,5,6,10                 936,612
MSC SOFTWARE CORP    COM          55353110      4,498     675,382 SH         DEFINED  1,2,5                      675,382
MSCI INC             CL A         55354G10     25,529   1,044,556 SH         DEFINED  1,2,5,6,8,10             1,044,556
MTR GAMING GROUP INC COM          55376910         41      16,312 SH         DEFINED  1                           16,312
MTS SYS CORP         COM          55377710      6,387     309,275 SH         DEFINED  1,2,5,6                    309,275
MUELLER INDS INC     COM          62475610     15,580     749,016 SH         DEFINED  1,2,5,6                    749,016
MUELLER WTR PRODS IN COM SER A    62475810      8,434   2,255,200 SH         DEFINED  1,2,5,6                  2,255,200
MULTI COLOR CORP     COM          62538310      1,881     153,402 SH         DEFINED  1,2                        153,402
MULTI FINELINE ELECT COM          62541B10      4,160     194,380 SH         DEFINED  1,2,5,6                    194,380
MULTIMEDIA GAMES INC COM          62545310      1,560     314,539 SH         DEFINED  1,2                        314,539
MURPHY OIL CORP      COM          62671710    388,404   7,150,286 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,150,286
MVC CAPITAL INC      COM          55382910      2,627     310,486 SH         DEFINED  1,2                        310,486
MWI VETERINARY SUPPL COM          55402X10      5,749     164,908 SH         DEFINED  1,2,6                      164,908
MYERS INDS INC       COM          62846410      4,805     577,534 SH         DEFINED  1,2,5                      577,534
MYLAN INC            NOTE 1.25    628530AG      1,000   1,000,000 SH         DEFINED  1,2                      1,000,000
MYLAN INC            COM          62853010    136,114  10,430,205 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,430,205
MYLAN INC            PFD CONV     62853020      1,123       1,300 SH         DEFINED  1,2                          1,300
MYR GROUP INC DEL    COM          55405W10      4,532     224,122 SH         DEFINED  1,2,6                      224,122
MYRIAD GENETICS INC  COM          62855J10     76,702   2,151,531 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,151,531
MYRIAD PHARMACEUTICA COM          62856H10      2,178     468,474 SH         DEFINED  1,2,5,6,7,8,10,12,13       468,474
NABI BIOPHARMACEUTIC COM          62951910      1,985     817,063 SH         DEFINED  1,2,5,6                    817,063
NABORS INDS INC      NOTE 0.94    629568AP      2,046   2,200,000 SH         DEFINED  1,2                      2,200,000
NABORS INDUSTRIES LT SHS          G6359F10    162,357  10,420,832 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,420,832
NACCO INDS INC       CL A         62957910      2,641      91,950 SH         DEFINED  1,2,5                       91,950
NALCO HOLDING COMPAN COM          62985Q10     25,103   1,490,688 SH         DEFINED  1,2,5,6,8,10             1,490,688





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
NAM TAI ELECTRS INC  COM PAR $0   62986520        317      74,569 SH         DEFINED  1,5,6                       74,569
NANOPHASE TCHNOLOGIE COM          63007910         16      15,558 SH         DEFINED  1                           15,558
NANOSPHERE INC       COM          63009F10        820     167,032 SH         DEFINED  1,2                        167,032
NAPCO SEC TECHNOLOGI COM          63040210         17      14,409 SH         DEFINED  1                           14,409
NARA BANCORP INC     COM          63080P10      1,987     383,662 SH         DEFINED  1,2,5                      383,662
NASB FINL INC        COM          62896810      1,611      56,316 SH         DEFINED  1,2                         56,316
NASDAQ OMX GROUP INC COM          63110310    112,219   5,266,040 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,266,040
NASH FINCH CO        COM          63115810     10,992     406,219 SH         DEFINED  1,2,5,7,8                  406,219
NATCO GROUP INC      CL A         63227W20     10,767     327,077 SH         DEFINED  1,2,5,6                    327,077
NATIONAL BANKSHARES  COM          63486510      2,163      90,012 SH         DEFINED  1,2                         90,012
NATIONAL BEVERAGE CO COM          63501710      1,904     177,774 SH         DEFINED  1,2                        177,774
NATIONAL BK GREECE S SPONSORED    63364340      2,726     496,587 SH         DEFINED  1,2                        496,587
NATIONAL CINEMEDIA I COM          63530910      9,551     694,104 SH         DEFINED  1,2,5,6                    694,104
NATIONAL CITY CORP   NOTE 4.00    635405AW        983   1,000,000 SH         DEFINED  1,2                      1,000,000
NATIONAL COAL CORP   COM NEW      63238120         17      14,700 SH         DEFINED  1                           14,700
NATIONAL FINL PARTNE COM          63607P20      5,589     763,494 SH         DEFINED  1,2,5                      763,494
NATIONAL FUEL GAS CO COM          63618010     65,426   1,813,357 SH         DEFINED  1,2,5,6,8,10             1,813,357
NATIONAL GRID PLC    SPON ADR N   63627430        295       6,532 SH         DEFINED  1                            6,532
NATIONAL HEALTH INVS COM          63633D10     11,535     431,878 SH         DEFINED  1,2,3,5,8                  431,878
NATIONAL HEALTHCARE  COM          63590610      4,812     126,826 SH         DEFINED  1,2,3,5,6                  126,826
NATIONAL INSTRS CORP COM          63651810     26,615   1,179,759 SH         DEFINED  1,2,5,6,10               1,179,759
NATIONAL INTERSTATE  COM          63654U10      1,563     102,955 SH         DEFINED  1,2,5                      102,955
NATIONAL OILWELL VAR COM          63707110    511,558  15,663,140 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,663,140
NATIONAL PENN BANCSH COM          63713810     22,487   4,877,822 SH         DEFINED  1,2,5                    4,877,822
NATIONAL PRESTO INDS COM          63721510      8,913     117,125 SH         DEFINED  1,2,5,6                    117,125
NATIONAL RESEARCH CO COM          63737210        306      12,554 SH         DEFINED  1,2                         12,554
NATIONAL RETAIL PROP COM          63741710     30,435   1,754,195 SH         DEFINED  1,2,3,5,6,8              1,754,195
NATIONAL SEMICONDUCT COM          63764010     99,491   7,927,546 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,927,546
NATIONAL WESTN LIFE  CL A         63852210      4,137      35,432 SH         DEFINED  1,2                         35,432
NATIONWIDE HEALTH PP COM          63862010     86,707   3,368,578 SH         DEFINED  1,2,3,5,6,8,10           3,368,578
NATURAL GAS SERVICES COM          63886Q10      2,328     175,054 SH         DEFINED  1,2                        175,054
NATURAL RESOURCE PAR COM UNIT L   63900P10        760      36,171 SH         DEFINED  1,2                         36,171
NATUS MEDICAL INC DE COM          63905010      5,170     447,996 SH         DEFINED  1,2,5,6                    447,996
NAUTILUS INC         COM          63910B10        100      88,314 SH         DEFINED  1                           88,314
NAVARRE CORP         COM          63920810         47      28,417 SH         DEFINED  1                           28,417
NAVIGANT CONSULTING  COM          63935N10     17,157   1,327,907 SH         DEFINED  1,2,5,6                  1,327,907
NAVIGATORS GROUP INC COM          63890410      9,501     213,832 SH         DEFINED  1,2,5,6                    213,832
NAVIOS MARITIME PART UNIT LPI     Y6226710        100      10,100 SH         DEFINED  1                           10,100
NAVISITE INC         COM NEW      63935M20         20      14,820 SH         DEFINED  1                           14,820
NAVISTAR INTL CORP N COM          63934E10     39,648     909,367 SH         DEFINED  1,2,5,6,7,8,10             909,367
NBT BANCORP INC      COM          62877810     15,001     690,973 SH         DEFINED  1,2,5                      690,973
NBTY INC             COM          62878210     30,296   1,077,369 SH         DEFINED  1,2,5,6,10               1,077,369
NCI BUILDING SYS INC COM          62885210        905     342,736 SH         DEFINED  1,2,5                      342,736
NCI INC              CL A         62886K10      2,770      91,060 SH         DEFINED  1,2,6                       91,060
NCR CORP NEW         COM          62886E10     40,359   3,411,583 SH         DEFINED  1,2,5,6,8,10,12          3,411,583
NEENAH PAPER INC     COM          64007910      2,262     256,792 SH         DEFINED  1,2                        256,792
NEKTAR THERAPEUTICS  COM          64026810      9,637   1,487,167 SH         DEFINED  1,2,5,6                  1,487,167
NELNET INC           CL A         64031N10      7,433     546,963 SH         DEFINED  1,2,5                      546,963
NEOGEN CORP          COM          64049110      6,223     214,723 SH         DEFINED  1,2,6                      214,723
NESS TECHNOLOGIES IN COM          64104X10      2,147     549,036 SH         DEFINED  1,2                        549,036
NET 1 UEPS TECHNOLOG COM NEW      64107N20      8,321     612,311 SH         DEFINED  1,2,5                      612,311
NET SERVICOS DE COMU SPONSD ADR   64109T20        491      50,160 SH         DEFINED  1,6                         50,160
NETAPP INC           COM          64110D10    212,382  10,769,870 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,769,870
NETEASE COM INC      SPONSORED    64110W10      8,248     234,448 SH         DEFINED  1,2,5,6                    234,448





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
NETEZZA CORP         COM          64111N10      4,932     592,739 SH         DEFINED  1,2,6                      592,739
NETFLIX INC          COM          64110L10     58,627   1,418,161 SH         DEFINED  1,2,5,6,7,8,10           1,418,161
NETGEAR INC          COM          64111Q10      9,279     643,904 SH         DEFINED  1,2,5,6                    643,904
NETLOGIC MICROSYSTEM COM          64118B10      9,192     252,119 SH         DEFINED  1,2,5,6                    252,119
NETSCOUT SYS INC     COM          64115T10      5,011     534,230 SH         DEFINED  1,2,6                      534,230
NETSUITE INC         COM          64118Q10      2,195     185,843 SH         DEFINED  1,2,5,6                    185,843
NETWORK ENGINES INC  COM          64121A10         15      18,257 SH         DEFINED  1                           18,257
NETWORK EQUIP TECHNO COM          64120810      1,430     335,602 SH         DEFINED  1,2,5                      335,602
NEURALSTEM INC       COM          64127R30         12      11,400 SH         DEFINED  1                           11,400
NEUROCRINE BIOSCIENC COM          64125C10      2,123     657,341 SH         DEFINED  1,2,6                      657,341
NEUROGEN CORP        COM          64124E10          5      20,334 SH         DEFINED  1                           20,334
NEUROGESX INC        COM          64125210        448      79,439 SH         DEFINED  1,2                         79,439
NEUSTAR INC          CL A         64126X20     34,028   1,535,546 SH         DEFINED  1,2,5,6,10               1,535,546
NEUTRAL TANDEM INC   COM          64128B10     12,880     436,302 SH         DEFINED  1,2,5,6                    436,302
NEVADA GOLD & CASINO COM NEW      64126Q20         43      32,200 SH         DEFINED  1                           32,200
NEW FRONTIER MEDIA I COM          64439810         61      25,324 SH         DEFINED  1                           25,324
NEW JERSEY RES       COM          64602510     30,443     821,906 SH         DEFINED  1,2,5                      821,906
NEW ORIENTAL ED & TE SPON ADR     64758110     10,709     158,980 SH         DEFINED  1,2,6,7                    158,980
NEW YORK & CO INC    COM          64929510      2,145     694,302 SH         DEFINED  1,2,5                      694,302
NEW YORK CMNTY BANCO COM          64944510     97,126   9,085,714 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,085,714
NEW YORK TIMES CO    CL A         65011110     19,916   3,614,535 SH         DEFINED  1,2,5,6,8,10,12,13       3,614,535
NEWALLIANCE BANCSHAR COM          65020310     36,434   3,168,141 SH         DEFINED  1,2,5,6                  3,168,141
NEWBRIDGE BANCORP    COM          65080T10         43      20,558 SH         DEFINED  1                           20,558
NEWCASTLE INVT CORP  COM          65105M10         38      58,250 SH         DEFINED  1                           58,250
NEWELL RUBBERMAID IN COM          65122910     97,373   9,353,835 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,353,835
NEWFIELD EXPL CO     COM          65129010    109,531   3,352,638 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,352,638
NEWMARKET CORP       COM          65158710     13,276     197,177 SH         DEFINED  1,2,5,6                    197,177
NEWMONT MINING CORP  COM          65163910    689,611  16,873,286 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,873,286
NEWPARK RES INC      COM PAR $.   65171850      4,254   1,492,764 SH         DEFINED  1,2,5                    1,492,764
NEWPORT CORP         COM          65182410      3,259     562,911 SH         DEFINED  1,2,5                      562,911
NEWS CORP            CL A         65248E10    634,681  69,668,560 SH         DEFINED  1,2,5,6,7,8,10,12,13    69,668,560
NEWS CORP            CL B         65248E20     24,776   2,343,978 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,343,978
NEWSTAR FINANCIAL IN COM          65251F10        674     352,764 SH         DEFINED  1,2                        352,764
NEXEN INC            COM          65334H10      2,472     114,200 SH         DEFINED  7                          114,200
NEXSTAR BROADCASTING CL A         65336K10          8      10,746 SH         DEFINED  1                           10,746
NEXTEL COMMUNICATION NOTE 5.25    65332VAY      1,139   1,150,000 SH         DEFINED  1,2                      1,150,000
NEXTWAVE WIRELESS IN COM          65337Y10         18      38,100 SH         DEFINED  1                           38,100
NGAS RESOURCES INC   COM          62912T10         68      32,360 SH         DEFINED  1,5                         32,360
NGP CAP RES CO       COM          62912R10      1,711     291,559 SH         DEFINED  1,2                        291,559
NIC INC              COM          62914B10      4,681     691,450 SH         DEFINED  1,2,6                      691,450
NICOR INC            COM          65408610     58,958   1,703,015 SH         DEFINED  1,2,5,6,8,10,13          1,703,015
NIGHTHAWK RADIOLOGY  COM          65411N10      1,819     491,704 SH         DEFINED  1,2                        491,704
NII HLDGS INC        NOTE 3.12    62913FAJ        346     450,000 SH         DEFINED  1,2                        450,000
NII HLDGS INC        CL B NEW     62913F20     57,371   3,008,425 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,008,425
NIKE INC             CL B         65410610    604,022  11,665,158 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,665,158
NISOURCE INC         COM          65473P10    127,861  10,965,813 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,965,813
NISSAN MOTORS        SPONSORED    65474440        692      57,308 SH         DEFINED  1,2                         57,308
NIVS INTELLIMEDIA TE COM          62914U10        103      34,767 SH         DEFINED  1,2                         34,767
NL INDS INC          COM NEW      62915640        774     104,945 SH         DEFINED  1,2,5                      104,945
NMT MED INC          COM          62929410         34      15,242 SH         DEFINED  1                           15,242
NN INC               COM          62933710         20      11,678 SH         DEFINED  1                           11,678
NOBEL LEARNING CMNTY COM          65488910        482      41,994 SH         DEFINED  1,2                         41,994
NOBLE CORPORATION BA NAMEN -AKT   H5833N10     60,239   1,991,356 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,991,356
NOBLE ENERGY INC     COM          65504410    375,642   6,370,059 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,370,059





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
NOKIA CORP           SPONSORED    65490220      4,968     340,769 SH         DEFINED  1,2                        340,769
NOMURA HLDGS INC     SPONSORED    65535H20        428      50,810 SH         DEFINED  1,2                         50,810
NORDIC AMERICAN TANK COM          G6577310     14,385     452,060 SH         DEFINED  1,5                        452,060
NORDSON CORP         COM          65566310     36,481     939,755 SH         DEFINED  1,2,5,6                    939,755
NORDSTROM INC        COM          65566410    120,680   6,067,353 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,067,353
NORFOLK SOUTHERN COR COM          65584410    437,218  11,606,529 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,606,529
NORTH AMERN GALVANZN COM          65686Y10        650     107,205 SH         DEFINED  1,2                        107,205
NORTHEAST CMNTY BANC COM          66411210        454      55,919 SH         DEFINED  1,2                         55,919
NORTHEAST UTILS      COM          66439710    142,577   6,390,730 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,390,730
NORTHERN OIL & GAS I COM          66553110      1,947     305,583 SH         DEFINED  1,2,6                      305,583
NORTHERN TR CORP     COM          66585910    478,030   8,905,172 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,905,172
NORTHFIELD BANCORP I COM          66611L10      3,414     293,828 SH         DEFINED  1,2                        293,828
NORTHRIM BANCORP INC COM          66676210        887      63,757 SH         DEFINED  1,2                         63,757
NORTHROP GRUMMAN COR COM          66680710  1,533,546  33,571,496 SH         DEFINED  1,2,5,6,7,8,10,12,13    33,571,496
NORTHSTAR NEUROSCIEN COM          66704V10         44      21,953 SH         DEFINED  1                           21,953
NORTHSTAR RLTY FIN C COM          66704R10      3,123   1,103,665 SH         DEFINED  1,2,5                    1,103,665
NORTHWEST BANCORP IN COM          66732810      4,898     259,692 SH         DEFINED  1,2,5                      259,692
NORTHWEST NAT GAS CO COM          66765510     36,659     827,138 SH         DEFINED  1,2,5                      827,138
NORTHWEST PIPE CO    COM          66774610      4,896     140,843 SH         DEFINED  1,2,5,6                    140,843
NORTHWESTERN CORP    COM NEW      66807430     18,630     818,528 SH         DEFINED  1,2,5                      818,528
NORWOOD FINANCIAL CO COM          66954910        603      19,237 SH         DEFINED  1,2                         19,237
NOVAMED INC DEL      COM          66986W10        563     142,647 SH         DEFINED  1,2                        142,647
NOVARTIS A G         SPONSORED    66987V10      1,828      44,816 SH         DEFINED  1,2                         44,816
NOVATEL WIRELESS INC COM NEW      66987M60      5,760     638,528 SH         DEFINED  1,2,5,6                    638,528
NOVAVAX INC          COM          67000210      2,518     767,662 SH         DEFINED  1,2                        767,662
NOVELL INC           COM          67000610     47,159  10,410,388 SH         DEFINED  1,2,5,6,10,13           10,410,388
NOVELLUS SYS INC     COM          67000810     48,640   2,912,578 SH         DEFINED  1,2,5,6,8,10,12,13       2,912,578
NOVEN PHARMACEUTICAL COM          67000910      6,618     462,826 SH         DEFINED  1,2,5,6                    462,826
NOVO-NORDISK A S     ADR          67010020        213       3,904 SH         DEFINED  1                            3,904
NPS PHARMACEUTICALS  COM          62936P10      4,371     937,934 SH         DEFINED  1,2,6                      937,934
NRG ENERGY INC       COM NEW      62937750     94,403   3,636,474 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,636,474
NSTAR                COM          67019E10     80,099   2,494,527 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,494,527
NTELOS HLDGS CORP    COM          67020Q10      8,676     471,001 SH         DEFINED  1,2,5                      471,001
NTT DOCOMO INC       SPONS ADR    62942M20      1,316      90,415 SH         DEFINED  1,2                         90,415
NU HORIZONS ELECTRS  COM          66990810         74      22,148 SH         DEFINED  1                           22,148
NU SKIN ENTERPRISES  CL A         67018T10     12,936     845,468 SH         DEFINED  1,2,5                      845,468
NUANCE COMMUNICATION COM          67020Y10     33,977   2,807,988 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,807,988
NUCOR CORP           COM          67034610    495,187  11,145,332 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,145,332
NUSTAR ENERGY LP     UNIT COM     67058H10      2,284      42,270 SH         DEFINED  1,2                         42,270
NUSTAR GP HOLDINGS L UNIT RESTG   67059L10        743      32,130 SH         DEFINED  1,2                         32,130
NUTRACEUTICAL INTL C COM          67060Y10      1,223     117,731 SH         DEFINED  1,2                        117,731
NUTRI SYS INC NEW    COM          67069D10      8,396     579,067 SH         DEFINED  1,2,5,6                    579,067
NUVASIVE INC         COM          67070410     25,556     573,012 SH         DEFINED  1,2,5,6,8                  573,012
NV ENERGY INC        COM          67073Y10     54,545   5,055,142 SH         DEFINED  1,2,5,6,10               5,055,142
NVE CORP             COM NEW      62944520      2,712      55,796 SH         DEFINED  1,2                         55,796
NVIDIA CORP          COM          67066G10    211,446  18,728,626 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,728,626
NVR INC              COM          62944T10     94,986     189,068 SH         DEFINED  1,2,5,6,8,10,12            189,068
NXSTAGE MEDICAL INC  COM          67072V10      2,522     427,407 SH         DEFINED  1,2                        427,407
NYFIX INC            COM          67071210         11      13,172 SH         DEFINED  1                           13,172
NYMAGIC INC          COM          62948410      1,040      74,930 SH         DEFINED  1,2                         74,930
NYSE EURONEXT        COM          62949110    248,615   9,123,498 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,123,498
O CHARLEYS INC       COM          67082310      4,842     523,431 SH         DEFINED  1,2,5                      523,431
O REILLY AUTOMOTIVE  COM          68609110    174,186   4,574,202 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,574,202
OBAGI MEDICAL PRODUC COM          67423R10      2,388     327,504 SH         DEFINED  1,2                        327,504





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
OCCAM NETWORKS INC   COM NEW      67457P30         57      15,798 SH         DEFINED  1                           15,798
OCCIDENTAL PETE CORP COM          67459910  1,897,058  28,826,288 SH         DEFINED  1,2,5,6,7,8,10,12,13    28,826,288
OCEAN SHORE HLDG CO  COM          67501P10         88      12,500 SH         DEFINED  1                           12,500
OCEANEERING INTL INC COM          67523210     56,640   1,253,090 SH         DEFINED  1,2,5,6,10               1,253,090
OCEANFIRST FINL CORP COM          67523410      2,371     198,042 SH         DEFINED  1,2                        198,042
OCEANFREIGHT INC     SHS          Y6420210         32      21,351 SH         DEFINED  1                           21,351
OCH ZIFF CAP MGMT GR CL A         67551U10        480      53,910 SH         DEFINED  1,2,8                       53,910
OCLARO INC           COM          67555N10         92     144,470 SH         DEFINED  1                          144,470
OCULUS INNOVATIVE SC COM          67575P10         36      10,600 SH         DEFINED  1                           10,600
OCWEN FINL CORP      COM NEW      67574630      9,568     737,726 SH         DEFINED  1,2,5                      737,726
ODYSSEY HEALTHCARE I COM          67611V10      6,702     651,977 SH         DEFINED  1,2,5                      651,977
ODYSSEY MARINE EXPLO COM          67611810      1,093     683,401 SH         DEFINED  1,2,5                      683,401
ODYSSEY RE HLDGS COR COM          67612W10      6,824     170,692 SH         DEFINED  1,2,5,8,10                 170,692
OFFICE DEPOT INC     COM          67622010     55,481  12,166,970 SH         DEFINED  1,2,5,6,8,10,13         12,166,970
OFFICEMAX INC DEL    COM          67622P10     24,224   3,857,354 SH         DEFINED  1,2,5,6,8                3,857,354
OGE ENERGY CORP      COM          67083710     53,315   1,882,602 SH         DEFINED  1,2,5,6,8,10             1,882,602
OHIO VY BANC CORP    COM          67771910      1,252      42,671 SH         DEFINED  1,2                         42,671
OIL DRI CORP AMER    COM          67786410        715      48,143 SH         DEFINED  1,2                         48,143
OIL STS INTL INC     COM          67802610     28,065   1,159,240 SH         DEFINED  1,2,5,6,7,10             1,159,240
OILSANDS QUEST INC   COM          67804610      2,390   2,489,452 SH         DEFINED  1,2,5                    2,489,452
OLD DOMINION FGHT LI COM          67958010     16,568     493,542 SH         DEFINED  1,2,5,6                    493,542
OLD NATL BANCORP IND COM          68003310     22,757   2,317,414 SH         DEFINED  1,2,5                    2,317,414
OLD POINT FINL CORP  COM          68019410        290      15,700 SH         DEFINED  1,2                         15,700
OLD REP INTL CORP    COM          68022310     54,971   5,580,800 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,580,800
OLD SECOND BANCORP I COM          68027710      1,316     222,997 SH         DEFINED  1,2                        222,997
OLIN CORP            COM PAR $1   68066520     81,049   6,816,546 SH         DEFINED  1,2,5                    6,816,546
OLYMPIC STEEL INC    COM          68162K10      3,838     156,864 SH         DEFINED  1,2,5                      156,864
OM GROUP INC         COM          67087210     23,664     815,432 SH         DEFINED  1,2,5                      815,432
OMEGA FLEX INC       COM          68209510        534      35,198 SH         DEFINED  1,2                         35,198
OMEGA HEALTHCARE INV COM          68193610     32,478   2,092,686 SH         DEFINED  1,2,3,5,8                2,092,686
OMEGA PROTEIN CORP   COM          68210P10        988     243,382 SH         DEFINED  1,2,5                      243,382
OMNI ENERGY SERVICES COM NEW      68210T20         60      28,385 SH         DEFINED  1,2                         28,385
OMNICARE INC         DBCV 3.25    681904AL        338     488,000 SH         DEFINED  2                          488,000
OMNICARE INC         COM          68190410    104,940   4,073,746 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,073,746
OMNICELL INC         COM          68213N10      5,224     485,909 SH         DEFINED  1,2,5,6                    485,909
OMNICOM GROUP INC    COM          68191910    307,808   9,746,940 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,746,940
OMNITURE INC         COM          68212S10     15,557   1,238,599 SH         DEFINED  1,2,5,6,8                1,238,599
OMNIVISION TECHNOLOG COM          68212810      8,538     821,733 SH         DEFINED  1,2,5,6                    821,733
OMNOVA SOLUTIONS INC COM          68212910      1,659     508,827 SH         DEFINED  1,2                        508,827
ON ASSIGNMENT INC    COM          68215910      3,038     776,873 SH         DEFINED  1,2                        776,873
ON SEMICONDUCTOR COR COM          68218910     32,979   4,807,368 SH         DEFINED  1,2,5,6,7,10             4,807,368
ON2 TECHNOLOGIES INC COM          68338A10         47     111,698 SH         DEFINED  1                          111,698
ONCOGENEX PHARMACEUT COM          68230A10      1,305      59,630 SH         DEFINED  1,2                         59,630
ONE LIBERTY PPTYS IN COM          68240610         90      15,728 SH         DEFINED  1,5                         15,728
ONEBEACON INSURANCE  CL A         G6774210      2,186     186,959 SH         DEFINED  1,2,5,10                   186,959
ONEOK INC NEW        COM          68268010     69,686   2,363,035 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,363,035
ONEOK PARTNERS LP    UNIT LTD P   68268N10      2,182      47,649 SH         DEFINED  1,2                         47,649
ONLINE RES CORP      COM          68273G10      2,226     356,809 SH         DEFINED  1,2                        356,809
ONYX PHARMACEUTICALS COM          68339910     43,408   1,536,007 SH         DEFINED  1,2,5,6,8                1,536,007
OPEN JT STK CO-VIMPE SPONSORED    68370R10     35,902   3,050,295 SH         DEFINED  1,2,5,6,7,10             3,050,295
OPEN TEXT CORP       COM          68371510      1,020      28,000 SH         DEFINED  2,7                         28,000
OPENTABLE INC        COM          68372A10        625      20,712 SH         DEFINED  1,2                         20,712
OPENTV CORP          CL A         G6754310      1,323     994,782 SH         DEFINED  1                          994,782
OPENWAVE SYS INC     COM NEW      68371830      2,341   1,044,924 SH         DEFINED  1,2                      1,044,924





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
OPKO HEALTH INC      COM          68375N10        807     455,798 SH         DEFINED  1,2,6                      455,798
OPLINK COMMUNICATION COM NEW      68375Q40      3,166     277,680 SH         DEFINED  1,2,6                      277,680
OPNET TECHNOLOGIES I COM          68375710      1,402     153,016 SH         DEFINED  1,2,5,6                    153,016
OPNEXT INC           COM          68375V10        783     366,062 SH         DEFINED  1,2,5,6                    366,062
OPPENHEIMER HLDGS IN CL A NON V   68379710      2,581     121,909 SH         DEFINED  1,2                        121,909
OPTIMER PHARMACEUTIC COM          68401H10      5,441     363,464 SH         DEFINED  1,2                        363,464
OPTIONSXPRESS HLDGS  COM          68401010     16,595   1,068,598 SH         DEFINED  1,2,5,6                  1,068,598
ORACLE CORP          COM          68389X10  2,711,436 126,584,305 SH         DEFINED  1,2,5,6,7,8,10,12,13   126,584,305
ORASURE TECHNOLOGIES COM          68554V10      1,876     759,333 SH         DEFINED  1,2,6                      759,333
ORBCOMM INC          COM          68555P10         34      19,400 SH         DEFINED  1                           19,400
ORBITAL SCIENCES COR COM          68556410     15,431   1,017,231 SH         DEFINED  1,2,5,6                  1,017,231
ORBITZ WORLDWIDE INC COM          68557K10        990     521,066 SH         DEFINED  1,2,5                      521,066
ORBOTECH LTD         ORD          M7525310        507      58,597 SH         DEFINED  1,2,5,6,7                   58,597
ORCHID CELLMARK INC  COM          68573C10         30      18,796 SH         DEFINED  1                           18,796
ORCHIDS PAPER PRODS  COM          68572N10        867      42,194 SH         DEFINED  1,2                         42,194
OREXIGEN THERAPEUTIC COM          68616410      1,286     250,750 SH         DEFINED  1,2,6                      250,750
ORIENTAL FINL GROUP  COM          68618W10      5,131     528,964 SH         DEFINED  1,2,5                      528,964
ORIENT-EXPRESS HOTEL CL A         G6774310      8,088     952,650 SH         DEFINED  1,2,5,6                    952,650
ORION ENERGY SYSTEMS COM          68627510        667     177,786 SH         DEFINED  1,2,6                      177,786
ORION MARINE GROUP I COM          68628V30      5,141     270,563 SH         DEFINED  1,2,6                      270,563
ORITANI FINL CORP    COM          68632310      2,188     159,598 SH         DEFINED  1,2,5,6                    159,598
ORIX CORP            SPONSORED    68633010        311      10,538 SH         DEFINED  1,2                         10,538
ORMAT TECHNOLOGIES I COM          68668810      7,605     188,655 SH         DEFINED  1,2,5,6,10                 188,655
ORRSTOWN FINL SVCS I COM          68738010      2,325      62,441 SH         DEFINED  1,2                         62,441
ORTHOFIX INTL N V    COM          N6748L10      6,245     249,687 SH         DEFINED  1,2,5,6                    249,687
ORTHOLOGIC CORP      COM          68750J10         31      43,076 SH         DEFINED  1                           43,076
ORTHOVITA INC        COM          68750U10      4,486     867,698 SH         DEFINED  1,2,6                      867,698
OSHKOSH CORP         COM          68823920     25,943   1,784,282 SH         DEFINED  1,2,5,6,8,10             1,784,282
OSI PHARMACEUTICALS  COM          67104010     47,393   1,678,825 SH         DEFINED  1,2,5,6,7,10             1,678,825
OSI SYSTEMS INC      COM          67104410      5,403     259,158 SH         DEFINED  1,2,5,6                    259,158
OSIRIS THERAPEUTICS  COM          68827R10      3,441     256,804 SH         DEFINED  1,2,6                      256,804
OSTEOTECH INC        COM          68858210        199      45,129 SH         DEFINED  1                           45,129
OTTER TAIL CORP      COM          68964810     11,729     537,026 SH         DEFINED  1,2,5                      537,026
OUTDOOR CHANNEL HLDG COM NEW      69002720      1,046     177,228 SH         DEFINED  1,2                        177,228
OVERHILL FARMS INC   COM          69021210        693     131,571 SH         DEFINED  1,2                        131,571
OVERLAND STORAGE INC COM          69031010          8      17,450 SH         DEFINED  1                           17,450
OVERSEAS SHIPHOLDING COM          69036810     16,378     481,138 SH         DEFINED  1,2,5,10                   481,138
OVERSTOCK COM INC DE COM          69037010      2,708     226,382 SH         DEFINED  1,2,5,6                    226,382
OWENS & MINOR INC NE COM          69073210     44,610   1,018,017 SH         DEFINED  1,2,5                    1,018,017
OWENS CORNING NEW    COM          69074210     40,051   3,133,920 SH         DEFINED  1,2,5,6,7,8,10           3,133,920
OWENS ILL INC        COM NEW      69076840    199,945   7,138,358 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,138,358
OXFORD INDS INC      COM          69149730      2,808     241,057 SH         DEFINED  1,2,5                      241,057
OXIGENE INC          COM          69182810        568     260,369 SH         DEFINED  1,2                        260,369
OYO GEOSPACE CORP    COM          67107410      1,646      64,136 SH         DEFINED  1,2,6                       64,136
P C CONNECTION       COM          69318J10        656     124,867 SH         DEFINED  1,2                        124,867
P F CHANGS CHINA BIS COM          69333Y10     18,059     563,289 SH         DEFINED  1,2,5,6                    563,289
P T TELEKOMUNIKASI I SPONSORED    71568410      1,221      40,725 SH         DEFINED  1,2,6                       40,725
PACCAR INC           COM          69371810    364,211  11,230,678 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,230,678
PACER INTL INC TENN  COM          69373H10      2,095     939,411 SH         DEFINED  1,2,5                      939,411
PACIFIC CAP BANCORP  COM          69404P10      4,017   1,877,173 SH         DEFINED  1,2,5                    1,877,173
PACIFIC CONTINENTAL  COM          69412V10      1,845     152,104 SH         DEFINED  1,2                        152,104
PACIFIC ETHANOL INC  COM          69423U10         18      45,281 SH         DEFINED  1                           45,281
PACIFIC MERCANTILE B COM          69455210         58      13,518 SH         DEFINED  1                           13,518
PACIFIC PREMIER BANC COM          69478X10         48      10,000 SH         DEFINED  1                           10,000





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
PACIFIC SUNWEAR CALI COM          69487310      3,792   1,121,851 SH         DEFINED  1,2,5,6                  1,121,851
PACKAGING CORP AMER  COM          69515610     33,400   2,061,700 SH         DEFINED  1,2,5,6,10               2,061,700
PACTIV CORP          COM          69525710    139,986   6,450,956 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,450,956
PACWEST BANCORP DEL  COM          69526310     19,342   1,469,744 SH         DEFINED  1,2,5                    1,469,744
PAETEC HOLDING CORP  COM          69545910      5,076   1,879,837 SH         DEFINED  1,2,5,6                  1,879,837
PAIN THERAPEUTICS IN COM          69562K10      3,141     584,988 SH         DEFINED  1,2,6                      584,988
PALATIN TECHNOLOGIES COM NEW      69607730         11      42,006 SH         DEFINED  1                           42,006
PALL CORP            COM          69642930    104,258   3,925,376 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,925,376
PALM HARBOR HOMES    COM          69663910         25      11,841 SH         DEFINED  1                           11,841
PALM INC NEW         COM          69664310     53,687   3,238,049 SH         DEFINED  1,2,5,6                  3,238,049
PALOMAR MED TECHNOLO COM NEW      69752930      4,129     280,285 SH         DEFINED  1,2,5,6                    280,285
PANASONIC CORP       ADR          69832A20      1,342     100,226 SH         DEFINED  1                          100,226
PANERA BREAD CO      CL A         69840W10     35,605     714,107 SH         DEFINED  1,2,5,6,10                 714,107
PANHANDLE OIL AND GA CL A         69847710      1,869      95,208 SH         DEFINED  1,2                         95,208
PANTRY INC           COM          69865710      8,493     511,610 SH         DEFINED  1,2,5                      511,610
PAPA JOHNS INTL INC  COM          69881310     12,444     501,989 SH         DEFINED  1,2,5,6                    501,989
PAR PHARMACEUTICAL C COM          69888P10     11,786     777,948 SH         DEFINED  1,2,5,6                    777,948
PAR TECHNOLOGY CORP  COM          69888410        439      68,649 SH         DEFINED  1,2                         68,649
PARALLEL PETE CORP D COM          69915710      1,151     593,271 SH         DEFINED  1,2                        593,271
PARAMETRIC TECHNOLOG COM NEW      69917320     33,278   2,846,670 SH         DEFINED  1,2,5,6                  2,846,670
PARAMOUNT GOLD & SIL COM          69924P10        709     466,511 SH         DEFINED  1,2                        466,511
PAREXEL INTL CORP    COM          69946210     17,105   1,189,513 SH         DEFINED  1,2,5,6                  1,189,513
PARK ELECTROCHEMICAL COM          70041620      7,207     334,735 SH         DEFINED  1,2,5                      334,735
PARK NATL CORP       COM          70065810     11,200     198,302 SH         DEFINED  1,2,5,6                    198,302
PARKER DRILLING CO   COM          70108110      7,987   1,840,243 SH         DEFINED  1,2,5                    1,840,243
PARKER HANNIFIN CORP COM          70109410    228,706   5,323,697 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,323,697
PARKERVISION INC     COM          70135410        919     300,459 SH         DEFINED  1,2,5                      300,459
PARKWAY PPTYS INC    COM          70159Q10      9,061     697,009 SH         DEFINED  1,2,3,5,8                  697,009
PARLUX FRAGRANCES IN COM          70164510         24      13,631 SH         DEFINED  1                           13,631
PARTNERRE LTD        COM          G6852T10     48,358     744,539 SH         DEFINED  1,2,5,6,7,8,10,12,13       744,539
PATRIOT COAL CORP    COM          70336T10     12,207   1,913,350 SH         DEFINED  1,2,5,6,8,12             1,913,350
PATRIOT TRANSN HLDG  COM          70337B10      1,573      21,563 SH         DEFINED  1,2,6                       21,563
PATTERSON COMPANIES  COM          70339510     66,580   3,068,199 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,068,199
PATTERSON UTI ENERGY COM          70348110     61,745   4,801,314 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,801,314
PAYCHEX INC          COM          70432610    252,171  10,006,778 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,006,778
PC MALL INC          COM          69323K10        989     146,324 SH         DEFINED  1,2                        146,324
PC-TEL INC           COM          69325Q10      2,554     477,388 SH         DEFINED  1,2                        477,388
PDF SOLUTIONS INC    COM          69328210         59      23,083 SH         DEFINED  1                           23,083
PDL BIOPHARMA INC    COM          69329Y10     20,061   2,539,413 SH         DEFINED  1,2,5,6                  2,539,413
PEABODY ENERGY CORP  SDCV 4.75    704549AG        755   1,050,000 SH         DEFINED  1,2                      1,050,000
PEABODY ENERGY CORP  COM          70454910    324,839  10,770,531 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,770,531
PEAPACK-GLADSTONE FI COM          70469910      2,361     122,413 SH         DEFINED  1,2                        122,413
PEARSON PLC          SPONSORED    70501510        436      43,164 SH         DEFINED  1                           43,164
PEETS COFFEE & TEA I COM          70556010      4,909     194,788 SH         DEFINED  1,2,6                      194,788
PEGASYSTEMS INC      COM          70557310      8,869     336,219 SH         DEFINED  1,2,6                      336,219
PENFORD CORP         COM          70705110        125      21,605 SH         DEFINED  1                           21,605
PENN NATL GAMING INC COM          70756910     22,265     764,872 SH         DEFINED  1,2,5,6,10                 764,872
PENN VA CORP         COM          70788210     16,311     996,420 SH         DEFINED  1,2,5                      996,420
PENN VA GP HLDGS L P COM UNIT R   70788P10        218      17,250 SH         DEFINED  1,2                         17,250
PENN VA RESOURCES PA COM          70788410        371      27,347 SH         DEFINED  1,2                         27,347
PENN WEST ENERGY TR  TR UNIT      70788510        836      65,698 SH         DEFINED  2,7                         65,698
PENNANTPARK INVT COR COM          70806210      2,540     357,736 SH         DEFINED  1,2                        357,736
PENNEY J C INC       COM          70816010    713,559  24,854,018 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,854,018
PENNICHUCK CORP      COM NEW      70825420        886      38,872 SH         DEFINED  1,2                         38,872





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
PENNS WOODS BANCORP  COM          70843010      1,144      39,272 SH         DEFINED  1,2                         39,272
PENNSYLVANIA RL ESTA SH BEN INT   70910210      7,125   1,425,091 SH         DEFINED  1,2,3,5,8                1,425,091
PENSKE AUTOMOTIVE GR COM          70959W10      6,507     391,021 SH         DEFINED  1,2,5,8,10                 391,021
PENSON WORLDWIDE INC COM          70960010      3,307     369,536 SH         DEFINED  1,2                        369,536
PENTAIR INC          COM          70963110     58,175   2,270,688 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,270,688
PENWEST PHARMACEUTIC COM          70975410        102      35,681 SH         DEFINED  1                           35,681
PEOPLES BANCORP INC  COM          70978910      3,850     225,790 SH         DEFINED  1,2,5                      225,790
PEOPLES FINL CORP MI COM          71103B10        719      37,819 SH         DEFINED  1,2                         37,819
PEOPLES UNITED FINAN COM          71270410    202,066  13,408,468 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,408,468
PEP BOYS MANNY MOE & COM          71327810      8,322     820,701 SH         DEFINED  1,2,5                      820,701
PEPCO HOLDINGS INC   COM          71329110    119,026   8,856,100 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,856,100
PEPSI BOTTLING GROUP COM          71340910    177,501   5,245,314 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,245,314
PEPSIAMERICAS INC    COM          71343P20     38,771   1,446,147 SH         DEFINED  1,2,5,6,7,8,10,12        1,446,147
PEPSICO INC          COM          71344810  2,752,564  50,083,044 SH         DEFINED  1,2,5,6,7,8,10,12,13    50,083,044
PERDIGAO S A         SPONSORED    71361V30     12,287     321,820 SH         DEFINED  1,2,6,7                    321,820
PEREGRINE PHARMACEUT COM          71366110        274     326,215 SH         DEFINED  1,5                        326,215
PERFICIENT INC       COM          71375U10      4,489     642,238 SH         DEFINED  1,2,5,6                    642,238
PERFORMANCE TECHNOLO COM          71376K10         48      16,379 SH         DEFINED  1                           16,379
PERICOM SEMICONDUCTO COM          71383110      4,940     586,653 SH         DEFINED  1,2,5,6                    586,653
PERKINELMER INC      COM          71404610     57,718   3,317,114 SH         DEFINED  1,2,5,6,10,13            3,317,114
PERMA-FIX ENVIRONMEN COM          71415710      1,370     566,037 SH         DEFINED  1,2                        566,037
PEROT SYS CORP       CL A         71426510     21,794   1,520,844 SH         DEFINED  1,2,5,6                  1,520,844
PERRIGO CO           COM          71429010     52,923   1,905,086 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,905,086
PERVASIVE SOFTWARE I COM          71571010        789     129,584 SH         DEFINED  1,2                        129,584
PETMED EXPRESS INC   COM          71638210      5,692     378,705 SH         DEFINED  1,2,5,6                    378,705
PETROBRAS ENERGIA PA SP ADR B S   71646M10        765     128,828 SH         DEFINED  1,2,5,7,8                  128,828
PETRO-CDA            COM          71644E10        823      21,412 SH         DEFINED  1                           21,412
PETROCHINA CO LTD    SPONSORED    71646E10        464       4,200 SH         DEFINED  1,6                          4,200
PETROHAWK ENERGY COR COM          71649510     85,954   3,854,432 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,854,432
PETROLEO BRASILEIRO  SP ADR NON   71654V10    155,580   4,663,668 SH         DEFINED  1,2,4,5,6,7,8            4,663,668
PETROLEO BRASILEIRO  SPONSORED    71654V40    206,782   5,045,934 SH         DEFINED  1,2,4,5,6,7              5,045,934
PETROLEUM DEV CORP   COM          71657810      5,835     371,924 SH         DEFINED  1,2,5                      371,924
PETROQUEST ENERGY IN COM          71674810      3,041     824,252 SH         DEFINED  1,2,5                      824,252
PETSMART INC         COM          71676810     85,296   3,974,645 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,974,645
PFIZER INC           COM          71708110  3,490,642 232,709,470 SH         DEFINED  1,2,5,6,7,8,10,12,13   232,709,470
PG&E CORP            COM          69331C10    513,925  13,369,531 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,369,531
PGT INC              COM          69336V10         23      15,057 SH         DEFINED  1                           15,057
PHARMACEUTICAL PROD  COM          71712410     61,753   2,659,460 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,659,460
PHARMACYCLICS INC    COM          71693310         25      18,770 SH         DEFINED  1                           18,770
PHARMASSET INC       COM          71715N10      3,164     281,220 SH         DEFINED  1,2,6                      281,220
PHARMERICA CORP      COM          71714F10     11,306     575,979 SH         DEFINED  1,2,5,6                    575,979
PHASE FORWARD INC    COM          71721R40     11,189     740,535 SH         DEFINED  1,2,5,6                    740,535
PHC INC MASS         CL A         69331510         17      12,193 SH         DEFINED  1                           12,193
PHH CORP             COM NEW      69332020     27,742   1,525,938 SH         DEFINED  1,2,5                    1,525,938
PHI INC              COM NON VT   69336T20      3,550     207,114 SH         DEFINED  1,2,5                      207,114
PHILIP MORRIS INTL I COM          71817210  3,309,894  75,880,185 SH         DEFINED  1,2,5,6,7,8,10,12,13    75,880,185
PHILIPPINE LONG DIST SPONSORED    71825260     63,017   1,267,431 SH         DEFINED  1,2,4,5,6,7              1,267,431
PHILLIPS VAN HEUSEN  COM          71859210     31,055   1,082,435 SH         DEFINED  1,2,5,6,8,10             1,082,435
PHOENIX COS INC NEW  COM          71902E10      3,371   2,018,830 SH         DEFINED  1,2,5                    2,018,830
PHOENIX TECHNOLOGY L COM          71915310      1,041     384,007 SH         DEFINED  1,2                        384,007
PHOTRONICS INC       COM          71940510      2,928     723,046 SH         DEFINED  1,2                        723,046
PICO HLDGS INC       COM NEW      69336620      8,713     303,589 SH         DEFINED  1,2,5,6                    303,589
PIEDMONT NAT GAS INC COM          72018610     45,502   1,887,287 SH         DEFINED  1,2,5                    1,887,287
PIER 1 IMPORTS INC   COM          72027910      2,582   1,297,622 SH         DEFINED  1,2,5                    1,297,622





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
PIKE ELEC CORP       COM          72128310      3,298     273,721 SH         DEFINED  1,2,5,6                    273,721
PINNACLE AIRL CORP   COM          72344310         52      18,587 SH         DEFINED  1                           18,587
PINNACLE ENTMT INC   COM          72345610     12,318   1,325,896 SH         DEFINED  1,2,5,6                  1,325,896
PINNACLE FINL PARTNE COM          72346Q10     16,996   1,276,007 SH         DEFINED  1,2,5,6                  1,276,007
PINNACLE WEST CAP CO COM          72348410    214,702   7,121,115 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,121,115
PIONEER DRILLING CO  COM          72365510      5,293   1,105,011 SH         DEFINED  1,2,5,6                  1,105,011
PIONEER NAT RES CO   NOTE 2.87    723787AH        436     500,000 SH         DEFINED  1                          500,000
PIONEER NAT RES CO   COM          72378710    123,134   4,828,792 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,828,792
PIPER JAFFRAY COS    COM          72407810     16,240     371,879 SH         DEFINED  1,2,5                      371,879
PITNEY BOWES INC     COM          72447910    173,571   7,914,787 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,914,787
PIXELWORKS INC       COM NEW      72581M30         31      18,877 SH         DEFINED  1                           18,877
PLAINS ALL AMERN PIP UNIT LTD P   72650310      4,445     104,472 SH         DEFINED  1,2,8                      104,472
PLAINS EXPL& PRODTN  COM          72650510     85,802   3,136,022 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,136,022
PLANAR SYS INC       COM          72690010         22      18,135 SH         DEFINED  1                           18,135
PLANTRONICS INC NEW  COM          72749310     31,864   1,685,047 SH         DEFINED  1,2,5,7                  1,685,047
PLATINUM UNDERWRITER COM          G7127P10     22,213     776,960 SH         DEFINED  1,2,5,8                    776,960
PLATO LEARNING INC   COM          72764Y10         92      23,061 SH         DEFINED  1                           23,061
PLAYBOY ENTERPRISES  CL B         72811730        633     252,290 SH         DEFINED  1,2                        252,290
PLEXUS CORP          COM          72913210     15,694     767,043 SH         DEFINED  1,2,5,6                    767,043
PLUG POWER INC       COM          72919P10         67      76,481 SH         DEFINED  1,2                         76,481
PLUM CREEK TIMBER CO COM          72925110    168,703   5,664,977 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,664,977
PLX TECHNOLOGY INC   COM          69341710      1,526     404,688 SH         DEFINED  1,2,5                      404,688
PMA CAP CORP         CL A         69341920      2,885     634,119 SH         DEFINED  1,2,5                      634,119
PMC COML TR          SH BEN INT   69343410         85      12,785 SH         DEFINED  1                           12,785
PMC-SIERRA INC       COM          69344F10     28,893   3,629,787 SH         DEFINED  1,2,5,6,7,8,10           3,629,787
PMFG INC             COM          69345P10      1,413     157,878 SH         DEFINED  1,2                        157,878
PMI GROUP INC        COM          69344M10      3,092   1,561,859 SH         DEFINED  1,2,5,6                  1,561,859
PNC FINL SVCS GROUP  COM          69347510    649,614  16,738,317 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,738,317
PNM RES INC          COM          69349H10     25,277   2,360,103 SH         DEFINED  1,2,5                    2,360,103
POLARIS INDS INC     COM          73106810     22,133     689,087 SH         DEFINED  1,2,5,6                    689,087
POLO RALPH LAUREN CO CL A         73157210    107,264   2,003,440 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,003,440
POLYCOM INC          COM          73172K10     43,216   2,132,007 SH         DEFINED  1,2,5,6                  2,132,007
POLYONE CORP         COM          73179P10      4,669   1,722,830 SH         DEFINED  1,2,5                    1,722,830
POLYPORE INTL INC    COM          73179V10      3,192     287,021 SH         DEFINED  1,2,5,6                    287,021
POMEROY IT SOLUTIONS COM          73182210         90      15,127 SH         DEFINED  1                           15,127
PONIARD PHARMACEUTIC COM NEW      73244930      1,235     206,856 SH         DEFINED  1,2                        206,856
POOL CORPORATION     COM          73278L10     13,878     838,036 SH         DEFINED  1,2,5,6,8                  838,036
POPULAR INC          COM          73317410      7,644   3,474,678 SH         DEFINED  1,2,5,6,8,10,12          3,474,678
PORTEC RAIL PRODS IN COM          73621210        622      63,108 SH         DEFINED  1,2                         63,108
PORTER BANCORP INC   COM          73623310        326      21,488 SH         DEFINED  1,2                         21,488
PORTFOLIO RECOVERY A COM          73640Q10      9,199     237,504 SH         DEFINED  1,2,5,6                    237,504
PORTLAND GEN ELEC CO COM NEW      73650884     29,332   1,505,756 SH         DEFINED  1,2,5                    1,505,756
PORTUGAL TELECOM SGP SPONSORED    73727310        399      40,813 SH         DEFINED  1                           40,813
POSCO                SPONSORED    69348310      5,082      61,468 SH         DEFINED  1,2,6                       61,468
POST PPTYS INC       COM          73746410     20,692   1,539,563 SH         DEFINED  1,2,3,5,6,8              1,539,563
POTASH CORP SASK INC COM          73755L10        223       2,400 SH  CALL   DEFINED  1                            2,400
POTASH CORP SASK INC COM          73755L10        223       2,400 SH  PUT    DEFINED  1                            2,400
POTLATCH CORP NEW    COM          73763010     23,617     972,287 SH         DEFINED  1,2,5                      972,287
POWELL INDS INC      COM          73912810      4,346     117,233 SH         DEFINED  1,2,5,6                    117,233
POWER INTEGRATIONS I COM          73927610      8,607     361,797 SH         DEFINED  1,2,5                      361,797
POWER-ONE INC        COM          73930810      1,589   1,066,726 SH         DEFINED  1,2,6                    1,066,726
POWERSECURE INTL INC COM          73936N10        966     226,694 SH         DEFINED  1,2,5                      226,694
POWERWAVE TECHNOLOGI COM          73936310      3,540   2,198,734 SH         DEFINED  1,2,5                    2,198,734
POZEN INC            COM          73941U10      2,694     350,810 SH         DEFINED  1,2,5,6                    350,810





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
PPG INDS INC         COM          69350610    257,307   5,861,212 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,861,212
PPL CORP             COM          69351T10    435,261  13,205,746 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,205,746
PRAXAIR INC          COM          74005P10    759,023  10,679,934 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,679,934
PRE PAID LEGAL SVCS  COM          74006510     10,549     242,007 SH         DEFINED  1,2,5,6                    242,007
PRECISION CASTPARTS  COM          74018910    309,372   4,236,231 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,236,231
PRECISION DRILLING T TR UNIT      74021510        119      24,315 SH         DEFINED  1,5                         24,315
PREFORMED LINE PRODS COM          74044410      1,367      31,023 SH         DEFINED  1,2                         31,023
PREMIER EXIBITIONS I COM          74051E10         11      14,700 SH         DEFINED  1                           14,700
PREMIERE GLOBAL SVCS COM          74058510     13,329   1,229,642 SH         DEFINED  1,2,5,6                  1,229,642
PREMIERWEST BANCORP  COM          74092110        690     203,462 SH         DEFINED  1,2                        203,462
PRESIDENTIAL LIFE CO COM          74088410      2,794     369,058 SH         DEFINED  1,2,5                      369,058
PRESSTEK INC         COM          74111310         45      32,478 SH         DEFINED  1,5                         32,478
PRESTIGE BRANDS HLDG COM          74112D10      4,745     771,499 SH         DEFINED  1,2,5                      771,499
PRG-SCHULTZ INTERNAT COM NEW      69357C50         41      15,002 SH         DEFINED  1                           15,002
PRICE T ROWE GROUP I COM          74144T10    371,967   8,926,484 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,926,484
PRICELINE COM INC    COM NEW      74150340    122,209   1,095,558 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,095,558
PRICESMART INC       COM          74151110      3,521     210,235 SH         DEFINED  1,2,5,6                    210,235
PRIDE INTL INC DEL   COM          74153Q10    118,812   4,741,109 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,741,109
PRIMEDIA INC         COM NEW      74157K84        787     391,485 SH         DEFINED  1,2                        391,485
PRIMEENERGY CORP     COM          74158E10        242       6,764 SH         DEFINED  1,2                          6,764
PRIMORIS SVCS CORP   COM          74164F10        486      65,521 SH         DEFINED  1,2                         65,521
PRIMUS GUARANTY LTD  SHS          G7245710        685     290,341 SH         DEFINED  1                          290,341
PRINCETON REVIEW INC COM          74235210        892     164,931 SH         DEFINED  1,2,5                      164,931
PRINCIPAL FINANCIAL  COM          74251V10    211,925  11,248,678 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,248,678
PRIVATEBANCORP INC   COM          74296210     21,451     964,539 SH         DEFINED  1,2,5,6                    964,539
PROASSURANCE CORP    COM          74267C10     30,089     651,145 SH         DEFINED  1,2,5                      651,145
PROCERA NETWORKS INC COM          74269U10         19      29,700 SH         DEFINED  1                           29,700
PROCTER & GAMBLE CO  COM          74271810  5,171,457 101,202,673 SH         DEFINED  1,2,5,6,7,8,10,12,13   101,202,673
PROGENICS PHARMACEUT COM          74318710      1,854     360,018 SH         DEFINED  1,2,5,6                    360,018
PROGRESS ENERGY INC  COM          74326310    916,728  24,232,823 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,232,823
PROGRESS SOFTWARE CO COM          74331210     17,988     849,706 SH         DEFINED  1,2,5,6                    849,706
PROGRESSIVE CORP OHI COM          74331510    358,278  23,711,347 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,711,347
PROLIANCE INTL INC   COM          74340R10          0      22,936 SH         DEFINED  1                           22,936
PROLOGIS             NOTE 2.25    743410AQ      1,040   1,300,000 SH         DEFINED  2                        1,300,000
PROLOGIS             SH BEN INT   74341010    173,681  21,548,452 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  21,548,452
PROS HOLDINGS INC    COM          74346Y10      1,741     214,384 SH         DEFINED  1,2,6                      214,384
PROSPECT CAPITAL COR COM          74348T10      6,596     716,993 SH         DEFINED  1,2                        716,993
PROSPERITY BANCSHARE COM          74360610     45,587   1,528,212 SH         DEFINED  1,2,5,7                  1,528,212
PROTALIX BIOTHERAPEU COM          74365A10      1,634     361,576 SH         DEFINED  1,2                        361,576
PROTECTIVE LIFE CORP COM          74367410     21,184   1,851,771 SH         DEFINED  1,2,5,6,8,10,12          1,851,771
PROVIDENCE SVC CORP  COM          74381510      1,951     178,145 SH         DEFINED  1,2                        178,145
PROVIDENT FINL HLDGS COM          74386810         68      12,204 SH         DEFINED  1                           12,204
PROVIDENT FINL SVCS  COM          74386T10     20,466   2,249,051 SH         DEFINED  1,2,5                    2,249,051
PROVIDENT NEW YORK B COM          74402810      4,803     591,491 SH         DEFINED  1,2,5                      591,491
PRUDENTIAL BANCORP I COM          74431910        267      22,637 SH         DEFINED  1,2                         22,637
PRUDENTIAL FINL INC  COM          74432010    609,232  16,368,401 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,368,401
PRUDENTIAL PLC       ADR          74435K20        348      25,405 SH         DEFINED  1                           25,405
PS BUSINESS PKS INC  COM          69360J10     26,080     538,396 SH         DEFINED  1,2,3,5,6,8                538,396
PSS WORLD MED INC    COM          69366A10     22,349   1,207,378 SH         DEFINED  1,2,5,6                  1,207,378
PSYCHIATRIC SOLUTION COM          74439H10     31,577   1,388,615 SH         DEFINED  1,2,5,6                  1,388,615
PT INDOSAT TBK       SPONSORED    74438310        234       9,574 SH         DEFINED  1,6                          9,574
PUBLIC STORAGE       COM          74460D10    413,945   6,321,706 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   6,321,706
PUBLIC SVC ENTERPRIS COM          74457310    616,032  18,879,310 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,879,310
PULTE HOMES INC      COM          74586710     96,835  10,966,597 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,966,597





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
PURE BIOSCIENCE      COM          74621810         68      37,549 SH         DEFINED  1,2                         37,549
PVF CAPITAL CORP     COM          69365410         21      10,112 SH         DEFINED  1                           10,112
PZENA INVESTMENT MGM CLASS A      74731Q10        597      78,736 SH         DEFINED  1,2                         78,736
QAD INC              COM          74727D10        535     164,630 SH         DEFINED  1,2                        164,630
QC HLDGS INC         COM          74729T10         88      17,191 SH         DEFINED  1,2                         17,191
QIAGEN N V           ORD          N7248210        310      16,696 SH         DEFINED  1,5                         16,696
QLOGIC CORP          COM          74727710     50,884   4,012,923 SH         DEFINED  1,2,5,6,8,10,13          4,012,923
QUAKER CHEM CORP     COM          74731610      2,198     165,369 SH         DEFINED  1,2                        165,369
QUALCOMM INC         COM          74752510  2,389,110  52,856,424 SH         DEFINED  1,2,5,6,7,8,10,12,13    52,856,424
QUALITY SYS INC      COM          74758210     20,047     351,943 SH         DEFINED  1,2,5,6                    351,943
QUANEX BUILDING PROD COM          74761910      6,809     606,876 SH         DEFINED  1,2,5                      606,876
QUANTA SVCS INC      COM          74762E10    149,490   6,463,027 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,463,027
QUANTUM CORP         COM DSSG     74790620      2,473   2,980,094 SH         DEFINED  1,2                      2,980,094
QUANTUM FUEL SYS TEC COM          74765E10         99     128,112 SH         DEFINED  1,5                        128,112
QUEST DIAGNOSTICS IN COM          74834L10    282,571   5,007,456 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,007,456
QUEST RESOURCE CORP  COM NEW      74834930          9      27,079 SH         DEFINED  1                           27,079
QUEST SOFTWARE INC   COM          74834T10     20,477   1,468,927 SH         DEFINED  1,2,5,6                  1,468,927
QUESTAR CORP         COM          74835610    197,620   6,362,518 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,362,518
QUESTCOR PHARMACEUTI COM          74835Y10      5,939   1,187,706 SH         DEFINED  1,2,5,6                  1,187,706
QUICKLOGIC CORP      COM          74837P10         20      14,273 SH         DEFINED  1                           14,273
QUICKSILVER RESOURCE COM          74837R10     23,656   2,546,393 SH         DEFINED  1,2,5,6,8,10             2,546,393
QUIDEL CORP          COM          74838J10      6,569     451,155 SH         DEFINED  1,2,5,6                    451,155
QUIKSILVER INC       COM          74838C10      4,635   2,505,545 SH         DEFINED  1,2,5                    2,505,545
QWEST COMMUNICATIONS NOTE 3.50    749121BY        690     700,000 SH         DEFINED  1,2                        700,000
QWEST COMMUNICATIONS COM          74912110    409,153  98,591,068 SH         DEFINED  1,2,5,6,7,8,10,12,13    98,591,068
RACKSPACE HOSTING IN COM          75008610     12,834     925,949 SH         DEFINED  1,2,6                      925,949
RADIAN GROUP INC     COM          75023610      4,288   1,576,482 SH         DEFINED  1,2,5,6                  1,576,482
RADIANT SYSTEMS INC  COM          75025N10      3,367     405,638 SH         DEFINED  1,2,6                      405,638
RADIO ONE INC        CL A         75040P10          9      13,476 SH         DEFINED  1                           13,476
RADIO ONE INC        CL D NON V   75040P40         16      64,703 SH         DEFINED  1                           64,703
RADIOSHACK CORP      COM          75043810     90,044   6,450,139 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,450,139
RADISYS CORP         COM          75045910      3,226     356,856 SH         DEFINED  1,2,5                      356,856
RADNET INC           COM          75049110        560     248,998 SH         DEFINED  1,2                        248,998
RADVISION LTD        ORD          M8186910        148      18,882 SH         DEFINED  1,2                         18,882
RAE SYS INC          COM          75061P10        488     353,383 SH         DEFINED  1,2                        353,383
RAIT FINANCIAL TRUST COM          74922710      1,950   1,423,235 SH         DEFINED  1,2,5                    1,423,235
RALCORP HLDGS INC NE COM          75102810     77,084   1,265,338 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,265,338
RAM ENERGY RESOURCES COM          75130P10         36      44,900 SH         DEFINED  1                           44,900
RAMBUS INC DEL       COM          75091710     22,217   1,436,149 SH         DEFINED  1,2,5,6,8,10             1,436,149
RAMCO-GERSHENSON PPT COM SH BEN   75145220      5,281     527,558 SH         DEFINED  1,2,3,5,8                  527,558
RAMTRON INTL CORP    COM NEW      75190730         24      21,213 SH         DEFINED  1                           21,213
RANGE RES CORP       COM          75281A10    241,658   5,835,752 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,835,752
RASER TECHNOLOGIES I COM          75405510      1,897     677,343 SH         DEFINED  1,2,6                      677,343
RAVEN INDS INC       COM          75421210      5,753     224,714 SH         DEFINED  1,2,5,6                    224,714
RAYMOND JAMES FINANC COM          75473010     35,160   2,043,013 SH         DEFINED  1,2,5,6,10               2,043,013
RAYONIER INC         COM          75490710     62,168   1,710,249 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,710,249
RAYTHEON CO          COM NEW      75511150    589,282  13,263,154 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,263,154
RBC BEARINGS INC     COM          75524B10      6,099     298,255 SH         DEFINED  1,2,5                      298,255
RC2 CORP             COM          74938810      4,357     329,323 SH         DEFINED  1,2,5                      329,323
RCN CORP             COM NEW      74936120      5,155     863,417 SH         DEFINED  1,2,5,6,8                  863,417
READING INTERNATIONA CL A         75540810        613     134,724 SH         DEFINED  1,2                        134,724
REALNETWORKS INC     COM          75605L10      4,046   1,353,023 SH         DEFINED  1,2,5,6                  1,353,023
REALTY INCOME CORP   COM          75610910     48,330   2,204,838 SH         DEFINED  1,2,3,5,6,8,10           2,204,838
RED HAT INC          COM          75657710     51,533   2,560,005 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,560,005





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
RED LION HOTELS CORP COM          75676410        677     140,994 SH         DEFINED  1,2                        140,994
RED ROBIN GOURMET BU COM          75689M10      5,618     299,610 SH         DEFINED  1,2,5,6                    299,610
REDDY ICE HLDGS INC  COM          75734R10         46      27,717 SH         DEFINED  1                           27,717
REDWOOD TR INC       COM          75807540     20,792   1,408,648 SH         DEFINED  1,2,5                    1,408,648
REED ELSEVIER N V    SPONS ADR    75820420        399      18,094 SH         DEFINED  1                           18,094
REED ELSEVIER P L C  SPONS ADR    75820520        344      11,553 SH         DEFINED  1                           11,553
REGAL BELOIT CORP    COM          75875010     25,342     638,013 SH         DEFINED  1,2,5                      638,013
REGAL ENTMT GROUP    CL A         75876610     13,674   1,028,925 SH         DEFINED  1,2,5,6,8,10             1,028,925
REGENCY CTRS CORP    COM          75884910    106,437   3,048,906 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   3,048,906
REGENCY ENERGY PARTN COM UNITS    75885Y10        640      43,976 SH         DEFINED  1,2                         43,976
REGENERON PHARMACEUT COM          75886F10     37,483   2,091,683 SH         DEFINED  1,2,5,6                  2,091,683
REGENT COMMUNICATION COM          75886510         10      40,485 SH         DEFINED  1                           40,485
REGIONS FINANCIAL CO COM          7591EP10    203,225  50,303,173 SH         DEFINED  1,2,5,6,7,8,10,12,13    50,303,173
REGIS CORP MINN      COM          75893210     20,702   1,189,110 SH         DEFINED  1,2,5                    1,189,110
REHABCARE GROUP INC  COM          75914810      8,880     371,072 SH         DEFINED  1,2,5                      371,072
REINSURANCE GROUP AM COM NEW      75935160     48,320   1,384,139 SH         DEFINED  1,2,5,8,10,13            1,384,139
RELIANCE STEEL & ALU COM          75950910     84,825   2,209,572 SH         DEFINED  1,2,5,6,7,10             2,209,572
RENAISSANCE LEARNING COM          75968L10      1,104     119,827 SH         DEFINED  1,2,5                      119,827
RENAISSANCERE HOLDIN COM          G7496G10     36,018     773,915 SH         DEFINED  1,2,5,6,7,8,10,12,13       773,915
RENASANT CORP        COM          75970E10      4,936     328,606 SH         DEFINED  1,2,5                      328,606
RENT A CTR INC NEW   COM          76009N10     48,731   2,733,084 SH         DEFINED  1,2,5,6,7,8              2,733,084
RENTECH INC          COM          76011210        130     228,365 SH         DEFINED  1,2,5                      228,365
RENTRAK CORP         COM          76017410      1,786     108,676 SH         DEFINED  1,2,5                      108,676
REPLIGEN CORP        COM          75991610      2,158     392,432 SH         DEFINED  1,2,5                      392,432
REPROS THERAPEUTICS  COM          76028H10        504      70,062 SH         DEFINED  1,2                         70,062
REPSOL YPF S A       SPONSORED    76026T20        714      31,951 SH         DEFINED  1                           31,951
REPUBLIC AWYS HLDGS  COM          76027610      4,664     714,285 SH         DEFINED  1,2,5                      714,285
REPUBLIC BANCORP KY  CL A         76028120      5,697     252,183 SH         DEFINED  1,2,5                      252,183
REPUBLIC FIRST BANCO COM          76041610        606      77,693 SH         DEFINED  1,2                         77,693
REPUBLIC SVCS INC    COM          76075910    242,628   9,939,697 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,939,697
RES-CARE INC         COM          76094310      7,717     539,616 SH         DEFINED  1,2,5                      539,616
RESEARCH FRONTIERS I COM          76091110         59      16,343 SH         DEFINED  1                           16,343
RESEARCH IN MOTION L COM          76097510     16,934     238,203 SH         DEFINED  1,2,5,7                    238,203
RESMED INC           COM          76115210     60,001   1,473,150 SH         DEFINED  1,2,5,6,10               1,473,150
RESOURCE AMERICA INC CL A         76119520        878     163,208 SH         DEFINED  1,2                        163,208
RESOURCE CAP CORP    COM          76120W30      1,443     450,881 SH         DEFINED  1,2                        450,881
RESOURCES CONNECTION COM          76122Q10     11,938     695,264 SH         DEFINED  1,2,5,6                    695,264
RETAIL VENTURES INC  COM          76128Y10      1,267     581,176 SH         DEFINED  1,2,6                      581,176
RETRACTABLE TECHNOLO COM          76129W10         18      20,339 SH         DEFINED  1                           20,339
REVLON INC           CL A NEW     76152560      1,022     187,780 SH         DEFINED  1,2,6                      187,780
REWARDS NETWORK INC  COM          76155710      1,336     352,613 SH         DEFINED  1,2                        352,613
REX ENERGY CORPORATI COM          76156510      1,896     332,586 SH         DEFINED  1,2,5,6                    332,586
REX STORES CORP      COM          76162410      1,284     127,606 SH         DEFINED  1,2                        127,606
REYNOLDS AMERICAN IN COM          76171310    205,204   5,313,407 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,313,407
RF MICRODEVICES INC  COM          74994110     26,383   7,016,810 SH         DEFINED  1,2,5,6                  7,016,810
RICHARDSON ELECTRS L COM          76316510         39      11,844 SH         DEFINED  1                           11,844
RIGEL PHARMACEUTICAL COM NEW      76655960      6,530     538,757 SH         DEFINED  1,2,5,6                    538,757
RIGHTNOW TECHNOLOGIE COM          76657R10      3,996     338,628 SH         DEFINED  1,2,6                      338,628
RIMAGE CORP          COM          76672110      2,377     143,094 SH         DEFINED  1,2                        143,094
RISKMETRICS GROUP IN COM          76773510      5,888     333,423 SH         DEFINED  1,2,5,6                    333,423
RITCHIE BROS AUCTION COM          76774410        406      17,300 SH         DEFINED  1,7                         17,300
RITE AID CORP        COM          76775410     10,159   6,727,990 SH         DEFINED  1,2,5,6,8,10             6,727,990
RIVERBED TECHNOLOGY  COM          76857310     19,755     851,874 SH         DEFINED  1,2,5,6                    851,874
RIVERVIEW BANCORP IN COM          76939710         42      13,992 SH         DEFINED  1                           13,992





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
RLI CORP             COM          74960710     82,837   1,849,046 SH         DEFINED  1,2,5,6                  1,849,046
ROBBINS & MYERS INC  COM          77019610     11,341     589,123 SH         DEFINED  1,2,5,6                    589,123
ROBERT HALF INTL INC COM          77032310    116,630   4,937,750 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,937,750
ROCHESTER MED CORP   COM          77149710      1,405     104,861 SH         DEFINED  1,2                        104,861
ROCK OF AGES CORP    CL A         77263210         23      11,698 SH         DEFINED  1                           11,698
ROCK-TENN CO         CL A         77273920     40,134   1,051,739 SH         DEFINED  1,2,5                    1,051,739
ROCKVILLE FINL INC   COM          77418610      1,410     128,732 SH         DEFINED  1,2                        128,732
ROCKWELL AUTOMATION  COM          77390310    142,472   4,435,602 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,435,602
ROCKWELL COLLINS INC COM          77434110    205,710   4,929,542 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,929,542
ROCKWELL MEDICAL TEC COM          77437410        898     118,948 SH         DEFINED  1,2                        118,948
ROCKWOOD HLDGS INC   COM          77441510     10,522     718,739 SH         DEFINED  1,2,5,8                    718,739
ROFIN SINAR TECHNOLO COM          77504310     10,930     546,234 SH         DEFINED  1,2,5,6                    546,234
ROGERS COMMUNICATION CL B         77510920      1,576      61,200 SH         DEFINED  1,2,7                       61,200
ROGERS CORP          COM          77513310      6,757     334,001 SH         DEFINED  1,2,5,6                    334,001
ROLLINS INC          COM          77571110     18,170   1,049,702 SH         DEFINED  1,2,5,6                  1,049,702
ROMA FINANCIAL CORP  COM          77581P10      1,414     111,020 SH         DEFINED  1,2,6                      111,020
ROPER INDS INC NEW   COM          77669610     92,647   2,044,736 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,044,736
ROSETTA RESOURCES IN COM          77777930      8,150     930,346 SH         DEFINED  1,2,5,6                    930,346
ROSETTA STONE INC    COM          77778010      1,833      66,811 SH         DEFINED  1,2                         66,811
ROSS STORES INC      COM          77829610    162,869   4,219,402 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,219,402
ROSTELECOM OPEN JT S SPONSORED    77852910      3,028      95,482 SH         DEFINED  1,2,5,6,10                  95,482
ROWAN COS INC        COM          77938210    106,665   5,520,958 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,520,958
ROYAL BK CDA MONTREA COM          78008710      1,714      41,952 SH         DEFINED  1,2,7                       41,952
ROYAL CARIBBEAN CRUI COM          V7780T10     23,261   1,717,955 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,717,955
ROYAL DUTCH SHELL PL SPON ADR B   78025910      2,933      57,666 SH         DEFINED  1                           57,666
ROYAL DUTCH SHELL PL SPONS ADR    78025920      2,229      44,413 SH         DEFINED  1,2,5                       44,413
ROYAL GOLD INC       COM          78028710     44,137   1,058,697 SH         DEFINED  1,2,5,6,10               1,058,697
RPC INC              COM          74966010      4,352     521,162 SH         DEFINED  1,2,5,6                    521,162
RPM INTL INC         COM          74968510     51,591   3,674,569 SH         DEFINED  1,2,5,6,8,10             3,674,569
RRI ENERGY INC       COM          74971X10     22,339   4,458,799 SH         DEFINED  1,2,5,6,7,8,10,12        4,458,799
RSC HOLDINGS INC     COM          74972L10      5,059     752,804 SH         DEFINED  1,2,5,6                    752,804
RTI BIOLOGICS INC    COM          74975N10      3,194     744,595 SH         DEFINED  1,2,5                      744,595
RTI INTL METALS INC  COM          74973W10      7,483     423,465 SH         DEFINED  1,2,5                      423,465
RUBICON TECHNOLOGY I COM          78112T10      2,610     182,771 SH         DEFINED  1,2,6                      182,771
RUBY TUESDAY INC     COM          78118210      6,054     908,984 SH         DEFINED  1,2,5                      908,984
RUDDICK CORP         COM          78125810     39,033   1,665,948 SH         DEFINED  1,2,5                    1,665,948
RUDOLPH TECHNOLOGIES COM          78127010      2,770     501,769 SH         DEFINED  1,2,5,6                    501,769
RURAL / METRO CORP   COM          78174810         68      26,539 SH         DEFINED  1                           26,539
RUSH ENTERPRISES INC CL A         78184620      5,646     484,612 SH         DEFINED  1,2,5                      484,612
RUSS BERRIE & CO     COM          78223310        220      56,181 SH         DEFINED  1                           56,181
RUTHS HOSPITALITY GR COM          78333210      1,086     295,976 SH         DEFINED  1,2                        295,976
RYANAIR HLDGS PLC    SPONSORED    78351310      7,525     265,046 SH         DEFINED  1,2,5,6                    265,046
RYDER SYS INC        COM          78354910     48,337   1,731,274 SH         DEFINED  1,2,5,6,8,10,12,13       1,731,274
RYLAND GROUP INC     COM          78376410     44,401   2,649,215 SH         DEFINED  1,2,5,6                  2,649,215
S & T BANCORP INC    COM          78385910     10,583     870,346 SH         DEFINED  1,2,5                      870,346
S Y BANCORP INC      COM          78506010      4,940     204,385 SH         DEFINED  1,2,5,6                    204,385
S1 CORPORATION       COM          78463B10      6,373     920,902 SH         DEFINED  1,2,5,6                    920,902
SABA SOFTWARE INC    COM NEW      78493260        847     219,875 SH         DEFINED  1,2                        219,875
SAFEGUARD SCIENTIFIC COM          78644910      2,083   1,578,203 SH         DEFINED  1,2                      1,578,203
SAFETY INS GROUP INC COM          78648T10      8,555     279,929 SH         DEFINED  1,2,5                      279,929
SAFEWAY INC          COM NEW      78651420    311,984  15,315,853 SH         DEFINED  1,2,5,6,7,8,10,12,13    15,315,853
SAIA INC             COM          78709Y10      5,526     306,855 SH         DEFINED  1,2,5,6                    306,855
SAIC INC             COM          78390X10     95,180   5,130,998 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,130,998
SAKS INC             COM          79377W10     15,065   3,400,678 SH         DEFINED  1,2,5,6                  3,400,678





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
SALARY COM INC       COM          79400610         31      10,171 SH         DEFINED  1                           10,171
SALESFORCE COM INC   COM          79466L30    129,920   3,403,727 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,403,727
SALIX PHARMACEUTICAL COM          79543510      8,157     826,477 SH         DEFINED  1,2,5,6                    826,477
SALLY BEAUTY HLDGS I COM          79546E10     27,464   4,318,298 SH         DEFINED  1,2,5,6                  4,318,298
SANDERS MORRIS HARRI COM          80000Q10      1,442     262,214 SH         DEFINED  1,2                        262,214
SANDERSON FARMS INC  COM          80001310     13,799     306,642 SH         DEFINED  1,2,5                      306,642
SANDISK CORP         NOTE 1.00    80004CAC        314     500,000 SH         DEFINED  1,2                        500,000
SANDISK CORP         COM          80004C10    103,457   7,037,897 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,037,897
SANDRIDGE ENERGY INC COM          80007P30     13,419   1,574,956 SH         DEFINED  1,2,5,7,10               1,574,956
SANDY SPRING BANCORP COM          80036310      3,649     248,201 SH         DEFINED  1,2,5                      248,201
SANGAMO BIOSCIENCES  COM          80067710      2,588     523,805 SH         DEFINED  1,2,5,6                    523,805
SANMINA SCI CORP     COM          80090710        736   1,681,313 SH         DEFINED  1,2,5,6,7,8              1,681,313
SANOFI AVENTIS       SPONSORED    80105N10      1,521      51,573 SH         DEFINED  1,2                         51,573
SANTANDER BANCORP    COM          80280910      1,281     184,059 SH         DEFINED  1,2,5                      184,059
SANTARUS INC         COM          80281730      1,588     563,176 SH         DEFINED  1,2                        563,176
SANTOS LIMITED       SPONSORED    80302160        310       6,557 SH         DEFINED  1                            6,557
SAP AG               SPON ADR     80305420      5,085     126,521 SH         DEFINED  1,2                        126,521
SAPIENT CORP         COM          80306210      9,349   1,486,383 SH         DEFINED  1,2,5,6                  1,486,383
SARA LEE CORP        COM          80311110    243,360  24,934,467 SH         DEFINED  1,2,5,6,7,8,10,12,13    24,934,467
SASOL LTD            SPONSORED    80386630        200       5,758 SH         DEFINED  1,6                          5,758
SATCON TECHNOLOGY CO COM          80389310        779     432,977 SH         DEFINED  1,2                        432,977
SATYAM COMPUTER SERV ADR          80409810        753     242,009 SH         DEFINED  1,2,5                      242,009
SAUER-DANFOSS INC    COM          80413710      1,908     311,297 SH         DEFINED  1,2,5                      311,297
SAUL CTRS INC        COM          80439510      9,600     324,656 SH         DEFINED  1,2,3,5,6,8                324,656
SAVIENT PHARMACEUTIC COM          80517Q10     13,283     960,450 SH         DEFINED  1,2,5,6                    960,450
SAVVIS INC           COM NEW      80542330      7,954     694,083 SH         DEFINED  1,2,5,6                    694,083
SBA COMMUNICATIONS C COM          78388J10     37,791   1,539,989 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,539,989
SCANA CORP NEW       COM          80589M10    143,404   4,416,519 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,416,519
SCANSOURCE INC       COM          80603710     13,031     531,425 SH         DEFINED  1,2,5,6                    531,425
SCBT FINANCIAL CORP  COM          78401V10      4,241     179,022 SH         DEFINED  1,2,5                      179,022
SCHAWK INC           CL A         80637310      1,651     219,849 SH         DEFINED  1,2,5                      219,849
SCHEIN HENRY INC     COM          80640710    104,064   2,170,261 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,170,261
SCHERING PLOUGH CORP COM          80660510  1,344,053  53,505,299 SH         DEFINED  1,2,5,6,7,8,10,12,13    53,505,299
SCHERING PLOUGH CORP PFD CONV M   80660570      1,134       5,000 SH         DEFINED  1,2                          5,000
SCHIFF NUTRITION INT COM          80669310        586     115,098 SH         DEFINED  1,2                        115,098
SCHLUMBERGER LTD     COM          80685710  2,189,533  40,464,477 SH         DEFINED  1,2,5,6,7,8,10,12,13    40,464,477
SCHNITZER STL INDS   CL A         80688210     37,355     706,685 SH         DEFINED  1,2,5,6,10                 706,685
SCHOLASTIC CORP      COM          80706610     14,890     752,398 SH         DEFINED  1,2,5,7,8                  752,398
SCHOOL SPECIALTY INC COM          80786310      6,116     302,615 SH         DEFINED  1,2,5                      302,615
SCHULMAN A INC       COM          80819410     10,240     677,687 SH         DEFINED  1,2,5                      677,687
SCHWAB CHARLES CORP  COM          80851310    614,909  35,057,539 SH         DEFINED  1,2,5,6,7,8,10,12,13    35,057,539
SCHWEITZER-MAUDUIT I COM          80854110      8,251     303,248 SH         DEFINED  1,2,5                      303,248
SCICLONE PHARMACEUTI COM          80862K10        865     337,929 SH         DEFINED  1,2                        337,929
SCIENTIFIC GAMES COR CL A         80874P10     20,024   1,270,565 SH         DEFINED  1,2,5,6,10               1,270,565
SCM MICROSYSTEMS INC COM          78401810         34      14,231 SH         DEFINED  1                           14,231
SCOLR PHARMA INC     COM          78402X10          6      18,140 SH         DEFINED  1                           18,140
SCOTTS MIRACLE GRO C CL A         81018610     31,976     912,284 SH         DEFINED  1,2,5,6,7,8,10             912,284
SCRIPPS E W CO OHIO  CL A NEW     81105440      1,194     571,385 SH         DEFINED  1,2,5,6,8                  571,385
SCRIPPS NETWORKS INT CL A COM     81106510     80,745   2,901,351 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,901,351
SEABOARD CORP        COM          81154310      7,617       6,789 SH         DEFINED  1,2,5                        6,789
SEABRIGHT INSURANCE  COM          81165610      4,846     478,389 SH         DEFINED  1,2                        478,389
SEACHANGE INTL INC   COM          81169910      3,576     445,385 SH         DEFINED  1,2,5                      445,385
SEACOAST BKG CORP FL COM          81170730        101      41,738 SH         DEFINED  1,2                         41,738
SEACOR HOLDINGS INC  COM          81190410     37,644     500,317 SH         DEFINED  1,2,5,6,7,10               500,317





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
SEAGATE TECHNOLOGY   SHS          G7945J10     66,787   6,385,006 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,385,006
SEALED AIR CORP NEW  COM          81211K10    117,951   6,393,006 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,393,006
SEALY CORP           RIGHT 06/2   81213912        293     138,173 SH         DEFINED  1,2                        138,173
SEALY CORP           COM          81213930      1,188     606,309 SH         DEFINED  1,2,5                      606,309
SEARS HLDGS CORP     COM          81235010    289,666   4,354,577 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,354,577
SEASPAN CORP         SHS          Y7563810        102      16,658 SH         DEFINED  1,5                         16,658
SEATTLE GENETICS INC COM          81257810     10,631   1,093,763 SH         DEFINED  1,2,5,6                  1,093,763
SECURITY BANK CORP   COM          81404710          6      14,729 SH         DEFINED  1                           14,729
SEI INVESTMENTS CO   COM          78411710     59,901   3,320,460 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,320,460
SELECT COMFORT CORP  COM          81616X10         54      64,792 SH         DEFINED  1                           64,792
SELECT SECTOR SPDR T SBI INT-UT   81369Y88      2,769      99,268 SH         DEFINED  1                           99,268
SELECTICA INC        COM          81628810         28      66,920 SH         DEFINED  1                           66,920
SELECTIVE INS GROUP  COM          81630010     12,565     983,926 SH         DEFINED  1,2,5                      983,926
SEMITOOL INC         COM          81690910      1,646     356,312 SH         DEFINED  1,2,5                      356,312
SEMPRA ENERGY        COM          81685110    477,731   9,625,852 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,625,852
SEMTECH CORP         COM          81685010     29,204   1,835,582 SH         DEFINED  1,2,5,6                  1,835,582
SENECA FOODS CORP NE CL A         81707050      2,804      83,909 SH         DEFINED  1,2                         83,909
SENIOR HSG PPTYS TR  SH BEN INT   81721M10     54,827   3,359,486 SH         DEFINED  1,2,3,5,6,8,10           3,359,486
SENOMYX INC          COM          81724Q10         75      35,718 SH         DEFINED  1                           35,718
SENSIENT TECHNOLOGIE COM          81725T10     32,685   1,448,151 SH         DEFINED  1,2,5                    1,448,151
SEPRACOR INC         COM          81731510     46,809   2,699,481 SH         DEFINED  1,2,5,6,8,10,12          2,699,481
SEQUENOM INC         COM NEW      81733740      3,167     809,905 SH         DEFINED  1,2,5,6                    809,905
SERVICE CORP INTL    COM          81756510     28,875   5,269,209 SH         DEFINED  1,2,5,6,10               5,269,209
SEVERN BANCORP  ANNA COM          81811M10         42      13,689 SH         DEFINED  1                           13,689
SHANDA INTERACTIVE E SPONSORED    81941Q20      1,408      26,905 SH         DEFINED  1,2,6                       26,905
SHAW COMMUNICATIONS  CL B CONV    82028K20        723      42,894 SH         DEFINED  1,7                         42,894
SHAW GROUP INC       COM          82028010     52,964   1,932,286 SH         DEFINED  1,2,5,6,7,8,10           1,932,286
SHENANDOAH TELECOMMU COM          82312B10      7,275     358,529 SH         DEFINED  1,2,5,6                    358,529
SHENGDA TECH INC     COM          82321310      1,392     371,243 SH         DEFINED  1,2                        371,243
SHERWIN WILLIAMS CO  COM          82434810    193,052   3,591,666 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,591,666
SHINHAN FINANCIAL GR SPN ADR RE   82459610      2,229      43,856 SH         DEFINED  1,6                         43,856
SHIP FINANCE INTERNA SHS          G8107510      5,549     503,121 SH         DEFINED  1,2,5,6,7                  503,121
SHOE CARNIVAL INC    COM          82488910      1,995     167,238 SH         DEFINED  1,2,5                      167,238
SHORE BANCSHARES INC COM          82510710      2,184     121,757 SH         DEFINED  1,2,5                      121,757
SHORETEL INC         COM          82521110      4,352     543,951 SH         DEFINED  1,2,6                      543,951
SHUFFLE MASTER INC   COM          82554910      6,738   1,019,308 SH         DEFINED  1,2,5,6                  1,019,308
SHUTTERFLY INC       COM          82568P30      4,403     315,629 SH         DEFINED  1,2,5,6                    315,629
SIEMENS A G          SPONSORED    82619750      1,370      19,803 SH         DEFINED  1,2                         19,803
SIERRA BANCORP       COM          82620P10      1,248      98,784 SH         DEFINED  1,2                         98,784
SIGA TECHNOLOGIES IN COM          82691710      2,853     337,987 SH         DEFINED  1,2,6                      337,987
SIGMA ALDRICH CORP   COM          82655210    202,195   4,079,800 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,079,800
SIGMA DESIGNS INC    COM          82656510      8,136     507,263 SH         DEFINED  1,2,5,6                    507,263
SIGMATRON INTL INC   COM          82661L10         24      12,713 SH         DEFINED  1                           12,713
SIGNATURE BK NEW YOR COM          82669G10     28,194   1,033,899 SH         DEFINED  1,2,5,6                  1,033,899
SIGNET JEWELERS LIMI SHS          G8127610     17,061     819,474 SH         DEFINED  1,2,5,8,10                 819,474
SILGAN HOLDINGS INC  COM          82704810     26,882     548,286 SH         DEFINED  1,2,5,6,7                  548,286
SILICON GRAPHICS INT COM          82706L10      2,459     541,654 SH         DEFINED  1,2,6                      541,654
SILICON IMAGE INC    COM          82705T10      3,508   1,532,064 SH         DEFINED  1,2,5                    1,532,064
SILICON LABORATORIES COM          82691910     40,654   1,070,394 SH         DEFINED  1,2,5,6,10               1,070,394
SILICON STORAGE TECH COM          82705710      4,099   2,191,973 SH         DEFINED  1,2,5,6                  2,191,973
SILICONWARE PRECISIO SPONSD ADR   82708486      9,125   1,476,609 SH         DEFINED  1,4,5,6,8                1,476,609
SILVERCORP METALS IN COM          82835P10        124      35,400 SH         DEFINED  1                           35,400
SIMMONS 1ST NATL COR CL A $1 PA   82873020      7,129     266,789 SH         DEFINED  1,2,5                      266,789
SIMON PPTY GROUP INC COM          82880610    704,069  13,689,855 SH         DEFINED  1,2,3,5,6,7,8,10,12,13  13,689,855





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
SIMON PPTY GROUP INC PFD CONV I   82880680        351       7,460 SH         DEFINED  1,2                          7,460
SIMPSON MANUFACTURIN COM          82907310     34,402   1,591,216 SH         DEFINED  1,2,5,6                  1,591,216
SIMS METAL MANAGEMEN SPONS ADR    82916010        328      15,914 SH         DEFINED  1                           15,914
SINA CORP            ORD          G8147710      2,461      83,478 SH         DEFINED  1,2,5,6                     83,478
SINCLAIR BROADCAST G CL A         82922610      1,935     997,168 SH         DEFINED  1,2                        997,168
SIRF TECHNOLOGY HLDG COM          82967H10        990     240,768 SH         DEFINED  1                          240,768
SIRIUS XM RADIO INC  COM          82967N10      4,312  10,027,293 SH         DEFINED  1,2,5,6,7,12            10,027,293
SIRONA DENTAL SYSTEM COM          82966C10      4,625     231,388 SH         DEFINED  1,2,5,6                    231,388
SJW CORP             COM          78430510      4,605     202,851 SH         DEFINED  1,2,5                      202,851
SK TELECOM LTD       SPONSORED    78440P10      3,532     233,118 SH         DEFINED  1,2,6,12                   233,118
SKECHERS U S A INC   CL A         83056610      5,260     538,383 SH         DEFINED  1,2,5,6                    538,383
SKILLED HEALTHCARE G CL A         83066R10      2,386     318,068 SH         DEFINED  1,2                        318,068
SKILLSOFT PLC        SPONSORED    83092810        451      57,843 SH         DEFINED  1,5,6                       57,843
SKYLINE CORP         COM          83083010      2,398     110,234 SH         DEFINED  1,2,5                      110,234
SKYWEST INC          COM          83087910     16,517   1,619,270 SH         DEFINED  1,2,5,8                  1,619,270
SKYWORKS SOLUTIONS I COM          83088M10     33,169   3,388,051 SH         DEFINED  1,2,5                    3,388,051
SL GREEN RLTY CORP   COM          78440X10     59,847   2,608,832 SH         DEFINED  1,2,3,5,6,7,8,10         2,608,832
SLM CORP             COM          78442P10    188,696  18,373,546 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,373,546
SMART BALANCE INC    COM          83169Y10      6,035     886,208 SH         DEFINED  1,2,6                      886,208
SMART MODULAR TECHNO ORD SHS      G8224510      1,166     513,715 SH         DEFINED  1,2,5                      513,715
SMARTHEAT INC        COM          83172F10        389      56,769 SH         DEFINED  1,2                         56,769
SMITH & NEPHEW PLC   SPDN ADR N   83175M20        258       6,937 SH         DEFINED  1                            6,937
SMITH & WESSON HLDG  COM          83175610      4,717     830,506 SH         DEFINED  1,2,5,6                    830,506
SMITH A O            COM          83186520     14,674     450,543 SH         DEFINED  1,2,5                      450,543
SMITH INTL INC       COM          83211010    213,676   8,298,093 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,298,093
SMITH MICRO SOFTWARE COM          83215410      4,495     458,720 SH         DEFINED  1,2,5,6                    458,720
SMITHFIELD FOODS INC COM          83224810     35,750   2,559,084 SH         DEFINED  1,2,5,6,8,10,12          2,559,084
SMITHTOWN BANCORP IN COM          83244910      2,221     173,668 SH         DEFINED  1,2                        173,668
SMUCKER J M CO       COM NEW      83269640    172,632   3,547,710 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,547,710
SNAP ON INC          COM          83303410     58,054   2,019,961 SH         DEFINED  1,2,5,6,8,10,13          2,019,961
SOAPSTONE NETWORKS I COM          83357010         69      16,462 SH         DEFINED  1,2                         16,462
SOCIEDAD QUIMICA MIN SPON ADR S   83363510     20,835     575,720 SH         DEFINED  1,2,5,6,7                  575,720
SOHU COM INC         COM          83408W10     20,357     324,000 SH         DEFINED  1,2,5,6,7,8,10             324,000
SOLARWINDS INC       COM          83416B10      2,124     128,833 SH         DEFINED  1,2                        128,833
SOLERA HOLDINGS INC  COM          83421A10     31,642   1,245,739 SH         DEFINED  1,2,5,6,7,8              1,245,739
SOLUTIA INC          COM NEW      83437650      8,102   1,406,568 SH         DEFINED  1,2                      1,406,568
SOMANETICS CORP      COM NEW      83444540      4,485     271,654 SH         DEFINED  1,2,5,6                    271,654
SONIC AUTOMOTIVE INC CL A         83545G10      5,664     557,510 SH         DEFINED  1,2,5                      557,510
SONIC CORP           COM          83545110      9,529     950,023 SH         DEFINED  1,2,5,6                    950,023
SONIC SOLUTIONS      COM          83546010        208      70,855 SH         DEFINED  1                           70,855
SONICWALL INC        COM          83547010      7,301   1,332,242 SH         DEFINED  1,2,5,6                  1,332,242
SONOCO PRODS CO      COM          83549510    117,614   4,910,829 SH         DEFINED  1,2,5,6,8,10             4,910,829
SONOSITE INC         COM          83568G10      5,375     268,372 SH         DEFINED  1,2,5,6                    268,372
SONUS NETWORKS INC   COM          83591610      5,698   3,538,849 SH         DEFINED  1,2,5,6                  3,538,849
SONY CORP            ADR NEW      83569930      1,020      39,458 SH         DEFINED  1                           39,458
SOTHEBYS             COM          83589810     30,864   2,187,400 SH         DEFINED  1,2,5,6                  2,187,400
SOURCEFIRE INC       COM          83616T10      3,335     269,137 SH         DEFINED  1,2,6                      269,137
SOURCEFORGE INC      COM          83616W10         86      68,413 SH         DEFINED  1,5                         68,413
SOUTH FINL GROUP INC COM          83784110      2,080   1,747,739 SH         DEFINED  1,2,5,6                  1,747,739
SOUTH JERSEY INDS IN COM          83851810     20,710     593,593 SH         DEFINED  1,2,5                      593,593
SOUTHERN CMNTY FINL  COM          84263210         97      35,900 SH         DEFINED  1                           35,900
SOUTHERN CO          COM          84258710    861,236  27,639,145 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,639,145
SOUTHERN COPPER CORP COM          84265V10     69,010   3,376,227 SH         DEFINED  1,2,5,6,7,8,10,12        3,376,227
SOUTHERN UN CO NEW   COM          84403010     45,844   2,492,880 SH         DEFINED  1,2,5,6,10               2,492,880





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
SOUTHSIDE BANCSHARES COM          84470P10      6,010     262,783 SH         DEFINED  1,2                        262,783
SOUTHWEST AIRLS CO   COM          84474110    143,125  21,266,705 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,266,705
SOUTHWEST BANCORP IN COM          84476710      2,566     262,951 SH         DEFINED  1,2                        262,951
SOUTHWEST GAS CORP   COM          84489510     23,582   1,061,780 SH         DEFINED  1,2,5,8                  1,061,780
SOUTHWEST WTR CO     COM          84533110      1,844     334,585 SH         DEFINED  1,2                        334,585
SOUTHWESTERN ENERGY  COM          84546710    484,770  12,477,985 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,477,985
SOVRAN SELF STORAGE  COM          84610H10     16,981     690,275 SH         DEFINED  1,2,3,5,8                  690,275
SPANISH BROADCASTING CL A         84642588          2      10,988 SH         DEFINED  1                           10,988
SPARTAN MTRS INC     COM          84681910      7,877     695,210 SH         DEFINED  1,2,6                      695,210
SPARTAN STORES INC   COM          84682210      5,192     418,346 SH         DEFINED  1,2,5,6                    418,346
SPARTECH CORP        COM NEW      84722020      6,596     717,708 SH         DEFINED  1,2,5                      717,708
SPDR INDEX SHS FDS   SPDR DJ EU   78463X20      3,105      93,240 SH         DEFINED  10                          93,240
SPDR INDEX SHS FDS   EMERG MKTS   78463X50        783      15,650 SH         DEFINED  7                           15,650
SPDR INDEX SHS FDS   DJ INTL RL   78463X86      5,933     206,500 SH         DEFINED  2                          206,500
SPDR INDEX SHS FDS   S&P INTL S   78463X87     15,488     730,200 SH         DEFINED  2                          730,200
SPDR SERIES TRUST    BARCLY CNV   78464A35        849      26,500 SH         DEFINED  1                           26,500
SPDR SERIES TRUST    BRCLYS YLD   78464A41     56,586   1,608,018 SH         DEFINED  1,2,5                    1,608,018
SPDR SERIES TRUST    DJ REIT ET   78464A60        754      22,203 SH         DEFINED  8                           22,203
SPDR SERIES TRUST    BRCLYS AGG   78464A64     10,241     187,059 SH         DEFINED  2                          187,059
SPDR SERIES TRUST    BRCLYS 1-3   78464A68      5,817     126,825 SH         DEFINED  1                          126,825
SPDR TR              UNIT SER 1   78462F10    239,883   2,608,845 SH         DEFINED  1,2,5,10                 2,608,845
SPECTRA ENERGY CORP  COM          84756010    387,622  22,909,106 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,909,106
SPECTRA ENERGY PARTN COM          84756N10        251      11,685 SH         DEFINED  1,2                         11,685
SPECTRANETICS CORP   COM          84760C10      1,946     394,802 SH         DEFINED  1,2                        394,802
SPECTRUM CTL INC     COM          84761510      1,090     123,825 SH         DEFINED  1,2                        123,825
SPECTRUM PHARMACEUTI COM          84763A10      3,649     476,932 SH         DEFINED  1,2                        476,932
SPEEDWAY MOTORSPORTS COM          84778810      3,073     223,349 SH         DEFINED  1,2,5                      223,349
SPHERION CORP        COM          84842010      6,044   1,466,905 SH         DEFINED  1,2,5                    1,466,905
SPHERIX INC          COM          84842R10         24      16,667 SH         DEFINED  1                           16,667
SPIRIT AEROSYSTEMS H COM CL A     84857410     15,968   1,162,127 SH         DEFINED  1,2,5,6,8,10             1,162,127
SPORT CHALET INC     CL A         84916320         27      13,343 SH         DEFINED  1                           13,343
SPORT SUPPLY GROUP I COM          84916A10        726      84,523 SH         DEFINED  1,2                         84,523
SPRINT NEXTEL CORP   COM SER 1    85206110    471,563  98,038,040 SH         DEFINED  1,2,5,6,7,8,10,12,13    98,038,040
SPSS INC             COM          78462K10     15,478     463,833 SH         DEFINED  1,2,5,6                    463,833
SPX CORP             COM          78463510     65,023   1,327,810 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,327,810
SRA INTL INC         CL A         78464R10     18,077   1,029,442 SH         DEFINED  1,2,5,6,8                1,029,442
SRS LABS INC         COM          78464M10        686     103,187 SH         DEFINED  1,2                        103,187
ST JOE CO            COM          79014810     29,384   1,109,265 SH         DEFINED  1,2,5,6,8,10,12          1,109,265
ST JUDE MED INC      COM          79084910    455,156  11,074,358 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,074,358
ST MARY LD & EXPL CO COM          79222810     16,701     800,251 SH         DEFINED  1,2,5,6,10                 800,251
STAAR SURGICAL CO    COM PAR $0   85231230         59      24,655 SH         DEFINED  1                           24,655
STAGE STORES INC     COM NEW      85254C30      7,354     662,533 SH         DEFINED  1,2,5                      662,533
STAMPS COM INC       COM NEW      85285720      1,952     230,235 SH         DEFINED  1,2,5,6                    230,235
STANCORP FINL GROUP  COM          85289110     31,502   1,098,394 SH         DEFINED  1,2,5,6,7,8,10           1,098,394
STANDARD MICROSYSTEM COM          85362610      7,605     371,875 SH         DEFINED  1,2,5,6                    371,875
STANDARD MTR PRODS I COM          85366610      1,345     162,642 SH         DEFINED  1,2                        162,642
STANDARD PAC CORP NE COM          85375C10      4,011   1,975,951 SH         DEFINED  1,2,5,6                  1,975,951
STANDARD PARKING COR COM          85379010      3,493     214,414 SH         DEFINED  1,2,6                      214,414
STANDARD REGISTER CO COM          85388710      1,396     428,224 SH         DEFINED  1,2,5                      428,224
STANDEX INTL CORP    COM          85423110      3,053     263,193 SH         DEFINED  1,2,5                      263,193
STANLEY FURNITURE IN COM NEW      85430520      1,220     113,060 SH         DEFINED  1,2                        113,060
STANLEY INC          COM          85453210      5,508     167,509 SH         DEFINED  1,2,5,6                    167,509
STANLEY WKS          COM          85461610     99,636   2,944,332 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,944,332
STAPLES INC          COM          85503010    463,743  22,980,329 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,980,329





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
STAR GAS PARTNERS L  UNIT LTD P   85512C10        185      51,779 SH         DEFINED  1,2                         51,779
STAR SCIENTIFIC INC  COM          85517P10        619     695,348 SH         DEFINED  1,2                        695,348
STARBUCKS CORP       COM          85524410    321,627  23,155,264 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,155,264
STARENT NETWORKS COR COM          85528P10     13,043     534,318 SH         DEFINED  1,2,5,6                    534,318
STARTEK INC          COM          85569C10      1,045     130,323 SH         DEFINED  1,2                        130,323
STARWOOD HOTELS&RESO COM          85590A40    168,176   7,575,493 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,575,493
STATE AUTO FINL CORP COM          85570710      3,866     220,924 SH         DEFINED  1,2,5                      220,924
STATE BANCORP INC N. COM          85571610      1,480     195,807 SH         DEFINED  1,2                        195,807
STATE STR CORP       COM          85747710  1,057,600  22,406,780 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,406,780
STEAK N SHAKE CO     COM          85787310      3,887     444,758 SH         DEFINED  1,2,5,6                    444,758
STEC INC             COM          78477410      8,232     354,987 SH         DEFINED  1,2,6                      354,987
STEEL DYNAMICS INC   COM          85811910     86,498   5,844,430 SH         DEFINED  1,2,5,6,8,10             5,844,430
STEELCASE INC        CL A         85815520      6,645   1,141,734 SH         DEFINED  1,2,5,8                  1,141,734
STEIN MART INC       COM          85837510      3,725     420,379 SH         DEFINED  1,2                        420,379
STEINER LEISURE LTD  ORD          P8744Y10      7,718     252,808 SH         DEFINED  1,2,5                      252,808
STEINWAY MUSICAL INS COM          85849510      1,206     112,741 SH         DEFINED  1,2                        112,741
STELLARONE CORP      COM          85856G10      4,220     325,907 SH         DEFINED  1,2                        325,907
STEMCELLS INC        COM          85857R10      1,953   1,149,032 SH         DEFINED  1,2,5                    1,149,032
STEPAN CO            COM          85858610      7,452     168,742 SH         DEFINED  1,2,5,6                    168,742
STEREOTAXIS INC      COM          85916J10      2,087     537,795 SH         DEFINED  1,2,6                      537,795
STERICYCLE INC       COM          85891210    135,137   2,622,483 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,622,483
STERIS CORP          COM          85915210     45,923   1,760,861 SH         DEFINED  1,2,5,6                  1,760,861
STERLING BANCORP     COM          85915810      2,748     329,145 SH         DEFINED  1,2,5                      329,145
STERLING BANCSHARES  COM          85890710     19,581   3,093,432 SH         DEFINED  1,2,5                    3,093,432
STERLING CONSTRUCTIO COM          85924110      3,463     226,958 SH         DEFINED  1,2,5,6                    226,958
STERLING FINL CORP W COM          85931910      2,464     846,788 SH         DEFINED  1,2,5,6                    846,788
STERLITE INDS INDIA  ADS          85973720      1,770     142,322 SH         DEFINED  1,6,8                      142,322
STEWART ENTERPRISES  CL A         86037010      7,802   1,618,692 SH         DEFINED  1,2,5                    1,618,692
STEWART INFORMATION  COM          86037210      4,161     292,018 SH         DEFINED  1,2,5                      292,018
STIFEL FINL CORP     COM          86063010     22,927     476,758 SH         DEFINED  1,2,5,6                    476,758
STILLWATER MNG CO    COM          86074Q10      6,347   1,111,559 SH         DEFINED  1,2,5,6                  1,111,559
STONE ENERGY CORP    COM          86164210      5,394     726,920 SH         DEFINED  1,2,5                      726,920
STONERIDGE INC       COM          86183P10      1,704     354,944 SH         DEFINED  1,2                        354,944
STRATASYS INC        COM          86268510      3,415     313,018 SH         DEFINED  1,2,5,6                    313,018
STRATEGIC HOTELS & R COM          86272T10      1,695   1,526,842 SH         DEFINED  1,2,3                    1,526,842
STRAYER ED INC       COM          86323610     61,096     280,115 SH         DEFINED  1,2,5,6,10                 280,115
STRYKER CORP         COM          86366710    325,690   8,195,516 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,195,516
STUDENT LN CORP      COM          86390210      2,335      62,775 SH         DEFINED  1,2,5,8,10,12               62,775
STURM RUGER & CO INC COM          86415910      3,611     290,259 SH         DEFINED  1,2,6                      290,259
SUBURBAN PROPANE PAR UNIT LTD P   86448210      1,624      38,517 SH         DEFINED  1,2                         38,517
SUCAMPO PHARMACEUTIC CL A         86490910        720     116,685 SH         DEFINED  1,2                        116,685
SUCCESSFACTORS INC   COM          86459610      5,043     549,328 SH         DEFINED  1,2,5,6                    549,328
SUFFOLK BANCORP      COM          86473910      5,371     209,484 SH         DEFINED  1,2,5,6                    209,484
SULPHCO INC          COM          86537810        571     621,184 SH         DEFINED  1,2,6                      621,184
SUMTOTAL SYS INC     COM          86661510      1,602     332,959 SH         DEFINED  1,2                        332,959
SUN BANCORP INC      COM          86663B10      1,436     277,201 SH         DEFINED  1,2,5                      277,201
SUN COMMUNITIES INC  COM          86667410      9,620     698,106 SH         DEFINED  1,2,3,5,8                  698,106
SUN HEALTHCARE GROUP COM NEW      86693340      6,064     718,476 SH         DEFINED  1,2,5,6                    718,476
SUN HYDRAULICS CORP  COM          86694210      2,594     160,440 SH         DEFINED  1,2,6                      160,440
SUN LIFE FINL INC    COM          86679610      8,646     321,191 SH         DEFINED  1,7                        321,191
SUN MICROSYSTEMS INC COM NEW      86681020    235,169  25,506,370 SH         DEFINED  1,2,5,6,7,8,10,12,13    25,506,370
SUNAIR SERVICES CORP COM          86701710         26      11,100 SH         DEFINED  1                           11,100
SUNLINK HEALTH SYSTE COM          86737U10         29      13,400 SH         DEFINED  1                           13,400
SUNOCO INC           COM          86764P10    194,696   8,392,087 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,392,087





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
SUNOCO LOGISTICS PRT COM UNITS    86764L10      1,226      22,610 SH         DEFINED  1,2,8                       22,610
SUNPOWER CORP        COM CL A     86765210     27,130   1,019,545 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,019,545
SUNPOWER CORP        COM CL B     86765230      5,310     221,701 SH         DEFINED  1,2,5,6,7,8,10,12,13       221,701
SUNRISE SENIOR LIVIN COM          86768K10      1,120     678,732 SH         DEFINED  1,2                        678,732
SUNSTONE HOTEL INVS  COM          86789210     14,270   2,667,299 SH         DEFINED  1,2,3,5,8                2,667,299
SUNTECH PWR HLDGS CO NOTE 0.25    86800CAC        470     500,000 SH         DEFINED  1                          500,000
SUNTECH PWR HLDGS CO NOTE 3.00    86800CAE        263     350,000 SH         DEFINED  2                          350,000
SUNTECH PWR HLDGS CO ADR          86800C10      3,095     173,268 SH         DEFINED  1,2,6                      173,268
SUNTRUST BKS INC     COM          86791410    290,737  17,673,974 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,673,974
SUPER MICRO COMPUTER COM          86800U10      2,365     308,701 SH         DEFINED  1,2,6                      308,701
SUPERGEN INC         COM          86805910      1,284     635,826 SH         DEFINED  1,2                        635,826
SUPERIOR ENERGY SVCS COM          86815710     34,644   2,006,047 SH         DEFINED  1,2,5,6,10               2,006,047
SUPERIOR INDS INTL I COM          86816810      5,701     404,349 SH         DEFINED  1,2,5                      404,349
SUPERIOR UNIFORM GP  COM          86835810        172      23,702 SH         DEFINED  1                           23,702
SUPERIOR WELL SVCS I COM          86837X10      1,718     288,667 SH         DEFINED  1,2,5,6                    288,667
SUPERTEL HOSPITALITY COM          86852610         46      25,177 SH         DEFINED  1                           25,177
SUPERTEX INC         COM          86853210      4,277     170,345 SH         DEFINED  1,2,5,6                    170,345
SUPERVALU INC        COM          86853610    177,630  13,716,600 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,716,600
SUPREME INDS INC     CL A         86860710         34      20,930 SH         DEFINED  1                           20,930
SUREWEST COMMUNICATI COM          86873310      1,894     181,068 SH         DEFINED  1,2                        181,068
SURMODICS INC        COM          86887310      7,474     330,287 SH         DEFINED  1,2,5,6                    330,287
SUSQUEHANNA BANCSHAR COM          86909910     14,417   2,948,197 SH         DEFINED  1,2,5                    2,948,197
SUSSER HLDGS CORP    COM          86923310      1,404     125,442 SH         DEFINED  1,2                        125,442
SUTOR TECH GROUP LTD COM          86936210        167      50,945 SH         DEFINED  1,2                         50,945
SVB FINL GROUP       COM          78486Q10     32,117   1,179,918 SH         DEFINED  1,2,5,6                  1,179,918
SWIFT ENERGY CO      COM          87073810      9,526     572,157 SH         DEFINED  1,2,5                      572,157
SWITCH & DATA FACILI COM          87104310      3,161     269,496 SH         DEFINED  1,2,6                      269,496
SWS GROUP INC        COM          78503N10      6,332     453,247 SH         DEFINED  1,2,5                      453,247
SYBASE INC           COM          87113010     56,927   1,816,418 SH         DEFINED  1,2,5,6,7,8,10           1,816,418
SYCAMORE NETWORKS IN COM          87120610     10,337   3,302,681 SH         DEFINED  1,2,5,6                  3,302,681
SYKES ENTERPRISES IN COM          87123710     12,298     679,800 SH         DEFINED  1,2,5,6                    679,800
SYMANTEC CORP        NOTE 0.75    871503AD      1,411   1,400,000 SH         DEFINED  1,2                      1,400,000
SYMANTEC CORP        COM          87150310    471,494  30,262,801 SH         DEFINED  1,2,5,6,7,8,10,12,13    30,262,801
SYMMETRICOM INC      COM          87154310      5,850   1,013,909 SH         DEFINED  1,2,5                    1,013,909
SYMMETRY MED INC     COM          87154620      5,496     589,735 SH         DEFINED  1,2,5,6                    589,735
SYMS CORP            COM          87155110        613      81,634 SH         DEFINED  1,2                         81,634
SYMYX TECHNOLOGIES   COM          87155S10      2,706     462,487 SH         DEFINED  1,2,5,6                    462,487
SYNAPTICS INC        COM          87157D10     26,746     692,003 SH         DEFINED  1,2,5,6                    692,003
SYNCHRONOSS TECHNOLO COM          87157B10      3,318     270,427 SH         DEFINED  1,2,5,6                    270,427
SYNERON MEDICAL LTD  ORD SHS      M8724510        181      25,053 SH         DEFINED  1,2,5                       25,053
SYNGENTA AG          SPONSORED    87160A10      1,068      22,960 SH         DEFINED  1                           22,960
SYNIVERSE HLDGS INC  COM          87163F10     28,016   1,747,710 SH         DEFINED  1,2,5                    1,747,710
SYNNEX CORP          COM          87162W10     10,062     402,654 SH         DEFINED  1,2,5                      402,654
SYNOPSYS INC         COM          87160710     94,205   4,828,558 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,828,558
SYNOVIS LIFE TECHNOL COM          87162G10      3,195     153,848 SH         DEFINED  1,2,6                      153,848
SYNOVUS FINL CORP    COM          87161C10     26,164   8,750,363 SH         DEFINED  1,2,5,6,7,8,10,12        8,750,363
SYNTA PHARMACEUTICAL COM          87162T20        466     200,190 SH         DEFINED  1,2                        200,190
SYNTEL INC           COM          87162H10      6,250     198,796 SH         DEFINED  1,2,5,6                    198,796
SYNTHESIS ENERGY SYS COM          87162810         26      22,900 SH         DEFINED  1                           22,900
SYNTROLEUM CORP      COM          87163010      1,412     633,037 SH         DEFINED  1,2,5                      633,037
SYNUTRA INTL INC     COM          87164C10      1,907     173,393 SH         DEFINED  1,2                        173,393
SYSCO CORP           COM          87182910    433,825  19,298,279 SH         DEFINED  1,2,5,6,7,8,10,12,13    19,298,279
SYSTEMAX INC         COM          87185110      1,909     160,258 SH         DEFINED  1,2,5,6                    160,258
T-3 ENERGY SRVCS INC COM          87306E10      2,136     179,361 SH         DEFINED  1,2,6                      179,361





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
TAIWAN GREATER CHINA SH BEN INT   87403710        146      30,000 SH         DEFINED  7                           30,000
TAIWAN SEMICONDUCTOR SPONSORED    87403910    107,916  11,468,229 SH         DEFINED  1,2,4,5,6,7,8           11,468,229
TAKE-TWO INTERACTIVE COM          87405410     12,383   1,307,613 SH         DEFINED  1,2,5                    1,307,613
TAL INTL GROUP INC   COM          87408310      3,161     289,983 SH         DEFINED  1,2,5                      289,983
TALBOTS INC          COM          87416110      1,816     336,296 SH         DEFINED  1,2,5                      336,296
TALEO CORP           CL A         87424N10      8,246     451,336 SH         DEFINED  1,2,5,6                    451,336
TALISMAN ENERGY INC  COM          87425E10        407      28,500 SH         DEFINED  7                           28,500
TAM SA               SP ADR REP   87484D10        308      29,614 SH         DEFINED  1,2,6                       29,614
TANGER FACTORY OUTLE COM          87546510     41,239   1,271,642 SH         DEFINED  1,2,3,5,6,8              1,271,642
TARGA RESOURCES PART COM UNIT     87611X10        457      32,941 SH         DEFINED  1,2                         32,941
TARGACEPT INC        COM          87611R30         25      10,200 SH         DEFINED  1                           10,200
TARGET CORP          COM          87612E10  2,581,348  65,400,247 SH         DEFINED  1,2,5,6,7,8,10,12,13    65,400,247
TASER INTL INC       COM          87651B10      5,007   1,097,989 SH         DEFINED  1,2,5,6                  1,097,989
TATA COMMUNICATIONS  SPONS ADR    87656410      1,336      67,968 SH         DEFINED  1,2,5,6,8                   67,968
TATA MTRS LTD        SPONSORED    87656850      2,885     338,610 SH         DEFINED  1,2,5,6,8                  338,610
TAUBMAN CTRS INC     COM          87666410     39,309   1,463,480 SH         DEFINED  1,2,3,5,6,8,10           1,463,480
TBS INTERNATIONAL LI COM CL A     G8697515      1,402     179,564 SH         DEFINED  1,2,5                      179,564
TC PIPELINES LP      UT COM LTD   87233Q10        542      15,574 SH         DEFINED  1,2                         15,574
TCF FINL CORP        COM          87227510     43,440   3,249,056 SH         DEFINED  1,2,5,6,8,10,12          3,249,056
TD AMERITRADE HLDG C COM          87236Y10     95,745   5,455,553 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,455,553
TEAM INC             COM          87815510      3,998     255,168 SH         DEFINED  1,2,5,6                    255,168
TECH DATA CORP       COM          87823710     53,139   1,624,539 SH         DEFINED  1,2,5,6,8,10             1,624,539
TECH OPS SEVCON INC  COM          87829310         33      12,400 SH         DEFINED  1                           12,400
TECHNE CORP          COM          87837710     48,451     759,295 SH         DEFINED  1,2,5,6,10                 759,295
TECHNITROL INC       COM          87855510      4,909     758,795 SH         DEFINED  1,2,5                      758,795
TECHNOLOGY RESH CORP COM NEW      87872730         25      12,137 SH         DEFINED  1                           12,137
TECHTARGET INC       COM          87874R10        574     143,391 SH         DEFINED  1,2,5                      143,391
TECHWELL INC         COM          87874D10      1,500     176,420 SH         DEFINED  1,2                        176,420
TECK RESOURCES LTD   CL B         87874220        539      33,800 SH         DEFINED  7                           33,800
TECO ENERGY INC      COM          87237510     84,548   7,087,023 SH         DEFINED  1,2,5,6,8,10,12,13       7,087,023
TECUMSEH PRODS CO    CL A         87889520      3,540     364,623 SH         DEFINED  1,2,5                      364,623
TEEKAY CORPORATION   COM          Y8564W10      9,379     445,991 SH         DEFINED  1,2,5,6,8,10,12            445,991
TEEKAY LNG PARTNERS  PRTNRSP UN   Y8564M10        311      15,942 SH         DEFINED  1,2                         15,942
TEEKAY OFFSHORE PART PARTNERSHI   Y8565J10        208      14,684 SH         DEFINED  1,2                         14,684
TEEKAY TANKERS LTD   CL A         Y8565N10      1,673     180,113 SH         DEFINED  1,2                        180,113
TEJON RANCH CO DEL   COM          87908010      3,993     150,747 SH         DEFINED  1,2,5,6                    150,747
TEKELEC              COM          87910110     23,089   1,371,874 SH         DEFINED  1,2,5,6                  1,371,874
TELE NORTE LESTE PAR SPON ADR P   87924610      3,714     249,739 SH         DEFINED  1,2,6                      249,739
TELECOM ARGENTINA S  SPON ADR R   87927320        542      42,275 SH         DEFINED  1,2,8                       42,275
TELECOMMUNICATION SY CL A         87929J10      3,379     475,178 SH         DEFINED  1,2,6                      475,178
TELEDYNE TECHNOLOGIE COM          87936010     20,239     617,997 SH         DEFINED  1,2,5,6                    617,997
TELEFLEX INC         COM          87936910     35,247     786,234 SH         DEFINED  1,2,5,6,10                 786,234
TELEFONICA S A       SPONSORED    87938220      3,161      46,567 SH         DEFINED  1,2,8                       46,567
TELEFONOS DE MEXICO  SPON ADR O   87940378     12,916     796,790 SH         DEFINED  1,2,6,7                    796,790
TELEPHONE & DATA SYS COM          87943310     74,551   2,634,325 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,634,325
TELEPHONE & DATA SYS SPL COM      87943386        908      34,990 SH         DEFINED  1,2,5,6                     34,990
TELETECH HOLDINGS IN COM          87993910     12,054     795,642 SH         DEFINED  1,2,5,6                    795,642
TELIK INC            COM          87959M10         45      53,337 SH         DEFINED  1                           53,337
TELKONET INC         COM          87960410          3      24,759 SH         DEFINED  1                           24,759
TELLABS INC          COM          87966410     77,970  13,607,377 SH         DEFINED  1,2,5,6,7,10,13         13,607,377
TELMEX INTERNACIONAL SPONS ADR    87969010        302      23,839 SH         DEFINED  1,6,8                       23,839
TELULAR CORP         COM NEW      87970T20         35      16,333 SH         DEFINED  1                           16,333
TELUS CORP           NON-VTG SH   87971M20        203       7,869 SH         DEFINED  2,7                          7,869
TEMPLE INLAND INC    COM          87986810     29,390   2,240,103 SH         DEFINED  1,2,5,6,8,10             2,240,103





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
TEMPUR PEDIC INTL IN COM          88023U10     52,912   4,048,348 SH         DEFINED  1,2,5                    4,048,348
TENARIS S A          SPONSORED    88031M10     48,946   1,810,135 SH         DEFINED  1,2,4,8                  1,810,135
TENET HEALTHCARE COR COM          88033G10     36,685  13,009,026 SH         DEFINED  1,2,5,6,8,10,13         13,009,026
TENNANT CO           COM          88034510      4,235     230,315 SH         DEFINED  1,2,5                      230,315
TENNECO INC          COM          88034910      8,879     837,607 SH         DEFINED  1,2,5,6                    837,607
TEPPCO PARTNERS L P  UT LTD PAR   87238410      2,526      84,596 SH         DEFINED  1,2,8                       84,596
TERADATA CORP DEL    COM          88076W10    143,920   6,142,532 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,142,532
TERADYNE INC         COM          88077010     37,730   5,500,067 SH         DEFINED  1,2,5,6,8,10,13          5,500,067
TEREX CORP NEW       COM          88077910     29,835   2,471,870 SH         DEFINED  1,2,5,6,7,8,10,12        2,471,870
TERRA INDS INC       COM          88091510     54,047   2,231,519 SH         DEFINED  1,2,5,6,7,10             2,231,519
TERRA NITROGEN CO L  COM UNIT     88100520        868       8,610 SH         DEFINED  1,2                          8,610
TERREMARK WORLDWIDE  COM NEW      88144820      4,229     731,673 SH         DEFINED  1,2,5,6                    731,673
TERRESTAR CORP       COM          88145110        121      79,366 SH         DEFINED  1,2                         79,366
TESCO CORP           COM          88157K10        333      41,962 SH         DEFINED  1,2,5,6                     41,962
TESORO CORP          COM          88160910     98,856   7,765,614 SH         DEFINED  1,2,5,6,8,10,13          7,765,614
TESSERA TECHNOLOGIES COM          88164L10     23,993     948,707 SH         DEFINED  1,2,5,6                    948,707
TETRA TECH INC NEW   COM          88162G10     29,678   1,035,884 SH         DEFINED  1,2,5,6                  1,035,884
TETRA TECHNOLOGIES I COM          88162F10      9,794   1,230,389 SH         DEFINED  1,2,5,6                  1,230,389
TEVA PHARMACEUTICAL  ADR          88162420    149,722   3,034,503 SH         DEFINED  1,2,6,7,8                3,034,503
TEVA PHARMACEUTICAL  DBCV 0.25    88163VAE        167     150,000 SH         DEFINED  1                          150,000
TEVA PHARMACEUTICAL  DBCV 0.25    88164RAB        709     500,000 SH         DEFINED  2                          500,000
TEVA PHARMACEUTICAL  NOTE 1.75    88165FAA        899     800,000 SH         DEFINED  1,2                        800,000
TEXAS CAPITAL BANCSH COM          88224Q10      7,971     515,240 SH         DEFINED  1,2,5,6                    515,240
TEXAS INDS INC       COM          88249110     12,806     408,342 SH         DEFINED  1,2,5,6                    408,342
TEXAS INSTRS INC     COM          88250810    916,253  43,016,569 SH         DEFINED  1,2,5,6,7,8,10,12,13    43,016,569
TEXAS ROADHOUSE INC  CL A         88268110      9,899     907,298 SH         DEFINED  1,2,5,6                    907,298
TEXTAINER GROUP HOLD SHS          G8766E10      1,142      99,358 SH         DEFINED  1,2                         99,358
TEXTRON INC          NOTE 4.50    883203BN        251     250,000 SH         DEFINED  2                          250,000
TEXTRON INC          COM          88320310     83,156   8,608,275 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,608,275
TFS FINL CORP        COM          87240R10     12,100   1,139,400 SH         DEFINED  1,2,5,7,8,10,12,13       1,139,400
TGC INDS INC         COM NEW      87241730        677     139,010 SH         DEFINED  1,2                        139,010
THERAGENICS CORP     COM          88337510        138     106,599 SH         DEFINED  1                          106,599
THERAVANCE INC       COM          88338T10     29,764   2,033,067 SH         DEFINED  1,2,5,6                  2,033,067
THERMO FISHER SCIENT COM          88355610    529,211  12,980,404 SH         DEFINED  1,2,5,6,7,8,10,12,13    12,980,404
THERMOGENESIS CORP   COM NEW      88362320         41      64,298 SH         DEFINED  1                           64,298
THESTREET COM        COM          88368Q10         26      12,535 SH         DEFINED  1                           12,535
THOMAS & BETTS CORP  COM          88431510     53,081   1,839,243 SH         DEFINED  1,2,5,6,7,8,10           1,839,243
THOMAS PPTYS GROUP I COM          88445310         26      16,600 SH         DEFINED  1                           16,600
THOMAS WEISEL PARTNE COM          88448110      1,591     264,286 SH         DEFINED  1,2                        264,286
THOMSON              SPONSORED    88511810         18      21,590 SH         DEFINED  1                           21,590
THOMSON REUTERS CORP COM          88490310      1,304      44,500 SH         DEFINED  7                           44,500
THOMSON REUTERS PLC  SPONSORED    88514110        392       2,282 SH         DEFINED  1,2                          2,282
THOR INDS INC        COM          88516010     14,677     798,976 SH         DEFINED  1,2,5,6,10                 798,976
THORATEC CORP        COM NEW      88517530     36,605   1,366,879 SH         DEFINED  1,2,5,6                  1,366,879
THQ INC              COM NEW      87244340      8,190   1,143,858 SH         DEFINED  1,2,5                    1,143,858
TIBCO SOFTWARE INC   COM          88632Q10     33,264   4,639,355 SH         DEFINED  1,2,5,6,7,8              4,639,355
TICC CAPITAL CORP    COM          87244T10      1,043     236,565 SH         DEFINED  1,2                        236,565
TICKETMASTER ENTMT I COM          88633P30      5,837     909,260 SH         DEFINED  1,2,5,6,7                  909,260
TIDEWATER INC        COM          88642310     51,907   1,210,809 SH         DEFINED  1,2,5,6,10               1,210,809
TIER TECHNOLOGIES IN CL B         88650Q10      1,527     197,853 SH         DEFINED  1,2                        197,853
TIERONE CORP         COM          88650R10         30      14,534 SH         DEFINED  1                           14,534
TIFFANY & CO NEW     COM          88654710    117,514   4,633,845 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,633,845
TIM HORTONS INC      COM          88706M10     51,522   2,099,513 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,099,513
TIM PARTICIPACOES S  SPONS ADR    88706P10        612      35,092 SH         DEFINED  1,2,6                       35,092





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
TIMBERLAND BANCORP I COM          88709810         42      10,283 SH         DEFINED  1                           10,283
TIMBERLAND CO        CL A         88710010     19,351   1,458,232 SH         DEFINED  1,2,5,6                  1,458,232
TIME WARNER CABLE IN COM          88732J20    372,716  11,768,754 SH         DEFINED  1,2,5,6,7,8,10,12,13    11,768,754
TIME WARNER INC      COM NEW      88731730    974,848  38,699,811 SH         DEFINED  1,2,5,6,7,8,10,12,13    38,699,811
TIMKEN CO            COM          88738910     36,637   2,145,037 SH         DEFINED  1,2,5,6,7,8,10           2,145,037
TITAN INTL INC ILL   COM          88830M10      4,214     564,121 SH         DEFINED  1,2,5                      564,121
TITAN MACHY INC      COM          88830R10      1,916     150,986 SH         DEFINED  1,2,6                      150,986
TITANIUM METALS CORP COM NEW      88833920     25,064   2,727,316 SH         DEFINED  1,2,5,6,10,13            2,727,316
TIVO INC             COM          88870610     16,806   1,603,592 SH         DEFINED  1,2,5,6                  1,603,592
TIX CORP             COM          88873310         49      19,800 SH         DEFINED  1                           19,800
TJX COS INC NEW      COM          87254010    464,073  14,751,200 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,751,200
TNS INC              COM          87296010      9,388     500,686 SH         DEFINED  1,2,5,6,7,8                500,686
TODD SHIPYARDS CORP  COM          88903910        962      57,784 SH         DEFINED  1,2                         57,784
TOLL BROTHERS INC    COM          88947810     75,182   4,430,273 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,430,273
TOLLGRADE COMMUNICAT COM          88954210        273      52,109 SH         DEFINED  1                           52,109
TOMOTHERAPY INC      COM          89008810      2,024     736,116 SH         DEFINED  1,2,6                      736,116
TOMPKINS FINANCIAL C COM          89011010      6,115     127,526 SH         DEFINED  1,2,5                      127,526
TOOTSIE ROLL INDS IN COM          89051610     13,424     591,626 SH         DEFINED  1,2,5,6                    591,626
TORCHMARK CORP       COM          89102710    111,080   2,998,909 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,998,909
TOREADOR RES CORP    COM          89105010      1,680     250,711 SH         DEFINED  1,2                        250,711
TORO CO              COM          89109210     16,194     541,607 SH         DEFINED  1,2,5,6,7,10               541,607
TORONTO DOMINION BK  COM NEW      89116050      3,942      76,239 SH         DEFINED  1,5,7,10,13                 76,239
TOTAL S A            SPONSORED    89151E10      3,331      61,432 SH         DEFINED  1,2                         61,432
TOTAL SYS SVCS INC   COM          89190610     80,565   6,016,770 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,016,770
TOWER BANCORP INC    COM          89170910      1,106      31,463 SH         DEFINED  1,2                         31,463
TOWER GROUP INC      COM          89177710     16,605     670,081 SH         DEFINED  1,2,5,6                    670,081
TOWN SPORTS INTL HLD COM          89214A10      1,041     277,609 SH         DEFINED  1,2,6                      277,609
TOWNEBANK PORTSMOUTH COM          89214P10      5,443     388,804 SH         DEFINED  1,2                        388,804
TOYOTA MOTOR CORP    SP ADR REP   89233130      3,008      39,823 SH         DEFINED  1,2                         39,823
TRACTOR SUPPLY CO    COM          89235610     53,963   1,305,984 SH         DEFINED  1,2,5,6                  1,305,984
TRADESTATION GROUP I COM          89267P10      5,486     648,459 SH         DEFINED  1,2,5,6                    648,459
TRANS WORLD ENTMT CO COM          89336Q10         15      12,640 SH         DEFINED  1                           12,640
TRANS1 INC           COM          89385X10        930     149,219 SH         DEFINED  1,2                        149,219
TRANSACT TECHNOLOGIE COM          89291810         57      11,469 SH         DEFINED  1                           11,469
TRANSATLANTIC HLDGS  COM          89352110     18,233     420,794 SH         DEFINED  1,2,5,6,7,8,10,12          420,794
TRANSCEND SERVICES I COM NEW      89392920        826      52,138 SH         DEFINED  1,2                         52,138
TRANSDIGM GROUP INC  COM          89364110     14,061     388,415 SH         DEFINED  1,2,5,6,10                 388,415
TRANSMONTAIGNE PARTN COM UNIT L   89376V10        275      13,109 SH         DEFINED  1,2                         13,109
TRANSOCEAN INC       NOTE 1.62    893830AU        473     500,000 SH         DEFINED  2                          500,000
TRANSOCEAN INC       NOTE 1.50    893830AV      3,390   3,700,000 SH         DEFINED  1,2                      3,700,000
TRANSOCEAN INC       NOTE 1.50    893830AW        441     500,000 SH         DEFINED  2                          500,000
TRANSOCEAN LTD       REG SHS      H8817H10    129,468   1,742,743 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,742,743
TRANSWITCH CORP      COM          89406510         50     101,210 SH         DEFINED  1                          101,210
TRAVELCENTERS OF AME COM          89417410         58      26,524 SH         DEFINED  1,2                         26,524
TRAVELERS COMPANIES  COM          89417E10  1,143,308  27,858,378 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,858,378
TRAVELZOO INC        COM          89421Q10        538      49,115 SH         DEFINED  1,2                         49,115
TRC COS INC          COM          87262510         59      14,676 SH         DEFINED  1                           14,676
TREDEGAR CORP        COM          89465010      9,380     704,234 SH         DEFINED  1,2,5                      704,234
TREE COM INC         COM          89467510      1,053     109,674 SH         DEFINED  1,2,6,8                    109,674
TREEHOUSE FOODS INC  COM          89469A10     18,401     639,589 SH         DEFINED  1,2,5,6                    639,589
TREX INC             COM          89531P10      2,632     196,828 SH         DEFINED  1,2                        196,828
TRI VY CORP          COM          89573510         28      27,112 SH         DEFINED  1,5                         27,112
TRIAD GTY INC        COM          89592510         10      14,889 SH         DEFINED  1                           14,889
TRIANGLE CAP CORP    COM          89584810        724      66,339 SH         DEFINED  1,2                         66,339





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
TRICO BANCSHARES     COM          89609510      3,151     203,291 SH         DEFINED  1,2                        203,291
TRICO MARINE SERVICE COM NEW      89610620        119      34,808 SH         DEFINED  1,2                         34,808
TRIDENT MICROSYSTEMS COM          89591910      1,630     936,712 SH         DEFINED  1,2,6                      936,712
TRIMAS CORP          COM NEW      89621520        678     201,040 SH         DEFINED  1,2                        201,040
TRIMBLE NAVIGATION L COM          89623910     46,035   2,345,158 SH         DEFINED  1,2,5,6,10               2,345,158
TRIMERIS INC         COM          89626310         48      23,528 SH         DEFINED  1                           23,528
TRINITY INDS INC     COM          89652210     25,461   1,869,395 SH         DEFINED  1,2,5,6,7,10             1,869,395
TRIPLE-S MGMT CORP   CL B         89674910      4,638     297,504 SH         DEFINED  1,2                        297,504
TRIQUINT SEMICONDUCT COM          89674K10     14,928   2,811,353 SH         DEFINED  1,2,5,6                  2,811,353
TRIUMPH GROUP INC NE COM          89681810     12,596     314,908 SH         DEFINED  1,2,5,6                    314,908
TRUE RELIGION APPARE COM          89784N10      9,890     443,485 SH         DEFINED  1,2,5,6                    443,485
TRUEBLUE INC         COM          89785X10      7,922     943,060 SH         DEFINED  1,2,5,6                    943,060
TRUSTCO BK CORP N Y  COM          89834910      9,026   1,532,490 SH         DEFINED  1,2,5                    1,532,490
TRUSTMARK CORP       COM          89840210     40,253   2,083,483 SH         DEFINED  1,2,5                    2,083,483
TRW AUTOMOTIVE HLDGS COM          87264S10      9,563     846,239 SH         DEFINED  1,2,5,6,8,10               846,239
TSAKOS ENERGY NAVIGA SHS          G9108L10        212      13,139 SH         DEFINED  1,5,6                       13,139
TTM TECHNOLOGIES  IN COM          87305R10      8,353   1,049,325 SH         DEFINED  1,2                      1,049,325
TUESDAY MORNING CORP COM NEW      89903550      1,544     458,138 SH         DEFINED  1,2                        458,138
TUPPERWARE BRANDS CO COM          89989610     38,639   1,484,960 SH         DEFINED  1,2,5                    1,484,960
TURKCELL ILETISIM HI SPON ADR N   90011120        833      60,131 SH         DEFINED  2,6,8                       60,131
TUTOR PERINI CORP    COM          90110910      9,613     553,732 SH         DEFINED  1,2,5,8                    553,732
TW TELECOM INC       COM          87311L10     18,510   1,800,627 SH         DEFINED  1,2,5,6,7,8,10           1,800,627
TWEEN BRANDS INC     COM          90116610      2,706     405,065 SH         DEFINED  1,2                        405,065
TWIN DISC INC        COM          90147610      1,580     232,057 SH         DEFINED  1,2                        232,057
TYCO ELECTRONICS LTD COM NEW      G9144P10     45,116   2,426,893 SH         DEFINED  1,2,5,7,8,10,12,13       2,426,893
TYCO INTERNATIONAL L SHS          H8912810     72,652   2,796,462 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,796,462
TYLER TECHNOLOGIES I COM          90225210      8,529     546,016 SH         DEFINED  1,2,5,6                    546,016
TYSON FOODS INC      CL A         90249410    127,745  10,130,449 SH         DEFINED  1,2,5,6,7,8,10,12,13    10,130,449
U M H PROPERTIES INC COM          90300210        804     100,901 SH         DEFINED  1,2                        100,901
U S AIRWAYS GROUP IN COM          90341W10      4,854   1,997,421 SH         DEFINED  1,2,5,6,8                1,997,421
U S CONCRETE INC     COM          90333L10      1,030     520,218 SH         DEFINED  1,2,5                      520,218
U S ENERGY CORP WYO  COM          91180510         22      11,241 SH         DEFINED  1                           11,241
U S G CORP           COM NEW      90329340     24,070   2,390,231 SH         DEFINED  1,2,5,6,8,10             2,390,231
U S GEOTHERMAL INC   COM          90338S10        981     690,707 SH         DEFINED  1,2                        690,707
U S GLOBAL INVS INC  CL A         90295210      1,395     150,697 SH         DEFINED  1,2                        150,697
U S PHYSICAL THERAPY COM          90337L10      2,530     171,556 SH         DEFINED  1,2,5                      171,556
U STORE IT TR        COM          91274F10      8,388   1,711,781 SH         DEFINED  1,2,3,5,8                1,711,781
U.S. AUTO PARTS NETW COM          90343C10        162      43,100 SH         DEFINED  1,2                         43,100
UAL CORP             NOTE 4.50    902549AH         33     100,000 SH         DEFINED  1                          100,000
UAL CORP             COM NEW      90254980      7,136   2,237,064 SH         DEFINED  1,2,5,6,8                2,237,064
UBS AG               SHS NEW      H8923133     38,312   3,137,761 SH         DEFINED  1                        3,137,761
UCBH HOLDINGS INC    COM          90262T30      6,368   5,053,656 SH         DEFINED  1,2,5                    5,053,656
UDR INC              COM          90265310     50,975   4,934,673 SH         DEFINED  1,2,3,5,6,7,8,10         4,934,673
UGI CORP NEW         COM          90268110     57,638   2,261,191 SH         DEFINED  1,2,5,6,7,8,10           2,261,191
UIL HLDG CORP        COM          90274810     11,393     507,489 SH         DEFINED  1,2,5                      507,489
ULTA SALON COSMETCS  COM          90384S30      4,456     400,746 SH         DEFINED  1,2,5,6                    400,746
ULTIMATE SOFTWARE GR COM          90385D10      9,339     385,290 SH         DEFINED  1,2,5,6,8                  385,290
ULTRA CLEAN HLDGS IN COM          90385V10         43      18,038 SH         DEFINED  1                           18,038
ULTRA PETROLEUM CORP COM          90391410     43,824   1,123,689 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,123,689
ULTRALIFE CORP       COM          90389910      1,193     166,400 SH         DEFINED  1,2                        166,400
ULTRAPETROL BAHAMAS  COM          P9439810        998     225,297 SH         DEFINED  1,2                        225,297
ULTRATECH INC        COM          90403410      4,295     348,868 SH         DEFINED  1,2,6                      348,868
ULURU INC            COM          90403T10          4      24,385 SH         DEFINED  1                           24,385
UMB FINL CORP        COM          90278810     33,987     894,169 SH         DEFINED  1,2,5,6                    894,169





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
UMPQUA HLDGS CORP    COM          90421410     17,921   2,309,407 SH         DEFINED  1,2,5                    2,309,407
UNDER ARMOUR INC     CL A         90431110     19,778     883,716 SH         DEFINED  1,2,5,6                    883,716
UNICA CORP           COM          90458310        784     143,029 SH         DEFINED  1,2                        143,029
UNIFI INC            COM          90467710      1,112     783,045 SH         DEFINED  1,2,5                      783,045
UNIFIRST CORP MASS   COM          90470810     11,441     307,797 SH         DEFINED  1,2,5                      307,797
UNILEVER N V         N Y SHS NE   90478470        476      19,698 SH         DEFINED  1                           19,698
UNILEVER PLC         SPON ADR N   90476770        612      26,058 SH         DEFINED  1                           26,058
UNION BANKSHARES COR COM          90539910      3,074     205,353 SH         DEFINED  1,2                        205,353
UNION DRILLING INC   COM          90653P10      1,770     267,406 SH         DEFINED  1,2                        267,406
UNION PAC CORP       COM          90781810    846,444  16,259,003 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,259,003
UNISOURCE ENERGY COR COM          90920510     24,188     911,367 SH         DEFINED  1,2,5,7                    911,367
UNISYS CORP          COM          90921410      9,863   6,532,001 SH         DEFINED  1,2,5,6                  6,532,001
UNIT CORP            COM          90921810     33,195   1,204,042 SH         DEFINED  1,2,5,6,7,10             1,204,042
UNITED AMER INDEMNIT CL A         90933T10      2,578     538,134 SH         DEFINED  1,2,5                      538,134
UNITED BANKSHARES IN COM          90990710     25,356   1,297,634 SH         DEFINED  1,2,5                    1,297,634
UNITED CAPITAL CORP  COM          90991210        338      18,428 SH         DEFINED  1,2                         18,428
UNITED CMNTY BKS BLA CAP STK      90984P10      4,640     774,597 SH         DEFINED  1,2,5                      774,597
UNITED CMNTY FINL CO COM          90983910         55      50,342 SH         DEFINED  1                           50,342
UNITED FINANCIAL BAN COM          91030T10      3,826     276,859 SH         DEFINED  1,2                        276,859
UNITED FIRE & CAS CO COM          91033110      6,349     370,221 SH         DEFINED  1,2,5                      370,221
UNITED MICROELECTRON SPON ADR N   91087340      6,801   2,576,263 SH         DEFINED  1,2,6,8                  2,576,263
UNITED NAT FOODS INC COM          91116310     17,746     676,036 SH         DEFINED  1,2,5,6                    676,036
UNITED ONLINE INC    COM          91126810     10,624   1,632,003 SH         DEFINED  1,2,5                    1,632,003
UNITED PANAM FINANCI COM          91130110         41      11,575 SH         DEFINED  1                           11,575
UNITED PARCEL SERVIC CL B         91131210  1,380,115  27,607,819 SH         DEFINED  1,2,5,6,7,8,10,12,13    27,607,819
UNITED RENTALS INC   COM          91136310     10,055   1,549,281 SH         DEFINED  1,2,5,6,7,8              1,549,281
UNITED SEC BANCSHARE SHS          91145910      1,428      65,207 SH         DEFINED  1,2                         65,207
UNITED STATES CELLUL COM          91168410      8,388     218,155 SH         DEFINED  1,2,5,8,10                 218,155
UNITED STATES LIME & COM          91192210        910      21,441 SH         DEFINED  1,2,6                       21,441
UNITED STATES STL CO NOTE 4.00    912909AE      1,309   1,000,000 SH         DEFINED  1,2                      1,000,000
UNITED STATES STL CO COM          91290910    205,826   5,758,983 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,758,983
UNITED STATIONERS IN COM          91300410     16,217     464,938 SH         DEFINED  1,2,5,8                    464,938
UNITED TECHNOLOGIES  COM          91301710  5,087,673  97,915,183 SH         DEFINED  1,2,5,6,7,8,10,12,13    97,915,183
UNITED THERAPEUTICS  COM          91307C10     60,181     722,201 SH         DEFINED  1,2,5,6,8,10               722,201
UNITEDHEALTH GROUP I COM          91324P10  1,016,901  40,708,599 SH         DEFINED  1,2,5,6,7,8,10,12,13    40,708,599
UNITIL CORP          COM          91325910      2,864     138,876 SH         DEFINED  1,2                        138,876
UNITRIN INC          COM          91327510     11,688     972,389 SH         DEFINED  1,2,5,6,10                 972,389
UNIVERSAL AMERICAN C COM          91337710      5,664     649,517 SH         DEFINED  1,2,5                      649,517
UNIVERSAL CORP VA    COM          91345610     19,532     589,905 SH         DEFINED  1,2,5,8                    589,905
UNIVERSAL DISPLAY CO COM          91347P10      3,900     398,773 SH         DEFINED  1,2,5,6                    398,773
UNIVERSAL ELECTRS IN COM          91348310      4,502     223,200 SH         DEFINED  1,2,5,6                    223,200
UNIVERSAL FST PRODS  COM          91354310     35,401   1,069,854 SH         DEFINED  1,2,5                    1,069,854
UNIVERSAL HEALTH RLT SH BEN INT   91359E10     10,097     320,334 SH         DEFINED  1,2,3,5,8                  320,334
UNIVERSAL HLTH SVCS  CL B         91390310     50,959   1,043,174 SH         DEFINED  1,2,5,6,8,10,12          1,043,174
UNIVERSAL INS HLDGS  COM          91359V10        551     109,688 SH         DEFINED  1,2                        109,688
UNIVERSAL STAINLESS  COM          91383710      1,557      95,717 SH         DEFINED  1,2,5                       95,717
UNIVERSAL TECHNICAL  COM          91391510      4,725     316,481 SH         DEFINED  1,2,5,6                    316,481
UNIVERSAL TRAVEL GRO COM NEW      91388Q20        841      75,177 SH         DEFINED  1,2                         75,177
UNIVERSAL TRUCKLOAD  COM          91388P10      1,372      87,664 SH         DEFINED  1,2                         87,664
UNIVEST CORP PA      COM          91527110      4,323     213,367 SH         DEFINED  1,2                        213,367
UNUM GROUP           COM          91529Y10    217,279  13,699,783 SH         DEFINED  1,2,5,6,7,8,10,12,13    13,699,783
UQM TECHNOLOGIES INC COM          90321310         41      15,719 SH         DEFINED  1                           15,719
URANERZ ENERGY CORPO COM          91688T10        644     342,802 SH         DEFINED  1,2                        342,802
URANIUM ENERGY CORP  COM          91689610      1,377     474,832 SH         DEFINED  1,2                        474,832





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
URANIUM RES INC      COM PAR $0   91690150         40      31,070 SH         DEFINED  1                           31,070
URBAN OUTFITTERS INC COM          91704710     79,392   3,800,463 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,800,463
UROLOGIX INC         COM          91727310         18      14,851 SH         DEFINED  1                           14,851
URS CORP NEW         COM          90323610     99,899   2,017,349 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,017,349
URSTADT BIDDLE PPTYS CL A         91728620      5,299     376,327 SH         DEFINED  1,2,3,5,8                  376,327
US BANCORP DEL       COM NEW      90297330  1,264,178  70,545,631 SH         DEFINED  1,2,5,6,7,8,10,12,13    70,545,631
US GOLD CORPORATION  COM PAR $0   91202320      2,793   1,057,949 SH         DEFINED  1,2                      1,057,949
USA MOBILITY INC     COM          90341G10      9,220     722,591 SH         DEFINED  1,2,5,6                    722,591
USA TRUCK INC        COM          90292510        994      73,471 SH         DEFINED  1,2                         73,471
USANA HEALTH SCIENCE COM          90328M10      3,052     102,671 SH         DEFINED  1,2,5,6                    102,671
USEC INC             COM          90333E10      9,783   1,838,990 SH         DEFINED  1,2,5                    1,838,990
UTAH MED PRODS INC   COM          91748810        741      27,741 SH         DEFINED  1,2                         27,741
UTI WORLDWIDE INC    ORD          G8721010      9,073     795,864 SH         DEFINED  1,2,5,10                   795,864
UTSTARCOM INC        COM          91807610      2,878   1,765,731 SH         DEFINED  1,2,5                    1,765,731
V F CORP             COM          91820410    172,245   3,111,933 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,111,933
VAALCO ENERGY INC    COM NEW      91851C20      5,773   1,364,674 SH         DEFINED  1,2                      1,364,674
VAIL RESORTS INC     COM          91879Q10     15,721     586,180 SH         DEFINED  1,2,5,6                    586,180
VALASSIS COMMUNICATI COM          91886610      5,079     831,237 SH         DEFINED  1,2,5                      831,237
VALE S A             ADR          91912E10    230,302  13,063,075 SH         DEFINED  1,2,4,5,6,7             13,063,075
VALE S A             ADR REPSTG   91912E20     10,504     684,324 SH         DEFINED  1,2,5,6,8                  684,324
VALEANT PHARMACEUTIC COM          91911X10     42,818   1,664,763 SH         DEFINED  1,2,5,6,10               1,664,763
VALENCE TECHNOLOGY I COM          91891410      1,139     636,235 SH         DEFINED  1,2,6                      636,235
VALERO ENERGY CORP N COM          91913Y10    355,670  21,058,022 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,058,022
VALHI INC NEW        COM          91890510        561      75,547 SH         DEFINED  1,2,5,10                    75,547
VALIDUS HOLDINGS LTD COM SHS      G9319H10      7,497     341,061 SH         DEFINED  1,2,5,10                   341,061
VALLEY NATL BANCORP  COM          91979410     43,955   3,756,829 SH         DEFINED  1,2,5,6,8,10,12          3,756,829
VALMONT INDS INC     COM          92025310     17,106     237,321 SH         DEFINED  1,2,5,6,10                 237,321
VALSPAR CORP         COM          92035510     45,356   2,013,122 SH         DEFINED  1,2,5,6,8,10             2,013,122
VALUE LINE INC       COM          92043710        460      13,985 SH         DEFINED  1,2                         13,985
VALUECLICK INC       COM          92046N10     26,976   2,564,230 SH         DEFINED  1,2,5,6                  2,564,230
VALUEVISION MEDIA IN CL A         92047K10        136      69,962 SH         DEFINED  1                           69,962
VANDA PHARMACEUTICAL COM          92165910      4,919     417,895 SH         DEFINED  1,2                        417,895
VANGUARD BD INDEX FD TOTAL BND    92193783     83,587   1,075,900 SH         DEFINED  2                        1,075,900
VANGUARD INDEX FDS   REIT ETF     92290855     12,764     411,600 SH         DEFINED  2                          411,600
VANGUARD INTL EQUITY ALLWRLD EX   92204277      9,512     264,895 SH         DEFINED  1                          264,895
VANGUARD INTL EQUITY EMR MKT ET   92204285    114,510   3,598,688 SH         DEFINED  1,2,7                    3,598,688
VANTAGE DRILLING COM ORD SHS      G9320511        383     218,800 SH         DEFINED  1                          218,800
VARIAN INC           COM          92220610     35,633     903,691 SH         DEFINED  1,2,5,6,7,8                903,691
VARIAN MED SYS INC   COM          92220P10    145,239   4,133,146 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,133,146
VARIAN SEMICONDUCTOR COM          92220710     22,790     949,998 SH         DEFINED  1,2,5,6,10                 949,998
VASCO DATA SEC INTL  COM          92230Y10      2,988     408,769 SH         DEFINED  1,2,5,6                    408,769
VASCULAR SOLUTIONS I COM          92231M10      1,303     166,579 SH         DEFINED  1,2                        166,579
VCA ANTECH INC       COM          91819410     48,027   1,798,770 SH         DEFINED  1,2,5,6,10               1,798,770
VECTOR GROUP LTD     COM          92240M10      6,187     432,936 SH         DEFINED  1,2,5                      432,936
VECTREN CORP         COM          92240G10     57,041   2,434,547 SH         DEFINED  1,2,5,6,8,10             2,434,547
VEECO INSTRS INC DEL COM          92241710      5,992     517,030 SH         DEFINED  1,2,5                      517,030
VENOCO INC           COM          92275P30      2,461     320,835 SH         DEFINED  1,2,5,6                    320,835
VENTAS INC           COM          92276F10    233,989   7,836,216 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   7,836,216
VERENIUM CORPORATION COM          92340P10         38      50,563 SH         DEFINED  1                           50,563
VERIFONE HLDGS INC   COM          92342Y10      7,893   1,050,947 SH         DEFINED  1,2,5,6                  1,050,947
VERIGY LTD           SHS          Y9369110      1,016      83,387 SH         DEFINED  1,2,5,6                     83,387
VERISIGN INC         SDCV 3.25    92343EAD        331     500,000 SH         DEFINED  2                          500,000
VERISIGN INC         COM          92343E10    123,385   6,662,248 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,662,248
VERIZON COMMUNICATIO COM          92343V10  3,053,095  99,352,274 SH         DEFINED  1,2,5,6,7,8,10,12,13    99,352,274





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
VERTEX PHARMACEUTICA COM          92532F10    158,538   4,407,517 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,407,517
VERTRO INC           COM          92535G10          5      29,129 SH         DEFINED  1                           29,129
VIACOM INC NEW       CL A         92553P10        311      12,951 SH         DEFINED  1,5,6                       12,951
VIACOM INC NEW       CL B         92553P20    423,455  18,654,400 SH         DEFINED  1,2,5,6,7,8,10,12,13    18,654,400
VIAD CORP            COM NEW      92552R40      8,103     470,549 SH         DEFINED  1,2,5,6                    470,549
VIASAT INC           COM          92552V10     11,843     461,906 SH         DEFINED  1,2,5,6                    461,906
VICAL INC            COM          92560210        885     327,744 SH         DEFINED  1,2                        327,744
VICOR CORP           COM          92581510      2,243     310,690 SH         DEFINED  1,2,5,6                    310,690
VIEWPOINT FINL GROUP COM          92672710      1,941     127,426 SH         DEFINED  1,2,6                      127,426
VIGNETTE CORP        COM NEW      92673440      5,832     443,534 SH         DEFINED  1,2,5,6                    443,534
VILLAGE SUPER MKT IN CL A NEW     92710740      2,997     100,752 SH         DEFINED  1,2                        100,752
VINA CONCHA Y TORO S SPONSORED    92719110        598      16,872 SH         DEFINED  1,2,6                       16,872
VIRAGE LOGIC CORP    COM          92763R10        706     156,911 SH         DEFINED  1,2                        156,911
VIRCO MFG CO         COM          92765110         45      12,730 SH         DEFINED  1                           12,730
VIRGIN MEDIA INC     COM          92769L10     55,894   5,978,020 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,978,020
VIRGIN MOBILE USA IN CL A         92769R10      2,188     544,198 SH         DEFINED  1,2                        544,198
VIRGINIA COMM BANCOR COM          92778Q10         69      30,185 SH         DEFINED  1                           30,185
VIROPHARMA INC       COM          92824110     12,066   2,034,718 SH         DEFINED  1,2,5,6,8                2,034,718
VIRTUAL RADIOLOGIC C COM          92826B10        763      84,542 SH         DEFINED  1,2                         84,542
VIRTUS INVT PARTNERS COM          92828Q10      1,519     103,400 SH         DEFINED  1,2,5                      103,400
VIRTUSA CORP         COM          92827P10      1,107     137,821 SH         DEFINED  1,2                        137,821
VISA INC             COM CL A     92826C83    406,558   6,530,003 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,530,003
VISHAY INTERTECHNOLO COM          92829810     38,512   5,671,871 SH         DEFINED  1,2,5,6,7,8,10           5,671,871
VISTA GOLD CORP      COM NEW      92792630         32      18,500 SH         DEFINED  1                           18,500
VISTAPRINT LIMITED   SHS          G9376220     27,000     633,059 SH         DEFINED  1,2,5                      633,059
VITAL IMAGES INC     COM          92846N10      2,514     221,468 SH         DEFINED  1,2,5,6                    221,468
VIVO PARTICIPACOES S SPON ADR P   92855S20        206      10,897 SH         DEFINED  1,2,6                       10,897
VIVUS INC            COM          92855110      7,340   1,207,279 SH         DEFINED  1,2,5,6                  1,207,279
VMWARE INC           CL A COM     92856340     19,864     728,426 SH         DEFINED  1,2,5,6,7,8,10,12,13       728,426
VOCUS INC            COM          92858J10      4,626     233,857 SH         DEFINED  1,2,5,6                    233,857
VODAFONE GROUP PLC N SPONS ADR    92857W20      5,484     281,356 SH         DEFINED  1,2                        281,356
VOLCANO CORPORATION  COM          92864510      9,923     709,824 SH         DEFINED  1,2,5,6                    709,824
VOLCOM INC           COM          92864N10      3,278     262,202 SH         DEFINED  1,2,5,6                    262,202
VOLT INFORMATION SCI COM          92870310      1,491     237,840 SH         DEFINED  1,2,5,8                    237,840
VOLTERRA SEMICONDUCT COM          92870810      4,870     370,651 SH         DEFINED  1,2,6                      370,651
VONAGE HLDGS CORP    COM          92886T20         31      80,426 SH         DEFINED  1,2,6                       80,426
VORNADO RLTY TR      DBCV 2.85    929042AC      2,132   2,450,000 SH         DEFINED  1,2                      2,450,000
VORNADO RLTY TR      SH BEN INT   92904210    359,699   7,987,995 SH         DEFINED  1,2,3,5,6,7,8,10,12,13   7,987,995
VOTORANTIM CELULOSE  SPONSORED    92906P10        761      71,079 SH         DEFINED  1,2,7                       71,079
VSE CORP             COM          91828410      1,472      56,276 SH         DEFINED  1,2                         56,276
VULCAN MATLS CO      COM          92916010    171,774   3,985,466 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,985,466
W & T OFFSHORE INC   COM          92922P10      5,888     604,501 SH         DEFINED  1,2,5,6                    604,501
W P CAREY & CO LLC   COM          92930Y10        861      34,486 SH         DEFINED  1,2                         34,486
WABASH NATL CORP     COM          92956610         80     113,838 SH         DEFINED  1,2                        113,838
WABCO HLDGS INC      COM          92927K10     13,442     759,418 SH         DEFINED  1,2,5,6,8,10,12            759,418
WABTEC CORP          COM          92974010     29,998     932,490 SH         DEFINED  1,2,5,6,10                 932,490
WADDELL & REED FINL  CL A         93005910     43,955   1,666,874 SH         DEFINED  1,2,5,6,10               1,666,874
WAL MART STORES INC  COM          93114210  3,925,158  81,031,332 SH         DEFINED  1,2,5,6,7,8,10,12,13    81,031,332
WALGREEN CO          COM          93142210    937,273  31,880,037 SH         DEFINED  1,2,5,6,7,8,10,12,13    31,880,037
WALTER ENERGY INC    COM          93317Q10     24,273     669,778 SH         DEFINED  1,2,5,6,10                 669,778
WALTER INVT MGMT COR COM          93317W10      4,048     304,800 SH         DEFINED  1,2,5,6                    304,800
WARNACO GROUP INC    COM NEW      93439040     37,477   1,156,683 SH         DEFINED  1,2,5,6                  1,156,683
WARNER CHILCOTT LIMI COM CL A     G9435N10     18,322   1,393,331 SH         DEFINED  1,2,5,7,8,10,12          1,393,331
WARNER MUSIC GROUP C COM          93455010      4,882     834,583 SH         DEFINED  1,2,5,6,7,8,10             834,583





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
WARREN RES INC       COM          93564A10      2,011     820,736 SH         DEFINED  1,2,5,6                    820,736
WASHINGTON BKG CO OA COM          93730310        855      90,808 SH         DEFINED  1,2                         90,808
WASHINGTON FED INC   COM          93882410     23,442   1,803,264 SH         DEFINED  1,2,5,6,10               1,803,264
WASHINGTON POST CO   CL B         93964010     64,962     184,456 SH         DEFINED  1,2,5,6,7,8,10,12,13       184,456
WASHINGTON REAL ESTA SH BEN INT   93965310     39,931   1,785,040 SH         DEFINED  1,2,3,5,8                1,785,040
WASHINGTON TR BANCOR COM          94061010      3,677     206,225 SH         DEFINED  1,2,5                      206,225
WASTE CONNECTIONS IN COM          94105310     40,289   1,554,941 SH         DEFINED  1,2,5,6,10               1,554,941
WASTE MGMT INC DEL   COM          94106L10    574,434  20,398,935 SH         DEFINED  1,2,5,6,7,8,10,12,13    20,398,935
WASTE SERVICES INC D COM NEW      94107520      2,377     458,848 SH         DEFINED  1,2,6                      458,848
WATERS CORP          COM          94184810    163,741   3,181,286 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,181,286
WATERSTONE FINANCIAL COM          94188810        375     126,361 SH         DEFINED  1,2,5                      126,361
WATSCO INC           COM          94262220     19,370     395,881 SH         DEFINED  1,2,5                      395,881
WATSON PHARMACEUTICA DBCV 1.75    942683AC      1,085   1,100,000 SH         DEFINED  1,2                      1,100,000
WATSON PHARMACEUTICA COM          94268310    123,553   3,667,352 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,667,352
WATSON WYATT WORLDWI CL A         94271210     45,127   1,202,424 SH         DEFINED  1,2,5,6,7                1,202,424
WATTS WATER TECHNOLO CL A         94274910     12,265     569,385 SH         DEFINED  1,2,5                      569,385
WAUSAU PAPER CORP    COM          94331510      5,740     854,124 SH         DEFINED  1,2,5                      854,124
WAVE SYSTEMS CORP    COM NEW      94352630         20      18,074 SH         DEFINED  1                           18,074
WCA WASTE CORP       COM          92926K10         48      12,600 SH         DEFINED  1                           12,600
WD-40 CO             COM          92923610      7,598     261,994 SH         DEFINED  1,2,5                      261,994
WEATHERFORD INTERNAT REG          H2701310     70,929   3,626,211 SH         DEFINED  1,2,5,6,7,8,10,12,13     3,626,211
WEB COM GROUP INC    COM          94733A10      2,592     460,446 SH         DEFINED  1,2                        460,446
WEBMD HEALTH CORP    CL A         94770V10      2,282      76,283 SH         DEFINED  1,2,6,10                    76,283
WEBMEDIABRANDS INC   COM          94770W10         14      25,152 SH         DEFINED  1                           25,152
WEBSENSE INC         COM          94768410     13,998     784,648 SH         DEFINED  1,2,5,6                    784,648
WEBSTER FINL CORP CO COM          94789010     18,074   2,245,233 SH         DEFINED  1,2,5,6                  2,245,233
WEIGHT WATCHERS INTL COM          94862610      9,936     385,584 SH         DEFINED  1,2,5,6,8,10,12            385,584
WEINGARTEN RLTY INVS SH BEN INT   94874110     55,222   3,805,806 SH         DEFINED  1,2,3,5,6,8,10           3,805,806
WEIS MKTS INC        COM          94884910      5,638     168,185 SH         DEFINED  1,2,5                      168,185
WELLCARE HEALTH PLAN COM          94946T10     19,687   1,064,746 SH         DEFINED  1,2,5,6                  1,064,746
WELLPOINT INC        COM          94973V10    822,576  16,163,803 SH         DEFINED  1,2,5,6,7,8,10,12,13    16,163,803
WELLS FARGO & CO NEW COM          94974610  4,105,501 169,229,208 SH         DEFINED  1,2,5,6,7,8,10,12,13   169,229,208
WELLS FARGO & CO NEW PERP PFD C   94974680      2,080       2,650 SH         DEFINED  1,2                          2,650
WENDYS ARBYS GROUP I COM          95058710     33,043   8,260,631 SH         DEFINED  1,2,5,6,8,10,12          8,260,631
WERNER ENTERPRISES I COM          95075510     26,217   1,446,853 SH         DEFINED  1,2,5,8                  1,446,853
WESBANCO INC         COM          95081010      7,375     507,189 SH         DEFINED  1,2,5                      507,189
WESCO FINL CORP      COM          95081710      5,110      17,559 SH         DEFINED  1,2,5,10,12                 17,559
WESCO INTL INC       COM          95082P10     17,633     704,208 SH         DEFINED  1,2,5,6,8,10               704,208
WEST BANCORPORATION  CAP STK      95123P10      1,159     229,087 SH         DEFINED  1,2                        229,087
WEST COAST BANCORP O COM          95214510         66      32,110 SH         DEFINED  1,2                         32,110
WEST MARINE INC      COM          95423510        769     139,549 SH         DEFINED  1,2                        139,549
WEST PHARMACEUTICAL  COM          95530610     19,794     567,981 SH         DEFINED  1,2,5,6                    567,981
WESTAMERICA BANCORPO COM          95709010     45,112     909,337 SH         DEFINED  1,2,5                      909,337
WESTAR ENERGY INC    COM          95709T10     41,429   2,207,217 SH         DEFINED  1,2,5,6,8,10             2,207,217
WESTELL TECHNOLOGIES CL A         95754110         30      51,412 SH         DEFINED  1                           51,412
WESTERN ALLIANCE BAN COM          95763810      4,396     642,699 SH         DEFINED  1,2,5                      642,699
WESTERN DIGITAL CORP COM          95810210    243,943   9,205,394 SH         DEFINED  1,2,5,6,7,8,10,12,13     9,205,394
WESTERN GAS PARTNERS COM UNIT L   95825410        279      18,015 SH         DEFINED  1,2                         18,015
WESTERN REFNG INC    COM          95931910      6,051     857,054 SH         DEFINED  1,2,5,6                    857,054
WESTERN UN CO        COM          95980210    393,324  23,983,162 SH         DEFINED  1,2,5,6,7,8,10,12,13    23,983,162
WESTFIELD FINANCIAL  COM          96008P10      3,911     431,625 SH         DEFINED  1,2                        431,625
WESTLAKE CHEM CORP   COM          96041310      5,897     289,198 SH         DEFINED  1,2,5                      289,198
WESTMORELAND COAL CO COM          96087810      1,552     191,590 SH         DEFINED  1,2,5                      191,590
WESTPAC BKG CORP     SPONSORED    96121430      1,687      20,927 SH         DEFINED  1                           20,927





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
WESTWOOD HLDGS GROUP COM          96176510      4,137      98,951 SH         DEFINED  1,2,6                       98,951
WET SEAL INC         CL A         96184010      4,978   1,621,504 SH         DEFINED  1,2,6                    1,621,504
WEYCO GROUP INC      COM          96214910      2,204      95,452 SH         DEFINED  1,2                         95,452
WEYERHAEUSER CO      COM          96216610    218,003   7,164,092 SH         DEFINED  1,2,5,6,7,8,10,12,13     7,164,092
WGL HLDGS INC        COM          92924F10     80,713   2,520,708 SH         DEFINED  1,2,5,8                  2,520,708
WHIRLPOOL CORP       COM          96332010    100,989   2,372,862 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,372,862
WHITE ELECTR DESIGNS COM          96380110        954     205,075 SH         DEFINED  1,2,5                      205,075
WHITE MTNS INS GROUP COM          G9618E10     21,863      95,509 SH         DEFINED  1,2,5,6,7,8,10,12,13        95,509
WHITING PETE CORP NE COM          96638710     29,466     838,067 SH         DEFINED  1,2,5,6,10                 838,067
WHITNEY HLDG CORP    COM          96661210     16,957   1,851,179 SH         DEFINED  1,2,5,6,10               1,851,179
WHOLE FOODS MKT INC  COM          96683710     99,753   5,255,709 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,255,709
WILBER CORP          COM          96779710        608      54,815 SH         DEFINED  1,2                         54,815
WILEY JOHN & SONS IN CL A         96822320     30,417     914,795 SH         DEFINED  1,2,5,6,7,8,10             914,795
WILLBROS GROUP INC D COM          96920310      7,965     636,679 SH         DEFINED  1,2,5,6                    636,679
WILLIAMS CLAYTON ENE COM          96949010      2,157     114,289 SH         DEFINED  1,2,5,6                    114,289
WILLIAMS COS INC DEL COM          96945710    357,204  22,883,033 SH         DEFINED  1,2,5,6,7,8,10,12,13    22,883,033
WILLIAMS PARTNERS L  COM UNIT L   96950F10        720      39,893 SH         DEFINED  1,2                         39,893
WILLIAMS PIPELINE PA COM UNIT L   96950K10        249      13,768 SH         DEFINED  1,2                         13,768
WILLIAMS SONOMA INC  COM          96990410     43,719   3,683,150 SH         DEFINED  1,2,5,6,8,10             3,683,150
WILLIS GROUP HOLDING SHS          G9665510     26,174   1,017,256 SH         DEFINED  1,2,5,6,7,8,10,12,13     1,017,256
WILLIS LEASE FINANCE COM          97064610        635      48,379 SH         DEFINED  1,2                         48,379
WILMINGTON TRUST COR COM          97180710     42,617   3,119,830 SH         DEFINED  1,2,5,6,10               3,119,830
WILSHIRE BANCORP INC COM          97186T10      2,559     444,990 SH         DEFINED  1,2,5                      444,990
WILSHIRE ENTERPRISES COM          97188910         28      17,686 SH         DEFINED  1                           17,686
WIMM BILL DANN FOODS SPONSORED    97263M10      2,408      43,826 SH         DEFINED  1,2,5,6,7,8,10              43,826
WIND RIVER SYSTEMS I COM          97314910     18,118   1,581,014 SH         DEFINED  1,2,5,6                  1,581,014
WINDSTREAM CORP      COM          97381W10    120,881  14,459,472 SH         DEFINED  1,2,5,6,7,8,10,12,13    14,459,472
WINN DIXIE STORES IN COM NEW      97428030     11,261     897,977 SH         DEFINED  1,2,5,6,8                  897,977
WINNEBAGO INDS INC   COM          97463710      3,470     467,035 SH         DEFINED  1,2,5                      467,035
WINTHROP RLTY TR     SH BEN INT   97639130      1,522     170,480 SH         DEFINED  1,2,3,5                    170,480
WINTRUST FINANCIAL C COM          97650W10     17,533   1,090,376 SH         DEFINED  1,2,5                    1,090,376
WIPRO LTD            SPON ADR 1   97651M10      6,450     546,638 SH         DEFINED  1,2,5,6,8                  546,638
WIRELESS TELECOM GRO COM          97652410          6      10,100 SH         DEFINED  1                           10,100
WISCONSIN ENERGY COR COM          97665710    171,791   4,219,884 SH         DEFINED  1,2,5,6,7,8,10,12,13     4,219,884
WMS INDS INC         COM          92929710     38,982   1,237,119 SH         DEFINED  1,2,5,6,7,10             1,237,119
WOLVERINE WORLD WIDE COM          97809710     17,254     782,148 SH         DEFINED  1,2,5                      782,148
WONDER AUTO TECHNOLO COM          97816610      1,604     158,364 SH         DEFINED  1,2                        158,364
WOODWARD GOVERNOR CO COM          98074510     28,314   1,429,993 SH         DEFINED  1,2,5,6                  1,429,993
WOORI FIN HLDGS CO L ADR          98106310        203       8,447 SH         DEFINED  1,6                          8,447
WORLD ACCEP CORP DEL COM          98141910      7,104     356,814 SH         DEFINED  1,2,5,6                    356,814
WORLD FUEL SVCS CORP COM          98147510     65,005   1,576,638 SH         DEFINED  1,2,5,6,7,8              1,576,638
WORLD WRESTLING ENTM CL A         98156Q10      3,600     286,662 SH         DEFINED  1,2                        286,662
WORTHINGTON INDS INC COM          98181110     48,365   3,781,496 SH         DEFINED  1,2,5,6                  3,781,496
WPT ENTERPRISES INC  COM          98211W10         30      25,291 SH         DEFINED  1                           25,291
WRIGHT EXPRESS CORP  COM          98233Q10     28,002   1,099,410 SH         DEFINED  1,2,5,6,7,8              1,099,410
WRIGHT MED GROUP INC COM          98235T10      9,470     582,395 SH         DEFINED  1,2,5,6                    582,395
WSFS FINL CORP       COM          92932810      2,923     107,024 SH         DEFINED  1,2,5                      107,024
WYETH                DBCV         983024AD        749     750,000 SH         DEFINED  1,2                        750,000
WYETH                COM          98302410  1,944,091  42,830,832 SH         DEFINED  1,2,5,6,7,8,10,12,13    42,830,832
WYNDHAM WORLDWIDE CO COM          98310W10     63,644   5,251,129 SH         DEFINED  1,2,5,6,8,10,12,13       5,251,129
WYNN RESORTS LTD     COM          98313410     76,325   2,162,176 SH         DEFINED  1,2,5,6,7,8,10,12,13     2,162,176
XCEL ENERGY INC      COM          98389B10    313,796  17,044,878 SH         DEFINED  1,2,5,6,7,8,10,12,13    17,044,878
XENOPORT INC         COM          98411C10     10,936     472,009 SH         DEFINED  1,2,5,6                    472,009
XERIUM TECHNOLOGIES  COM          98416J10         27      24,800 SH         DEFINED  1                           24,800





                         STATE STREET CORPORATION (STT)
                 FORM 13F INFORMATION TABLE AS OF JUNE 30, 2009



                       TITLE OF              VALUE     SHARES OR  SH/ PUT/ INVESTMENT                             VOTING AUTHORITY
   NAME OF ISSUER       CLASS       CUSIP   (x1000)     PRN AMT   PRN CALL DISCRETION OTHER MANAGERS             SOLE    SHARED NONE
-------------------- ------------ -------- ---------- ----------- --- ---- ---------- ---------------------- ----------- ------ ----
                                                                                               
XEROX CORP           COM          98412110    395,745  61,071,737 SH         DEFINED  1,2,5,6,7,8,10,12,13    61,071,737
XILINX INC           DBCV 3.12    983919AD        183     250,000 SH         DEFINED  1                          250,000
XILINX INC           COM          98391910    184,127   8,999,368 SH         DEFINED  1,2,5,6,7,8,10,12,13     8,999,368
XL CAP LTD           CL A         G9825510    120,870  10,547,139 SH         DEFINED  1,2,5,6,8,10,12,13      10,547,139
XOMA LTD             ORD          G9825R10         87     106,278 SH         DEFINED  1                          106,278
X-RITE INC           COM          98385710        419     279,055 SH         DEFINED  1,2                        279,055
XTO ENERGY INC       COM          98385X10    805,971  21,131,916 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,131,916
YADKIN VALLEY FINANC COM          98431410      1,366     197,747 SH         DEFINED  1,2                        197,747
YAHOO INC            COM          98433210    673,049  42,978,862 SH         DEFINED  1,2,5,6,7,8,10,12,13    42,978,862
YAMANA GOLD INC      COM          98462Y10        880      99,602 SH         DEFINED  1,7                         99,602
YANZHOU COAL MNG CO  SPON ADR H   98484610        228      16,591 SH         DEFINED  1,6                         16,591
YORK WTR CO          COM          98718410      2,153     140,340 SH         DEFINED  1,2                        140,340
YOUBET COM INC       COM          98741310        881     266,937 SH         DEFINED  1,2                        266,937
YOUNG INNOVATIONS IN COM          98752010      1,282      58,759 SH         DEFINED  1,2                         58,759
YPF SOCIEDAD ANONIMA SPON ADR C   98424510        227       7,442 SH         DEFINED  8                            7,442
YRC WORLDWIDE INC    COM          98424910      1,667     963,345 SH         DEFINED  1,2,5,6,8                  963,345
YUM BRANDS INC       COM          98849810    701,679  21,046,160 SH         DEFINED  1,2,5,6,7,8,10,12,13    21,046,160
ZALE CORP NEW        COM          98885810      2,017     586,368 SH         DEFINED  1,2,5                      586,368
ZAPATA CORP          COM PAR $    98907060        617      90,553 SH         DEFINED  1,2                         90,553
ZAREBA SYSTEMS INC   COM          98913110         34      16,900 SH         DEFINED  1                           16,900
ZEBRA TECHNOLOGIES C CL A         98920710     29,565   1,249,582 SH         DEFINED  1,2,5,6,8,10,12          1,249,582
ZENITH NATL INS CORP COM          98939010     14,734     677,753 SH         DEFINED  1,2,5,8                    677,753
ZEP INC              COM          98944B10      3,947     327,535 SH         DEFINED  1,2,5,6                    327,535
ZHONE TECHNOLOGIES I COM          98950P10         32      99,384 SH         DEFINED  1                           99,384
ZHONGPIN INC         COM          98952K10      2,256     217,724 SH         DEFINED  1,2                        217,724
ZIMMER HLDGS INC     COM          98956P10    292,293   6,861,344 SH         DEFINED  1,2,5,6,7,8,10,12,13     6,861,344
ZION OIL & GAS INC   COM          98969610        852      80,261 SH         DEFINED  1,2                         80,261
ZIONS BANCORPORATION COM          98970110     61,266   5,299,816 SH         DEFINED  1,2,5,6,7,8,10,12,13     5,299,816
ZIX CORP             COM          98974P10        818     545,539 SH         DEFINED  1,2                        545,539
ZOLL MED CORP        COM          98992210      7,109     367,590 SH         DEFINED  1,2,5,6                    367,590
ZOLTEK COS INC       COM          98975W10      3,986     410,083 SH         DEFINED  1,2,5,6                    410,083
ZORAN CORP           COM          98975F10      9,581     878,985 SH         DEFINED  1,2,5,6                    878,985
ZUMIEZ INC           COM          98981710      2,505     312,722 SH         DEFINED  1,2,5,6                    312,722
ZYGO CORP            COM          98985510        983     210,915 SH         DEFINED  1,2                        210,915
ZYMOGENETICS INC     COM          98985T10      2,298     499,589 SH         DEFINED  1,2,5,6                    499,589

                     TOTAL MARKET VALUE       359,568,212