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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2007

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:      INVESCO PLC
Address:   30 Finsbury Square
           London EC2A 1AG England

Form 13F File Number 28-11246

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

Person Signing this Report on Behalf of Reporting Manager:

Name:    Lisa Brinkley
Title:   Global Compliance Director
Phone:   404-479-2926

Signature, Place, and Date of Signing:


/s/ Lisa Brinkley                          Atlanta, GA            11/13/2007
-------------------------------------   -------------------   ------------------
Signature]                                [City, State]             [Date]

Report Type (Check only one.):

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

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

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



                              FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                  24
Form 13F Information Table Entry Total:         12,977
Form 13F Information Table Value Total:       $129,637
                                           (thousands)

List of Other Included Managers:

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

No.  Form 13F File Number   Name

 A   028-11246              INVESCO PLC
 1   028-11484              AIM Advisors, Inc.
 2   028-1983               AIM Capital Management, Inc.
 3   028-6137               AIM Funds Management, Inc.
 4                          AIM Private Asset Management, Inc.
 5                          AMVESCAP National Trust Company
 6   028-01417              Atlantic Trust Company, N.A.
 7                          INVESCO Hong Kong Limited
 8                          INVESCO Asset Management Deutschland GmbH
 9   028-05683              INVESCO Asset Management Limited
10                          INVESCO Asset Management, S.A.
11                          INVESCO Asset Management Osterreich GmbH
12   028-05685              INVESCO Global Asset Management (N.A.), Inc.
13                          INVESCO GT Management Company S.A.
14                          INVESCO Management S.A.
15   028-00255              INVESCO Institutional (N.A.), Inc.
16                          INVESCO Maximum Income Management S.A.
17                          INVESCO Private Capital, Inc.
18                          INVESCO Senior Secured Management, Inc.
19                          INVESCO Taiwan Limited
20                          INVESCO Asset Management (Japan) Limited
21                          INVESCO Asset Management Ireland Limited
22                          INVESCO Kapitalanlagegesellschaft GmbH
23   028-06467              Stein Roe Investment Counsel, Inc.
24   028-11936              PowerShares Capital Management, LLC



INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AAON INC                COMMON  000360206 $        259.00     13,123   SH         DEFINED         24     13,123       --          --
AAON INC                COMMON  000360206 $        222.00     11,250   SH         DEFINED          6         --       --      11,250
AAR CORP                COMMON  000361105 $        574.00     18,932   SH         DEFINED         24     18,932       --          --
ABB LTD-SPON ADR        COMMON  000375204 $        969.00     36,959   SH         DEFINED          4     36,959       --          --
ABB LTD-SPON ADR        COMMON  000375204 $         78.00      2,970   SH         DEFINED          6      1,570       --       1,400
ABX AIR INC             COMMON  00080S101 $        136.00     19,165   SH         DEFINED         24     19,165       --          --
ACCO BRANDS CORP        COMMON  00081T108 $          1.00         23   SH         DEFINED         23         --       --          23
ACCO BRANDS CORP        COMMON  00081T108 $        314.00     14,002   SH         DEFINED         24     14,002       --          --
AC MOORE ARTS &
   CRAFTS INC           COMMON  00086T103 $        405.00     25,710   SH         DEFINED         24     25,710       --          --
ADC TELECOMMUNICA-
   TIONS INC            COMMON  000886309 $     22,608.00  1,152,880   SH         DEFINED         15    621,080       --     528,100
ADC TELECOMMUNICA-
   TIONS INC            COMMON  000886309 $        308.00     15,700   SH         DEFINED       15,8         --       --      15,700
ADC TELECOMMUNICA-
   TIONS INC            COMMON  000886309 $          9.00        457   SH         DEFINED         23         --       --         457
ADC TELECOMMUNICA-
   TIONS INC            COMMON  000886309 $      3,216.00    164,002   SH         DEFINED         24    164,002       --          --
ADC TELECOMMUNICA-
   TIONS INC            COMMON  000886309 $        951.00     48,500   SH         DEFINED       5,15     48,500       --          --
ABN AMRO HOLDING NV
   ADR                  COMMON  000937102 $         45.00        854   SH         DEFINED         23         --       --         854
ABN AMRO HOLDING NV
   ADR                  COMMON  000937102 $     16,937.00    322,602   SH         DEFINED         24    322,602       --          --
ABM INDUSTRIES INC      COMMON  000957100 $        301.00     15,050   SH         DEFINED         15     10,350       --       4,700
ABM INDUSTRIES INC      COMMON  000957100 $        354.00     17,693   SH         DEFINED         24     17,693       --          --
ABM INDUSTRIES INC      COMMON  000957100 $         74.00      3,700   SH         DEFINED       5,15      3,700       --          --
AEP INDUSTRIES INC      COMMON  001031103 $         21.00        505   SH         DEFINED         24        505       --          --
AFC ENTERPRISES         COMMON  00104Q107 $      2,581.00    171,500   SH         DEFINED         15    113,300       --      58,200
AFC ENTERPRISES         COMMON  00104Q107 $        167.00     11,128   SH         DEFINED         24     11,128       --          --
AFC ENTERPRISES         COMMON  00104Q107 $        388.00     25,800   SH         DEFINED       5,15     25,800       --          --
AFC ENTERPRISES         COMMON  00104Q107 $         80.00      5,310   SH         DEFINED          6         --       --       5,310
AFLAC INC               COMMON  001055102 $        484.00      8,479   SH         DEFINED       1,15      8,479       --          --
AFLAC INC               COMMON  001055102 $        205.00      3,600   SH         DEFINED         15      1,500       --       2,100
AFLAC INC               COMMON  001055102 $        143.00      2,500   SH         DEFINED       15,8         --       --       2,500
AFLAC INC               COMMON  001055102 $         12.00        219   SH         DEFINED         23         26       --         193
AFLAC INC               COMMON  001055102 $      8,320.00    145,862   SH         DEFINED         24    145,862       --          --
AFLAC INC               COMMON  001055102 $      1,014.00     17,784   SH         DEFINED          6     10,700       --       7,084
AFLAC INC               COMMON  001055102 $        528.00      9,262   SH         DEFINED          8      9,262       --          --
AGCO CORP               COMMON  001084102 $      4,072.00     80,200   SH         DEFINED       1,15     80,200       --          --
AGCO CORP               COMMON  001084102 $     49,469.00    974,383   SH         DEFINED         15    610,783       --     355,800
AGCO CORP               COMMON  001084102 $      1,102.00     21,700   SH         DEFINED       15,8         --       --      21,700
AGCO CORP               COMMON  001084102 $        880.00     17,328   SH         DEFINED         21     17,328       --          --
AGCO CORP               COMMON  001084102 $      3,212.00     63,267   SH         DEFINED         24     63,267       --          --
AGCO CORP               COMMON  001084102 $        843.00     16,600   SH         DEFINED       5,15     16,600       --          --
AGCO CORP               COMMON  001084102 $        225.00      4,424   SH         DEFINED          8      4,424       --          --
AGCO CORP               COMMON  001084102 $        353.00      6,949   SH         DEFINED          9      6,949       --          --
AGL RESOURCES INC       COMMON  001204106 $     12,282.00    310,000   SH         DEFINED          1    310,000       --          --
AGL RESOURCES INC       COMMON  001204106 $      1,734.00     43,771   SH         DEFINED         24     43,771       --          --
AGL RESOURCES INC       COMMON  001204106 $        163.00      4,115   SH         DEFINED          6      1,000       --       3,115
AES CORPORATION         COMMON  00130H105 $        233.00     11,638   SH         DEFINED       1,15     11,638       --          --
AES CORPORATION         COMMON  00130H105 $            --          4   SH         DEFINED         23         --       --           4
AES CORPORATION         COMMON  00130H105 $      1,126.00     56,196   SH         DEFINED         24     56,196       --          --
AES CORPORATION         COMMON  00130H105 $         80.00      3,980   SH         DEFINED          6      2,752       --       1,228
AES CORPORATION         COMMON  00130H105 $        183.00      9,131   SH         DEFINED          8      9,131       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $      3,643.00     82,900   SH         DEFINED       1,15     82,900       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $        672.00     15,293   SH         DEFINED         10     15,293       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $         58.00      1,324   SH         DEFINED       11,8      1,324       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $        127.00      2,882   SH         DEFINED         14      2,882       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $     72,014.00  1,638,543   SH         DEFINED         15  1,046,643       --     584,600
AK STEEL HOLDING
   CORP                 COMMON  001547108 $      2,430.00     55,300   SH         DEFINED       15,8         --       --      55,300
AK STEEL HOLDING
   CORP                 COMMON  001547108 $      6,918.00    157,402   SH         DEFINED         24    157,402       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $      1,758.00     40,000   SH         DEFINED       5,15     40,000       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $        594.00     13,525   SH         DEFINED          8     13,525       --          --
AK STEEL HOLDING
   CORP                 COMMON  001547108 $      1,952.00     44,411   SH         DEFINED          9     44,411       --          --
AMB PROPERTY CORP       COMMON  00163T109 $      2,368.00     39,600   SH         DEFINED       1,15     39,600       --          --
AMB PROPERTY CORP       COMMON  00163T109 $     18,413.00    307,860   SH         DEFINED         15    167,060       --     140,800
AMB PROPERTY CORP       COMMON  00163T109 $        413.00      6,900   SH         DEFINED       2,15      6,900       --          --
AMB PROPERTY CORP       COMMON  00163T109 $        472.00      7,890   SH         DEFINED         24      7,890       --          --
AMAG PHARMACEUTICALS
   INC                  COMMON  00163U106 $     27,927.00    488,242   SH         DEFINED          1    488,242       --          --
AMAG PHARMACEUTICALS
   INC                  COMMON  00163U106 $         86.00      1,500   SH         DEFINED         19      1,500       --          --
AMAG PHARMACEUTICALS
   INC                  COMMON  00163U106 $      5,883.00    102,846   SH         DEFINED          2     93,846       --       9,000
AMAG PHARMACEUTICALS
   INC                  COMMON  00163U106 $         17.00        294   SH         DEFINED       20,2         --       --         294




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AMAG PHARMACEUTICALS
   INC                  COMMON  00163U106 $      1,070.00     18,713   SH         DEFINED       21,2         --       --      18,713
AMICAS INC              COMMON  001712108 $          9.00      2,969   SH         DEFINED         24      2,969       --          --
AMN HEALTHCARE
   SERVICE              COMMON  001744101 $     12,377.00    660,800   SH         DEFINED        1,3    660,800       --          --
AMN HEALTHCARE
   SERVICE              COMMON  001744101 $        338.00     18,045   SH         DEFINED         24     18,045       --          --
AMN HEALTHCARE
   SERVICE              COMMON  001744101 $     40,592.00  2,167,200   SH         DEFINED          3  2,167,200       --          --
AMR CORP/DEL            COMMON  001765106 $        375.00     16,834   SH         DEFINED          1     16,834       --          --
AMR CORP/DEL            COMMON  001765106 $         80.00      3,600   SH         DEFINED      11,15      3,600       --          --
AMR CORP/DEL            COMMON  001765106 $     57,420.00  2,576,060   SH         DEFINED         15  1,656,060       --     858,400
AMR CORP/DEL            COMMON  001765106 $      1,340.00     60,100   SH         DEFINED      15,14         --       --      60,100
AMR CORP/DEL            COMMON  001765106 $        758.00     34,000   SH         DEFINED       15,8         --       --      34,000
AMR CORP/DEL            COMMON  001765106 $        577.00     25,902   SH         DEFINED         24     25,902       --          --
AMR CORP/DEL            COMMON  001765106 $        688.00     30,858   SH         DEFINED        3,1     30,858       --          --
AMR CORP/DEL            COMMON  001765106 $      2,352.00    105,500   SH         DEFINED       5,15    105,500       --          --
AMR CORP/DEL            COMMON  001765106 $         50.00      2,229   SH         DEFINED          6         --       --       2,229
AMR CORP/DEL            COMMON  001765106 $        931.00     41,749   SH         DEFINED          8     41,749       --          --
AMR CORP/DEL            COMMON  001765106 $         85.00      3,800   SH         DEFINED          9      3,800       --          --
AMR CORP/DEL            COMMON  001765106 $      2,118.00     95,000   SH         DEFINED       9,15     95,000       --          --
AMR CORP/DEL            COMMON  001765106 $        311.00     13,948   SH         DEFINED        9,2     13,948       --          --
A.S.V. INC              COMMON  001963107 $         27.00      1,918   SH         DEFINED         24      1,918       --          --
AT&T INC                COMMON  00206R102 $    134,500.00  3,178,917   SH         DEFINED          1  3,178,917       --          --
AT&T INC                COMMON  00206R102 $      8,901.00    210,385   SH         DEFINED       1,15    210,385       --          --
AT&T INC                COMMON  00206R102 $      1,155.00     27,300   SH         DEFINED      11,15     27,300       --          --
AT&T INC                COMMON  00206R102 $    119,276.00  2,819,105   SH         DEFINED         15  2,206,705       --     535,800
AT&T INC                COMMON  00206R102 $      2,365.00     55,900   SH         DEFINED      15,14         --       --      55,900
AT&T INC                COMMON  00206R102 $     14,309.00    338,200   SH         DEFINED       15,8         --       --     338,200
AT&T INC                COMMON  00206R102 $        327.00      7,721   SH         DEFINED          2      7,721       --          --
AT&T INC                COMMON  00206R102 $      8,911.00    210,617   SH         DEFINED       21,2    210,617       --          --
AT&T INC                COMMON  00206R102 $         38.00        903   SH         DEFINED         23        256       --         647
AT&T INC                COMMON  00206R102 $     49,546.00  1,171,014   SH         DEFINED         24  1,171,014       --          --
AT&T INC                COMMON  00206R102 $      5,255.00    124,200   SH         DEFINED          3    124,200       --          --
AT&T INC                COMMON  00206R102 $          2.00         44   SH         DEFINED          4         44       --          --
AT&T INC                COMMON  00206R102 $      3,275.00     77,400   SH         DEFINED       5,15     77,400       --          --
AT&T INC                COMMON  00206R102 $     17,137.00    405,036   SH         DEFINED          6    324,996       --      80,040
AT&T INC                COMMON  00206R102 $        656.00     15,502   SH         DEFINED          7     15,502       --          --
AT&T INC                COMMON  00206R102 $      6,120.00    144,652   SH         DEFINED          8    144,652       --          --
AT&T INC                COMMON  00206R102 $     17,335.00    409,711   SH         DEFINED          9    409,711       --          --
AT&T INC                COMMON  00206R102 $      8,077.00    190,900   SH         DEFINED       9,15    190,900       --          --
ATMI INC                COMMON  00207R101 $      7,564.00    254,243   SH         DEFINED          1    254,243       --          --
ATMI INC                COMMON  00207R101 $      5,061.00    170,128   SH         DEFINED         24    170,128       --          --
ATMI INC                COMMON  00207R101 $         16.00        525   SH         DEFINED          6        525       --          --
ATP OIL & GAS
   CORPORATION          COMMON  00208J108 $         40.00        844   SH         DEFINED         24        844       --          --
AU OPTRONICS CORP
   ADR                  COMMON  002255107 $        971.00     57,386   SH         DEFINED       1,12     57,386       --          --
AU OPTRONICS CORP
   ADR                  COMMON  002255107 $      2,418.00    142,880   SH         DEFINED         12     34,714       --     108,165
AU OPTRONICS CORP
   ADR                  COMMON  002255107 $      1,459.00     86,240   SH         DEFINED         15     86,240       --          --
AU OPTRONICS CORP
   ADR                  COMMON  002255107 $        912.00     53,921   SH         DEFINED         24     53,921       --          --
AU OPTRONICS CORP
   ADR                  COMMON  002255107 $      3,792.00    224,122   SH         DEFINED       5,12    224,122       --          --
AVX CORP                COMMON  002444107 $        180.00     11,200   SH         DEFINED         15     11,200       --          --
AVX CORP                COMMON  002444107 $        353.00     21,939   SH         DEFINED         24     21,939       --          --
AVX CORP                COMMON  002444107 $          6.00        366   SH         DEFINED          6         --       --         366
AXT INC                 COMMON  00246W103 $        638.00    103,035   SH         DEFINED         24    103,035       --          --
AZZ INC                 COMMON  002474104 $            --          4   SH         DEFINED         23          4       --          --
AZZ INC                 COMMON  002474104 $        464.00     13,267   SH         DEFINED         24     13,267       --          --
AARON RENTS INC         COMMON  002535201 $        678.00     30,393   SH         DEFINED         24     30,393       --          --
AARON RENTS INC         COMMON  002535201 $        225.00     10,092   SH         DEFINED          6     10,092       --          --
AARON RENTS INC-CL A    COMMON  002535300 $        112.00      5,230   SH         DEFINED          6      5,230       --          --
ABBOTT LABORATORIES     COMMON  002824100 $    152,842.00  2,850,475   SH         DEFINED          1  2,850,475       --          --
ABBOTT LABORATORIES     COMMON  002824100 $      1,439.00     26,830   SH         DEFINED       1,15     26,830       --          --
ABBOTT LABORATORIES     COMMON  002824100 $      4,337.00     80,890   SH         DEFINED         15     54,600       --      20,090
ABBOTT LABORATORIES     COMMON  002824100 $      1,158.00     21,600   SH         DEFINED       15,8         --       --      21,600
ABBOTT LABORATORIES     COMMON  002824100 $        343.00      6,400   SH         DEFINED         19      6,400       --          --
ABBOTT LABORATORIES     COMMON  002824100 $      9,101.00    169,739   SH         DEFINED          2    169,739       --          --
ABBOTT LABORATORIES     COMMON  002824100 $         34.00        640   SH         DEFINED       20,2         --       --         640
ABBOTT LABORATORIES     COMMON  002824100 $      2,254.00     42,039   SH         DEFINED       21,2         --       --      42,039
ABBOTT LABORATORIES     COMMON  002824100 $         40.00        747   SH         DEFINED         23        181       --         566
ABBOTT LABORATORIES     COMMON  002824100 $     11,725.00    218,674   SH         DEFINED         24    218,674       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ABBOTT LABORATORIES     COMMON  002824100 $     22,268.00    415,291   SH         DEFINED          6    351,291       --      64,000
ABBOTT LABORATORIES     COMMON  002824100 $      1,599.00     29,820   SH         DEFINED          8     29,820       --          --
ABBOTT LABORATORIES     COMMON  002824100 $      3,352.00     62,510   SH         DEFINED          9     62,510       --          --
ABBOTT LABORATORIES     COMMON  002824100 $        453.00      8,457   SH         DEFINED        9,2      8,457       --          --
ABER DIAMOND CORP       COMMON  002893105 $      7,841.00    200,000   SH         DEFINED          1    200,000       --          --
ABER DIAMOND CORP       COMMON  002893105 $     74,036.00  1,888,500   SH         DEFINED          3  1,888,500       --          --
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $     91,618.00  1,135,295   SH         DEFINED          1  1,135,295       --          --
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $        121.00      1,504   SH         DEFINED       1,15      1,504       --          --
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $      3,279.00     40,633   SH         DEFINED       14,2         --       --      40,633
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $      1,255.00     15,549   SH         DEFINED          2         --       --      15,549
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $          3.00         35   SH         DEFINED         23         32       --           3
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $        274.00      3,393   SH         DEFINED         24      3,393       --          --
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $      1,945.00     24,101   SH         DEFINED          6     13,775       --      10,326
ABERCROMBIE & FITCH
   CO CL A              COMMON  002896207 $        627.00      7,774   SH         DEFINED          9      7,774       --          --
ABERDEEN ASIA-PAC
   INCOME FD CE         COMMON  003009107 $            --          6   SH         DEFINED         23         --       --           6
ABIGAIL ADAMS NATL
   BANCORP              COMMON  003390101 $         29.00      2,177   SH         DEFINED          6         --       --       2,177
ABIOMED INC             COMMON  003654100 $          2.00        130   SH         DEFINED          6        130       --          --
ABRAXIS BIOSCIENCE
   INC                  COMMON  00383E106 $      8,421.00    368,859   SH         DEFINED         24    368,859       --          --
ACACIA RESEARCH -
   ACACIA TEC           COMMON  003881307 $        265.00     18,041   SH         DEFINED         24     18,041       --          --
ABITIBI-CONSOLIDATED
   INC                  COMMON  003924107 $          8.00      4,730   SH         DEFINED          6      4,370       --         360
ABITIBI-CONSOLIDATED
   INC                  COMMON  003924107 $         22.00     12,602   SH         DEFINED          8     12,602       --          --
ACADIA PHARMACEUTI-
   CALS INC             COMMON  004225108 $     14,663.00    974,266   SH         DEFINED          1    974,266       --          --
ACADIA PHARMACEUTI-
   CALS INC             COMMON  004225108 $         90.00      6,000   SH         DEFINED         19      6,000       --          --
ACADIA PHARMACEUTI-
   CALS INC             COMMON  004225108 $      1,007.00     66,896   SH         DEFINED          2     66,896       --          --
ACADIA PHARMACEUTI-
   CALS INC             COMMON  004225108 $         25.00      1,632   SH         DEFINED       20,2         --       --       1,632
ACADIA PHARMACEUTI-
   CALS INC             COMMON  004225108 $      1,574.00    104,608   SH         DEFINED       21,2         --       --     104,608
ACADIA REALTY TRUST     COMMON  004239109 $        591.00     21,800   SH         DEFINED         15     21,800       --          --
ACADIA REALTY TRUST     COMMON  004239109 $         65.00      2,388   SH         DEFINED         24      2,388       --          --
ACCELRYS INC            COMMON  00430U103 $      7,921.00  1,156,411   SH         DEFINED         24  1,156,411       --          --
ACCREDITED HOME
   LENDERS              COMMON  00437P107 $         76.00      6,472   SH         DEFINED         24      6,472       --          --
ACCURAY INC             COMMON  004397105 $      1,449.00     82,999   SH         DEFINED          1     82,999       --          --
ACCURAY INC             COMMON  004397105 $        879.00     50,360   SH         DEFINED          2     50,360       --          --
ACCURAY INC             COMMON  004397105 $        214.00     12,244   SH         DEFINED         24     12,244       --          --
ACCURIDE CORP           COMMON  004398103 $        433.00     35,770   SH         DEFINED         24     35,770       --          --
ACERGY SA-SPON ADR      COMMON  00443E104 $         16.00        530   SH         DEFINED          6         --       --         530
ACI WORLDWIDE INC       COMMON  004498101 $      5,537.00    247,737   SH         DEFINED          1    247,737       --          --
ACI WORLDWIDE INC       COMMON  004498101 $         39.00      1,737   SH         DEFINED         24      1,737       --          --
ACI WORLDWIDE INC       COMMON  004498101 $          7.00        310   SH         DEFINED          6        310       --          --
ACTIVISION INC          COMMON  004930202 $     20,842.00    965,373   SH         DEFINED          1    965,373       --          --
ACTIVISION INC          COMMON  004930202 $        976.00     45,200   SH         DEFINED         19     45,200       --          --
ACTIVISION INC          COMMON  004930202 $      2,378.00    110,131   SH         DEFINED       21,2    110,131       --          --
ACTIVISION INC          COMMON  004930202 $         17.00        784   SH         DEFINED         23         --       --         784
ACTIVISION INC          COMMON  004930202 $      1,838.00     85,119   SH         DEFINED         24     85,119       --          --
ACTIVISION INC          COMMON  004930202 $          2.00         76   SH         DEFINED          6         76       --          --
ACTEL CORP              COMMON  004934105 $        370.00     34,516   SH         DEFINED         24     34,516       --          --
ACTIVE POWER INC        COMMON  00504W100 $      7,283.00  3,295,462   SH         DEFINED         24  3,295,462       --          --
ACTIVIDENTITY CORP      COMMON  00506P103 $        500.00     96,981   SH         DEFINED         24     96,981       --          --
ACTIONS
   SEMICONDUCTOR
   CO-ADR               COMMON  00507E107 $      2,012.00    364,560   SH         DEFINED         24    364,560       --          --
ACTUATE CORPORATION     COMMON  00508B102 $        752.00    116,590   SH         DEFINED         15     81,390       --      35,200
ACTUATE CORPORATION     COMMON  00508B102 $        132.00     20,500   SH         DEFINED       5,15     20,500       --          --
ACTUANT CORP CL A       COMMON  00508X203 $      4,630.00     71,256   SH         DEFINED         24     71,256       --          --
ACTUANT CORP CL A       COMMON  00508X203 $         13.00        200   SH         DEFINED          6        200       --          --
ACUITY BRANDS INC       COMMON  00508Y102 $     93,826.00  1,858,668   SH         DEFINED          1  1,858,668       --          --
ACUITY BRANDS INC       COMMON  00508Y102 $      1,739.00     34,440   SH         DEFINED         15     30,340       --       3,500
ACUITY BRANDS INC       COMMON  00508Y102 $        156.00      3,100   SH         DEFINED       15,8         --       --       3,100
ACUITY BRANDS INC       COMMON  00508Y102 $     12,323.00    244,126   SH         DEFINED          2    229,298       --      14,828
ACUITY BRANDS INC       COMMON  00508Y102 $        219.00      4,342   SH         DEFINED         24      4,342       --          --
ACUITY BRANDS INC       COMMON  00508Y102 $         66.00      1,300   SH         DEFINED       5,15      1,300       --          --
ACUITY BRANDS INC       COMMON  00508Y102 $         60.00      1,195   SH         DEFINED          6      1,195       --          --
ACUITY BRANDS INC       COMMON  00508Y102 $        304.00      6,022   SH         DEFINED        9,2      6,022       --          --
ACXIOM CORP             COMMON  005125109 $        285.00     14,381   SH         DEFINED         24     14,381       --          --
ACXIOM CORP             COMMON  005125109 $          3.00        175   SH         DEFINED          6        175       --          --
ADAMS EXPRESS
   COMPANY CF           COMMON  006212104 $        518.00     34,646   SH         DEFINED         24     34,646       --          --
ADAMS RESPIRATORY
   THERA INC            COMMON  00635P107 $     44,369.00  1,151,237   SH         DEFINED          1  1,151,237       --          --
ADAMS RESPIRATORY
   THERA INC            COMMON  00635P107 $        162.00      4,200   SH         DEFINED         19      4,200       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ADAMS RESPIRATORY
   THERA INC            COMMON  00635P107 $      2,136.00     55,413   SH         DEFINED          2     43,413       --      12,000
ADAMS RESPIRATORY
   THERA INC            COMMON  00635P107 $         41.00      1,066   SH         DEFINED       20,2         --       --       1,066
ADAMS RESPIRATORY
   THERA INC            COMMON  00635P107 $      2,609.00     67,708   SH         DEFINED       21,2         --       --      67,708
ADAPTEC INC             COMMON  00651F108 $        547.00    143,310   SH         DEFINED         24    143,310       --          --
ADMINISTAFF INC         COMMON  007094105 $     45,528.00  1,254,217   SH         DEFINED          1  1,254,217       --          --
ADMINISTAFF INC         COMMON  007094105 $        680.00     18,724   SH         DEFINED         15     18,724       --          --
ADMINISTAFF INC         COMMON  007094105 $      5,327.00    146,761   SH         DEFINED         24    146,761       --          --
ADMINISTAFF INC         COMMON  007094105 $     18,010.00    496,148   SH         DEFINED          4    496,148       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $    174,591.00  3,998,878   SH         DEFINED          1  3,998,878       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $        446.00     10,215   SH         DEFINED       1,15     10,215       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $        537.00     12,300   SH         DEFINED         19     12,300       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $     12,202.00    279,467   SH         DEFINED          2    279,467       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $      3,509.00     80,366   SH         DEFINED       21,2     80,366       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $          2.00         48   SH         DEFINED         23         --       --          48
ADOBE SYSTEMS INC       COMMON  00724F101 $     19,363.00    443,503   SH         DEFINED         24    443,503       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $      8,138.00    186,393   SH         DEFINED          3    186,393       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $      2,350.00     53,816   SH         DEFINED          6      9,435       --      44,381
ADOBE SYSTEMS INC       COMMON  00724F101 $        412.00      9,426   SH         DEFINED          8      9,426       --          --
ADOBE SYSTEMS INC       COMMON  00724F101 $        716.00     16,409   SH         DEFINED        9,2     16,409       --          --
ADTRAN INC              COMMON  00738A106 $     11,123.00    483,000   SH         DEFINED         15    250,600       --     230,900
ADTRAN INC              COMMON  00738A106 $      4,224.00    183,408   SH         DEFINED         24    183,408       --          --
ADVANCE AMERICA CASH
   ADVANCE              COMMON  00739W107 $        122.00     11,441   SH         DEFINED         24     11,441       --          --
ADVANCE AUTO PARTS      COMMON  00751Y106 $          9.00        278   SH         DEFINED         23        213       --          65
ADVANCE AUTO PARTS      COMMON  00751Y106 $        937.00     27,928   SH         DEFINED         24     27,928       --          --
ADVANCE AUTO PARTS      COMMON  00751Y106 $      7,878.00    234,738   SH         DEFINED          6    184,197       --      50,541
ADVANCED ANALOGIC
   TECHNOLOGI           COMMON  00752J108 $         26.00      2,413   SH         DEFINED         24      2,413       --          --
ADVANCED
   SEMICONDUCTOR ADR    COMMON  00756M404 $         19.00      3,500   SH         DEFINED         24      3,500       --          --
ADVISORY BOARD CO/
   THE                  COMMON  00762W107 $      9,626.00    164,630   SH         DEFINED          1    164,630       --          --
ADVISORY BOARD CO/
   THE                  COMMON  00762W107 $        515.00      8,800   SH         DEFINED         15      8,800       --          --
ADVISORY BOARD CO/
   THE                  COMMON  00762W107 $      5,468.00     93,521   SH         DEFINED          2     93,521       --          --
ADVISORY BOARD CO/
   THE                  COMMON  00762W107 $      2,698.00     46,144   SH         DEFINED         24     46,144       --          --
ADVANCED MEDICAL
   OPTICS               COMMON  00763M108 $        274.00      8,966   SH         DEFINED         24      8,966       --          --
ADVANCED MEDICAL
   OPTICS               COMMON  00763M108 $          2.00         66   SH         DEFINED          6         --       --          66
AECOM TECHNOLOGY
   CORP                 COMMON  00766T100 $     23,356.00    668,658   SH         DEFINED          1    668,658       --          --
AECOM TECHNOLOGY
   CORP                 COMMON  00766T100 $     85,616.00  2,451,075   SH         DEFINED         24  2,451,075       --          --
AEROPOSTALE INC         COMMON  007865108 $     95,586.00  5,015,008   SH         DEFINED          1  5,015,008       --          --
AEROPOSTALE INC         COMMON  007865108 $        918.00     48,150   SH         DEFINED       1,15     48,150       --          --
AEROPOSTALE INC         COMMON  007865108 $      1,026.00     53,824   SH         DEFINED         10     53,824       --          --
AEROPOSTALE INC         COMMON  007865108 $        741.00     38,889   SH         DEFINED       11,8     38,889       --          --
AEROPOSTALE INC         COMMON  007865108 $        428.00     22,462   SH         DEFINED         14     22,462       --          --
AEROPOSTALE INC         COMMON  007865108 $     19,974.00  1,047,950   SH         DEFINED         15    561,100       --     485,050
AEROPOSTALE INC         COMMON  007865108 $      6,290.00    329,996   SH         DEFINED          2    310,995       --      19,001
AEROPOSTALE INC         COMMON  007865108 $        545.00     28,619   SH         DEFINED         22     28,619       --          --
AEROPOSTALE INC         COMMON  007865108 $      1,511.00     79,297   SH         DEFINED         24     79,297       --          --
AEROPOSTALE INC         COMMON  007865108 $        769.00     40,350   SH         DEFINED       5,15     40,350       --          --
AEROPOSTALE INC         COMMON  007865108 $      1,989.00    104,354   SH         DEFINED          8    104,354       --          --
AEROPOSTALE INC         COMMON  007865108 $      9,454.00    496,015   SH         DEFINED          9    496,015       --          --
AEROPOSTALE INC         COMMON  007865108 $        347.00     18,223   SH         DEFINED        9,2     18,223       --          --
ADVANCED MICRO
   DEVICES              COMMON  007903107 $        126.00      9,511   SH         DEFINED       1,15      9,511       --          --
ADVANCED MICRO
   DEVICES              COMMON  007903107 $        676.00     51,235   SH         DEFINED         24     51,235       --          --
ADVANCED MICRO
   DEVICES              COMMON  007903107 $          5.00        384   SH         DEFINED          6         --       --         384
ADVANCED MICRO
   DEVICES              COMMON  007903107 $         95.00      7,234   SH         DEFINED          8      7,234       --          --
ADVANCED MICRO
   DEVICES 6.0 05-     CONVERT  007903AL1 $      1,798.00  2,000,000   SH         DEFINED          1  2,000,000       --          --
AEGON NV AMER REG
   SHR                  COMMON  007924103 $    124,084.00  6,520,454   SH         DEFINED         12  6,490,484       --      29,970
AEGON NV AMER REG
   SHR                  COMMON  007924103 $      6,494.00    341,231   SH         DEFINED         15    341,231       --          --
AEGON NV AMER REG
   SHR                  COMMON  007924103 $        794.00     41,700   SH         DEFINED      21,15         --       --          --
AEGON NV AMER REG
   SHR                  COMMON  007924103 $            --          4   SH         DEFINED          4          4       --          --
AEGON NV AMER REG
   SHR                  COMMON  007924103 $        154.00      8,100   SH         DEFINED       5,15         --       --       8,100
AEGON NV AMER REG
   SHR                  COMMON  007924103 $      1,330.00     69,888   SH         DEFINED          6     69,888       --          --
ADVANTA CORP CL A       COMMON  007942105 $         24.00      1,000   SH         DEFINED         24      1,000       --          --
ADVANTA CORP CL B       COMMON  007942204 $        607.00     22,143   SH         DEFINED         24     22,143       --          --
ADVANCED ENERGY
   INDUSTRIES           COMMON  007973100 $        278.00     18,400   SH         DEFINED         15     18,400       --          --
ADVANCED ENERGY
   INDUSTRIES           COMMON  007973100 $      4,933.00    326,672   SH         DEFINED         24    326,672       --          --
ADVANCED ENERGY
   INDUSTRIES           COMMON  007973100 $         39.00      2,600   SH         DEFINED       5,15      2,600       --          --
ADVENT SOFTWARE INC     COMMON  007974108 $      4,216.00     89,750   SH         DEFINED         15     52,150       --      37,600




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ADVENT SOFTWARE INC     COMMON  007974108 $        420.00      8,935   SH         DEFINED         24      8,935       --          --
ADVENT SOFTWARE INC     COMMON  007974108 $        554.00     11,800   SH         DEFINED       5,15     11,800       --          --
AEROSONIC CORP          COMMON  008015307 $          1.00        238   SH         DEFINED         24        238       --          --
AEROVIRONMENT INC       COMMON  008073108 $      2,466.00    107,171   SH         DEFINED          1    107,171       --          --
AEROVIRONMENT INC       COMMON  008073108 $        840.00     36,524   SH         DEFINED         24     36,524       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $     33,609.00    619,284   SH         DEFINED          1    619,284       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $        482.00      8,877   SH         DEFINED       1,15      8,877       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $        402.00      7,400   SH         DEFINED      11,15      7,400       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $     17,817.00    328,300   SH         DEFINED         15    238,500       --      77,500
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $        673.00     12,400   SH         DEFINED      15,14         --       --      12,400
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $      1,004.00     18,500   SH         DEFINED       15,8         --       --      18,500
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $        206.00      3,800   SH         DEFINED         19      3,800       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $      1,343.00     24,738   SH         DEFINED          2     24,738       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $         34.00        632   SH         DEFINED       20,2         --       --         632
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $      2,278.00     41,983   SH         DEFINED       21,2      3,402       --      38,581
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $         13.00        242   SH         DEFINED         23        118       --         124
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $     28,736.00    529,502   SH         DEFINED         24    529,502       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $     12,324.00    227,082   SH         DEFINED        3,1    227,082       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $        928.00     17,100   SH         DEFINED       5,15     17,100       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $     10,499.00    193,467   SH         DEFINED          6    158,872       --      34,595
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $        795.00     14,640   SH         DEFINED          8     14,640       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $      1,574.00     29,006   SH         DEFINED          9     29,006       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $      2,464.00     45,400   SH         DEFINED       9,15     45,400       --          --
AETNA US HEALTHCARE
   INC -NEW             COMMON  00817Y108 $      5,278.00     97,262   SH         DEFINED        9,2     97,262       --          --
AFFILIATED COMPUTER
   SVCS CL A            COMMON  008190100 $         87.00      1,723   SH         DEFINED       1,15      1,723       --          --
AFFILIATED COMPUTER
   SVCS CL A            COMMON  008190100 $         20.00        390   SH         DEFINED         23        385       --           5
AFFILIATED COMPUTER
   SVCS CL A            COMMON  008190100 $        759.00     15,117   SH         DEFINED         24     15,117       --          --
AFFILIATED COMPUTER
   SVCS CL A            COMMON  008190100 $        183.00      3,648   SH         DEFINED          6        631       --       3,017
AFFILIATED MANAGERS
   GROUP                COMMON  008252108 $     45,061.00    353,388   SH         DEFINED          1    353,388       --          --
AFFILIATED MANAGERS
   GROUP                COMMON  008252108 $     15,768.00    123,664   SH         DEFINED          2    123,664       --          --
AFFILIATED MANAGERS
   GROUP                COMMON  008252108 $      6,456.00     50,635   SH         DEFINED         24     50,635       --          --
AFFILIATED MANAGERS
   GROUP                COMMON  008252108 $      7,153.00     56,100   SH         DEFINED          3     56,100       --          --
AFFYMETRIX INC          COMMON  00826T108 $         90.00      3,544   SH         DEFINED         24      3,544       --          --
AFFIRMATIVE
   INSURANCE
   HOLDINGS             COMMON  008272106 $        336.00     29,239   SH         DEFINED         24     29,239       --          --
AFTERMARKET
   TECHNOLOGY CORP      COMMON  008318107 $      8,019.00    252,650   SH         DEFINED         15    180,750       --      71,900
AFTERMARKET
   TECHNOLOGY CORP      COMMON  008318107 $        878.00     27,659   SH         DEFINED         24     27,659       --          --
AFTERMARKET
   TECHNOLOGY CORP      COMMON  008318107 $      1,796.00     56,600   SH         DEFINED       5,15     56,600       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $    174,578.00  4,733,672   SH         DEFINED          1  4,733,672       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        247.00      6,710   SH         DEFINED       1,15      6,710       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $         81.00      2,200   SH         DEFINED      11,15      2,200       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $     45,421.00  1,231,587   SH         DEFINED         15    696,337       --     523,250
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $      3,629.00     98,400   SH         DEFINED       15,8         --       --      98,400
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $         33.00        900   SH         DEFINED         19        900       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        682.00     18,500   SH         DEFINED          2     18,500       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        282.00      7,657   SH         DEFINED         21      7,657       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        322.00      8,726   SH         DEFINED         22      8,726       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $          1.00         15   SH         DEFINED         23         --       --          15
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $     65,830.00  1,784,976   SH         DEFINED         24  1,784,976       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $     18,306.00    496,377   SH         DEFINED          4    496,377       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        409.00     11,100   SH         DEFINED       5,15     11,100       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        668.00     18,121   SH         DEFINED          6         --       --      18,121
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        557.00     15,096   SH         DEFINED          8     15,096       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $      1,728.00     46,851   SH         DEFINED          9     46,851       --          --
AGILENT TECHNOLOGIES
   INC                  COMMON  00846U101 $        387.00     10,500   SH         DEFINED       9,15     10,500       --          --
AGNICO-EAGLE MINES
   LTD                  COMMON  008474108 $     16,932.00    340,000   SH         DEFINED          1    340,000       --          --
AGNICO-EAGLE MINES      COMMON  008474108 $     11,163.00    225,000   SH         DEFINED          3    225,000       --          --
AGILYSYS INC            COMMON  00847J105 $      5,229.00    309,422   SH         DEFINED          1    309,422       --          --
AGILYSYS INC            COMMON  00847J105 $            --          5   SH         DEFINED         23          5       --          --
AGILYSYS INC            COMMON  00847J105 $        449.00     26,570   SH         DEFINED         24     26,570       --          --
AGREE REALTY CORP       COMMON  008492100 $        566.00     18,050   SH         DEFINED         15     18,050       --          --
AGREE REALTY CORP       COMMON  008492100 $        270.00      8,600   SH         DEFINED       5,15      8,600       --          --
AGRIUM INC              COMMON  008916108 $         16.00        300   SH         DEFINED         23         --       --         300
AGRIUM INC              COMMON  008916108 $         10.00        192   SH         DEFINED         24        192       --          --
AIR METHODS CORP        COMMON  009128307 $        281.00      6,077   SH         DEFINED         24      6,077       --          --
AIR PRODUCTS &
   CHEMICALS INC        COMMON  009158106 $        366.00      3,742   SH         DEFINED       1,15      3,742       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AIR PRODUCTS &
   CHEMICALS INC        COMMON  009158106 $          1.00         12   SH         DEFINED         23         --       --          12
AIR PRODUCTS &
   CHEMICALS INC        COMMON  009158106 $     41,147.00    420,895   SH         DEFINED         24    420,895       --          --
AIR PRODUCTS &
   CHEMICALS INC        COMMON  009158106 $        549.00      5,612   SH         DEFINED          6      3,808       --       1,804
AIR PRODUCTS &
   CHEMICALS INC        COMMON  009158106 $        426.00      4,359   SH         DEFINED          8      4,359       --          --
AIRGAS INC              COMMON  009363102 $      2,384.00     46,183   SH         DEFINED         24     46,183       --          --
AIRTRAN HOLDINGS INC    COMMON  00949P108 $        112.00     11,398   SH         DEFINED         24     11,398       --          --
AKAMAI TECHNOLOGIES     COMMON  00971T101 $         82.00      2,849   SH         DEFINED       1,15      2,849       --          --
AKAMAI TECHNOLOGIES     COMMON  00971T101 $          8.00        292   SH         DEFINED         23        116       --         176
AKAMAI TECHNOLOGIES     COMMON  00971T101 $      1,383.00     48,149   SH         DEFINED         24     48,149       --          --
AKAMAI TECHNOLOGIES     COMMON  00971T101 $      3,622.00    126,084   SH         DEFINED          3    126,084       --          --
AKAMAI TECHNOLOGIES     COMMON  00971T101 $      4,403.00    153,245   SH         DEFINED          6    118,052       --      35,193
AKORN INC               COMMON  009728106 $      4,797.00    640,500   SH         DEFINED          3    640,500       --          --
AKZO NOBEL NV ADR       COMMON  010199305 $         12.00        140   SH         DEFINED         23         --       --         140
ALABAMA NATIONAL
   BANCORPORATIO        COMMON  010317105 $        185.00      2,373   SH         DEFINED         24      2,373       --          --
ALAMO GROUP INC         COMMON  011311107 $        435.00     17,689   SH         DEFINED         24     17,689       --          --
ALASKA AIR GROUP INC    COMMON  011659109 $        131.00      5,688   SH         DEFINED         24      5,688       --          --
ALASKA COMM SYSTEMS
   GROUP                COMMON  01167P101 $     22,471.00  1,555,053   SH         DEFINED          1  1,555,053       --          --
ALASKA COMM SYSTEMS
   GROUP                COMMON  01167P101 $      1,529.00    105,798   SH         DEFINED       21,2    105,798       --          --
ALASKA COMM SYSTEMS
   GROUP                COMMON  01167P101 $      1,296.00     89,696   SH         DEFINED         24     89,696       --          --
ALBANY INTL CORP
   CL A                 COMMON  012348108 $        237.00      6,310   SH         DEFINED         24      6,310       --          --
ALBANY MOLECULAR
   RESEARCH             COMMON  012423109 $      5,533.00    366,450   SH         DEFINED         15    247,850       --     118,600
ALBANY MOLECULAR
   RESEARCH             COMMON  012423109 $        788.00     52,207   SH         DEFINED         24     52,207       --          --
ALBANY MOLECULAR
   RESEARCH             COMMON  012423109 $      1,226.00     81,200   SH         DEFINED       5,15     81,200       --          --
ALBANY MOLECULAR
   RESEARCH             COMMON  012423109 $        103.00      6,850   SH         DEFINED          6         --       --       6,850
ALBEMARLE CORP          COMMON  012653101 $     18,514.00    418,860   SH         DEFINED         15    275,060       --     138,500
ALBEMARLE CORP          COMMON  012653101 $      1,361.00     30,800   SH         DEFINED       15,8         --       --      30,800
ALBEMARLE CORP          COMMON  012653101 $      1,972.00     44,619   SH         DEFINED         24     44,619       --          --
ALBEMARLE CORP          COMMON  012653101 $        358.00      8,100   SH         DEFINED       5,15      8,100       --          --
ALBEMARLE CORP          COMMON  012653101 $         17.00        380   SH         DEFINED          6        380       --          --
ALBERTO-CULVER CO       COMMON  013078100 $        990.00     39,933   SH         DEFINED          1     39,933       --          --
ALBERTO-CULVER CO       COMMON  013078100 $      9,209.00    371,500   SH         DEFINED         15    242,800       --     127,000
ALBERTO-CULVER CO       COMMON  013078100 $        213.00      8,600   SH         DEFINED       15,8         --       --       8,600
ALBERTO-CULVER CO       COMMON  013078100 $         40.00      1,597   SH         DEFINED       21,2      1,597       --          --
ALBERTO-CULVER CO       COMMON  013078100 $          7.00        300   SH         DEFINED         23         --       --         300
ALBERTO-CULVER CO       COMMON  013078100 $      5,630.00    227,098   SH         DEFINED         24    227,098       --          --
ALBERTO-CULVER CO       COMMON  013078100 $      2,847.00    114,853   SH         DEFINED        3,1    114,853       --          --
ALBERTO-CULVER CO       COMMON  013078100 $        811.00     32,700   SH         DEFINED       5,15     32,700       --          --
ALBERTO-CULVER CO       COMMON  013078100 $         78.00      3,150   SH         DEFINED          6      3,150       --          --
ALBERTO-CULVER CO       COMMON  013078100 $      1,194.00     48,153   SH         DEFINED        9,2     48,153       --          --
ALCAN INC               COMMON  013716105 $        460.00      4,600   SH         DEFINED      11,15      4,600       --          --
ALCAN INC               COMMON  013716105 $      3,883.00     38,912   SH         DEFINED          2     38,912       --          --
ALCAN INC               COMMON  013716105 $         14.00        138   SH         DEFINED         22        138       --          --
ALCAN INC               COMMON  013716105 $         30.00        300   SH         DEFINED         23         --       --         300
ALCAN INC               COMMON  013716105 $         57.00        571   SH         DEFINED         24        571       --          --
ALCAN INC               COMMON  013716105 $     44,959.00    450,500   SH         DEFINED          3    450,500       --          --
ALCAN INC               COMMON  013716105 $     48,943.00    490,413   SH         DEFINED        3,1    490,413       --          --
ALCAN INC               COMMON  013716105 $        661.00      6,624   SH         DEFINED          8      6,624       --          --
ALCAN INC               COMMON  013716105 $      1,390.00     13,928   SH         DEFINED          9     13,928       --          --
ALCOA INC               COMMON  013817101 $        600.00     15,347   SH         DEFINED       1,15     15,347       --          --
ALCOA INC               COMMON  013817101 $        422.00     10,800   SH         DEFINED      11,15     10,800       --          --
ALCOA INC               COMMON  013817101 $     25,543.00    652,930   SH         DEFINED         12    182,830       --     470,100
ALCOA INC               COMMON  013817101 $        317.00      8,100   SH         DEFINED      12,14      8,100       --          --
ALCOA INC               COMMON  013817101 $     20,468.00    523,219   SH         DEFINED         15    463,194       --      54,525
ALCOA INC               COMMON  013817101 $      2,120.00     54,200   SH         DEFINED       15,8         --       --      54,200
ALCOA INC               COMMON  013817101 $         23.00        580   SH         DEFINED      20,12        580       --          --
ALCOA INC               COMMON  013817101 $        747.00     19,100   SH         DEFINED      20,15         --       --      19,100
ALCOA INC               COMMON  013817101 $      1,863.00     47,610   SH         DEFINED      21,15         --       --          --
ALCOA INC               COMMON  013817101 $            --          4   SH         DEFINED         23         --       --           4
ALCOA INC               COMMON  013817101 $      5,256.00    134,345   SH         DEFINED         24    134,345       --          --
ALCOA INC               COMMON  013817101 $      7,128.00    182,200   SH         DEFINED          3    182,200       --          --
ALCOA INC               COMMON  013817101 $        364.00      9,300   SH         DEFINED       5,15         --       --       9,300
ALCOA INC               COMMON  013817101 $        108.00      2,762   SH         DEFINED          6      2,487       --         275
ALCOA INC               COMMON  013817101 $        196.00      5,000   SH         DEFINED          7      5,000       --          --
ALCOA INC               COMMON  013817101 $        604.00     15,452   SH         DEFINED          8     15,452       --          --
ALCOA INC               COMMON  013817101 $      1,017.00     26,000   SH         DEFINED          9     26,000       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ALCOA INC               COMMON  013817101 $      3,991.00    102,031   SH         DEFINED       9,15     52,700       --      49,331
ALCATEL-LUCENT ADR      COMMON  013904305 $            --         25   SH         DEFINED         23         14       --          11
ALCATEL-LUCENT ADR      COMMON  013904305 $         35.00      3,394   SH         DEFINED          6        743       --       2,651
ALEXANDER & BALDWIN
   INC                  COMMON  014482103 $        296.00      5,903   SH         DEFINED         24      5,903       --          --
ALESCO FINANCIAL INC    COMMON  014485106 $        270.00     54,869   SH         DEFINED         24     54,869       --          --
ALEXANDER'S INC         COMMON  014752109 $        540.00      1,400   SH         DEFINED         15      1,400       --          --
ALEXANDER'S INC         COMMON  014752109 $         18.00         46   SH         DEFINED         24         46       --          --
ALEXANDRIA REAL EST
  EQUITIES              COMMON  015271109 $      5,578.00     57,944   SH         DEFINED          1     57,944       --          --
ALEXANDRIA REAL EST
   EQUITIES             COMMON  015271109 $     51,778.00    537,900   SH         DEFINED       1,15    537,900       --          --
ALEXANDRIA REAL EST
   EQUITIES             COMMON  015271109 $    125,795.00  1,306,830   SH         DEFINED         15    820,073       --     389,000
ALEXANDRIA REAL EST
   EQUITIES             COMMON  015271109 $      7,046.00     73,200   SH         DEFINED       2,15     73,200       --          --
ALEXANDRIA REAL EST
   EQUITIES             COMMON  015271109 $      2,098.00     21,800   SH         DEFINED      20,15     21,800       --          --
ALEXANDRIA REAL EST
   EQUITIES             COMMON  015271109 $        158.00      1,640   SH         DEFINED         24      1,640       --          --
ALEXANDRIA REAL EST
   EQUITIES             COMMON  015271109 $     11,750.00    122,068   SH         DEFINED       5,15    122,068       --          --
ALEXION
   PHARMACEUTICALS
   INC                  COMMON  015351109 $      6,825.00    104,756   SH         DEFINED         24    104,756       --          --
ALFA CORPORATION        COMMON  015385107 $        431.00     23,731   SH         DEFINED         24     23,731       --          --
ALICO INC               COMMON  016230104 $         26.00        603   SH         DEFINED         24        603       --          --
ALIGN TECHNOLOGY INC    COMMON  016255101 $      4,150.00    163,829   SH         DEFINED         24    163,829       --          --
ALKERMES INC            COMMON  01642T108 $      3,402.00    184,900   SH         DEFINED         15     84,000       --     100,900
ALKERMES INC            COMMON  01642T108 $        300.00     16,293   SH         DEFINED         24     16,293       --          --
ALLEGHANY CORP          COMMON  017175100 $        210.00        518   SH         DEFINED         24        518       --          --
ALLEGHENY ENERGY INC    COMMON  017361106 $        150.00      2,863   SH         DEFINED       1,15      2,863       --          --
ALLEGHENY ENERGY INC    COMMON  017361106 $         16.00        300   SH         DEFINED         23        300       --          --
ALLEGHENY ENERGY INC    COMMON  017361106 $     12,474.00    238,699   SH         DEFINED         24    238,699       --          --
ALLEGHENY ENERGY INC    COMMON  017361106 $        541.00     10,343   SH         DEFINED          6         --       --      10,343
ALLEGHENY
   TECHNOLOGIES INC     COMMON  01741R102 $     44,920.00    408,549   SH         DEFINED          1    408,549       --          --
ALLEGHENY
   TECHNOLOGIES INC     COMMON  01741R102 $        194.00      1,765   SH         DEFINED       1,15      1,765       --          --
ALLEGHENY
   TECHNOLOGIES INC     COMMON  01741R102 $        973.00      8,853   SH         DEFINED          2         --       --       8,853
ALLEGHENY
   TECHNOLOGIES INC     COMMON  01741R102 $          2.00         20   SH         DEFINED         23         20       --          --
ALLEGHENY
   TECHNOLOGIES INC     COMMON  01741R102 $      5,655.00     51,430   SH         DEFINED         24     51,430       --          --
ALLEGHENY
   TECHNOLOGIES INC     COMMON  01741R102 $      2,500.00     22,740   SH         DEFINED          6     14,850       --       7,890
ALLEGHENY
   TECHNOLOGIES INC     COMMON  01741R102 $        166.00      1,507   SH         DEFINED          8      1,507       --          --
ALLEGIANT TRAVEL CO     COMMON  01748X102 $      7,189.00    237,088   SH         DEFINED          1    237,088       --          --
ALLERGAN INC            COMMON  018490102 $        344.00      5,338   SH         DEFINED       1,15      5,338       --          --
ALLERGAN INC            COMMON  018490102 $         22.00        343   SH         DEFINED         23        128       --         215
ALLERGAN INC            COMMON  018490102 $      3,100.00     48,083   SH         DEFINED         24     48,083       --          --
ALLERGAN INC            COMMON  018490102 $     13,038.00    202,229   SH         DEFINED          6    135,008       --      67,221
ALLETE INC              COMMON  018522300 $      1,280.00     28,593   SH         DEFINED         24     28,593       --          --
ALLIANCE DATA
   SYSTEMS CORP         COMMON  018581108 $         10.00        124   SH         DEFINED         23        116       --           8
ALLIANCE DATA
   SYSTEMS CORP         COMMON  018581108 $        329.00      4,254   SH         DEFINED         24      4,254       --          --
ALLIANCE DATA
   SYSTEMS CORP         COMMON  018581108 $      6,927.00     89,452   SH         DEFINED          6     51,572       --      37,880
ALLIANCE IMAGING INC    COMMON  018606202 $        520.00     57,400   SH         DEFINED         15     41,100       --      16,300
ALLIANCE IMAGING INC    COMMON  018606202 $        352.00     38,821   SH         DEFINED         24     38,821       --          --
ALLIANCE IMAGING INC    COMMON  018606202 $         46.00      5,100   SH         DEFINED       5,15      5,100       --          --
ALLIANCE HOLDINGS
   GP LP                COMMON  01861G100 $          7.00        299   SH         DEFINED         23        268       --          31
ALLIANCE HOLDINGS
   GP LP                COMMON  01861G100 $      1,893.00     78,616   SH         DEFINED         24     78,616       --          --
ALLIANCE HOLDINGS
   GP LP                COMMON  01861G100 $      5,010.00    208,037   SH         DEFINED          6    184,527       --      23,510
ALLIANCE FIBER OPTIC
   PRODUCT              COMMON  018680108 $        403.00    214,483   SH         DEFINED         24    214,483       --          --
ALLIANCE NEW YORK
   MUNI INC CF          COMMON  018714105 $         11.00        800   SH         DEFINED         23         --       --         800
ALLIANCE ONE
   INTERNATIONAL INC    COMMON  018772103 $        451.00     69,011   SH         DEFINED         15     69,011       --          --
ALLIANCE ONE
   INTERNATIONAL INC    COMMON  018772103 $        115.00     17,532   SH         DEFINED         24     17,532       --          --
ALLIANCE ONE
   INTERNATIONAL INC    COMMON  018772103 $        129.00     19,700   SH         DEFINED       5,15     19,700       --          --
ALLIANT ENERGY CORP     COMMON  018802108 $         21.00        550   SH         DEFINED         23        550       --          --
ALLIANT ENERGY CORP     COMMON  018802108 $      2,409.00     62,855   SH         DEFINED         24     62,855       --          --
ALLIANT ENERGY CORP     COMMON  018802108 $         12.00        317   SH         DEFINED          6        166       --         151
ALLIANT TECHSYSTEMS
   INC                  COMMON  018804104 $      9,920.00     90,759   SH         DEFINED         24     90,759       --          --
ALLIANZ SE ADR          COMMON  018805101 $      9,047.00    388,781   SH         DEFINED         24    388,781       --          --
ALLIANZ SE ADR          COMMON  018805101 $          3.00        125   SH         DEFINED          4        125       --          --
ALLIANZ SE ADR          COMMON  018805101 $         19.00        800   SH         DEFINED          6         --       --         800
ALLIANCEBERNSTEIN
   HOLDING LP           COMMON  01881G106 $     13,871.00    157,500   SH         DEFINED          1    157,500       --          --
ALLIANCEBERNSTEIN
   HOLDING LP           COMMON  01881G106 $         53.00        600   SH         DEFINED          6         --       --         600
ALLIED CAPITAL CORP     COMMON  01903Q108 $     10,645.00    362,191   SH         DEFINED         24    362,191       --          --
ALLIED IRISH BANKS
   ADR                  COMMON  019228402 $     15,692.00    323,752   SH         DEFINED         24    323,752       --          --
ALLIED IRISH BANKS
   ADR                  COMMON  019228402 $     12,336.00    254,513   SH         DEFINED          4    254,513       --          --
ALLIED IRISH BANKS
   ADR                  COMMON  019228402 $         23.00        470   SH         DEFINED          6         --       --         470




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ALLIED WASTE
   INDUSTRIES INC       COMMON  019589308 $         64.00      5,006   SH         DEFINED       1,15      5,006       --          --
ALLIED WASTE
   INDUSTRIES INC       COMMON  019589308 $      3,864.00    303,020   SH         DEFINED         15    129,220       --     171,500
ALLIED WASTE
   INDUSTRIES INC       COMMON  019589308 $      3,937.00    308,748   SH         DEFINED         24    308,748       --          --
ALLIED WASTE
   INDUSTRIES INC       COMMON  019589308 $          6.00        465   SH         DEFINED          6         --       --         465
ALLIS-CHALMERS
   ENERGY INC           COMMON  019645506 $        551.00     29,081   SH         DEFINED         24     29,081       --          --
ALLSCRIPTS
   HEALTHCARE
   SOLUTION             COMMON  01988P108 $     17,263.00    638,648   SH         DEFINED          1    638,648       --          --
ALLSCRIPTS
   HEALTHCARE
   SOLUTION             COMMON  01988P108 $        676.00     25,000   SH         DEFINED          2         --       --      25,000
ALLSCRIPTS
   HEALTHCARE
   SOLUTION             COMMON  01988P108 $         13.00        498   SH         DEFINED         24        498       --          --
ALLSTATE CORP           COMMON  020002101 $      3,212.00     56,156   SH         DEFINED       1,15     56,156       --          --
ALLSTATE CORP           COMMON  020002101 $        343.00      6,000   SH         DEFINED         10      6,000       --          --
ALLSTATE CORP           COMMON  020002101 $      2,007.00     35,100   SH         DEFINED      11,15     35,100       --          --
ALLSTATE CORP           COMMON  020002101 $        177.00      3,100   SH         DEFINED       11,8      3,100       --          --
ALLSTATE CORP           COMMON  020002101 $        140.00      2,456   SH         DEFINED         14      2,456       --          --
ALLSTATE CORP           COMMON  020002101 $     90,405.00  1,580,778   SH         DEFINED         15  1,295,828       --     236,350
ALLSTATE CORP           COMMON  020002101 $      1,939.00     33,900   SH         DEFINED      15,14         --       --      33,900
ALLSTATE CORP           COMMON  020002101 $      8,756.00    153,100   SH         DEFINED       15,8         --       --     153,100
ALLSTATE CORP           COMMON  020002101 $      2,231.00     39,007   SH         DEFINED         22     39,007       --          --
ALLSTATE CORP           COMMON  020002101 $          3.00         52   SH         DEFINED         23          8       --          44
ALLSTATE CORP           COMMON  020002101 $     11,873.00    207,602   SH         DEFINED         24    207,602       --          --
ALLSTATE CORP           COMMON  020002101 $      2,671.00     46,700   SH         DEFINED       5,15     46,700       --          --
ALLSTATE CORP           COMMON  020002101 $        426.00      7,456   SH         DEFINED          6      5,756       --       1,700
ALLSTATE CORP           COMMON  020002101 $        703.00     12,300   SH         DEFINED          7     12,300       --          --
ALLSTATE CORP           COMMON  020002101 $      3,076.00     53,792   SH         DEFINED          8     53,792       --          --
ALLSTATE CORP           COMMON  020002101 $      5,084.00     88,893   SH         DEFINED          9     88,893       --          --
ALLSTATE CORP           COMMON  020002101 $     11,827.00    206,800   SH         DEFINED       9,15    206,800       --          --
ALLTEL CORP             COMMON  020039103 $        424.00      6,083   SH         DEFINED       1,15      6,083       --          --
ALLTEL CORP             COMMON  020039103 $        307.00      4,400   SH         DEFINED      11,15      4,400       --          --
ALLTEL CORP             COMMON  020039103 $      5,096.00     73,140   SH         DEFINED         15     60,740       --      10,200
ALLTEL CORP             COMMON  020039103 $      1,484.00     21,300   SH         DEFINED       15,8         --       --      21,300
ALLTEL CORP             COMMON  020039103 $            --          5   SH         DEFINED         23         --       --           5
ALLTEL CORP             COMMON  020039103 $      2,867.00     41,149   SH         DEFINED         24     41,149       --          --
ALLTEL CORP             COMMON  020039103 $        544.00      7,810   SH         DEFINED          6      1,454       --       6,356
ALLTEL CORP             COMMON  020039103 $        380.00      5,452   SH         DEFINED          8      5,452       --          --
ALLTEL CORP             COMMON  020039103 $        995.00     14,285   SH         DEFINED          9     14,285       --          --
ALMOST FAMILY INC       COMMON  020409108 $        420.00     23,186   SH         DEFINED         24     23,186       --          --
ALNYLAM
   PHARMACEUTICALS
   INC                  COMMON  02043Q107 $      8,883.00    271,063   SH         DEFINED         24    271,063       --          --
ALNYLAM
   PHARMACEUTICALS
   INC                  COMMON  02043Q107 $        106.00      3,249   SH         DEFINED          6         --       --       3,249
ALON USA ENERGY INC.    COMMON  020520102 $      8,969.00    265,500   SH         DEFINED         15    183,700       --      81,800
ALON USA ENERGY INC.    COMMON  020520102 $      3,630.00    107,451   SH         DEFINED         24    107,451       --          --
ALON USA ENERGY INC.    COMMON  020520102 $      1,980.00     58,600   SH         DEFINED       5,15     58,600       --          --
ALPHA NATURAL
   RESOURCES INC        COMMON  02076X102 $        152.00      6,535   SH         DEFINED         24      6,535       --          --
ALPHA NATURAL
   RESOURCES INC        COMMON  02076X102 $         98.00      4,210   SH         DEFINED          6         --       --       4,210
ALPHARMA INC CL A       COMMON  020813101 $        160.00      7,513   SH         DEFINED         24      7,513       --          --
ALTAIR
   NANOTECHNOLOGIES
   INC                  COMMON  021373105 $      6,942.00  2,116,425   SH         DEFINED         24  2,116,425       --          --
ALTERA CORPORATION      COMMON  021441100 $        149.00      6,206   SH         DEFINED       1,15      6,206       --          --
ALTERA CORPORATION      COMMON  021441100 $      1,430.00     59,400   SH         DEFINED        1,3     59,400       --          --
ALTERA CORPORATION      COMMON  021441100 $        585.00     24,300   SH         DEFINED         15      7,800       --      14,500
ALTERA CORPORATION      COMMON  021441100 $        128.00      5,300   SH         DEFINED       15,8         --       --       5,300
ALTERA CORPORATION      COMMON  021441100 $      7,397.00    307,200   SH         DEFINED       20,3    307,200       --          --
ALTERA CORPORATION      COMMON  021441100 $        462.00     19,185   SH         DEFINED         21     19,185       --          --
ALTERA CORPORATION      COMMON  021441100 $      2,449.00    101,700   SH         DEFINED       21,3    101,700       --          --
ALTERA CORPORATION      COMMON  021441100 $          6.00        239   SH         DEFINED         23        225       --          14
ALTERA CORPORATION      COMMON  021441100 $     17,712.00    735,539   SH         DEFINED         24    735,539       --          --
ALTERA CORPORATION      COMMON  021441100 $    105,160.00  4,367,106   SH         DEFINED          3  4,367,106       --          --
ALTERA CORPORATION      COMMON  021441100 $      4,069.00    168,981   SH         DEFINED          6     96,103       --      72,878
ALTERA CORPORATION      COMMON  021441100 $        185.00      7,687   SH         DEFINED          8      7,687       --          --
ALTERA CORPORATION      COMMON  021441100 $        693.00     28,778   SH         DEFINED          9     28,778       --          --
ALTRIA GROUP INC        COMMON  02209S103 $     27,228.00    391,600   SH         DEFINED          1    391,600       --          --
ALTRIA GROUP INC        COMMON  02209S103 $     12,404.00    178,398   SH         DEFINED       1,15    178,398       --          --
ALTRIA GROUP INC        COMMON  02209S103 $      1,093.00     15,720   SH         DEFINED         10     15,720       --          --
ALTRIA GROUP INC        COMMON  02209S103 $        688.00      9,900   SH         DEFINED      11,15      9,900       --          --
ALTRIA GROUP INC        COMMON  02209S103 $        536.00      7,703   SH         DEFINED       11,8      7,703       --          --
ALTRIA GROUP INC        COMMON  02209S103 $     17,362.00    249,700   SH         DEFINED         12         --       --     249,700
ALTRIA GROUP INC        COMMON  02209S103 $        292.00      4,193   SH         DEFINED         14      4,193       --          --
ALTRIA GROUP INC        COMMON  02209S103 $     58,371.00    839,507   SH         DEFINED         15    633,632       --     170,075




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ALTRIA GROUP INC        COMMON  02209S103 $      1,189.00     17,100   SH         DEFINED      15,14         --       --      17,100
ALTRIA GROUP INC        COMMON  02209S103 $      5,903.00     84,900   SH         DEFINED       15,8         --       --      84,900
ALTRIA GROUP INC        COMMON  02209S103 $        831.00     11,949   SH         DEFINED         21     11,949       --          --
ALTRIA GROUP INC        COMMON  02209S103 $        761.00     10,940   SH         DEFINED      21,15         --       --          --
ALTRIA GROUP INC        COMMON  02209S103 $        233.00      3,348   SH         DEFINED         22      3,348       --          --
ALTRIA GROUP INC        COMMON  02209S103 $          3.00         50   SH         DEFINED         23          6       --          44
ALTRIA GROUP INC        COMMON  02209S103 $     56,988.00    819,621   SH         DEFINED         24    819,621       --          --
ALTRIA GROUP INC        COMMON  02209S103 $      2,251.00     32,375   SH         DEFINED       5,15     30,200       --       2,175
ALTRIA GROUP INC        COMMON  02209S103 $      1,679.00     24,145   SH         DEFINED          6     10,115       --      14,030
ALTRIA GROUP INC        COMMON  02209S103 $        661.00      9,500   SH         DEFINED          7      9,500       --          --
ALTRIA GROUP INC        COMMON  02209S103 $      6,280.00     90,317   SH         DEFINED          8     90,317       --          --
ALTRIA GROUP INC        COMMON  02209S103 $     12,155.00    174,814   SH         DEFINED          9    174,814       --          --
ALTRIA GROUP INC        COMMON  02209S103 $      3,414.00     49,100   SH         DEFINED       9,15     49,100       --          --
ALTUS PHARMACEUTI-
   CALS INC             COMMON  02216N105 $      3,013.00    287,253   SH         DEFINED          1    287,253       --          --
ALTUS PHARMACEUTI-
   CALS INC             COMMON  02216N105 $        249.00     23,743   SH         DEFINED          2     23,743       --          --
ALTUS PHARMACEUTI-
   CALS INC             COMMON  02216N105 $          6.00        600   SH         DEFINED       20,2         --       --         600
ALTUS PHARMACEUTI-
   CALS INC             COMMON  02216N105 $        388.00     37,031   SH         DEFINED       21,2         --       --      37,031
ALUMINUM CORP OF
   CHINA-ADR            COMMON  022276109 $     35,828.00    511,614   SH         DEFINED         24    511,614       --          --
JOHNSON & JOHNSON
   (JNJ)CVT 0.0        CONVERT  02261WAB5 $     32,197.00 35,675,000   SH         DEFINED         15         --       --  30,225,000
AMAZON.COM INC          COMMON  023135106 $    192,855.00  2,070,372   SH         DEFINED          1  2,070,372       --          --
AMAZON.COM INC          COMMON  023135106 $      3,899.00     41,855   SH         DEFINED       1,15     41,855       --          --
AMAZON.COM INC          COMMON  023135106 $      2,785.00     29,900   SH         DEFINED      11,15     29,900       --          --
AMAZON.COM INC          COMMON  023135106 $    222,720.00  2,390,987   SH         DEFINED         15  1,698,687       --     630,000
AMAZON.COM INC          COMMON  023135106 $      5,682.00     61,000   SH         DEFINED      15,14         --       --      61,000
AMAZON.COM INC          COMMON  023135106 $      6,334.00     68,000   SH         DEFINED       15,8         --       --      68,000
AMAZON.COM INC          COMMON  023135106 $     17,387.00    186,654   SH         DEFINED          2    186,654       --          --
AMAZON.COM INC          COMMON  023135106 $            --          3   SH         DEFINED         23         --       --           3
AMAZON.COM INC          COMMON  023135106 $     13,801.00    148,163   SH         DEFINED         24    148,163       --          --
AMAZON.COM INC          COMMON  023135106 $     10,247.00    110,000   SH         DEFINED       5,15    110,000       --          --
AMAZON.COM INC          COMMON  023135106 $        455.00      4,885   SH         DEFINED          6      4,593       --         292
AMAZON.COM INC          COMMON  023135106 $      4,051.00     43,492   SH         DEFINED          8     43,492       --          --
AMAZON.COM INC          COMMON  023135106 $      2,999.00     32,193   SH         DEFINED          9     32,193       --          --
AMAZON.COM INC          COMMON  023135106 $     15,221.00    163,400   SH         DEFINED       9,15    163,400       --          --
AMAZON.COM INC          COMMON  023135106 $      1,023.00     10,979   SH         DEFINED        9,2     10,979       --          --
AMBAC FINANCIAL
   GROUP INC            COMMON  023139108 $        111.00      1,761   SH         DEFINED       1,15      1,761       --          --
AMBAC FINANCIAL
   GROUP INC            COMMON  023139108 $      8,188.00    130,160   SH         DEFINED         15     58,260       --      71,900
AMBAC FINANCIAL
   GROUP INC            COMMON  023139108 $          6.00         95   SH         DEFINED         22         95       --          --
AMBAC FINANCIAL
   GROUP INC            COMMON  023139108 $         44.00        700   SH         DEFINED         23         --       --         700
AMBAC FINANCIAL
   GROUP INC            COMMON  023139108 $        524.00      8,337   SH         DEFINED         24      8,337       --          --
AMBAC FINANCIAL
   GROUP INC            COMMON  023139108 $         98.00      1,563   SH         DEFINED          6      1,100       --         463
AMBAC FINANCIAL
   GROUP INC            COMMON  023139108 $        124.00      1,968   SH         DEFINED          8      1,968       --          --
AMBAC FINANCIAL
  GROUP INC             COMMON  023139108 $     15,545.00    247,100   SH         DEFINED          9    247,100       --          --
AMBASSADORS GROUP
   INC                  COMMON  023177108 $      5,015.00    131,626   SH         DEFINED          1    131,626       --          --
AMBASSADORS GROUP
   INC                  COMMON  023177108 $      2,213.00     58,071   SH         DEFINED         15     35,171       --      22,900
AMBASSADORS GROUP
   INC                  COMMON  023177108 $      1,200.00     31,492   SH         DEFINED         24     31,492       --          --
AMBASSADORS GROUP
   INC                  COMMON  023177108 $        362.00      9,500   SH         DEFINED       5,15      9,500       --          --
AMCOL INTERNATIONAL
   CORP                 COMMON  02341W103 $         75.00      2,269   SH         DEFINED         24      2,269       --          --
AMCOMP INC              COMMON  02342J101 $        432.00     45,723   SH         DEFINED         24     45,723       --          --
AMEDISYS INC            COMMON  023436108 $      6,092.00    158,563   SH         DEFINED         24    158,563       --          --
AMERCO INC              COMMON  023586100 $        198.00      3,118   SH         DEFINED         24      3,118       --          --
AMEREN CORPORATION      COMMON  023608102 $     12,968.00    247,000   SH         DEFINED          1    247,000       --          --
AMEREN CORPORATION      COMMON  023608102 $        189.00      3,603   SH         DEFINED       1,15      3,603       --          --
AMEREN CORPORATION      COMMON  023608102 $         17.00        329   SH         DEFINED         23         --       --         329
AMEREN CORPORATION      COMMON  023608102 $      1,671.00     31,829   SH         DEFINED         24     31,829       --          --
AMEREN CORPORATION      COMMON  023608102 $          9.00        166   SH         DEFINED          6         --       --         166
AMEREN CORPORATION      COMMON  023608102 $        219.00      4,179   SH         DEFINED          8      4,179       --          --
AMERICA SERVICE
   GROUP INC            COMMON  02364L109 $          7.00        637   SH         DEFINED         24        637       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $    271,436.00  4,241,181   SH         DEFINED          1  4,241,181       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $     41,072.00    641,745   SH         DEFINED          2    641,745       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $     11,648.00    182,000   SH         DEFINED       21,2    182,000       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $         45.00        703   SH         DEFINED         23        700       --           3
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $      1,501.00     23,459   SH         DEFINED         24     23,459       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $     31,435.00    491,173   SH         DEFINED        3,1    491,173       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $        758.00     11,840   SH         DEFINED          4     11,840       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $      3,926.00     61,345   SH         DEFINED          6     25,800       --      35,545




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $     34,900.00    545,310   SH         DEFINED          9    545,310       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $      1,158.00     18,100   SH         DEFINED       9,15     18,100       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $        433.00      6,759   SH         DEFINED        9,2      6,759       --          --
AMERICA MOVIL SAB DE
   CV                   COMMON  02364W105 $      3,411.00     53,300   SH         DEFINED       9,22     53,300       --          --
AMCORE FINANCIAL INC    COMMON  023912108 $        885.00     35,500   SH         DEFINED         15     28,400       --       7,100
AMCORE FINANCIAL INC    COMMON  023912108 $         72.00      2,890   SH         DEFINED         24      2,890       --          --
AMCORE FINANCIAL INC    COMMON  023912108 $        329.00     13,200   SH         DEFINED       5,15     13,200       --          --
AMERICAN AXLE & MFG
   HOLDINGS             COMMON  024061103 $      1,086.00     43,006   SH         DEFINED         24     43,006       --          --
AMERICAN CAMPUS
   COMMUNITIES          COMMON  024835100 $      4,036.00    137,800   SH         DEFINED         15     89,500       --      48,300
AMERICAN CAMPUS
   COMMUNITIES          COMMON  024835100 $        461.00     15,756   SH         DEFINED         24     15,756       --          --
AMERICAN CAMPUS
   COMMUNITIES          COMMON  024835100 $        128.00      4,365   SH         DEFINED          6         --       --       4,365
AMERICAN CAPITAL
   STRATEGIES           COMMON  024937104 $        139.00      3,262   SH         DEFINED       1,15      3,262       --          --
AMERICAN CAPITAL
   STRATEGIES           COMMON  024937104 $     13,439.00    314,499   SH         DEFINED         24    314,499       --          --
AMERICAN CAPITAL
   STRATEGIES           COMMON  024937104 $      1,754.00     41,055   SH         DEFINED          6      7,040       --      34,015
AMERICAN COMMERCIAL
   LINES                COMMON  025195207 $     41,052.00  1,729,983   SH         DEFINED          1  1,729,983       --          --
AMERICAN COMMERCIAL
   LINES                COMMON  025195207 $      8,618.00    363,157   SH         DEFINED          2    338,068       --      25,089
AMERICAN COMMERCIAL
   LINES                COMMON  025195207 $         57.00      2,385   SH         DEFINED         24      2,385       --          --
AMERICAN COMMERCIAL
   LINES                COMMON  025195207 $      5,304.00    223,500   SH         DEFINED          9    223,500       --          --
AMERICAN COMMERCIAL
   LINES                COMMON  025195207 $        852.00     35,900   SH         DEFINED       9,22     35,900       --          --
AMERICAN DAIRY INC      COMMON  025334103 $      1,363.00     69,856   SH         DEFINED         24     69,856       --          --
AMERICAN DENTAL
   PARTNERS INC         COMMON  025353103 $        945.00     33,750   SH         DEFINED         15     19,550       --      14,200
AMERICAN DENTAL
   PARTNERS INC         COMMON  025353103 $        481.00     17,171   SH         DEFINED         24     17,171       --          --
AMERICAN DENTAL
   PARTNERS INC         COMMON  025353103 $        123.00      4,400   SH         DEFINED       5,15      4,400       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $     36,187.00    785,315   SH         DEFINED          1    785,315       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $      2,144.00     46,530   SH         DEFINED       1,15     46,530       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $        783.00     17,000   SH         DEFINED      11,15     17,000       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $     27,228.00    590,880   SH         DEFINED         15    487,380       --      84,900
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $        336.00      7,300   SH         DEFINED      15,14         --       --       7,300
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $      6,488.00    140,800   SH         DEFINED       15,8         --       --     140,800
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $      3,414.00     74,089   SH         DEFINED         24     74,089       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $        465.00     10,100   SH         DEFINED       5,15     10,100       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $        248.00      5,384   SH         DEFINED          6      3,488       --       1,896
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $        508.00     11,019   SH         DEFINED          8     11,019       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $      1,273.00     27,619   SH         DEFINED          9     27,619       --          --
AMERICAN ELECTRIC
   POWER                COMMON  025537101 $      2,765.00     60,000   SH         DEFINED       9,15     60,000       --          --
AMERICAN EAGLE
   OUTFITTERS           COMMON  02553E106 $     13,155.00    500,000   SH         DEFINED          1    500,000       --          --
AMERICAN EAGLE
   OUTFITTERS           COMMON  02553E106 $         24.00        900   SH         DEFINED         23        300       --         600
AMERICAN EAGLE
   OUTFITTERS           COMMON  02553E106 $        181.00      6,888   SH         DEFINED         24      6,888       --          --
AMERICAN EQUITY INVT
   LIFE HL              COMMON  025676206 $        440.00     41,300   SH         DEFINED         15     41,300       --          --
AMERICAN EQUITY INVT
   LIFE HL              COMMON  025676206 $        460.00     43,233   SH         DEFINED         24     43,233       --          --
AMERICAN EQUITY INVT
   LIFE HL              COMMON  025676206 $        242.00     22,700   SH         DEFINED       5,15     22,700       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $     16,920.00    285,000   SH         DEFINED          1    285,000       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      1,219.00     20,539   SH         DEFINED       1,15     20,539       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      1,472.00     24,800   SH         DEFINED        1,3     24,800       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $        148.00      2,500   SH         DEFINED      11,15      2,500       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      7,251.00    122,140   SH         DEFINED         15     77,240       --      38,000
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      1,668.00     28,100   SH         DEFINED       15,8         --       --      28,100
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      7,623.00    128,400   SH         DEFINED       20,3    128,400       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      2,523.00     42,500   SH         DEFINED       21,3     42,500       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $         63.00      1,057   SH         DEFINED         22      1,057       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $         54.00        910   SH         DEFINED         23        138       --         772
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      3,732.00     62,863   SH         DEFINED         24     62,863       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $    164,954.00  2,778,400   SH         DEFINED          3  2,778,400       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $     17,915.00    301,747   SH         DEFINED          6    230,179       --      71,568
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $        647.00     10,900   SH         DEFINED          7     10,900       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      1,205.00     20,300   SH         DEFINED          8     20,300       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $      1,626.00     27,393   SH         DEFINED          9     27,393       --          --
AMERICAN EXPRESS
   COMPANY              COMMON  025816109 $        368.00      6,200   SH         DEFINED       9,15      6,200       --          --
AMERICAN FINANCIAL
   GROUP INC            COMMON  025932104 $        114.00      4,010   SH         DEFINED         15      3,410       --         600
AMERICAN FINANCIAL
   GROUP INC            COMMON  025932104 $          4.00        140   SH         DEFINED         23         --       --         140
AMERICAN FINANCIAL
   GROUP INC            COMMON  025932104 $      1,800.00     63,129   SH         DEFINED         24     63,129       --          --
AMERICAN FINANCIAL
   GROUP INC            COMMON  025932104 $         13.00        450   SH         DEFINED          6        450       --          --
AMERICAN FINCVT(AFG)
   144A 1.48           CONVERT  025932AC8 $         63.00    125,000   SH         DEFINED         15         --       --     125,000
AMERICAN FIN
   CVT(AFG) 1.486 6-   CONVERT  025932AD6 $      9,987.00 19,925,000   SH         DEFINED         15         --       --  16,875,000
AMERICAN FINANCIAL
   REALTY TR            COMMON  02607P305 $      3,328.00    413,400   SH         DEFINED         15    244,300       --     169,100




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AMERICAN FINANCIAL
   REALTY TR            COMMON  02607P305 $        128.00     15,950   SH         DEFINED         24     15,950       --          --
AMERICAN GREETINGS
   CORP CL A            COMMON  026375105 $      4,492.00    170,160   SH         DEFINED          1    170,160       --          --
AMERICAN GREETINGS
   CORP CL A            COMMON  026375105 $     20,217.00    765,800   SH         DEFINED         15    477,000       --     283,700
AMERICAN GREETINGS
   CORP CL A            COMMON  026375105 $        370.00     14,000   SH         DEFINED       15,8         --       --      14,000
AMERICAN GREETINGS
   CORP CL A            COMMON  026375105 $      1,373.00     52,023   SH         DEFINED         24     52,023       --          --
AMERICAN GREETINGS
   CORP CL A            COMMON  026375105 $      1,914.00     72,500   SH         DEFINED       5,15     72,500       --          --
AMERICAN GREETINGS
   CORP CL A            COMMON  026375105 $        368.00     13,946   SH         DEFINED          9     13,946       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $     81,677.00  1,207,349   SH         DEFINED          1  1,207,349       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      7,893.00    116,670   SH         DEFINED       1,15    116,670       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      2,435.00     36,000   SH         DEFINED      11,15     36,000       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $     35,752.00    528,479   SH         DEFINED         12     96,079       --     432,400
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $        294.00      4,350   SH         DEFINED      12,14      4,350       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $    150,312.00  2,221,906   SH         DEFINED         15  1,759,156       --     403,550
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      2,388.00     35,300   SH         DEFINED      15,14         --       --      35,300
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $     14,247.00    210,600   SH         DEFINED       15,8         --       --     210,600
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $         22.00        320   SH         DEFINED      20,12        320       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $        690.00     10,200   SH         DEFINED      20,15         --       --      10,200
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $        331.00      4,887   SH         DEFINED         21      4,887       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      2,119.00     31,320   SH         DEFINED      21,15         --       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      1,439.00     21,270   SH         DEFINED         22     21,270       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $         41.00        610   SH         DEFINED         23        149       --         461
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $     25,833.00    381,862   SH         DEFINED         24    381,862       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      6,105.00     90,248   SH         DEFINED          4     90,248       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      5,336.00     78,880   SH         DEFINED       5,15     72,800       --       6,080
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $     23,594.00    348,768   SH         DEFINED          6    253,571       --      95,197
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $        257.00      3,800   SH         DEFINED          7      3,800       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $      5,122.00     75,710   SH         DEFINED          8     75,710       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $    121,864.00  1,801,385   SH         DEFINED          9  1,801,385       --          --
AMERICAN
   INTERNATIONAL
   GROUP                COMMON  026874107 $     10,831.00    160,109   SH         DEFINED       9,15    133,500       --      26,609
AMERICAN MEDICAL
   SYS HLDGS            COMMON  02744M108 $      7,695.00    453,993   SH         DEFINED          1    453,993       --          --
AMERICAN MEDICAL
   SYS HLDGS            COMMON  02744M108 $         61.00      3,600   SH         DEFINED         19      3,600       --          --
AMERICAN MEDICAL
   SYS HLDGS            COMMON  02744M108 $        634.00     37,412   SH         DEFINED          2     37,412       --          --
AMERICAN MEDICAL
   SYS HLDGS            COMMON  02744M108 $         15.00        906   SH         DEFINED       20,2         --       --         906
AMERICAN MEDICAL
   SYS HLDGS            COMMON  02744M108 $        971.00     57,302   SH         DEFINED       21,2         --       --      57,302
AMERICAN MEDICAL
   SYS HLDGS            COMMON  02744M108 $         53.00      3,147   SH         DEFINED         24      3,147       --          --
AMERICAN NATIONAL
   INSURANCE            COMMON  028591105 $         33.00        250   SH         DEFINED         15        200       --          50
AMERICAN NATIONAL
   INSURANCE            COMMON  028591105 $      1,848.00     14,047   SH         DEFINED         24     14,047       --          --
AMERICAN NATIONAL
   INSURANCE            COMMON  028591105 $          6.00         43   SH         DEFINED          6         --       --          43
AMERICAN OIL & GAS
   INC                  COMMON  028723104 $        230.00     39,647   SH         DEFINED         24     39,647       --          --
AMERICAN PHYSICIANS
   CAP INC              COMMON  028884104 $      3,010.00     77,250   SH         DEFINED         15     55,250       --      22,000
AMERICAN PHYSICIANS
   CAP INC              COMMON  028884104 $      1,071.00     27,479   SH         DEFINED         24     27,479       --          --
AMERICAN PHYSICIANS
   CAP INC              COMMON  028884104 $        801.00     20,550   SH         DEFINED       5,15     20,550       --          --
AMERICAN RAILCAR
   INDUSTRIES           COMMON  02916P103 $         21.00        965   SH         DEFINED         24        965       --          --
AMERICAN
   REPROGRAPHICS CO     COMMON  029263100 $          6.00        331   SH         DEFINED         23        250       --          81
AMERICAN
   REPROGRAPHICS CO     COMMON  029263100 $         73.00      3,916   SH         DEFINED         24      3,916       --          --
AMERICAN
   REPROGRAPHICS CO     COMMON  029263100 $      4,439.00    237,116   SH         DEFINED          6    187,631       --      49,485
AMERICAN SCIENCE &
   ENGINEERING          COMMON  029429107 $      1,100.00     17,561   SH         DEFINED         24     17,561       --          --
AMERICAN SOFTWARE
   INC                  COMMON  029683109 $         45.00      4,900   SH         DEFINED         15      4,900       --          --
AMERICAN SOFTWARE
   INC                  COMMON  029683109 $        399.00     43,318   SH         DEFINED         24     43,318       --          --
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $     88,082.00  2,472,833   SH         DEFINED          1  2,472,833       --          --
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $        112.00      3,150   SH         DEFINED       1,15      3,150       --          --
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $      1,313.00     36,855   SH         DEFINED         15     36,855       --          --
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $      2,787.00     78,240   SH         DEFINED         24     78,240       --          --
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $      5,609.00    157,476   SH         DEFINED          4    157,476       --          --
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $      1,207.00     33,895   SH         DEFINED          6        900       --      32,995
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $        134.00      3,750   SH         DEFINED          8      3,750       --          --
AMERICAN STANDARD
   COMPANIES            COMMON  029712106 $        466.00     13,081   SH         DEFINED          9     13,081       --          --
AMERICAN STATES
   WATER CO             COMMON  029899101 $     45,204.00  1,159,066   SH         DEFINED         24  1,159,066       --          --
AMERICAN STATES
   WATER CO             COMMON  029899101 $         97.00      2,475   SH         DEFINED          6         --       --       2,475
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $     73,591.00  1,690,188   SH         DEFINED          1  1,690,188       --          --
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $        866.00     19,900   SH         DEFINED         19     19,900       --          --
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $      1,013.00     23,276   SH         DEFINED          2         --       --      23,276
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $      4,821.00    110,731   SH         DEFINED       21,2    110,731       --          --
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $            --          4   SH         DEFINED         23         --       --           4
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $      7,982.00    183,336   SH         DEFINED         24    183,336       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $         16.00        370   SH         DEFINED          6         --       --         370
AMERICAN TOWER
   CORP CL A            COMMON  029912201 $        272.00      6,253   SH         DEFINED          8      6,253       --          --
AMERICAN
   SUPERCONDUCTOR
   CORP                 COMMON  030111108 $     36,755.00  1,794,691   SH         DEFINED         24  1,794,691       --          --
AMERICAN WOODMARK
   CORP                 COMMON  030506109 $        964.00     38,900   SH         DEFINED         15     29,600       --       9,300
AMERICAN WOODMARK
   CORP                 COMMON  030506109 $         41.00      1,635   SH         DEFINED         24      1,635       --          --
AMERICAN WOODMARK
   CORP                 COMMON  030506109 $        240.00      9,700   SH         DEFINED       5,15      9,700       --          --
AMERICREDIT CORP        COMMON  03060R101 $        382.00     21,736   SH         DEFINED         24     21,736       --          --
AMERIGON INC            COMMON  03070L300 $     21,569.00  1,246,056   SH         DEFINED         24  1,246,056       --          --
AMERISTAR CASINOS
   INC                  COMMON  03070Q101 $        123.00      4,391   SH         DEFINED         24      4,391       --          --
AMERON INTERNATIONAL
   CORP                 COMMON  030710107 $     56,915.00    538,097   SH         DEFINED         24    538,097       --          --
AMERISAFE INC           COMMON  03071H100 $        229.00     13,850   SH         DEFINED         15     13,850       --          --
AMERISAFE INC           COMMON  03071H100 $        604.00     36,535   SH         DEFINED         24     36,535       --          --
AMERISAFE INC           COMMON  03071H100 $         63.00      3,800   SH         DEFINED       5,15      3,800       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $     32,211.00    710,588   SH         DEFINED          1    710,588       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      1,655.00     36,513   SH         DEFINED       1,15     36,513       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      2,929.00     64,624   SH         DEFINED         10     64,624       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $        653.00     14,400   SH         DEFINED      11,15     14,400       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      1,529.00     33,739   SH         DEFINED       11,8     33,739       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $        790.00     17,429   SH         DEFINED         14     17,429       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $     26,057.00    574,830   SH         DEFINED         15    383,480       --     173,750
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $        725.00     16,000   SH         DEFINED      15,14         --       --      16,000
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $        630.00     13,900   SH         DEFINED       15,8         --       --      13,900
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      5,748.00    126,814   SH         DEFINED          2    126,814       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $         44.00        967   SH         DEFINED       21,2        967       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      7,795.00    171,966   SH         DEFINED         22    171,966       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      6,909.00    152,417   SH         DEFINED         24    152,417       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $        273.00      6,024   SH         DEFINED          4      6,024       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      1,224.00     27,000   SH         DEFINED       5,15     27,000       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $        408.00      9,000   SH         DEFINED          7      9,000       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      5,889.00    129,923   SH         DEFINED          8    129,923       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $     38,241.00    843,603   SH         DEFINED          9    843,603       --          --
AMERISOURCEBERGEN
   CORP                 COMMON  03073E105 $      3,694.00     81,500   SH         DEFINED       9,15     81,500       --          --
AMERIGROUP CORP         COMMON  03073T102 $      5,845.00    169,525   SH         DEFINED          1    169,525       --          --
AMERIGROUP CORP         COMMON  03073T102 $        138.00      4,005   SH         DEFINED       21,2      4,005       --          --
AMERIGROUP CORP         COMMON  03073T102 $        213.00      6,178   SH         DEFINED         24      6,178       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $    144,470.00  2,289,178   SH         DEFINED          1  2,289,178       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $        258.00      4,083   SH         DEFINED       1,15      4,083       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $        133.00      2,100   SH         DEFINED         15      1,400       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $     18,763.00    297,312   SH         DEFINED          2    297,312       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $         39.00        619   SH         DEFINED         23        610       --           9
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $      6,044.00     95,777   SH         DEFINED         24     95,777       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $        235.00      3,726   SH         DEFINED          4      3,726       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $        378.00      5,992   SH         DEFINED          6      2,794       --       3,198
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $        138.00      2,180   SH         DEFINED          7      2,180       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $        386.00      6,117   SH         DEFINED          8      6,117       --          --
AMERIPRISE FINANCIAL
   INC                  COMMON  03076C106 $        604.00      9,576   SH         DEFINED        9,2      9,576       --          --
AMERIS BANCORP          COMMON  03076K108 $        831.00     45,942   SH         DEFINED         15     33,342       --      12,600
AMERIS BANCORP          COMMON  03076K108 $        359.00     19,831   SH         DEFINED         24     19,831       --          --
AMERIS BANCORP          COMMON  03076K108 $        237.00     13,100   SH         DEFINED       5,15     13,100       --          --
AMETEK INC              COMMON  031100100 $        367.00      8,500   SH         DEFINED         14      8,500       --          --
AMETEK INC              COMMON  031100100 $        367.00      8,500   SH         DEFINED       14,3      8,500       --          --
AMETEK INC              COMMON  031100100 $          6.00        135   SH         DEFINED         23         --       --         135
AMETEK INC              COMMON  031100100 $      4,073.00     94,238   SH         DEFINED         24     94,238       --          --
AMETEK INC              COMMON  031100100 $     78,189.00  1,809,100   SH         DEFINED          3  1,809,100       --          --
AMETEK INC              COMMON  031100100 $          8.00        177   SH         DEFINED          6         --       --         177
AMGEN INC               COMMON  031162100 $    358,163.00  6,331,322   SH         DEFINED          1  6,331,322       --          --
AMGEN INC               COMMON  031162100 $      1,068.00     18,883   SH         DEFINED       1,15     18,883       --          --
AMGEN INC               COMMON  031162100 $        424.00      7,500   SH         DEFINED      11,15      7,500       --          --
AMGEN INC               COMMON  031162100 $     67,178.00  1,187,520   SH         DEFINED         15    844,720       --     303,900
AMGEN INC               COMMON  031162100 $      1,397.00     24,700   SH         DEFINED      15,14         --       --      24,700
AMGEN INC               COMMON  031162100 $      4,644.00     82,100   SH         DEFINED       15,8         --       --      82,100
AMGEN INC               COMMON  031162100 $        627.00     11,080   SH         DEFINED         19     11,080       --          --
AMGEN INC               COMMON  031162100 $      6,601.00    116,694   SH         DEFINED          2    116,694       --          --
AMGEN INC               COMMON  031162100 $        130.00      2,298   SH         DEFINED       20,2         --       --       2,298
AMGEN INC               COMMON  031162100 $      8,448.00    149,331   SH         DEFINED       21,2         --       --     149,331




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AMGEN INC               COMMON  031162100 $        147.00      2,595   SH         DEFINED         22      2,595       --          --
AMGEN INC               COMMON  031162100 $         18.00        318   SH         DEFINED         23         37       --         281
AMGEN INC               COMMON  031162100 $     33,780.00    597,128   SH         DEFINED         24    597,128       --          --
AMGEN INC               COMMON  031162100 $          5.00         85   SH         DEFINED          4         85       --          --
AMGEN INC               COMMON  031162100 $      2,840.00     50,200   SH         DEFINED       5,15     50,200       --          --
AMGEN INC               COMMON  031162100 $        896.00     15,837   SH         DEFINED          6      2,900       --      12,937
AMGEN INC               COMMON  031162100 $        252.00      4,450   SH         DEFINED          7      4,450       --          --
AMGEN INC               COMMON  031162100 $      2,007.00     35,473   SH         DEFINED          8     35,473       --          --
AMGEN INC               COMMON  031162100 $     32,724.00    578,474   SH         DEFINED          9    578,474       --          --
AMGEN INC               COMMON  031162100 $        458.00      8,100   SH         DEFINED       9,15      8,100       --          --
AMGEN INC (AMGN) CVT
   144A 0.37           CONVERT  031162AP5 $     33,465.00 36,825,000   SH         DEFINED         15         --       --  31,200,000
AMGEN INC (AMGN)
   CVT 0.375 02-       CONVERT  031162AQ3 $     15,676.00 17,250,000   SH         DEFINED         15         --       --  14,600,000
AMIS HOLDINGS INC       COMMON  031538101 $      4,839.00    498,357   SH         DEFINED         24    498,357       --          --
AMIS HOLDINGS INC       COMMON  031538101 $         13.00      1,375   SH         DEFINED          6      1,375       --          --
AMKOR TECHNOLOGY INC    COMMON  031652100 $      8,348.00    724,650   SH         DEFINED         15    475,850       --     248,800
AMKOR TECHNOLOGY INC    COMMON  031652100 $     11,124.00    965,641   SH         DEFINED         24    965,641       --          --
AMKOR TECHNOLOGY INC    COMMON  031652100 $      1,605.00    139,300   SH         DEFINED       5,15    139,300       --          --
AMPAL-AMERICAN
   ISRAEL CORP-A        COMMON  032015109 $            --          3   SH         DEFINED         23         --       --           3
AMPCO-PITTSBURGH CORP   COMMON  032037103 $        112.00      2,840   SH         DEFINED          6         --       --       2,840
AMPHENOL CORP CL A      COMMON  032095101 $    183,563.00  4,616,781   SH         DEFINED          1  4,616,781       --          --
AMPHENOL CORP CL A      COMMON  032095101 $        477.00     12,000   SH         DEFINED         19     12,000       --          --
AMPHENOL CORP CL A      COMMON  032095101 $     10,693.00    268,936   SH         DEFINED          2    241,614       --      27,322
AMPHENOL CORP CL A      COMMON  032095101 $      1,903.00     47,858   SH         DEFINED       21,2     47,858       --          --
AMPHENOL CORP CL A      COMMON  032095101 $         16.00        400   SH         DEFINED         23        400       --          --
AMPHENOL CORP CL A      COMMON  032095101 $      3,324.00     83,597   SH         DEFINED         24     83,597       --          --
AMPHENOL CORP CL A      COMMON  032095101 $        674.00     16,950   SH         DEFINED          6         --       --      16,950
AMPHENOL CORP CL A      COMMON  032095101 $        535.00     13,456   SH         DEFINED        9,2     13,456       --          --
AMREP CORP              COMMON  032159105 $        907.00     33,850   SH         DEFINED         15     19,650       --      14,200
AMREP CORP              COMMON  032159105 $        252.00      9,401   SH         DEFINED         24      9,401       --          --
AMREP CORP              COMMON  032159105 $        118.00      4,400   SH         DEFINED       5,15      4,400       --          --
AMSURG CORP             COMMON  03232P405 $         99.00      4,311   SH         DEFINED         24      4,311       --          --
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $      8,924.00    178,488   SH         DEFINED          1    178,488       --          --
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $         80.00      1,600   SH         DEFINED         19      1,600       --          --
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $        743.00     14,858   SH         DEFINED          2     14,858       --          --
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $         18.00        363   SH         DEFINED       20,2         --       --         363
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $      1,156.00     23,126   SH         DEFINED       21,2         --       --      23,126
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $         30.00        600   SH         DEFINED         23         --       --         600
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $      1,877.00     37,535   SH         DEFINED         24     37,535       --          --
AMYLIN
   PHARMACEUTICALS
   INC                  COMMON  032346108 $        127.00      2,532   SH         DEFINED          8      2,532       --          --
AMTRUST
   FINANCIAL
   SERVICES             COMMON  032359309 $      1,064.00     70,154   SH         DEFINED         24     70,154       --          --
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $     36,819.00    685,000   SH         DEFINED          1    685,000       --          --
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $        433.00      8,053   SH         DEFINED       1,15      8,053       --          --
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $     22,397.00    416,688   SH         DEFINED         12    115,688       --     301,000
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $        339.00      6,300   SH         DEFINED      12,14      6,300       --          --
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $      6,611.00    123,000   SH         DEFINED       14,2         --       --     123,000
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $     15,730.00    292,643   SH         DEFINED         15    269,033       --      23,610
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $         26.00        475   SH         DEFINED      20,12        475       --          --
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $        822.00     15,300   SH         DEFINED      20,15         --       --      15,300
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $      2,833.00     52,710   SH         DEFINED      21,15         --       --          --
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $          1.00         19   SH         DEFINED         23         --       --          19
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $      3,118.00     58,008   SH         DEFINED         24     58,008       --          --
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $        550.00     10,226   SH         DEFINED       5,15         --       --      10,226
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $        492.00      9,152   SH         DEFINED          6      8,870       --         282
ANADARKO
   PETROLEUM CORP       COMMON  032511107 $        501.00      9,318   SH         DEFINED          8      9,318       --          --
ANADARKO
  PETROLEUM CORP        COMMON  032511107 $      2,075.00     38,600   SH         DEFINED       9,15         --       --      38,600
ANADIGICS INC           COMMON  032515108 $      3,229.00    178,600   SH         DEFINED          3    178,600       --          --
ANALOG DEVICES          COMMON  032654105 $    111,833.00  3,092,731   SH         DEFINED          1  3,092,731       --          --
ANALOG DEVICES          COMMON  032654105 $        195.00      5,402   SH         DEFINED       1,15      5,402       --          --
ANALOG DEVICES          COMMON  032654105 $     10,999.00    304,186   SH         DEFINED         15    175,586       --     124,300
ANALOG DEVICES          COMMON  032654105 $        720.00     19,900   SH         DEFINED       15,8         --       --      19,900
ANALOG DEVICES          COMMON  032654105 $        350.00      9,676   SH         DEFINED          2      9,676       --          --
ANALOG DEVICES          COMMON  032654105 $        320.00      8,860   SH         DEFINED         21      8,860       --          --
ANALOG DEVICES          COMMON  032654105 $        157.00      4,334   SH         DEFINED         22      4,334       --          --
ANALOG DEVICES          COMMON  032654105 $          4.00        103   SH         DEFINED         23         15       --          88
ANALOG DEVICES          COMMON  032654105 $     19,672.00    544,028   SH         DEFINED         24    544,028       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ANALOG DEVICES          COMMON  032654105 $     11,377.00    314,640   SH         DEFINED          3    314,640       --          --
ANALOG DEVICES          COMMON  032654105 $     21,898.00    605,596   SH         DEFINED          4    605,596       --          --
ANALOG DEVICES          COMMON  032654105 $        250.00      6,914   SH         DEFINED          6      6,026       --         888
ANALOG DEVICES          COMMON  032654105 $        447.00     12,350   SH         DEFINED          8     12,350       --          --
ANALOG DEVICES          COMMON  032654105 $      5,827.00    161,135   SH         DEFINED          9    161,135       --          --
ANALOGIC CORP           COMMON  032657207 $        545.00      8,552   SH         DEFINED         24      8,552       --          --
ANALOGIC CORP           COMMON  032657207 $         16.00        255   SH         DEFINED          6        255       --          --
ANCHOR BANCORP
   WISCONSIN INC        COMMON  032839102 $         95.00      3,509   SH         DEFINED         24      3,509       --          --
ANDERSONS INC - THE     COMMON  034164103 $      1,625.00     33,833   SH         DEFINED         24     33,833       --          --
ANDREW CORP             COMMON  034425108 $        304.00     21,949   SH         DEFINED         24     21,949       --          --
ANESIVA INC             COMMON  03460L100 $            --         26   SH         DEFINED         23         --       --          26
ANGELICA CORP           COMMON  034663104 $        417.00     21,168   SH         DEFINED         24     21,168       --          --
ANGLO AMERICAN
   PLC-UNSP ADR         COMMON  03485P201 $         11.00        325   SH         DEFINED         12        325       --          --
ANGLO AMERICAN
   PLC-UNSP ADR         COMMON  03485P201 $            --          4   SH         DEFINED         23         --       --           4
ANGLOGOLD ASHANTI
   LTD ADR              COMMON  035128206 $      7,034.00    150,000   SH         DEFINED          1    150,000       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $     53,796.00  1,076,127   SH         DEFINED          1  1,076,127       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $        650.00     13,012   SH         DEFINED       1,15     13,012       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $        768.00     15,361   SH         DEFINED         10     15,361       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $      1,225.00     24,500   SH         DEFINED      11,15     24,500       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $        401.00      8,018   SH         DEFINED       11,8      8,018       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $        275.00      5,504   SH         DEFINED         14      5,504       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $        984.00     19,678   SH         DEFINED       14,2         --       --      19,678
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $     29,562.00    591,360   SH         DEFINED         15    472,860       --     105,900
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $      4,774.00     95,500   SH         DEFINED       15,8         --       --      95,500
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $          2.00         34   SH         DEFINED         23          7       --          27
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $      3,582.00     71,655   SH         DEFINED         24     71,655       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $         65.00      1,300   SH         DEFINED       5,15      1,300       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $        280.00      5,594   SH         DEFINED          6      4,914       --         680
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $      2,250.00     45,010   SH         DEFINED          8     45,010       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $     38,900.00    778,147   SH         DEFINED          9    778,147       --          --
ANHEUSER-BUSCH COS
   INC                  COMMON  035229103 $      7,049.00    141,000   SH         DEFINED       9,15    141,000       --          --
ANIMAL HEALTH
   INTERNATIONAL        COMMON  03525N109 $      8,730.00    784,376   SH         DEFINED          1    784,376       --          --
ANIMAL HEALTH
   INTERNATIONAL        COMMON  03525N109 $         85.00      7,600   SH         DEFINED         19      7,600       --          --
ANIMAL HEALTH
   INTERNATIONAL        COMMON  03525N109 $        732.00     65,764   SH         DEFINED          2     65,764       --          --
ANIMAL HEALTH
   INTERNATIONAL        COMMON  03525N109 $         18.00      1,618   SH         DEFINED       20,2         --       --       1,618
ANIMAL HEALTH
   INTERNATIONAL        COMMON  03525N109 $      1,143.00    102,658   SH         DEFINED       21,2         --       --     102,658
ANIXTER
   INTERNATIONAL
   INC                  COMMON  035290105 $      5,346.00     64,845   SH         DEFINED         24     64,845       --          --
ANNALY CAPITAL
   MANAGEMENT INC       COMMON  035710409 $         10.00        623   SH         DEFINED         23         --       --         623
ANNALY CAPITAL
   MANAGEMENT INC       COMMON  035710409 $        723.00     45,355   SH         DEFINED         24     45,355       --          --
ANNTAYLOR STORES
   CORP                 COMMON  036115103 $      3,374.00    106,544   SH         DEFINED         24    106,544       --          --
ANSOFT CORP             COMMON  036384105 $     10,893.00    330,287   SH         DEFINED          1    330,287       --          --
ANSOFT CORP             COMMON  036384105 $      2,210.00     67,000   SH         DEFINED         15     39,000       --      28,000
ANSOFT CORP             COMMON  036384105 $      8,199.00    248,600   SH         DEFINED          2    248,600       --          --
ANSOFT CORP             COMMON  036384105 $         12.00        354   SH         DEFINED         24        354       --          --
ANSOFT CORP             COMMON  036384105 $        294.00      8,900   SH         DEFINED       5,15      8,900       --          --
ANSYS INC               COMMON  03662Q105 $     21,099.00    617,458   SH         DEFINED          1    617,458       --          --
ANSYS INC               COMMON  03662Q105 $     15,804.00    462,515   SH         DEFINED          2    462,515       --          --
ANSYS INC               COMMON  03662Q105 $          5.00        136   SH         DEFINED         23        130       --           6
ANSYS INC               COMMON  03662Q105 $      4,886.00    142,984   SH         DEFINED         24    142,984       --          --
ANSYS INC               COMMON  03662Q105 $      3,386.00     99,085   SH         DEFINED          6     57,175       --      41,910
ANTARES PHARMA INC      COMMON  036642106 $            --        275   SH         DEFINED         23         --       --         275
ANTHRACITE CAPITAL
   INC                  COMMON  037023108 $        155.00     17,031   SH         DEFINED         24     17,031       --          --
ANWORTH MORTGAGE
   ASSET CORP           COMMON  037347101 $        341.00     63,347   SH         DEFINED         24     63,347       --          --
ANWORTH MORTGAGE
   ASSET CORP           COMMON  037347101 $        101.00     18,700   SH         DEFINED          6         --       --      18,700
AON CORP                COMMON  037389103 $     31,159.00    695,363   SH         DEFINED          1    695,363       --          --
AON CORP                COMMON  037389103 $        227.00      5,062   SH         DEFINED       1,15      5,062       --          --
AON CORP                COMMON  037389103 $         24.00        530   SH         DEFINED         23         --       --         530
AON CORP                COMMON  037389103 $     13,245.00    295,592   SH         DEFINED         24    295,592       --          --
AON CORP                COMMON  037389103 $        203.00      4,526   SH         DEFINED          6      3,000       --       1,526
AON CORP                COMMON  037389103 $        256.00      5,720   SH         DEFINED          8      5,720       --          --
APACHE CORP             COMMON  037411105 $    212,745.00  2,362,262   SH         DEFINED          1  2,362,262       --          --
APACHE CORP             COMMON  037411105 $        519.00      5,763   SH         DEFINED       1,15      5,763       --          --
APACHE CORP             COMMON  037411105 $     31,980.00    355,099   SH         DEFINED         12    122,799       --     232,300
APACHE CORP             COMMON  037411105 $        455.00      5,050   SH         DEFINED      12,14      5,050       --          --
APACHE CORP             COMMON  037411105 $      8,646.00     96,000   SH         DEFINED       14,2         --       --      96,000




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
APACHE CORP             COMMON  037411105 $     12,313.00    136,722   SH         DEFINED         15    113,567       --      21,455
APACHE CORP             COMMON  037411105 $        464.00      5,154   SH         DEFINED          2      5,154       --          --
APACHE CORP             COMMON  037411105 $         40.00        445   SH         DEFINED      20,12        445       --          --
APACHE CORP             COMMON  037411105 $      1,099.00     12,200   SH         DEFINED      20,15         --       --      12,200
APACHE CORP             COMMON  037411105 $      1,417.00     15,730   SH         DEFINED      21,15         --       --          --
APACHE CORP             COMMON  037411105 $         46.00        510   SH         DEFINED         23         77       --         433
APACHE CORP             COMMON  037411105 $     16,453.00    182,685   SH         DEFINED         24    182,685       --          --
APACHE CORP             COMMON  037411105 $      1,063.00     11,800   SH         DEFINED          4     11,800       --          --
APACHE CORP             COMMON  037411105 $        270.00      3,000   SH         DEFINED       5,15         --       --       3,000
APACHE CORP             COMMON  037411105 $     11,420.00    126,801   SH         DEFINED          6    103,891       --      22,910
APACHE CORP             COMMON  037411105 $        538.00      5,971   SH         DEFINED          8      5,971       --          --
APACHE CORP             COMMON  037411105 $      2,784.00     30,908   SH         DEFINED       9,15         --       --      30,908
APCO ARGENTINA INC      COMMON  037489101 $         27.00        253   SH         DEFINED         24        253       --          --
APARTMENT INVT &
   MGMT CO CL A         COMMON  03748R101 $         76.00      1,678   SH         DEFINED       1,15      1,678       --          --
APARTMENT INVT &
   MGMT CO CL A         COMMON  03748R101 $      4,942.00    109,500   SH         DEFINED         15    109,500       --          --
APARTMENT INVT &
   MGMT CO CL A         COMMON  03748R101 $        510.00     11,291   SH         DEFINED         24     11,291       --          --
APARTMENT INVT &
   MGMT CO CL A         COMMON  03748R101 $          8.00        186   SH         DEFINED          6         --       --         186
APOGEE ENTERPRISES
   INC                  COMMON  037598109 $      1,538.00     59,282   SH         DEFINED         24     59,282       --          --
APOGEE ENTERPRISES
   INC                  COMMON  037598109 $        136.00      5,225   SH         DEFINED          6         --       --       5,225
APOLLO GROUP INC
   CL A                 COMMON  037604105 $    401,528.00  6,675,451   SH         DEFINED          1  6,675,451       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $        148.00      2,466   SH         DEFINED       1,15      2,466       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $         50.00        825   SH         DEFINED         14        825       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $         50.00        825   SH         DEFINED       14,2        825       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $      2,719.00     45,200   SH         DEFINED         15     45,200       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $     17,842.00    296,627   SH         DEFINED          2    289,613       --       7,014
APOLLO GROUP INC
   CL A                 COMMON  037604105 $     17,412.00    289,484   SH         DEFINED         24    289,484       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $     17,462.00    290,300   SH         DEFINED          3    290,300       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $     11,645.00    193,600   SH         DEFINED          4    193,600       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $          8.00        140   SH         DEFINED          6         --       --         140
APOLLO GROUP INC
   CL A                 COMMON  037604105 $        140.00      2,334   SH         DEFINED          8      2,334       --          --
APOLLO GROUP INC
   CL A                 COMMON  037604105 $        719.00     11,954   SH         DEFINED        9,2     11,954       --          --
APOLLO INVESTMENT
   CORP CF              COMMON  03761U106 $      6,715.00    322,836   SH         DEFINED         24    322,836       --          --
APPLE INC               COMMON  037833100 $    428,458.00  2,791,800   SH         DEFINED          1  2,791,800       --          --
APPLE INC               COMMON  037833100 $     12,047.00     78,497   SH         DEFINED       1,15     78,497       --          --
APPLE INC               COMMON  037833100 $      3,146.00     20,500   SH         DEFINED      11,15     20,500       --          --
APPLE INC               COMMON  037833100 $    244,702.00  1,594,461   SH         DEFINED         15  1,195,561       --     348,200
APPLE INC               COMMON  037833100 $      7,213.00     47,000   SH         DEFINED      15,14         --       --      47,000
APPLE INC               COMMON  037833100 $     10,037.00     65,400   SH         DEFINED       15,8         --       --      65,400
APPLE INC               COMMON  037833100 $      4,374.00     28,500   SH         DEFINED         19     28,500       --          --
APPLE INC               COMMON  037833100 $     44,222.00    288,149   SH         DEFINED          2    288,149       --          --
APPLE INC               COMMON  037833100 $      5,969.00     38,891   SH         DEFINED       21,2     38,891       --          --
APPLE INC               COMMON  037833100 $         86.00        562   SH         DEFINED         23        155       --         407
APPLE INC               COMMON  037833100 $     84,063.00    547,750   SH         DEFINED         24    547,750       --          --
APPLE INC               COMMON  037833100 $     13,386.00     87,222   SH         DEFINED        3,1     87,222       --          --
APPLE INC               COMMON  037833100 $        520.00      3,387   SH         DEFINED          4      3,387       --          --
APPLE INC               COMMON  037833100 $     14,058.00     91,600   SH         DEFINED       5,15     91,600       --          --
APPLE INC               COMMON  037833100 $     21,330.00    138,983   SH         DEFINED          6     80,772       --      58,211
APPLE INC               COMMON  037833100 $      6,889.00     44,888   SH         DEFINED          8     44,888       --          --
APPLE INC               COMMON  037833100 $      9,776.00     63,701   SH         DEFINED          9     63,701       --          --
APPLE INC               COMMON  037833100 $     15,807.00    103,000   SH         DEFINED       9,15    103,000       --          --
APPLE INC               COMMON  037833100 $      6,974.00     45,445   SH         DEFINED        9,2     45,445       --          --
APPLEBEE'S INTL
   INC                  COMMON  037899101 $        214.00      8,594   SH         DEFINED         24      8,594       --          --
APPLEBEE'S INTL
   INC                  COMMON  037899101 $         53.00      2,140   SH         DEFINED          6      2,140       --          --
APRIA HEALTHCARE
   GROUP INC            COMMON  037933108 $     46,870.00  1,802,000   SH         DEFINED         15  1,169,200       --     618,000
APRIA HEALTHCARE
   GROUP INC            COMMON  037933108 $      2,422.00     93,100   SH         DEFINED       15,8         --       --      93,100
APRIA HEALTHCARE
   GROUP INC            COMMON  037933108 $      6,018.00    231,356   SH         DEFINED         24    231,356       --          --
APRIA HEALTHCARE
   GROUP INC            COMMON  037933108 $      3,145.00    120,900   SH         DEFINED       5,15    120,900       --          --
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $     59,323.00  1,712,552   SH         DEFINED          1  1,712,552       --          --
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $        110.00      3,171   SH         DEFINED       1,15      3,171       --          --
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $      7,759.00    224,000   SH         DEFINED         15    116,300       --     105,700
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $        208.00      6,000   SH         DEFINED         19      6,000       --          --
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $      1,524.00     44,008   SH         DEFINED          2     44,008       --          --
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $         37.00      1,070   SH         DEFINED       20,2         --       --       1,070
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $      2,336.00     67,430   SH         DEFINED       21,2         --       --      67,430
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $        778.00     22,472   SH         DEFINED         24     22,472       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $         69.00      2,000   SH         DEFINED       5,15      2,000       --          --
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $         29.00        850   SH         DEFINED          6        250       --         600
APPLERA
   CORP-APPLIED
   BIOSYSTEM            COMMON  038020103 $        562.00     16,233   SH         DEFINED          8     16,233       --          --
CELERA
   GROUP-APPLERA
   CORP                 COMMON  038020202 $        320.00     22,777   SH         DEFINED         24     22,777       --          --
APPLIED DIGITAL
   SOLUTIONS            COMMON  038188306 $            --         50   SH         DEFINED         23         --       --          50
APPLIED INDUSTRIAL
   TECH INC             COMMON  03820C105 $        544.00     17,650   SH         DEFINED         15     11,950       --       5,700
APPLIED INDUSTRIAL
   TECH INC             COMMON  03820C105 $      1,345.00     43,624   SH         DEFINED         24     43,624       --          --
APPLIED INDUSTRIAL
   TECH INC             COMMON  03820C105 $         55.00      1,800   SH         DEFINED       5,15      1,800       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $     28,478.00  1,375,746   SH         DEFINED          1  1,375,746       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $        494.00     23,880   SH         DEFINED       1,15     23,880       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $          8.00        400   SH         DEFINED        1,3        400       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      5,464.00    263,946   SH         DEFINED         10    263,946       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      2,571.00    124,200   SH         DEFINED      11,15    124,200       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      2,726.00    131,714   SH         DEFINED       11,8    131,714       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      1,503.00     72,611   SH         DEFINED         14     72,611       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $    108,728.00  5,252,560   SH         DEFINED         15  3,831,860       --   1,299,000
APPLIED MATERIALS
   INC                  COMMON  038222105 $      1,813.00     87,600   SH         DEFINED      15,14         --       --      87,600
APPLIED MATERIALS
   INC                  COMMON  038222105 $      7,870.00    380,200   SH         DEFINED       15,8         --       --     380,200
APPLIED MATERIALS
   INC                  COMMON  038222105 $         62.00      3,000   SH         DEFINED         19      3,000       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      5,578.00    269,458   SH         DEFINED          2    269,458       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $         39.00      1,900   SH         DEFINED       20,3      1,900       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      1,924.00     92,953   SH         DEFINED         21     92,953       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $        461.00     22,292   SH         DEFINED       21,2     22,292       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $         12.00        600   SH         DEFINED       21,3        600       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      6,020.00    290,820   SH         DEFINED         22    290,820       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $          3.00        143   SH         DEFINED         23         53       --          90
APPLIED MATERIALS
   INC                  COMMON  038222105 $     57,592.00  2,782,203   SH         DEFINED         24  2,782,203       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $    238,607.00 11,526,900   SH         DEFINED          3 11,526,900       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $     12,507.00    604,218   SH         DEFINED        3,1    604,218       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      4,484.00    216,600   SH         DEFINED       5,15    216,600       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $        251.00     12,109   SH         DEFINED          6      1,000       --      11,109
APPLIED MATERIALS
   INC                  COMMON  038222105 $     10,759.00    519,735   SH         DEFINED          8    519,735       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $     22,129.00  1,069,052   SH         DEFINED          9  1,069,052       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $     12,490.00    603,400   SH         DEFINED       9,15    603,400       --          --
APPLIED MATERIALS
   INC                  COMMON  038222105 $      5,348.00    258,344   SH         DEFINED        9,2    258,344       --          --
APPLIED MICRO
   CIRCUITS CORP        COMMON  03822W109 $         56.00     17,835   SH         DEFINED         24     17,835       --          --
APPLIED MICRO
   CIRCUITS CORP        COMMON  03822W109 $         52.00     16,384   SH         DEFINED          6     16,384       --          --
APPLIED SIGNAL
  TECHNOLOGY            COMMON  038237103 $        315.00     23,274   SH         DEFINED         24     23,274       --          --
APTARGROUP INC          COMMON  038336103 $      7,346.00    193,969   SH         DEFINED          1    193,969       --          --
APTARGROUP INC          COMMON  038336103 $            --          4   SH         DEFINED         23          4       --          --
APTARGROUP INC          COMMON  038336103 $        809.00     21,357   SH         DEFINED         24     21,357       --          --
AQUA AMERICA INC        COMMON  03836W103 $     36,826.00  1,623,728   SH         DEFINED         24  1,623,728       --          --
AQUA AMERICA INC        COMMON  03836W103 $         87.00      3,844   SH         DEFINED          6      3,844       --          --
AQUILA INC              COMMON  03840P102 $        526.00    131,189   SH         DEFINED         24    131,189       --          --
ARACRUZ CELULOSE
   SA ADR               COMMON  038496204 $         15.00        200   SH         DEFINED         24        200       --          --
ARACRUZ CELULOSE
   SA ADR               COMMON  038496204 $      9,935.00    135,000   SH         DEFINED          3    135,000       --          --
ARACRUZ CELULOSE
   SA ADR               COMMON  038496204 $      3,680.00     50,000   SH         DEFINED          9     50,000       --          --
ARBINET-THEXCHANGE
   INC                  COMMON  03875P100 $     20,301.00  3,383,441   SH         DEFINED          9  3,383,441       --          --
ARBINET-THEXCHANGE
  INC                   COMMON  03875P100 $      1,004.00    167,400   SH         DEFINED       9,22    167,400       --          --
ARBITRON INC            COMMON  03875Q108 $      9,535.00    210,300   SH         DEFINED         15    141,600       --      68,700
ARBITRON INC            COMMON  03875Q108 $      1,512.00     33,352   SH         DEFINED         24     33,352       --          --
ARBITRON INC            COMMON  03875Q108 $      1,709.00     37,700   SH         DEFINED       5,15     37,700       --          --
ARBITRON INC            COMMON  03875Q108 $        272.00      6,000   SH         DEFINED          6         --       --       6,000
ARBOR REALTY TRUST
   INC                  COMMON  038923108 $        327.00     17,302   SH         DEFINED         24     17,302       --          --
ARCADIS NV - NY
   REGISTRY SH          COMMON  03923E107 $         57.00        800   SH         DEFINED         23         --       --         800
ARCH CHEMICALS INC      COMMON  03937R102 $      1,012.00     21,586   SH         DEFINED         24     21,586       --          --
ARCH COAL INC           COMMON  039380100 $          2.00         65   SH         DEFINED         23          7       --          58
ARCH COAL INC           COMMON  039380100 $        295.00      8,736   SH         DEFINED         24      8,736       --          --
ARCH COAL INC           COMMON  039380100 $        117.00      3,467   SH         DEFINED          6      2,100       --       1,367
ARCHER-DANIELS-
   MIDLAND CO           COMMON  039483102 $      8,382.00    253,400   SH         DEFINED          1    253,400       --          --
ARCHER-DANIELS-
   MIDLAND CO           COMMON  039483102 $        370.00     11,173   SH         DEFINED       1,15     11,173       --          --
ARCHER-DANIELS-
   MIDLAND CO           COMMON  039483102 $          7.00        202   SH         DEFINED         23         --       --         202
ARCHER-DANIELS-
   MIDLAND CO           COMMON  039483102 $      2,310.00     69,821   SH         DEFINED         24     69,821       --          --
ARCHER-DANIELS-
   MIDLAND CO           COMMON  039483102 $        336.00     10,153   SH         DEFINED          8     10,153       --          --
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $     32,506.00    540,498   SH         DEFINED       1,15    540,498       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $    180,058.00  2,993,973   SH         DEFINED         15  1,890,526       --     883,347
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $      3,500.00     58,200   SH         DEFINED       2,15     58,200       --          --
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $      2,622.00     43,600   SH         DEFINED      20,15     43,600       --          --
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $          1.00         13   SH         DEFINED         23         --       --          13
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $      1,066.00     17,725   SH         DEFINED         24     17,725       --          --
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $     16,594.00    275,922   SH         DEFINED       5,15    275,922       --          --
ARCHSTONE-SMITH
   TRUST                COMMON  039583109 $         46.00        766   SH         DEFINED          6         --       --         766
ARCTIC CAT INC          COMMON  039670104 $        210.00     12,809   SH         DEFINED         24     12,809       --          --
ARENA
   PHARMACEUTICALS
   INC                  COMMON  040047102 $      3,571.00    326,098   SH         DEFINED          1    326,098       --          --
ARENA
   PHARMACEUTICALS
   INC                  COMMON  040047102 $        295.00     26,954   SH         DEFINED          2     26,954       --          --
ARENA
   PHARMACEUTICALS
   INC                  COMMON  040047102 $          7.00        676   SH         DEFINED       20,2         --       --         676
ARENA
   PHARMACEUTICALS
   INC                  COMMON  040047102 $        460.00     42,039   SH         DEFINED       21,2         --       --      42,039
ARENA
  PHARMACEUTICALS
   INC                  COMMON  040047102 $      5,177.00    472,742   SH         DEFINED         24    472,742       --          --
ARENA RESOURCES
   INC                  COMMON  040049108 $     11,666.00    178,105   SH         DEFINED          1    178,105       --          --
ARENA RESOURCES
   INC                  COMMON  040049108 $      8,854.00    135,170   SH         DEFINED          2    135,170       --          --
ARES CAPITAL CORP       COMMON  04010L103 $      5,179.00    318,299   SH         DEFINED         24    318,299       --          --
ARGON ST INC            COMMON  040149106 $        859.00     43,384   SH         DEFINED         24     43,384       --          --
ARIBA INC               COMMON  04033V203 $      8,812.00    817,477   SH         DEFINED          1    817,477       --          --
ARIBA INC               COMMON  04033V203 $        376.00     34,886   SH         DEFINED         24     34,886       --          --
ARKANSAS BEST CORP      COMMON  040790107 $        608.00     18,627   SH         DEFINED         24     18,627       --          --
ARMSTRONG WORLD
   INDUSTRIES           COMMON  04247X102 $        876.00     21,589   SH         DEFINED         24     21,589       --          --
ARRIS GROUP INC         COMMON  04269Q100 $      1,233.00     99,863   SH         DEFINED         24     99,863       --          --
ARRAY BIOPHARMA
   INC                  COMMON  04269X105 $      3,570.00    317,905   SH         DEFINED          1    317,905       --          --
ARRAY BIOPHARMA
   INC                  COMMON  04269X105 $        295.00     26,277   SH         DEFINED          2     26,277       --          --
ARRAY BIOPHARMA
   INC                  COMMON  04269X105 $          9.00        759   SH         DEFINED       20,2         --       --         759
ARRAY BIOPHARMA
   INC                  COMMON  04269X105 $        460.00     40,982   SH         DEFINED       21,2         --       --      40,982
ARROW ELECTRONICS
   INC                  COMMON  042735100 $      5,844.00    137,437   SH         DEFINED         24    137,437       --          --
ARROW ELECTRONICS
   INC                  COMMON  042735100 $          7.00        163   SH         DEFINED          6         --       --         163
ARROW FINANCIAL
   CORP                 COMMON  042744102 $         83.00      3,720   SH         DEFINED         15      3,720       --          --
ARROW FINANCIAL
   CORP                 COMMON  042744102 $         40.00      1,779   SH         DEFINED         24      1,779       --          --
ARROW FINANCIAL
   CORP                 COMMON  042744102 $         59.00      2,652   SH         DEFINED       5,15      2,652       --          --
ARROW
   INTERNATIONAL
   INC                  COMMON  042764100 $      1,695.00     37,253   SH         DEFINED         24     37,253       --          --
ARROW
   INTERNATIONAL
   INC                  COMMON  042764100 $         10.00        230   SH         DEFINED          6        230       --          --
ARROWHEAD
   RESEARCH CORP        COMMON  042797100 $      9,013.00  1,784,678   SH         DEFINED         24  1,784,678       --          --
ART TECHNOLOGY
   GROUP INC            COMMON  04289L107 $         58.00     19,174   SH         DEFINED          6     19,174       --          --
ARTHROCARE CORP         COMMON  043136100 $     10,055.00    179,904   SH         DEFINED         24    179,904       --          --
ARVINMERITOR INC.       COMMON  043353101 $      6,868.00    408,300   SH         DEFINED         15    185,300       --     223,000
ARVINMERITOR INC.       COMMON  043353101 $        452.00     26,877   SH         DEFINED         24     26,877       --          --
ARVINMERITOR INC.       COMMON  043353101 $         92.00      5,450   SH         DEFINED          6         --       --       5,450
ASBURY AUTOMOTIVE
   GROUP                COMMON  043436104 $        265.00     13,370   SH         DEFINED         24     13,370       --          --
ASHFORD
   HOSPITALITY
   TRUST                COMMON  044103109 $      3,629.00    361,100   SH         DEFINED       1,15    361,100       --          --
ASHFORD
   HOSPITALITY
   TRUST                COMMON  044103109 $      2,096.00    208,600   SH         DEFINED         15    101,700       --     106,900
ASHFORD
   HOSPITALITY
   TRUST                COMMON  044103109 $         77.00      7,702   SH         DEFINED         24      7,702       --          --
ASHLAND INC             COMMON  044209104 $         59.00        975   SH         DEFINED       1,15        975       --          --
ASHLAND INC             COMMON  044209104 $      2,781.00     46,192   SH         DEFINED         24     46,192       --          --
ASHLAND INC             COMMON  044209104 $        185.00      3,075   SH         DEFINED          6      3,000       --          75
ASIAINFO HOLDINGS
   INC                  COMMON  04518A104 $      4,908.00    541,700   SH         DEFINED         15    365,700       --     176,000
ASIAINFO HOLDINGS
   INC                  COMMON  04518A104 $      2,091.00    230,797   SH         DEFINED         24    230,797       --          --
ASIAINFO HOLDINGS
   INC                  COMMON  04518A104 $      1,037.00    114,500   SH         DEFINED       5,15    114,500       --          --
ASPECT MEDICAL
   SYSTEMS INC          COMMON  045235108 $        237.00     17,479   SH         DEFINED         24     17,479       --          --
ASPEN TECHNOLOGY
   INC                  COMMON  045327103 $      2,282.00    159,350   SH         DEFINED         15    101,150       --      58,200
ASPEN TECHNOLOGY
   INC                  COMMON  045327103 $      3,325.00    232,226   SH         DEFINED         24    232,226       --          --
ASPEN TECHNOLOGY
   INC                  COMMON  045327103 $        940.00     65,639   SH         DEFINED        3,1     65,639       --          --
ASPEN TECHNOLOGY
   INC                  COMMON  045327103 $        262.00     18,300   SH         DEFINED       5,15     18,300       --          --
ASPEN TECHNOLOGY
   INC                  COMMON  045327103 $        403.00     28,114   SH         DEFINED        9,2     28,114       --          --
ASPREVA
   PHARMACEUTICALS
   CORP                 COMMON  04538T109 $      3,741.00    182,329   SH         DEFINED          1    182,329       --          --
ASPREVA
   PHARMACEUTICALS
   CORP                 COMMON  04538T109 $        914.00     44,554   SH         DEFINED          2     44,554       --          --
ASPREVA
   PHARMACEUTICALS
   CORP                 COMMON  04538T109 $     11,552.00    562,977   SH         DEFINED        3,1    562,977       --          --
ASSET ACCEPTANCE
   CAPITAL CORP         COMMON  04543P100 $         64.00      5,491   SH         DEFINED         24      5,491       --          --
ASSISTED LIVING
   CONCEPTS I-A         COMMON  04544X102 $      7,888.00    863,071   SH         DEFINED          1    863,071       --          --
ASSISTED LIVING
   CONCEPTS I-A         COMMON  04544X102 $         91.00     10,000   SH         DEFINED         19     10,000       --          --
ASSISTED LIVING
   CONCEPTS I-A         COMMON  04544X102 $        652.00     71,338   SH         DEFINED          2     71,338       --          --
ASSISTED LIVING
   CONCEPTS I-A         COMMON  04544X102 $         17.00      1,893   SH         DEFINED       20,2         --       --       1,893
ASSISTED LIVING
   CONCEPTS I-A         COMMON  04544X102 $      1,017.00    111,262   SH         DEFINED       21,2         --       --     111,262
ASSOCIATED BANC
   CORP                 COMMON  045487105 $      6,040.00    203,855   SH         DEFINED         24    203,855       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ASSOCIATED ESTATES
   REALTY CORP          COMMON  045604105 $      1,440.00    110,400   SH         DEFINED         15     79,300       --      31,100
ASSOCIATED ESTATES
   REALTY CORP          COMMON  045604105 $         15.00      1,167   SH         DEFINED         24      1,167       --          --
ASSOCIATED ESTATES
   REALTY CORP          COMMON  045604105 $        296.00     22,700   SH         DEFINED       5,15     22,700       --          --
ASSURANT INC            COMMON  04621X108 $     15,888.00    296,965   SH         DEFINED          1    296,965       --          --
ASSURANT INC            COMMON  04621X108 $         90.00      1,674   SH         DEFINED       1,15      1,674       --          --
ASSURANT INC            COMMON  04621X108 $         74.00      1,380   SH         DEFINED         15      1,180       --         200
ASSURANT INC            COMMON  04621X108 $      8,008.00    149,677   SH         DEFINED         24    149,677       --          --
ASSURANT INC            COMMON  04621X108 $         23.00        436   SH         DEFINED          6         --       --         436
ASTA FUNDING INC        COMMON  046220109 $        587.00     15,330   SH         DEFINED          1     15,330       --          --
ASTEC INDUSTRIES
   INC                  COMMON  046224101 $      1,129.00     19,651   SH         DEFINED         24     19,651       --          --
ASTORIA FINANCIAL
   CORP                 COMMON  046265104 $      1,316.00     49,620   SH         DEFINED         15     45,820       --       2,300
ASTORIA FINANCIAL
   CORP                 COMMON  046265104 $        567.00     21,380   SH         DEFINED         24     21,380       --          --
ASTORIA FINANCIAL
   CORP                 COMMON  046265104 $        413.00     15,563   SH         DEFINED          9     15,563       --          --
ASTRAZENECA PLC
   ADR                  COMMON  046353108 $     12,359.00    246,831   SH         DEFINED          1    246,831       --          --
ASTRAZENECA PLC
   ADR                  COMMON  046353108 $      1,022.00     20,402   SH         DEFINED          2     20,402       --          --
ASTRAZENECA PLC
   ADR                  COMMON  046353108 $         27.00        544   SH         DEFINED       20,2         --       --         544
ASTRAZENECA PLC
   ADR                  COMMON  046353108 $      1,593.00     31,820   SH         DEFINED       21,2         --       --      31,820
ASTRAZENECA PLC
   ADR                  COMMON  046353108 $         23.00        457   SH         DEFINED         23        450       --           7
ASTRAZENECA PLC
   ADR                  COMMON  046353108 $        332.00      6,627   SH         DEFINED          6         --       --       6,627
ASYST TECHNOLOGIES
   INC                  COMMON  04648X107 $         20.00      3,703   SH         DEFINED         24      3,703       --          --
ATHENAHEALTH INC        COMMON  04685W103 $      2,829.00     83,416   SH         DEFINED          1     83,416       --          --
ATHENAHEALTH INC        COMMON  04685W103 $      1,228.00     36,216   SH         DEFINED          2     36,216       --          --
ATHENAHEALTH INC        COMMON  04685W103 $        182.00      5,368   SH         DEFINED       21,2         --       --       5,368
ATHEROS
   COMMUNICATIONS       COMMON  04743P108 $      7,121.00    237,605   SH         DEFINED         24    237,605       --          --
ATLANTIC AMERICAN
   CORP                 COMMON  048209100 $            --          5   SH         DEFINED         23          5       --          --
ATLANTIC AMERICAN
   CORP                 COMMON  048209100 $         18.00      6,525   SH         DEFINED          6         --       --       6,525
ATLANTIC
   TELE-NETWORK
   INC                  COMMON  049079205 $        289.00      7,958   SH         DEFINED         24      7,958       --          --
ATLAS AIR
   WORLDWIDE
   HOLDINGS             COMMON  049164205 $         46.00        900   SH         DEFINED         15        900       --          --
ATLAS AIR
   WORLDWIDE
   HOLDINGS             COMMON  049164205 $        724.00     14,024   SH         DEFINED         24     14,024       --          --
ATLAS AMERICA INC       COMMON  049167109 $      4,050.00     78,439   SH         DEFINED         24     78,439       --          --
ATLAS AMERICA INC       COMMON  049167109 $        174.00      3,370   SH         DEFINED          6         --       --       3,370
ATLAS PIPELINE
   PARTNERS-UTS.        COMMON  049392103 $        385.00      8,203   SH         DEFINED         24      8,203       --          --
ATMEL CORP              COMMON  049513104 $      2,453.00    475,400   SH         DEFINED         15    215,800       --     259,600
ATMEL CORP              COMMON  049513104 $        211.00     40,820   SH         DEFINED         24     40,820       --          --
ATMEL CORP              COMMON  049513104 $        111.00     21,480   SH         DEFINED          6         --       --      21,480
ATMOS ENERGY CORP       COMMON  049560105 $         11.00        400   SH         DEFINED         15        400       --          --
ATMOS ENERGY CORP       COMMON  049560105 $      6,527.00    230,467   SH         DEFINED         24    230,467       --          --
ATMOS ENERGY CORP       COMMON  049560105 $        121.00      4,275   SH         DEFINED          6         --       --       4,275
ATWOOD OCEANICS
   INC                  COMMON  050095108 $     12,262.00    160,158   SH         DEFINED         24    160,158       --          --
ATWOOD OCEANICS
   INC                  COMMON  050095108 $         15.00        200   SH         DEFINED          6        200       --          --
AUDIBLE INC             COMMON  05069A302 $          1.00        100   SH         DEFINED         23         --       --         100
AUDIOVOX CORP CL A      COMMON  050757103 $         44.00      4,300   SH         DEFINED         15      4,300       --          --
AUDIOVOX CORP CL A      COMMON  050757103 $        370.00     35,917   SH         DEFINED         24     35,917       --          --
AUTOBYTEL.COM INC       COMMON  05275N106 $        342.00    104,967   SH         DEFINED         24    104,967       --          --
AUTODESK INC            COMMON  052769106 $    126,901.00  2,539,543   SH         DEFINED          1  2,539,543       --          --
AUTODESK INC            COMMON  052769106 $        200.00      3,994   SH         DEFINED       1,15      3,994       --          --
AUTODESK INC            COMMON  052769106 $        949.00     19,000   SH         DEFINED         19     19,000       --          --
AUTODESK INC            COMMON  052769106 $      7,994.00    159,970   SH         DEFINED          2    159,970       --          --
AUTODESK INC            COMMON  052769106 $      2,058.00     41,179   SH         DEFINED       21,2     41,179       --          --
AUTODESK INC            COMMON  052769106 $         31.00        626   SH         DEFINED         23        107       --         519
AUTODESK INC            COMMON  052769106 $     46,116.00    922,871   SH         DEFINED         24    922,871       --          --
AUTODESK INC            COMMON  052769106 $      2,425.00     48,532   SH         DEFINED          3     48,532       --          --
AUTODESK INC            COMMON  052769106 $      6,859.00    137,267   SH         DEFINED          6    125,852       --      11,415
AUTODESK INC            COMMON  052769106 $        105.00      2,110   SH         DEFINED          8      2,110       --          --
AUTODESK INC            COMMON  052769106 $        445.00      8,897   SH         DEFINED        9,2      8,897       --          --
AUTOLIV INC             COMMON  052800109 $        888.00     14,865   SH         DEFINED         24     14,865       --          --
AUTOLIV INC             COMMON  052800109 $        558.00      9,335   SH         DEFINED          6      1,798       --       7,537
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $    180,944.00  3,939,559   SH         DEFINED          1  3,939,559       --          --
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $        423.00      9,219   SH         DEFINED       1,15      9,219       --          --
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $         55.00      1,200   SH         DEFINED         19      1,200       --          --
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $        623.00     13,569   SH         DEFINED          2     13,569       --          --
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $         27.00        579   SH         DEFINED         23        347       --         232
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $      9,766.00    212,619   SH         DEFINED         24    212,619       --          --
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $          2.00         34   SH         DEFINED          4         34       --          --
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $     15,095.00    328,656   SH         DEFINED          6    231,369       --      97,287




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $        509.00     11,089   SH         DEFINED          8     11,089       --          --
AUTOMATIC DATA
   PROCESSING           COMMON  053015103 $        694.00     15,109   SH         DEFINED          9     15,109       --          --
AUTONATION INC          COMMON  05329W102 $         47.00      2,676   SH         DEFINED       1,15      2,676       --          --
AUTONATION INC          COMMON  05329W102 $      2,004.00    113,117   SH         DEFINED         24    113,117       --          --
AUTOZONE INC            COMMON  053332102 $     18,954.00    163,200   SH         DEFINED          1    163,200       --          --
AUTOZONE INC            COMMON  053332102 $      1,358.00     11,694   SH         DEFINED       1,15     11,694       --          --
AUTOZONE INC            COMMON  053332102 $      2,845.00     24,500   SH         DEFINED        1,3     24,500       --          --
AUTOZONE INC            COMMON  053332102 $      1,417.00     12,200   SH         DEFINED      11,15     12,200       --          --
AUTOZONE INC            COMMON  053332102 $     54,838.00    472,170   SH         DEFINED         15    331,720       --     130,550
AUTOZONE INC            COMMON  053332102 $        674.00      5,800   SH         DEFINED      15,14         --       --       5,800
AUTOZONE INC            COMMON  053332102 $      4,390.00     37,800   SH         DEFINED       15,8         --       --      37,800
AUTOZONE INC            COMMON  053332102 $      6,087.00     52,409   SH         DEFINED          2     52,409       --          --
AUTOZONE INC            COMMON  053332102 $        518.00      4,456   SH         DEFINED         21      4,456       --          --
AUTOZONE INC            COMMON  053332102 $          5.00         40   SH         DEFINED         23         40       --          --
AUTOZONE INC            COMMON  053332102 $      6,111.00     52,619   SH         DEFINED         24     52,619       --          --
AUTOZONE INC            COMMON  053332102 $        214.00      1,839   SH         DEFINED          4      1,839       --          --
AUTOZONE INC            COMMON  053332102 $      1,545.00     13,300   SH         DEFINED       5,15     13,300       --          --
AUTOZONE INC            COMMON  053332102 $      3,604.00     31,035   SH         DEFINED          6     17,352       --      13,683
AUTOZONE INC            COMMON  053332102 $      1,031.00      8,876   SH         DEFINED          8      8,876       --          --
AUTOZONE INC            COMMON  053332102 $      1,523.00     13,115   SH         DEFINED          9     13,115       --          --
AUTOZONE INC            COMMON  053332102 $      7,096.00     61,100   SH         DEFINED       9,15     61,100       --          --
AVALONBAY
   COMMUNITIES INC      COMMON  053484101 $     45,863.00    388,476   SH         DEFINED       1,15    388,476       --          --
AVALONBAY
   COMMUNITIES INC      COMMON  053484101 $    124,776.00  1,056,889   SH         DEFINED         15    673,789       --     305,100
AVALONBAY
   COMMUNITIES INC      COMMON  053484101 $      6,340.00     53,700   SH         DEFINED       2,15     53,700       --          --
AVALONBAY
   COMMUNITIES INC      COMMON  053484101 $      2,019.00     17,100   SH         DEFINED      20,15     17,100       --          --
AVALONBAY
   COMMUNITIES INC      COMMON  053484101 $        493.00      4,180   SH         DEFINED         24      4,180       --          --
AVALONBAY
   COMMUNITIES INC      COMMON  053484101 $     11,487.00     97,300   SH         DEFINED       5,15     97,300       --          --
AVALONBAY
   COMMUNITIES INC      COMMON  053484101 $        101.00        855   SH         DEFINED          6        411       --         444
AVATAR HOLDINGS
   INC                  COMMON  053494100 $        672.00     13,465   SH         DEFINED         15      9,365       --       4,100
AVATAR HOLDINGS
   INC                  COMMON  053494100 $        332.00      6,644   SH         DEFINED         24      6,644       --          --
AVATAR HOLDINGS
   INC                  COMMON  053494100 $        664.00     13,299   SH         DEFINED        3,1     13,299       --          --
AVATAR HOLDINGS
   INC                  COMMON  053494100 $        145.00      2,900   SH         DEFINED       5,15      2,900       --          --
AVATAR HOLDINGS
   INC                  COMMON  053494100 $        284.00      5,697   SH         DEFINED        9,2      5,697       --          --
AVAYA INC               COMMON  053499109 $        135.00      7,932   SH         DEFINED       1,15      7,932       --          --
AVAYA INC               COMMON  053499109 $        751.00     44,307   SH         DEFINED         24     44,307       --          --
AVAYA INC               COMMON  053499109 $         13.00        789   SH         DEFINED          6        133       --         656
AVAYA INC               COMMON  053499109 $        104.00      6,158   SH         DEFINED          8      6,158       --          --
AVENTINE RENEWABLE
   ENERGY               COMMON  05356X403 $      1,526.00    144,327   SH         DEFINED         24    144,327       --          --
AVERY DENNISON
   CORP                 COMMON  053611109 $        105.00      1,848   SH         DEFINED       1,15      1,848       --          --
AVERY DENNISON
   CORP                 COMMON  053611109 $        200.00      3,500   SH         DEFINED         15         --       --       3,500
AVERY DENNISON
   CORP                 COMMON  053611109 $          9.00        150   SH         DEFINED         22        150       --          --
AVERY DENNISON
   CORP                 COMMON  053611109 $        832.00     14,600   SH         DEFINED         24     14,600       --          --
AVERY DENNISON
   CORP                 COMMON  053611109 $        119.00      2,083   SH         DEFINED          8      2,083       --          --
AVICI SYSTEMS INC       COMMON  05367L802 $        634.00     59,500   SH         DEFINED         24     59,500       --          --
AVID TECHNOLOGY
   INC                  COMMON  05367P100 $          3.00        101   SH         DEFINED         12        101       --          --
AVID TECHNOLOGY
   INC                  COMMON  05367P100 $        308.00     11,365   SH         DEFINED         24     11,365       --          --
AVIGEN INC              COMMON  053690103 $      2,920.00    540,753   SH         DEFINED          1    540,753       --          --
AVIGEN INC              COMMON  053690103 $        244.00     45,229   SH         DEFINED          2     45,229       --          --
AVIGEN INC              COMMON  053690103 $          6.00      1,110   SH         DEFINED       20,2         --       --       1,110
AVIGEN INC              COMMON  053690103 $        381.00     70,541   SH         DEFINED       21,2         --       --      70,541
AVIS BUDGET GROUP
   INC                  COMMON  053774105 $      6,876.00    300,400   SH         DEFINED         15    148,200       --     152,200
AVIS BUDGET GROUP
   INC                  COMMON  053774105 $        126.00      5,500   SH         DEFINED       15,8         --       --       5,500
AVIS BUDGET GROUP
   INC                  COMMON  053774105 $          4.00        190   SH         DEFINED         23         --       --         190
AVIS BUDGET GROUP
   INC                  COMMON  053774105 $      2,414.00    105,465   SH         DEFINED         24    105,465       --          --
AVIS BUDGET GROUP
   INC                  COMMON  053774105 $         16.00        700   SH         DEFINED          6        700       --          --
AVIS BUDGET GROUP
   INC                  COMMON  053774105 $         41.00      1,792   SH         DEFINED          8      1,792       --          --
AVISTA CORP             COMMON  05379B107 $      3,115.00    153,059   SH         DEFINED          1    153,059       --          --
AVISTA CORP             COMMON  05379B107 $        788.00     38,700   SH         DEFINED         15     38,700       --          --
AVISTA CORP             COMMON  05379B107 $         10.00        500   SH         DEFINED         23        500       --          --
AVISTA CORP             COMMON  05379B107 $        442.00     21,738   SH         DEFINED         24     21,738       --          --
AVISTA CORP             COMMON  05379B107 $        423.00     20,800   SH         DEFINED       5,15     20,800       --          --
AVISTA CORP             COMMON  05379B107 $        142.00      6,990   SH         DEFINED          6         --       --       6,990
AVNET INC               COMMON  053807103 $     31,116.00    780,637   SH         DEFINED          1    780,637       --          --
AVNET INC               COMMON  053807103 $      9,519.00    238,800   SH         DEFINED         15    126,800       --     110,100
AVNET INC               COMMON  053807103 $        642.00     16,100   SH         DEFINED       15,8         --       --      16,100




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
AVNET INC               COMMON  053807103 $        399.00     10,000   SH         DEFINED         19     10,000       --          --
AVNET INC               COMMON  053807103 $      6,080.00    152,530   SH         DEFINED          2    152,530       --          --
AVNET INC               COMMON  053807103 $      1,396.00     35,016   SH         DEFINED       21,2     35,016       --          --
AVNET INC               COMMON  053807103 $        889.00     22,304   SH         DEFINED         24     22,304       --          --
AVNET INC               COMMON  053807103 $        248.00      6,232   SH         DEFINED          4      6,232       --          --
AVNET INC               COMMON  053807103 $        391.00      9,806   SH         DEFINED          9      9,806       --          --
AVOCENT
   CORPORATION          COMMON  053893103 $        102.00      3,514   SH         DEFINED         24      3,514       --          --
AVOCENT
   CORPORATION          COMMON  053893103 $         15.00        505   SH         DEFINED          6        505       --          --
AVON PRODUCTS INC       COMMON  054303102 $    144,034.00  3,837,845   SH         DEFINED          1  3,837,845       --          --
AVON PRODUCTS INC       COMMON  054303102 $        281.00      7,482   SH         DEFINED       1,15      7,482       --          --
AVON PRODUCTS INC       COMMON  054303102 $      1,427.00     38,029   SH         DEFINED         15     38,029       --          --
AVON PRODUCTS INC       COMMON  054303102 $        423.00     11,267   SH         DEFINED          2     11,267       --          --
AVON PRODUCTS INC       COMMON  054303102 $      1,134.00     30,218   SH         DEFINED         24     30,218       --          --
AVON PRODUCTS INC       COMMON  054303102 $         66.00      1,750   SH         DEFINED        3,1      1,750       --          --
AVON PRODUCTS INC       COMMON  054303102 $     37,632.00  1,002,705   SH         DEFINED          4  1,002,705       --          --
AVON PRODUCTS INC       COMMON  054303102 $         62.00      1,659   SH         DEFINED          6        496       --       1,163
AVON PRODUCTS INC       COMMON  054303102 $        319.00      8,511   SH         DEFINED          8      8,511       --          --
AXA ADR                 COMMON  054536107 $     16,478.00    369,368   SH         DEFINED          4    369,368       --          --
AXA ADR                 COMMON  054536107 $         64.00      1,440   SH         DEFINED          6        700       --         740
AXCELIS
   TECHNOLOGIES         COMMON  054540109 $        395.00     77,332   SH         DEFINED         24     77,332       --          --
AXCELIS
   TECHNOLOGIES         COMMON  054540109 $          2.00        294   SH         DEFINED          6        294       --          --
AXCAN PHARMA            COMMON  054923107 $     24,563.00  1,186,396   SH         DEFINED          1  1,186,396       --          --
BB&T CORPORATION        COMMON  054937107 $        387.00      9,582   SH         DEFINED       1,15      9,582       --          --
BB&T CORPORATION        COMMON  054937107 $        792.00     19,600   SH         DEFINED         15     16,300       --       1,300
BB&T CORPORATION        COMMON  054937107 $          1.00         29   SH         DEFINED         23         --       --          29
BB&T CORPORATION        COMMON  054937107 $      9,065.00    224,429   SH         DEFINED         24    224,429       --          --
BB&T CORPORATION        COMMON  054937107 $        679.00     16,809   SH         DEFINED          6     14,548       --       2,261
BB&T CORPORATION        COMMON  054937107 $        392.00      9,696   SH         DEFINED          8      9,696       --          --
BASF AG ADR             COMMON  055262505 $     82,121.00    593,100   SH         DEFINED         12    590,760       --       2,340
BASF AG ADR             COMMON  055262505 $      1,820.00     13,142   SH         DEFINED         15     13,142       --          --
BASF AG ADR             COMMON  055262505 $        111.00        800   SH         DEFINED         23        400       --         400
BASF AG ADR             COMMON  055262505 $         10.00         70   SH         DEFINED          6         --       --          70
BCE INC                 COMMON  05534B760 $         15.00        372   SH         DEFINED         12        372       --          --
BCE INC                 COMMON  05534B760 $            --          1   SH         DEFINED         15          1       --          --
BG GROUP PLC-SPON
   ADR                  COMMON  055434203 $         26.00        303   SH         DEFINED         23         --       --         303
BG GROUP PLC-SPON
   ADR                  COMMON  055434203 $         65.00        750   SH         DEFINED          6         --       --         750
BJ SERVICES CO          COMMON  055482103 $    225,301.00  8,485,906   SH         DEFINED          1  8,485,906       --          --
BJ SERVICES CO          COMMON  055482103 $        134.00      5,058   SH         DEFINED       1,15      5,058       --          --
BJ SERVICES CO          COMMON  055482103 $      8,231.00    310,000   SH         DEFINED       14,2         --       --     310,000
BJ SERVICES CO          COMMON  055482103 $        875.00     32,971   SH         DEFINED         15     22,971       --      10,000
BJ SERVICES CO          COMMON  055482103 $        701.00     26,400   SH         DEFINED          2     26,400       --          --
BJ SERVICES CO          COMMON  055482103 $         13.00        500   SH         DEFINED         23         --       --         500
BJ SERVICES CO          COMMON  055482103 $        947.00     35,665   SH         DEFINED         24     35,665       --          --
BJ SERVICES CO          COMMON  055482103 $     17,083.00    643,418   SH         DEFINED          4    643,418       --          --
BJ SERVICES CO          COMMON  055482103 $         88.00      3,325   SH         DEFINED          6      2,610       --         715
BJ SERVICES CO          COMMON  055482103 $        272.00     10,249   SH         DEFINED          8     10,249       --          --
BJ SERVICES CO          COMMON  055482103 $        959.00     36,114   SH         DEFINED          9     36,114       --          --
BJS WHOLESALE CLUB
   INC                  COMMON  05548J106 $          2.00         50   SH         DEFINED         23         --       --          50
BJS WHOLESALE CLUB
   INC                  COMMON  05548J106 $      5,545.00    167,224   SH         DEFINED         24    167,224       --          --
BJS WHOLESALE CLUB
   INC                  COMMON  05548J106 $         12.00        375   SH         DEFINED          6        375       --          --
BOK FINANCIAL
   CORPORATION          COMMON  05561Q201 $        196.00      3,806   SH         DEFINED         24      3,806       --          --
BP PLC ADR              COMMON  055622104 $     38,143.00    550,000   SH         DEFINED          1    550,000       --          --
BP PLC ADR              COMMON  055622104 $    129,895.00  1,873,028   SH         DEFINED         12  1,865,078       --       7,950
BP PLC ADR              COMMON  055622104 $      6,935.00    100,000   SH         DEFINED       14,2         --       --     100,000
BP PLC ADR              COMMON  055622104 $      3,079.00     44,400   SH         DEFINED         15     44,400       --          --
BP PLC ADR              COMMON  055622104 $         29.00        414   SH         DEFINED         23        132       --         282
BP PLC ADR              COMMON  055622104 $     15,488.00    223,335   SH         DEFINED         24    223,335       --          --
BP PLC ADR              COMMON  055622104 $      6,340.00     91,418   SH         DEFINED          4     91,418       --          --
BP PLC ADR              COMMON  055622104 $     16,665.00    240,299   SH         DEFINED          6    179,516       --      60,783
BP PLC ADR              COMMON  055622104 $     63,494.00    915,563   SH         DEFINED          9    915,563       --          --
BRT REALTY TRUST        COMMON  055645303 $        896.00     51,700   SH         DEFINED         15     35,100       --      16,600
BRT REALTY TRUST        COMMON  055645303 $        298.00     17,171   SH         DEFINED         24     17,171       --          --
BRT REALTY TRUST        COMMON  055645303 $        212.00     12,200   SH         DEFINED       5,15     12,200       --          --
BRE PROPERTIES INC      COMMON  05564E106 $     28,653.00    512,300   SH         DEFINED       1,15    512,300       --          --
BRE PROPERTIES INC      COMMON  05564E106 $     78,091.00  1,396,220   SH         DEFINED         15    883,820       --     409,800




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BRE PROPERTIES INC      COMMON  05564E106 $      3,982.00     71,200   SH         DEFINED       2,15     71,200       --          --
BRE PROPERTIES INC      COMMON  05564E106 $      1,258.00     22,500   SH         DEFINED      20,15     22,500       --          --
BRE PROPERTIES INC      COMMON  05564E106 $        202.00      3,605   SH         DEFINED         24      3,605       --          --
BRE PROPERTIES INC      COMMON  05564E106 $      7,377.00    131,900   SH         DEFINED       5,15    131,900       --          --
BT GROUP PLC-ADS        COMMON  05577E101 $         78.00      1,243   SH         DEFINED         23        550       --         693
BMC SOFTWARE INC        COMMON  055921100 $     24,678.00    790,198   SH         DEFINED          1    790,198       --          --
BMC SOFTWARE INC        COMMON  055921100 $      1,689.00     54,086   SH         DEFINED       1,15     54,086       --          --
BMC SOFTWARE INC        COMMON  055921100 $      2,397.00     76,753   SH         DEFINED         10     76,753       --          --
BMC SOFTWARE INC        COMMON  055921100 $      1,896.00     60,700   SH         DEFINED      11,15     60,700       --          --
BMC SOFTWARE INC        COMMON  055921100 $        919.00     29,437   SH         DEFINED       11,8     29,437       --          --
BMC SOFTWARE INC        COMMON  055921100 $        610.00     19,547   SH         DEFINED         14     19,547       --          --
BMC SOFTWARE INC        COMMON  055921100 $    132,771.00  4,251,380   SH         DEFINED         15  2,993,380       --   1,173,400
BMC SOFTWARE INC        COMMON  055921100 $      2,217.00     71,000   SH         DEFINED      15,14         --       --      71,000
BMC SOFTWARE INC        COMMON  055921100 $      7,505.00    240,300   SH         DEFINED       15,8         --       --     240,300
BMC SOFTWARE INC        COMMON  055921100 $      7,943.00    254,328   SH         DEFINED          2    254,328       --          --
BMC SOFTWARE INC        COMMON  055921100 $        236.00      7,572   SH         DEFINED         21      7,572       --          --
BMC SOFTWARE INC        COMMON  055921100 $      2,160.00     69,162   SH         DEFINED         22     69,162       --          --
BMC SOFTWARE INC        COMMON  055921100 $         19.00        600   SH         DEFINED         23         --       --         600
BMC SOFTWARE INC        COMMON  055921100 $     24,281.00    777,482   SH         DEFINED         24    777,482       --          --
BMC SOFTWARE INC        COMMON  055921100 $      4,738.00    151,700   SH         DEFINED       5,15    151,700       --          --
BMC SOFTWARE INC        COMMON  055921100 $      1,999.00     64,000   SH         DEFINED          6     64,000       --          --
BMC SOFTWARE INC        COMMON  055921100 $        459.00     14,700   SH         DEFINED          7     14,700       --          --
BMC SOFTWARE INC        COMMON  055921100 $      5,473.00    175,255   SH         DEFINED          8    175,255       --          --
BMC SOFTWARE INC        COMMON  055921100 $     10,267.00    328,748   SH         DEFINED          9    328,748       --          --
BMC SOFTWARE INC        COMMON  055921100 $     10,128.00    324,300   SH         DEFINED       9,15    324,300       --          --
BADGER METER INC        COMMON  056525108 $     43,313.00  1,351,408   SH         DEFINED         24  1,351,408       --          --
BAIDU.COM ADR           COMMON  056752108 $     33,719.00    116,412   SH         DEFINED         24    116,412       --          --
BAKER (MICHAEL)
   CORP                 COMMON  057149106 $        589.00     12,022   SH         DEFINED         24     12,022       --          --
BAKER HUGHES INC        COMMON  057224107 $    104,712.00  1,158,700   SH         DEFINED          1  1,158,700       --          --
BAKER HUGHES INC        COMMON  057224107 $        501.00      5,547   SH         DEFINED       1,15      5,547       --          --
BAKER HUGHES INC        COMMON  057224107 $      9,308.00    103,000   SH         DEFINED       14,2         --       --     103,000
BAKER HUGHES INC        COMMON  057224107 $         71.00        785   SH         DEFINED         23        775       --          10
BAKER HUGHES INC        COMMON  057224107 $     27,300.00    302,087   SH         DEFINED         24    302,087       --          --
BAKER HUGHES INC        COMMON  057224107 $      1,348.00     14,918   SH         DEFINED          4     14,918       --          --
BAKER HUGHES INC        COMMON  057224107 $        624.00      6,900   SH         DEFINED          6        600       --       6,300
BAKER HUGHES INC        COMMON  057224107 $        588.00      6,503   SH         DEFINED          8      6,503       --          --
BAKER HUGHES INC        COMMON  057224107 $        945.00     10,459   SH         DEFINED          9     10,459       --          --
BALDOR ELECTRIC         COMMON  057741100 $      3,448.00     86,303   SH         DEFINED         24     86,303       --          --
BALDOR ELECTRIC         COMMON  057741100 $        364.00      9,100   SH         DEFINED          6         --       --       9,100
BALDWIN & LYONS
   INC -CL B            COMMON  057755209 $        545.00     19,959   SH         DEFINED         24     19,959       --          --
BALL CORP               COMMON  058498106 $         95.00      1,764   SH         DEFINED       1,15      1,764       --          --
BALL CORP               COMMON  058498106 $     13,996.00    260,390   SH         DEFINED         24    260,390       --          --
BALL CORP               COMMON  058498106 $        355.00      6,600   SH         DEFINED          6        800       --       5,800
BALLARD POWER
   SYSTEMS INC          COMMON  05858H104 $            --          3   SH         DEFINED         23         --       --           3
BALLARD POWER
   SYSTEMS INC          COMMON  05858H104 $     22,976.00  4,614,202   SH         DEFINED         24  4,614,202       --          --
BALLARD POWER
   SYSTEMS INC          COMMON  05858H104 $         10.00      2,000   SH         DEFINED          6         --       --       2,000
BALLY TECHNOLOGIES
   INC                  COMMON  05874B107 $        150.00      4,223   SH         DEFINED         24      4,223       --          --
BANCFIRST CORP          COMMON  05945F103 $      2,441.00     54,400   SH         DEFINED         15     37,300       --      17,100
BANCFIRST CORP          COMMON  05945F103 $      3,483.00     77,633   SH         DEFINED         24     77,633       --          --
BANCFIRST CORP          COMMON  05945F103 $        565.00     12,600   SH         DEFINED       5,15     12,600       --          --
BANCO BRADESCO SA
   ADR REP1 PRF         COMMON  059460303 $        258.00      8,800   SH         DEFINED         12      8,800       --          --
BANCO BRADESCO SA
   ADR REP1 PRF         COMMON  059460303 $      1,486.00     50,600   SH         DEFINED      12,14     50,600       --          --
BANCO BRADESCO SA
   ADR REP1 PRF         COMMON  059460303 $     32,866.00  1,119,050   SH         DEFINED          9  1,119,050       --          --
BANCO BRADESCO SA
   ADR REP1 PRF         COMMON  059460303 $      1,116.00     38,000   SH         DEFINED       9,15     38,000       --          --
BANCO BRADESCO SA
   ADR REP1 PRF         COMMON  059460303 $      3,304.00    112,500   SH         DEFINED       9,22    112,500       --          --
BANCO BILBAO
   VIZCAYA-SP ADR       COMMON  05946K101 $     13,737.00    590,061   SH         DEFINED         24    590,061       --          --
BANCO BILBAO
   VIZCAYA-SP ADR       COMMON  05946K101 $         52.00      2,230   SH         DEFINED          6         --       --       2,230
BANCO DE CHILE ADR
   W-I                  COMMON  059520106 $         10.00        200   SH         DEFINED         24        200       --          --
BANCO ITAU HOLDING
   FIN-ADR              COMMON  059602201 $        142.00      2,800   SH         DEFINED         24      2,800       --          --
BANCO ITAU HOLDING
   FIN-ADR              COMMON  059602201 $      1,535.00     30,320   SH         DEFINED          9     30,320       --          --
BANCO ITAU HOLDING
   FIN-ADR              COMMON  059602201 $        749.00     14,800   SH         DEFINED       9,15     14,800       --          --
BANCO ITAU HOLDING
   FIN-ADR              COMMON  059602201 $      1,918.00     37,900   SH         DEFINED       9,22     37,900       --          --
BANCO MACRO SA-ADR      COMMON  05961W105 $        253.00      8,600   SH         DEFINED         21      8,600       --          --
BANCO MACRO SA-ADR      COMMON  05961W105 $      8,170.00    277,800   SH         DEFINED          9    277,800       --          --
BANCO SANTANDER SA      COMMON  05964H105 $            --          3   SH         DEFINED         23         --       --           3




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BANCO SANTANDER SA      COMMON  05964H105 $     15,037.00    778,698   SH         DEFINED         24    778,698       --          --
BANCO SANTANDER SA      COMMON  05964H105 $     16,867.00    873,509   SH         DEFINED          4    873,509       --          --
BANCO SANTANDER
   CHILE ADR            COMMON  05965X109 $         15.00        300   SH         DEFINED         24        300       --          --
BANCO SANTANDER
   CHILE ADR            COMMON  05965X109 $      6,966.00    137,750   SH         DEFINED          9    137,750       --          --
BANCORPSOUTH INC        COMMON  059692103 $      1,509.00     62,100   SH         DEFINED         15     36,500       --      25,600
BANCORPSOUTH INC        COMMON  059692103 $          5.00        200   SH         DEFINED         23         --       --         200
BANCORPSOUTH INC        COMMON  059692103 $        240.00      9,877   SH         DEFINED         24      9,877       --          --
BANCORPSOUTH INC        COMMON  059692103 $        194.00      8,000   SH         DEFINED       5,15      8,000       --          --
BANK OF AMERICA
   CORP                 COMMON  060505104 $     50,226.00    999,124   SH         DEFINED          1    999,124       --          --
BANK OF AMERICA CORP    COMMON  060505104 $      9,307.00    185,137   SH         DEFINED       1,15    185,137       --          --
BANK OF AMERICA CORP    COMMON  060505104 $      1,992.00     39,635   SH         DEFINED         10     39,635       --          --
BANK OF AMERICA CORP    COMMON  060505104 $      4,811.00     95,700   SH         DEFINED      11,15     95,700       --          --
BANK OF AMERICA CORP    COMMON  060505104 $        815.00     16,207   SH         DEFINED       11,8     16,207       --          --
BANK OF AMERICA CORP    COMMON  060505104 $     31,439.00    625,408   SH         DEFINED         12    176,827       --     448,581
BANK OF AMERICA CORP    COMMON  060505104 $        412.00      8,200   SH         DEFINED      12,14      8,200       --          --
BANK OF AMERICA CORP    COMMON  060505104 $        490.00      9,749   SH         DEFINED         14      9,749       --          --
BANK OF AMERICA CORP    COMMON  060505104 $    282,046.00  5,610,625   SH         DEFINED         15  4,407,315       --   1,027,110
BANK OF AMERICA CORP    COMMON  060505104 $      7,742.00    154,000   SH         DEFINED      15,14         --       --     154,000
BANK OF AMERICA CORP    COMMON  060505104 $     19,852.00    394,900   SH         DEFINED       15,8         --       --     394,900
BANK OF AMERICA CORP    COMMON  060505104 $         33.00        650   SH         DEFINED      20,12        650       --          --
BANK OF AMERICA CORP    COMMON  060505104 $      1,002.00     19,937   SH         DEFINED      20,15         --       --      19,937
BANK OF AMERICA CORP    COMMON  060505104 $        561.00     11,152   SH         DEFINED         21     11,152       --          --
BANK OF AMERICA CORP    COMMON  060505104 $      2,317.00     46,090   SH         DEFINED      21,15         --       --          --
BANK OF AMERICA CORP    COMMON  060505104 $      1,481.00     29,468   SH         DEFINED         22     29,468       --          --
BANK OF AMERICA CORP    COMMON  060505104 $         59.00      1,164   SH         DEFINED         23        292       --         872
BANK OF AMERICA CORP    COMMON  060505104 $     45,129.00    897,727   SH         DEFINED         24    897,727       --          --
BANK OF AMERICA CORP    COMMON  060505104 $        694.00     13,800   SH         DEFINED          3     13,800       --          --
BANK OF AMERICA CORP    COMMON  060505104 $     11,205.00    222,898   SH         DEFINED       5,15    213,900       --       8,998
BANK OF AMERICA CORP    COMMON  060505104 $     24,988.00    497,069   SH         DEFINED          6    449,144       --      47,925
BANK OF AMERICA CORP    COMMON  060505104 $        845.00     16,800   SH         DEFINED          7     16,800       --          --
BANK OF AMERICA CORP    COMMON  060505104 $     13,093.00    260,445   SH         DEFINED          8    260,445       --          --
BANK OF AMERICA CORP    COMMON  060505104 $     53,191.00  1,058,108   SH         DEFINED          9  1,058,108       --          --
BANK OF AMERICA CORP    COMMON  060505104 $     24,162.00    480,637   SH         DEFINED       9,15    430,400       --      50,237
BANK OF GRANITE CORP    COMMON  062401104 $        196.00     14,485   SH         DEFINED         15     14,485       --          --
BANK OF GRANITE CORP    COMMON  062401104 $         25.00      1,813   SH         DEFINED         24      1,813       --          --
BANK OF GRANITE CORP    COMMON  062401104 $        110.00      8,100   SH         DEFINED       5,15      8,100       --          --
BANK OF HAWAII CORP     COMMON  062540109 $        582.00     11,020   SH         DEFINED         15     10,020       --         100
BANK OF HAWAII CORP     COMMON  062540109 $          1.00         10   SH         DEFINED         23         --       --          10
BANK OF HAWAII CORP     COMMON  062540109 $      4,331.00     81,944   SH         DEFINED         24     81,944       --          --
BANK OF HAWAII CORP     COMMON  062540109 $        275.00      5,200   SH         DEFINED          6         --       --       5,200
BANK OF MONTREAL        COMMON  063671101 $      2,442.00     37,357   SH         DEFINED         10     37,357       --          --
BANK OF MONTREAL        COMMON  063671101 $        504.00      7,700   SH         DEFINED      11,15      7,700       --          --
BANK OF MONTREAL        COMMON  063671101 $      1,210.00     18,508   SH         DEFINED       11,8     18,508       --          --
BANK OF MONTREAL        COMMON  063671101 $        753.00     11,512   SH         DEFINED         14     11,512       --          --
BANK OF MONTREAL        COMMON  063671101 $        124.00      1,900   SH         DEFINED          2      1,900       --          --
BANK OF MONTREAL        COMMON  063671101 $        222.00      3,393   SH         DEFINED         21      3,393       --          --
BANK OF MONTREAL        COMMON  063671101 $        105.00      1,601   SH         DEFINED         22      1,601       --          --
BANK OF MONTREAL        COMMON  063671101 $     18,949.00    289,390   SH         DEFINED         24    289,390       --          --
BANK OF MONTREAL        COMMON  063671101 $    168,835.00  2,582,650   SH         DEFINED          3  2,582,650       --          --
BANK OF MONTREAL        COMMON  063671101 $      8,315.00    127,200   SH         DEFINED        3,1    127,200       --          --
BANK OF MONTREAL        COMMON  063671101 $      4,846.00     74,132   SH         DEFINED          8     74,132       --          --
BANK OF MONTREAL        COMMON  063671101 $      9,260.00    141,654   SH         DEFINED          9    141,654       --          --
BANK OF MONTREAL        COMMON  063671101 $      2,010.00     30,700   SH         DEFINED       9,15     30,700       --          --
BANK MUTUAL CORP        COMMON  063750103 $        527.00     44,677   SH         DEFINED         24     44,677       --          --
BANK OF THE OZARKS      COMMON  063904106 $         24.00        800   SH         DEFINED         23         --       --         800
BANK OF THE OZARKS      COMMON  063904106 $         33.00      1,091   SH         DEFINED         24      1,091       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $    180,905.00  4,098,430   SH         DEFINED          1  4,098,430       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $        872.00     19,754   SH         DEFINED       1,15     19,754       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $        627.00     14,200   SH         DEFINED      11,15     14,200       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $     15,208.00    344,542   SH         DEFINED         15    283,990       --      53,352
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $      3,125.00     70,800   SH         DEFINED       15,8         --       --      70,800
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $         15.00        340   SH         DEFINED         23        263       --          77
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $      3,685.00     83,490   SH         DEFINED         24     83,490       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $    118,340.00  2,681,023   SH         DEFINED          3  2,681,023       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $     11,184.00    253,385   SH         DEFINED          4    253,385       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $     11,946.00    270,642   SH         DEFINED          6    155,912       --     114,730
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $        915.00     20,727   SH         DEFINED          8     20,727       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $        317.00      7,186   SH         DEFINED          9      7,186       --          --
BANK OF NEW YORK
   MELLON CORP          COMMON  064058100 $      2,918.00     66,100   SH         DEFINED       9,15     66,100       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $        557.00     10,600   SH         DEFINED         10     10,600       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $        567.00     10,800   SH         DEFINED      11,15     10,800       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $        276.00      5,261   SH         DEFINED       11,8      5,261       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $        137.00      2,609   SH         DEFINED         14      2,609       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $      3,324.00     63,250   SH         DEFINED          2     63,250       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $        585.00     11,137   SH         DEFINED         21     11,137       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $        261.00      4,967   SH         DEFINED         22      4,967       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $     18,109.00    344,938   SH         DEFINED         24    344,938       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $    766,840.00 14,592,700   SH         DEFINED          3 14,592,700       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $     88,377.00  1,681,785   SH         DEFINED        3,1  1,681,785       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $      2,704.00     51,452   SH         DEFINED          8     51,452       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $      5,624.00    107,020   SH         DEFINED          9    107,020       --          --
BANK OF NOVA SCOTIA     COMMON  064149107 $      2,998.00     57,100   SH         DEFINED       9,15     57,100       --          --
BANK UNITED CORP-
   CONTINGENT           COMMON  065416117 $            --        800   SH         DEFINED         23        800       --          --
BANKATLANTIC BANCORP
   INC CL A             COMMON  065908501 $          7.00        792   SH         DEFINED         24        792       --          --
BANKFINANCIAL CORP      COMMON  06643P104 $        111.00      7,041   SH         DEFINED         15      7,041       --          --
BANKFINANCIAL CORP      COMMON  06643P104 $        457.00     28,892   SH         DEFINED         24     28,892       --          --
BANKFINANCIAL CORP      COMMON  06643P104 $         66.00      4,200   SH         DEFINED       5,15      4,200       --          --
BANKRATE INC            COMMON  06646V108 $      1,683.00     36,482   SH         DEFINED         24     36,482       --          --
BANKUNITED FINANCIAL
   CORP CL A            COMMON  06652B103 $         46.00      2,963   SH         DEFINED         24      2,963       --          --
BANNER CORPORATION      COMMON  06652V109 $         67.00      1,948   SH         DEFINED         24      1,948       --          --
BARD (C.R.) INC         COMMON  067383109 $        157.00      1,784   SH         DEFINED       1,15      1,784       --          --
BARD (C.R.) INC         COMMON  067383109 $          5.00         58   SH         DEFINED         23         24       --          34
BARD (C.R.) INC         COMMON  067383109 $      1,502.00     17,027   SH         DEFINED         24     17,027       --          --
BARD (C.R.) INC         COMMON  067383109 $      6,802.00     77,131   SH         DEFINED          6     55,978       --      21,153
BARD (C.R.) INC         COMMON  067383109 $        197.00      2,232   SH         DEFINED          8      2,232       --          --
BARCLAYS PLC ADR        COMMON  06738E204 $         26.00        525   SH         DEFINED         23        525       --          --
BARCLAYS PLC ADR        COMMON  06738E204 $     17,882.00    367,797   SH         DEFINED         24    367,797       --          --
BARCLAYS PLC ADR        COMMON  06738E204 $          5.00        113   SH         DEFINED          4        113       --          --
BARCLAYS PLC ADR        COMMON  06738E204 $         85.00      1,750   SH         DEFINED          6      1,000       --         750
BARE ESCENTUALS INC     COMMON  067511105 $        155.00      6,248   SH         DEFINED         24      6,248       --          --
BARNES & NOBLE INC      COMMON  067774109 $        309.00      8,766   SH         DEFINED         24      8,766       --          --
BARNES & NOBLE INC      COMMON  067774109 $          7.00        200   SH         DEFINED          6        200       --          --
BARNES GROUP INC        COMMON  067806109 $        200.00      6,279   SH         DEFINED         24      6,279       --          --
BARNES GROUP INC        COMMON  067806109 $        126.00      3,960   SH         DEFINED          6         --       --       3,960
BARRICK GOLD CORP       COMMON  067901108 $     14,380.00    357,000   SH         DEFINED          1    357,000       --          --
BARRICK GOLD CORP       COMMON  067901108 $      6,316.00    156,800   SH         DEFINED       1,12    156,800       --          --
BARRICK GOLD CORP       COMMON  067901108 $        560.00     13,900   SH         DEFINED      11,15     13,900       --          --
BARRICK GOLD CORP       COMMON  067901108 $    167,603.00  4,160,944   SH         DEFINED         12  3,176,509       --     984,435
BARRICK GOLD CORP       COMMON  067901108 $        330.00      8,200   SH         DEFINED      12,14      8,200       --          --
BARRICK GOLD CORP       COMMON  067901108 $      8,391.00    208,314   SH         DEFINED         15     94,014       --     114,300
BARRICK GOLD CORP       COMMON  067901108 $        546.00     13,600   SH         DEFINED          2     13,600       --          --
BARRICK GOLD CORP       COMMON  067901108 $         30.00        736   SH         DEFINED      20,12        736       --          --
BARRICK GOLD CORP       COMMON  067901108 $        789.00     19,600   SH         DEFINED      20,15         --       --      19,600
BARRICK GOLD CORP       COMMON  067901108 $            --          3   SH         DEFINED         23         --       --           3
BARRICK GOLD CORP       COMMON  067901108 $         15.00        373   SH         DEFINED         24        373       --          --
BARRICK GOLD CORP       COMMON  067901108 $    105,659.00  2,629,700   SH         DEFINED          3  2,629,700       --          --
BARRICK GOLD CORP       COMMON  067901108 $     37,101.00    923,400   SH         DEFINED        3,1    923,400       --          --
BARRICK GOLD CORP       COMMON  067901108 $     13,546.00    336,307   SH         DEFINED       5,12    336,307       --          --
BARRICK GOLD CORP       COMMON  067901108 $        734.00     18,262   SH         DEFINED          8     18,262       --          --
BARRICK GOLD CORP       COMMON  067901108 $      2,071.00     51,551   SH         DEFINED          9     43,831   7,72-0          --
BARRICK GOLD CORP       COMMON  067901108 $      3,589.00     89,100   SH         DEFINED       9,15     39,000       --      50,100
BARR PHARMACEUTICALS
   INC                  COMMON  068306109 $     89,661.00  1,575,491   SH         DEFINED          1  1,575,491       --          --
BARR PHARMACEUTICALS
   INC                  COMMON  068306109 $        106.00      1,860   SH         DEFINED       1,15      1,860       --          --
BARR PHARMACEUTICALS
   INC                  COMMON  068306109 $      1,815.00     31,895   SH         DEFINED         15     31,895       --          --
BARR PHARMACEUTICALS
   INC                  COMMON  068306109 $         28.00        500   SH         DEFINED         23         --       --         500
BARR PHARMACEUTICALS
   INC                  COMMON  068306109 $        277.00      4,871   SH         DEFINED         24      4,871       --          --
BARR PHARMACEUTICALS
   INC                  COMMON  068306109 $     49,077.00    862,367   SH         DEFINED          4    862,367       --          --
BILL BARRETT CORP       COMMON  06846N104 $     87,128.00  2,210,810   SH         DEFINED          1  2,210,810       --          --
BILL BARRETT CORP       COMMON  06846N104 $     11,823.00    300,000   SH         DEFINED       14,2         --       --     300,000
BILL BARRETT CORP       COMMON  06846N104 $     11,835.00    300,309   SH         DEFINED          2    300,309       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BILL BARRETT CORP       COMMON  06846N104 $        400.00     10,160   SH         DEFINED         24     10,160       --          --
BILL BARRETT CORP       COMMON  06846N104 $      1,133.00     28,750   SH         DEFINED          4     28,750       --          --
BARRY (R.G.)            COMMON  068798107 $            --         22   SH         DEFINED         23         22       --          --
BARRY (R.G.)            COMMON  068798107 $        363.00     37,651   SH         DEFINED         24     37,651       --          --
BASIC ENERGY
   SERVICES INC         COMMON  06985P100 $         60.00      2,851   SH         DEFINED         24      2,851       --          --
EDDIE BAUER HOLDINGS
   INC                  COMMON  071625107 $        464.00     53,972   SH         DEFINED         24     53,972       --          --
BAUSCH & LOMB INC       COMMON  071707103 $         61.00        955   SH         DEFINED       1,15        955       --          --
BAUSCH & LOMB INC       COMMON  071707103 $         19.00        300   SH         DEFINED         23        300       --          --
BAUSCH & LOMB INC       COMMON  071707103 $        401.00      6,267   SH         DEFINED         24      6,267       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $     96,661.00  1,717,503   SH         DEFINED          1  1,717,503       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $        630.00     11,192   SH         DEFINED       1,15     11,192       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      2,718.00     48,300   SH         DEFINED      11,15     48,300       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $    166,754.00  2,962,940   SH         DEFINED         15  2,182,940       --     688,700
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      4,711.00     83,700   SH         DEFINED      15,14         --       --      83,700
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      8,453.00    150,200   SH         DEFINED       15,8         --       --     150,200
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $         79.00      1,400   SH         DEFINED         19      1,400       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $     15,143.00    269,059   SH         DEFINED          2    269,059       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $        818.00     14,540   SH         DEFINED         21     14,540       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $        331.00      5,881   SH         DEFINED       21,2      5,881       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      1,728.00     30,707   SH         DEFINED         22     30,707       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $          1.00         20   SH         DEFINED         23         --       --          20
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $     30,883.00    548,739   SH         DEFINED         24    548,739       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $        353.00      6,265   SH         DEFINED          4      6,265       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      8,887.00    157,900   SH         DEFINED       5,15    157,900       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      2,266.00     40,264   SH         DEFINED          6      6,921       --      33,343
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      3,772.00     67,022   SH         DEFINED          8     67,022       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $      5,478.00     97,334   SH         DEFINED          9     97,334       --          --
BAXTER INTERNATIONAL
   INC                  COMMON  071813109 $     10,108.00    179,600   SH         DEFINED       9,15    179,600       --          --
BAYER AG ADR            COMMON  072730302 $          1.00         14   SH         DEFINED         23         --       --          14
BAYER AG ADR            COMMON  072730302 $     18,961.00    239,371   SH         DEFINED          4    239,371       --          --
BAYER AG ADR            COMMON  072730302 $         47.00        590   SH         DEFINED          6         --       --         590
BE AEROSPACE INC        COMMON  073302101 $     35,525.00    855,414   SH         DEFINED          1    855,414       --          --
BE AEROSPACE INC        COMMON  073302101 $        691.00     16,627   SH         DEFINED          2         --       --      16,627
BE AEROSPACE INC        COMMON  073302101 $          7.00        169   SH         DEFINED         23        120       --          49
BE AEROSPACE INC        COMMON  073302101 $        778.00     18,739   SH         DEFINED         24     18,739       --          --
BE AEROSPACE INC        COMMON  073302101 $      3,607.00     86,847   SH         DEFINED          6     49,646       --      37,201
BEA SYSTEMS INC         COMMON  073325102 $     11,859.00    854,980   SH         DEFINED         24    854,980       --          --
BEA SYSTEMS INC         COMMON  073325102 $          5.00        394   SH         DEFINED          6         --       --         394
BEA SYSTEMS INC         COMMON  073325102 $        105.00      7,557   SH         DEFINED          8      7,557       --          --
BEACON ROOFING
   SUPPLY INC           COMMON  073685109 $         45.00      4,359   SH         DEFINED         24      4,359       --          --
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $        247.00      2,015   SH         DEFINED       1,15      2,015       --          --
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $     23,427.00    190,759   SH         DEFINED         12     66,159       --     124,600
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $        344.00      2,800   SH         DEFINED      12,14      2,800       --          --
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $     12,993.00    105,800   SH         DEFINED         15     96,200       --       9,600
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $         24.00        195   SH         DEFINED      20,12        195       --          --
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $        835.00      6,800   SH         DEFINED      20,15         --       --       6,800
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $      2,271.00     18,490   SH         DEFINED      21,15         --       --          --
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $          9.00         70   SH         DEFINED         22         70       --          --
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $      1,177.00      9,586   SH         DEFINED         24      9,586       --          --
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $        442.00      3,595   SH         DEFINED       5,15         --       --       3,595
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $         82.00        668   SH         DEFINED          6         --       --         668
BEAR STEARNS
   COMPANIES INC        COMMON  073902108 $      2,108.00     17,165   SH         DEFINED       9,15         --       --      17,165
BEARINGPOINT INC        COMMON  074002106 $         99.00     24,495   SH         DEFINED         24     24,495       --          --
BEARINGPOINT INC        COMMON  074002106 $          7.00      1,625   SH         DEFINED          6      1,625       --          --
BEARINGPOINT INC        COMMON  074002106 $      3,265.00    806,144   SH         DEFINED          9    806,144       --          --
BEARINGPOINT INC        COMMON  074002106 $        678.00    167,320   SH         DEFINED       9,22    167,320       --          --
BEAZER HOMES USA INC    COMMON  07556Q105 $         60.00      7,279   SH         DEFINED         24      7,279       --          --
BEBE STORES INC         COMMON  075571109 $         52.00      3,551   SH         DEFINED         24      3,551       --          --
BECKMAN COULTER INC     COMMON  075811109 $         30.00        400   SH         DEFINED         23         --       --         400
BECKMAN COULTER INC     COMMON  075811109 $      1,701.00     23,056   SH         DEFINED         24     23,056       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $     39,216.00    477,956   SH         DEFINED          1    477,956       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $        347.00      4,233   SH         DEFINED       1,15      4,233       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $      1,477.00     18,000   SH         DEFINED      11,15     18,000       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $     51,714.00    630,280   SH         DEFINED         15    504,280       --     111,800
BECTON DICKINSON
   & CO                 COMMON  075887109 $        697.00      8,500   SH         DEFINED      15,14         --       --       8,500




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BECTON DICKINSON
   & CO                 COMMON  075887109 $      6,515.00     79,400   SH         DEFINED       15,8         --       --      79,400
BECTON DICKINSON
   & CO                 COMMON  075887109 $         41.00        500   SH         DEFINED         19        500       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $          3.00         32   SH         DEFINED         23         25       --           7
BECTON DICKINSON
   & CO                 COMMON  075887109 $     12,071.00    147,113   SH         DEFINED         24    147,113       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $      2,470.00     30,100   SH         DEFINED       5,15     30,100       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $      1,788.00     21,796   SH         DEFINED          6     11,550       --      10,246
BECTON DICKINSON
   & CO                 COMMON  075887109 $        800.00      9,751   SH         DEFINED          8      9,751       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $      2,790.00     34,001   SH         DEFINED          9     34,001       --          --
BECTON DICKINSON
   & CO                 COMMON  075887109 $     10,683.00    130,200   SH         DEFINED       9,15    130,200       --          --
BED BATH & BEYOND
   INC                  COMMON  075896100 $        161.00      4,716   SH         DEFINED       1,15      4,716       --          --
BED BATH & BEYOND
   INC                  COMMON  075896100 $          6.00        181   SH         DEFINED         23        162       --          19
BED BATH & BEYOND
   INC                  COMMON  075896100 $      4,721.00    138,368   SH         DEFINED         24    138,368       --          --
BED BATH & BEYOND
   INC                  COMMON  075896100 $      4,202.00    123,139   SH         DEFINED          6     69,671       --      53,468
BED BATH & BEYOND
   INC                  COMMON  075896100 $        186.00      5,458   SH         DEFINED          8      5,458       --          --
BELDEN INC              COMMON  077454106 $     19,023.00    405,520   SH         DEFINED         15    239,620       --     165,100
BELDEN INC              COMMON  077454106 $        139.00      2,963   SH         DEFINED         24      2,963       --          --
BELDEN INC              COMMON  077454106 $      1,567.00     33,400   SH         DEFINED       5,15     33,400       --          --
BELO CORPORATION        COMMON  080555105 $      5,583.00    321,616   SH         DEFINED          1    321,616       --          --
BELO CORPORATION        COMMON  080555105 $        587.00     33,819   SH         DEFINED       14,2         --       --      33,819
BELO CORPORATION        COMMON  080555105 $      2,462.00    141,800   SH         DEFINED         15     64,700       --      77,100
BELO CORPORATION        COMMON  080555105 $            --         18   SH         DEFINED         23         --       --          18
BELO CORPORATION        COMMON  080555105 $      1,553.00     89,461   SH         DEFINED         24     89,461       --          --
BEMIS COMPANY           COMMON  081437105 $         53.00      1,826   SH         DEFINED       1,15      1,826       --          --
BEMIS COMPANY           COMMON  081437105 $        472.00     16,229   SH         DEFINED         24     16,229       --          --
BENCHMARK
   ELECTRONICS INC      COMMON  08160H101 $      8,459.00    354,373   SH         DEFINED          1    354,373       --          --
BENCHMARK
   ELECTRONICS INC      COMMON  08160H101 $        779.00     32,652   SH         DEFINED         24     32,652       --          --
BENCHMARK
   ELECTRONICS INC      COMMON  08160H101 $         13.00        562   SH         DEFINED          6        562       --          --
BENTLEY
   PHARMACEUTICALS
   INC                  COMMON  082657107 $        253.00     20,276   SH         DEFINED         24     20,276       --          --
BERKLEY (WR) CORP       COMMON  084423102 $          1.00         17   SH         DEFINED         23          3       --          14
BERKLEY (WR) CORP       COMMON  084423102 $      7,052.00    237,988   SH         DEFINED         24    237,988       --          --
BERKLEY (WR) CORP       COMMON  084423102 $          9.00        312   SH         DEFINED          6         --       --         312
BERKSHIRE HATHAWAY
   INC CL A             COMMON  084670108 $    203,482.00      1,717   SH         DEFINED          1      1,717       --          --
BERKSHIRE HATHAWAY
   INC CL A             COMMON  084670108 $      1,067.00          9   SH         DEFINED          2          9       --          --
BERKSHIRE HATHAWAY
   INC CL A             COMMON  084670108 $      2,133.00         18   SH         DEFINED         23         18       --          --
BERKSHIRE HATHAWAY
   INC CL A             COMMON  084670108 $     16,591.00        140   SH         DEFINED        3,1        140       --          --
BERKSHIRE HATHAWAY
   INC CL A             COMMON  084670108 $      3,792.00         32   SH         DEFINED          6          4       --          28
BERKSHIRE HATHAWAY
   INC CLASS B          COMMON  084670207 $      3,367.00        852   SH         DEFINED         23         --       --         852
BERKSHIRE HATHAWAY
   INC CLASS B          COMMON  084670207 $      4,806.00      1,216   SH         DEFINED         24      1,216       --          --
BERKSHIRE HATHAWAY
   INC CLASS B          COMMON  084670207 $         79.00         20   SH         DEFINED        3,1         20       --          --
BERKSHIRE HATHAWAY
   INC CLASS B          COMMON  084670207 $      4,343.00      1,099   SH         DEFINED          6        718       --         381
BERKSHIRE HATHAWAY
   INC CLASS B          COMMON  084670207 $      8,121.00      2,055   SH         DEFINED       9,15      2,055       --          --
BERKSHIRE HILLS
   BANCORP INC          COMMON  084680107 $        428.00     14,164   SH         DEFINED         24     14,164       --          --
BERRY PETROLEUM CO
   CL A                 COMMON  085789105 $        116.00      2,933   SH         DEFINED         24      2,933       --          --
BEST BUY COMPANY INC    COMMON  086516101 $     16,409.00    356,563   SH         DEFINED          1    356,563       --          --
BEST BUY COMPANY INC    COMMON  086516101 $        317.00      6,894   SH         DEFINED       1,15      6,894       --          --
BEST BUY COMPANY INC    COMMON  086516101 $     22,332.00    485,272   SH         DEFINED         12    104,172       --     381,100
BEST BUY COMPANY INC    COMMON  086516101 $        281.00      6,100   SH         DEFINED      12,14      6,100       --          --
BEST BUY COMPANY INC    COMMON  086516101 $      1,080.00     23,463   SH         DEFINED       14,2         --       --      23,463
BEST BUY COMPANY INC    COMMON  086516101 $     12,390.00    269,236   SH         DEFINED         15    240,516       --      28,720
BEST BUY COMPANY INC    COMMON  086516101 $         27.00        580   SH         DEFINED      20,12        580       --          --
BEST BUY COMPANY INC    COMMON  086516101 $        686.00     14,900   SH         DEFINED      20,15         --       --      14,900
BEST BUY COMPANY INC    COMMON  086516101 $      2,049.00     44,530   SH         DEFINED      21,15         --       --          --
BEST BUY COMPANY INC    COMMON  086516101 $         12.00        269   SH         DEFINED         23         71       --         198
BEST BUY COMPANY INC    COMMON  086516101 $      1,404.00     30,505   SH         DEFINED         24     30,505       --          --
BEST BUY COMPANY INC    COMMON  086516101 $        400.00      8,700   SH         DEFINED       5,15         --       --       8,700
BEST BUY COMPANY INC    COMMON  086516101 $      9,650.00    209,699   SH         DEFINED          6    150,338       --      59,361
BEST BUY COMPANY INC    COMMON  086516101 $        357.00      7,753   SH         DEFINED          8      7,753       --          --
BEST BUY COMPANY INC    COMMON  086516101 $        484.00     10,525   SH         DEFINED          9     10,525       --          --
BEST BUY COMPANY INC    COMMON  086516101 $      1,730.00     37,600   SH         DEFINED       9,15         --       --      37,600
BEVERLY HILLS
   BANCORP INC          COMMON  087866109 $          8.00      1,251   SH         DEFINED         24      1,251       --          --
BHP LTD-ADR             COMMON  088606108 $     13,172.00    167,585   SH         DEFINED         24    167,585       --          --
BHP LTD-ADR             COMMON  088606108 $     40,090.00    510,052   SH         DEFINED          4    510,052       --          --
BHP LTD-ADR             COMMON  088606108 $         43.00        550   SH         DEFINED          6         --       --         550
BIG 5 SPORTING GOODS
   CORP                 COMMON  08915P101 $         48.00      2,582   SH         DEFINED         24      2,582       --          --
BIG LOTS INC            COMMON  089302103 $      1,329.00     44,550   SH         DEFINED          1     44,550       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BIG LOTS INC            COMMON  089302103 $      3,237.00    108,466   SH         DEFINED       1,15    108,466       --          --
BIG LOTS INC            COMMON  089302103 $      1,301.00     43,600   SH         DEFINED      11,15     43,600       --          --
BIG LOTS INC            COMMON  089302103 $        464.00     15,566   SH         DEFINED       11,8     15,566       --          --
BIG LOTS INC            COMMON  089302103 $        237.00      7,938   SH         DEFINED         14      7,938       --          --
BIG LOTS INC            COMMON  089302103 $    179,433.00  6,013,182   SH         DEFINED         15  4,128,632       --   1,771,450
BIG LOTS INC            COMMON  089302103 $      3,071.00    102,900   SH         DEFINED      15,14         --       --     102,900
BIG LOTS INC            COMMON  089302103 $      6,329.00    212,100   SH         DEFINED       15,8         --       --     212,100
BIG LOTS INC            COMMON  089302103 $      1,854.00     62,129   SH         DEFINED         21     62,129       --          --
BIG LOTS INC            COMMON  089302103 $      1,653.00     55,387   SH         DEFINED         22     55,387       --          --
BIG LOTS INC            COMMON  089302103 $          3.00         99   SH         DEFINED         23         --       --          99
BIG LOTS INC            COMMON  089302103 $        999.00     33,480   SH         DEFINED         24     33,480       --          --
BIG LOTS INC            COMMON  089302103 $      9,113.00    305,400   SH         DEFINED       5,15    305,400       --          --
BIG LOTS INC            COMMON  089302103 $      3,045.00    102,057   SH         DEFINED          8    102,057       --          --
BIG LOTS INC            COMMON  089302103 $     30,225.00  1,012,915   SH         DEFINED          9  1,012,915       --          --
BIG LOTS INC            COMMON  089302103 $      6,114.00    204,900   SH         DEFINED       9,15    204,900       --          --
BIMINI CAPITAL
   MANAGEMENT INC       COMMON  090319104 $          3.00      2,000   SH         DEFINED          6      2,000       --          --
BIO RAD LABORATORIES
   CL A                 COMMON  090572207 $      9,340.00    103,199   SH         DEFINED          1    103,199       --          --
BIO RAD LABORATORIES
   CL A                 COMMON  090572207 $      4,565.00     50,441   SH         DEFINED         24     50,441       --          --
BIOMARIN
   PHARMACEUTICAL
   INC                  COMMON  09061G101 $     34,276.00  1,376,546   SH         DEFINED          1  1,376,546       --          --
BIOMARIN
   PHARMACEUTICAL
   INC                  COMMON  09061G101 $        149.00      6,000   SH         DEFINED         19      6,000       --          --
BIOMARIN
   PHARMACEUTICAL
   INC                  COMMON  09061G101 $     11,453.00    459,975   SH         DEFINED          2    459,975       --          --
BIOMARIN
   PHARMACEUTICAL
   INC                  COMMON  09061G101 $         35.00      1,408   SH         DEFINED       20,2         --       --       1,408
BIOMARIN
   PHARMACEUTICAL
   INC                  COMMON  09061G101 $      2,228.00     89,470   SH         DEFINED       21,2         --       --      89,470
BIOMARIN
   PHARMACEUTICAL
   INC                  COMMON  09061G101 $      7,663.00    307,766   SH         DEFINED         24    307,766       --          --
BIOGEN IDEC INC         COMMON  09062X103 $     53,849.00    811,841   SH         DEFINED          1    811,841       --          --
BIOGEN IDEC INC         COMMON  09062X103 $      1,675.00     25,248   SH         DEFINED       1,15     25,248       --          --
BIOGEN IDEC INC         COMMON  09062X103 $      2,826.00     42,600   SH         DEFINED      11,15     42,600       --          --
BIOGEN IDEC INC         COMMON  09062X103 $    199,228.00  3,003,590   SH         DEFINED         15  2,100,340       --     820,850
BIOGEN IDEC INC         COMMON  09062X103 $      5,287.00     79,700   SH         DEFINED      15,14         --       --      79,700
BIOGEN IDEC INC         COMMON  09062X103 $      6,023.00     90,800   SH         DEFINED       15,8         --       --      90,800
BIOGEN IDEC INC         COMMON  09062X103 $        192.00      2,900   SH         DEFINED         19      2,900       --          --
BIOGEN IDEC INC         COMMON  09062X103 $      9,002.00    135,714   SH         DEFINED          2    135,714       --          --
BIOGEN IDEC INC         COMMON  09062X103 $         39.00        590   SH         DEFINED       20,2         --       --         590
BIOGEN IDEC INC         COMMON  09062X103 $      2,462.00     37,123   SH         DEFINED       21,2         --       --      37,123
BIOGEN IDEC INC         COMMON  09062X103 $        900.00     13,573   SH         DEFINED         22     13,573       --          --
BIOGEN IDEC INC         COMMON  09062X103 $         41.00        620   SH         DEFINED         23         --       --         620
BIOGEN IDEC INC         COMMON  09062X103 $     21,709.00    327,295   SH         DEFINED         24    327,295       --          --
BIOGEN IDEC INC         COMMON  09062X103 $      9,618.00    145,000   SH         DEFINED       5,15    145,000       --          --
BIOGEN IDEC INC         COMMON  09062X103 $         19.00        280   SH         DEFINED          6         --       --         280
BIOGEN IDEC INC         COMMON  09062X103 $      3,958.00     59,677   SH         DEFINED          8     59,677       --          --
BIOGEN IDEC INC         COMMON  09062X103 $     17,102.00    257,834   SH         DEFINED          9    257,834       --          --
BIOGEN IDEC INC         COMMON  09062X103 $     14,122.00    212,900   SH         DEFINED       9,15    212,900       --          --
BIOGEN IDEC INC         COMMON  09062X103 $         92.00      1,390   SH         DEFINED        9,2      1,390       --          --
BIOMED REALTY TRUST
   INC                  COMMON  09063H107 $     13,362.00    554,425   SH         DEFINED          1    554,425       --          --
BIOMED REALTY TRUST
   INC                  COMMON  09063H107 $      1,222.00     50,700   SH         DEFINED       1,15     50,700       --          --
BIOMED REALTY TRUST
   INC                  COMMON  09063H107 $      1,453.00     60,303   SH         DEFINED         15     49,103       --      11,200
BIOMED REALTY TRUST
   INC                  COMMON  09063H107 $     10,132.00    420,432   SH         DEFINED          2    420,432       --          --
BIOMED REALTY TRUST
   INC                  COMMON  09063H107 $         71.00      2,956   SH         DEFINED         24      2,956       --          --
BIODEL INC              COMMON  09064M105 $      4,680.00    274,622   SH         DEFINED          1    274,622       --          --
BIODEL INC              COMMON  09064M105 $        391.00     22,970   SH         DEFINED          2     22,970       --          --
BIODEL INC              COMMON  09064M105 $         10.00        564   SH         DEFINED       20,2         --       --         564
BIODEL INC              COMMON  09064M105 $        610.00     35,824   SH         DEFINED       21,2         --       --      35,824
BIOMIMETIC
   THERAPEUTICS INC     COMMON  09064X101 $        381.00     28,551   SH         DEFINED         24     28,551       --          --
BIOFUEL ENERGY CORP     COMMON  09064Y109 $          1.00        259   SH         DEFINED         23        259       --          --
BIOVAIL CORPORATION     COMMON  09067J109 $          9.00        496   SH         DEFINED         24        496       --          --
BIOVAIL CORPORATION     COMMON  09067J109 $         57.00      3,259   SH         DEFINED          8      3,259       --          --
BLACK & DECKER CORP     COMMON  091797100 $         96.00      1,147   SH         DEFINED       1,15      1,147       --          --
BLACK & DECKER CORP     COMMON  091797100 $      4,871.00     58,480   SH         DEFINED         15     43,880       --      13,100
BLACK & DECKER CORP     COMMON  091797100 $      1,141.00     13,700   SH         DEFINED       15,8         --       --      13,700
BLACK & DECKER CORP     COMMON  091797100 $         50.00        600   SH         DEFINED         23         --       --         600
BLACK & DECKER CORP     COMMON  091797100 $      2,285.00     27,428   SH         DEFINED         24     27,428       --          --
BLACK & DECKER CORP     COMMON  091797100 $          5.00         61   SH         DEFINED          6         --       --          61
BLACK & DECKER CORP     COMMON  091797100 $        170.00      2,037   SH         DEFINED          8      2,037       --          --
BLACK & DECKER CORP     COMMON  091797100 $        437.00      5,252   SH         DEFINED          9      5,252       --          --
BJ'S RESTAURANTS INC    COMMON  09180C106 $         37.00      1,754   SH         DEFINED         24      1,754       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BJ'S RESTAURANTS INC    COMMON  09180C106 $          5.00        250   SH         DEFINED          6        250       --          --
BLACK BOX
   CORPORATION          COMMON  091826107 $        113.00      2,632   SH         DEFINED         24      2,632       --          --
BLACK BOX
   CORPORATION          COMMON  091826107 $        148.00      3,465   SH         DEFINED          6         --       --       3,465
BLACK BOX
   CORPORATION          COMMON  091826107 $      7,500.00    175,400   SH         DEFINED          9    175,400       --          --
BLACK BOX
   CORPORATION          COMMON  091826107 $      1,078.00     25,200   SH         DEFINED       9,22     25,200       --          --
BLACKBOARD INC          COMMON  091935502 $     23,627.00    515,421   SH         DEFINED          1    515,421       --          --
BLACKBOARD INC          COMMON  091935502 $     17,031.00    371,533   SH         DEFINED          2    371,533       --          --
BLACKBOARD INC          COMMON  091935502 $        322.00      7,021   SH         DEFINED         24      7,021       --          --
BLACK HILLS CORP        COMMON  092113109 $     25,228.00    615,010   SH         DEFINED         15    355,810       --     258,400
BLACK HILLS CORP        COMMON  092113109 $      5,880.00    143,334   SH         DEFINED         24    143,334       --          --
BLACK HILLS CORP        COMMON  092113109 $      2,900.00     70,700   SH         DEFINED       5,15     70,700       --          --
BLACK HILLS CORP        COMMON  092113109 $        135.00      3,300   SH         DEFINED          6         --       --       3,300
BLACKBAUD INC           COMMON  09227Q100 $      8,544.00    338,517   SH         DEFINED          1    338,517       --          --
BLACKBAUD INC           COMMON  09227Q100 $         25.00        999   SH         DEFINED         24        999       --          --
BLACKBAUD INC           COMMON  09227Q100 $        231.00      9,171   SH         DEFINED          6         --       --       9,171
BLACKROCK INSD MUNI
   2008 TR CF           COMMON  09247K109 $         11.00        700   SH         DEFINED         23         --       --         700
BLACKROCK MUNI
   TARGET TR-06 CF      COMMON  09247M105 $            --          3   SH         DEFINED         23         --       --           3
BLACKROCK MUNIVEST
   FUND CEF             COMMON  09253R105 $            --         17   SH         DEFINED         23         --       --          17
BLACKSTONE GROUP
   LP/THE               COMMON  09253U108 $     18,426.00    734,695   SH         DEFINED          1    734,695       --          --
BLACKSTONE GROUP
   LP/THE               COMMON  09253U108 $         10.00        400   SH         DEFINED         23        400       --          --
BLACKSTONE GROUP
   LP/THE               COMMON  09253U108 $     11,905.00    474,691   SH         DEFINED         24    474,691       --          --
BLACKSTONE GROUP
   LP/THE               COMMON  09253U108 $         23.00        900   SH         DEFINED          6        500       --         400
BLACKSTONE GROUP
   LP/THE               COMMON  09253U108 $      2,172.00     86,600   SH         DEFINED          9     86,600       --          --
BLACKROCK MUNIYIELD
   QUAL II CE           COMMON  09254G108 $            --         28   SH         DEFINED         23         --       --          28
BLACKROCK MUNIYIELD
   FLORIDA CE           COMMON  09254T100 $            --          3   SH         DEFINED         23         --       --           3
BLACKROCK
   MUNIHOLDINGS NJ
   IN C                 COMMON  09254X101 $         14.00        967   SH         DEFINED         23         --       --         967
BLADELOGIC INC          COMMON  09265M102 $        234.00      9,121   SH         DEFINED          1      9,121       --          --
BLDRS EMER MKTS 50
   ADR INDEX E          COMMON  09348R300 $         21.00        400   SH         DEFINED         23         --       --         400
BLOCK H & R INC         COMMON  093671105 $     71,155.00  3,359,514   SH         DEFINED          1  3,359,514       --          --
BLOCK H & R INC         COMMON  093671105 $        120.00      5,680   SH         DEFINED       1,15      5,680       --          --
BLOCK H & R INC         COMMON  093671105 $      1,163.00     54,911   SH         DEFINED         15     54,911       --          --
BLOCK H & R INC         COMMON  093671105 $        723.00     34,118   SH         DEFINED         24     34,118       --          --
BLOCK H & R INC         COMMON  093671105 $      4,943.00    233,366   SH         DEFINED          4    233,366       --          --
BLOCK H & R INC         COMMON  093671105 $         27.00      1,261   SH         DEFINED          6         --       --       1,261
BLOCK H & R INC         COMMON  093671105 $        148.00      7,004   SH         DEFINED          8      7,004       --          --
BLOCKBUSTER INC CL A    COMMON  093679108 $        427.00     79,445   SH         DEFINED         24     79,445       --          --
BLOCKBUSTER INC-CL B    COMMON  093679207 $        227.00     46,875   SH         DEFINED         24     46,875       --          --
BLONDER TONGUE
   LABORATORIES         COMMON  093698108 $            --          8   SH         DEFINED         23         --       --           8
BLONDER TONGUE
   LABORATORIES         COMMON  093698108 $          1.00        416   SH         DEFINED         24        416       --          --
BLOUNT INTERNATIONAL
   INC                  COMMON  095180105 $        446.00     39,300   SH         DEFINED         15     39,300       --          --
BLOUNT INTERNATIONAL
   INC                  COMMON  095180105 $         65.00      5,704   SH         DEFINED         24      5,704       --          --
BLOUNT INTERNATIONAL
   INC                  COMMON  095180105 $        198.00     17,400   SH         DEFINED       5,15     17,400       --          --
BLUE COAT SYSTEMS
   INC                  COMMON  09534T508 $      4,237.00     53,800   SH         DEFINED         15     35,600       --      18,200
BLUE COAT SYSTEMS
   INC                  COMMON  09534T508 $         43.00        550   SH         DEFINED         23         --       --         550
BLUE COAT SYSTEMS
   INC                  COMMON  09534T508 $      2,021.00     25,656   SH         DEFINED         24     25,656       --          --
BLUE COAT SYSTEMS
   INC                  COMMON  09534T508 $        780.00      9,900   SH         DEFINED       5,15      9,900       --          --
BLUE NILE INC           COMMON  09578R103 $      6,305.00     66,984   SH         DEFINED          1     66,984       --          --
BLUE NILE INC           COMMON  09578R103 $      9,883.00    105,000   SH         DEFINED         15     72,100       --      32,900
BLUE NILE INC           COMMON  09578R103 $        262.00      2,780   SH         DEFINED       21,2      2,780       --          --
BLUE NILE INC           COMMON  09578R103 $      1,055.00     11,206   SH         DEFINED         24     11,206       --          --
BLUE NILE INC           COMMON  09578R103 $     11,360.00    120,698   SH         DEFINED        3,1    120,698       --          --
BLUE NILE INC           COMMON  09578R103 $      1,704.00     18,100   SH         DEFINED       5,15     18,100       --          --
BLUE NILE INC           COMMON  09578R103 $      4,866.00     51,696   SH         DEFINED        9,2     51,696       --          --
BLUEGREEN CORP          COMMON  096231105 $        351.00     45,261   SH         DEFINED         24     45,261       --          --
BLUELINX HOLDINGS
   INC                  COMMON  09624H109 $        298.00     42,396   SH         DEFINED         15     26,896       --      15,500
BLUELINX HOLDINGS
   INC                  COMMON  09624H109 $         67.00      9,500   SH         DEFINED       5,15      9,500       --          --
BLYTH INDUSTRIES INC    COMMON  09643P108 $     17,504.00    855,950   SH         DEFINED         15    475,250       --     380,700
BLYTH INDUSTRIES INC    COMMON  09643P108 $      1,054.00     51,542   SH         DEFINED         24     51,542       --          --
BLYTH INDUSTRIES INC    COMMON  09643P108 $      1,344.00     65,700   SH         DEFINED       5,15     65,700       --          --
BMB MUNAI INC           COMMON  09656A105 $            --         15   SH         DEFINED         23         15       --          --
BMB MUNAI INC           COMMON  09656A105 $        112.00     20,000   SH         DEFINED          9     20,000       --          --
BOARDWALK PIPELINE
   PARTNERS             COMMON  096627104 $          4.00        122   SH         DEFINED         23        109       --          13
BOARDWALK PIPELINE
   PARTNERS             COMMON  096627104 $      2,208.00     72,098   SH         DEFINED          6     72,098       --          --
BOB EVANS FARMS         COMMON  096761101 $      4,877.00    161,600   SH         DEFINED         15     94,400       --      67,200
BOB EVANS FARMS         COMMON  096761101 $      1,829.00     60,619   SH         DEFINED         24     60,619       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BOB EVANS FARMS         COMMON  096761101 $        232.00      7,700   SH         DEFINED       5,15      7,700       --          --
BOEING CO               COMMON  097023105 $    198,038.00  1,886,258   SH         DEFINED          1  1,886,258       --          --
BOEING CO               COMMON  097023105 $      1,428.00     13,606   SH         DEFINED       1,15     13,606       --          --
BOEING CO               COMMON  097023105 $        147.00      1,400   SH         DEFINED      11,15      1,400       --          --
BOEING CO               COMMON  097023105 $     45,419.00    432,600   SH         DEFINED         15    332,100       --      89,200
BOEING CO               COMMON  097023105 $        724.00      6,900   SH         DEFINED      15,14         --       --       6,900
BOEING CO               COMMON  097023105 $      4,756.00     45,300   SH         DEFINED       15,8         --       --      45,300
BOEING CO               COMMON  097023105 $     28,044.00    267,112   SH         DEFINED          2    267,112       --          --
BOEING CO               COMMON  097023105 $         28.00        262   SH         DEFINED         23         39       --         223
BOEING CO               COMMON  097023105 $     46,855.00    446,283   SH         DEFINED         24    446,283       --          --
BOEING CO               COMMON  097023105 $        708.00      6,748   SH         DEFINED          4      6,748       --          --
BOEING CO               COMMON  097023105 $      1,963.00     18,700   SH         DEFINED       5,15     18,700       --          --
BOEING CO               COMMON  097023105 $     10,925.00    104,059   SH         DEFINED          6     85,435       --      18,624
BOEING CO               COMMON  097023105 $        766.00      7,300   SH         DEFINED          7      7,300       --          --
BOEING CO               COMMON  097023105 $      2,373.00     22,606   SH         DEFINED          8     22,606       --          --
BOEING CO               COMMON  097023105 $      7,390.00     70,384   SH         DEFINED          9     70,384       --          --
BOEING CO               COMMON  097023105 $      4,326.00     41,200   SH         DEFINED       9,15     41,200       --          --
BOEING CO               COMMON  097023105 $        516.00      4,911   SH         DEFINED        9,2      4,911       --          --
BOIS D' ARC ENERGY
   INC                  COMMON  09738U103 $      5,321.00    277,550   SH         DEFINED         24    277,550       --          --
BOOKS-A-MILLION INC     COMMON  098570104 $        775.00     58,550   SH         DEFINED         15     39,250       --      19,300
BOOKS-A-MILLION INC     COMMON  098570104 $        543.00     41,037   SH         DEFINED         24     41,037       --          --
BOOKS-A-MILLION INC     COMMON  098570104 $        119.00      9,000   SH         DEFINED       5,15      9,000       --          --
BORDERS GROUP INC       COMMON  099709107 $        213.00     15,966   SH         DEFINED         24     15,966       --          --
BORG WARNER INC         COMMON  099724106 $          4.00         48   SH         DEFINED         23         17       --          31
BORG WARNER INC         COMMON  099724106 $      6,307.00     68,910   SH         DEFINED         24     68,910       --          --
BORG WARNER INC         COMMON  099724106 $      4,959.00     54,175   SH         DEFINED          6     50,525       --       3,650
BORLAND SOFTWARE
   CORPORATION          COMMON  099849101 $        371.00     85,396   SH         DEFINED         24     85,396       --          --
BOSTON BEER COMPANY
   INC CL A             COMMON  100557107 $      5,484.00    112,700   SH         DEFINED         15     74,400       --      38,300
BOSTON BEER COMPANY
   INC CL A             COMMON  100557107 $        496.00     10,201   SH         DEFINED         24     10,201       --          --
BOSTON BEER COMPANY
   INC CL A             COMMON  100557107 $      1,338.00     27,500   SH         DEFINED       5,15     27,500       --          --
BOSTON PRIVATE
   FINANCIAL HOLDI      COMMON  101119105 $         11.00        395   SH         DEFINED         23         --       --         395
BOSTON PRIVATE
   FINANCIAL HOLDI      COMMON  101119105 $         73.00      2,616   SH         DEFINED         24      2,616       --          --
BOSTON PRIVATE
   FINANCIAL HOLDI      COMMON  101119105 $          4.00        150   SH         DEFINED          6        150       --          --
BOSTON PROPERTIES
   INC                  COMMON  101121101 $      4,879.00     46,956   SH         DEFINED       1,15     46,956       --          --
BOSTON PROPERTIES
   INC                  COMMON  101121101 $     76,531.00    736,581   SH         DEFINED         15    504,330       --     185,600
BOSTON PROPERTIES
   INC                  COMMON  101121101 $      1,049.00     10,100   SH         DEFINED      20,15     10,100       --          --
BOSTON PROPERTIES
   INC                  COMMON  101121101 $        860.00      8,276   SH         DEFINED         24      8,276       --          --
BOSTON PROPERTIES
   INC                  COMMON  101121101 $      6,045.00     58,181   SH         DEFINED       5,15     58,181       --          --
BOSTON PROPERTIES
   INC                  COMMON  101121101 $        532.00      5,116   SH         DEFINED          6      1,520       --       3,596
BOSTON PROPERTIES
   LP 3.75 05-1        CONVERT  10112RAG9 $     15,803.00 14,000,000   SH         DEFINED         15         --       --  11,875,000
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $        323.00     23,161   SH         DEFINED       1,15     23,161       --          --
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $     16,506.00  1,183,255   SH         DEFINED         12    343,755       --     839,500
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $        218.00     15,600   SH         DEFINED      12,14     15,600       --          --
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $      7,054.00    505,687   SH         DEFINED         15    453,302       --      52,386
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $         15.00      1,070   SH         DEFINED      20,12      1,070       --          --
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $        522.00     37,400   SH         DEFINED      20,15         --       --      37,400
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $      1,229.00     88,120   SH         DEFINED      21,15         --       --          --
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $          7.00        503   SH         DEFINED         23         --       --         503
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $        888.00     63,659   SH         DEFINED         24     63,659       --          --
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $        239.00     17,100   SH         DEFINED       5,15         --       --      17,100
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $      1,093.00     78,363   SH         DEFINED          6     14,845       --      63,518
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $        285.00     20,396   SH         DEFINED          8     20,396       --          --
BOSTON SCIENTIFIC
   CORP                 COMMON  101137107 $      1,328.00     95,204   SH         DEFINED       9,15         --       --      95,204
BOTTOMLINE
   TECHNOLOGIES INC     COMMON  101388106 $        452.00     36,105   SH         DEFINED         24     36,105       --          --
BOTTOMLINE
   TECHNOLOGIES INC     COMMON  101388106 $        166.00     13,235   SH         DEFINED          6     13,235       --          --
BOWATER INC             COMMON  102183100 $        279.00     18,699   SH         DEFINED         24     18,699       --          --
BOWNE & CO INC          COMMON  103043105 $        740.00     44,415   SH         DEFINED         24     44,415       --          --
BOYD GAMING CORP        COMMON  103304101 $      3,168.00     73,936   SH         DEFINED         24     73,936       --          --
BRADLEY
   PHARMACEUTICALS
   INC                  COMMON  104576103 $            --         20   SH         DEFINED         23         20       --          --
BRADY CORP- CL A        COMMON  104674106 $        171.00      4,766   SH         DEFINED         24      4,766       --          --
BRANDYWINE REALTY
   TRUST                COMMON  105368203 $     41,176.00  1,626,879   SH         DEFINED       1,15  1,626,879       --          --
BRANDYWINE REALTY
   TRUST                COMMON  105368203 $     76,180.00  3,009,877   SH         DEFINED         15  1,805,624       --     983,808
BRANDYWINE REALTY
   TRUST                COMMON  105368203 $      5,158.00    203,798   SH         DEFINED       2,15    203,798       --          --
BRANDYWINE REALTY
   TRUST                COMMON  105368203 $      1,243.00     49,105   SH         DEFINED      20,15     49,105       --          --
BRANDYWINE REALTY
   TRUST                COMMON  105368203 $        135.00      5,327   SH         DEFINED         24      5,327       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BRANDYWINE REALTY
   TRUST                COMMON  105368203 $      6,975.00    275,596   SH         DEFINED       5,15    275,596       --          --
BRANDYWINE REALTY
   TRUST                COMMON  105368203 $          4.00        167   SH         DEFINED          6         --       --         167
BRASIL TELECOM PART
   SA ADR               COMMON  105530109 $      1,306.00     17,500   SH         DEFINED      12,14     17,500       --          --
BRASIL TELECOM PART
   SA ADR               COMMON  105530109 $      1,642.00     22,000   SH         DEFINED          9     22,000       --          --
BRASIL TELECOM PART
   SA ADR               COMMON  105530109 $        448.00      6,000   SH         DEFINED       9,15      6,000       --          --
BRASIL TELECOM PART
   SA ADR               COMMON  105530109 $      1,970.00     26,400   SH         DEFINED       9,22     26,400       --          --
COPENE PETROQ DO
   NORDESTE SA A        COMMON  105532105 $         15.00        800   SH         DEFINED         24        800       --          --
BRIGGS & STRATTON       COMMON  109043109 $        198.00      7,883   SH         DEFINED         24      7,883       --          --
BRIGGS & STRATTON       COMMON  109043109 $         20.00        810   SH         DEFINED          6        810       --          --
BRIGHAM EXPLORATION
   CO                   COMMON  109178103 $         46.00      7,736   SH         DEFINED         24      7,736       --          --
BRIGHAM EXPLORATION
   CO                   COMMON  109178103 $        163.00     27,500   SH         DEFINED          6     27,500       --          --
BRIGHT HORIZONS
   FAMILY SOLUTIO       COMMON  109195107 $        529.00     12,359   SH         DEFINED         24     12,359       --          --
BRIGHT HORIZONS
   FAMILY SOLUTIO       COMMON  109195107 $        345.00      8,045   SH         DEFINED          6        120       --       7,925
BRIGHTPOINT INC         COMMON  109473405 $     24,515.00  1,633,238   SH         DEFINED        1,3  1,633,238       --          --
BRIGHTPOINT INC         COMMON  109473405 $        934.00     62,200   SH         DEFINED       20,3     62,200       --          --
BRIGHTPOINT INC         COMMON  109473405 $        202.00     13,478   SH         DEFINED         24     13,478       --          --
BRIGHTPOINT INC         COMMON  109473405 $      8,192.00    545,800   SH         DEFINED          3    545,800       --          --
BRINKER
   INTERNATIONAL INC    COMMON  109641100 $      5,432.00    197,976   SH         DEFINED         24    197,976       --          --
BRINKER
   INTERNATIONAL INC    COMMON  109641100 $         77.00      2,811   SH         DEFINED          8      2,811       --          --
BRINKER
   INTERNATIONAL INC    COMMON  109641100 $        666.00     24,287   SH         DEFINED          9     24,287       --          --
THE BRINK'S CO          COMMON  109696104 $        509.00      9,100   SH         DEFINED         24      9,100       --          --
THE BRINK'S CO          COMMON  109696104 $          5.00         92   SH         DEFINED          6         --       --          92
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $     13,937.00    483,600   SH         DEFINED          1    483,600       --          --
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $        990.00     34,338   SH         DEFINED       1,15     34,338       --          --
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $        292.00     10,125   SH         DEFINED         12     10,125       --          --
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $     10,372.00    359,900   SH         DEFINED         15    226,500       --     118,400
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $      1,579.00     54,800   SH         DEFINED       15,8         --       --      54,800
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $         69.00      2,400   SH         DEFINED         19      2,400       --          --
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $          3.00        114   SH         DEFINED         23         36       --          78
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $     28,392.00    985,153   SH         DEFINED         24    985,153       --          --
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $      2,592.00     89,939   SH         DEFINED          6     53,147       --      36,792
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $      1,004.00     34,839   SH         DEFINED          8     34,839       --          --
BRISTOL-MYERS
   SQUIBB CO            COMMON  110122108 $      2,820.00     97,862   SH         DEFINED          9     97,862       --          --
BRISTOW GROUP INC       COMMON  110394103 $        151.00      3,453   SH         DEFINED         24      3,453       --          --
BRITISH AMERN TOB
   PLC ADR              COMMON  110448107 $         29.00        398   SH         DEFINED         23         --       --         398
BRITISH AMERN TOB
   PLC ADR              COMMON  110448107 $     16,299.00    226,442   SH         DEFINED         24    226,442       --          --
BRITISH AMERN TOB
   PLC ADR              COMMON  110448107 $          3.00         40   SH         DEFINED          4         40       --          --
BRITISH AMERN TOB
   PLC ADR              COMMON  110448107 $         98.00      1,360   SH         DEFINED          6         --       --       1,360
BROADCOM CORP CL A      COMMON  111320107 $     85,345.00  2,342,072   SH         DEFINED          1  2,342,072       --          --
BROADCOM CORP CL A      COMMON  111320107 $        297.00      8,143   SH         DEFINED       1,15      8,143       --          --
BROADCOM CORP CL A      COMMON  111320107 $      1,520.00     41,700   SH         DEFINED         19     41,700       --          --
BROADCOM CORP CL A      COMMON  111320107 $        889.00     24,400   SH         DEFINED          2         --       --      24,400
BROADCOM CORP CL A      COMMON  111320107 $      3,864.00    106,038   SH         DEFINED       21,2    106,038       --          --
BROADCOM CORP CL A      COMMON  111320107 $      6,160.00    169,057   SH         DEFINED         24    169,057       --          --
BROADCOM CORP CL A      COMMON  111320107 $      3,111.00     85,367   SH         DEFINED          3     85,367       --          --
BROADCOM CORP CL A      COMMON  111320107 $      1,840.00     50,493   SH         DEFINED          6      8,510       --      41,983
BROADCOM CORP CL A      COMMON  111320107 $        223.00      6,112   SH         DEFINED          8      6,112       --          --
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $        744.00     39,250   SH         DEFINED       1,15     39,250       --          --
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $     16,399.00    865,397   SH         DEFINED         15    607,197       --     237,400
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $        354.00     18,700   SH         DEFINED      15,14         --       --      18,700
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $        713.00     37,600   SH         DEFINED       15,8         --       --      37,600
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $            --         10   SH         DEFINED         23         --       --          10
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $        200.00     10,540   SH         DEFINED         24     10,540       --          --
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $        680.00     35,900   SH         DEFINED       5,15     35,900       --          --
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $        175.00      9,237   SH         DEFINED          6      8,762       --         475
BROADRIDGE FINANCIAL
   SOL                  COMMON  11133T103 $        259.00     13,672   SH         DEFINED          8     13,672       --          --
BROCADE
   COMMUNICATIONS
   SYS                  COMMON  111621306 $      1,534.00    179,230   SH         DEFINED         24    179,230       --          --
BROCADE
   COMMUNICATIONS
   SYS                  COMMON  111621306 $        111.00     13,021   SH         DEFINED          6         --       --      13,021
BRONCO DRILLING CO
   INC                  COMMON  112211107 $         28.00      1,918   SH         DEFINED         24      1,918       --          --
BROOKDALE SENIOR
   LIVING INC           COMMON  112463104 $         75.00      1,890   SH         DEFINED         24      1,890       --          --
BROOKFIELD ASSET
   MANAGEMENT IN        COMMON  112585104 $        456.00     11,875   SH         DEFINED          2     11,875       --          --
BROOKFIELD ASSET
   MANAGE-CL A          COMMON  112585104 $         26.00        675   SH         DEFINED         23         --       --         675
BROOKFIELD ASSET
   MANAGEMENT IN        COMMON  112585104 $         14.00        373   SH         DEFINED         24        373       --          --
BROOKFIELD ASSET
   MANAGEMENT IN        COMMON  112585104 $     30,668.00    799,301   SH         DEFINED        3,1    799,301       --          --
BROOKFIELD ASSET
   MANAGE-CL A          COMMON  112585104 $         61.00      1,594   SH         DEFINED          6         --       --       1,594




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BROOKFIELD ASSET
   MANAGEMENT IN        COMMON  112585104 $        343.00      8,951   SH         DEFINED          8      8,951       --          --
BROOKFIELD ASSET
   MANAGEMENT IN        COMMON  112585104 $      1,623.00     42,291   SH         DEFINED          9     37,449    4,842          --
BROOKFIELD HOMES
   CORP                 COMMON  112723101 $        135.00      7,254   SH         DEFINED         24      7,254       --          --
BROOKFIELD
   PROPERTIES CORP      COMMON  112900105 $      4,811.00    193,650   SH         DEFINED       1,15    193,650       --          --
BROOKFIELD
   PROPERTIES CORP      COMMON  112900105 $     13,308.00    535,549   SH         DEFINED         15    292,209       --      81,600
BROOKFIELD
   PROPERTIES CORP      COMMON  112900105 $        790.00     31,800   SH         DEFINED      20,15     31,800       --          --
BROOKFIELD
   PROPERTIES CORP      COMMON  112900105 $     11,588.00    465,366   SH         DEFINED         24    465,366       --          --
BROOKFIELD
   PROPERTIES CORP      COMMON  112900105 $        110.00      4,414   SH         DEFINED          8      4,414       --          --
BROOKLINE BANCORP
   INC                  COMMON  11373M107 $        368.00     31,732   SH         DEFINED         24     31,732       --          --
BROOKS AUTOMATION
   INC                  COMMON  114340102 $      4,193.00    294,457   SH         DEFINED          1    294,457       --          --
BROOKS AUTOMATION
   INC                  COMMON  114340102 $         47.00      3,282   SH         DEFINED         24      3,282       --          --
BROOKS AUTOMATION
   INC                  COMMON  114340102 $         64.00      4,510   SH         DEFINED          6         --       --       4,510
BROWN & BROWN INC       COMMON  115236101 $      1,990.00     75,669   SH         DEFINED         24     75,669       --          --
BROWN & BROWN INC       COMMON  115236101 $          7.00        255   SH         DEFINED          6         --       --         255
BROWN-FORMAN CORP
   -CL A                COMMON  115637100 $        151.00      1,934   SH         DEFINED         24      1,934       --          --
BROWN FORMAN CORP
   CL B                 COMMON  115637209 $      7,506.00    100,200   SH         DEFINED          1    100,200       --          --
BROWN FORMAN CORP
   CL B                 COMMON  115637209 $        112.00      1,500   SH         DEFINED       1,15      1,500       --          --
BROWN FORMAN CORP
   CL B                 COMMON  115637209 $        879.00     11,734   SH         DEFINED       14,2         --       --      11,734
BROWN FORMAN CORP
   CL B                 COMMON  115637209 $          2.00         27   SH         DEFINED         23         27       --          --
BROWN FORMAN CORP
   CL B                 COMMON  115637209 $        432.00      5,765   SH         DEFINED         24      5,765       --          --
BROWN FORMAN CORP
   CL B                 COMMON  115637209 $      2,079.00     27,754   SH         DEFINED          6     13,384       --      14,370
BROWN SHOE COMPANY
   INC                  COMMON  115736100 $         41.00      2,100   SH         DEFINED         15      2,100       --          --
BROWN SHOE COMPANY
   INC                  COMMON  115736100 $        314.00     16,166   SH         DEFINED         24     16,166       --          --
BROWN SHOE COMPANY
   INC                  COMMON  115736100 $         82.00      4,223   SH         DEFINED          6         --       --       4,223
BRUKER BIOSCIENCES
   CORP                 COMMON  116794108 $      2,793.00    317,400   SH         DEFINED         15    203,100       --     114,300
BRUKER BIOSCIENCES
   CORP                 COMMON  116794108 $         39.00      4,408   SH         DEFINED         24      4,408       --          --
BRUKER BIOSCIENCES
   CORP                 COMMON  116794108 $        464.00     52,700   SH         DEFINED       5,15     52,700       --          --
BRUNSWICK CORP          COMMON  117043109 $     29,874.00  1,306,810   SH         DEFINED          1  1,306,810       --          --
BRUNSWICK CORP          COMMON  117043109 $         36.00      1,566   SH         DEFINED       1,15      1,566       --          --
BRUNSWICK CORP          COMMON  117043109 $        300.00     13,102   SH         DEFINED         24     13,102       --          --
BRUNSWICK CORP          COMMON  117043109 $          3.00        149   SH         DEFINED          6         --       --         149
BUCKEYE GP HOLDINGS
   LP                   COMMON  118167105 $          4.00        124   SH         DEFINED         23        106       --          18
BUCKEYE GP HOLDINGS
   LP                   COMMON  118167105 $      4,276.00    142,029   SH         DEFINED          6    128,429       --      13,600
BUCKEYE PARTNERS LP     COMMON  118230101 $         28.00        567   SH         DEFINED         23        554       --          13
BUCKEYE PARTNERS LP     COMMON  118230101 $         28.00        563   SH         DEFINED         24        563       --          --
BUCKEYE PARTNERS LP     COMMON  118230101 $      5,874.00    120,027   SH         DEFINED          6    107,207       --      12,820
BUCKEYE TECHNOLOGIES
   INC                  COMMON  118255108 $      1,408.00     93,000   SH         DEFINED         15     77,900       --      15,100
BUCKEYE TECHNOLOGIES
   INC                  COMMON  118255108 $      1,730.00    114,276   SH         DEFINED         24    114,276       --          --
BUCKEYE TECHNOLOGIES
   INC                  COMMON  118255108 $        371.00     24,500   SH         DEFINED       5,15     24,500       --          --
BUCKEYE TECHNOLOGIES
   INC                  COMMON  118255108 $        121.00      8,010   SH         DEFINED          6        875       --       7,135
THE BUCKLE INC          COMMON  118440106 $        336.00      8,847   SH         DEFINED         24      8,847       --          --
BUCYRUS
   INTERNATIONAL
   INC-A                COMMON  118759109 $     20,730.00    284,239   SH         DEFINED          1    284,239       --          --
BUCYRUS
   INTERNATIONAL
   INC-A                COMMON  118759109 $     16,903.00    231,770   SH         DEFINED          2    231,770       --          --
BUCYRUS
   INTERNATIONAL
   INC-A                COMMON  118759109 $      5,254.00     72,042   SH         DEFINED         24     72,042       --          --
BUCYRUS
   INTERNATIONAL
   INC-A                COMMON  118759109 $        291.00      3,995   SH         DEFINED          6         --       --       3,995
BUFFALO WILD WINGS
   INC                  COMMON  119848109 $        203.00      5,374   SH         DEFINED         24      5,374       --          --
BUILDERS FIRSTSOURCE
   INC                  COMMON  12008R107 $         82.00      7,600   SH         DEFINED         15      7,600       --          --
BUILDERS FIRSTSOURCE
   INC                  COMMON  12008R107 $          1.00        100   SH         DEFINED         23        100       --          --
BUILDERS FIRSTSOURCE
   INC                  COMMON  12008R107 $        174.00     16,174   SH         DEFINED         24     16,174       --          --
BUILDING MATERIAL
   HOLDING CP           COMMON  120113105 $          6.00        600   SH         DEFINED         23         --       --         600
BUILDING MATERIAL
   HOLDING CP           COMMON  120113105 $         80.00      7,575   SH         DEFINED         24      7,575       --          --
BUNZL PLC -SPONS ADR    COMMON  120738406 $     14,169.00    198,562   SH         DEFINED          4    198,562       --          --
BURGER KING HOLDINGS
   INC                  COMMON  121208201 $     50,860.00  1,995,305   SH         DEFINED          1  1,995,305       --          --
BURGER KING HOLDINGS
   INC                  COMMON  121208201 $        777.00     30,487   SH         DEFINED       14,2         --       --      30,487
BURGER KING HOLDINGS
   INC                  COMMON  121208201 $        850.00     33,328   SH         DEFINED          2         --       --      33,328
BURGER KING HOLDINGS
   INC                  COMMON  121208201 $      4,547.00    178,380   SH         DEFINED         24    178,380       --          --
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $        423.00      5,215   SH         DEFINED       1,15      5,215       --          --
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $        690.00      8,500   SH         DEFINED         15      3,700       --       4,800
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $        633.00      7,800   SH         DEFINED       15,8         --       --       7,800
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $            --          4   SH         DEFINED         23         --       --           4
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $      2,721.00     33,522   SH         DEFINED         24     33,522       --          --
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $      1,102.00     13,571   SH         DEFINED          6     12,425       --       1,146
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $        525.00      6,470   SH         DEFINED          8      6,470       --          --
BURLINGTON NORTHERN
   SANTA FE             COMMON  12189T104 $      1,495.00     18,420   SH         DEFINED          9     18,420       --          --
BURLINGTON RES COAL
   SEAM GAS             COMMON  122016108 $            --        100   SH         DEFINED         23         --       --         100




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
BUSINESS OBJECTS SA
   ADR                  COMMON  12328X107 $     58,998.00  1,314,872   SH         DEFINED          1  1,314,872       --          --
BUSINESS OBJECTS SA
   ADR                  COMMON  12328X107 $        821.00     18,306   SH         DEFINED         15     18,306       --          --
BUSINESS OBJECTS SA
   ADR                  COMMON  12328X107 $     21,271.00    474,050   SH         DEFINED          4    474,050       --          --
BWAY HOLDING CO         COMMON  12429T104 $      4,604.00    412,951   SH         DEFINED          1    412,951       --          --
CAE INC                 COMMON  124765108 $          4.00        325   SH         DEFINED         24        325       --          --
CBIZ INC                COMMON  124805102 $        181.00     22,800   SH         DEFINED         15     22,800       --          --
CBIZ INC                COMMON  124805102 $        389.00     48,878   SH         DEFINED         24     48,878       --          --
CBIZ INC                COMMON  124805102 $         77.00      9,700   SH         DEFINED       5,15      9,700       --          --
CBL & ASSOCIATES
   PROPERTIES           COMMON  124830100 $     27,066.00    772,200   SH         DEFINED       1,15    772,200       --          --
CBL & ASSOCIATES
   PROPERTIES           COMMON  124830100 $     46,626.00  1,330,271   SH         DEFINED         15    823,865       --     415,900
CBL & ASSOCIATES
   PROPERTIES           COMMON  124830100 $      3,176.00     90,600   SH         DEFINED       2,15     90,600       --          --
CBL & ASSOCIATES
   PROPERTIES           COMMON  124830100 $        862.00     24,600   SH         DEFINED      20,15     24,600       --          --
CBL & ASSOCIATES
   PROPERTIES           COMMON  124830100 $        239.00      6,814   SH         DEFINED         24      6,814       --          --
CBL & ASSOCIATES
   PROPERTIES           COMMON  124830100 $      3,961.00    113,000   SH         DEFINED       5,15    113,000       --          --
CBS CORP CL A           COMMON  124857103 $      2,141.00     67,946   SH         DEFINED          1     67,946       --          --
CBS CORP- CLASS B       COMMON  124857202 $      2,145.00     68,097   SH         DEFINED          1     68,097       --          --
CBS CORP- CLASS B       COMMON  124857202 $        757.00     24,040   SH         DEFINED       1,15     24,040       --          --
CBS CORP- CLASS B       COMMON  124857202 $        268.00      8,500   SH         DEFINED      11,15      8,500       --          --
CBS CORP- CLASS B       COMMON  124857202 $        466.00     14,795   SH         DEFINED       14,2         --       --      14,795
CBS CORP- CLASS B       COMMON  124857202 $     17,938.00    569,449   SH         DEFINED         15    439,549       --     112,100
CBS CORP- CLASS B       COMMON  124857202 $        457.00     14,500   SH         DEFINED      15,14         --       --      14,500
CBS CORP- CLASS B       COMMON  124857202 $      1,710.00     54,300   SH         DEFINED       15,8         --       --      54,300
CBS CORP- CLASS B       COMMON  124857202 $         21.00        666   SH         DEFINED         22        666       --          --
CBS CORP- CLASS B       COMMON  124857202 $            --         15   SH         DEFINED         23         --       --          15
CBS CORP- CLASS B       COMMON  124857202 $      7,264.00    230,604   SH         DEFINED         24    230,604       --          --
CBS CORP- CLASS B       COMMON  124857202 $    241,610.00  7,670,150   SH         DEFINED          3  7,670,150       --          --
CBS CORP- CLASS B       COMMON  124857202 $        617.00     19,600   SH         DEFINED       5,15     19,600       --          --
CBS CORP- CLASS B       COMMON  124857202 $         53.00      1,693   SH         DEFINED          6         42       --       1,651
CBS CORP- CLASS B       COMMON  124857202 $        655.00     20,804   SH         DEFINED          8     20,804       --          --
CBS CORP- CLASS B       COMMON  124857202 $      2,241.00     71,150   SH         DEFINED          9     71,150       --          --
CBS CORP- CLASS B       COMMON  124857202 $      1,301.00     41,300   SH         DEFINED       9,15     41,300       --          --
CBRL GROUP INC          COMMON  12489V106 $     15,482.00    379,450   SH         DEFINED         15    221,450       --     158,000
CBRL GROUP INC          COMMON  12489V106 $      1,216.00     29,803   SH         DEFINED         24     29,803       --          --
CBRL GROUP INC          COMMON  12489V106 $      1,612.00     39,500   SH         DEFINED       5,15     39,500       --          --
CBRL GROUP INC          COMMON  12489V106 $         27.00        665   SH         DEFINED          6        665       --          --
CBRL GROUP INC          COMMON  12489V106 $        444.00     10,890   SH         DEFINED          9     10,890       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $    108,940.00  3,913,059   SH         DEFINED          1  3,913,059       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $         95.00      3,422   SH         DEFINED       1,15      3,422       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $         40.00      1,421   SH         DEFINED         14      1,421       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $         40.00      1,421   SH         DEFINED       14,2      1,421       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $      7,445.00    267,431   SH         DEFINED          2    252,101       --      15,330
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $         13.00        481   SH         DEFINED         23        374       --         107
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $        175.00      6,297   SH         DEFINED         24      6,297       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $     11,174.00    401,354   SH         DEFINED          6    286,202       --     115,152
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $        115.00      4,142   SH         DEFINED          8      4,142       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $        627.00     22,538   SH         DEFINED          9     22,538       --          --
CB RICHARD ELLIS
   GROUP, INC.          COMMON  12497T101 $        418.00     15,015   SH         DEFINED        9,2     15,015       --          --
C-COR INC               COMMON  125010108 $     10,316.00    897,836   SH         DEFINED          1    897,836       --          --
C-COR INC               COMMON  125010108 $      7,839.00    682,253   SH         DEFINED          2    682,253       --          --
C-COR INC               COMMON  125010108 $      1,193.00    103,834   SH         DEFINED         24    103,834       --          --
CCL CONVERT BOND
   TRUST 144A 2.       CONVERT  12502RAA6 $     19,512.00 14,875,000   SH         DEFINED         15         --       --  12,575,000
CDI CORP                COMMON  125071100 $      5,030.00    180,400   SH         DEFINED         24    180,400       --          --
CDW CORP                COMMON  12512N105 $      2,670.00     30,622   SH         DEFINED         24     30,622       --          --
CEC ENTERTAINMENT
   INC                  COMMON  125137109 $        875.00     32,580   SH         DEFINED         24     32,580       --          --
CEC ENTERTAINMENT
   INC                  COMMON  125137109 $         68.00      2,515   SH         DEFINED          6         --       --       2,515
CFS BANCORP INC         COMMON  12525D102 $        433.00     30,739   SH         DEFINED         24     30,739       --          --
CF INDUSTRIES
   HOLDINGS INC         COMMON  125269100 $     16,837.00    221,800   SH         DEFINED         15    153,700       --      68,100
CF INDUSTRIES
   HOLDINGS INC         COMMON  125269100 $      2,381.00     31,372   SH         DEFINED         24     31,372       --          --
CF INDUSTRIES
   HOLDINGS INC         COMMON  125269100 $      3,833.00     50,500   SH         DEFINED       5,15     50,500       --          --
CHC HELICOPTER CORP
   CL A                 COMMON  12541C203 $      1,483.00     58,846   SH         DEFINED          2     58,846       --          --
CHC HELICOPTER CORP
   CL A                 COMMON  12541C203 $          2.00         98   SH         DEFINED         24         98       --          --
CHC HELICOPTER CORP
   CL A                 COMMON  12541C203 $     19,292.00    765,754   SH         DEFINED        3,1    765,754       --          --
CH ENERGY GROUP INC     COMMON  12541M102 $         29.00        600   SH         DEFINED         23         --       --         600
CH ENERGY GROUP INC     COMMON  12541M102 $        183.00      3,829   SH         DEFINED         24      3,829       --          --
C.H. ROBINSON
   WORLDWIDE INC        COMMON  12541W209 $     15,554.00    286,505   SH         DEFINED          1    286,505       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
C.H. ROBINSON
   WORLDWIDE INC        COMMON  12541W209 $        163.00      2,995   SH         DEFINED       1,15      2,995       --          --
C.H. ROBINSON
   WORLDWIDE INC        COMMON  12541W209 $          7.00        126   SH         DEFINED         23        119       --           7
C.H. ROBINSON
   WORLDWIDE INC        COMMON  12541W209 $     16,521.00    304,319   SH         DEFINED         24    304,319       --          --
C.H. ROBINSON
   WORLDWIDE INC        COMMON  12541W209 $      5,013.00     92,339   SH         DEFINED          6     52,060       --      40,279
CIGNA CORP              COMMON  125509109 $        457.00      8,570   SH         DEFINED          1      8,570       --          --
CIGNA CORP              COMMON  125509109 $      1,543.00     28,960   SH         DEFINED       1,15     28,960       --          --
CIGNA CORP              COMMON  125509109 $        991.00     18,600   SH         DEFINED      11,15     18,600       --          --
CIGNA CORP              COMMON  125509109 $     85,427.00  1,603,055   SH         DEFINED         15  1,221,255       --     326,600
CIGNA CORP              COMMON  125509109 $      2,968.00     55,700   SH         DEFINED      15,14         --       --      55,700
CIGNA CORP              COMMON  125509109 $      2,126.00     39,900   SH         DEFINED       15,8         --       --      39,900
CIGNA CORP              COMMON  125509109 $         37.00        700   SH         DEFINED         19        700       --          --
CIGNA CORP              COMMON  125509109 $        657.00     12,330   SH         DEFINED         22     12,330       --          --
CIGNA CORP              COMMON  125509109 $          1.00         22   SH         DEFINED         23         --       --          22
CIGNA CORP              COMMON  125509109 $     28,680.00    538,184   SH         DEFINED         24    538,184       --          --
CIGNA CORP              COMMON  125509109 $      4,338.00     81,400   SH         DEFINED       5,15     81,400       --          --
CIGNA CORP              COMMON  125509109 $      2,397.00     44,975   SH         DEFINED          6      7,988       --      36,987
CIGNA CORP              COMMON  125509109 $        767.00     14,400   SH         DEFINED          7     14,400       --          --
CIGNA CORP              COMMON  125509109 $      2,575.00     48,328   SH         DEFINED          8     48,328       --          --
CIGNA CORP              COMMON  125509109 $      3,714.00     69,689   SH         DEFINED          9     69,689       --          --
CIGNA CORP              COMMON  125509109 $      7,237.00    135,800   SH         DEFINED       9,15    135,800       --          --
CIT GROUP INC           COMMON  125581108 $        133.00      3,313   SH         DEFINED       1,15      3,313       --          --
CIT GROUP INC           COMMON  125581108 $        462.00     11,500   SH         DEFINED      11,15     11,500       --          --
CIT GROUP INC           COMMON  125581108 $      1,156.00     28,760   SH         DEFINED         15     15,260       --       9,400
CIT GROUP INC           COMMON  125581108 $      1,512.00     37,600   SH         DEFINED       15,8         --       --      37,600
CIT GROUP INC           COMMON  125581108 $        813.00     20,230   SH         DEFINED         24     20,230       --          --
CIT GROUP INC           COMMON  125581108 $         85.00      2,118   SH         DEFINED          6      1,420       --         698
CIT GROUP INC           COMMON  125581108 $        300.00      7,459   SH         DEFINED          8      7,459       --          --
CIT GROUP INC           COMMON  125581108 $        560.00     13,942   SH         DEFINED          9     13,942       --          --
CIT GROUP INC           COMMON  125581108 $      2,259.00     56,200   SH         DEFINED       9,15     56,200       --          --
CKE RESTAURANTS INC     COMMON  12561E105 $        102.00      6,266   SH         DEFINED         24      6,266       --          --
CLECO CORPORATION       COMMON  12561W105 $        190.00      7,507   SH         DEFINED         24      7,507       --          --
CLECO CORPORATION       COMMON  12561W105 $        128.00      5,080   SH         DEFINED          6         --       --       5,080
CKX INC                 COMMON  12562M106 $         32.00      2,638   SH         DEFINED         24      2,638       --          --
CME GROUP INC           COMMON  12572Q105 $        542.00        922   SH         DEFINED       1,15        922       --          --
CME GROUP INC           COMMON  12572Q105 $          2.00          3   SH         DEFINED         23         --       --           3
CME GROUP INC           COMMON  12572Q105 $      1,916.00      3,262   SH         DEFINED         24      3,262       --          --
CME GROUP INC           COMMON  12572Q105 $      3,287.00      5,596   SH         DEFINED          6        470       --       5,126
CME GROUP INC           COMMON  12572Q105 $        516.00        879   SH         DEFINED          8        879       --          --
CMGI INC                COMMON  125750109 $            --        160   SH         DEFINED         23         --       --         160
CMGI INC                COMMON  125750109 $      3,710.00  2,727,984   SH         DEFINED         24  2,727,984       --          --
CMS ENERGY CORP         COMMON  125896100 $     13,204.00    785,000   SH         DEFINED          1    785,000       --          --
CMS ENERGY CORP         COMMON  125896100 $         65.00      3,876   SH         DEFINED       1,15      3,876       --          --
CMS ENERGY CORP         COMMON  125896100 $      9,918.00    589,680   SH         DEFINED         15    292,780       --     289,600
CMS ENERGY CORP         COMMON  125896100 $        234.00     13,900   SH         DEFINED       15,8         --       --      13,900
CMS ENERGY CORP         COMMON  125896100 $        735.00     43,702   SH         DEFINED         24     43,702       --          --
CMS ENERGY CORP         COMMON  125896100 $        511.00     30,368   SH         DEFINED          6         --       --      30,368
CPI CORP                COMMON  125902106 $         42.00      1,100   SH         DEFINED         15      1,100       --          --
CPI CORP                COMMON  125902106 $         16.00        427   SH         DEFINED         24        427       --          --
CSS INDUSTRIES INC      COMMON  125906107 $        470.00     13,054   SH         DEFINED         24     13,054       --          --
CSK AUTO CORP           COMMON  125965103 $        276.00     25,905   SH         DEFINED        3,1     25,905       --          --
CSK AUTO CORP           COMMON  125965103 $        116.00     10,856   SH         DEFINED        9,2     10,856       --          --
CNA FINANCIAL CORP      COMMON  126117100 $      6,925.00    176,110   SH         DEFINED          1    176,110       --          --
CNA FINANCIAL CORP      COMMON  126117100 $        114.00      2,900   SH         DEFINED       1,15      2,900       --          --
CNA FINANCIAL CORP      COMMON  126117100 $      4,568.00    116,179   SH         DEFINED         24    116,179       --          --
CNA SURETY
   CORPORATION          COMMON  12612L108 $      1,121.00     63,592   SH         DEFINED         24     63,592       --          --
CNOOC LTD- ADR          COMMON  126132109 $     13,531.00     81,300   SH         DEFINED          1     81,300       --          --
CNOOC LTD- ADR          COMMON  126132109 $     26,841.00    161,274   SH         DEFINED         12    161,274       --          --
CNOOC LTD- ADR          COMMON  126132109 $        453.00      2,722   SH         DEFINED         15      2,722       --          --
CNOOC LTD- ADR          COMMON  126132109 $         33.00        200   SH         DEFINED         23         --       --         200
CNOOC LTD- ADR          COMMON  126132109 $     36,389.00    218,645   SH         DEFINED         24    218,645       --          --
CNOOC LTD- ADR          COMMON  126132109 $     28,873.00    173,483   SH         DEFINED          4    173,483       --          --
CNET NETWORKS INC       COMMON  12613R104 $          2.00        300   SH         DEFINED         23         --       --         300
CNET NETWORKS INC       COMMON  12613R104 $         39.00      5,266   SH         DEFINED         24      5,266       --          --
CPFL ENERGIA SA-ADR     COMMON  126153105 $        137.00      2,350   SH         DEFINED         21      2,350       --          --
CPFL ENERGIA SA-ADR     COMMON  126153105 $        928.00     15,937   SH         DEFINED         24     15,937       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CPFL ENERGIA SA-ADR     COMMON  126153105 $      2,778.00     47,700   SH         DEFINED          9     47,700       --          --
CP HOLDRS               COMMON  12616K106 $        278.00      2,000   SH         DEFINED          6         --       --       2,000
CNX GAS CORP            COMMON  12618H309 $        307.00     10,677   SH         DEFINED         24     10,677       --          --
CRA INTERNATIONAL
   INC                  COMMON  12618T105 $         41.00        846   SH         DEFINED         24        846       --          --
CRH PLC ADR             COMMON  12626K203 $         22.00        560   SH         DEFINED         23         --       --         560
CRH PLC ADR             COMMON  12626K203 $      5,840.00    145,933   SH         DEFINED         24    145,933       --          --
CRH PLC ADR             COMMON  12626K203 $     13,031.00    325,613   SH         DEFINED          4    325,613       --          --
CSG SYSTEMS INTL INC    COMMON  126349109 $     26,769.00  1,259,710   SH         DEFINED         15    817,310       --     434,300
CSG SYSTEMS INTL INC    COMMON  126349109 $        827.00     38,900   SH         DEFINED       15,8         --       --      38,900
CSG SYSTEMS INTL INC    COMMON  126349109 $      4,180.00    196,712   SH         DEFINED         24    196,712       --          --
CSG SYSTEMS INTL INC    COMMON  126349109 $      2,816.00    132,500   SH         DEFINED       5,15    132,500       --          --
CSG SYSTEMS INTL INC    COMMON  126349109 $         77.00      3,640   SH         DEFINED          6         --       --       3,640
CSG SYSTEMS INTL INC    COMMON  126349109 $        476.00     22,412   SH         DEFINED          9     22,412       --          --
CSX CORP                COMMON  126408103 $        326.00      7,621   SH         DEFINED       1,15      7,621       --          --
CSX CORP                COMMON  126408103 $      3,609.00     84,460   SH         DEFINED         15     47,060       --      34,600
CSX CORP                COMMON  126408103 $      2,867.00     67,100   SH         DEFINED       15,8         --       --      67,100
CSX CORP                COMMON  126408103 $            --         11   SH         DEFINED         23          7       --           4
CSX CORP                COMMON  126408103 $      9,622.00    225,174   SH         DEFINED         24    225,174       --          --
CSX CORP                COMMON  126408103 $        458.00     10,726   SH         DEFINED          6      2,200       --       8,526
CSX CORP                COMMON  126408103 $        383.00      8,964   SH         DEFINED          8      8,964       --          --
CTC MEDIA INC           COMMON  12642X106 $        477.00     21,700   SH         DEFINED       10,9     21,700       --          --
CTC MEDIA INC           COMMON  12642X106 $      1,083.00     49,300   SH         DEFINED         20     49,300       --          --
CTC MEDIA INC           COMMON  12642X106 $         82.00      3,739   SH         DEFINED         24      3,739       --          --
CTS CORP                COMMON  126501105 $         46.00      3,600   SH         DEFINED         15      3,600       --          --
CTS CORP                COMMON  126501105 $        524.00     40,613   SH         DEFINED         24     40,613       --          --
CTS CORP                COMMON  126501105 $         84.00      6,485   SH         DEFINED          6        925       --       5,560
CVB FINANCIAL CORP      COMMON  126600105 $        145.00     12,394   SH         DEFINED         24     12,394       --          --
CVS/CAREMARK CORP       COMMON  126650100 $     18,692.00    471,668   SH         DEFINED          1    471,668       --          --
CVS/CAREMARK CORP       COMMON  126650100 $      1,019.00     25,710   SH         DEFINED       1,15     25,710       --          --
CVS/CAREMARK CORP       COMMON  126650100 $        147.00      3,700   SH         DEFINED         19      3,700       --          --
CVS/CAREMARK CORP       COMMON  126650100 $      1,540.00     38,868   SH         DEFINED          2     38,868       --          --
CVS/CAREMARK CORP       COMMON  126650100 $         37.00        942   SH         DEFINED       20,2         --       --         942
CVS/CAREMARK CORP       COMMON  126650100 $      2,359.00     59,533   SH         DEFINED       21,2         --       --      59,533
CVS/CAREMARK CORP       COMMON  126650100 $         45.00      1,146   SH         DEFINED         23        168       --         978
CVS/CAREMARK CORP       COMMON  126650100 $      4,229.00    106,714   SH         DEFINED         24    106,714       --          --
CVS/CAREMARK CORP       COMMON  126650100 $      6,091.00    153,700   SH         DEFINED          3    153,700       --          --
CVS/CAREMARK CORP       COMMON  126650100 $     18,125.00    457,366   SH         DEFINED          6    346,023       --     111,343
CVS/CAREMARK CORP       COMMON  126650100 $        911.00     22,983   SH         DEFINED          8     22,983       --          --
CVS/CAREMARK CORP       COMMON  126650100 $      4,431.00    111,800   SH         DEFINED          9    111,800       --          --
CA INC                  COMMON  12673P105 $    225,906.00  8,783,298   SH         DEFINED          1  8,783,298       --          --
CA INC                  COMMON  12673P105 $        174.00      6,746   SH         DEFINED       1,15      6,746       --          --
CA INC                  COMMON  12673P105 $      4,764.00    185,219   SH         DEFINED         15    168,219       --      13,100
CA INC                  COMMON  12673P105 $        311.00     12,100   SH         DEFINED       15,8         --       --      12,100
CA INC                  COMMON  12673P105 $         86.00      3,359   SH         DEFINED         22      3,359       --          --
CA INC                  COMMON  12673P105 $            --          4   SH         DEFINED         23         --       --           4
CA INC                  COMMON  12673P105 $     15,864.00    616,784   SH         DEFINED         24    616,784       --          --
CA INC                  COMMON  12673P105 $     13,590.00    528,377   SH         DEFINED          4    528,377       --          --
CA INC                  COMMON  12673P105 $         10.00        370   SH         DEFINED          6         --       --         370
CA INC                  COMMON  12673P105 $        214.00      8,305   SH         DEFINED          8      8,305       --          --
CABELAS INC- CL A       COMMON  126804301 $          5.00        200   SH         DEFINED         23         --       --         200
CABELAS INC- CL A       COMMON  126804301 $        702.00     29,668   SH         DEFINED         24     29,668       --          --
CABLEVISION SYSTEMS
   CL A                 COMMON  12686C109 $     32,876.00    940,920   SH         DEFINED          1    940,920       --          --
CABLEVISION SYSTEMS
   CL A                 COMMON  12686C109 $      2,947.00     84,348   SH         DEFINED       14,2         --       --      84,348
CABLEVISION SYSTEMS
   CL A                 COMMON  12686C109 $        472.00     13,502   SH         DEFINED         24     13,502       --          --
CABLEVISION SYSTEMS
   CL A                 COMMON  12686C109 $        104.00      2,972   SH         DEFINED          8      2,972       --          --
CABOT CORP              COMMON  127055101 $        338.00      9,500   SH         DEFINED         15      7,900       --          --
CABOT CORP              COMMON  127055101 $        698.00     19,643   SH         DEFINED         24     19,643       --          --
CABOT CORP              COMMON  127055101 $        221.00      6,210   SH         DEFINED          6      6,210       --          --
CABOT OIL & GAS CORP
   CL A                 COMMON  127097103 $     12,066.00    343,180   SH         DEFINED         15    179,380       --     162,600
CABOT OIL & GAS CORP
   CL A                 COMMON  127097103 $      5,130.00    145,917   SH         DEFINED         24    145,917       --          --
CABOT OIL & GAS CORP
   CL A                 COMMON  127097103 $        169.00      4,800   SH         DEFINED       5,15      4,800       --          --
CABOT OIL & GAS
   CORP CL A            COMMON  127097103 $        626.00     17,809   SH         DEFINED          6         --       --      17,809
CABOT
   MICROELECTRONICS
   CORP                 COMMON  12709P103 $      1,083.00     25,332   SH         DEFINED         24     25,332       --          --
CABOT
   MICROELECTRONICS
   CORP                 COMMON  12709P103 $         72.00      1,690   SH         DEFINED          6      1,690       --          --
CACI INTERNATIONAL
   INC CL A             COMMON  127190304 $      3,060.00     59,901   SH         DEFINED         24     59,901       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CACI INTERNATIONAL
   INC CL A             COMMON  127190304 $         41.00        800   SH         DEFINED          6        200       --         600
CADBURY SCHWEPPES
   PLC ADR              COMMON  127209302 $      5,376.00    115,568   SH         DEFINED          1    115,568       --          --
CADBURY SCHWEPPES
   PLC ADR              COMMON  127209302 $          3.00         65   SH         DEFINED         12         --       --          65
CADBURY SCHWEPPES
   PLC ADR              COMMON  127209302 $      1,566.00     33,670   SH         DEFINED         15     33,670       --          --
CADBURY SCHWEPPES
   PLC ADR              COMMON  127209302 $         11.00        230   SH         DEFINED         23         --       --         230
CADBURY SCHWEPPES
   PLC ADR              COMMON  127209302 $      8,793.00    189,009   SH         DEFINED         24    189,009       --          --
CADBURY SCHWEPPES
   PLC ADR              COMMON  127209302 $     41,418.00    890,319   SH         DEFINED          4    890,319       --          --
CADENCE DESIGN SYS
   INC                  COMMON  127387108 $     90,877.00  4,095,389   SH         DEFINED          1  4,095,389       --          --
CADENCE DESIGN SYS
   INC                  COMMON  127387108 $      1,009.00     45,492   SH         DEFINED         15     43,692       --          --
CADENCE DESIGN SYS
   INC                  COMMON  127387108 $        917.00     41,328   SH         DEFINED          2         --       --      41,328
CADENCE DESIGN SYS
   INC                  COMMON  127387108 $      2,256.00    101,681   SH         DEFINED         24    101,681       --          --
CADENCE DESIGN SYS
   INC                  COMMON  127387108 $     23,230.00  1,046,871   SH         DEFINED          4  1,046,871       --          --
CADENCE DESIGN SYS
   INC                  COMMON  127387108 $        141.00      6,358   SH         DEFINED          8      6,358       --          --
CADENCE DESIGN SYS
   INC                  COMMON  127387108 $        608.00     27,418   SH         DEFINED          9     27,418       --          --
CADENCE FINANCIAL
   CORP                 COMMON  12738A101 $        432.00     24,530   SH         DEFINED         24     24,530       --          --
CADENCE
   PHARMACEUTICALS
   INC                  COMMON  12738T100 $      6,601.00    471,514   SH         DEFINED          1    471,514       --          --
CADENCE
   PHARMACEUTICALS
   INC                  COMMON  12738T100 $         70.00      5,000   SH         DEFINED         19      5,000       --          --
CADENCE
   PHARMACEUTICALS
   INC                  COMMON  12738T100 $        546.00     38,974   SH         DEFINED          2     38,974       --          --
CADENCE
   PHARMACEUTICALS
   INC                  COMMON  12738T100 $         13.00        957   SH         DEFINED       20,2         --       --         957
CADENCE
   PHARMACEUTICALS
   INC                  COMMON  12738T100 $        851.00     60,785   SH         DEFINED       21,2         --       --      60,785
CAL-MAINE FOODS INC     COMMON  128030202 $        687.00     27,221   SH         DEFINED         24     27,221       --          --
CALAMOS CVT AND HIGH
   INCOME CF            COMMON  12811P108 $         23.00      1,511   SH         DEFINED          6      1,511       --          --
CALAMOS ASSET
   MANAGEMENT-A         COMMON  12811R104 $      2,439.00     86,392   SH         DEFINED          1     86,392       --          --
CALAMOS ASSET
   MANAGEMENT-A         COMMON  12811R104 $         91.00      3,222   SH         DEFINED         24      3,222       --          --
CALAMOS STRAT TOT
   RETURN FD CF         COMMON  128125101 $         30.00      2,012   SH         DEFINED          6      2,012       --          --
CALGON CARBON CORP      COMMON  129603106 $     51,625.00  3,698,050   SH         DEFINED         24  3,698,050       --          --
CALGON CARBON CORP      COMMON  129603106 $        216.00     15,460   SH         DEFINED          6         --       --      15,460
CALIFORNIA PIZZA
   KITCHEN INC          COMMON  13054D109 $          4.00        223   SH         DEFINED         23         --       --         223
CALIFORNIA PIZZA
   KITCHEN INC          COMMON  13054D109 $         50.00      2,821   SH         DEFINED         24      2,821       --          --
CALIFORNIA WATER
   SERVICE GRP          COMMON  130788102 $     44,118.00  1,146,207   SH         DEFINED         24  1,146,207       --          --
CALLAWAY GOLF
   COMPANY              COMMON  131193104 $          2.00        100   SH         DEFINED         23         --       --         100
CALLAWAY GOLF
   COMPANY              COMMON  131193104 $        176.00     10,974   SH         DEFINED         24     10,974       --          --
CALLIDUS SOFTWARE
   INC                  COMMON  13123E500 $     14,976.00  1,741,406   SH         DEFINED         17         --       --   1,741,406
CALLIDUS SOFTWARE
   INC                  COMMON  13123E500 $          1.00        172   SH         DEFINED         23         --       --         172
CALLON PETROLEUM
   CORP                 COMMON  13123X102 $        230.00     16,526   SH         DEFINED         24     16,526       --          --
CAMBREX CORP            COMMON  132011107 $         35.00      3,237   SH         DEFINED         24      3,237       --          --
CAMDEN NATIONAL CORP    COMMON  133034108 $        712.00     20,343   SH         DEFINED         15     15,343       --       5,000
CAMDEN NATIONAL CORP    COMMON  133034108 $         43.00      1,240   SH         DEFINED         24      1,240       --          --
CAMDEN NATIONAL CORP    COMMON  133034108 $        199.00      5,700   SH         DEFINED       5,15      5,700       --          --
CAMDEN PROPERTY
   TRUST                COMMON  133131102 $     51,509.00    801,700   SH         DEFINED       1,15    801,700       --          --
CAMDEN PROPERTY
   TRUST                COMMON  133131102 $     96,500.00  1,501,940   SH         DEFINED         15    948,722       --     446,600
CAMDEN PROPERTY
   TRUST                COMMON  133131102 $      7,408.00    115,300   SH         DEFINED       2,15    115,300       --          --
CAMDEN PROPERTY
   TRUST                COMMON  133131102 $      1,947.00     30,300   SH         DEFINED      20,15     30,300       --          --
CAMDEN PROPERTY
   TRUST                COMMON  133131102 $        285.00      4,442   SH         DEFINED         24      4,442       --          --
CAMDEN PROPERTY
   TRUST                COMMON  133131102 $      8,560.00    133,236   SH         DEFINED       5,15    133,236       --          --
CAMECO CORP             COMMON  13321L108 $        338.00      7,300   SH         DEFINED         15         --       --       7,300
CAMECO CORP             COMMON  13321L108 $          5.00        100   SH         DEFINED         23        100       --          --
CAMECO CORP             COMMON  13321L108 $      1,276.00     27,598   SH         DEFINED         24     27,598       --          --
CAMECO CORP             COMMON  13321L108 $        235.00      5,100   SH         DEFINED          8      5,100       --          --
CAMECO CORP             COMMON  13321L108 $        225.00      4,874   SH         DEFINED          9      4,874       --          --
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $    225,337.00  2,441,620   SH         DEFINED          1  2,441,620       --          --
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $     13,105.00    142,000   SH         DEFINED       14,2         --       --     142,000
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $      6,285.00     68,100   SH         DEFINED         15     45,800       --      18,500
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $        674.00      7,300   SH         DEFINED       15,8         --       --       7,300
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $      9,575.00    103,751   SH         DEFINED          2     91,230       --      12,521
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $     30,975.00    335,631   SH         DEFINED         24    335,631       --          --
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $      1,423.00     15,416   SH         DEFINED          4     15,416       --          --
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $        148.00      1,600   SH         DEFINED       5,15      1,600       --          --
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $        371.00      4,024   SH         DEFINED          8      4,024       --          --
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $        267.00      2,890   SH         DEFINED          9      2,890       --          --
CAMERON
   INTERNATIONAL
   CORP                 COMMON  13342B105 $        496.00      5,377   SH         DEFINED        9,2      5,377       --          --
CAMERON INTL
   CORP144A(CAM)CVT    CONVERT  13342BAA3 $     26,174.00 17,700,000   SH         DEFINED         15         --       --  15,000,000
CAMERON INTL CORP
  (CAM) CVT 2.         CONVERT  13342BAB1 $      2,810.00  1,900,000   SH         DEFINED         15         --       --   1,625,000
CAMPBELL SOUP CO        COMMON  134429109 $     31,450.00    850,000   SH         DEFINED          1    850,000       --          --
CAMPBELL SOUP CO        COMMON  134429109 $        144.00      3,900   SH         DEFINED       1,15      3,900       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CAMPBELL SOUP CO        COMMON  134429109 $      3,977.00    107,486   SH         DEFINED         24    107,486       --          --
CAMPBELL SOUP CO        COMMON  134429109 $        278.00      7,500   SH         DEFINED          6         --       --       7,500
CAMPBELL SOUP CO        COMMON  134429109 $        156.00      4,208   SH         DEFINED          8      4,208       --          --
CAMPBELL SOUP CO        COMMON  134429109 $        171.00      4,627   SH         DEFINED          9      4,627       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $        440.00      4,400   SH         DEFINED      11,15      4,400       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $        260.00      2,600   SH         DEFINED          2      2,600       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $     17,125.00    171,302   SH         DEFINED         24    171,302       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $     44,599.00    446,300   SH         DEFINED          3    446,300       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $     17,767.00    177,800   SH         DEFINED        3,1    177,800       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $        970.00      9,703   SH         DEFINED          8      9,703       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $      2,621.00     26,233   SH         DEFINED          9     26,233       --          --
CAN IMPERIAL BK OF
   COMMERCE             COMMON  136069101 $      2,139.00     21,400   SH         DEFINED       9,15     21,400       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $     40,572.00    710,720   SH         DEFINED          1    710,720       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $      1,214.00     21,300   SH         DEFINED      11,15     21,300       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $     11,829.00    207,212   SH         DEFINED          2    207,212       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $          4.00         75   SH         DEFINED         23         75       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $      7,869.00    138,047   SH         DEFINED         24    138,047       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $     56,777.00    994,600   SH         DEFINED          3    994,600       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $    123,225.00  2,158,604   SH         DEFINED        3,1  2,158,604       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $      8,623.00    151,288   SH         DEFINED          4    151,288       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $        627.00     11,000   SH         DEFINED          6     11,000       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $        628.00     10,994   SH         DEFINED          8     10,994       --          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $      1,623.00     28,430   SH         DEFINED          9     24,159    4,271          --
CANADIAN NATL
   RAILWAY CO           COMMON  136375102 $      3,785.00     66,400   SH         DEFINED       9,15     66,400       --          --
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $     42,553.00    559,953   SH         DEFINED          1    559,953       --          --
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $     14,679.00    193,157   SH         DEFINED          2    193,157       --          --
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $         85.00      1,125   SH         DEFINED         22      1,125       --          --
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $      2,518.00     33,239   SH         DEFINED         24     33,239       --          --
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $    117,144.00  1,541,502   SH         DEFINED        3,1  1,541,502       --          --
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $         93.00      1,230   SH         DEFINED          6         --       --       1,230
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $        715.00      9,411   SH         DEFINED          8      9,411       --          --
CANADIAN NATURAL
   RESOURCES            COMMON  136385101 $        270.00      3,554   SH         DEFINED          9      3,554       --          --
CP RAILWAY LIMITED      COMMON  13645T100 $      2,284.00     32,443   SH         DEFINED          2     32,443       --          --
CP RAILWAY LIMITED      COMMON  13645T100 $         17.00        238   SH         DEFINED         24        238       --          --
CP RAILWAY LIMITED      COMMON  13645T100 $     29,335.00    416,688   SH         DEFINED        3,1    416,688       --          --
CP RAILWAY LIMITED      COMMON  13645T100 $        282.00      4,012   SH         DEFINED          8      4,012       --          --
CP RAILWAY LIMITED      COMMON  13645T100 $        149.00      2,113   SH         DEFINED          9      2,113       --          --
CANADIAN SOLAR INC      COMMON  136635109 $      1,091.00    115,600   SH         DEFINED         24    115,600       --          --
CANON INC- SP ADR       COMMON  138006309 $    129,425.00  2,383,951   SH         DEFINED         12  2,375,403       --       8,548
CANON INC- SP ADR       COMMON  138006309 $      2,643.00     48,691   SH         DEFINED         15     48,691       --          --
CANON INC- SP ADR       COMMON  138006309 $         29.00        532   SH         DEFINED         23         --       --         532
CANON INC- SP ADR       COMMON  138006309 $      6,613.00    121,810   SH         DEFINED         24    121,810       --          --
CANON INC- SP ADR       COMMON  138006309 $     24,008.00    442,226   SH         DEFINED          4    442,226       --          --
CANON INC- SP ADR       COMMON  138006309 $         48.00        890   SH         DEFINED          6         --       --         890
CANTEL MEDICAL CORP     COMMON  138098108 $        409.00     26,232   SH         DEFINED         24     26,232       --          --
CAPELLA EDUCATION CO    COMMON  139594105 $      9,442.00    168,871   SH         DEFINED          1    168,871       --          --
CAPELLA EDUCATION CO    COMMON  139594105 $         37.00        657   SH         DEFINED         23         --       --         657
CAPITAL CITY BANK
   GROUP INC            COMMON  139674105 $         61.00      1,946   SH         DEFINED         24      1,946       --          --
CAPITAL CORP OF THE
   WEST                 COMMON  140065202 $         70.00      3,821   SH         DEFINED         15      3,821       --          --
CAPITAL CORP OF THE
   WEST                 COMMON  140065202 $         46.00      2,520   SH         DEFINED       5,15      2,520       --          --
CAPITAL LEASE
   FUNDING INC          COMMON  140288101 $        426.00     41,517   SH         DEFINED         24     41,517       --          --
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $     93,538.00  1,408,073   SH         DEFINED          1  1,408,073       --          --
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $        482.00      7,251   SH         DEFINED       1,15      7,251       --          --
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $         52.00        780   SH         DEFINED         15        680       --         100
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $        102.00      1,530   SH         DEFINED       21,2      1,530       --          --
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $          8.00        123   SH         DEFINED         23         84       --          39
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $      1,512.00     22,762   SH         DEFINED         24     22,762       --          --
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $      6,566.00     98,834   SH         DEFINED          6     91,698       --       7,136
CAPITAL ONE
   FINANCIAL CORP       COMMON  14040H105 $        461.00      6,938   SH         DEFINED          8      6,938       --          --
CAPITAL SOUTHWEST
   CORP                 COMMON  140501107 $        835.00      6,800   SH         DEFINED         15      5,150       --       1,650
CAPITAL SOUTHWEST
   CORP                 COMMON  140501107 $      3,051.00     24,852   SH         DEFINED         24     24,852       --          --
CAPITAL SOUTHWEST
   CORP                 COMMON  140501107 $        196.00      1,600   SH         DEFINED       5,15      1,600       --          --
CAPITAL TRUST CL A      COMMON  14052H506 $          1.00         33   SH         DEFINED         23         --       --          33
CAPITAL TRUST CL A      COMMON  14052H506 $        463.00     13,050   SH         DEFINED         24     13,050       --          --
CAPITALSOURCE INC       COMMON  14055X102 $         15.00        749   SH         DEFINED         23        432       --         317




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CAPITALSOURCE INC       COMMON  14055X102 $      9,093.00    449,271   SH         DEFINED         24    449,271       --          --
CAPITALSOURCE INC       COMMON  14055X102 $      8,030.00    396,760   SH         DEFINED          6    305,498       --      91,262
CAPITOL BANCORP LTD     COMMON  14056D105 $         38.00      1,513   SH         DEFINED         24      1,513       --          --
CAPITOL FEDERAL
   FINANCIAL            COMMON  14057C106 $        177.00      5,175   SH         DEFINED         24      5,175       --          --
CAPITOL FEDERAL
   FINANCIAL            COMMON  14057C106 $          5.00        146   SH         DEFINED          6         --       --         146
CAPSTONE TURBINE
   CORP                 COMMON  14067D102 $        360.00    299,837   SH         DEFINED         24    299,837       --          --
CAPSTEAD MTG CORP       COMMON  14067E506 $          7.00        689   SH         DEFINED         23        689       --          --
CAPSTEAD MTG CORP       COMMON  14067E506 $        473.00     45,978   SH         DEFINED         24     45,978       --          --
CAPTARIS INC            COMMON  14071N104 $        115.00     21,800   SH         DEFINED         15     21,800       --          --
CAPTARIS INC            COMMON  14071N104 $        461.00     87,149   SH         DEFINED         24     87,149       --          --
CARBO CERAMICS INC      COMMON  140781105 $         74.00      1,462   SH         DEFINED         24      1,462       --          --
CARBO CERAMICS INC      COMMON  140781105 $        175.00      3,450   SH         DEFINED          6         --       --       3,450
CARAUSTAR INDUSTRIES
   INC                  COMMON  140909102 $          9.00      2,050   SH         DEFINED          6      2,050       --          --
CARDIAC SCIENCE CORP    COMMON  14141A108 $        410.00     40,698   SH         DEFINED         24     40,698       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $    222,356.00  3,555,986   SH         DEFINED          1  3,555,986       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $        396.00      6,328   SH         DEFINED       1,15      6,328       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $      6,747.00    107,905   SH         DEFINED         15     79,105       --      25,800
CARDINAL HEALTH INC     COMMON  14149Y108 $        381.00      6,100   SH         DEFINED       15,8         --       --       6,100
CARDINAL HEALTH INC     COMMON  14149Y108 $         56.00        900   SH         DEFINED         19        900       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $        492.00      7,861   SH         DEFINED         21      7,861       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $        303.00      4,848   SH         DEFINED         22      4,848       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $         22.00        353   SH         DEFINED         23        353       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $      5,326.00     85,176   SH         DEFINED         24     85,176       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $     15,878.00    253,921   SH         DEFINED          4    253,921       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $         69.00      1,101   SH         DEFINED          6        637       --         464
CARDINAL HEALTH INC     COMMON  14149Y108 $        719.00     11,491   SH         DEFINED          8     11,491       --          --
CARDINAL HEALTH INC     COMMON  14149Y108 $     59,305.00    948,432   SH         DEFINED          9    948,432       --          --
CARDIOME PHARMA CORP    COMMON  14159U202 $      6,370.00    674,767   SH         DEFINED          1    674,767       --          --
CARDIOME PHARMA CORP    COMMON  14159U202 $         44.00      4,700   SH         DEFINED         19      4,700       --          --
CARDIOME PHARMA CORP    COMMON  14159U202 $        527.00     55,774   SH         DEFINED          2     55,774       --          --
CARDIOME PHARMA CORP    COMMON  14159U202 $         13.00      1,369   SH         DEFINED       20,2         --       --       1,369
CARDIOME PHARMA CORP    COMMON  14159U202 $        821.00     86,987   SH         DEFINED       21,2         --       --      86,987
CAREER EDUCATION
   CORP                 COMMON  141665109 $        134.00      4,800   SH         DEFINED         15         --       --       4,800
CAREER EDUCATION
   CORP                 COMMON  141665109 $        265.00      9,464   SH         DEFINED         22      9,464       --          --
CAREER EDUCATION
   CORP                 COMMON  141665109 $        201.00      7,179   SH         DEFINED         24      7,179       --          --
CAREER EDUCATION
   CORP                 COMMON  141665109 $        234.00      8,349   SH         DEFINED          8      8,349       --          --
CAREER EDUCATION
   CORP                 COMMON  141665109 $      4,291.00    153,306   SH         DEFINED          9    153,306       --          --
CARDIUM THERAPEUTICS
   INC                  COMMON  141916106 $      1,316.00    526,566   SH         DEFINED         17         --       --     526,566
CARLISLE COS INC        COMMON  142339100 $        907.00     18,671   SH         DEFINED         24     18,671       --          --
CARLISLE COS INC        COMMON  142339100 $        773.00     15,900   SH         DEFINED          6        100       --      15,800
CARMAX INC              COMMON  143130102 $      8,274.00    407,000   SH         DEFINED          1    407,000       --          --
CARMAX INC              COMMON  143130102 $        174.00      8,562   SH         DEFINED         24      8,562       --          --
CARMAX INC              COMMON  143130102 $         29.00      1,408   SH         DEFINED          6      1,200       --         208
CARMIKE CINEMAS INC     COMMON  143436400 $        432.00     23,527   SH         DEFINED         24     23,527       --          --
CARNIVAL CORP           COMMON  143658300 $     26,294.00    542,932   SH         DEFINED          1    542,932       --          --
CARNIVAL CORP           COMMON  143658300 $        367.00      7,574   SH         DEFINED       1,15      7,574       --          --
CARNIVAL CORP           COMMON  143658300 $      2,192.00     45,258   SH         DEFINED       14,2         --       --      45,258
CARNIVAL CORP           COMMON  143658300 $         39.00        800   SH         DEFINED         23         --       --         800
CARNIVAL CORP           COMMON  143658300 $      2,472.00     51,038   SH         DEFINED         24     51,038       --          --
CARNIVAL CORP           COMMON  143658300 $    434,790.00  8,977,700   SH         DEFINED          3  8,977,700       --          --
CARNIVAL CORP           COMMON  143658300 $        193.00      3,986   SH         DEFINED          6         36       --       3,950
CARNIVAL CORP           COMMON  143658300 $        368.00      7,599   SH         DEFINED          8      7,599       --          --
CARRIAGE SVCS INC       COMMON  143905107 $        438.00     54,010   SH         DEFINED         24     54,010       --          --
CARPENTER TECHNOLOGY    COMMON  144285103 $     28,459.00    218,898   SH         DEFINED          1    218,898       --          --
CARPENTER TECHNOLOGY    COMMON  144285103 $     15,897.00    122,278   SH         DEFINED          2    122,278       --          --
CARPENTER TECHNOLOGY    COMMON  144285103 $      1,590.00     12,228   SH         DEFINED         24     12,228       --          --
CARPENTER TECHNOLOGY    COMMON  144285103 $          6.00         49   SH         DEFINED          6         --       --          49
CARRIZO OIL & GAS
   INC                  COMMON  144577103 $     34,346.00    765,637   SH         DEFINED          1    765,637       --          --
CARRIZO OIL & GAS
   INC                  COMMON  144577103 $     12,252.00    273,117   SH         DEFINED          2    256,617       --      16,500
CARRIZO OIL & GAS
   INC                  COMMON  144577103 $         45.00        994   SH         DEFINED         24        994       --          --
CARROLS RESTAURANT
   GROUP INC            COMMON  14574X104 $        218.00     19,494   SH         DEFINED         24     19,494       --          --
CARTERS INC             COMMON  146229109 $     20,193.00  1,012,167   SH         DEFINED          1  1,012,167       --          --
CARTERS INC             COMMON  146229109 $      1,331.00     66,722   SH         DEFINED       14,2         --       --      66,722
CARTERS INC             COMMON  146229109 $        607.00     30,436   SH         DEFINED         17         --       --      30,436
CARTERS INC             COMMON  146229109 $        870.00     43,608   SH         DEFINED          2     43,608       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CARTERS INC             COMMON  146229109 $         83.00      4,142   SH         DEFINED         24      4,142       --          --
CARTERS INC             COMMON  146229109 $         65.00      3,240   SH         DEFINED          6      3,240       --          --
CARTERS INC             COMMON  146229109 $         48.00      2,389   SH         DEFINED        9,2      2,389       --          --
CARVER BANCORP INC      COMMON  146875109 $         32.00      2,000   SH         DEFINED          6         --       --       2,000
CASCADE BANCORP         COMMON  147154108 $         23.00      1,019   SH         DEFINED         24      1,019       --          --
CASCADE CORP            COMMON  147195101 $      4,581.00     70,300   SH         DEFINED         15     45,200       --      25,100
CASCADE CORP            COMMON  147195101 $      5,507.00     84,509   SH         DEFINED         24     84,509       --          --
CASCADE CORP            COMMON  147195101 $        886.00     13,600   SH         DEFINED       5,15     13,600       --          --
CASELLA WASTE
   SYSTEMS INC CL A     COMMON  147448104 $         48.00      3,800   SH         DEFINED          6      3,800       --          --
CASEY'S GENERAL
   STORES INC           COMMON  147528103 $        205.00      7,403   SH         DEFINED         24      7,403       --          --
CASEY'S GENERAL
   STORES INC           COMMON  147528103 $         24.00        875   SH         DEFINED          6        875       --          --
CASH AMERICA INTL
   INC                  COMMON  14754D100 $         72.00      1,928   SH         DEFINED         24      1,928       --          --
CATALINA MARKETING
   CORP                 COMMON  148867104 $         88.00      2,723   SH         DEFINED         24      2,723       --          --
CATERPILLAR INC         COMMON  149123101 $    169,809.00  2,165,109   SH         DEFINED          1  2,165,109       --          --
CATERPILLAR INC         COMMON  149123101 $        870.00     11,096   SH         DEFINED       1,15     11,096       --          --
CATERPILLAR INC         COMMON  149123101 $          8.00        100   SH         DEFINED         15         --       --         100
CATERPILLAR INC         COMMON  149123101 $        706.00      9,005   SH         DEFINED          2      9,005       --          --
CATERPILLAR INC         COMMON  149123101 $          4.00         53   SH         DEFINED         23          6       --          47
CATERPILLAR INC         COMMON  149123101 $      8,566.00    109,214   SH         DEFINED         24    109,214       --          --
CATERPILLAR INC         COMMON  149123101 $          3.00         38   SH         DEFINED          4         38       --          --
CATERPILLAR INC         COMMON  149123101 $      1,920.00     24,480   SH         DEFINED          6     14,885       --       9,595
CATERPILLAR INC         COMMON  149123101 $        954.00     12,158   SH         DEFINED          8     12,158       --          --
CATHAY GENERAL
   BANCORP              COMMON  149150104 $        117.00      3,640   SH         DEFINED         24      3,640       --          --
CATO CORP CL A          COMMON  149205106 $        939.00     45,939   SH         DEFINED         24     45,939       --          --
CBEYOND INC             COMMON  149847105 $      3,463.00     84,900   SH         DEFINED         15     51,200       --      33,700
CBEYOND INC             COMMON  149847105 $      1,550.00     38,005   SH         DEFINED       21,2     38,005       --          --
CBEYOND INC             COMMON  149847105 $        281.00      6,878   SH         DEFINED         24      6,878       --          --
CBEYOND INC             COMMON  149847105 $        534.00     13,100   SH         DEFINED       5,15     13,100       --          --
CBEYOND INC             COMMON  149847105 $          7.00        180   SH         DEFINED          6        180       --          --
CEDAR FAIR LP           COMMON  150185106 $         18.00        740   SH         DEFINED         24        740       --          --
CEDAR FAIR LP           COMMON  150185106 $         83.00      3,500   SH         DEFINED          6      3,000       --         500
CEDAR SHOPPING
   CENTERS INC          COMMON  150602209 $        434.00     31,900   SH         DEFINED         15     31,900       --          --
CEDAR SHOPPING
   CENTERS INC          COMMON  150602209 $        461.00     33,813   SH         DEFINED         24     33,813       --          --
CELANESE
   CORP-SERIES A        COMMON  150870103 $      2,709.00     69,500   SH         DEFINED         15     59,300       --       8,200
CELANESE
   CORP-SERIES A        COMMON  150870103 $        405.00     10,400   SH         DEFINED       15,8         --       --      10,400
CELANESE
   CORP-SERIES A        COMMON  150870103 $      1,517.00     38,922   SH         DEFINED         24     38,922       --          --
CELANESE
   CORP-SERIES A        COMMON  150870103 $         78.00      2,000   SH         DEFINED       5,15      2,000       --          --
CELANESE
   CORP-SERIES A        COMMON  150870103 $        173.00      4,450   SH         DEFINED          6         --       --       4,450
CELESTICA INC           COMMON  15101Q108 $         10.00      1,570   SH         DEFINED         24      1,570       --          --
CELESTICA INC           COMMON  15101Q108 $         33.00      5,407   SH         DEFINED          8      5,407       --          --
CELGENE CORP            COMMON  151020104 $     81,382.00  1,141,245   SH         DEFINED          1  1,141,245       --          --
CELGENE CORP            COMMON  151020104 $        474.00      6,644   SH         DEFINED       1,15      6,644       --          --
CELGENE CORP            COMMON  151020104 $        421.00      5,900   SH         DEFINED         19      5,900       --          --
CELGENE CORP            COMMON  151020104 $      6,346.00     88,992   SH         DEFINED          2     88,992       --          --
CELGENE CORP            COMMON  151020104 $         87.00      1,216   SH         DEFINED       20,2         --       --       1,216
CELGENE CORP            COMMON  151020104 $      5,512.00     77,292   SH         DEFINED       21,2         --       --      77,292
CELGENE CORP            COMMON  151020104 $          5.00         70   SH         DEFINED         23         26       --          44
CELGENE CORP            COMMON  151020104 $     10,877.00    152,526   SH         DEFINED         24    152,526       --          --
CELGENE CORP            COMMON  151020104 $      4,821.00     67,610   SH         DEFINED          6     62,071       --       5,539
CELGENE CORP            COMMON  151020104 $        351.00      4,928   SH         DEFINED          8      4,928       --          --
CELGENE CORP            COMMON  151020104 $        167.00      2,336   SH         DEFINED        9,2      2,336       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $    195,240.00  6,525,415   SH         DEFINED          1  6,525,415       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $      2,462.00     82,294   SH         DEFINED        1,3     82,294       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $     15,766.00    526,943   SH         DEFINED         12    526,943       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $        258.00      8,635   SH         DEFINED         14      8,635       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $        255.00      8,535   SH         DEFINED       14,3      8,535       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $      2,406.00     80,400   SH         DEFINED         15     80,400       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $     12,740.00    425,800   SH         DEFINED       20,3    425,800       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $      4,217.00    140,936   SH         DEFINED       21,3    140,936       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $    651,773.00 21,783,851   SH         DEFINED          3 21,783,851       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $      9,178.00    306,735   SH         DEFINED          4    306,735       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $         15.00        500   SH         DEFINED          6        500       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $        900.00     30,072   SH         DEFINED          9     30,072       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $        392.00     13,100   SH         DEFINED       9,15     13,100       --          --
CEMEX SAB DE
   CV-SPONS ADR PART    COMMON  151290889 $      1,189.00     39,742   SH         DEFINED       9,22     39,742       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CENTENNIAL
   COMMUNCTNS CORP
   NEW                  COMMON  15133V208 $        159.00     15,752   SH         DEFINED         24     15,752       --          --
CENTENNIAL BANK
   HOLDINGS INC         COMMON  151345303 $         58.00      9,100   SH         DEFINED         15      9,100       --          --
CENTENNIAL BANK
   HOLDINGS INC         COMMON  151345303 $        375.00     58,567   SH         DEFINED         24     58,567       --          --
CENTENNIAL BANK
   HOLDINGS INC         COMMON  151345303 $         35.00      5,400   SH         DEFINED       5,15      5,400       --          --
CENTENE CORP            COMMON  15135B101 $         16.00        750   SH         DEFINED         23         --       --         750
CENTENE CORP            COMMON  15135B101 $         95.00      4,419   SH         DEFINED         24      4,419       --          --
CENTER FINANCIAL
   CORP                 COMMON  15146E102 $        138.00      9,900   SH         DEFINED         15      9,900       --          --
CENTER FINANCIAL
   CORP                 COMMON  15146E102 $         86.00      6,200   SH         DEFINED       5,15      6,200       --          --
CENTERPOINT ENERGY
   INC                  COMMON  15189T107 $        314.00     19,602   SH         DEFINED       1,15     19,602       --          --
CENTERPOINT ENERGY
   INC                  COMMON  15189T107 $         91.00      5,700   SH         DEFINED      11,15      5,700       --          --
CENTERPOINT ENERGY
   INC                  COMMON  15189T107 $        774.00     48,300   SH         DEFINED         15     29,600       --      16,100
CENTERPOINT ENERGY
   INC                  COMMON  15189T107 $        285.00     17,800   SH         DEFINED       15,8         --       --      17,800
CENTERPOINT ENERGY
   INC                  COMMON  15189T107 $      1,396.00     87,115   SH         DEFINED         24     87,115       --          --
CENTERPOINT ENERGY
   INC                  COMMON  15189T107 $        118.00      7,364   SH         DEFINED          6      5,050       --       2,314
CENTERPOINT ENERGY
   INC                  COMMON  15189T107 $        586.00     36,559   SH         DEFINED          9     36,559       --          --
CENTERPOINT ENGY
   (CNP) CVT 3.7       CONVERT  15189TAM9 $     10,323.00  7,150,000   SH         DEFINED         15         --       --   6,075,000
CENTEX CORP             COMMON  152312104 $         55.00      2,063   SH         DEFINED       1,15      2,063       --          --
CENTEX CORP             COMMON  152312104 $      9,796.00    368,700   SH         DEFINED         15    164,900       --     203,800
CENTEX CORP             COMMON  152312104 $          2.00         60   SH         DEFINED         23         --       --          60
CENTEX CORP             COMMON  152312104 $        693.00     26,082   SH         DEFINED         24     26,082       --          --
CENTEX CORP             COMMON  152312104 $          3.00        104   SH         DEFINED          6         --       --         104
CENTEX CORP             COMMON  152312104 $         66.00      2,495   SH         DEFINED          8      2,495       --          --
CENTRAL EURO
   DISTRIBUTION         COMMON  153435102 $      1,222.00     25,500   SH         DEFINED       10,9     25,500       --          --
CENTRAL EURO
   DISTRIBUTION         COMMON  153435102 $      2,582.00     53,900   SH         DEFINED         20     53,900       --          --
CENTRAL EURO
   DISTRIBUTION         COMMON  153435102 $        147.00      3,078   SH         DEFINED         24      3,078       --          --
CENTRAL EURO
   DISTRIBUTION         COMMON  153435102 $         14.00        300   SH         DEFINED          6        300       --          --
CENTRAL EURO
   DISTRIBUTION         COMMON  153435102 $      7,840.00    163,634   SH         DEFINED          9    163,634       --          --
CENTRAL EURO
   DISTRIBUTION         COMMON  153435102 $        767.00     16,000   SH         DEFINED       9,15     16,000       --          --
CENTRAL EURO
   DISTRIBUTION         COMMON  153435102 $      2,277.00     47,529   SH         DEFINED       9,22     47,529       --          --
CENTRAL FUND CANADA
   CL A CF              COMMON  153501101 $     10,683.00  1,085,000   SH         DEFINED          3  1,085,000       --          --
CENTRAL GARDEN &
   PET CO               COMMON  153527106 $         33.00      3,722   SH         DEFINED         24      3,722       --          --
CENTRAL GARDEN AND
   PET CO-A             COMMON  153527205 $         72.00      7,998   SH         DEFINED         24      7,998       --          --
CENTRAL PACIFIC
   FINANCIAL CO         COMMON  154760102 $      6,163.00    211,050   SH         DEFINED         15    157,050       --      54,000
CENTRAL PACIFIC
   FINANCIAL CO         COMMON  154760102 $         79.00      2,705   SH         DEFINED         24      2,705       --          --
CENTRAL PACIFIC
   FINANCIAL CO         COMMON  154760102 $      1,770.00     60,600   SH         DEFINED       5,15     60,600       --          --
CENTRAL PACIFIC
   FINANCIAL CO         COMMON  154760102 $         78.00      2,660   SH         DEFINED          6         --       --       2,660
CENTRAL VERMONT PUB
   SERV                 COMMON  155771108 $        557.00     15,234   SH         DEFINED         24     15,234       --          --
CENTRAL VERMONT PUB
   SERV                 COMMON  155771108 $         18.00        500   SH         DEFINED          6        500       --          --
CENTURY ALUMINUM
   COMPANY              COMMON  156431108 $        140.00      2,650   SH         DEFINED         24      2,650       --          --
CENTURY BANCORP INC
   CL A                 COMMON  156432106 $         24.00      1,100   SH         DEFINED          6      1,100       --          --
CENTURYTEL INC          COMMON  156700106 $         90.00      1,942   SH         DEFINED       1,15      1,942       --          --
CENTURYTEL INC          COMMON  156700106 $      1,114.00     24,100   SH         DEFINED         10     24,100       --          --
CENTURYTEL INC          COMMON  156700106 $        185.00      4,000   SH         DEFINED      11,15      4,000       --          --
CENTURYTEL INC          COMMON  156700106 $        522.00     11,300   SH         DEFINED       11,8     11,300       --          --
CENTURYTEL INC          COMMON  156700106 $        285.00      6,159   SH         DEFINED         14      6,159       --          --
CENTURYTEL INC          COMMON  156700106 $     16,012.00    346,420   SH         DEFINED         15    180,120       --     163,500
CENTURYTEL INC          COMMON  156700106 $      1,021.00     22,100   SH         DEFINED       15,8         --       --      22,100
CENTURYTEL INC          COMMON  156700106 $        199.00      4,302   SH         DEFINED         22      4,302       --          --
CENTURYTEL INC          COMMON  156700106 $      6,016.00    130,158   SH         DEFINED         24    130,158       --          --
CENTURYTEL INC          COMMON  156700106 $         10.00        224   SH         DEFINED          6         --       --         224
CENTURYTEL INC          COMMON  156700106 $      2,001.00     43,286   SH         DEFINED          8     43,286       --          --
CENTURYTEL INC          COMMON  156700106 $      4,849.00    104,906   SH         DEFINED          9    104,906       --          --
CENTURYTEL INC          COMMON  156700106 $      1,442.00     31,200   SH         DEFINED       9,15     31,200       --          --
CEPHALON INC            COMMON  156708109 $     22,875.00    313,100   SH         DEFINED          1    313,100       --          --
CEPHALON INC            COMMON  156708109 $     21,480.00    294,000   SH         DEFINED         15    150,200       --     140,400
CEPHALON INC            COMMON  156708109 $        241.00      3,300   SH         DEFINED      15,14         --       --       3,300
CEPHALON INC            COMMON  156708109 $        124.00      1,700   SH         DEFINED       15,8         --       --       1,700
CEPHALON INC            COMMON  156708109 $        974.00     13,329   SH         DEFINED          2         --       --      13,329
CEPHALON INC            COMMON  156708109 $         58.00        790   SH         DEFINED         23         --       --         790
CEPHALON INC            COMMON  156708109 $      4,007.00     54,844   SH         DEFINED         24     54,844       --          --
CEPHALON INC            COMMON  156708109 $        336.00      4,600   SH         DEFINED       5,15      4,600       --          --
CEPHALON INC            COMMON  156708109 $        122.00      1,672   SH         DEFINED          8      1,672       --          --
CEPHEID INC             COMMON  15670R107 $      8,097.00    355,123   SH         DEFINED          1    355,123       --          --
CEPHEID INC             COMMON  15670R107 $      6,161.00    270,201   SH         DEFINED          2    270,201       --          --
CENVEO INC              COMMON  15670S105 $        153.00      7,093   SH         DEFINED         24      7,093       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CERADYNE INC            COMMON  156710105 $     17,713.00    233,872   SH         DEFINED          1    233,872       --          --
CERADYNE INC            COMMON  156710105 $      8,074.00    106,600   SH         DEFINED         15     65,800       --      40,800
CERADYNE INC            COMMON  156710105 $     13,740.00    181,407   SH         DEFINED          2    181,407       --          --
CERADYNE INC            COMMON  156710105 $      5,055.00     66,747   SH         DEFINED         24     66,747       --          --
CERADYNE INC            COMMON  156710105 $      1,674.00     22,100   SH         DEFINED       5,15     22,100       --          --
CERADYNE INC            COMMON  156710105 $         12.00        165   SH         DEFINED          6         --       --         165
CERIDIAN CORP-NEW       COMMON  156779100 $        359.00     10,341   SH         DEFINED         24     10,341       --          --
CERIDIAN CORP-NEW       COMMON  156779100 $         40.00      1,142   SH         DEFINED          6        925       --         217
CERNER CORP             COMMON  156782104 $      3,413.00     57,068   SH         DEFINED         24     57,068       --          --
CHAMPION ENTERPRISES
   INC                  COMMON  158496109 $        361.00     32,842   SH         DEFINED         24     32,842       --          --
CHARLES & COLVARD
   LTD                  COMMON  159765106 $          9.00      2,300   SH         DEFINED          6      2,300       --          --
CHARLES RIVER
   LABORATORIES         COMMON  159864107 $     21,980.00    391,459   SH         DEFINED          1    391,459       --          --
CHARLES RIVER
   LABORATORIES         COMMON  159864107 $        213.00      3,800   SH         DEFINED         19      3,800       --          --
CHARLES RIVER
   LABORATORIES         COMMON  159864107 $      1,849.00     32,933   SH         DEFINED          2     32,933       --          --
CHARLES RIVER
   LABORATORIES         COMMON  159864107 $         45.00        800   SH         DEFINED       20,2         --       --         800
CHARLES RIVER
   LABORATORIES         COMMON  159864107 $      2,862.00     50,977   SH         DEFINED       21,2         --       --      50,977
CHARLES RIVER
   LABORATORIES         COMMON  159864107 $      7,716.00    137,414   SH         DEFINED         24    137,414       --          --
CHARLES RIVER
   LABORATORIES         COMMON  159864107 $        348.00      6,200   SH         DEFINED          6      6,000       --         200
CHARLOTTE RUSSE
   HOLDING INC          COMMON  161048103 $         32.00      2,159   SH         DEFINED         24      2,159       --          --
CHARMING SHOPPES        COMMON  161133103 $      5,001.00    595,386   SH         DEFINED          1    595,386       --          --
CHARMING SHOPPES        COMMON  161133103 $        162.00     19,307   SH         DEFINED         24     19,307       --          --
CHARMING SHOPPES        COMMON  161133103 $        145.00     17,300   SH         DEFINED          6         --       --      17,300
CHART INDUSTRIES INC    COMMON  16115Q308 $      9,042.00    281,149   SH         DEFINED          1    281,149       --          --
CHART INDUSTRIES INC    COMMON  16115Q308 $        206.00      6,400   SH         DEFINED         15      6,400       --          --
CHART INDUSTRIES INC    COMMON  16115Q308 $        270.00      8,383   SH         DEFINED         24      8,383       --          --
CHART INDUSTRIES INC    COMMON  16115Q308 $        116.00      3,600   SH         DEFINED       5,15      3,600       --          --
CHARTER
   COMMUNICATIONS
   INC CL               COMMON  16117M107 $      4,022.00  1,559,081   SH         DEFINED         24  1,559,081       --          --
CHATTEM INC             COMMON  162456107 $      1,269.00     18,000   SH         DEFINED         15     10,400       --       7,600
CHATTEM INC             COMMON  162456107 $          4.00         56   SH         DEFINED         23         56       --          --
CHATTEM INC             COMMON  162456107 $      3,231.00     45,817   SH         DEFINED         24     45,817       --          --
CHATTEM INC             COMMON  162456107 $        169.00      2,400   SH         DEFINED       5,15      2,400       --          --
CHATTEM INC             COMMON  162456107 $      3,873.00     54,922   SH         DEFINED          6     34,987       --      19,935
CHECKFREE CORP          COMMON  162813109 $          7.00        148   SH         DEFINED         23        129       --          19
CHECKFREE CORP          COMMON  162813109 $      1,436.00     30,852   SH         DEFINED         24     30,852       --          --
CHECKFREE CORP          COMMON  162813109 $      4,449.00     95,589   SH         DEFINED          6     54,846       --      40,743
CHECKPOINT SYSTEMS
   INC                  COMMON  162825103 $         55.00      2,100   SH         DEFINED         15      2,100       --          --
CHECKPOINT SYSTEMS
   INC                  COMMON  162825103 $      1,429.00     54,143   SH         DEFINED         24     54,143       --          --
CHEESECAKE FACTORY
   (THE)                COMMON  163072101 $          5.00        200   SH         DEFINED         23        200       --          --
CHEESECAKE FACTORY
   (THE)                COMMON  163072101 $         94.00      4,022   SH         DEFINED         24      4,022       --          --
CHEMED CORP             COMMON  16359R103 $     16,104.00    259,067   SH         DEFINED          1    259,067       --          --
CHEMED CORP             COMMON  16359R103 $        967.00     15,550   SH         DEFINED         15     12,050       --       3,500
CHEMED CORP             COMMON  16359R103 $     12,900.00    207,532   SH         DEFINED          2    207,532       --          --
CHEMED CORP             COMMON  16359R103 $      4,127.00     66,394   SH         DEFINED         24     66,394       --          --
CHEMED CORP             COMMON  16359R103 $         68.00      1,100   SH         DEFINED       5,15      1,100       --          --
CHEMED CORP             COMMON  16359R103 $         34.00        540   SH         DEFINED          6         --       --         540
CHEMICAL FINANCIAL
   CORP                 COMMON  163731102 $        528.00     21,773   SH         DEFINED         24     21,773       --          --
CHEMTURA CORP           COMMON  163893100 $        323.00     36,368   SH         DEFINED         24     36,368       --          --
CHEMTURA CORP           COMMON  163893100 $        101.00     11,350   SH         DEFINED          6         --       --      11,350
CHENIERE ENERGY INC     COMMON  16411R208 $     25,461.00    650,000   SH         DEFINED          1    650,000       --          --
CHENIERE ENERGY INC     COMMON  16411R208 $      4,622.00    118,000   SH         DEFINED       14,2         --       --     118,000
CHENIERE ENERGY INC     COMMON  16411R208 $         25.00        640   SH         DEFINED         24        640       --          --
CHENIERE ENERGY INC     COMMON  16411R208 $      1,028.00     26,255   SH         DEFINED          4     26,255       --          --
CHEROKEE INC            COMMON  16444H102 $         77.00      2,000   SH         DEFINED         15      2,000       --          --
CHESAPEAKE CORP         COMMON  165159104 $        370.00     43,793   SH         DEFINED         24     43,793       --          --
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $    163,981.00  4,650,613   SH         DEFINED          1  4,650,613       --          --
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $        251.00      7,122   SH         DEFINED       1,15      7,122       --          --
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $      1,213.00     34,415   SH         DEFINED         15     34,415       --          --
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $        468.00     13,287   SH         DEFINED          2     13,287       --          --
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $         22.00        632   SH         DEFINED         23        396       --         236
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $      3,386.00     96,022   SH         DEFINED         24     96,022       --          --
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $     32,816.00    930,691   SH         DEFINED          4    930,691       --          --
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $     15,524.00    440,260   SH         DEFINED          6    357,242       --      83,018
CHESAPEAKE ENERGY
   CORP                 COMMON  165167107 $        206.00      5,850   SH         DEFINED          8      5,850       --          --
CHESAPEAKE ENERGY
   CORP CVP 4.5        CONVERT  165167842 $          2.00         20   SH         DEFINED         23         --       --          20
CHESAPEAKE UTILITIES
   CORP                 COMMON  165303108 $        443.00     13,050   SH         DEFINED         24     13,050       --          --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CHEVRON CORP            COMMON  166764100 $     26,100.00    278,907   SH         DEFINED          1    278,907       --          --
CHEVRON CORP            COMMON  166764100 $      5,180.00     55,359   SH         DEFINED       1,15     55,359       --          --
CHEVRON CORP            COMMON  166764100 $      1,219.00     13,027   SH         DEFINED         10     13,027       --          --
CHEVRON CORP            COMMON  166764100 $      4,613.00     49,300   SH         DEFINED      11,15     49,300       --          --
CHEVRON CORP            COMMON  166764100 $        436.00      4,662   SH         DEFINED       11,8      4,662       --          --
CHEVRON CORP            COMMON  166764100 $     41,133.00    439,549   SH         DEFINED         12    116,149       --     323,400
CHEVRON CORP            COMMON  166764100 $        473.00      5,050   SH         DEFINED      12,14      5,050       --          --
CHEVRON CORP            COMMON  166764100 $        382.00      4,077   SH         DEFINED         14      4,077       --          --
CHEVRON CORP            COMMON  166764100 $    227,540.00  2,431,503   SH         DEFINED         15  2,005,213       --     359,690
CHEVRON CORP            COMMON  166764100 $      3,987.00     42,600   SH         DEFINED      15,14         --       --      42,600
CHEVRON CORP            COMMON  166764100 $     20,541.00    219,500   SH         DEFINED       15,8         --       --     219,500
CHEVRON CORP            COMMON  166764100 $         54.00        580   SH         DEFINED      20,12        580       --          --
CHEVRON CORP            COMMON  166764100 $      1,151.00     12,300   SH         DEFINED      20,15         --       --      12,300
CHEVRON CORP            COMMON  166764100 $      2,515.00     26,879   SH         DEFINED         21     26,879       --          --
CHEVRON CORP            COMMON  166764100 $      3,187.00     34,060   SH         DEFINED      21,15         --       --          --
CHEVRON CORP            COMMON  166764100 $        624.00      6,668   SH         DEFINED       21,2      6,668       --          --
CHEVRON CORP            COMMON  166764100 $        219.00      2,336   SH         DEFINED         22      2,336       --          --
CHEVRON CORP            COMMON  166764100 $         21.00        228   SH         DEFINED         23         48       --         180
CHEVRON CORP            COMMON  166764100 $     80,429.00    859,463   SH         DEFINED         24    859,463       --          --
CHEVRON CORP            COMMON  166764100 $      6,144.00     65,660   SH         DEFINED       5,15     59,000       --       6,660
CHEVRON CORP            COMMON  166764100 $     29,162.00    311,627   SH         DEFINED          6    289,195       --      22,432
CHEVRON CORP            COMMON  166764100 $        795.00      8,500   SH         DEFINED          7      8,500       --          --
CHEVRON CORP            COMMON  166764100 $     10,509.00    112,303   SH         DEFINED          8    112,303       --          --
CHEVRON CORP            COMMON  166764100 $     29,797.00    318,411   SH         DEFINED          9    318,411       --          --
CHEVRON CORP            COMMON  166764100 $     26,661.00    284,904   SH         DEFINED       9,15    253,900       --      31,004
CHICAGO BRIDGE &
   IRON-NY SHR          COMMON  167250109 $    118,373.00  2,749,019   SH         DEFINED          1  2,749,019       --          --
CHICAGO BRIDGE &
   IRON-NY SHR          COMMON  167250109 $     15,879.00    368,765   SH         DEFINED          2    368,765       --          --
CHICAGO BRIDGE &
   IRON-NY SHR          COMMON  167250109 $         25.00        580   SH         DEFINED          6        580       --          --
CHICAGO BRIDGE &
   IRON-NY SHR          COMMON  167250109 $        395.00      9,176   SH         DEFINED        9,2      9,176       --          --
CHICO'S FAS INC         COMMON  168615102 $          3.00        203   SH         DEFINED         23        200       --           3
CHICO'S FAS INC         COMMON  168615102 $        132.00      9,405   SH         DEFINED         24      9,405       --          --
CHICO'S FAS INC         COMMON  168615102 $          4.00        281   SH         DEFINED          6        100       --         181
CHICO'S FAS INC         COMMON  168615102 $        975.00     69,400   SH         DEFINED          9     69,400       --          --
CHICO'S FAS INC         COMMON  168615102 $        176.00     12,500   SH         DEFINED       9,22     12,500       --          --
CHILDREN'S PLACE        COMMON  168905107 $         63.00      2,576   SH         DEFINED         24      2,576       --          --
CHINA AUTOMOTIVE
   SYSTEMS INC          COMMON  16936R105 $        842.00    101,568   SH         DEFINED         24    101,568       --          --
CHINA BAK BATTERY
   INC                  COMMON  16936Y100 $     19,273.00  2,477,303   SH         DEFINED         24  2,477,303       --          --
CHINA FINANCE ONLINE
   CO-ADR               COMMON  169379104 $      2,863.00     88,499   SH         DEFINED         24     88,499       --          --
CHINA EASTN AIRLS
   LTD ADR              COMMON  16937R104 $     21,028.00    206,314   SH         DEFINED         24    206,314       --          --
CHINA LIFE INSURANCE
   CO- ADR              COMMON  16939P106 $        649.00      7,531   SH         DEFINED       1,12      7,531       --          --
CHINA LIFE INSURANCE
   CO- ADR              COMMON  16939P106 $        155.00      1,800   SH         DEFINED         12      1,800       --          --
CHINA LIFE INSURANCE
   CO- ADR              COMMON  16939P106 $          1.00         14   SH         DEFINED         23         --       --          14
CHINA LIFE INSURANCE
   CO- ADR              COMMON  16939P106 $     38,740.00    449,319   SH         DEFINED         24    449,319       --          --
CHINA LIFE INSURANCE
   CO- ADR              COMMON  16939P106 $         51.00        590   SH         DEFINED          6         --       --         590
CHINA SOUTHN AIRLS
   LTD ADR              COMMON  169409109 $     28,559.00    370,849   SH         DEFINED         24    370,849       --          --
CHINA NETCOM
   GROUP-SPON ADR       COMMON  16940Q101 $     36,186.00    689,255   SH         DEFINED         24    689,255       --          --
CHINA MOBILE LTD SP
   ADR                  COMMON  16941M109 $     28,274.00    344,636   SH         DEFINED          1    344,636       --          --
CHINA MOBILE LTD SP
   ADR                  COMMON  16941M109 $      6,045.00     73,689   SH         DEFINED       21,2     73,689       --          --
CHINA MOBILE LTD SP
   ADR                  COMMON  16941M109 $     47,902.00    583,883   SH         DEFINED         24    583,883       --          --
CHINA MOBILE LTD SP
   ADR                  COMMON  16941M109 $     40,592.00    494,785   SH         DEFINED          4    494,785       --          --
CHINA PETROLEUM &
   CHEMICAL ADR         COMMON  16941R108 $     35,927.00    291,832   SH         DEFINED         24    291,832       --          --
CHINA TECHFAITH
   WIRELESS-ADR         COMMON  169424108 $      1,229.00    183,637   SH         DEFINED         24    183,637       --          --
CHINA TELECOM CORP
   LTD - ADR            COMMON  169426103 $     39,989.00    522,798   SH         DEFINED         24    522,798       --          --
CHINA UNICOM LTD ADR    COMMON  16945R104 $     38,604.00  1,852,397   SH         DEFINED         24  1,852,397       --          --
CHINDEX
   INTERNATIONAL INC    COMMON  169467107 $      1,168.00     48,377   SH         DEFINED         24     48,377       --          --
CHINA MEDICAL TECH -
   SPON ADR             COMMON  169483104 $      4,963.00    115,981   SH         DEFINED         24    115,981       --          --
CHIPOTLE MEXICAN
   GRILL-CL A           COMMON  169656105 $      1,153.00      9,763   SH         DEFINED         24      9,763       --          --
CHIPOTLE MEXICAN
   GRI-CLASS B          COMMON  169656204 $         62.00        576   SH         DEFINED         23         --       --         576
CHOICE HOTELS INTL
   INC                  COMMON  169905106 $     29,103.00    772,585   SH         DEFINED          1    772,585       --          --
CHOICE HOTELS INTL
   INC                  COMMON  169905106 $      4,841.00    128,500   SH         DEFINED         15     63,200       --      65,300
CHOICE HOTELS INTL
   INC                  COMMON  169905106 $      8,430.00    223,783   SH         DEFINED          2    223,783       --          --
CHOICE HOTELS INTL
   INC                  COMMON  169905106 $         62.00      1,640   SH         DEFINED         24      1,640       --          --
CHOICE HOTELS INTL
   INC                  COMMON  169905106 $         34.00        905   SH         DEFINED          6         --       --         905
CHIQUITA BRANDS INTL    COMMON  170032809 $        584.00     36,877   SH         DEFINED         24     36,877       --          --
CHITTENDEN CORP         COMMON  170228100 $        211.00      5,991   SH         DEFINED         24      5,991       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CHITTENDEN CORP         COMMON  170228100 $        264.00      7,518   SH         DEFINED          6         --       --      7,518
CHOICEPOINT INC         COMMON  170388102 $      6,245.00    164,679   SH         DEFINED          1    164,679       --         --
CHOICEPOINT INC         COMMON  170388102 $      2,798.00     73,800   SH         DEFINED         15     34,200       --     39,600
CHOICEPOINT INC         COMMON  170388102 $        254.00      6,689   SH         DEFINED         24      6,689       --         --
CHOICEPOINT INC         COMMON  170388102 $         12.00        322   SH         DEFINED          6        200       --        122
CHOICEPOINT INC         COMMON  170388102 $         90.00      2,363   SH         DEFINED          8      2,363       --         --
CHORDIANT SOFTWARE
   INC                  COMMON  170404305 $        866.00     62,489   SH         DEFINED         24     62,489       --         --
CHRISTOPHER & BANKS
   CORP                 COMMON  171046105 $         31.00      2,564   SH         DEFINED         24      2,564       --         --
CHUBB CORP              COMMON  171232101 $     51,958.00    968,634   SH         DEFINED          1    968,634       --         --
CHUBB CORP              COMMON  171232101 $      1,611.00     30,027   SH         DEFINED       1,15     30,027       --         --
CHUBB CORP              COMMON  171232101 $      2,078.00     38,740   SH         DEFINED         15     31,140       --      4,400
CHUBB CORP              COMMON  171232101 $        113.00      2,100   SH         DEFINED       15,8         --       --      2,100
CHUBB CORP              COMMON  171232101 $      5,625.00    104,870   SH         DEFINED          2    104,870       --         --
CHUBB CORP              COMMON  171232101 $          9.00        168   SH         DEFINED         23         14       --        154
CHUBB CORP              COMMON  171232101 $     28,398.00    529,426   SH         DEFINED         24    529,426       --         --
CHUBB CORP              COMMON  171232101 $        341.00      6,359   SH         DEFINED          4      6,359       --         --
CHUBB CORP              COMMON  171232101 $        366.00      6,823   SH         DEFINED          6      3,827       --      2,996
CHUBB CORP              COMMON  171232101 $        351.00      6,548   SH         DEFINED          8      6,548       --         --
CHUBB CORP              COMMON  171232101 $        198.00      3,696   SH         DEFINED          9      3,696       --         --
CHUNGHWA TELECOM CO
   LTD ADR              COMMON  17133Q205 $        214.00     11,600   SH         DEFINED         24     11,600       --         --
CHURCH & DWIGHT CO
   INC                  COMMON  171340102 $     27,471.00    583,990   SH         DEFINED          1    583,990       --         --
CHURCH & DWIGHT CO
   INC                  COMMON  171340102 $     14,029.00    298,243   SH         DEFINED          2    298,243       --         --
CHURCH & DWIGHT CO
   INC                  COMMON  171340102 $         14.00        300   SH         DEFINED         23         --       --        300
CHURCH & DWIGHT CO
   INC                  COMMON  171340102 $      1,351.00     28,711   SH         DEFINED         24     28,711       --         --
CHURCH & DWIGHT CO
   INC                  COMMON  171340102 $        213.00      4,527   SH         DEFINED          6         --       --      4,527
CHURCHILL DOWNS INC     COMMON  171484108 $         14.00        287   SH         DEFINED         23         --       --        287
CHURCHILL DOWNS INC     COMMON  171484108 $        513.00     10,263   SH         DEFINED         24     10,263       --         --
CIBER INC               COMMON  17163B102 $        437.00     55,950   SH         DEFINED         15     32,150       --     23,800
CIBER INC               COMMON  17163B102 $        535.00     68,545   SH         DEFINED         24     68,545       --         --
CIBER INC               COMMON  17163B102 $         59.00      7,500   SH         DEFINED       5,15      7,500       --         --
CIENA CORP              COMMON  171779309 $         57.00      1,485   SH         DEFINED       1,15      1,485       --         --
CIENA CORP              COMMON  171779309 $      1,201.00     31,527   SH         DEFINED         24     31,527       --         --
CIENA CORP              COMMON  171779309 $          6.00        170   SH         DEFINED          6         --       --        170
CIMAREX ENERGY CO       COMMON  171798101 $        451.00     12,100   SH         DEFINED         15     12,100       --         --
CIMAREX ENERGY CO       COMMON  171798101 $      4,949.00    132,861   SH         DEFINED         24    132,861       --         --
CIMAREX ENERGY CO       COMMON  171798101 $          1.00         14   SH         DEFINED          6         14       --         --
CINCINNATI BELL INC     COMMON  171871106 $      5,514.00  1,116,154   SH         DEFINED          1  1,116,154       --         --
CINCINNATI BELL INC     COMMON  171871106 $     10,175.00  2,059,700   SH         DEFINED         15  1,057,000       --    994,500
CINCINNATI BELL INC     COMMON  171871106 $        210.00     42,454   SH         DEFINED         24     42,454       --         --
CINCINNATI BELL INC     COMMON  171871106 $         17.00      3,400   SH         DEFINED          6      3,400       --         --
CINCINNATI BELL INC     COMMON  171871106 $        472.00     95,549   SH         DEFINED          9     95,549       --         --
CINCINNATI FINANCIAL
   CORP                 COMMON  172062101 $        128.00      2,966   SH         DEFINED       1,15      2,966       --         --
CINCINNATI FINANCIAL
   CORP                 COMMON  172062101 $      6,144.00    141,871   SH         DEFINED         24    141,871       --         --
CINCINNATI FINANCIAL
   CORP                 COMMON  172062101 $        127.00      2,940   SH         DEFINED          6      2,490       --        450
CINCINNATI FINANCIAL
   CORP                 COMMON  172062101 $        125.00      2,886   SH         DEFINED          8      2,886       --         --
CIRCUIT CITY STORES     COMMON  172737108 $         23.00      2,925   SH         DEFINED       1,15      2,925       --         --
CIRCUIT CITY STORES     COMMON  172737108 $            --          3   SH         DEFINED         23         --       --          3
CIRCUIT CITY STORES     COMMON  172737108 $        227.00     28,716   SH         DEFINED         24     28,716       --         --
CIRCUIT CITY STORES     COMMON  172737108 $         99.00     12,531   SH         DEFINED          6     12,000       --        531
CIRCOR INTERNATIONAL
   INC                  COMMON  17273K109 $         87.00      1,910   SH         DEFINED         15      1,910       --         --
CIRCOR INTERNATIONAL
   INC                  COMMON  17273K109 $        578.00     12,736   SH         DEFINED         24     12,736       --         --
CIRCOR INTERNATIONAL
   INC                  COMMON  17273K109 $         54.00      1,200   SH         DEFINED       5,15      1,200       --         --
CIRRUS LOGIC INC        COMMON  172755100 $     10,601.00  1,656,420   SH         DEFINED          1  1,656,420       --         --
CIRRUS LOGIC INC        COMMON  172755100 $      8,368.00  1,307,518   SH         DEFINED          2  1,307,518       --         --
CIRRUS LOGIC INC        COMMON  172755100 $         29.00      4,460   SH         DEFINED         24      4,460       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $    667,527.00 20,148,766   SH         DEFINED          1 20,148,766       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      9,889.00    298,495   SH         DEFINED       1,15    298,495       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      2,813.00     84,916   SH         DEFINED         10     84,916       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $        321.00      9,700   SH         DEFINED      11,15      9,700       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      1,178.00     35,562   SH         DEFINED       11,8     35,562       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      1,187.00     35,827   SH         DEFINED         14     35,827       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $         64.00      1,917   SH         DEFINED       14,2      1,917       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $        384.00     11,600   SH         DEFINED       14,3     11,600       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $     58,944.00  1,779,190   SH         DEFINED         15  1,287,340       --    441,350
CISCO SYSTEMS INC       COMMON  17275R102 $      7,033.00    212,300   SH         DEFINED       15,8         --       --    212,300




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CISCO SYSTEMS INC       COMMON  17275R102 $      2,094.00     63,200   SH         DEFINED         19     63,200       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $     62,321.00  1,881,113   SH         DEFINED          2  1,881,113       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      1,615.00     48,734   SH         DEFINED         21     48,734       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      6,875.00    207,508   SH         DEFINED       21,2    207,508       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      2,857.00     86,240   SH         DEFINED         22     86,240       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $         15.00        442   SH         DEFINED         23        442       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $     52,735.00  1,591,757   SH         DEFINED         24  1,591,757       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $     89,756.00  2,709,225   SH         DEFINED          3  2,709,225       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      1,206.00     36,393   SH         DEFINED          4     36,393       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      1,666.00     50,300   SH         DEFINED       5,15     50,300       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $     30,342.00    915,844   SH         DEFINED          6    724,058       --    191,786
CISCO SYSTEMS INC       COMMON  17275R102 $        629.00     19,000   SH         DEFINED          7     19,000       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      9,681.00    292,215   SH         DEFINED          8    292,215       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $     22,746.00    686,558   SH         DEFINED          9    686,558       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      1,020.00     30,800   SH         DEFINED       9,15     30,800       --         --
CISCO SYSTEMS INC       COMMON  17275R102 $      1,499.00     45,245   SH         DEFINED        9,2     45,245       --         --
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $        211.00     50,823   SH         DEFINED          1     50,823       --         --
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $            --          -   SH         DEFINED         12         --       --         --
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $         24.00      5,715   SH         DEFINED       14,2         --       --      5,715
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $      3,909.00    939,592   SH         DEFINED         15    415,992       --    523,601
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $            --         27   SH         DEFINED         22         27       --         --
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $            --         55   SH         DEFINED         23         51       --          4
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $        287.00     68,940   SH         DEFINED         24     68,940       --         --
CITADEL BROADCASTING
   CORP                 COMMON  17285T106 $          7.00      1,570   SH         DEFINED          6      1,154       --        416
CINTAS CORP             COMMON  172908105 $         87.00      2,355   SH         DEFINED       1,15      2,355       --         --
CINTAS CORP             COMMON  172908105 $      2,848.00     76,765   SH         DEFINED         24     76,765       --         --
CINTAS CORP             COMMON  172908105 $          7.00        192   SH         DEFINED          6         --       --        192
CINTAS CORP             COMMON  172908105 $        103.00      2,782   SH         DEFINED          8      2,782       --         --
CINTAS CORP             COMMON  172908105 $      5,098.00    137,400   SH         DEFINED          9    137,400       --         --
CINTAS CORP             COMMON  172908105 $      1,068.00     28,800   SH         DEFINED       9,22     28,800       --         --
CITIGROUP INC           COMMON  172967101 $    360,358.00  7,721,414   SH         DEFINED          1  7,721,414       --         --
CITIGROUP INC           COMMON  172967101 $      9,374.00    200,864   SH         DEFINED       1,15    200,864       --         --
CITIGROUP INC           COMMON  172967101 $      3,086.00     66,130   SH         DEFINED         10     66,130       --         --
CITIGROUP INC           COMMON  172967101 $      4,900.00    105,000   SH         DEFINED      11,15    105,000       --         --
CITIGROUP INC           COMMON  172967101 $      1,413.00     30,272   SH         DEFINED       11,8     30,272       --         --
CITIGROUP INC           COMMON  172967101 $        837.00     17,943   SH         DEFINED         14     17,943       --         --
CITIGROUP INC           COMMON  172967101 $    276,042.00  5,914,754   SH         DEFINED         15  4,632,004       --  1,089,950
CITIGROUP INC           COMMON  172967101 $      7,645.00    163,800   SH         DEFINED      15,14         --       --    163,800
CITIGROUP INC           COMMON  172967101 $     21,025.00    450,500   SH         DEFINED       15,8         --       --    450,500
CITIGROUP INC           COMMON  172967101 $      6,577.00    140,935   SH         DEFINED         22    140,935       --         --
CITIGROUP INC           COMMON  172967101 $         62.00      1,326   SH         DEFINED         23        328       --        998
CITIGROUP INC           COMMON  172967101 $     43,304.00    927,887   SH         DEFINED         24    927,887       --         --
CITIGROUP INC           COMMON  172967101 $        691.00     14,800   SH         DEFINED          3     14,800       --         --
CITIGROUP INC           COMMON  172967101 $     15,648.00    335,282   SH         DEFINED          4    335,282       --         --
CITIGROUP INC           COMMON  172967101 $     10,725.00    229,800   SH         DEFINED       5,15    229,800       --         --
CITIGROUP INC           COMMON  172967101 $     21,193.00    454,097   SH         DEFINED          6    389,699       --     64,398
CITIGROUP INC           COMMON  172967101 $      1,171.00     25,100   SH         DEFINED          7     25,100       --         --
CITIGROUP INC           COMMON  172967101 $     14,254.00    305,423   SH         DEFINED          8    305,423       --         --
CITIGROUP INC           COMMON  172967101 $     62,848.00  1,346,655   SH         DEFINED          9  1,346,655       --         --
CITIGROUP INC           COMMON  172967101 $     22,640.00    485,100   SH         DEFINED       9,15    485,100       --         --
CITIGROUP CVT(CEXCH)
   144A 1.0            CONVERT  173068AA5 $     22,876.00 24,050,000   SH         DEFINED         15         --       -- 20,375,000
CITIZENS REPUBLIC
   BANCORP INC          COMMON  174420109 $        149.00      9,242   SH         DEFINED         24      9,242       --         --
CITIZENS REPUBLIC
   BANCORP INC          COMMON  174420109 $        126.00      7,816   SH         DEFINED          6         --       --      7,816
CITIZENS
   COMMUNICATIONS CO    COMMON  17453B101 $         85.00      5,916   SH         DEFINED       1,15      5,916       --         --
CITIZENS
   COMMUNICATIONS CO    COMMON  17453B101 $      2,645.00    184,740   SH         DEFINED         15     93,540       --     91,200
CITIZENS
   COMMUNICATIONS CO    COMMON  17453B101 $            --         16   SH         DEFINED         23         --       --         16
CITIZENS
   COMMUNICATIONS CO    COMMON  17453B101 $      1,782.00    124,444   SH         DEFINED         24    124,444       --         --
CITIZENS
   COMMUNICATIONS CO    COMMON  17453B101 $          8.00        589   SH         DEFINED          6         --       --        589
CITIZENS INC            COMMON  174740100 $         25.00      3,319   SH         DEFINED         24      3,319       --         --
CITRIX SYSTEMS INC      COMMON  177376100 $     46,607.00  1,155,917   SH         DEFINED          1  1,155,917       --         --
CITRIX SYSTEMS INC      COMMON  177376100 $        126.00      3,120   SH         DEFINED       1,15      3,120       --         --
CITRIX SYSTEMS INC      COMMON  177376100 $        876.00     21,716   SH         DEFINED          2         --       --     21,716
CITRIX SYSTEMS INC      COMMON  177376100 $          3.00         80   SH         DEFINED         23         --       --         80
CITRIX SYSTEMS INC      COMMON  177376100 $      4,069.00    100,928   SH         DEFINED         24    100,928       --         --
CITRIX SYSTEMS INC      COMMON  177376100 $        381.00      9,444   SH         DEFINED          6         --       --      9,444




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CITRIX SYSTEMS INC      COMMON  177376100 $        108.00      2,673   SH         DEFINED          8      2,673       --         --
CITY BANK LYNNWOOD
   WA                   COMMON  17770A109 $      2,508.00     87,316   SH         DEFINED         15     60,716       --     26,600
CITY BANK LYNNWOOD
   WA                   COMMON  17770A109 $         43.00      1,486   SH         DEFINED         24      1,486       --         --
CITY BANK LYNNWOOD
   WA                   COMMON  17770A109 $        563.00     19,600   SH         DEFINED       5,15     19,600       --         --
CITY HOLDING CO         COMMON  177835105 $      1,921.00     52,750   SH         DEFINED         15     37,850       --     14,900
CITY HOLDING CO         COMMON  177835105 $      3,724.00    102,272   SH         DEFINED         24    102,272       --         --
CITY HOLDING CO         COMMON  177835105 $        528.00     14,500   SH         DEFINED       5,15     14,500       --         --
CITY HOLDING CO         COMMON  177835105 $        155.00      4,250   SH         DEFINED          6         --       --      4,250
CITY NATIONAL CORP      COMMON  178566105 $        438.00      6,300   SH         DEFINED         15      6,300       --         --
CITY NATIONAL CORP      COMMON  178566105 $      2,857.00     41,096   SH         DEFINED         24     41,096       --         --
CITY NATIONAL CORP      COMMON  178566105 $        250.00      3,600   SH         DEFINED       5,15      3,600       --         --
CITY NATIONAL CORP      COMMON  178566105 $        139.00      2,000   SH         DEFINED          6      2,000       --         --
CLARCOR INC             COMMON  179895107 $          5.00        134   SH         DEFINED         23         --       --        134
CLARCOR INC             COMMON  179895107 $      1,717.00     50,195   SH         DEFINED         24     50,195       --         --
CLARCOR INC             COMMON  179895107 $        276.00      8,075   SH         DEFINED          6         --       --      8,075
CLAYMORE/BNY BRIC
   ETF                  COMMON  18383M100 $          1.00         22   SH         DEFINED         23         --       --         22
CLEAN HARBORS INC       COMMON  184496107 $      1,049.00     23,569   SH         DEFINED         24     23,569       --         --
CLEAN ENERGY FUELS
   CORP                 COMMON  184499101 $      1,264.00     83,488   SH         DEFINED         24     83,488       --         --
CLEAR CHANNEL
   COMMUNICATIONS       COMMON  184502102 $     13,049.00    348,528   SH         DEFINED          1    348,528       --         --
CLEAR CHANNEL
   COMMUNICATIONS       COMMON  184502102 $        324.00      8,643   SH         DEFINED       1,15      8,643       --         --
CLEAR CHANNEL
   COMMUNICATIONS       COMMON  184502102 $      1,508.00     40,272   SH         DEFINED       14,2         --       --     40,272
CLEAR CHANNEL
   COMMUNICATIONS       COMMON  184502102 $      2,831.00     75,602   SH         DEFINED         24     75,602       --         --
CLEAR CHANNEL
   COMMUNICATIONS       COMMON  184502102 $         56.00      1,490   SH         DEFINED          6        120       --      1,370
CLEAR CHANNEL
   COMMUNICATIONS       COMMON  184502102 $        349.00      9,318   SH         DEFINED          8      9,318       --         --
CLEAR CHANNEL
   COMMUNICATIONS       COMMON  184502102 $        904.00     24,139   SH         DEFINED          9     24,139       --         --
CLEAR CHANNEL
   OUTDOOR CL A         COMMON  18451C109 $        366.00     14,357   SH         DEFINED         24     14,357       --         --
CLEARWIRE
   CORP-CLASS A         COMMON  185385309 $      7,334.00    300,064   SH         DEFINED          9    300,064       --         --
CLEARWIRE
   CORP-CLASS A         COMMON  185385309 $      1,261.00     51,614   SH         DEFINED       9,22     51,614       --         --
CLEVELAND-CLIFFS INC    COMMON  185896107 $      4,400.00     50,020   SH         DEFINED          1     50,020       --         --
CLEVELAND-CLIFFS INC    COMMON  185896107 $        616.00      7,000   SH         DEFINED       1,15      7,000       --         --
CLEVELAND-CLIFFS INC    COMMON  185896107 $     17,374.00    197,500   SH         DEFINED         15    105,300       --     91,100
CLEVELAND-CLIFFS INC    COMMON  185896107 $      2,310.00     26,261   SH         DEFINED         24     26,261       --         --
CLEVELAND-CLIFFS INC    COMMON  185896107 $        144.00      1,640   SH         DEFINED          6         --       --      1,640
CLOROX COMPANY          COMMON  189054109 $    185,249.00  3,037,374   SH         DEFINED          1  3,037,374       --         --
CLOROX COMPANY          COMMON  189054109 $        146.00      2,391   SH         DEFINED       1,15      2,391       --         --
CLOROX COMPANY          COMMON  189054109 $      1,720.00     28,200   SH         DEFINED         15     17,700       --      9,400
CLOROX COMPANY          COMMON  189054109 $        579.00      9,500   SH         DEFINED       15,8         --       --      9,500
CLOROX COMPANY          COMMON  189054109 $     13,395.00    219,618   SH         DEFINED          2    219,618       --         --
CLOROX COMPANY          COMMON  189054109 $            --          5   SH         DEFINED         23         --       --          5
CLOROX COMPANY          COMMON  189054109 $      4,517.00     74,065   SH         DEFINED         24     74,065       --         --
CLOROX COMPANY          COMMON  189054109 $         41.00        671   SH         DEFINED          6         --       --        671
CLOROX COMPANY          COMMON  189054109 $        234.00      3,837   SH         DEFINED          8      3,837       --         --
CLOROX COMPANY          COMMON  189054109 $        229.00      3,749   SH         DEFINED          9      3,749       --         --
CLOROX COMPANY          COMMON  189054109 $        785.00     12,868   SH         DEFINED        9,2     12,868       --         --
COACH INC               COMMON  189754104 $    155,999.00  3,300,167   SH         DEFINED          1  3,300,167       --         --
COACH INC               COMMON  189754104 $        306.00      6,477   SH         DEFINED       1,15      6,477       --         --
COACH INC               COMMON  189754104 $         43.00        902   SH         DEFINED         14        902       --         --
COACH INC               COMMON  189754104 $         43.00        902   SH         DEFINED       14,2        902       --         --
COACH INC               COMMON  189754104 $      1,333.00     28,200   SH         DEFINED         15     13,400       --     12,700
COACH INC               COMMON  189754104 $        222.00      4,700   SH         DEFINED       15,8         --       --      4,700
COACH INC               COMMON  189754104 $     15,804.00    334,338   SH         DEFINED          2    316,122       --     18,216
COACH INC               COMMON  189754104 $        246.00      5,211   SH         DEFINED         22      5,211       --         --
COACH INC               COMMON  189754104 $         16.00        343   SH         DEFINED         23         74       --        269
COACH INC               COMMON  189754104 $      8,581.00    181,528   SH         DEFINED         24    181,528       --         --
COACH INC               COMMON  189754104 $        232.00      4,905   SH         DEFINED          4      4,905       --         --
COACH INC               COMMON  189754104 $      8,790.00    185,944   SH         DEFINED          6    144,525       --     41,419
COACH INC               COMMON  189754104 $        351.00      7,416   SH         DEFINED          8      7,416       --         --
COACH INC               COMMON  189754104 $        388.00      8,204   SH         DEFINED          9      8,204       --         --
COACH INC               COMMON  189754104 $        430.00      9,087   SH         DEFINED        9,2      9,087       --         --
COBIZ FINANCIAL INC     COMMON  190897108 $         25.00      1,433   SH         DEFINED         24      1,433       --         --
COBRA ELECTRONICS
   CORP                 COMMON  191042100 $        312.00     46,279   SH         DEFINED         24     46,279       --         --
COCA-COLA BOTTLING
   CO CONSOL            COMMON  191098102 $        221.00      3,665   SH         DEFINED         15      3,665       --         --
COCA-COLA BOTTLING
   CO CONSOL            COMMON  191098102 $        103.00      1,700   SH         DEFINED       5,15      1,700       --         --
COCA-COLA COMPANY       COMMON  191216100 $    132,171.00  2,299,826   SH         DEFINED          1  2,299,826       --         --
COCA-COLA COMPANY       COMMON  191216100 $     11,468.00    199,543   SH         DEFINED       1,15    199,543       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
COCA-COLA COMPANY       COMMON  191216100 $      3,839.00     66,800   SH         DEFINED      11,15     66,800       --         --
COCA-COLA COMPANY       COMMON  191216100 $    262,008.00  4,559,036   SH         DEFINED         15  3,495,136       --    932,900
COCA-COLA COMPANY       COMMON  191216100 $      6,718.00    116,900   SH         DEFINED      15,14         --       --    116,900
COCA-COLA COMPANY       COMMON  191216100 $     16,103.00    280,200   SH         DEFINED       15,8         --       --    280,200
COCA-COLA COMPANY       COMMON  191216100 $        494.00      8,592   SH         DEFINED          2      8,592       --         --
COCA-COLA COMPANY       COMMON  191216100 $        127.00      2,204   SH         DEFINED         21      2,204       --         --
COCA-COLA COMPANY       COMMON  191216100 $      1,342.00     23,347   SH         DEFINED         22     23,347       --         --
COCA-COLA COMPANY       COMMON  191216100 $         13.00        219   SH         DEFINED         23         38       --        181
COCA-COLA COMPANY       COMMON  191216100 $     15,171.00    263,983   SH         DEFINED         24    263,983       --         --
COCA-COLA COMPANY       COMMON  191216100 $          2.00         33   SH         DEFINED          4         33       --         --
COCA-COLA COMPANY       COMMON  191216100 $     12,684.00    220,700   SH         DEFINED       5,15    220,700       --         --
COCA-COLA COMPANY       COMMON  191216100 $      8,520.00    148,255   SH         DEFINED          6     89,126       --     59,129
COCA-COLA COMPANY       COMMON  191216100 $        787.00     13,700   SH         DEFINED          7     13,700       --         --
COCA-COLA COMPANY       COMMON  191216100 $      7,531.00    131,034   SH         DEFINED          8    131,034       --         --
COCA-COLA COMPANY       COMMON  191216100 $     55,147.00    959,579   SH         DEFINED          9    959,579       --         --
COCA-COLA COMPANY       COMMON  191216100 $     19,551.00    340,200   SH         DEFINED       9,15    340,200       --         --
COCA-COLA
   ENTERPRISES          COMMON  191219104 $        120.00      4,948   SH         DEFINED       1,15      4,948       --         --
COCA-COLA
   ENTERPRISES          COMMON  191219104 $      5,500.00    227,100   SH         DEFINED         15     99,200       --    125,600
COCA-COLA
   ENTERPRISES          COMMON  191219104 $      3,204.00    132,276   SH         DEFINED         24    132,276       --         --
COCA-COLA
   ENTERPRISES          COMMON  191219104 $        755.00     31,155   SH         DEFINED          6     30,513       --        642
COCA-COLA FEMSA SA
   DE CV ADR            COMMON  191241108 $      6,617.00    154,163   SH         DEFINED          1    154,163       --         --
COCA-COLA FEMSA SA
  DE CV ADR             COMMON  191241108 $        745.00     17,352   SH         DEFINED       14,2         --       --     17,352
COCA COLA HELLENIC
   BTLNG-ADS            COMMON  1912EP104 $     24,815.00    424,194   SH         DEFINED          4    424,194       --         --
COEUR D ALENE MINES
   CORP                 COMMON  192108108 $     44,973.00 11,866,274   SH         DEFINED          1 11,866,274       --         --
COEUR D ALENE MINES
   CORP                 COMMON  192108108 $        594.00    156,847   SH         DEFINED         15    156,847       --         --
COEUR D ALENE MINES
   CORP                 COMMON  192108108 $            --          6   SH         DEFINED         23         --       --          6
COEUR D ALENE MINES
   CORP                 COMMON  192108108 $         35.00      9,159   SH         DEFINED         24      9,159       --         --
COEUR D ALENE MINES
   CORP                 COMMON  192108108 $     16,034.00  4,230,660   SH         DEFINED          4  4,230,660       --         --
COGDELL SPENCER INC     COMMON  19238U107 $        342.00     18,500   SH         DEFINED         15         --       --     18,500
COGENT
   COMMUNICATIONS
   GROUP                COMMON  19239V302 $         14.00        618   SH         DEFINED         24        618       --         --
COGENT INC              COMMON  19239Y108 $     14,723.00    938,986   SH         DEFINED          1    938,986       --         --
COGENT INC              COMMON  19239Y108 $     11,203.00    714,447   SH         DEFINED          2    714,447       --         --
COGENT INC              COMMON  19239Y108 $      6,051.00    385,934   SH         DEFINED         24    385,934       --         --
COGENT INC              COMMON  19239Y108 $     36,264.00  2,312,785   SH         DEFINED          9  2,312,785       --         --
COGENT INC              COMMON  19239Y108 $      1,378.00     87,886   SH         DEFINED       9,22     87,886       --         --
COGNEX CORP             COMMON  192422103 $      3,790.00    213,422   SH         DEFINED          1    213,422       --         --
COGNEX CORP             COMMON  192422103 $        105.00      5,937   SH         DEFINED         24      5,937       --         --
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $     62,053.00    777,706   SH         DEFINED          1    777,706       --         --
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $        200.00      2,509   SH         DEFINED       1,15      2,509       --         --
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $        888.00     11,134   SH         DEFINED          2         --       --     11,134
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $      1,926.00     24,142   SH         DEFINED       21,2     24,142       --         --
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $         42.00        521   SH         DEFINED         23        185       --        336
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $      3,441.00     43,131   SH         DEFINED         24     43,131       --         --
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $      7,355.00     92,184   SH         DEFINED          3     92,184       --         --
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $     17,452.00    218,727   SH         DEFINED          6    161,923       --     56,804
COGNIZANT TECH
   SOLUTIONS CRP        COMMON  192446102 $        166.00      2,086   SH         DEFINED          8      2,086       --         --
COGNOS INC              COMMON  19244C109 $          3.00         84   SH         DEFINED         24         84       --         --
COHERENT INC            COMMON  192479103 $     13,227.00    412,308   SH         DEFINED          1    412,308       --         --
COHERENT INC            COMMON  192479103 $     10,885.00    339,316   SH         DEFINED          2    339,316       --         --
COHERENT INC            COMMON  192479103 $        118.00      3,672   SH         DEFINED         24      3,672       --         --
COHERENT INC            COMMON  192479103 $        169.00      5,275   SH         DEFINED          6         --       --      5,275
COHEN & STEERS INC      COMMON  19247A100 $         29.00        784   SH         DEFINED         24        784       --         --
COHEN & STEERS QUAL
   INC RLTY C           COMMON  19247L106 $         63.00      3,000   SH         DEFINED          6      1,000       --      2,000
COHEN & STEERS SEL
   UTILITY CEF          COMMON  19248A109 $         27.00      1,047   SH         DEFINED          6      1,047       --         --
COHU INC                COMMON  192576106 $            --          4   SH         DEFINED         23         --       --          4
COHU INC                COMMON  192576106 $        632.00     33,700   SH         DEFINED         24     33,700       --         --
COINSTAR INC            COMMON  19259P300 $         76.00      2,363   SH         DEFINED         24      2,363       --         --
COINSTAR INC            COMMON  19259P300 $         25.00        790   SH         DEFINED          6        790       --         --
COLDWATER CREEK INC     COMMON  193068103 $         49.00      4,489   SH         DEFINED         24      4,489       --         --
COLDWATER CREEK INC     COMMON  193068103 $          5.00        480   SH         DEFINED          6        480       --         --
KENNETH COLE
   PRODUCTIONS CL A     COMMON  193294105 $         52.00      2,694   SH         DEFINED         24      2,694       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $    121,138.00  1,698,507   SH         DEFINED          1  1,698,507       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $        652.00      9,137   SH         DEFINED       1,15      9,137       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $         78.00      1,100   SH         DEFINED      11,15      1,100       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $     25,502.00    357,575   SH         DEFINED         12    112,675       --    244,900




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
COLGATE-PALMOLIVE CO    COMMON  194162103 $        396.00      5,550   SH         DEFINED      12,14      5,550       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $     24,227.00    339,691   SH         DEFINED         15    271,551       --     59,240
COLGATE-PALMOLIVE CO    COMMON  194162103 $        250.00      3,500   SH         DEFINED      15,14         --       --      3,500
COLGATE-PALMOLIVE CO    COMMON  194162103 $      1,997.00     28,000   SH         DEFINED       15,8         --       --     28,000
COLGATE-PALMOLIVE CO    COMMON  194162103 $      6,202.00     86,966   SH         DEFINED          2     86,966       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $         32.00        445   SH         DEFINED      20,12        445       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $        963.00     13,500   SH         DEFINED      20,15         --       --     13,500
COLGATE-PALMOLIVE CO    COMMON  194162103 $        113.00      1,588   SH         DEFINED         21      1,588       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $      1,700.00     23,840   SH         DEFINED      21,15         --       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $         28.00        396   SH         DEFINED         23         25       --        371
COLGATE-PALMOLIVE CO    COMMON  194162103 $     10,036.00    140,715   SH         DEFINED         24    140,715       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $        670.00      9,400   SH         DEFINED       5,15      4,800       --      4,600
COLGATE-PALMOLIVE CO    COMMON  194162103 $      4,381.00     61,431   SH         DEFINED          6     34,069       --     27,362
COLGATE-PALMOLIVE CO    COMMON  194162103 $         57.00        800   SH         DEFINED          8        800       --         --
COLGATE-PALMOLIVE CO    COMMON  194162103 $      2,425.00     33,998   SH         DEFINED       9,15         --       --     33,998
COLGATE-PALMOLIVE CO    COMMON  194162103 $        348.00      4,883   SH         DEFINED        9,2      4,883       --         --
COLLECTIVE BRANDS
   INC                  COMMON  19421W100 $      4,860.00    220,300   SH         DEFINED         15    100,100       --    120,200
COLLECTIVE BRANDS
   INC                  COMMON  19421W100 $         22.00        990   SH         DEFINED         23         --       --        990
COLLECTIVE BRANDS
   INC                  COMMON  19421W100 $      3,122.00    141,539   SH         DEFINED         24    141,539       --         --
COLLECTIVE BRANDS
   INC                  COMMON  19421W100 $          5.00        216   SH         DEFINED          6        216       --         --
COLONIAL BANCGROUP
   INC                  COMMON  195493309 $          9.00        400   SH         DEFINED         23         --       --        400
COLONIAL BANCGROUP
   INC                  COMMON  195493309 $        316.00     14,600   SH         DEFINED         24     14,600       --         --
COLONIAL PROPERTIES
   TRUST                COMMON  195872106 $      1,135.00     33,100   SH         DEFINED         15     33,100       --         --
COLONIAL PROPERTIES
   TRUST                COMMON  195872106 $         20.00        588   SH         DEFINED         23         --       --        588
COLONIAL PROPERTIES
   TRUST                COMMON  195872106 $        193.00      5,632   SH         DEFINED         24      5,632       --         --
COLONIAL PROPERTIES
   TRUST                COMMON  195872106 $         19.00        550   SH         DEFINED          6         --       --        550
COLUMBIA BANKING
   SYSTEM INC           COMMON  197236102 $      7,220.00    226,917   SH         DEFINED          1    226,917       --         --
COLUMBIA BANKING
   SYSTEM INC           COMMON  197236102 $      1,710.00     53,730   SH         DEFINED         15     36,735       --     16,995
COLUMBIA BANKING
   SYSTEM INC           COMMON  197236102 $         37.00      1,174   SH         DEFINED         24      1,174       --         --
COLUMBIA BANKING
   SYSTEM INC           COMMON  197236102 $        398.00     12,500   SH         DEFINED       5,15     12,500       --         --
COLUMBIA BANKING
   SYSTEM INC           COMMON  197236102 $        278.00      8,740   SH         DEFINED          6         --       --      8,740
COLUMBIA SPORTSWEAR
   CO                   COMMON  198516106 $      1,499.00     27,094   SH         DEFINED          1     27,094       --         --
COLUMBIA SPORTSWEAR
   CO                   COMMON  198516106 $     16,128.00    291,600   SH         DEFINED        1,3    291,600       --         --
COLUMBIA SPORTSWEAR
   CO                   COMMON  198516106 $        179.00      3,229   SH         DEFINED       14,2         --       --      3,229
COLUMBIA SPORTSWEAR
   CO                   COMMON  198516106 $        575.00     10,400   SH         DEFINED       20,3     10,400       --         --
COLUMBIA SPORTSWEAR
   CO                   COMMON  198516106 $        321.00      5,810   SH         DEFINED         24      5,810       --         --
COLUMBIA SPORTSWEAR
   CO                   COMMON  198516106 $     10,299.00    186,200   SH         DEFINED          3    186,200       --         --
COLUMBUS MCKINNON
   CORP/NY              COMMON  199333105 $      1,033.00     41,500   SH         DEFINED         15     26,400       --     15,100
COLUMBUS MCKINNON
   CORP/NY              COMMON  199333105 $        117.00      4,700   SH         DEFINED       5,15      4,700       --         --
COMCAST CORP CL A       COMMON  20030N101 $     35,392.00  1,463,696   SH         DEFINED          1  1,463,696       --         --
COMCAST CORP CL A       COMMON  20030N101 $      1,297.00     53,656   SH         DEFINED       1,15     53,656       --         --
COMCAST CORP CL A       COMMON  20030N101 $     32,097.00  1,327,417   SH         DEFINED         12    394,417       --    933,000
COMCAST CORP CL A       COMMON  20030N101 $        403.00     16,650   SH         DEFINED      12,14     16,650       --         --
COMCAST CORP CL A       COMMON  20030N101 $      3,159.00    130,643   SH         DEFINED       14,2         --       --    130,643
COMCAST CORP CL A       COMMON  20030N101 $     18,758.00    775,780   SH         DEFINED         15    645,710       --     91,170
COMCAST CORP CL A       COMMON  20030N101 $      1,311.00     54,200   SH         DEFINED       15,8         --       --     54,200
COMCAST CORP CL A       COMMON  20030N101 $         18.00        760   SH         DEFINED      20,12        760       --         --
COMCAST CORP CL A       COMMON  20030N101 $        983.00     40,650   SH         DEFINED      20,15         --       --     40,650
COMCAST CORP CL A       COMMON  20030N101 $      2,386.00     98,665   SH         DEFINED      21,15         --       --         --
COMCAST CORP CL A       COMMON  20030N101 $         20.00        836   SH         DEFINED         23        341       --        495
COMCAST CORP CL A       COMMON  20030N101 $     13,931.00    576,153   SH         DEFINED         24    576,153       --         --
COMCAST CORP CL A       COMMON  20030N101 $    156,127.00  6,456,850   SH         DEFINED          3  6,456,850       --         --
COMCAST CORP CL A       COMMON  20030N101 $        463.00     19,150   SH         DEFINED       5,15         --       --     19,150
COMCAST CORP CL A       COMMON  20030N101 $     12,388.00    512,324   SH         DEFINED          6    463,684       --     48,640
COMCAST CORP CL A       COMMON  20030N101 $      2,442.00    100,972   SH         DEFINED          8    100,972       --         --
COMCAST CORP CL A       COMMON  20030N101 $      2,477.00    102,454   SH         DEFINED       9,15         --       --    102,454
COMCAST CORP SPECIAL
   CL A                 COMMON  20030N200 $          4.00        150   SH         DEFINED         23         26       --        124
COMCAST CORP SPECIAL
   CL A                 COMMON  20030N200 $      2,257.00     94,193   SH         DEFINED         24     94,193       --         --
COMCAST CORP SPECIAL
   CL A                 COMMON  20030N200 $      2,818.00    117,618   SH         DEFINED          6     26,747       --     90,871
COMCAST CORP SPECIAL
   CL A                 COMMON  20030N200 $        543.00     22,681   SH         DEFINED          8     22,681       --         --
COMCAST CORP SPECIAL
   CL A                 COMMON  20030N200 $     24,057.00  1,004,034   SH         DEFINED          9  1,004,034       --         --
COMERICA INC            COMMON  200340107 $        136.00      2,655   SH         DEFINED       1,15      2,655       --         --
COMERICA INC            COMMON  200340107 $      4,906.00     95,680   SH         DEFINED         15     67,580       --     23,300
COMERICA INC            COMMON  200340107 $      1,287.00     25,100   SH         DEFINED       15,8         --       --     25,100
COMERICA INC            COMMON  200340107 $     11,397.00    222,250   SH         DEFINED         24    222,250       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
COMERICA INC            COMMON  200340107 $          4.00         81   SH         DEFINED          6         --       --         81
COMERICA INC            COMMON  200340107 $        522.00     10,172   SH         DEFINED          8     10,172       --         --
COMERICA INC            COMMON  200340107 $      1,159.00     22,600   SH         DEFINED          9     22,600       --         --
COMERICA INC            COMMON  200340107 $        338.00      6,600   SH         DEFINED       9,15      6,600       --         --
COMMERCE BANCORP
   INC/NJ               COMMON  200519106 $        128.00      3,306   SH         DEFINED       1,15      3,306       --         --
COMMERCE BANCORP
   INC/NJ               COMMON  200519106 $      3,366.00     86,800   SH         DEFINED         24     86,800       --         --
COMMERCE BANCORP
   INC/NJ               COMMON  200519106 $         34.00        868   SH         DEFINED          6         --       --        868
COMMERCE BANCORP
   INC/NJ               COMMON  200519106 $         73.00      1,884   SH         DEFINED          8      1,884       --         --
COMMERCE BANCSHARES
   INC                  COMMON  200525103 $      2,757.00     60,079   SH         DEFINED         24     60,079       --         --
COMMERCE GROUP INC      COMMON  200641108 $     10,129.00    343,710   SH         DEFINED         24    343,710       --         --
COMMERCIAL METALS CO    COMMON  201723103 $      3,108.00     98,191   SH         DEFINED         24     98,191       --         --
COMMERCIAL METALS CO    COMMON  201723103 $        405.00     12,800   SH         DEFINED          6         --       --     12,800
COMMSCOPE INC           COMMON  203372107 $     53,566.00  1,066,195   SH         DEFINED          1  1,066,195       --         --
COMMSCOPE INC           COMMON  203372107 $        502.00     10,000   SH         DEFINED         19     10,000       --         --
COMMSCOPE INC           COMMON  203372107 $        814.00     16,200   SH         DEFINED          2         --       --     16,200
COMMSCOPE INC           COMMON  203372107 $        129.00      2,571   SH         DEFINED         21      2,571       --         --
COMMSCOPE INC           COMMON  203372107 $      2,789.00     55,510   SH         DEFINED       21,2     55,510       --         --
COMMSCOPE INC           COMMON  203372107 $      9,699.00    193,060   SH         DEFINED         24    193,060       --         --
COMMSCOPE INC           COMMON  203372107 $        169.00      3,365   SH         DEFINED          6         --       --      3,365
COMMUNITY BANCORP       COMMON  20343T100 $         73.00      2,916   SH         DEFINED         15      2,916       --         --
COMMUNITY BANCORP       COMMON  20343T100 $         45.00      1,800   SH         DEFINED       5,15      1,800       --         --
COMMUNITY BANK
   SYSTEM INC           COMMON  203607106 $      3,368.00    172,550   SH         DEFINED         15    131,750       --     40,800
COMMUNITY BANK
   SYSTEM INC           COMMON  203607106 $      6,814.00    349,075   SH         DEFINED         24    349,075       --         --
COMMUNITY BANK
   SYSTEM INC           COMMON  203607106 $        974.00     49,900   SH         DEFINED       5,15     49,900       --         --
COMMUNITY BANKS INC     COMMON  203628102 $         94.00      3,155   SH         DEFINED         24      3,155       --         --
COMMUNITY HEALTH
   SYSTEMS              COMMON  203668108 $        359.00     11,411   SH         DEFINED         24     11,411       --         --
COMMUNITY TRUST
   BANCORP INC          COMMON  204149108 $      1,660.00     55,250   SH         DEFINED         15     40,950       --     14,300
COMMUNITY TRUST
   BANCORP INC          COMMON  204149108 $         61.00      2,017   SH         DEFINED         24      2,017       --         --
COMMUNITY TRUST
   BANCORP INC          COMMON  204149108 $        460.00     15,300   SH         DEFINED       5,15     15,300       --         --
COMMVAULT SYSTEMS
   INC                  COMMON  204166102 $          3.00        147   SH         DEFINED         24        147       --         --
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $        685.00     32,100   SH         DEFINED       1,12     32,100       --         --
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $      1,713.00     80,300   SH         DEFINED         12     19,400       --     60,900
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $      1,440.00     67,500   SH         DEFINED      12,14     67,500       --         --
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $      1,041.00     48,800   SH         DEFINED         15     48,800       --         --
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $      2,694.00    126,300   SH         DEFINED       5,12    126,300       --         --
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $     13,978.00    655,300   SH         DEFINED          9    655,300       --         --
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $        723.00     33,900   SH         DEFINED       9,15     33,900       --         --
COMPANHIA ENERGETICA
   DE MINAS             COMMON  204409601 $      1,824.00     85,500   SH         DEFINED       9,22     85,500       --         --
COMPANHIA BRASILEIRA
   DE DISTRB            COMMON  20440T201 $          6.00        200   SH         DEFINED         24        200       --         --
COMPANHIA
   SIDERURGICA
   NACIONAL             COMMON  20440W105 $            --          3   SH         DEFINED         23         --       --          3
COMPANHIA VALE DO
   RIO DOCE ADR         COMMON  204412100 $         63.00      2,200   SH         DEFINED         24      2,200       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $     71,435.00  2,105,364   SH         DEFINED          1  2,105,364       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      1,920.00     56,600   SH         DEFINED       1,12     56,600       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      4,777.00    140,800   SH         DEFINED         12     34,200       --    106,600
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      2,009.00     59,200   SH         DEFINED      12,14     59,200       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      2,894.00     85,300   SH         DEFINED         15     85,300       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $            --         11   SH         DEFINED         23          5       --          6
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $         58.00      1,700   SH         DEFINED         24      1,700       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      7,509.00    221,300   SH         DEFINED       5,12    221,300       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      1,297.00     38,240   SH         DEFINED          6     28,500       --      9,740
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $     68,009.00  2,004,400   SH         DEFINED          9  2,004,400       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      2,375.00     70,000   SH         DEFINED       9,15     70,000       --         --
CIA VALE DO RIO
   DOCE-ADR             COMMON  204412209 $      7,261.00    214,000   SH         DEFINED       9,22    214,000       --         --
CIA SANEAMENTO
   BASICO DE-ADR        COMMON  20441A102 $     44,438.00    899,556   SH         DEFINED         24    899,556       --         --
COMPANHIA PARANAENSE
   ENERG COP            COMMON  20441B407 $         43.00      2,700   SH         DEFINED         24      2,700       --         --
COMPANHIA DE
   BEBIDAS-CM ADR       COMMON  20441W104 $     23,027.00    325,282   SH         DEFINED          1    325,282       --         --
COMPANHIA DE
   BEBIDAS-CM ADR       COMMON  20441W104 $      2,006.00     28,338   SH         DEFINED       14,2         --       --     28,338
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $     43,226.00    591,087   SH         DEFINED          1    591,087       --         --
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $         49.00        666   SH         DEFINED         14        666       --         --
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $         49.00        666   SH         DEFINED       14,2        666       --         --
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $      5,082.00     69,487   SH         DEFINED          2     69,487       --         --
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $         37.00        500   SH         DEFINED         24        500       --         --
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $     23,109.00    316,000   SH         DEFINED          9    316,000       --         --
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $        731.00     10,000   SH         DEFINED       9,15     10,000       --         --
COMPANHIA DE
   BEBIDAS ADR          COMMON  20441W203 $      2,135.00     29,200   SH         DEFINED       9,22     29,200       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
COMPANIA DE MINAS
   BUENAVENTURA         COMMON  204448104 $      9,045.00    189,303   SH         DEFINED         24    189,303       --         --
COMPANIA DE
   TELECOMUNICS
   CHILE                COMMON  204449300 $         21.00      2,600   SH         DEFINED         24      2,600       --         --
COMPETITIVE
   TECHNOLOGIES INC     COMMON  204512107 $          2.00        700   SH         DEFINED         23         --       --        700
COMPASS MINERALS
   INTERNATIONAL        COMMON  20451N101 $      8,308.00    244,062   SH         DEFINED          1    244,062       --         --
COMPASS MINERALS
   INTERNATIONAL        COMMON  20451N101 $          5.00        142   SH         DEFINED         23         89       --         53
COMPASS MINERALS
   INTERNATIONAL        COMMON  20451N101 $        146.00      4,283   SH         DEFINED         24      4,283       --         --
COMPASS MINERALS
   INTERNATIONAL        COMMON  20451N101 $      4,463.00    131,111   SH         DEFINED          6    111,476       --     19,635
COMPASS DIVERSIFIED
    HOLDINGS            COMMON  20451Q104 $      2,235.00    139,155   SH         DEFINED         24    139,155       --         --
COMPLETE PRODUCTION
   SERVICES             COMMON  20453E109 $     20,603.00  1,006,000   SH         DEFINED          1  1,006,000       --         --
COMPLETE PRODUCTION
   SERVICES             COMMON  20453E109 $        159.00      7,754   SH         DEFINED         24      7,754       --         --
COMPLETE PRODUCTION
   SERVICES             COMMON  20453E109 $        947.00     46,229   SH         DEFINED          4     46,229       --         --
COMPUCREDIT CORP        COMMON  20478N100 $        107.00      4,926   SH         DEFINED         24      4,926       --         --
COMPUTER PROGRAMS &
    SYSTEMS             COMMON  205306103 $         19.00        736   SH         DEFINED         24        736       --         --
COMPUTER SCIENCES
   CORP                 COMMON  205363104 $        169.00      3,020   SH         DEFINED       1,15      3,020       --         --
COMPUTER SCIENCES
   CORP                 COMMON  205363104 $      3,152.00     56,380   SH         DEFINED         15     41,780       --     11,600
COMPUTER SCIENCES
   CORP                 COMMON  205363104 $        598.00     10,700   SH         DEFINED       15,8         --       --     10,700
COMPUTER SCIENCES
   CORP                 COMMON  205363104 $     42,009.00    751,508   SH         DEFINED         24    751,508       --         --
COMPUTER SCIENCES
   CORP                 COMMON  205363104 $        470.00      8,400   SH         DEFINED          6         --       --      8,400
COMPUTER SCIENCES
   CORP                 COMMON  205363104 $        222.00      3,973   SH         DEFINED          8      3,973       --         --
COMPUWARE CORP          COMMON  205638109 $        157.00     19,547   SH         DEFINED       1,15     19,547       --         --
COMPUWARE CORP          COMMON  205638109 $        555.00     69,200   SH         DEFINED      11,15     69,200       --         --
COMPUWARE CORP          COMMON  205638109 $     50,750.00  6,327,877   SH         DEFINED         15  3,770,177       --  2,474,700
COMPUWARE CORP          COMMON  205638109 $        431.00     53,700   SH         DEFINED      15,14         --       --     53,700
COMPUWARE CORP          COMMON  205638109 $      1,441.00    179,700   SH         DEFINED       15,8         --       --    179,700
COMPUWARE CORP          COMMON  205638109 $        177.00     22,079   SH         DEFINED         22     22,079       --         --
COMPUWARE CORP          COMMON  205638109 $        359.00     44,735   SH         DEFINED         24     44,735       --         --
COMPUWARE CORP          COMMON  205638109 $        835.00    104,100   SH         DEFINED       5,15    104,100       --         --
COMPUWARE CORP          COMMON  205638109 $          4.00        499   SH         DEFINED          6         --       --        499
COMPUWARE CORP          COMMON  205638109 $        215.00     26,793   SH         DEFINED          8     26,793       --         --
COMPUWARE CORP          COMMON  205638109 $        908.00    113,253   SH         DEFINED          9    113,253       --         --
COMPUWARE CORP          COMMON  205638109 $      2,979.00    371,500   SH         DEFINED       9,15    371,500       --         --
COMSTOCK RESOURCES
   INC                  COMMON  205768203 $      8,388.00    271,973   SH         DEFINED          1    271,973       --         --
COMSTOCK RESOURCES
   INC                  COMMON  205768203 $        161.00      5,219   SH         DEFINED         24      5,219       --         --
COMSTOCK RESOURCES
   INC                  COMMON  205768203 $         24.00        775   SH         DEFINED          6        775       --         --
COMSYS IT PARTNERS
   INC                  COMMON  20581E104 $      4,169.00    248,000   SH         DEFINED         15    166,100       --     81,900
COMSYS IT PARTNERS
   INC                  COMMON  20581E104 $        854.00     50,800   SH         DEFINED       5,15     50,800       --         --
COMTECH GROUP INC       COMMON  205821200 $      2,960.00    162,556   SH         DEFINED         24    162,556       --         --
COMTECH TELE-
   COMMUNICATIONS       COMMON  205826209 $     11,886.00    222,211   SH         DEFINED          1    222,211       --         --
COMTECH TELE-
   COMMUNICATIONS       COMMON  205826209 $         43.00        800   SH         DEFINED         15        800       --         --
COMTECH TELE-
   COMMUNICATIONS       COMMON  205826209 $      9,192.00    171,847   SH         DEFINED         24    171,847       --         --
COMVERGE INC            COMMON  205859101 $     22,860.00    695,668   SH         DEFINED         24    695,668       --         --
CONAGRA FOODS INC       COMMON  205887102 $        222.00      8,502   SH         DEFINED       1,15      8,502       --         --
CONAGRA FOODS INC       COMMON  205887102 $      4,153.00    158,920   SH         DEFINED         15     61,820       --     95,400
CONAGRA FOODS INC       COMMON  205887102 $        191.00      7,300   SH         DEFINED       15,8         --       --      7,300
CONAGRA FOODS INC       COMMON  205887102 $            --          6   SH         DEFINED         23         --       --          6
CONAGRA FOODS INC       COMMON  205887102 $     11,538.00    441,556   SH         DEFINED         24    441,556       --         --
CONAGRA FOODS INC       COMMON  205887102 $         20.00        768   SH         DEFINED          6         --       --        768
CONAGRA FOODS INC       COMMON  205887102 $        252.00      9,635   SH         DEFINED          8      9,635       --         --
CONAGRA FOODS INC       COMMON  205887102 $        126.00      4,839   SH         DEFINED          9      4,839       --         --
CON-WAY INC             COMMON  205944101 $        995.00     21,630   SH         DEFINED          1     21,630       --         --
CON-WAY INC             COMMON  205944101 $     35,351.00    768,500   SH         DEFINED        1,3    768,500       --         --
CON-WAY INC             COMMON  205944101 $        156.00      3,400   SH         DEFINED         14      3,400       --         --
CON-WAY INC             COMMON  205944101 $        156.00      3,400   SH         DEFINED       14,3      3,400       --         --
CON-WAY INC             COMMON  205944101 $      3,574.00     77,700   SH         DEFINED         15     35,200       --     42,500
CON-WAY INC             COMMON  205944101 $        874.00     19,000   SH         DEFINED       20,3     19,000       --         --
CON-WAY INC             COMMON  205944101 $      5,747.00    124,924   SH         DEFINED         24    124,924       --         --
CON-WAY INC             COMMON  205944101 $    240,762.00  5,233,951   SH         DEFINED          3  5,233,951       --         --
CON-WAY INC             COMMON  205944101 $         26.00        560   SH         DEFINED          6        560       --         --
CONCUR TECHNOLOGIES
   INC                  COMMON  206708109 $         10.00        322   SH         DEFINED         24        322       --         --
CONCUR TECHNOLOGIES
   INC                  COMMON  206708109 $         10.00        330   SH         DEFINED          6        330       --         --
CONEXANT SYSTEMS INC    COMMON  207142100 $         21.00     17,399   SH         DEFINED         24     17,399       --         --
CONMED CORP             COMMON  207410101 $      1,367.00     48,850   SH         DEFINED         15     36,450       --     12,400
CONMED CORP             COMMON  207410101 $        177.00      6,324   SH         DEFINED         24      6,324       --         --
CONMED CORP             COMMON  207410101 $        109.00      3,900   SH         DEFINED       5,15      3,900       --         --
CONMED CORP             COMMON  207410101 $         91.00      3,240   SH         DEFINED          6         --       --      3,240




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CONN INC                COMMON  208242107 $      2,137.00     89,459   SH         DEFINED         24     89,459       --         --
CONN INC                COMMON  208242107 $      1,245.00     52,109   SH         DEFINED        3,1     52,109       --         --
CONN INC                COMMON  208242107 $        523.00     21,906   SH         DEFINED        9,2     21,906       --         --
CONOCOPHILLIPS          COMMON  20825C104 $     53,979.00    615,000   SH         DEFINED          1    615,000       --         --
CONOCOPHILLIPS          COMMON  20825C104 $      2,988.00     34,043   SH         DEFINED       1,15     34,043       --         --
CONOCOPHILLIPS          COMMON  20825C104 $     41,322.00    470,799   SH         DEFINED         12    104,899       --    365,900
CONOCOPHILLIPS          COMMON  20825C104 $        485.00      5,525   SH         DEFINED      12,14      5,525       --         --
CONOCOPHILLIPS          COMMON  20825C104 $      9,830.00    112,000   SH         DEFINED       14,2         --       --    112,000
CONOCOPHILLIPS          COMMON  20825C104 $     34,898.00    397,613   SH         DEFINED         15    309,633       --     66,380
CONOCOPHILLIPS          COMMON  20825C104 $      6,583.00     75,000   SH         DEFINED       15,8         --       --     75,000
CONOCOPHILLIPS          COMMON  20825C104 $         41.00        465   SH         DEFINED      20,12        465       --         --
CONOCOPHILLIPS          COMMON  20825C104 $      1,185.00     13,500   SH         DEFINED      20,15         --       --     13,500
CONOCOPHILLIPS          COMMON  20825C104 $      1,519.00     17,310   SH         DEFINED      21,15         --       --         --
CONOCOPHILLIPS          COMMON  20825C104 $         11.00        131   SH         DEFINED         23         10       --        121
CONOCOPHILLIPS          COMMON  20825C104 $     16,150.00    183,998   SH         DEFINED         24    183,998       --         --
CONOCOPHILLIPS          COMMON  20825C104 $        298.00      3,400   SH         DEFINED       5,15         --       --      3,400
CONOCOPHILLIPS          COMMON  20825C104 $      3,812.00     43,430   SH         DEFINED          6     35,977       --      7,453
CONOCOPHILLIPS          COMMON  20825C104 $      1,027.00     11,703   SH         DEFINED          8     11,703       --         --
CONOCOPHILLIPS          COMMON  20825C104 $      2,651.00     30,200   SH         DEFINED          9     30,200       --         --
CONOCOPHILLIPS          COMMON  20825C104 $      2,984.00     34,000   SH         DEFINED       9,15         --       --     34,000
CONSECO INC             COMMON  208464107 $            --         50   SH         DEFINED         23         --       --         50
CONSECO INC             COMMON  208464883 $        574.00     35,869   SH         DEFINED         24     35,869       --         --
CONSECO INC             COMMON  208464883 $          4.00        225   SH         DEFINED          6         --       --        225
CONSOL ENERGY INC       COMMON  20854P109 $        147.00      3,146   SH         DEFINED       1,15      3,146       --         --
CONSOL ENERGY INC       COMMON  20854P109 $        994.00     21,321   SH         DEFINED         24     21,321       --         --
CONSOL ENERGY INC       COMMON  20854P109 $        568.00     12,196   SH         DEFINED          6         --       --     12,196
CONSOL ENERGY INC       COMMON  20854P109 $        128.00      2,749   SH         DEFINED          8      2,749       --         --
CONSOLIDATED EDISON
   INC                  COMMON  209115104 $        218.00      4,704   SH         DEFINED       1,15      4,704       --         --
CONSOLIDATED EDISON
   INC                  COMMON  209115104 $          1.00         19   SH         DEFINED         23         --       --         19
CONSOLIDATED EDISON
   INC                  COMMON  209115104 $     11,070.00    239,088   SH         DEFINED         24    239,088       --         --
CONSOLIDATED EDISON
   INC                  COMMON  209115104 $         37.00        800   SH         DEFINED          6        600       --        200
CONSOLIDATED EDISON
   INC                  COMMON  209115104 $        372.00      8,039   SH         DEFINED          8      8,039       --         --
CONSOLIDATED
   GRAPHICS INC         COMMON  209341106 $         95.00      1,519   SH         DEFINED         24      1,519       --         --
CONSOLIDATED
   GRAPHICS INC         COMMON  209341106 $         87.00      1,390   SH         DEFINED          6         --       --      1,390
CONSTELLATION BRANDS
   INC CL A             COMMON  21036P108 $         81.00      3,335   SH         DEFINED       1,15      3,335       --         --
CONSTELLATION BRANDS
   INC CL A             COMMON  21036P108 $            --          3   SH         DEFINED         23         --       --          3
CONSTELLATION BRANDS
   INC CL A             COMMON  21036P108 $        462.00     19,081   SH         DEFINED         24     19,081       --         --
CONSTELLATION BRANDS
   INC CL A             COMMON  21036P108 $        103.00      4,275   SH         DEFINED          8      4,275       --         --
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $     15,409.00    179,609   SH         DEFINED          1    179,609       --         --
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $        268.00      3,121   SH         DEFINED       1,15      3,121       --         --
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $        749.00      8,727   SH         DEFINED          2         --       --      8,727
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $        161.00      1,874   SH         DEFINED       21,2      1,874       --         --
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $         23.00        263   SH         DEFINED         23         87       --        176
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $     32,376.00    377,390   SH         DEFINED         24    377,390       --         --
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $     13,996.00    163,142   SH         DEFINED          6    147,827       --     15,315
CONSTELLATION ENERGY
   GROUP                COMMON  210371100 $        278.00      3,241   SH         DEFINED          8      3,241       --         --
CONSTELLATION ENERGY
   PARTNER              COMMON  21038E101 $         47.00      1,100   SH         DEFINED          6      1,100       --         --
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $      1,801.00     54,515   SH         DEFINED          1     54,515       --         --
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $     76,972.00  2,330,360   SH         DEFINED         15  1,534,260       --    777,700
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $      5,063.00    153,300   SH         DEFINED       15,8         --       --    153,300
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $         71.00      2,150   SH         DEFINED       21,2      2,150       --         --
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $        744.00     22,524   SH         DEFINED         24     22,524       --         --
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $      4,033.00    122,093   SH         DEFINED        3,1    122,093       --         --
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $      2,002.00     60,600   SH         DEFINED       5,15     60,600       --         --
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $          6.00        186   SH         DEFINED          6         --       --        186
CONTINENTAL AIRLINES
   CL B                 COMMON  210795308 $      1,695.00     51,326   SH         DEFINED        9,2     51,326       --         --
CONTINENTAL RESOURCES
   INC                  COMMON  212015101 $     40,151.00  2,213,400   SH         DEFINED          1  2,213,400       --         --
CONTINENTAL RESOURCES
   INC                  COMMON  212015101 $      7,800.00    430,000   SH         DEFINED       14,2         --       --    430,000
CONVERGYS CORP          COMMON  212485106 $         42.00      2,395   SH         DEFINED       1,15      2,395       --         --
CONVERGYS CORP          COMMON  212485106 $        255.00     14,700   SH         DEFINED      11,15     14,700       --         --
CONVERGYS CORP          COMMON  212485106 $     25,551.00  1,471,860   SH         DEFINED         15    843,860       --    609,200
CONVERGYS CORP          COMMON  212485106 $        130.00      7,500   SH         DEFINED      15,14         --       --      7,500
CONVERGYS CORP          COMMON  212485106 $      1,066.00     61,400   SH         DEFINED       15,8         --       --     61,400
CONVERGYS CORP          COMMON  212485106 $      3,893.00    224,266   SH         DEFINED         24    224,266       --         --
CONVERGYS CORP          COMMON  212485106 $        245.00     14,100   SH         DEFINED       5,15     14,100       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CONVERGYS CORP          COMMON  212485106 $        183.00     10,570   SH         DEFINED          8     10,570       --         --
CONVERGYS CORP          COMMON  212485106 $        814.00     46,900   SH         DEFINED       9,15     46,900       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $     12,773.00    243,672   SH         DEFINED          1    243,672       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $     13,269.00    253,124   SH         DEFINED        1,3    253,124       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $      1,045.00     19,944   SH         DEFINED          2     19,944       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $         26.00        490   SH         DEFINED       20,2         --       --        490
THE COOPER COMPANIES
   INC                  COMMON  216648402 $        529.00     10,100   SH         DEFINED       20,3     10,100       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $      1,631.00     31,105   SH         DEFINED       21,2         --       --     31,105
THE COOPER COMPANIES
   INC                  COMMON  216648402 $        178.00      3,397   SH         DEFINED         24      3,397       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $     96,683.00  1,844,388   SH         DEFINED          3  1,844,388       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $         18.00        350   SH         DEFINED          6        350       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $      2,815.00     53,700   SH         DEFINED          9     53,700       --         --
THE COOPER COMPANIES
   INC                  COMMON  216648402 $        603.00     11,500   SH         DEFINED       9,22     11,500       --         --
COOPER TIRE & RUBBER    COMMON  216831107 $     11,085.00    454,300   SH         DEFINED         15    317,000       --    137,300
COOPER TIRE & RUBBER    COMMON  216831107 $      5,134.00    210,394   SH         DEFINED         24    210,394       --         --
COOPER TIRE & RUBBER    COMMON  216831107 $      2,684.00    110,000   SH         DEFINED       5,15    110,000       --         --
COPANO ENERGY
   LLC-UNITS            COMMON  217202100 $          3.00         74   SH         DEFINED         23         70       --          4
COPANO ENERGY
   LLC-UNITS            COMMON  217202100 $        579.00     15,777   SH         DEFINED         24     15,777       --         --
COPANO ENERGY
   LLC-UNITS            COMMON  217202100 $        349.00      9,508   SH         DEFINED          6      9,508       --         --
COPART INC              COMMON  217204106 $         15.00        439   SH         DEFINED         23         --       --        439
COPART INC              COMMON  217204106 $      3,333.00     96,910   SH         DEFINED         24     96,910       --         --
CORE-MARK HOLDING CO
   INC                  COMMON  218681104 $        437.00     12,409   SH         DEFINED         24     12,409       --         --
CORINTHIAN COLLEGES
   INC                  COMMON  218868107 $        229.00     14,364   SH         DEFINED         24     14,364       --         --
CORINTHIAN COLLEGES
   INC                  COMMON  218868107 $         22.00      1,400   SH         DEFINED          6      1,400       --         --
CORN PRODUCTS INTL
   INC                  COMMON  219023108 $     20,626.00    449,672   SH         DEFINED          1    449,672       --         --
CORN PRODUCTS INTL
   INC                  COMMON  219023108 $        914.00     19,921   SH         DEFINED          2         --       --     19,921
CORN PRODUCTS INTL
   INC                  COMMON  219023108 $      2,585.00     56,360   SH         DEFINED         24     56,360       --         --
CORN PRODUCTS INTL
   INC                  COMMON  219023108 $         26.00        577   SH         DEFINED          6        400       --        177
CORNELL COMPANIES
   INC                  COMMON  219141108 $        676.00     28,690   SH         DEFINED         24     28,690       --         --
CORNING INC             COMMON  219350105 $    100,248.00  4,066,868   SH         DEFINED          1  4,066,868       --         --
CORNING INC             COMMON  219350105 $        673.00     27,308   SH         DEFINED       1,15     27,308       --         --
CORNING INC             COMMON  219350105 $         25.00      1,000   SH         DEFINED         15         --       --      1,000
CORNING INC             COMMON  219350105 $        320.00     13,000   SH         DEFINED         19     13,000       --         --
CORNING INC             COMMON  219350105 $        393.00     15,943   SH         DEFINED          2     15,943       --         --
CORNING INC             COMMON  219350105 $          2.00         70   SH         DEFINED         23         10       --         60
CORNING INC             COMMON  219350105 $     11,892.00    482,433   SH         DEFINED         24    482,433       --         --
CORNING INC             COMMON  219350105 $    110,309.00  4,475,000   SH         DEFINED          3  4,475,000       --         --
CORNING INC             COMMON  219350105 $          2.00         77   SH         DEFINED          4         77       --         --
CORNING INC             COMMON  219350105 $         81.00      3,300   SH         DEFINED       5,15      3,300       --         --
CORNING INC             COMMON  219350105 $      3,181.00    129,053   SH         DEFINED          6     44,925       --     84,128
CORNING INC             COMMON  219350105 $        585.00     23,712   SH         DEFINED          8     23,712       --         --
CORNING INC             COMMON  219350105 $        639.00     25,937   SH         DEFINED          9     25,937       --         --
CORPORATE EXECUTIVE
   BOARD CO             COMMON  21988R102 $         15.00        200   SH         DEFINED         23         --       --        200
CORPORATE EXECUTIVE
   BOARD CO             COMMON  21988R102 $        214.00      2,876   SH         DEFINED         24      2,876       --         --
CORPORATE OFFICE
   PROPERTIES           COMMON  22002T108 $      1,406.00     33,785   SH         DEFINED         15     33,785       --         --
CORPORATE OFFICE
   PROPERTIES           COMMON  22002T108 $        106.00      2,550   SH         DEFINED         24      2,550       --         --
CORPORATE OFFICE
   PROPERTIES           COMMON  22002T108 $         73.00      1,750   SH         DEFINED          6         --       --      1,750
CORRECTIONS CORP OF
   AMERICA              COMMON  22025Y407 $     60,973.00  2,329,895   SH         DEFINED          1  2,329,895       --         --
CORRECTIONS CORP OF
   AMERICA              COMMON  22025Y407 $      1,315.00     50,257   SH         DEFINED          2         --       --     50,257
CORRECTIONS CORP OF
   AMERICA              COMMON  22025Y407 $         23.00        882   SH         DEFINED         23         --       --        882
CORRECTIONS CORP OF
   AMERICA              COMMON  22025Y407 $        924.00     35,320   SH         DEFINED         24     35,320       --         --
CORRECTIONS CORP OF
   AMERICA              COMMON  22025Y407 $        850.00     32,474   SH         DEFINED          6     12,474       --     20,000
CORUS BANCSHARES INC    COMMON  220873103 $        435.00     33,407   SH         DEFINED          1     33,407       --         --
CORUS BANCSHARES INC    COMMON  220873103 $      3,362.00    258,200   SH         DEFINED         15    183,900       --     74,300
CORUS BANCSHARES INC    COMMON  220873103 $         17.00      1,342   SH         DEFINED       21,2      1,342       --         --
CORUS BANCSHARES INC    COMMON  220873103 $      6,973.00    535,562   SH         DEFINED         24    535,562       --         --
CORUS BANCSHARES INC    COMMON  220873103 $        776.00     59,600   SH         DEFINED       5,15     59,600       --         --
CORUS BANCSHARES INC    COMMON  220873103 $         78.00      6,000   SH         DEFINED          6         --       --      6,000
CORUS ENTERTAINMENT
   INC CL B             COMMON  220874101 $      2,411.00     50,899   SH         DEFINED          2     50,899       --         --
CORUS ENTERTAINMENT
   INC-B SH             COMMON  220874101 $          3.00         66   SH         DEFINED         24         66       --         --
CORUS ENTERTAINMENT
   INC CL B             COMMON  220874101 $     30,962.00    653,758   SH         DEFINED        3,1    653,758       --         --
CORVEL CORP             COMMON  221006109 $         27.00      1,189   SH         DEFINED         24      1,189       --         --
COSI INC                COMMON  22122P101 $            --          6   SH         DEFINED         23         --       --          6
COST CVT BOND
   (COSTCV) 144A 1.     CONVERT  22147RAA6 $     33,496.00 24,700,000   SH         DEFINED         15         --       -- 20,925,000
COSTCO WHOLESALE
   CORP                 COMMON  22160K105 $        467.00      7,602   SH         DEFINED       1,15      7,602       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
COSTCO WHOLESALE
   CORP                 COMMON  22160K105 $        325.00      5,300   SH         DEFINED         15        200       --      5,100
COSTCO WHOLESALE
   CORP                 COMMON  22160K105 $          6.00        100   SH         DEFINED         23          9       --         91
COSTCO WHOLESALE
   CORP                 COMMON  22160K105 $      7,219.00    117,638   SH         DEFINED         24    117,638       --         --
COSTCO WHOLESALE
   CORP                 COMMON  22160K105 $      1,424.00     23,200   SH         DEFINED          3     23,200       --         --
COSTCO WHOLESALE
   CORP                 COMMON  22160K105 $      3,851.00     62,756   SH         DEFINED          6      1,845       --     60,911
COSTCO WHOLESALE
   CORP                 COMMON  22160K105 $        511.00      8,328   SH         DEFINED          8      8,328       --         --
COSTAR GROUP INC        COMMON  22160N109 $     15,445.00    288,955   SH         DEFINED          1    288,955       --         --
COSTAR GROUP INC        COMMON  22160N109 $     12,421.00    232,379   SH         DEFINED          2    232,379       --         --
COSTAR GROUP INC        COMMON  22160N109 $      1,166.00     21,809   SH         DEFINED         24     21,809       --         --
COSTAR GROUP INC        COMMON  22160N109 $          6.00        115   SH         DEFINED          6        115       --         --
COTT CORPORATION        COMMON  22163N106 $          2.00        292   SH         DEFINED         24        292       --         --
COTT CORPORATION        COMMON  22163N106 $    110,932.00 13,961,800   SH         DEFINED          3 13,961,800       --         --
COTT CORPORATION        COMMON  22163N106 $      1,569.00    196,900   SH         DEFINED          9    196,900       --         --
COTT CORPORATION        COMMON  22163N106 $        350.00     43,900   SH         DEFINED       9,22     43,900       --         --
COUNTRYWIDE
   FINANCIAL CORP       COMMON  222372104 $        190.00     10,000   SH         DEFINED       1,15     10,000       --         --
COUNTRYWIDE
   FINANCIAL CORP       COMMON  222372104 $        148.00      7,805   SH         DEFINED         15         --       --      7,805
COUNTRYWIDE
   FINANCIAL CORP       COMMON  222372104 $         15.00        800   SH         DEFINED         23         --       --        800
COUNTRYWIDE
   FINANCIAL CORP       COMMON  222372104 $      1,284.00     67,569   SH         DEFINED         24     67,569       --         --
COUNTRYWIDE
   FINANCIAL CORP       COMMON  222372104 $        477.00     25,100   SH         DEFINED       5,15     25,100       --         --
COUNTRYWIDE
   FINANCIAL CORP       COMMON  222372104 $         51.00      2,680   SH         DEFINED          6         --       --      2,680
COUNTRYWIDE
   FINANCIAL CORP       COMMON  222372104 $      2,372.00    124,800   SH         DEFINED          9    124,800       --         --
COURIER CORP            COMMON  222660102 $         54.00      1,544   SH         DEFINED         24      1,544       --         --
COUSINS PROPERTIES
   INC                  COMMON  222795106 $      2,510.00     85,500   SH         DEFINED         15     85,500       --         --
COUSINS PROPERTIES
   INC                  COMMON  222795106 $        150.00      5,124   SH         DEFINED         24      5,124       --         --
COUSINS PROPERTIES
   INC                  COMMON  222795106 $        113.00      3,841   SH         DEFINED          6      3,841       --         --
COVANCE INC             COMMON  222816100 $      6,666.00     85,566   SH         DEFINED         24     85,566       --         --
COVANCE INC             COMMON  222816100 $        506.00      6,501   SH         DEFINED          6      6,501       --         --
COVANTA HOLDING CORP    COMMON  22282E102 $      6,437.00    262,617   SH         DEFINED         24    262,617       --         --
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $     68,697.00  1,104,275   SH         DEFINED          1  1,104,275       --         --
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $        168.00      2,701   SH         DEFINED       1,15      2,701       --         --
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $      8,057.00    129,506   SH         DEFINED          2    129,506       --         --
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $          2.00         28   SH         DEFINED         23         --       --         28
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $      9,918.00    159,422   SH         DEFINED         24    159,422       --         --
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $        249.00      4,006   SH         DEFINED          4      4,006       --         --
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $          6.00         96   SH         DEFINED          6         --       --         96
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $        228.00      3,664   SH         DEFINED          8      3,664       --         --
COVENTRY HEALTH CARE
   INC                  COMMON  222862104 $        196.00      3,157   SH         DEFINED          9      3,157       --         --
COX RADIO INC CL A      COMMON  224051102 $        193.00     14,751   SH         DEFINED         24     14,751       --         --
COX RADIO INC CL A      COMMON  224051102 $         29.00      2,200   SH         DEFINED          6      2,200       --         --
CRANE CO                COMMON  224399105 $      2,291.00     47,749   SH         DEFINED         24     47,749       --         --
CRANE CO                COMMON  224399105 $        131.00      2,739   SH         DEFINED          6        175       --      2,564
CRAWFORD & CO  -CL B    COMMON  224633107 $         61.00      9,598   SH         DEFINED         24      9,598       --         --
CRAWFORD & COMPANY
   -CL A                COMMON  224633206 $         41.00      7,501   SH         DEFINED         24      7,501       --         --
CRAWFORD & COMPANY
   -CL A                COMMON  224633206 $         14.00      2,525   SH         DEFINED          6      2,525       --         --
CRAY INC                COMMON  225223304 $        421.00     58,472   SH         DEFINED         24     58,472       --         --
CREDENCE SYSTEMS
   CORP                 COMMON  225302108 $         53.00     17,193   SH         DEFINED         24     17,193       --         --
CREDIT ACCEPTANCE
   CORP                 COMMON  225310101 $         44.00      1,900   SH         DEFINED         15      1,900       --         --
CREDIT ACCEPTANCE
   CORP                 COMMON  225310101 $         75.00      3,237   SH         DEFINED         24      3,237       --         --
CREDIT SUISSE GROUP
   ADR                  COMMON  225401108 $     63,534.00    957,849   SH         DEFINED         12    953,374       --      4,475
CREDIT SUISSE GROUP
   ADR                  COMMON  225401108 $      1,719.00     25,922   SH         DEFINED         15     25,922       --         --
CREDIT SUISSE GROUP
   ADR                  COMMON  225401108 $     16,266.00    245,225   SH         DEFINED          4    245,225       --         --
CREDIT SUISSE GROUP
   ADR                  COMMON  225401108 $         90.00      1,360   SH         DEFINED          6        990       --        370
CREE INC                COMMON  225447101 $        933.00     30,000   SH         DEFINED         19     30,000       --         --
CREE INC                COMMON  225447101 $     42,916.00  1,379,941   SH         DEFINED         24  1,379,941       --         --
CREE INC                COMMON  225447101 $     39,251.00  1,262,100   SH         DEFINED          3  1,262,100       --         --
CRESCENT BANKING
   CO/GA                COMMON  225646108 $        338.00     10,430   SH         DEFINED         24     10,430       --         --
CROCS INC               COMMON  227046109 $     79,982.00  1,189,328   SH         DEFINED          1  1,189,328       --         --
CROCS INC               COMMON  227046109 $      4,808.00     71,493   SH         DEFINED       14,2         --       --     71,493
CROCS INC               COMMON  227046109 $      4,385.00     65,200   SH         DEFINED         15     35,600       --     29,000
CROCS INC               COMMON  227046109 $        464.00      6,894   SH         DEFINED          2         --       --      6,894
CROCS INC               COMMON  227046109 $         13.00        200   SH         DEFINED         23        200       --         --
CROCS INC               COMMON  227046109 $      1,150.00     17,102   SH         DEFINED         24     17,102       --         --
CROSS COUNTRY
   HEALTHCARE INC       COMMON  227483104 $      6,936.00    397,024   SH         DEFINED          1    397,024       --         --
CROSS COUNTRY
   HEALTHCARE INC       COMMON  227483104 $        553.00     31,677   SH         DEFINED         24     31,677       --         --
CROSSTEX ENERGY LP      COMMON  22765U102 $         69.00      2,000   SH         DEFINED          6      2,000       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CROSSTEX ENERGY INC     COMMON  22765Y104 $        111.00      2,937   SH         DEFINED         24      2,937       --         --
CROSSTEX ENERGY INC     COMMON  22765Y104 $         96.00      2,541   SH         DEFINED          6      2,541       --         --
CROWN CASTLE INTL
   CORP                 COMMON  228227104 $     48,275.00  1,188,159   SH         DEFINED          1  1,188,159       --         --
CROWN CASTLE INTL
   CORP                 COMMON  228227104 $      1,078.00     26,539   SH         DEFINED          2         --       --     26,539
CROWN CASTLE INTL
   CORP                 COMMON  228227104 $      1,323.00     32,561   SH         DEFINED       21,2     32,561       --         --
CROWN CASTLE INTL
   CORP                 COMMON  228227104 $      1,057.00     26,024   SH         DEFINED         24     26,024       --         --
CROWN CASTLE INTL
   CORP                 COMMON  228227104 $      1,219.00     30,000   SH         DEFINED          6         --       --     30,000
CROWN CASTLE INTL
   CORP                 COMMON  228227104 $        134.00      3,305   SH         DEFINED          8      3,305       --         --
CROWN HOLDINGS INC      COMMON  228368106 $     53,661.00  2,357,680   SH         DEFINED          1  2,357,680       --         --
CROWN HOLDINGS INC      COMMON  228368106 $      1,183.00     51,986   SH         DEFINED          2         --       --     51,986
CROWN HOLDINGS INC      COMMON  228368106 $      1,182.00     51,934   SH         DEFINED         24     51,934       --         --
CROWN HOLDINGS INC      COMMON  228368106 $        432.00     18,966   SH         DEFINED          6         --       --     18,966
CROWN MEDIA HOLDINGS
   -CL A                COMMON  228411104 $      1,568.00    218,137   SH         DEFINED         24    218,137       --         --
CTRIP.COM
   INTERNATIONAL-
   ADR                  COMMON  22943F100 $     14,302.00    276,108   SH         DEFINED         24    276,108       --         --
CUBIC CORP              COMMON  229669106 $      1,134.00     26,900   SH         DEFINED         15     20,600       --      6,300
CUBIC CORP              COMMON  229669106 $      9,025.00    214,004   SH         DEFINED         24    214,004       --         --
CUBIC CORP              COMMON  229669106 $        283.00      6,700   SH         DEFINED       5,15      6,700       --         --
CUBIST
   PHARMACEUTICALS
   INC                  COMMON  229678107 $      4,623.00    218,788   SH         DEFINED          1    218,788       --         --
CUBIST
   PHARMACEUTICALS
   INC                  COMMON  229678107 $         11.00        500   SH         DEFINED         19        500       --         --
CUBIST
   PHARMACEUTICALS
   INC                  COMMON  229678107 $        369.00     17,465   SH         DEFINED          2     17,465       --         --
CUBIST
   PHARMACEUTICALS
   INC                  COMMON  229678107 $          9.00        429   SH         DEFINED       20,2         --       --        429
CUBIST
   PHARMACEUTICALS
   INC                  COMMON  229678107 $        576.00     27,239   SH         DEFINED       21,2         --       --     27,239
CUBIST
   PHARMACEUTICALS
   INC                  COMMON  229678107 $      5,850.00    276,868   SH         DEFINED         24    276,868       --         --
CULLEN/FROST
   BANKERS INC          COMMON  229899109 $        245.00      4,889   SH         DEFINED         24      4,889       --         --
CULP INC                COMMON  230215105 $     22,217.00  2,140,389   SH         DEFINED          6         --       --  2,140,389
CUMMINS ENGINE          COMMON  231021106 $        230.00      1,801   SH         DEFINED       1,15      1,801       --         --
CUMMINS ENGINE          COMMON  231021106 $          1.00          9   SH         DEFINED         23         --       --          9
CUMMINS ENGINE          COMMON  231021106 $      4,665.00     36,473   SH         DEFINED         24     36,473       --         --
CUMMINS ENGINE          COMMON  231021106 $      1,830.00     14,312   SH         DEFINED          6      2,435       --     11,877
CUMMINS ENGINE          COMMON  231021106 $        206.00      1,613   SH         DEFINED          8      1,613       --         --
CUMULUS MEDIA INC
   CL A                 COMMON  231082108 $        144.00     14,091   SH         DEFINED         24     14,091       --         --
CUMULUS MEDIA INC
   CL A                 COMMON  231082108 $     12,206.00  1,194,352   SH         DEFINED          6         --       --  1,194,352
CURTISS-WRIGHT CORP     COMMON  231561101 $      7,318.00    154,069   SH         DEFINED          1    154,069       --         --
CURTISS-WRIGHT CORP     COMMON  231561101 $        105.00      2,200   SH         DEFINED         15      2,200       --         --
CURTISS-WRIGHT CORP     COMMON  231561101 $      1,692.00     35,613   SH         DEFINED         24     35,613       --         --
CURTISS-WRIGHT CORP     COMMON  231561101 $        393.00      8,276   SH         DEFINED          6      3,500       --      4,776
CYBEROPTICS CORP        COMMON  232517102 $          7.00        593   SH         DEFINED         24        593       --         --
CYBERSOURCE CORP        COMMON  23251J106 $      6,737.00    576,319   SH         DEFINED          1    576,319       --         --
CYBERSOURCE CORP        COMMON  23251J106 $            --          6   SH         DEFINED         23         --       --          6
CYBERONICS              COMMON  23251P102 $          7.00        516   SH         DEFINED         24        516       --         --
CYCLACEL
   PHARMACEUTICALS
   INC                  COMMON  23254L108 $      5,187.00    931,313   SH         DEFINED         17         --       --    931,313
CYMER INC               COMMON  232572107 $        537.00     14,000   SH         DEFINED         15     14,000       --         --
CYMER INC               COMMON  232572107 $      4,915.00    128,022   SH         DEFINED         24    128,022       --         --
CYNOSURE INC            COMMON  232577205 $        452.00     12,238   SH         DEFINED         24     12,238       --         --
CYPRESS BIOSCIENCE
   INC                  COMMON  232674507 $        276.00     20,142   SH         DEFINED         24     20,142       --         --
CYPRESS
   SEMICONDUCTOR
   CORP                 COMMON  232806109 $         18.00        600   SH         DEFINED         23         --       --        600
CYPRESS
   SEMICONDUCTOR
   CORP                 COMMON  232806109 $      6,126.00    209,730   SH         DEFINED         24    209,730       --         --
CYTEC INDUSTRIES INC    COMMON  232820100 $        790.00     11,548   SH         DEFINED         24     11,548       --         --
D & E COMMUNICATIONS
   INC                  COMMON  232860106 $        346.00     24,340   SH         DEFINED         24     24,340       --         --
CYTYC CORPORATION       COMMON  232946103 $     18,891.00    396,457   SH         DEFINED          1    396,457       --         --
CYTYC CORPORATION       COMMON  232946103 $        157.00      3,300   SH         DEFINED         19      3,300       --         --
CYTYC CORPORATION       COMMON  232946103 $      1,551.00     32,545   SH         DEFINED          2     32,545       --         --
CYTYC CORPORATION       COMMON  232946103 $         38.00        789   SH         DEFINED       20,2         --       --        789
CYTYC CORPORATION       COMMON  232946103 $      2,375.00     49,844   SH         DEFINED       21,2         --       --     49,844
CYTYC CORPORATION       COMMON  232946103 $          6.00        129   SH         DEFINED         23        122       --          7
CYTYC CORPORATION       COMMON  232946103 $        219.00      4,591   SH         DEFINED         24      4,591       --         --
CYTYC CORPORATION       COMMON  232946103 $      6,304.00    132,306   SH         DEFINED          6     82,106       --     50,200
DCP MIDSTREAM
   PARTNERS LP          COMMON  23311P100 $            --          5   SH         DEFINED         23         --       --          5
DCP MIDSTREAM
   PARTNERS LP          COMMON  23311P100 $        200.00      4,654   SH         DEFINED         24      4,654       --         --
DCP MIDSTREAM
   PARTNERS LP          COMMON  23311P100 $        426.00      9,900   SH         DEFINED          6      6,000       --      3,900
DCT INDUSTRIAL TRUST
   INC                  COMMON  233153105 $      1,271.00    121,400   SH         DEFINED         15    121,400       --         --
DJO INC                 COMMON  23325G104 $         67.00      1,366   SH         DEFINED         24      1,366       --         --
DG FASTCHANNEL INC      COMMON  23326R109 $        824.00     34,962   SH         DEFINED         24     34,962       --         --
DPL INC                 COMMON  233293109 $        363.00     13,820   SH         DEFINED         15     11,420       --         --
DPL INC                 COMMON  233293109 $            --         10   SH         DEFINED         23         --       --         10




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DPL INC                 COMMON  233293109 $        373.00     14,198   SH         DEFINED         24     14,198       --         --
DRS TECHNOLOGIES        COMMON  23330X100 $      4,428.00     80,332   SH         DEFINED         24     80,332       --         --
DRS TECH INC (DRS)
   CVT 144A 2.         CONVERT  23330XAK6 $      2,134.00  1,985,000   SH         DEFINED          1  1,985,000       --         --
DRS TECH INC (DRS)
   CVT 144A 2.         CONVERT  23330XAK6 $         16.00     15,000   SH         DEFINED       21,2     15,000       --         --
D.R. HORTON INC         COMMON  23331A109 $         60.00      4,709   SH         DEFINED       1,15      4,709       --         --
D.R. HORTON INC         COMMON  23331A109 $        494.00     38,559   SH         DEFINED         24     38,559       --         --
D.R. HORTON INC         COMMON  23331A109 $          3.00        256   SH         DEFINED          6         --       --        256
D.R. HORTON INC         COMMON  23331A109 $         52.00      4,049   SH         DEFINED          8      4,049       --         --
D.R. HORTON INC         COMMON  23331A109 $      8,822.00    688,700   SH         DEFINED          9    688,700       --         --
D.R. HORTON INC         COMMON  23331A109 $        415.00     32,400   SH         DEFINED       9,22     32,400       --         --
DST SYSTEMS INC         COMMON  233326107 $     10,556.00    123,014   SH         DEFINED          1    123,014       --         --
DST SYSTEMS INC         COMMON  233326107 $        172.00      2,000   SH         DEFINED      11,15      2,000       --         --
DST SYSTEMS INC         COMMON  233326107 $      7,285.00     84,900   SH         DEFINED         15     38,900       --     44,800
DST SYSTEMS INC         COMMON  233326107 $        266.00      3,100   SH         DEFINED       15,8         --       --      3,100
DST SYSTEMS INC         COMMON  233326107 $          9.00        107   SH         DEFINED         23         --       --        107
DST SYSTEMS INC         COMMON  233326107 $      3,302.00     38,486   SH         DEFINED         24     38,486       --         --
DST SYSTEMS INC         COMMON  233326107 $        717.00      8,350   SH         DEFINED          6         --       --      8,350
DST SYSTEMS INC         COMMON  233326107 $        832.00      9,700   SH         DEFINED       9,15      9,700       --         --
DSP GROUP INC           COMMON  23332B106 $      6,040.00    381,538   SH         DEFINED          1    381,538       --         --
DSP GROUP INC           COMMON  23332B106 $         42.00      2,627   SH         DEFINED         24      2,627       --         --
DTE ENERGY COMPANY      COMMON  233331107 $        143.00      2,942   SH         DEFINED       1,15      2,942       --         --
DTE ENERGY COMPANY      COMMON  233331107 $        688.00     14,200   SH         DEFINED      11,15     14,200       --         --
DTE ENERGY COMPANY      COMMON  233331107 $     23,864.00    492,660   SH         DEFINED         15    372,160       --    104,000
DTE ENERGY COMPANY      COMMON  233331107 $        450.00      9,300   SH         DEFINED      15,14         --       --      9,300
DTE ENERGY COMPANY      COMMON  233331107 $      3,158.00     65,200   SH         DEFINED       15,8         --       --     65,200
DTE ENERGY COMPANY      COMMON  233331107 $            --          5   SH         DEFINED         23          5       --         --
DTE ENERGY COMPANY      COMMON  233331107 $      2,529.00     52,210   SH         DEFINED         24     52,210       --         --
DTE ENERGY COMPANY      COMMON  233331107 $        625.00     12,900   SH         DEFINED       5,15     12,900       --         --
DTE ENERGY COMPANY      COMMON  233331107 $        283.00      5,845   SH         DEFINED          6         --       --      5,845
DTE ENERGY COMPANY      COMMON  233331107 $        823.00     16,990   SH         DEFINED          8     16,990       --         --
DTE ENERGY COMPANY      COMMON  233331107 $      2,553.00     52,700   SH         DEFINED       9,15     52,700       --         --
DSW INC.                COMMON  23334L102 $     53,807.00  2,137,729   SH         DEFINED          1  2,137,729       --         --
DSW INC.                COMMON  23334L102 $     11,183.00    444,286   SH         DEFINED          2    444,286       --         --
DSW INC.                COMMON  23334L102 $        464.00     18,433   SH         DEFINED         24     18,433       --         --
DSW INC.                COMMON  23334L102 $         13.00        500   SH         DEFINED          6        500       --         --
DSW INC.                COMMON  23334L102 $        245.00      9,730   SH         DEFINED        9,2      9,730       --         --
DWS MUNICIPAL INCOME
   TRUST CEF            COMMON  23338M106 $          6.00        600   SH         DEFINED         23         --       --        600
DADE BEHRING
   HOLDINGS INC         COMMON  23342J206 $        334.00      4,371   SH         DEFINED         24      4,371       --         --
DAKTRONICS INC          COMMON  234264109 $         32.00      1,182   SH         DEFINED         24      1,182       --         --
DANAHER CORP            COMMON  235851102 $        354.00      4,279   SH         DEFINED       1,15      4,279       --         --
DANAHER CORP            COMMON  235851102 $        554.00      6,700   SH         DEFINED         15        300       --      6,400
DANAHER CORP            COMMON  235851102 $         16.00        199   SH         DEFINED         23        125       --         74
DANAHER CORP            COMMON  235851102 $     74,848.00    904,943   SH         DEFINED         24    904,943       --         --
DANAHER CORP            COMMON  235851102 $      8,286.00    100,185   SH         DEFINED          6     44,073       --     56,112
DANAHER CORP            COMMON  235851102 $        354.00      4,278   SH         DEFINED          8      4,278       --         --
DANAHER CORP            COMMON  235851102 $        556.00      6,720   SH         DEFINED          9      6,720       --         --
DANAHER CORP CNV
   (DHR) 01-22-        CONVERT  235851AF9 $     19,260.00 16,000,000   SH         DEFINED         15         --       -- 13,550,000
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $     71,361.00  1,704,758   SH         DEFINED          1  1,704,758       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $        102.00      2,442   SH         DEFINED       1,15      2,442       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $      2,110.00     50,396   SH         DEFINED         10     50,396       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $      1,035.00     24,733   SH         DEFINED       11,8     24,733       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $        592.00     14,153   SH         DEFINED         14     14,153       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $      1,867.00     44,600   SH         DEFINED         15     26,900       --     15,300
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $        741.00     17,700   SH         DEFINED       15,8         --       --     17,700
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $      5,852.00    139,788   SH         DEFINED          2    139,788       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $        189.00      4,508   SH         DEFINED         21      4,508       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $      5,011.00    119,698   SH         DEFINED         22    119,698       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $      5,846.00    139,649   SH         DEFINED         24    139,649       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $        166.00      3,969   SH         DEFINED          6      3,400       --        569
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $      4,053.00     96,818   SH         DEFINED          8     96,818       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $     33,922.00    810,359   SH         DEFINED          9    810,359       --         --
DARDEN RESTAURANTS
   INC                  COMMON  237194105 $        343.00      8,191   SH         DEFINED        9,2      8,191       --         --
DARLING
   INTERNATIONAL INC    COMMON  237266101 $        274.00     27,668   SH         DEFINED         24     27,668       --         --
DARWIN PROFESSIONAL
   UNDERWRI             COMMON  237502109 $        383.00     17,728   SH         DEFINED         24     17,728       --         --
DASSAULT SYSTEMES SA
   ADR                  COMMON  237545108 $         25.00        380   SH         DEFINED         23         --       --        380




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DASSAULT SYSTEMES SA
   ADR                  COMMON  237545108 $      4,826.00     73,932   SH         DEFINED         24     73,932       --         --
DATASCOPE CORP          COMMON  238113104 $        128.00      3,800   SH         DEFINED         15      3,800       --         --
DATASCOPE CORP          COMMON  238113104 $         66.00      1,959   SH         DEFINED         24      1,959       --         --
DAVITA INC              COMMON  23918K108 $     44,497.00    704,289   SH         DEFINED          1    704,289       --         --
DAVITA INC              COMMON  23918K108 $        126.00      2,000   SH         DEFINED         19      2,000       --         --
DAVITA INC              COMMON  23918K108 $      1,142.00     18,071   SH         DEFINED          2     18,071       --         --
DAVITA INC              COMMON  23918K108 $         28.00        436   SH         DEFINED       20,2         --       --        436
DAVITA INC              COMMON  23918K108 $      1,794.00     28,390   SH         DEFINED       21,2         --       --     28,390
DAVITA INC              COMMON  23918K108 $         22.00        350   SH         DEFINED         23         --       --        350
DAVITA INC              COMMON  23918K108 $      7,753.00    122,720   SH         DEFINED         24    122,720       --         --
DAVITA INC              COMMON  23918K108 $          4.00         61   SH         DEFINED          6         61       --         --
DAWSON GEOPHYSICAL
   CO                   COMMON  239359102 $        892.00     11,502   SH         DEFINED         24     11,502       --         --
DAWSON GEOPHYSICAL
   CO                   COMMON  239359102 $         95.00      1,225   SH         DEFINED          6         --       --      1,225
DAYTON SUPERIOR CORP
   WT 144A              COMMON  240028118 $            --     10,955   SH         DEFINED          1     10,955       --         --
DEALERTRACK HOLDINGS
   INC                  COMMON  242309102 $     20,702.00    494,310   SH         DEFINED          1    494,310       --         --
DEALERTRACK HOLDINGS
   INC                  COMMON  242309102 $     11,653.00    278,249   SH         DEFINED          2    278,249       --         --
DEALERTRACK HOLDINGS
   INC                  COMMON  242309102 $      3,784.00     90,361   SH         DEFINED         24     90,361       --         --
DEAN FOODS CO           COMMON  242370104 $         58.00      2,256   SH         DEFINED       1,15      2,256       --         --
DEAN FOODS CO           COMMON  242370104 $      1,329.00     51,957   SH         DEFINED         24     51,957       --         --
DEAN FOODS CO           COMMON  242370104 $        262.00     10,255   SH         DEFINED          6        400       --      9,855
DEAN FOODS CO           COMMON  242370104 $         69.00      2,681   SH         DEFINED          8      2,681       --         --
DEB SHOPS INC           COMMON  242728103 $         88.00      3,278   SH         DEFINED         24      3,278       --         --
DECKERS OUTDOORS
   CORP                 COMMON  243537107 $        511.00      4,650   SH         DEFINED          1      4,650       --         --
DECKERS OUTDOORS
   CORP                 COMMON  243537107 $     12,622.00    114,950   SH         DEFINED         15     76,050       --     38,900
DECKERS OUTDOORS
   CORP                 COMMON  243537107 $      4,987.00     45,423   SH         DEFINED         24     45,423       --         --
DECKERS OUTDOORS
   CORP                 COMMON  243537107 $      2,580.00     23,500   SH         DEFINED       5,15     23,500       --         --
DEERE & CO              COMMON  244199105 $        572.00      3,851   SH         DEFINED       1,15      3,851       --         --
DEERE & CO              COMMON  244199105 $      1,781.00     12,000   SH         DEFINED      11,15     12,000       --         --
DEERE & CO              COMMON  244199105 $    107,741.00    725,920   SH         DEFINED         15    514,120       --    179,400
DEERE & CO              COMMON  244199105 $      3,547.00     23,900   SH         DEFINED      15,14         --       --     23,900
DEERE & CO              COMMON  244199105 $      2,954.00     19,900   SH         DEFINED       15,8         --       --     19,900
DEERE & CO              COMMON  244199105 $         24.00        162   SH         DEFINED         23         30       --        132
DEERE & CO              COMMON  244199105 $     34,108.00    229,810   SH         DEFINED         24    229,810       --         --
DEERE & CO              COMMON  244199105 $      6,634.00     44,700   SH         DEFINED       5,15     44,700       --         --
DEERE & CO              COMMON  244199105 $     12,569.00     84,682   SH         DEFINED          6     76,637       --      8,045
DEERE & CO              COMMON  244199105 $        445.00      3,000   SH         DEFINED          7      3,000       --         --
DEERE & CO              COMMON  244199105 $      3,863.00     26,026   SH         DEFINED          8     26,026       --         --
DEERE & CO              COMMON  244199105 $        200.00      1,348   SH         DEFINED          9      1,348       --         --
DEERE & CO              COMMON  244199105 $      6,471.00     43,600   SH         DEFINED       9,15     43,600       --         --
DEERFIELD TRIARC
   CAPITAL COR          COMMON  244572301 $         45.00      5,018   SH         DEFINED         24      5,018       --         --
DEL MONTE FOODS CO      COMMON  24522P103 $      3,116.00    296,800   SH         DEFINED         15    132,600       --    164,200
DEL MONTE FOODS CO      COMMON  24522P103 $        491.00     46,783   SH         DEFINED         24     46,783       --         --
DEL MONTE FOODS CO      COMMON  24522P103 $         29.00      2,762   SH         DEFINED          6         --       --      2,762
DELEK US HOLDINGS
   INC                  COMMON  246647101 $      1,051.00     41,914   SH         DEFINED         24     41,914       --         --
DELIAS INC              COMMON  246911101 $          8.00      1,776   SH         DEFINED         24      1,776       --         --
DELL INC                COMMON  24702R101 $    575,407.00 20,848,097   SH         DEFINED          1 20,848,097       --         --
DELL INC                COMMON  24702R101 $      1,088.00     39,437   SH         DEFINED       1,15     39,437       --         --
DELL INC                COMMON  24702R101 $         40.00      1,439   SH         DEFINED         14      1,439       --         --
DELL INC                COMMON  24702R101 $         40.00      1,439   SH         DEFINED       14,2      1,439       --         --
DELL INC                COMMON  24702R101 $      8,698.00    315,129   SH         DEFINED         15    243,829       --     63,300
DELL INC                COMMON  24702R101 $      1,107.00     40,100   SH         DEFINED       15,8         --       --     40,100
DELL INC                COMMON  24702R101 $        472.00     17,100   SH         DEFINED         19     17,100       --         --
DELL INC                COMMON  24702R101 $     32,395.00  1,173,724   SH         DEFINED          2  1,173,724       --         --
DELL INC                COMMON  24702R101 $      1,696.00     61,432   SH         DEFINED       21,2     61,432       --         --
DELL INC                COMMON  24702R101 $         26.00        958   SH         DEFINED         22        958       --         --
DELL INC                COMMON  24702R101 $            --         17   SH         DEFINED         23         --       --         17
DELL INC                COMMON  24702R101 $     16,909.00    612,651   SH         DEFINED         24    612,651       --         --
DELL INC                COMMON  24702R101 $     33,525.00  1,214,683   SH         DEFINED        3,1  1,214,683       --         --
DELL INC                COMMON  24702R101 $     16,978.00    615,161   SH         DEFINED          4    615,161       --         --
DELL INC                COMMON  24702R101 $        228.00      8,263   SH         DEFINED          6      1,451       --      6,812
DELL INC                COMMON  24702R101 $      1,087.00     39,400   SH         DEFINED          8     39,400       --         --
DELL INC                COMMON  24702R101 $      8,869.00    321,327   SH         DEFINED          9    321,327       --         --
DELL INC                COMMON  24702R101 $      1,263.00     45,773   SH         DEFINED        9,2     45,773       --         --
DELPHI FINANCIAL
   GROUP CL A           COMMON  247131105 $        287.00      7,100   SH         DEFINED         15      7,100       --         --
DELPHI FINANCIAL
   GROUP CL A           COMMON  247131105 $      3,735.00     92,408   SH         DEFINED         24     92,408       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DELPHI FINANCIAL
   GROUP CL A           COMMON  247131105 $        162.00      4,000   SH         DEFINED       5,15      4,000       --         --
DELPHI FINANCIAL
   GROUP CL A           COMMON  247131105 $         99.00      2,460   SH         DEFINED          6         --       --      2,460
DELTA APPAREL INC       COMMON  247368103 $        421.00     24,601   SH         DEFINED         24     24,601       --         --
DELTIC TIMBER CORP      COMMON  247850100 $         42.00        732   SH         DEFINED         24        732       --         --
DELTA PETROLEUM
   CORP                 COMMON  247907207 $         61.00      3,407   SH         DEFINED         24      3,407       --         --
DELTA PETROLEUM
   CORP                 COMMON  247907207 $          9.00        525   SH         DEFINED          6        525       --         --
DENBURY RESOURCES
   INC                  COMMON  247916208 $      4,726.00    105,740   SH         DEFINED         24    105,740       --         --
DENBURY RESOURCES
   INC                  COMMON  247916208 $        229.00      5,130   SH         DEFINED          6         --       --      5,130
DELTA FINANCIAL CORP    COMMON  247918105 $        179.00     36,360   SH         DEFINED         24     36,360       --         --
DELUXE CORP             COMMON  248019101 $        419.00     11,360   SH         DEFINED          1     11,360       --         --
DELUXE CORP             COMMON  248019101 $      1,297.00     35,200   SH         DEFINED       1,15     35,200       --         --
DELUXE CORP             COMMON  248019101 $        939.00     25,489   SH         DEFINED         10     25,489       --         --
DELUXE CORP             COMMON  248019101 $        342.00      9,294   SH         DEFINED       11,8      9,294       --         --
DELUXE CORP             COMMON  248019101 $        197.00      5,343   SH         DEFINED         14      5,343       --         --
DELUXE CORP             COMMON  248019101 $     47,260.00  1,282,858   SH         DEFINED         15    858,758       --    412,700
DELUXE CORP             COMMON  248019101 $      2,255.00     61,200   SH         DEFINED       15,8         --       --     61,200
DELUXE CORP             COMMON  248019101 $        493.00     13,383   SH         DEFINED         22     13,383       --         --
DELUXE CORP             COMMON  248019101 $      3,921.00    106,420   SH         DEFINED         24    106,420       --         --
DELUXE CORP             COMMON  248019101 $      3,666.00     99,500   SH         DEFINED       5,15     99,500       --         --
DELUXE CORP             COMMON  248019101 $      1,418.00     38,503   SH         DEFINED          8     38,503       --         --
DELUXE CORP             COMMON  248019101 $     10,817.00    293,610   SH         DEFINED          9    293,610       --         --
DENDREON CORP           COMMON  24823Q107 $      6,128.00    796,823   SH         DEFINED         24    796,823       --         --
DENNY'S CORPORATION     COMMON  24869P104 $        151.00     37,800   SH         DEFINED         15     37,800       --         --
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $     10,261.00    246,420   SH         DEFINED         15    123,520       --    120,000
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $        125.00      3,000   SH         DEFINED       15,8         --       --      3,000
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $        271.00      6,500   SH         DEFINED         22      6,500       --         --
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $          8.00        200   SH         DEFINED         23        200       --         --
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $     14,115.00    338,983   SH         DEFINED         24    338,983       --         --
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $          7.00        160   SH         DEFINED          6        160       --         --
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $         78.00      1,885   SH         DEFINED          8      1,885       --         --
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $      4,102.00     98,519   SH         DEFINED          9     98,519       --         --
DENTSPLY
   INTERNATIONAL INC    COMMON  249030107 $        458.00     11,000   SH         DEFINED       9,15     11,000       --         --
DESARROLLADORA
   HOMEX ADR            COMMON  25030W100 $     22,227.00    400,486   SH         DEFINED          1    400,486       --         --
DESARROLLADORA
   HOMEX ADR            COMMON  25030W100 $      2,735.00     49,271   SH         DEFINED          2     49,271       --         --
DESWELL INDUSTRIES
   INC                  COMMON  250639101 $        636.00     64,197   SH         DEFINED         24     64,197       --         --
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $     78,394.00  1,403,158   SH         DEFINED       1,15  1,403,158       --         --
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $    182,158.00  3,260,385   SH         DEFINED         15  2,038,391       --    980,700
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $     11,068.00    198,100   SH         DEFINED       2,15    198,100       --         --
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $      2,950.00     52,800   SH         DEFINED      20,15     52,800       --         --
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $          4.00         80   SH         DEFINED         23         56       --         24
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $        425.00      7,613   SH         DEFINED         24      7,613       --         --
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $     16,848.00    301,560   SH         DEFINED       5,15    301,560       --         --
DEVELOPERS DIVERS
   REALTY CRP           COMMON  251591103 $      4,909.00     87,859   SH         DEFINED          6     72,842       --     15,017
DEVELOPERS DIV CVT
   3.5 08-15-1         CONVERT  251591AQ6 $     12,030.00 12,000,000   SH         DEFINED         15         --       -- 10,175,000
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $     57,408.00    690,000   SH         DEFINED          1    690,000       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $        669.00      8,042   SH         DEFINED       1,15      8,042       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $        308.00      3,700   SH         DEFINED      11,15      3,700       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      9,734.00    117,000   SH         DEFINED       14,2         --       --    117,000
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $     94,536.00  1,136,250   SH         DEFINED         15    747,100       --    356,850
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      2,288.00     27,500   SH         DEFINED      15,14         --       --     27,500
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      5,616.00     67,500   SH         DEFINED       15,8         --       --     67,500
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $        868.00     10,432   SH         DEFINED         22     10,432       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $          8.00         93   SH         DEFINED         23         45       --         48
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $     17,013.00    204,488   SH         DEFINED         24    204,488       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      1,052.00     12,650   SH         DEFINED          4     12,650       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      3,153.00     37,900   SH         DEFINED       5,15     37,900       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      6,693.00     80,443   SH         DEFINED          6     59,453       --     20,990
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      2,135.00     25,661   SH         DEFINED          8     25,661       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $        759.00      9,122   SH         DEFINED          9      9,122       --         --
DEVON ENERGY
   CORPORATION          COMMON  25179M103 $      5,267.00     63,300   SH         DEFINED       9,15     63,300       --         --
CHEVRONTEXACO
   CVT(DVN) 4.95 08    CONVERT  25179MAB9 $     31,171.00 17,850,000   SH         DEFINED         15         --       -- 15,125,000
DEVRY INC               COMMON  251893103 $     14,557.00    393,338   SH         DEFINED          1    393,338       --         --
DEVRY INC               COMMON  251893103 $        126.00      3,400   SH         DEFINED       1,15      3,400       --         --
DEVRY INC               COMMON  251893103 $     19,578.00    528,980   SH         DEFINED         15    303,780       --    220,600
DEVRY INC               COMMON  251893103 $        452.00     12,200   SH         DEFINED       15,8         --       --     12,200




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DEVRY INC               COMMON  251893103 $     11,165.00    301,687   SH         DEFINED          2    301,687       --         --
DEVRY INC               COMMON  251893103 $        246.00      6,649   SH         DEFINED         21      6,649       --         --
DEVRY INC               COMMON  251893103 $        236.00      6,387   SH         DEFINED         22      6,387       --         --
DEVRY INC               COMMON  251893103 $      2,401.00     64,885   SH         DEFINED         24     64,885       --         --
DEVRY INC               COMMON  251893103 $         85.00      2,300   SH         DEFINED       5,15      2,300       --         --
DEVRY INC               COMMON  251893103 $         43.00      1,165   SH         DEFINED          6        765       --        400
DEVRY INC               COMMON  251893103 $      3,839.00    103,734   SH         DEFINED          9    103,734       --         --
DEXCOM INC              COMMON  252131107 $      9,881.00    988,148   SH         DEFINED          1    988,148       --         --
DEXCOM INC              COMMON  252131107 $         60.00      6,000   SH         DEFINED         19      6,000       --         --
DEXCOM INC              COMMON  252131107 $        817.00     81,677   SH         DEFINED          2     81,677       --         --
DEXCOM INC              COMMON  252131107 $         22.00      2,192   SH         DEFINED       20,2         --       --      2,192
DEXCOM INC              COMMON  252131107 $      1,274.00    127,386   SH         DEFINED       21,2         --       --    127,386
DIAGEO PLC ADR          COMMON  25243Q205 $     93,775.00  1,068,908   SH         DEFINED         12  1,063,968       --      4,940
DIAGEO PLC ADR          COMMON  25243Q205 $      2,329.00     26,547   SH         DEFINED         15     26,547       --         --
DIAGEO PLC ADR          COMMON  25243Q205 $     14,615.00    166,589   SH         DEFINED         24    166,589       --         --
DIAGEO PLC ADR          COMMON  25243Q205 $        345.00      3,936   SH         DEFINED          4      3,936       --         --
DIAGEO PLC ADR          COMMON  25243Q205 $      1,996.00     22,749   SH         DEFINED          6     16,505       --      6,244
DIAMOND FOODS INC       COMMON  252603105 $        525.00     25,413   SH         DEFINED         24     25,413       --         --
DIAMOND FOODS INC       COMMON  252603105 $         95.00      4,600   SH         DEFINED          6         --       --      4,600
DIAMOND MANAGEMENT
   & TECHNOL            COMMON  25269L106 $      1,737.00    188,850   SH         DEFINED         15    120,050       --     68,800
DIAMOND MANAGEMENT
   & TECHNOL            COMMON  25269L106 $         32.00      3,506   SH         DEFINED         24      3,506       --         --
DIAMOND MANAGEMENT
   & TECHNOL            COMMON  25269L106 $        285.00     31,000   SH         DEFINED       5,15     31,000       --         --
DIAMOND OFFSHORE
   DRILLING             COMMON  25271C102 $     77,751.00    686,300   SH         DEFINED          1    686,300       --         --
DIAMOND OFFSHORE
   DRILLING             COMMON  25271C102 $      7,704.00     68,000   SH         DEFINED       14,2         --       --     68,000
DIAMOND OFFSHORE
   DRILLING             COMMON  25271C102 $        453.00      4,000   SH         DEFINED          2         --       --      4,000
DIAMOND OFFSHORE
   DRILLING             COMMON  25271C102 $     37,038.00    326,930   SH         DEFINED         24    326,930       --         --
DIAMONDROCK
   HOSPITALITY CO       COMMON  252784301 $      8,442.00    484,900   SH         DEFINED       1,15    484,900       --         --
DIAMONDROCK
   HOSPITALITY CO       COMMON  252784301 $     32,821.00  1,885,173   SH         DEFINED         15  1,149,673       --    581,900
DIAMONDROCK
   HOSPITALITY CO       COMMON  252784301 $      1,264.00     72,600   SH         DEFINED       2,15     72,600       --         --
DIAMONDROCK
   HOSPITALITY CO       COMMON  252784301 $         58.00      3,327   SH         DEFINED         24      3,327       --         --
DIAMONDROCK
   HOSPITALITY CO       COMMON  252784301 $      3,354.00    192,628   SH         DEFINED       5,15    192,628       --         --
DIAMONDS TRUST
   SERIES I ETF         COMMON  252787106 $        105.00        754   SH         DEFINED         23         --       --        754
DICKS SPORTING
   GOODS INC            COMMON  253393102 $     31,662.00    471,506   SH         DEFINED          1    471,506       --         --
DICKS SPORTING
   GOODS INC            COMMON  253393102 $      8,498.00    126,555   SH         DEFINED          2    113,631       --     12,924
DICKS SPORTING
   GOODS INC            COMMON  253393102 $          6.00         94   SH         DEFINED         23         89       --          5
DICKS SPORTING
   GOODS INC            COMMON  253393102 $      2,144.00     31,930   SH         DEFINED         24     31,930       --         --
DICKS SPORTING
   GOODS INC            COMMON  253393102 $      4,677.00     69,646   SH         DEFINED          6     38,133       --     31,513
DIEBOLD INC             COMMON  253651103 $        541.00     11,922   SH         DEFINED         24     11,922       --         --
DIGI INTERNATIONAL
   INC                  COMMON  253798102 $        431.00     30,268   SH         DEFINED         24     30,268       --         --
DIGIMARC CORP           COMMON  253807101 $        411.00     45,466   SH         DEFINED         24     45,466       --         --
DIGITAL REALTY TRUST
   INC                  COMMON  253868103 $     28,321.00    719,000   SH         DEFINED       1,15    719,000       --         --
DIGITAL REALTY TRUST
   INC                  COMMON  253868103 $     77,332.00  1,963,232   SH         DEFINED         15  1,224,332       --    601,200
DIGITAL REALTY TRUST
   INC                  COMMON  253868103 $      3,813.00     96,800   SH         DEFINED       2,15     96,800       --         --
DIGITAL REALTY TRUST
   INC                  COMMON  253868103 $      1,111.00     28,200   SH         DEFINED      20,15     28,200       --         --
DIGITAL REALTY TRUST
   INC                  COMMON  253868103 $        139.00      3,534   SH         DEFINED         24      3,534       --         --
DIGITAL REALTY TRUST
   INC                  COMMON  253868103 $      6,792.00    172,440   SH         DEFINED       5,15    172,440       --         --
DIGITAL RIVER INC       COMMON  25388B104 $     66,018.00  1,475,272   SH         DEFINED          1  1,475,272       --         --
DIGITAL RIVER INC       COMMON  25388B104 $        898.00     20,057   SH         DEFINED          2         --       --     20,057
DIGITAL RIVER INC       COMMON  25388B104 $      1,906.00     42,601   SH         DEFINED       21,2     42,601       --         --
DIGITAL RIVER INC       COMMON  25388B104 $         42.00        937   SH         DEFINED         24        937       --         --
DIGITAL RIVER INC       COMMON  25388B104 $         78.00      1,740   SH         DEFINED          6         --       --      1,740
DIME COMMUNITY
   BANCSHARES           COMMON  253922108 $      2,147.00    143,400   SH         DEFINED         15    100,800       --     42,600
DIME COMMUNITY
   BANCSHARES           COMMON  253922108 $         93.00      6,200   SH         DEFINED         24      6,200       --         --
DIME COMMUNITY
   BANCSHARES           COMMON  253922108 $        546.00     36,500   SH         DEFINED       5,15     36,500       --         --
DIME COMMUNITY
   BANCSHARES           COMMON  253922108 $        245.00     16,350   SH         DEFINED          6         --       --     16,350
DILLARDS INC CL A       COMMON  254067101 $         23.00      1,052   SH         DEFINED       1,15      1,052       --         --
DILLARDS INC CL A       COMMON  254067101 $        344.00     15,753   SH         DEFINED         24     15,753       --         --
DILLARDS INC CL A       COMMON  254067101 $          6.00        273   SH         DEFINED          6         --       --        273
DIODES INC              COMMON  254543101 $     17,562.00    547,093   SH         DEFINED          1    547,093       --         --
DIODES INC              COMMON  254543101 $     13,069.00    407,133   SH         DEFINED          2    407,133       --         --
DIODES INC              COMMON  254543101 $         58.00      1,793   SH         DEFINED         24      1,793       --         --
DIODES INC              COMMON  254543101 $          6.00        180   SH         DEFINED          6        180       --         --
DIONEX CORP             COMMON  254546104 $      5,341.00     67,221   SH         DEFINED          1     67,221       --         --
DIONEX CORP             COMMON  254546104 $        548.00      6,900   SH         DEFINED         15      6,900       --         --
DIONEX CORP             COMMON  254546104 $      4,022.00     50,617   SH         DEFINED         24     50,617       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DIONEX CORP             COMMON  254546104 $        348.00      4,375   SH         DEFINED          6         --       --      4,375
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $        320.00     13,186   SH         DEFINED       1,15     13,186       --         --
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $        534.00     22,000   SH         DEFINED      11,15     22,000       --         --
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $     65,860.00  2,712,540   SH         DEFINED         15  2,001,140       --    631,300
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $      1,741.00     71,700   SH         DEFINED      15,14         --       --     71,700
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $      4,851.00    199,800   SH         DEFINED       15,8         --       --    199,800
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $          1.00         59   SH         DEFINED         22         59       --         --
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $     15,037.00    619,326   SH         DEFINED         24    619,326       --         --
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $      3,834.00    157,900   SH         DEFINED       5,15    157,900       --         --
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $        461.00     18,970   SH         DEFINED          6         --       --     18,970
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $      1,337.00     55,076   SH         DEFINED          8     55,076       --         --
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $        490.00     20,200   SH         DEFINED          9     20,200       --         --
DIRECTV GROUP
   INC/THE              COMMON  25459L106 $      2,583.00    106,400   SH         DEFINED       9,15    106,400       --         --
THE WALT DISNEY CO      COMMON  254687106 $    182,168.00  5,297,129   SH         DEFINED          1  5,297,129       --         --
THE WALT DISNEY CO      COMMON  254687106 $      2,878.00     83,696   SH         DEFINED       1,15     83,696       --         --
THE WALT DISNEY CO      COMMON  254687106 $      2,930.00     85,200   SH         DEFINED      11,15     85,200       --         --
THE WALT DISNEY CO      COMMON  254687106 $      2,686.00     78,106   SH         DEFINED       14,2         --       --     78,106
THE WALT DISNEY CO      COMMON  254687106 $     74,183.00  2,157,108   SH         DEFINED         15  1,673,308       --    422,300
THE WALT DISNEY CO      COMMON  254687106 $        867.00     25,200   SH         DEFINED      15,14         --       --     25,200
THE WALT DISNEY CO      COMMON  254687106 $      7,573.00    220,200   SH         DEFINED       15,8         --       --    220,200
THE WALT DISNEY CO      COMMON  254687106 $          7.00        200   SH         DEFINED         22        200       --         --
THE WALT DISNEY CO      COMMON  254687106 $          4.00        129   SH         DEFINED         23         66       --         63
THE WALT DISNEY CO      COMMON  254687106 $     27,588.00    802,219   SH         DEFINED         24    802,219       --         --
THE WALT DISNEY CO      COMMON  254687106 $      9,771.00    284,137   SH         DEFINED          4    284,137       --         --
THE WALT DISNEY CO      COMMON  254687106 $      2,418.00     70,300   SH         DEFINED       5,15     70,300       --         --
THE WALT DISNEY CO      COMMON  254687106 $      3,747.00    108,959   SH         DEFINED          6     46,821       --     62,138
THE WALT DISNEY CO      COMMON  254687106 $      2,642.00     76,827   SH         DEFINED          8     76,827       --         --
THE WALT DISNEY CO      COMMON  254687106 $      6,310.00    183,470   SH         DEFINED          9    183,470       --         --
THE WALT DISNEY CO      COMMON  254687106 $     13,749.00    399,800   SH         DEFINED       9,15    399,800       --         --
WALT DISNEY CO
   CVT(DIS) 2.125      CONVERT  254687AU0 $     25,655.00 21,050,000   SH         DEFINED         15         --       -- 17,825,000
DISCOVERY HOLDING
   CO-A                 COMMON  25468Y107 $      4,036.00    139,909   SH         DEFINED         24    139,909       --         --
DISCOVERY HOLDING
   CO-A                 COMMON  25468Y107 $         89.00      3,081   SH         DEFINED          6         --       --      3,081
DISCOVERY HOLDING
   CO-A                 COMMON  25468Y107 $        125.00      4,346   SH         DEFINED          8      4,346       --         --
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        936.00     44,984   SH         DEFINED       1,15     44,984       --         --
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        295.00     14,200   SH         DEFINED      11,15     14,200       --         --
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $     21,927.00  1,054,159   SH         DEFINED         15    755,009       --    270,400
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        520.00     25,000   SH         DEFINED      15,14         --       --     25,000
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $      1,396.00     67,100   SH         DEFINED       15,8         --       --     67,100
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $            --         14   SH         DEFINED         23          6       --          8
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        901.00     43,332   SH         DEFINED         24     43,332       --         --
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        842.00     40,500   SH         DEFINED       5,15     40,500       --         --
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        288.00     13,861   SH         DEFINED          6      9,486       --      4,375
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        490.00     23,558   SH         DEFINED          8     23,558       --         --
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $        279.00     13,400   SH         DEFINED          9     13,400       --         --
DISCOVER FINANCIAL
   SERVICES             COMMON  254709108 $      1,498.00     72,000   SH         DEFINED       9,15     72,000       --         --
DITECH NETWORKS INC     COMMON  25500T108 $        304.00     57,734   SH         DEFINED         24     57,734       --         --
DIVX INC                COMMON  255413106 $          1.00         71   SH         DEFINED         24         71       --         --
DOBSON
   COMMUNICATIONS
   CORP CL              COMMON  256069105 $     18,387.00  1,437,593   SH         DEFINED          1  1,437,593       --         --
DOBSON
   COMMUNICATIONS
   CORP CL              COMMON  256069105 $     14,181.00  1,108,736   SH         DEFINED          2  1,108,736       --         --
DOBSON
   COMMUNICATIONS
   CORP CL              COMMON  256069105 $      1,384.00    108,219   SH         DEFINED         24    108,219       --         --
DOBSON
   COMMUNICATIONS
   CORP CL              COMMON  256069105 $        237.00     18,560   SH         DEFINED          6         --       --     18,560
DOCTOR REDDY'S LAB
   ADR                  COMMON  256135203 $          3.00        188   SH         DEFINED         23        175       --         13
DOCTOR REDDY'S LAB
   ADR                  COMMON  256135203 $        654.00     40,000   SH         DEFINED          6     21,000       --     19,000
DOLBY LABORATORIES
   INC-CL A             COMMON  25659T107 $        122.00      3,500   SH         DEFINED         15         --       --      3,500
DOLBY LABORATORIES
   INC-CL A             COMMON  25659T107 $      4,325.00    124,221   SH         DEFINED         24    124,221       --         --
DOLBY LABORATORIES
   INC-CL A             COMMON  25659T107 $          8.00        234   SH         DEFINED          6         --       --        234
DOLLAR FINANCIAL
   CORP                 COMMON  256664103 $         36.00      1,249   SH         DEFINED         24      1,249       --         --
DOLLAR THRIFTY
   AUTOMOTIVE GP        COMMON  256743105 $        240.00      6,926   SH         DEFINED         24      6,926       --         --
DOLLAR THRIFTY
   AUTOMOTIVE GP        COMMON  256743105 $        100.00      2,885   SH         DEFINED          6         --       --      2,885
DOLLAR TREE STORES
   INC                  COMMON  256747106 $     23,154.00    571,147   SH         DEFINED          1    571,147       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $         81.00      2,000   SH         DEFINED       1,15      2,000       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $      1,205.00     29,718   SH         DEFINED         10     29,718       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $        586.00     14,454   SH         DEFINED       11,8     14,454       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $        408.00     10,076   SH         DEFINED         14     10,076       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $     40,179.00    991,083   SH         DEFINED         15    550,283       --    432,100




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DOLLAR TREE STORES
   INC                  COMMON  256747106 $      1,354.00     33,400   SH         DEFINED       15,8         --       --     33,400
DOLLAR TREE STORES
   INC                  COMMON  256747106 $        307.00      7,563   SH         DEFINED         22      7,563       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $      7,631.00    188,245   SH         DEFINED         24    188,245       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $        304.00      7,500   SH         DEFINED       5,15      7,500       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $        653.00     16,115   SH         DEFINED          6         --       --     16,115
DOLLAR TREE STORES
   INC                  COMMON  256747106 $      2,436.00     60,100   SH         DEFINED          8     60,100       --         --
DOLLAR TREE STORES
   INC                  COMMON  256747106 $      6,400.00    157,880   SH         DEFINED          9    157,880       --         --
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $     42,880.00    508,663   SH         DEFINED          1    508,663       --         --
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $        426.00      5,053   SH         DEFINED       1,15      5,053       --         --
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $         76.00        900   SH         DEFINED      11,15        900       --         --
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $      5,657.00     67,100   SH         DEFINED         15     57,000       --      7,400
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $      2,242.00     26,600   SH         DEFINED       15,8         --       --     26,600
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $         82.00        968   SH         DEFINED         23        968       --         --
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $      2,772.00     32,880   SH         DEFINED         24     32,880       --         --
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $        389.00      4,613   SH         DEFINED          6      2,279       --      2,334
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $        481.00      5,706   SH         DEFINED          8      5,706       --         --
DOMINION RESOURCES
   INC-VA               COMMON  25746U109 $        826.00      9,800   SH         DEFINED       9,15      9,800       --         --
DOMINO'S PIZZA INC      COMMON  25754A201 $     20,776.00  1,252,350   SH         DEFINED         15    722,250       --    525,900
DOMINO'S PIZZA INC      COMMON  25754A201 $        345.00     20,800   SH         DEFINED       15,8         --       --     20,800
DOMINO'S PIZZA INC      COMMON  25754A201 $         99.00      5,940   SH         DEFINED         24      5,940       --         --
DOMINO'S PIZZA INC      COMMON  25754A201 $      1,130.00     68,100   SH         DEFINED       5,15     68,100       --         --
DOMINO'S PIZZA INC      COMMON  25754A201 $         68.00      4,110   SH         DEFINED          6         --       --      4,110
DOMTAR CORP             COMMON  257559104 $     81,445.00  9,932,300   SH         DEFINED          3  9,932,300       --         --
DOMTAR CORP             COMMON  257559104 $          2.00        300   SH         DEFINED          6         --       --        300
DONALDSON CO INC        COMMON  257651109 $         29.00        700   SH         DEFINED         23         --       --        700
DONALDSON CO INC        COMMON  257651109 $      1,970.00     47,172   SH         DEFINED         24     47,172       --         --
DONALDSON CO INC        COMMON  257651109 $          7.00        157   SH         DEFINED          6         --       --        157
DONNELLEY (R.R.) &
   SONS CO              COMMON  257867101 $        141.00      3,855   SH         DEFINED       1,15      3,855       --         --
DONNELLEY (R.R.) &
   SONS CO              COMMON  257867101 $          7.00        200   SH         DEFINED         22        200       --         --
DONNELLEY (R.R.) &
   SONS CO              COMMON  257867101 $         25.00        674   SH         DEFINED         23        666       --          8
DONNELLEY (R.R.) &
   SONS CO              COMMON  257867101 $      1,250.00     34,196   SH         DEFINED         24     34,196       --         --
DONNELLEY (R.R.) &
   SONS CO              COMMON  257867101 $        563.00     15,388   SH         DEFINED          6     15,053       --        335
DORAL FINANCIAL CORP    COMMON  25811P886 $         11.00        513   SH         DEFINED         23         --       --        513
DOT HILL SYSTEMS
   CORP                 COMMON  25848T109 $        376.00    123,940   SH         DEFINED         24    123,940       --         --
DOUBLE-TAKE SOFTWARE
   INC                  COMMON  258598101 $         52.00      2,700   SH         DEFINED         15      2,700       --         --
DOUBLE-TAKE SOFTWARE
   INC                  COMMON  258598101 $        290.00     15,173   SH         DEFINED         24     15,173       --         --
DOUGLAS EMMETT INC      COMMON  25960P109 $     39,964.00  1,616,000   SH         DEFINED       1,15  1,616,000       --         --
DOUGLAS EMMETT INC      COMMON  25960P109 $     97,444.00  3,940,295   SH         DEFINED         15  2,483,695       --  1,162,500
DOUGLAS EMMETT INC      COMMON  25960P109 $      5,361.00    216,800   SH         DEFINED       2,15    216,800       --         --
DOUGLAS EMMETT INC      COMMON  25960P109 $      1,692.00     68,400   SH         DEFINED      20,15     68,400       --         --
DOUGLAS EMMETT INC      COMMON  25960P109 $      9,099.00    367,916   SH         DEFINED       5,15    367,916       --         --
DOVER CORP              COMMON  260003108 $     32,638.00    640,581   SH         DEFINED          1    640,581       --         --
DOVER CORP              COMMON  260003108 $        180.00      3,532   SH         DEFINED       1,15      3,532       --         --
DOVER CORP              COMMON  260003108 $        667.00     13,085   SH         DEFINED         15     13,085       --         --
DOVER CORP              COMMON  260003108 $      1,182.00     23,193   SH         DEFINED         24     23,193       --         --
DOVER CORP              COMMON  260003108 $     17,220.00    337,981   SH         DEFINED          4    337,981       --         --
DOVER CORP              COMMON  260003108 $        818.00     16,063   SH         DEFINED          6     14,638       --      1,425
DOVER CORP              COMMON  260003108 $        210.00      4,112   SH         DEFINED          8      4,112       --         --
DOVER DOWNS GAMING &
   ENTERTA              COMMON  260095104 $      2,068.00    199,000   SH         DEFINED         15    128,600       --     70,400
DOVER DOWNS GAMING &
   ENTERTA              COMMON  260095104 $         23.00      2,173   SH         DEFINED         24      2,173       --         --
DOVER DOWNS GAMING &
   ENTERTA              COMMON  260095104 $        518.00     49,900   SH         DEFINED       5,15     49,900       --         --
DOW CHEMICAL            COMMON  260543103 $        729.00     16,921   SH         DEFINED       1,15     16,921       --         --
DOW CHEMICAL            COMMON  260543103 $     24,712.00    573,891   SH         DEFINED         12    174,491       --    399,400
DOW CHEMICAL            COMMON  260543103 $        307.00      7,125   SH         DEFINED      12,14      7,125       --         --
DOW CHEMICAL            COMMON  260543103 $     16,619.00    385,950   SH         DEFINED         15    300,105       --     79,745
DOW CHEMICAL            COMMON  260543103 $      1,425.00     33,100   SH         DEFINED       15,8         --       --     33,100
DOW CHEMICAL            COMMON  260543103 $         22.00        510   SH         DEFINED      20,12        510       --         --
DOW CHEMICAL            COMMON  260543103 $        732.00     17,000   SH         DEFINED      20,15         --       --     17,000
DOW CHEMICAL            COMMON  260543103 $      1,789.00     41,540   SH         DEFINED      21,15         --       --         --
DOW CHEMICAL            COMMON  260543103 $          1.00         13   SH         DEFINED         23         --       --         13
DOW CHEMICAL            COMMON  260543103 $     11,748.00    272,819   SH         DEFINED         24    272,819       --         --
DOW CHEMICAL            COMMON  260543103 $        344.00      8,000   SH         DEFINED       5,15         --       --      8,000
DOW CHEMICAL            COMMON  260543103 $        456.00     10,594   SH         DEFINED          6      5,410       --      5,184
DOW CHEMICAL            COMMON  260543103 $      1,356.00     31,493   SH         DEFINED          8     31,493       --         --
DOW CHEMICAL            COMMON  260543103 $      1,522.00     35,338   SH         DEFINED          9     35,338       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DOW CHEMICAL            COMMON  260543103 $      2,592.00     60,193   SH         DEFINED       9,15     16,700       --     43,493
DOW JONES & CO INC      COMMON  260561105 $         67.00      1,129   SH         DEFINED       1,15      1,129       --         --
DOW JONES & CO INC      COMMON  260561105 $        466.00      7,799   SH         DEFINED         24      7,799       --         --
DOW JONES & CO INC      COMMON  260561105 $         37.00        625   SH         DEFINED          6        625       --         --
DOWNEY FINANCIAL
   CORP                 COMMON  261018105 $      3,243.00     56,110   SH         DEFINED         24     56,110       --         --
DREAMWORKS ANIMATION
   SKG-A                COMMON  26153C103 $            --         10   SH         DEFINED         23         --       --         10
DREAMWORKS ANIMATION
   SKG-A                COMMON  26153C103 $      2,684.00     80,318   SH         DEFINED         24     80,318       --         --
DREAMWORKS ANIMATION
   SKG-A                COMMON  26153C103 $          4.00        120   SH         DEFINED          6        120       --         --
DRESS BARN INC          COMMON  261570105 $        800.00     47,060   SH         DEFINED         24     47,060       --         --
DRESSER-RAND GROUP
   INC                  COMMON  261608103 $      4,356.00    102,000   SH         DEFINED         15     63,500       --     35,900
DRESSER-RAND GROUP
   INC                  COMMON  261608103 $     16,493.00    386,164   SH         DEFINED         24    386,164       --         --
DRESSER-RAND GROUP
   INC                  COMMON  261608103 $        321.00      7,520   SH         DEFINED          6         --       --      7,520
DREW INDUSTRIES INC     COMMON  26168L205 $      1,593.00     39,151   SH         DEFINED         24     39,151       --         --
DRIL-QUIP               COMMON  262037104 $     15,204.00    308,076   SH         DEFINED          1    308,076       --         --
DRIL-QUIP               COMMON  262037104 $     11,743.00    237,959   SH         DEFINED          2    237,959       --         --
DRIL-QUIP               COMMON  262037104 $      1,600.00     32,416   SH         DEFINED         24     32,416       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $     23,021.00    464,500   SH         DEFINED          1    464,500       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      2,761.00     55,711   SH         DEFINED       1,15     55,711       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      1,804.00     36,400   SH         DEFINED      11,15     36,400       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $     93,144.00  1,879,425   SH         DEFINED         15  1,435,775       --    398,750
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      2,126.00     42,900   SH         DEFINED      15,14         --       --     42,900
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      6,626.00    133,700   SH         DEFINED       15,8         --       --    133,700
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $         10.00        200   SH         DEFINED         22        200       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $          1.00         28   SH         DEFINED         23          5       --         23
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $     15,485.00    312,452   SH         DEFINED         24    312,452       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      4,237.00     85,500   SH         DEFINED       5,15     85,500       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      2,204.00     44,476   SH         DEFINED          6     29,524       --     14,952
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $        823.00     16,608   SH         DEFINED          8     16,608       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      4,771.00     96,265   SH         DEFINED          9     96,265       --         --
DU PONT (E.I.) DE
   NEMOURS              COMMON  263534109 $      7,047.00    142,200   SH         DEFINED       9,15    142,200       --         --
DUCKWALL-ALCO STORES
   INC                  COMMON  264142100 $        450.00     12,227   SH         DEFINED         24     12,227       --         --
DUCOMMUN INC            COMMON  264147109 $      1,460.00     45,213   SH         DEFINED         24     45,213       --         --
DUKE REALTY CORP        COMMON  264411505 $        132.00      3,900   SH         DEFINED      11,15      3,900       --         --
DUKE REALTY CORP        COMMON  264411505 $     17,527.00    518,398   SH         DEFINED         15    297,298       --    216,800
DUKE REALTY CORP        COMMON  264411505 $        423.00     12,500   SH         DEFINED       15,8         --       --     12,500
DUKE REALTY CORP        COMMON  264411505 $        593.00     17,551   SH         DEFINED         24     17,551       --         --
DUKE REALTY CORP        COMMON  264411505 $         23.00        679   SH         DEFINED          6        530       --        149
DUKE REALTY CORP        COMMON  264411505 $         33.00        990   SH         DEFINED          8        990       --         --
DUKE REALTY CORP        COMMON  264411505 $        612.00     18,100   SH         DEFINED       9,15     18,100       --         --
DUKE ENERGY CORP        COMMON  26441C105 $     19,344.00  1,035,000   SH         DEFINED          1  1,035,000       --         --
DUKE ENERGY CORP        COMMON  26441C105 $        409.00     21,878   SH         DEFINED       1,15     21,878       --         --
DUKE ENERGY CORP        COMMON  26441C105 $        302.00     16,180   SH         DEFINED         15     13,480       --      2,700
DUKE ENERGY CORP        COMMON  26441C105 $         10.00        559   SH         DEFINED         23        550       --          9
DUKE ENERGY CORP        COMMON  26441C105 $      8,299.00    444,017   SH         DEFINED         24    444,017       --         --
DUKE ENERGY CORP        COMMON  26441C105 $        324.00     17,359   SH         DEFINED          6      8,084       --      9,275
DUKE ENERGY CORP        COMMON  26441C105 $        403.00     21,564   SH         DEFINED          8     21,564       --         --
DUKE ENERGY CORP        COMMON  26441C105 $     21,828.00  1,167,900   SH         DEFINED          9  1,167,900       --         --
DUN & BRADSTREET
   CORP-NEW             COMMON  26483E100 $         89.00        900   SH         DEFINED         15        600       --         --
DUN & BRADSTREET
   CORP-NEW             COMMON  26483E100 $      3,451.00     34,995   SH         DEFINED         24     34,995       --         --
DUN & BRADSTREET
   CORP-NEW             COMMON  26483E100 $      1,036.00     10,508   SH         DEFINED          6      5,884       --      4,624
DUN & BRADSTREET
   CORP-NEW             COMMON  26483E100 $        385.00      3,900   SH         DEFINED       9,15      3,900       --         --
DUNCAN ENERGY
   PARTNERS LP          COMMON  265026104 $          1.00         54   SH         DEFINED         23         54       --         --
DUSA PHARMACEUTICALS
   INC                  COMMON  266898105 $            --        150   SH         DEFINED         23         --       --        150
DYCOM INDUSTRIES INC    COMMON  267475101 $     14,558.00    475,300   SH         DEFINED         15    227,300       --    246,900
DYCOM INDUSTRIES INC    COMMON  267475101 $      2,086.00     68,119   SH         DEFINED         24     68,119       --         --
DYCOM INDUSTRIES INC    COMMON  267475101 $         32.00      1,050   SH         DEFINED          6      1,050       --         --
DYNAMEX INC             COMMON  26784F103 $     13,444.00    524,734   SH         DEFINED        1,3    524,734       --         --
DYNAMEX INC             COMMON  26784F103 $        641.00     25,000   SH         DEFINED       20,3     25,000       --         --
DYNAMEX INC             COMMON  26784F103 $     10,030.00    391,487   SH         DEFINED          3    391,487       --         --
DYNAMIC MATERIALS
   CORP                 COMMON  267888105 $     14,238.00    297,302   SH         DEFINED          1    297,302       --         --
DYNAMIC MATERIALS
   CORP                 COMMON  267888105 $     10,712.00    223,689   SH         DEFINED          2    223,689       --         --
DYNAMIC MATERIALS
   CORP                 COMMON  267888105 $        562.00     11,739   SH         DEFINED         24     11,739       --         --
DYNCORP
   INTERNATIONAL
   INC-A                COMMON  26817C101 $         64.00      2,750   SH         DEFINED         15      2,750       --         --
DYNCORP
   INTERNATIONAL
   INC-A                COMMON  26817C101 $      3,183.00    137,746   SH         DEFINED         24    137,746       --         --
DYNCORP
   INTERNATIONAL
   INC-A                COMMON  26817C101 $        248.00     10,730   SH         DEFINED          6         --       --     10,730




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
DYNEGY INC-CL A         COMMON  26817G102 $     23,067.00  2,496,473   SH         DEFINED          1  2,496,473       --         --
DYNEGY INC-CL A         COMMON  26817G102 $         79.00      8,603   SH         DEFINED       1,15      8,603       --         --
DYNEGY INC-CL A         COMMON  26817G102 $          6.00        656   SH         DEFINED         15          6       --        650
DYNEGY INC-CL A         COMMON  26817G102 $        450.00     48,706   SH         DEFINED          2         --       --     48,706
DYNEGY INC-CL A         COMMON  26817G102 $            --         34   SH         DEFINED         23         34       --         --
DYNEGY INC-CL A         COMMON  26817G102 $      1,223.00    132,410   SH         DEFINED         24    132,410       --         --
ECI TELECOM LTD         COMMON  268258100 $        128.00     12,870   SH         DEFINED         24     12,870       --         --
E COM VENTURES INC      COMMON  26830K205 $        480.00     19,576   SH         DEFINED         24     19,576       --         --
EMC CORP/MASS           COMMON  268648102 $    165,267.00  7,945,530   SH         DEFINED          1  7,945,530       --         --
EMC CORP/MASS           COMMON  268648102 $        757.00     36,410   SH         DEFINED       1,15     36,410       --         --
EMC CORP/MASS           COMMON  268648102 $      4,185.00    201,200   SH         DEFINED         15    105,000       --     87,000
EMC CORP/MASS           COMMON  268648102 $        955.00     45,900   SH         DEFINED       15,8         --       --     45,900
EMC CORP/MASS           COMMON  268648102 $      2,365.00    113,700   SH         DEFINED         19    113,700       --         --
EMC CORP/MASS           COMMON  268648102 $      6,625.00    318,503   SH         DEFINED          2    318,503       --         --
EMC CORP/MASS           COMMON  268648102 $      4,305.00    206,976   SH         DEFINED       21,2    206,976       --         --
EMC CORP/MASS           COMMON  268648102 $          4.00        203   SH         DEFINED         23        203       --         --
EMC CORP/MASS           COMMON  268648102 $     14,219.00    683,595   SH         DEFINED         24    683,595       --         --
EMC CORP/MASS           COMMON  268648102 $        338.00     16,239   SH         DEFINED          4     16,239       --         --
EMC CORP/MASS           COMMON  268648102 $      2,291.00    110,157   SH         DEFINED          6     83,079       --     27,078
EMC CORP/MASS           COMMON  268648102 $        820.00     39,422   SH         DEFINED          8     39,422       --         --
EMC CORP/MASS           COMMON  268648102 $        254.00     12,230   SH         DEFINED          9     12,230       --         --
EMC CORP CVT(EMC)
   144A 1.75 12        CONVERT  268648AL6 $     27,325.00 19,125,000   SH         DEFINED         15         --       -- 16,200,000
EMC INS GROUP INC       COMMON  268664109 $        299.00     11,510   SH         DEFINED         15     11,510       --         --
EMC INS GROUP INC       COMMON  268664109 $        156.00      6,000   SH         DEFINED       5,15      6,000       --         --
EMS TECHNOLOGIES INC    COMMON  26873N108 $        496.00     20,218   SH         DEFINED         24     20,218       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $     30,444.00    542,674   SH         DEFINED          1    542,674       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $        145.00      2,576   SH         DEFINED       1,15      2,576       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $        404.00      7,200   SH         DEFINED      11,15      7,200       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $     15,811.00    281,840   SH         DEFINED         15    179,940       --     95,300
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $      1,846.00     32,900   SH         DEFINED       15,8         --       --     32,900
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $        673.00     12,000   SH         DEFINED          2         --       --     12,000
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $     12,253.00    218,409   SH         DEFINED         24    218,409       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $        202.00      3,600   SH         DEFINED       5,15      3,600       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $        533.00      9,500   SH         DEFINED          6         --       --      9,500
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $        295.00      5,257   SH         DEFINED          8      5,257       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $      1,012.00     18,036   SH         DEFINED          9     18,036       --         --
ENSCO INTERNATIONAL
   INC                  COMMON  26874Q100 $        802.00     14,300   SH         DEFINED       9,15     14,300       --         --
ENI SPA ADR             COMMON  26874R108 $      7,221.00     97,900   SH         DEFINED       1,12     97,900       --         --
ENI SPA ADR             COMMON  26874R108 $    123,503.00  1,674,394   SH         DEFINED         12  1,600,989       --     73,405
ENI SPA ADR             COMMON  26874R108 $      5,181.00     70,240   SH         DEFINED         15     21,840       --     48,400
ENI SPA ADR             COMMON  26874R108 $         25.00        345   SH         DEFINED         23         --       --        345
ENI SPA ADR             COMMON  26874R108 $     21,628.00    293,221   SH         DEFINED          4    293,221       --         --
ENI SPA ADR             COMMON  26874R108 $         46.00        625   SH         DEFINED          6         --       --        625
EOG RESOURCES INC       COMMON  26875P101 $        307.00      4,249   SH         DEFINED       1,15      4,249       --         --
EOG RESOURCES INC       COMMON  26875P101 $          3.00         41   SH         DEFINED         23         --       --         41
EOG RESOURCES INC       COMMON  26875P101 $      1,770.00     24,476   SH         DEFINED         24     24,476       --         --
EOG RESOURCES INC       COMMON  26875P101 $         94.00      1,295   SH         DEFINED          6        810       --        485
EOG RESOURCES INC       COMMON  26875P101 $        315.00      4,356   SH         DEFINED          8      4,356       --         --
E.ON AG ADR             COMMON  268780103 $         87.00      1,420   SH         DEFINED          6         --       --      1,420
EPIQ SYSTEMS INC        COMMON  26882D109 $        562.00     29,866   SH         DEFINED         24     29,866       --         --
E*TRADE FINANCIAL
   CORPORATION          COMMON  269246104 $         96.00      7,375   SH         DEFINED       1,15      7,375       --         --
E*TRADE FINANCIAL
   CORPORATION          COMMON  269246104 $            --         17   SH         DEFINED         23         --       --         17
E*TRADE FINANCIAL
   CORPORATION          COMMON  269246104 $        303.00     23,197   SH         DEFINED         24     23,197       --         --
E*TRADE FINANCIAL
   CORPORATION          COMMON  269246104 $         34.00      2,616   SH         DEFINED          6         --       --      2,616
E*TRADE FINANCIAL
   CORPORATION          COMMON  269246104 $         70.00      5,378   SH         DEFINED          8      5,378       --         --
EXCO RESOURCES INC      COMMON  269279402 $        125.00      7,538   SH         DEFINED         24      7,538       --         --
EV3 INC                 COMMON  26928A200 $     14,558.00    886,602   SH         DEFINED          1    886,602       --         --
EV3 INC                 COMMON  26928A200 $        266.00     16,214   SH         DEFINED          2         --       --     16,214
EV3 INC                 COMMON  26928A200 $            --         16   SH         DEFINED         24         16       --         --
EV3 INC                 COMMON  26928A200 $      4,392.00    267,500   SH         DEFINED          3    267,500       --         --
EAGLE BROADBAND INC     COMMON  269437208 $            --         22   SH         DEFINED         23         --       --         22
EAGLE MATERIALS INC     COMMON  26969P108 $     17,034.00    476,619   SH         DEFINED          1    476,619       --         --
EAGLE MATERIALS INC     COMMON  26969P108 $      9,176.00    256,746   SH         DEFINED          2    256,746       --         --
EAGLE MATERIALS INC     COMMON  26969P108 $          1.00         15   SH         DEFINED         23         --       --         15
EAGLE MATERIALS INC     COMMON  26969P108 $        241.00      6,735   SH         DEFINED         24      6,735       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
EAGLE MATERIALS INC     COMMON  26969P108 $        173.00      4,840   SH         DEFINED          6         --       --      4,840
FRONTEER DEVELOPMENT
   GROUP I              COMMON    2700438 $      2,687.00    258,100   SH         DEFINED          1    258,100       --         --
FRONTEER DEVELOPMENT
   GROUP I              COMMON    2700438 $        168.00     16,100   SH         DEFINED          2     16,100       --         --
FRONTEER DEVELOPMENT
   GROUP I              COMMON    2700438 $     11,288.00  1,084,400   SH         DEFINED        3,1  1,084,400       --         --
EARTHLINK INC           COMMON  270321102 $     15,741.00  1,987,500   SH         DEFINED         15    955,500       --  1,027,000
EARTHLINK INC           COMMON  270321102 $        268.00     33,783   SH         DEFINED         24     33,783       --         --
EAST WEST BANCORP
   INC                  COMMON  27579R104 $      7,499.00    208,541   SH         DEFINED          1    208,541       --         --
EAST WEST BANCORP
   INC                  COMMON  27579R104 $      4,944.00    137,479   SH         DEFINED          2    137,479       --         --
EAST WEST BANCORP
   INC                  COMMON  27579R104 $          4.00        100   SH         DEFINED         23        100       --         --
EAST WEST BANCORP
   INC                  COMMON  27579R104 $        110.00      3,058   SH         DEFINED         24      3,058       --         --
EASTERN COMPANY
   (THE)                COMMON  276317104 $        345.00     15,370   SH         DEFINED         24     15,370       --         --
EASTGROUP PROPERTIES    COMMON  277276101 $        774.00     17,100   SH         DEFINED         15     17,100       --         --
EASTGROUP PROPERTIES    COMMON  277276101 $        123.00      2,722   SH         DEFINED         24      2,722       --         --
EASTMAN CHEMICAL
   COMPANY              COMMON  277432100 $         98.00      1,463   SH         DEFINED       1,15      1,463       --         --
EASTMAN CHEMICAL
   COMPANY              COMMON  277432100 $          6.00         93   SH         DEFINED         23         --       --         93
EASTMAN CHEMICAL
   COMPANY              COMMON  277432100 $      2,870.00     43,005   SH         DEFINED         24     43,005       --         --
EASTMAN CHEMICAL
   COMPANY              COMMON  277432100 $        218.00      3,260   SH         DEFINED          6         --       --      3,260
EASTMAN KODAK CO        COMMON  277461109 $        133.00      4,958   SH         DEFINED       1,15      4,958       --         --
EASTMAN KODAK CO        COMMON  277461109 $        126.00      4,700   SH         DEFINED         15         --       --      4,700
EASTMAN KODAK CO        COMMON  277461109 $      2,335.00     87,273   SH         DEFINED         24     87,273       --         --
EASTMAN KODAK CO        COMMON  277461109 $        155.00      5,803   SH         DEFINED          8      5,803       --         --
EATON CORP              COMMON  278058102 $        251.00      2,531   SH         DEFINED       1,15      2,531       --         --
EATON CORP              COMMON  278058102 $        337.00      3,400   SH         DEFINED         15         --       --      3,400
EATON CORP              COMMON  278058102 $          3.00         30   SH         DEFINED         23          9       --         21
EATON CORP              COMMON  278058102 $      6,848.00     69,148   SH         DEFINED         24     69,148       --         --
EATON CORP              COMMON  278058102 $        536.00      5,414   SH         DEFINED          6      5,014       --        400
EATON CORP              COMMON  278058102 $        266.00      2,688   SH         DEFINED          8      2,688       --         --
EATON CORP              COMMON  278058102 $        249.00      2,516   SH         DEFINED          9      2,516       --         --
EATON VANCE CORP        COMMON  278265103 $     12,384.00    309,900   SH         DEFINED         15    170,200       --    137,300
EATON VANCE CORP        COMMON  278265103 $        312.00      7,800   SH         DEFINED       15,8         --       --      7,800
EATON VANCE CORP        COMMON  278265103 $      4,973.00    124,453   SH         DEFINED         24    124,453       --         --
EATON VANCE CORP        COMMON  278265103 $          4.00         90   SH         DEFINED          6         90       --         --
EATON VANCE TAX-ADV
   DVD INC CE           COMMON  27828G107 $            --          3   SH         DEFINED         23         --       --          3
EATON VANCE
   T-M BUY-WRITE
   OP C                 COMMON  27828Y108 $         18.00      1,000   SH         DEFINED          6      1,000       --         --
EBAY INC                COMMON  278642103 $    257,464.00  6,598,261   SH         DEFINED          1  6,598,261       --         --
EBAY INC                COMMON  278642103 $      3,422.00     87,707   SH         DEFINED       1,15     87,707       --         --
EBAY INC                COMMON  278642103 $      1,931.00     49,500   SH         DEFINED      11,15     49,500       --         --
EBAY INC                COMMON  278642103 $    175,133.00  4,488,300   SH         DEFINED         15  3,174,300       --  1,194,800
EBAY INC                COMMON  278642103 $      3,855.00     98,800   SH         DEFINED      15,14         --       --     98,800
EBAY INC                COMMON  278642103 $     10,094.00    258,700   SH         DEFINED       15,8         --       --    258,700
EBAY INC                COMMON  278642103 $        948.00     24,300   SH         DEFINED         19     24,300       --         --
EBAY INC                COMMON  278642103 $     22,668.00    580,923   SH         DEFINED          2    580,923       --         --
EBAY INC                COMMON  278642103 $      1,611.00     41,276   SH         DEFINED       21,2     41,276       --         --
EBAY INC                COMMON  278642103 $         77.00      1,974   SH         DEFINED         22      1,974       --         --
EBAY INC                COMMON  278642103 $          4.00         97   SH         DEFINED         23          7       --         90
EBAY INC                COMMON  278642103 $     38,532.00    987,498   SH         DEFINED         24    987,498       --         --
EBAY INC                COMMON  278642103 $        101.00      2,600   SH         DEFINED          3      2,600       --         --
EBAY INC                COMMON  278642103 $        336.00      8,621   SH         DEFINED          4      8,621       --         --
EBAY INC                COMMON  278642103 $      7,948.00    203,700   SH         DEFINED       5,15    203,700       --         --
EBAY INC                COMMON  278642103 $      2,428.00     62,212   SH         DEFINED          6     12,100       --     50,112
EBAY INC                COMMON  278642103 $      3,584.00     91,839   SH         DEFINED          8     91,839       --         --
EBAY INC                COMMON  278642103 $      4,025.00    103,151   SH         DEFINED          9    103,151       --         --
EBAY INC                COMMON  278642103 $      7,141.00    183,000   SH         DEFINED       9,15    183,000       --         --
EBAY INC                COMMON  278642103 $        936.00     23,979   SH         DEFINED        9,2     23,979       --         --
ECHELON CORP            COMMON  27874N105 $     39,410.00  1,575,750   SH         DEFINED         24  1,575,750       --         --
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $     14,615.00    312,225   SH         DEFINED          1    312,225       --         --
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $        267.00      5,700   SH         DEFINED      11,15      5,700       --         --
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $      1,575.00     33,649   SH         DEFINED       14,2         --       --     33,649
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $      6,727.00    143,700   SH         DEFINED         15     97,200       --     39,100
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $        295.00      6,300   SH         DEFINED      15,14         --       --      6,300
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $        140.00      3,000   SH         DEFINED       15,8         --       --      3,000
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $          5.00        100   SH         DEFINED         23         --       --        100
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $      6,950.00    148,474   SH         DEFINED         24    148,474       --         --
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $        407.00      8,700   SH         DEFINED       5,15      8,700       --         --
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $        385.00      8,221   SH         DEFINED          8      8,221       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ECHOSTAR
   COMMUNICATIONS
   CL A                 COMMON  278762109 $      1,657.00     35,400   SH         DEFINED       9,15     35,400       --         --
ECLIPSYS CORP           COMMON  278856109 $     25,367.00  1,087,791   SH         DEFINED          1  1,087,791       --         --
ECLIPSYS CORP           COMMON  278856109 $         70.00      3,000   SH         DEFINED         19      3,000       --         --
ECLIPSYS CORP           COMMON  278856109 $     13,770.00    590,497   SH         DEFINED          2    590,497       --         --
ECLIPSYS CORP           COMMON  278856109 $         18.00        791   SH         DEFINED       20,2         --       --        791
ECLIPSYS CORP           COMMON  278856109 $      1,172.00     50,251   SH         DEFINED       21,2         --       --     50,251
ECLIPSYS CORP           COMMON  278856109 $        550.00     23,591   SH         DEFINED         24     23,591       --         --
ECLIPSYS CORP           COMMON  278856109 $      3,899.00    167,200   SH         DEFINED          3    167,200       --         --
ECOLAB INC              COMMON  278865100 $     19,022.00    403,000   SH         DEFINED          1    403,000       --         --
ECOLAB INC              COMMON  278865100 $        143.00      3,028   SH         DEFINED       1,15      3,028       --         --
ECOLAB INC              COMMON  278865100 $         22.00        466   SH         DEFINED         23         54       --        412
ECOLAB INC              COMMON  278865100 $     12,725.00    269,594   SH         DEFINED         24    269,594       --         --
ECOLAB INC              COMMON  278865100 $        614.00     13,000   SH         DEFINED          6     12,200       --        800
ECOLAB INC              COMMON  278865100 $        194.00      4,105   SH         DEFINED          8      4,105       --         --
EDGEWATER TECHNOLOGY
   INC                  COMMON  280358102 $        493.00     56,624   SH         DEFINED         24     56,624       --         --
EDISON INTERNATIONAL    COMMON  281020107 $     25,887.00    466,853   SH         DEFINED          1    466,853       --         --
EDISON INTERNATIONAL    COMMON  281020107 $        314.00      5,656   SH         DEFINED       1,15      5,656       --         --
EDISON INTERNATIONAL    COMMON  281020107 $      8,680.00    156,540   SH         DEFINED         15    120,040       --     29,900
EDISON INTERNATIONAL    COMMON  281020107 $        327.00      5,900   SH         DEFINED      15,14         --       --      5,900
EDISON INTERNATIONAL    COMMON  281020107 $        151.00      2,727   SH         DEFINED       21,2      2,727       --         --
EDISON INTERNATIONAL    COMMON  281020107 $            --          3   SH         DEFINED         23         --       --          3
EDISON INTERNATIONAL    COMMON  281020107 $      9,023.00    162,715   SH         DEFINED         24    162,715       --         --
EDISON INTERNATIONAL    COMMON  281020107 $      2,829.00     51,011   SH         DEFINED        3,1     51,011       --         --
EDISON INTERNATIONAL    COMMON  281020107 $        455.00      8,200   SH         DEFINED       5,15      8,200       --         --
EDISON INTERNATIONAL    COMMON  281020107 $        785.00     14,155   SH         DEFINED          6      5,143       --      9,012
EDISON INTERNATIONAL    COMMON  281020107 $        541.00      9,762   SH         DEFINED          8      9,762       --         --
EDISON INTERNATIONAL    COMMON  281020107 $      1,039.00     18,731   SH         DEFINED          9     18,731       --         --
EDISON INTERNATIONAL    COMMON  281020107 $      1,212.00     21,849   SH         DEFINED        9,2     21,849       --         --
EDO CORP                COMMON  281347104 $      2,382.00     42,530   SH         DEFINED         24     42,530       --         --
EDUCATION REALTY
   TRUST INC            COMMON  28140H104 $        824.00     61,000   SH         DEFINED         15     25,800       --     35,200
EDUCATION REALTY
   TRUST INC            COMMON  28140H104 $        429.00     31,814   SH         DEFINED         24     31,814       --         --
EDUCATIONAL
   DEVELOPMENT CORP     COMMON  281479105 $         20.00      3,025   SH         DEFINED          6         --       --      3,025
EDWARDS (A.G.) INC      COMMON  281760108 $         42.00        500   SH         DEFINED         23         --       --        500
EDWARDS (A.G.) INC      COMMON  281760108 $        471.00      5,622   SH         DEFINED         24      5,622       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $     14,601.00    296,100   SH         DEFINED        1,3    296,100       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $        628.00     12,740   SH         DEFINED         15     11,840       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $      7,091.00    143,800   SH         DEFINED       20,3    143,800       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $      2,140.00     43,400   SH         DEFINED       21,3     43,400       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $          8.00        170   SH         DEFINED         23        170       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $      4,352.00     88,266   SH         DEFINED         24     88,266       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $     96,529.00  1,957,600   SH         DEFINED          3  1,957,600       --         --
EDWARDS LIFESCIENCES
   CORP                 COMMON  28176E108 $        393.00      7,960   SH         DEFINED          6         --       --      7,960
EHEALTH INC             COMMON  28238P109 $        328.00     11,827   SH         DEFINED         24     11,827       --         --
EHEALTH INC             COMMON  28238P109 $        116.00      4,200   SH         DEFINED          6         --       --      4,200
EL PASO CORPORATION     COMMON  28336L109 $     58,801.00  3,465,000   SH         DEFINED          1  3,465,000       --         --
EL PASO CORPORATION     COMMON  28336L109 $        207.00     12,202   SH         DEFINED       1,15     12,202       --         --
EL PASO CORPORATION     COMMON  28336L109 $      7,127.00    420,000   SH         DEFINED       14,2         --       --    420,000
EL PASO CORPORATION     COMMON  28336L109 $      3,033.00    178,700   SH         DEFINED         15     70,400       --    108,300
EL PASO CORPORATION     COMMON  28336L109 $        137.00      8,100   SH         DEFINED       15,8         --       --      8,100
EL PASO CORPORATION     COMMON  28336L109 $          2.00        111   SH         DEFINED         23         --       --        111
EL PASO CORPORATION     COMMON  28336L109 $      2,497.00    147,114   SH         DEFINED         24    147,114       --         --
EL PASO CORPORATION     COMMON  28336L109 $        610.00     35,918   SH         DEFINED          4     35,918       --         --
EL PASO CORPORATION     COMMON  28336L109 $        205.00     12,060   SH         DEFINED          6      9,251       --      2,809
EL PASO CORPORATION     COMMON  28336L109 $        207.00     12,175   SH         DEFINED          8     12,175       --         --
EL PASO ELECTRIC
   COMPANY              COMMON  283677854 $      1,309.00     56,600   SH         DEFINED         15     48,200       --      8,400
EL PASO ELECTRIC
   COMPANY              COMMON  283677854 $        417.00     18,037   SH         DEFINED         24     18,037       --         --
EL PASO ELECTRIC
   COMPANY              COMMON  283677854 $        384.00     16,600   SH         DEFINED       5,15     16,600       --         --
ELAN CORP PLC ADR       COMMON  284131208 $      8,831.00    419,712   SH         DEFINED         24    419,712       --         --
ELDORADO GOLD CORP      COMMON  284902103 $     15,747.00  2,550,000   SH         DEFINED          1  2,550,000       --         --
ELDORADO GOLD CORP      COMMON  284902103 $      7,225.00  1,170,000   SH         DEFINED          3  1,170,000       --         --
ELECTRO RENT CORP       COMMON  285218103 $         82.00      5,826   SH         DEFINED         24      5,826       --         --
ELECTRO RENT CORP       COMMON  285218103 $         14.00      1,025   SH         DEFINED          6      1,025       --         --
ELECTRO SCIENTIFIC
   INDS INC             COMMON  285229100 $        582.00     24,311   SH         DEFINED         24     24,311       --         --
ELECTRONIC ARTS INC     COMMON  285512109 $    108,366.00  1,935,449   SH         DEFINED          1  1,935,449       --         --
ELECTRONIC ARTS INC     COMMON  285512109 $        302.00      5,399   SH         DEFINED       1,15      5,399       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ELECTRONIC ARTS INC     COMMON  285512109 $        402.00      7,182   SH         DEFINED       14,2         --       --      7,182
ELECTRONIC ARTS INC     COMMON  285512109 $         39.00        700   SH         DEFINED         19        700       --         --
ELECTRONIC ARTS INC     COMMON  285512109 $      6,865.00    122,613   SH         DEFINED          2    114,683       --      7,930
ELECTRONIC ARTS INC     COMMON  285512109 $      1,241.00     22,169   SH         DEFINED       21,2     22,169       --         --
ELECTRONIC ARTS INC     COMMON  285512109 $          4.00         70   SH         DEFINED         23         11       --         59
ELECTRONIC ARTS INC     COMMON  285512109 $      5,774.00    103,117   SH         DEFINED         24    103,117       --         --
ELECTRONIC ARTS INC     COMMON  285512109 $        582.00     10,390   SH         DEFINED          6      1,001       --      9,389
ELECTRONIC ARTS INC     COMMON  285512109 $        304.00      5,421   SH         DEFINED          8      5,421       --         --
ELECTRONIC ARTS INC     COMMON  285512109 $        392.00      6,997   SH         DEFINED        9,2      6,997       --         --
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $      1,628.00     74,542   SH         DEFINED       1,15     74,542       --         --
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $        271.00     12,400   SH         DEFINED      11,15     12,400       --         --
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $     31,294.00  1,432,862   SH         DEFINED         15    878,962       --    526,000
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $        446.00     20,400   SH         DEFINED      15,14         --       --     20,400
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $        817.00     37,400   SH         DEFINED       15,8         --       --     37,400
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $         13.00        600   SH         DEFINED         23         --       --        600
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $     10,953.00    501,495   SH         DEFINED         24    501,495       --         --
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $        941.00     43,100   SH         DEFINED       5,15     43,100       --         --
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $         86.00      3,916   SH         DEFINED          6        328       --      3,588
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $        490.00     22,419   SH         DEFINED          8     22,419       --         --
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $        435.00     19,902   SH         DEFINED          9     19,902       --         --
ELECTRONIC DATA
   SYSTEMS CORP         COMMON  285661104 $      1,158.00     53,000   SH         DEFINED       9,15     53,000       --         --
ELECTRONICS FOR
   IMAGING              COMMON  286082102 $        682.00     25,388   SH         DEFINED         24     25,388       --         --
ELIZABETH ARDEN INC     COMMON  28660G106 $        256.00      9,500   SH         DEFINED         15      9,500       --         --
ELIZABETH ARDEN INC     COMMON  28660G106 $      1,163.00     43,126   SH         DEFINED         24     43,126       --         --
ELIZABETH ARDEN INC     COMMON  28660G106 $        176.00      6,525   SH         DEFINED          6        375       --      6,150
LUNDIN MINING CORP      COMMON    2866857 $      2,267.00    177,318   SH         DEFINED          2    177,318       --         --
LUNDIN MINING CORP      COMMON    2866857 $     26,903.00  2,104,636   SH         DEFINED        3,1  2,104,636       --         --
PERRY ELLIS
   INTERNATIONAL        COMMON  288853104 $         26.00        950   SH         DEFINED         15        950       --         --
PERRY ELLIS
   INTERNATIONAL        COMMON  288853104 $        384.00     13,870   SH         DEFINED         24     13,870       --         --
ELONG INC-SPONSORED
   ADR                  COMMON  290138205 $      1,029.00    106,494   SH         DEFINED         24    106,494       --         --
ELOYALTY CORP
   CVP 7.0 SER B        CONVERT  290151208 $            --         39   SH         DEFINED         23         --       --         39
EMBARQ CORP             COMMON  29078E105 $      3,236.00     58,198   SH         DEFINED          1     58,198       --         --
EMBARQ CORP             COMMON  29078E105 $        147.00      2,648   SH         DEFINED       1,15      2,648       --         --
EMBARQ CORP             COMMON  29078E105 $        502.00      9,028   SH         DEFINED         10      9,028       --         --
EMBARQ CORP             COMMON  29078E105 $        111.00      2,000   SH         DEFINED      11,15      2,000       --         --
EMBARQ CORP             COMMON  29078E105 $        319.00      5,741   SH         DEFINED       11,8      5,741       --         --
EMBARQ CORP             COMMON  29078E105 $         82.00      1,475   SH         DEFINED         14      1,475       --         --
EMBARQ CORP             COMMON  29078E105 $      1,434.00     25,800   SH         DEFINED         15     21,400       --      4,400
EMBARQ CORP             COMMON  29078E105 $        211.00      3,800   SH         DEFINED       15,8         --       --      3,800
EMBARQ CORP             COMMON  29078E105 $        730.00     13,126   SH         DEFINED         21     13,126       --         --
EMBARQ CORP             COMMON  29078E105 $        123.00      2,214   SH         DEFINED       21,2      2,214       --         --
EMBARQ CORP             COMMON  29078E105 $      1,149.00     20,657   SH         DEFINED         22     20,657       --         --
EMBARQ CORP             COMMON  29078E105 $      9,052.00    162,808   SH         DEFINED         24    162,808       --         --
EMBARQ CORP             COMMON  29078E105 $      6,061.00    109,013   SH         DEFINED        3,1    109,013       --         --
EMBARQ CORP             COMMON  29078E105 $         63.00      1,134   SH         DEFINED          6        970       --        164
EMBARQ CORP             COMMON  29078E105 $      1,872.00     33,664   SH         DEFINED          8     33,664       --         --
EMBARQ CORP             COMMON  29078E105 $      3,481.00     62,600   SH         DEFINED          9     62,600       --         --
EMBARQ CORP             COMMON  29078E105 $      2,527.00     45,458   SH         DEFINED        9,2     45,458       --         --
EMBRAER AIRCRAFT
   CORP ADR             COMMON  29081M102 $      1,805.00     41,100   SH         DEFINED       1,12     41,100       --         --
EMBRAER AIRCRAFT
   CORP ADR             COMMON  29081M102 $     24,098.00    548,686   SH         DEFINED         12    480,786       --     67,900
EMBRAER AIRCRAFT
   CORP ADR             COMMON  29081M102 $      2,688.00     61,192   SH         DEFINED         15     61,192       --         --
EMBRAER AIRCRAFT
   CORP ADR             COMMON  29081M102 $         24.00        550   SH         DEFINED         23         --       --        550
EMBRAER AIRCRAFT
   CORP ADR             COMMON  29081M102 $      6,177.00    140,650   SH         DEFINED       5,12    140,650       --         --
EMBRAER AIRCRAFT
   CORP ADR             COMMON  29081M102 $        539.00     12,274   SH         DEFINED          6      7,130       --      5,144
EMCORE CORP             COMMON  290846104 $     44,055.00  4,589,042   SH         DEFINED         24  4,589,042       --         --
EMCOR GROUP INC         COMMON  29084Q100 $      1,052.00     33,556   SH         DEFINED         10     33,556       --         --
EMCOR GROUP INC         COMMON  29084Q100 $        496.00     15,802   SH         DEFINED       11,8     15,802       --         --
EMCOR GROUP INC         COMMON  29084Q100 $        452.00     14,426   SH         DEFINED         14     14,426       --         --
EMCOR GROUP INC         COMMON  29084Q100 $     13,864.00    442,080   SH         DEFINED         15    290,280       --    149,000
EMCOR GROUP INC         COMMON  29084Q100 $        521.00     16,600   SH         DEFINED       15,8         --       --     16,600
EMCOR GROUP INC         COMMON  29084Q100 $        270.00      8,600   SH         DEFINED         22      8,600       --         --
EMCOR GROUP INC         COMMON  29084Q100 $      1,307.00     41,682   SH         DEFINED         24     41,682       --         --
EMCOR GROUP INC         COMMON  29084Q100 $      1,283.00     40,900   SH         DEFINED       5,15     40,900       --         --
EMCOR GROUP INC         COMMON  29084Q100 $        179.00      5,705   SH         DEFINED          6         --       --      5,705
EMCOR GROUP INC         COMMON  29084Q100 $      1,463.00     46,644   SH         DEFINED          8     46,644       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
EMCOR GROUP INC         COMMON  29084Q100 $      9,130.00    291,126   SH         DEFINED          9    291,126       --         --
EMERGENCY MEDICAL
   SERVICES-A           COMMON  29100P102 $      3,151.00    104,154   SH         DEFINED         24    104,154       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $    197,018.00  3,701,961   SH         DEFINED          1  3,701,961       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $      3,323.00     62,442   SH         DEFINED       1,15     62,442       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $        442.00      8,300   SH         DEFINED      11,15      8,300       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $         46.00        872   SH         DEFINED         14        872       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $         46.00        872   SH         DEFINED       14,2        872       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $     15,479.00    290,850   SH         DEFINED         15    198,000       --     81,450
EMERSON ELECTRIC CO     COMMON  291011104 $      2,714.00     51,000   SH         DEFINED       15,8         --       --     51,000
EMERSON ELECTRIC CO     COMMON  291011104 $     12,418.00    233,336   SH         DEFINED          2    233,336       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $         57.00      1,069   SH         DEFINED         23        209       --        860
EMERSON ELECTRIC CO     COMMON  291011104 $     76,455.00  1,436,582   SH         DEFINED         24  1,436,582       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $     65,365.00  1,228,200   SH         DEFINED          3  1,228,200       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $        415.00      7,800   SH         DEFINED       5,15      7,800       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $     29,867.00    561,200   SH         DEFINED          6    485,579       --     75,621
EMERSON ELECTRIC CO     COMMON  291011104 $        851.00     15,990   SH         DEFINED          8     15,990       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $      2,529.00     47,516   SH         DEFINED          9     47,516       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $      1,341.00     25,200   SH         DEFINED       9,15     25,200       --         --
EMERSON ELECTRIC CO     COMMON  291011104 $        669.00     12,566   SH         DEFINED        9,2     12,566       --         --
EMMIS COMMUNICATIONS
   CL A                 COMMON  291525103 $        978.00    198,050   SH         DEFINED         15    176,350       --     21,700
EMMIS COMMUNICATIONS
   CL A                 COMMON  291525103 $            --         10   SH         DEFINED         23         --       --         10
EMMIS COMMUNICATIONS
   CL A                 COMMON  291525103 $         87.00     17,601   SH         DEFINED         24     17,601       --         --
EMMIS COMMUNICATIONS
   CL A                 COMMON  291525103 $        367.00     74,300   SH         DEFINED       5,15     74,300       --         --
EMPIRE DISTRICT
   ELECTRIC CO          COMMON  291641108 $        582.00     25,785   SH         DEFINED         24     25,785       --         --
EMPLOYERS HOLDINGS
   INC                  COMMON  292218104 $        561.00     27,205   SH         DEFINED         24     27,205       --         --
EMPRESA NAC
   ELEC-CHIL ADR        COMMON  29244T101 $         17.00        400   SH         DEFINED         24        400       --         --
EMULEX CORP             COMMON  292475209 $     22,799.00  1,189,310   SH         DEFINED          1  1,189,310       --         --
EMULEX CORP             COMMON  292475209 $        132.00      6,900   SH         DEFINED       1,15      6,900       --         --
EMULEX CORP             COMMON  292475209 $        754.00     39,319   SH         DEFINED         10     39,319       --         --
EMULEX CORP             COMMON  292475209 $        387.00     20,193   SH         DEFINED       11,8     20,193       --         --
EMULEX CORP             COMMON  292475209 $        153.00      7,982   SH         DEFINED         14      7,982       --         --
EMULEX CORP             COMMON  292475209 $     53,657.00  2,799,020   SH         DEFINED         15  1,737,820       --  1,044,400
EMULEX CORP             COMMON  292475209 $      2,310.00    120,500   SH         DEFINED       15,8         --       --    120,500
EMULEX CORP             COMMON  292475209 $     11,694.00    610,020   SH         DEFINED          2    610,020       --         --
EMULEX CORP             COMMON  292475209 $         55.00      2,881   SH         DEFINED         22      2,881       --         --
EMULEX CORP             COMMON  292475209 $      1,337.00     69,746   SH         DEFINED         24     69,746       --         --
EMULEX CORP             COMMON  292475209 $      3,173.00    165,500   SH         DEFINED       5,15    165,500       --         --
EMULEX CORP             COMMON  292475209 $      1,091.00     56,925   SH         DEFINED          8     56,925       --         --
EMULEX CORP             COMMON  292475209 $      4,120.00    214,925   SH         DEFINED          9    214,925       --         --
ENCANA CORPORATION      COMMON  292505104 $      4,336.00     70,100   SH         DEFINED       1,12     70,100       --         --
ENCANA CORP             COMMON  292505104 $         40.00        650   SH         DEFINED       1,15        650       --         --
ENCANA CORP             COMMON  292505104 $      3,185.00     51,500   SH         DEFINED      11,15     51,500       --         --
ENCANA CORP             COMMON  292505104 $    102,129.00  1,651,192   SH         DEFINED         12  1,182,142       --    469,050
ENCANA CORP             COMMON  292505104 $     46,648.00    754,209   SH         DEFINED         15    481,209       --    262,100
ENCANA CORP             COMMON  292505104 $      2,505.00     40,500   SH         DEFINED      15,14         --       --     40,500
ENCANA CORP             COMMON  292505104 $      1,138.00     18,400   SH         DEFINED       15,8         --       --     18,400
ENCANA CORPORATION      COMMON  292505104 $      4,687.00     75,785   SH         DEFINED          2     75,785       --         --
ENCANA CORPORATION      COMMON  292505104 $        462.00      7,469   SH         DEFINED         22      7,469       --         --
ENCANA CORP             COMMON  292505104 $         12.00        189   SH         DEFINED         23         18       --        171
ENCANA CORPORATION      COMMON  292505104 $         86.00      1,383   SH         DEFINED         24      1,383       --         --
ENCANA CORPORATION      COMMON  292505104 $     68,180.00  1,102,300   SH         DEFINED          3  1,102,300       --         --
ENCANA CORPORATION      COMMON  292505104 $     60,187.00    973,066   SH         DEFINED        3,1    973,066       --         --
ENCANA CORP             COMMON  292505104 $      9,225.00    149,153   SH         DEFINED          4    149,153       --         --
ENCANA CORPORATION      COMMON  292505104 $      8,239.00    133,200   SH         DEFINED       5,12    133,200       --         --
ENCANA CORP             COMMON  292505104 $      3,470.00     56,100   SH         DEFINED       5,15     56,100       --         --
ENCANA CORP             COMMON  292505104 $        402.00      6,500   SH         DEFINED          6      5,500       --      1,000
ENCANA CORPORATION      COMMON  292505104 $      1,989.00     32,157   SH         DEFINED          8     32,157       --         --
ENCANA CORPORATION      COMMON  292505104 $      4,525.00     73,158   SH         DEFINED          9     64,480   8,678          --
ENCANA CORP             COMMON  292505104 $     14,757.00    238,600   SH         DEFINED       9,15    238,600       --         --
ENBRIDGE INC            COMMON  29250N105 $        628.00     17,136   SH         DEFINED         22     17,136       --         --
ENBRIDGE INC            COMMON  29250N105 $     16,983.00    463,134   SH         DEFINED         24    463,134       --         --
ENBRIDGE INC            COMMON  29250N105 $        194.00      5,286   SH         DEFINED          8      5,286       --         --
ENBRIDGE INC            COMMON  29250N105 $      9,676.00    264,016   SH         DEFINED          9    264,016       --         --
ENBRIDGE INC            COMMON  29250N105 $        396.00     10,800   SH         DEFINED       9,15     10,800       --         --
ENBRIDGE ENERGY
   PARTNERS LP          COMMON  29250R106 $         10.00        200   SH         DEFINED         23         --       --        200




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ENBRIDGE ENERGY
   PARTNERS LP          COMMON  29250R106 $        220.00      4,500   SH         DEFINED          6      4,500       --         --
ENBRIDGE ENERGY
   MANAGEMENT L         COMMON  29250X103 $        381.00      7,682   SH         DEFINED         15      4,689       --      2,993
ENBRIDGE ENERGY
   MANAGEMENT L         COMMON  29250X103 $          1.00         27   SH         DEFINED         23         21       --          6
ENBRIDGE ENERGY
   MANAGEMENT L         COMMON  29250X103 $         35.00        712   SH         DEFINED         24        712       --         --
ENBRIDGE ENERGY
   MANAGEMENT L         COMMON  29250X103 $         51.00      1,031   SH         DEFINED       5,15      1,031       --         --
ENBRIDGE ENERGY
   MANAGEMENT L         COMMON  29250X103 $      1,017.00     20,507   SH         DEFINED          6     12,253       --      8,255
ENCORE CAPITAL GROUP
   INC                  COMMON  292554102 $        299.00     25,341   SH         DEFINED         24     25,341       --         --
ENCORE ACQUISITION
   CO                   COMMON  29255W100 $        179.00      5,658   SH         DEFINED         24      5,658       --         --
ENCORE ACQUISITION
   CO                   COMMON  29255W100 $        199.00      6,300   SH         DEFINED          6         --       --      6,300
ENCORE WIRE CORP        COMMON  292562105 $      1,282.00     50,995   SH         DEFINED         24     50,995       --         --
ENDESA ADR              COMMON  29258N107 $     16,808.00    294,355   SH         DEFINED         24    294,355       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $     19,224.00    619,935   SH         DEFINED          1    619,935       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $     17,598.00    567,500   SH         DEFINED        1,3    567,500       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $        102.00      3,300   SH         DEFINED         19      3,300       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $        769.00     24,792   SH         DEFINED          2     24,792       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $         19.00        608   SH         DEFINED       20,2         --       --        608
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $        750.00     24,200   SH         DEFINED       20,3     24,200       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $      1,199.00     38,666   SH         DEFINED       21,2         --       --     38,666
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $          3.00        107   SH         DEFINED         23        102       --          5
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $      6,790.00    218,973   SH         DEFINED         24    218,973       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $     53,219.00  1,716,203   SH         DEFINED          3  1,716,203       --         --
ENDO PHARMACEUTICAL
   HOLDINGS I           COMMON  29264F205 $      2,392.00     77,132   SH         DEFINED          6     44,872       --     32,260
ENERGY CONVERSION
   DEVICES              COMMON  292659109 $     24,807.00  1,091,845   SH         DEFINED         24  1,091,845       --         --
ENERGEN CORP            COMMON  29265N108 $     12,483.00    218,535   SH         DEFINED          1    218,535       --         --
ENERGEN CORP            COMMON  29265N108 $        234.00      4,100   SH         DEFINED         15      4,100       --         --
ENERGEN CORP            COMMON  29265N108 $     12,420.00    217,434   SH         DEFINED         24    217,434       --         --
ENERGEN CORP            COMMON  29265N108 $      1,451.00     25,400   SH         DEFINED          6     18,500       --      6,900
ENERGY EAST
   CORPORATION          COMMON  29266M109 $         19.00        700   SH         DEFINED         23        700       --         --
ENERGY EAST
   CORPORATION          COMMON  29266M109 $        918.00     33,945   SH         DEFINED         24     33,945       --         --
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $        155.00      1,400   SH         DEFINED      11,15      1,400       --         --
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $      4,179.00     37,700   SH         DEFINED         15     32,800       --      4,300
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $      1,153.00     10,400   SH         DEFINED       15,8         --       --     10,400
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $        265.00      2,391   SH         DEFINED         22      2,391       --         --
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $          1.00         12   SH         DEFINED         23         --       --         12
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $      6,440.00     58,100   SH         DEFINED         24     58,100       --         --
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $         11.00        100   SH         DEFINED          6        100       --         --
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $        131.00      1,181   SH         DEFINED          8      1,181       --         --
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $        852.00      7,682   SH         DEFINED          9      7,682       --         --
ENERGIZER HOLDINGS
   INC                  COMMON  29266R108 $        898.00      8,100   SH         DEFINED       9,15      8,100       --         --
ENERGY PARTNERS LTD     COMMON  29270U105 $         60.00      4,097   SH         DEFINED         24      4,097       --         --
ENERGY TRANSFER
   PARTNERS LP          COMMON  29273R109 $          8.00        157   SH         DEFINED          6        157       --         --
ENERGY TRANSFER
   EQUITY LP            COMMON  29273V100 $        129.00      3,755   SH         DEFINED         24      3,755       --         --
ENERGY TRANSFER
   EQUITY LP            COMMON  29273V100 $        265.00      7,730   SH         DEFINED          6      1,910       --      5,820
ENERPLUS RESOURCES
   FUND                 COMMON  29274D604 $         19.00        410   SH         DEFINED          6         --       --        410
ENERSIS SA ADR          COMMON  29274F104 $        917.00     51,663   SH         DEFINED         24     51,663       --         --
ENERSIS SA ADR          COMMON  29274F104 $      5,015.00    282,700   SH         DEFINED          9    282,700       --         --
ENERSIS SA ADR          COMMON  29274F104 $        497.00     28,000   SH         DEFINED       9,15     28,000       --         --
ENERSIS SA ADR          COMMON  29274F104 $      1,382.00     77,900   SH         DEFINED       9,22     77,900       --         --
ENERSYS INC             COMMON  29275Y102 $      2,010.00    113,103   SH         DEFINED         24    113,103       --         --
ENERNOC INC             COMMON  292764107 $      2,376.00     62,226   SH         DEFINED          1     62,226       --         --
ENERNOC INC             COMMON  292764107 $      1,049.00     27,464   SH         DEFINED         24     27,464       --         --
ENGLOBAL CORP           COMMON  293306106 $        251.00     21,968   SH         DEFINED         24     21,968       --         --
ENNIS BUSINESS FORMS    COMMON  293389102 $        183.00      8,300   SH         DEFINED         15      8,300       --         --
ENNIS BUSINESS FORMS    COMMON  293389102 $        475.00     21,550   SH         DEFINED         24     21,550       --         --
ENPRO INDUSTRIES INC    COMMON  29355X107 $      4,799.00    118,200   SH         DEFINED         15     85,000       --     33,200
ENPRO INDUSTRIES INC    COMMON  29355X107 $        876.00     21,578   SH         DEFINED         24     21,578       --         --
ENPRO INDUSTRIES INC    COMMON  29355X107 $      1,157.00     28,500   SH         DEFINED       5,15     28,500       --         --
ENPRO INDUSTRIES INC    COMMON  29355X107 $        104.00      2,565   SH         DEFINED          6         --       --      2,565
ENTEGRIS INC            COMMON  29362U104 $      4,691.00    540,384   SH         DEFINED         24    540,384       --         --
ENTERASYS NETWORKS
   INC                  COMMON  293637401 $            --          2   SH         DEFINED         15          2       --         --
ENTERCOM
   COMMUNICATIONS
   CORP                 COMMON  293639100 $     10,350.00    535,460   SH         DEFINED         15    297,760       --    232,700
ENTERCOM
   COMMUNICATIONS
   CORP                 COMMON  293639100 $        178.00      9,200   SH         DEFINED       15,8         --       --      9,200
ENTERCOM
   COMMUNICATIONS
   CORP                 COMMON  293639100 $        163.00      8,422   SH         DEFINED         24      8,422       --         --
ENTERCOM
   COMMUNICATIONS
   CORP                 COMMON  293639100 $        255.00     13,200   SH         DEFINED       5,15     13,200       --         --
ENTERGY CORP            COMMON  29364G103 $     23,824.00    220,000   SH         DEFINED          1    220,000       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ENTERGY CORP            COMMON  29364G103 $        368.00      3,396   SH         DEFINED       1,15      3,396       --         --
ENTERGY CORP            COMMON  29364G103 $        336.00      3,100   SH         DEFINED      11,15      3,100       --         --
ENTERGY CORP            COMMON  29364G103 $     12,393.00    114,440   SH         DEFINED         15     92,240       --     18,600
ENTERGY CORP            COMMON  29364G103 $        401.00      3,700   SH         DEFINED      15,14         --       --      3,700
ENTERGY CORP            COMMON  29364G103 $        103.00        950   SH         DEFINED         23        750       --        200
ENTERGY CORP            COMMON  29364G103 $      8,835.00     81,591   SH         DEFINED         24     81,591       --         --
ENTERGY CORP            COMMON  29364G103 $        552.00      5,100   SH         DEFINED       5,15      5,100       --         --
ENTERGY CORP            COMMON  29364G103 $         46.00        421   SH         DEFINED          6        136       --        285
ENTERGY CORP            COMMON  29364G103 $        734.00      6,775   SH         DEFINED          8      6,775       --         --
ENTERGY CORP            COMMON  29364G103 $      1,646.00     15,200   SH         DEFINED       9,15     15,200       --         --
ENTERGY CORPORATION
   CVT PFD 7.           CONVERT  29364G202 $          1.00         15   SH         DEFINED         23         --       --         15
ENTERPRISE PRODUCTS
   PARTNERS             COMMON  293792107 $         27.00        891   SH         DEFINED         23        774       --        117
ENTERPRISE PRODUCTS
   PARTNERS             COMMON  293792107 $     11,873.00    392,487   SH         DEFINED          6    335,441       --     57,046
ENTERTAINMENT
   PROPERTIES TR        COMMON  29380T105 $      2,123.00     41,800   SH         DEFINED       1,15     41,800       --         --
ENTERTAINMENT
   PROPERTIES TR        COMMON  29380T105 $     12,964.00    255,200   SH         DEFINED         15    173,800       --     81,400
ENTERTAINMENT
   PROPERTIES TR        COMMON  29380T105 $        120.00      2,369   SH         DEFINED         24      2,369       --         --
ENTERTAINMENT
   PROPERTIES TR        COMMON  29380T105 $      2,606.00     51,300   SH         DEFINED       5,15     51,300       --         --
ENTERTAINMENT
   PROP TRUST 5.75     CONVERT  29380T402 $      6,087.00    280,000   SH         DEFINED       1,15    280,000       --         --
ENTERTAINMENT
   PROP TRUST 5.75     CONVERT  29380T402 $      1,004.00     46,200   SH         DEFINED       2,15     46,200       --         --
ENTRAVISION
   COMMUNICATIONS       COMMON  29382R107 $      1,678.00    181,942   SH         DEFINED         24    181,942       --         --
ENTRUST INC             COMMON  293848107 $            --         25   SH         DEFINED         23         --       --         25
ENZON
   PHARMACEUTICALS
   INC                  COMMON  293904108 $      7,232.00    820,900   SH         DEFINED         15    576,900       --    244,000
ENZON
   PHARMACEUTICALS
   INC                  COMMON  293904108 $         15.00      1,660   SH         DEFINED         24      1,660       --         --
ENZON
   PHARMACEUTICALS
   INC                  COMMON  293904108 $      1,713.00    194,400   SH         DEFINED       5,15    194,400       --         --
ENZON
   PHARMACEUTICALS
   INC                  COMMON  293904108 $        106.00     12,054   SH         DEFINED          6         --       --     12,054
ENZO BIOCHEM INC        COMMON  294100102 $         13.00      1,135   SH         DEFINED         24      1,135       --         --
EPICOR SOFTWARE CORP    COMMON  29426L108 $      8,444.00    613,209   SH         DEFINED          1    613,209       --         --
EPICOR SOFTWARE CORP    COMMON  29426L108 $         38.00      2,729   SH         DEFINED         24      2,729       --         --
EQUIFAX INC             COMMON  294429105 $     12,151.00    318,761   SH         DEFINED          1    318,761       --         --
EQUIFAX INC             COMMON  294429105 $         94.00      2,476   SH         DEFINED       1,15      2,476       --         --
EQUIFAX INC             COMMON  294429105 $         50.00      1,304   SH         DEFINED         14      1,304       --         --
EQUIFAX INC             COMMON  294429105 $         50.00      1,304   SH         DEFINED       14,2      1,304       --         --
EQUIFAX INC             COMMON  294429105 $        236.00      6,190   SH         DEFINED         24      6,190       --         --
EQUIFAX INC             COMMON  294429105 $        133.00      3,481   SH         DEFINED          8      3,481       --         --
EQUINIX INC             COMMON  29444U502 $         44.00        496   SH         DEFINED         24        496       --         --
EQUITABLE RESOURCES
   INC                  COMMON  294549100 $     16,080.00    310,000   SH         DEFINED          1    310,000       --         --
EQUITABLE RESOURCES
   INC                  COMMON  294549100 $          6.00        110   SH         DEFINED         23         72       --         38
EQUITABLE RESOURCES
   INC                  COMMON  294549100 $      1,825.00     35,189   SH         DEFINED         24     35,189       --         --
EQUITABLE RESOURCES
   INC                  COMMON  294549100 $      4,948.00     95,387   SH         DEFINED          6     78,457       --     16,930
EQUITY INNS INC         COMMON  294703103 $      3,949.00    174,900   SH         DEFINED         15     89,500       --     85,400
EQUITY INNS INC         COMMON  294703103 $        166.00      7,358   SH         DEFINED         24      7,358       --         --
EQUITY LIFESTYLE
   PROPERTIES           COMMON  29472R108 $      2,450.00     47,300   SH         DEFINED         15     47,300       --         --
EQUITY LIFESTYLE
   PROPERTIES           COMMON  29472R108 $        168.00      3,234   SH         DEFINED         24      3,234       --         --
EQUITY ONE INC          COMMON  294752100 $      4,322.00    158,900   SH         DEFINED         15    122,500       --     35,200
EQUITY ONE INC          COMMON  294752100 $        209.00      7,700   SH         DEFINED       15,8         --       --      7,700
EQUITY ONE INC          COMMON  294752100 $        180.00      6,626   SH         DEFINED         24      6,626       --         --
EQUITY ONE INC          COMMON  294752100 $        636.00     23,400   SH         DEFINED       5,15     23,400       --         --
EQUUS TOTAL RETURN
   INC                  COMMON  294766100 $            --          3   SH         DEFINED         23         --       --          3
EQUITY RESIDENTIAL      COMMON  29476L107 $     49,947.00  1,179,111   SH         DEFINED       1,15  1,179,111       --         --
EQUITY RESIDENTIAL      COMMON  29476L107 $    133,353.00  3,148,083   SH         DEFINED         15  2,025,852       --    902,800
EQUITY RESIDENTIAL      COMMON  29476L107 $      7,011.00    165,500   SH         DEFINED       2,15    165,500       --         --
EQUITY RESIDENTIAL      COMMON  29476L107 $      2,076.00     49,000   SH         DEFINED      20,15     49,000       --         --
EQUITY RESIDENTIAL      COMMON  29476L107 $          1.00         12   SH         DEFINED         23         --       --         12
EQUITY RESIDENTIAL      COMMON  29476L107 $      1,019.00     24,047   SH         DEFINED         24     24,047       --         --
EQUITY RESIDENTIAL      COMMON  29476L107 $     11,638.00    274,736   SH         DEFINED       5,15    274,736       --         --
EQUITY RESIDENTIAL      COMMON  29476L107 $         40.00        940   SH         DEFINED          6         --       --        940
ERESEARCH TECHNOLOGY
   INC                  COMMON  29481V108 $      1,194.00    104,832   SH         DEFINED         24    104,832       --         --
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $     12,958.00    325,575   SH         DEFINED          1    325,575       --         --
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $    129,317.00  3,249,177   SH         DEFINED         12  3,249,177       --         --
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $      2,901.00     72,899   SH         DEFINED         15     72,899       --         --
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $      2,700.00     67,827   SH         DEFINED       21,2     67,827       --         --
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $            --          8   SH         DEFINED         23         --       --          8
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $      1,663.00     41,791   SH         DEFINED         24     41,791       --         --
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $          4.00        100   SH         DEFINED          4        100       --         --
ERICSSON (LM) TEL
   ADR                  COMMON  294821608 $        682.00     17,140   SH         DEFINED          6     16,580       --        560




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ERIE INDEMNITY
   COMPANY CL A         COMMON  29530P102 $     10,325.00    168,895   SH         DEFINED         24    168,895       --         --
ESCO ELECTRONICS
   CORP                 COMMON  296315104 $      1,128.00     33,922   SH         DEFINED         24     33,922       --         --
ESCO ELECTRONICS
   CORP                 COMMON  296315104 $        457.00     13,750   SH         DEFINED          6     12,550       --      1,200
ESPEED INC CL A         COMMON  296643109 $         51.00      5,941   SH         DEFINED         24      5,941       --         --
ESSEX PROPERTY TRUST
   INC                  COMMON  297178105 $     62,171.00    528,800   SH         DEFINED       1,15    528,800       --         --
ESSEX PROPERTY TRUST
   INC                  COMMON  297178105 $    143,479.00  1,220,368   SH         DEFINED         15    766,456       --    363,500
ESSEX PROPERTY TRUST
   INC                  COMMON  297178105 $      8,465.00     72,000   SH         DEFINED       2,15     72,000       --         --
ESSEX PROPERTY TRUST
   INC                  COMMON  297178105 $      2,375.00     20,200   SH         DEFINED      20,15     20,200       --         --
ESSEX PROPERTY TRUST
   INC                  COMMON  297178105 $        201.00      1,710   SH         DEFINED         24      1,710       --         --
ESSEX PROPERTY TRUST
   INC                  COMMON  297178105 $     13,288.00    113,024   SH         DEFINED       5,15    113,024       --         --
ESTERLINE
   TECHNOLOGIES CORP    COMMON  297425100 $      2,954.00     51,780   SH         DEFINED         24     51,780       --         --
ETHAN ALLEN
   INTERIORS INC        COMMON  297602104 $        169.00      5,180   SH         DEFINED         24      5,180       --         --
ETHAN ALLEN
   INTERIORS INC        COMMON  297602104 $         94.00      2,890   SH         DEFINED          6         --       --      2,890
EURONET WORLDWIDE
   INC                  COMMON  298736109 $     51,902.00  1,743,436   SH         DEFINED          1  1,743,436       --         --
EURONET WORLDWIDE
   INC                  COMMON  298736109 $     12,044.00    404,581   SH         DEFINED          2    404,581       --         --
EURONET WORLDWIDE
   INC                  COMMON  298736109 $          4.00        137   SH         DEFINED         23        128       --          9
EURONET WORLDWIDE
   INC                  COMMON  298736109 $         69.00      2,322   SH         DEFINED         24      2,322       --         --
EURONET WORLDWIDE
   INC                  COMMON  298736109 $      7,922.00    266,100   SH         DEFINED          3    266,100       --         --
EURONET WORLDWIDE
   INC                  COMMON  298736109 $      2,958.00     99,356   SH         DEFINED          6     56,056       --     43,300
EVERCORE PARTNERS
   INC-CL A             COMMON  29977A105 $      1,564.00     59,483   SH         DEFINED         24     59,483       --         --
EVERGREEN ENERGY INC    COMMON  30024B104 $            --         11   SH         DEFINED         23         --       --         11
EVERGREEN SOLAR INC     COMMON  30033R108 $     35,088.00  3,929,269   SH         DEFINED         24  3,929,269       --         --
EVERGREEN SOLAR INC     COMMON  30033R108 $        134.00     15,000   SH         DEFINED          6     15,000       --         --
EXAR CORP               COMMON  300645108 $        505.00     38,699   SH         DEFINED         24     38,699       --         --
EXCEL TECHNOLOGY INC    COMMON  30067T103 $         27.00      1,083   SH         DEFINED         24      1,083       --         --
EXELON CORPORATION      COMMON  30161N101 $     55,224.00    732,800   SH         DEFINED          1    732,800       --         --
EXELON CORPORATION      COMMON  30161N101 $        882.00     11,704   SH         DEFINED       1,15     11,704       --         --
EXELON CORPORATION      COMMON  30161N101 $      1,025.00     13,600   SH         DEFINED         15      6,500       --      6,300
EXELON CORPORATION      COMMON  30161N101 $        625.00      8,300   SH         DEFINED       15,8         --       --      8,300
EXELON CORPORATION      COMMON  30161N101 $         18.00        243   SH         DEFINED         23         60       --        183
EXELON CORPORATION      COMMON  30161N101 $      4,005.00     53,148   SH         DEFINED         24     53,148       --         --
EXELON CORPORATION      COMMON  30161N101 $      7,669.00    101,760   SH         DEFINED          6     75,470       --     26,290
EXELON CORPORATION      COMMON  30161N101 $        844.00     11,206   SH         DEFINED          8     11,206       --         --
EXELON CORPORATION      COMMON  30161N101 $        652.00      8,652   SH         DEFINED          9      8,652       --         --
EXELIXIS INC            COMMON  30161Q104 $      5,963.00    563,087   SH         DEFINED         24    563,087       --         --
EXELIXIS INC            COMMON  30161Q104 $     12,098.00  1,142,400   SH         DEFINED          3  1,142,400       --         --
EXFO ELECTRO-OPTICAL
   ENGINEE              COMMON  302043104 $        431.00     63,922   SH         DEFINED         24     63,922       --         --
EXIDE TECHNOLOGIES      COMMON  302051206 $      2,105.00    323,825   SH         DEFINED         24    323,825       --         --
EXLSERVICE HOLDINGS
   INC                  COMMON  302081104 $        292.00     13,719   SH         DEFINED         24     13,719       --         --
EXPEDIA INC             COMMON  30212P105 $     25,345.00    795,000   SH         DEFINED          1    795,000       --         --
EXPEDIA INC             COMMON  30212P105 $        265.00      8,300   SH         DEFINED      11,15      8,300       --         --
EXPEDIA INC             COMMON  30212P105 $     22,435.00    703,720   SH         DEFINED         15    446,420       --    240,200
EXPEDIA INC             COMMON  30212P105 $        360.00     11,300   SH         DEFINED      15,14         --       --     11,300
EXPEDIA INC             COMMON  30212P105 $      1,100.00     34,500   SH         DEFINED       15,8         --       --     34,500
EXPEDIA INC             COMMON  30212P105 $      8,157.00    255,853   SH         DEFINED          2    255,853       --         --
EXPEDIA INC             COMMON  30212P105 $        535.00     16,769   SH         DEFINED         21     16,769       --         --
EXPEDIA INC             COMMON  30212P105 $          4.00        116   SH         DEFINED         23         --       --        116
EXPEDIA INC             COMMON  30212P105 $      3,438.00    107,856   SH         DEFINED         24    107,856       --         --
EXPEDIA INC             COMMON  30212P105 $        398.00     12,470   SH         DEFINED          4     12,470       --         --
EXPEDIA INC             COMMON  30212P105 $        488.00     15,300   SH         DEFINED       5,15     15,300       --         --
EXPEDIA INC             COMMON  30212P105 $         12.00        373   SH         DEFINED          6         --       --        373
EXPEDIA INC             COMMON  30212P105 $        592.00     18,575   SH         DEFINED          8     18,575       --         --
EXPEDIA INC             COMMON  30212P105 $      1,302.00     40,853   SH         DEFINED          9     40,853       --         --
EXPEDIA INC             COMMON  30212P105 $      1,310.00     41,100   SH         DEFINED       9,15     41,100       --         --
EXPEDITORS INTL WASH
   INC                  COMMON  302130109 $      3,675.00     77,688   SH         DEFINED         24     77,688       --         --
EXPEDITORS INTL WASH
   INC                  COMMON  302130109 $      1,451.00     30,666   SH         DEFINED          6         --       --     30,666
EXPEDITORS INTL WASH
   INC                  COMMON  302130109 $        239.00      5,052   SH         DEFINED          8      5,052       --         --
EXPONENT INC            COMMON  30214U102 $        526.00     20,950   SH         DEFINED         24     20,950       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $    187,385.00  3,356,956   SH         DEFINED          1  3,356,956       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $        250.00      4,475   SH         DEFINED       1,15      4,475       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $        229.00      4,100   SH         DEFINED         19      4,100       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $     20,303.00    363,720   SH         DEFINED          2    350,520       --     13,200
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $         56.00        998   SH         DEFINED       20,2         --       --        998
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $      3,522.00     63,094   SH         DEFINED       21,2         --       --     63,094
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $      1,441.00     25,824   SH         DEFINED         22     25,824       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $         26.00        469   SH         DEFINED         23        469       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $     45,701.00    818,728   SH         DEFINED         24    818,728       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $        315.00      5,639   SH         DEFINED          4      5,639       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $     20,265.00    363,039   SH         DEFINED          6    257,360       --    105,679
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $        275.00      4,932   SH         DEFINED          8      4,932       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $     21,730.00    389,286   SH         DEFINED          9    389,286       --         --
EXPRESS SCRIPTS INC
   -COMMON              COMMON  302182100 $        446.00      7,991   SH         DEFINED        9,2      7,991       --         --
EXPRESSJET HOLDINGS     COMMON  30218U108 $        305.00     98,586   SH         DEFINED         24     98,586       --         --
EXTRA SPACE STORAGE
   INC                  COMMON  30225T102 $        810.00     52,638   SH         DEFINED         15     52,638       --         --
EXTRA SPACE STORAGE
   INC                  COMMON  30225T102 $         48.00      3,101   SH         DEFINED         24      3,101       --         --
EXTERRAN HOLDINGS
   INC                  COMMON  30225X103 $          6.00         71   SH         DEFINED         15         --       --         71
EXTERRAN HOLDINGS
   INC                  COMMON  30225X103 $         21.00        257   SH         DEFINED         23         --       --        257
EXTERRAN HOLDINGS
   INC                  COMMON  30225X103 $     13,406.00    166,860   SH         DEFINED         24    166,860       --         --
EXTREME NETWORKS INC    COMMON  30226D106 $         45.00     11,837   SH         DEFINED         24     11,837       --         --
EZCORP INC              COMMON  302301106 $      5,362.00    398,100   SH         DEFINED         15    264,900       --    133,200
EZCORP INC              COMMON  302301106 $        260.00     19,267   SH         DEFINED         24     19,267       --         --
EZCORP INC              COMMON  302301106 $      1,193.00     88,600   SH         DEFINED       5,15     88,600       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $    300,718.00  3,248,898   SH         DEFINED          1  3,248,898       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     19,742.00    213,289   SH         DEFINED       1,15    213,289       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     11,964.00    129,253   SH         DEFINED         10    129,253       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      9,376.00    101,300   SH         DEFINED      11,15    101,300       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      5,806.00     62,732   SH         DEFINED       11,8     62,732       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     27,892.00    301,344   SH         DEFINED         12     83,944       --    217,400
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $        324.00      3,500   SH         DEFINED      12,14      3,500       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      3,666.00     39,607   SH         DEFINED         14     39,607       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      7,775.00     84,000   SH         DEFINED       14,2         --       --     84,000
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $    608,233.00  6,571,225   SH         DEFINED         15  4,958,680       --  1,424,545
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     14,736.00    159,200   SH         DEFINED      15,14         --       --    159,200
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     44,114.00    476,600   SH         DEFINED       15,8         --       --    476,600
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      7,660.00     82,758   SH         DEFINED          2     82,758       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $         25.00        270   SH         DEFINED      20,12        270       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $        787.00      8,500   SH         DEFINED      20,15         --       --      8,500
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      5,137.00     55,495   SH         DEFINED         21     55,495       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      2,681.00     28,960   SH         DEFINED      21,15         --       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $        374.00      4,040   SH         DEFINED       21,2      4,040       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     11,069.00    119,591   SH         DEFINED         22    119,591       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $         18.00        196   SH         DEFINED         23        196       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     72,483.00    783,095   SH         DEFINED         24    783,095       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      5,776.00     62,400   SH         DEFINED          3     62,400       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $          2.00         20   SH         DEFINED          4         20       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     24,519.00    264,895   SH         DEFINED       5,15    259,200       --      5,695
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     43,561.00    470,626   SH         DEFINED          6    380,797       --     89,829
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $      1,805.00     19,500   SH         DEFINED          7     19,500       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     38,870.00    419,948   SH         DEFINED          8    419,948       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $    153,673.00  1,660,250   SH         DEFINED          9  1,660,250       --         --
EXXON MOBIL
   CORPORATION          COMMON  30231G102 $     45,262.00    489,000   SH         DEFINED       9,15    467,600       --     21,400
FBL FINANCIAL GROUP
   INC CL A             COMMON  30239F106 $        470.00     11,900   SH         DEFINED         15     11,900       --         --
FBL FINANCIAL GROUP
   INC CL A             COMMON  30239F106 $      3,015.00     76,352   SH         DEFINED         24     76,352       --         --
FBL FINANCIAL GROUP
   INC CL A             COMMON  30239F106 $        276.00      7,000   SH         DEFINED       5,15      7,000       --         --
FEI COMPANY             COMMON  30241L109 $      9,108.00    289,799   SH         DEFINED         24    289,799       --         --
FEI COMPANY             COMMON  30241L109 $         11.00        360   SH         DEFINED          6        360       --         --
FLIR SYSTEMS INC        COMMON  302445101 $      4,536.00     81,900   SH         DEFINED         15     42,200       --     38,300
FLIR SYSTEMS INC        COMMON  302445101 $         12.00        208   SH         DEFINED         23         --       --        208
FLIR SYSTEMS INC        COMMON  302445101 $      8,157.00    147,268   SH         DEFINED         24    147,268       --         --
FBR CAPITAL MARKETS
   CORP                 COMMON  30247C301 $      9,363.00    718,557   SH         DEFINED          1    718,557       --         --
FBR CAPITAL MARKETS
   CORP                 COMMON  30247C301 $        316.00     24,268   SH         DEFINED          2         --       --     24,268
FBR CAPITAL MARKETS
   CORP                 COMMON  30247C301 $        208.00     15,968   SH         DEFINED         24     15,968       --         --
FMC CORP                COMMON  302491303 $      7,373.00    141,726   SH         DEFINED          1    141,726       --         --
FMC CORP                COMMON  302491303 $      1,643.00     31,576   SH         DEFINED         24     31,576       --         --
FMC TECHNOLOGIES COM    COMMON  30249U101 $    105,957.00  1,837,612   SH         DEFINED          1  1,837,612       --         --
FMC TECHNOLOGIES COM    COMMON  30249U101 $      5,478.00     95,000   SH         DEFINED       14,2         --       --     95,000
FMC TECHNOLOGIES COM    COMMON  30249U101 $        988.00     17,143   SH         DEFINED         15     17,143       --         --
FMC TECHNOLOGIES COM    COMMON  30249U101 $     16,530.00    286,680   SH         DEFINED          2    286,680       --         --
FMC TECHNOLOGIES COM    COMMON  30249U101 $         31.00        533   SH         DEFINED         23          3       --        530
FMC TECHNOLOGIES COM    COMMON  30249U101 $     18,488.00    320,640   SH         DEFINED         24    320,640       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
FMC TECHNOLOGIES COM    COMMON  30249U101 $     27,450.00    476,071   SH         DEFINED          4    476,071       --         --
FMC TECHNOLOGIES COM    COMMON  30249U101 $        181.00      3,132   SH         DEFINED          6      3,000       --        132
FNB CORP/PA             COMMON  302520101 $     11,558.00    698,780   SH         DEFINED         24    698,780       --         --
FPIC INSURANCE GROUP
   INC                  COMMON  302563101 $      6,926.00    160,880   SH         DEFINED          1    160,880       --         --
FPIC INSURANCE GROUP
   INC                  COMMON  302563101 $        392.00      9,100   SH         DEFINED         15      9,100       --         --
FPIC INSURANCE GROUP
   INC                  COMMON  302563101 $        758.00     17,616   SH         DEFINED         24     17,616       --         --
FPIC INSURANCE GROUP
   INC                  COMMON  302563101 $        220.00      5,100   SH         DEFINED       5,15      5,100       --         --
FPL GROUP INC           COMMON  302571104 $     21,369.00    351,000   SH         DEFINED          1    351,000       --         --
FPL GROUP INC           COMMON  302571104 $        430.00      7,062   SH         DEFINED       1,15      7,062       --         --
FPL GROUP INC           COMMON  302571104 $      1,041.00     17,100   SH         DEFINED         15     12,200       --      3,600
FPL GROUP INC           COMMON  302571104 $        225.00      3,700   SH         DEFINED       15,8         --       --      3,700
FPL GROUP INC           COMMON  302571104 $          2.00         28   SH         DEFINED         23         --       --         28
FPL GROUP INC           COMMON  302571104 $      3,456.00     56,774   SH         DEFINED         24     56,774       --         --
FPL GROUP INC           COMMON  302571104 $        806.00     13,243   SH         DEFINED          6      3,994       --      9,249
FPL GROUP INC           COMMON  302571104 $        419.00      6,876   SH         DEFINED          8      6,876       --         --
FPL GROUP INC           COMMON  302571104 $        614.00     10,087   SH         DEFINED          9     10,087       --         --
FTD GROUP INC           COMMON  30267U108 $        569.00     38,268   SH         DEFINED         24     38,268       --         --
FX ENERGY INC           COMMON  302695101 $        238.00     31,981   SH         DEFINED         24     31,981       --         --
FTI CONSULTING INC      COMMON  302941109 $     12,567.00    249,800   SH         DEFINED        1,3    249,800       --         --
FTI CONSULTING INC      COMMON  302941109 $        473.00      9,400   SH         DEFINED       20,3      9,400       --         --
FTI CONSULTING INC      COMMON  302941109 $      4,569.00     90,824   SH         DEFINED         24     90,824       --         --
FTI CONSULTING INC      COMMON  302941109 $      3,995.00     79,400   SH         DEFINED          3     79,400       --         --
FACTSET RESEARCH
   SYSTEMS INC          COMMON  303075105 $      7,471.00    108,979   SH         DEFINED         24    108,979       --         --
FACTSET RESEARCH
   SYSTEMS INC          COMMON  303075105 $          4.00         60   SH         DEFINED          6         60       --         --
FAIR ISAAC CORP         COMMON  303250104 $     24,988.00    692,010   SH         DEFINED         15    388,510       --    300,700
FAIR ISAAC CORP         COMMON  303250104 $            --          5   SH         DEFINED         23         --       --          5
FAIR ISAAC CORP         COMMON  303250104 $      2,512.00     69,561   SH         DEFINED         24     69,561       --         --
FAIR ISAAC CORP         COMMON  303250104 $      1,459.00     40,400   SH         DEFINED       5,15     40,400       --         --
FAIRCHILD SEMICON
   INTL CL A            COMMON  303726103 $      1,071.00     57,332   SH         DEFINED         24     57,332       --         --
FAIRCHILD SEMICON
   INTL CL A            COMMON  303726103 $        135.00      7,231   SH         DEFINED          6         --       --      7,231
FAIRFAX FINANCIAL
   HLDGS LTD            COMMON  303901102 $         73.00        300   SH         DEFINED         24        300       --         --
FAIRFAX FINANCIAL
   HLDGS LTD            COMMON  303901102 $         52.00        214   SH         DEFINED          8        214       --         --
FAIRPOINT
   COMMUNICATIONS
   INC                  COMMON  305560104 $         81.00      4,293   SH         DEFINED         24      4,293       --         --
FALCONSTOR SOFTWARE
   INC                  COMMON  306137100 $        274.00     22,751   SH         DEFINED         24     22,751       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $    195,409.00  7,357,252   SH         DEFINED          1  7,357,252       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $         67.00      2,527   SH         DEFINED       1,15      2,527       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $        470.00     17,700   SH         DEFINED      11,15     17,700       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $         43.00      1,605   SH         DEFINED         14      1,605       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $         43.00      1,605   SH         DEFINED       14,2      1,605       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $     21,685.00    816,440   SH         DEFINED         15    468,640       --    340,300
FAMILY DOLLAR STORES    COMMON  307000109 $      1,325.00     49,900   SH         DEFINED       15,8         --       --     49,900
FAMILY DOLLAR STORES    COMMON  307000109 $     19,548.00    736,012   SH         DEFINED          2    736,012       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $        322.00     12,119   SH         DEFINED       21,2     12,119       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $          5.00        200   SH         DEFINED         22        200       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $      1,458.00     54,893   SH         DEFINED         24     54,893       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $        195.00      7,336   SH         DEFINED          4      7,336       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $          8.00        309   SH         DEFINED          6         --       --        309
FAMILY DOLLAR STORES    COMMON  307000109 $         82.00      3,082   SH         DEFINED          8      3,082       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $        297.00     11,197   SH         DEFINED          9     11,197       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $      2,837.00    106,800   SH         DEFINED       9,15    106,800       --         --
FAMILY DOLLAR STORES    COMMON  307000109 $        846.00     31,863   SH         DEFINED        9,2     31,863       --         --
FARMER BROS CO          COMMON  307675108 $        103.00      4,123   SH         DEFINED         15      4,123       --         --
FARMER BROS CO          COMMON  307675108 $         58.00      2,342   SH         DEFINED         24      2,342       --         --
FARMER BROS CO          COMMON  307675108 $         62.00      2,500   SH         DEFINED       5,15      2,500       --         --
FARMERS CAPITAL BANK
   CORP                 COMMON  309562106 $         37.00      1,286   SH         DEFINED         24      1,286       --         --
FARO TECHNOLOGIES
   INC                  COMMON  311642102 $        617.00     13,966   SH         DEFINED         15      9,366       --      4,600
FARO TECHNOLOGIES
   INC                  COMMON  311642102 $      1,464.00     33,159   SH         DEFINED         24     33,159       --         --
FARO TECHNOLOGIES
   INC                  COMMON  311642102 $        128.00      2,900   SH         DEFINED       5,15      2,900       --         --
FASTENAL CO             COMMON  311900104 $         18.00        400   SH         DEFINED         23         --       --        400
FASTENAL CO             COMMON  311900104 $      2,195.00     48,332   SH         DEFINED         24     48,332       --         --
FASTENAL CO             COMMON  311900104 $          6.00        131   SH         DEFINED          6         --       --        131
FASTENAL CO             COMMON  311900104 $        123.00      2,701   SH         DEFINED          8      2,701       --         --
FEDERAL AGRIC MTG
   CORP CL C            COMMON  313148306 $        456.00     15,546   SH         DEFINED         24     15,546       --         --
FEDERAL AGRIC MTG
   CORP CL C            COMMON  313148306 $        131.00      4,450   SH         DEFINED          6         --       --      4,450
FREDDIE MAC             COMMON  313400301 $     26,381.00    447,053   SH         DEFINED          1    447,053       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
FREDDIE MAC             COMMON  313400301 $      1,442.00     24,436   SH         DEFINED       1,15     24,436       --         --
FREDDIE MAC             COMMON  313400301 $        490.00      8,300   SH         DEFINED      11,15      8,300       --         --
FREDDIE MAC             COMMON  313400301 $     29,147.00    493,928   SH         DEFINED         12    156,828       --    337,100
FREDDIE MAC             COMMON  313400301 $        391.00      6,625   SH         DEFINED      12,14      6,625       --         --
FREDDIE MAC             COMMON  313400301 $     42,253.00    716,023   SH         DEFINED         15    571,408       --    128,815
FREDDIE MAC             COMMON  313400301 $        738.00     12,500   SH         DEFINED      15,14         --       --     12,500
FREDDIE MAC             COMMON  313400301 $      2,431.00     41,200   SH         DEFINED       15,8         --       --     41,200
FREDDIE MAC             COMMON  313400301 $         30.00        510   SH         DEFINED      20,12        510       --         --
FREDDIE MAC             COMMON  313400301 $        956.00     16,200   SH         DEFINED      20,15         --       --     16,200
FREDDIE MAC             COMMON  313400301 $      2,354.00     39,900   SH         DEFINED      21,15         --       --         --
FREDDIE MAC             COMMON  313400301 $         61.00      1,026   SH         DEFINED         23        950       --         76
FREDDIE MAC             COMMON  313400301 $      6,535.00    110,748   SH         DEFINED         24    110,748       --         --
FREDDIE MAC             COMMON  313400301 $      1,668.00     28,265   SH         DEFINED       5,15     20,600       --      7,665
FREDDIE MAC             COMMON  313400301 $        454.00      7,694   SH         DEFINED          6      5,130       --      2,564
FREDDIE MAC             COMMON  313400301 $      1,305.00     22,114   SH         DEFINED          8     22,114       --         --
FREDDIE MAC             COMMON  313400301 $     71,427.00  1,210,430   SH         DEFINED          9  1,210,430       --         --
FREDDIE MAC             COMMON  313400301 $      4,713.00     79,863   SH         DEFINED       9,15     39,000       --     40,863
FANNIE MAE              COMMON  313586109 $    317,693.00  5,224,347   SH         DEFINED          1  5,224,347       --         --
FANNIE MAE              COMMON  313586109 $      2,148.00     35,317   SH         DEFINED       1,15     35,317       --         --
FANNIE MAE              COMMON  313586109 $        736.00     12,100   SH         DEFINED      11,15     12,100       --         --
FANNIE MAE              COMMON  313586109 $     43,827.00    720,716   SH         DEFINED         15    559,466       --    137,950
FANNIE MAE              COMMON  313586109 $      1,131.00     18,600   SH         DEFINED      15,14         --       --     18,600
FANNIE MAE              COMMON  313586109 $      3,685.00     60,600   SH         DEFINED       15,8         --       --     60,600
FANNIE MAE              COMMON  313586109 $          6.00         93   SH         DEFINED         23         --       --         93
FANNIE MAE              COMMON  313586109 $     14,345.00    235,896   SH         DEFINED          4    235,896       --         --
FANNIE MAE              COMMON  313586109 $      1,563.00     25,700   SH         DEFINED       5,15     25,700       --         --
FANNIE MAE              COMMON  313586109 $        542.00      8,918   SH         DEFINED          6      6,120       --      2,798
FANNIE MAE              COMMON  313586109 $      1,695.00     27,869   SH         DEFINED          8     27,869       --         --
FANNIE MAE              COMMON  313586109 $     56,677.00    932,040   SH         DEFINED          9    932,040       --         --
FANNIE MAE              COMMON  313586109 $      3,515.00     57,800   SH         DEFINED       9,15     57,800       --         --
FEDERAL REALTY INVS
   TRUST                COMMON  313747206 $     62,259.00    702,700   SH         DEFINED       1,15    702,700       --         --
FEDERAL REALTY INVS
   TRUST                COMMON  313747206 $    145,369.00  1,640,735   SH         DEFINED         15  1,046,937       --    475,468
FEDERAL REALTY INVS
   TRUST                COMMON  313747206 $      8,630.00     97,400   SH         DEFINED       2,15     97,400       --         --
FEDERAL REALTY INVS
   TRUST                COMMON  313747206 $      2,755.00     31,100   SH         DEFINED      20,15     31,100       --         --
FEDERAL REALTY INVS
   TRUST                COMMON  313747206 $         19.00        217   SH         DEFINED         23         --       --        217
FEDERAL REALTY INVS
   TRUST                COMMON  313747206 $        323.00      3,644   SH         DEFINED         24      3,644       --         --
FEDERAL REALTY INVS
   TRUST                COMMON  313747206 $     13,176.00    148,712   SH         DEFINED       5,15    148,712       --         --
FEDERAL SIGNAL CORP     COMMON  313855108 $        171.00     11,136   SH         DEFINED         24     11,136       --         --
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $     47,479.00  1,195,948   SH         DEFINED          1  1,195,948       --         --
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $         60.00      1,519   SH         DEFINED       1,15      1,519       --         --
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $     11,320.00    285,150   SH         DEFINED         15    132,250       --    151,200
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $        131.00      3,300   SH         DEFINED       15,8         --       --      3,300
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $          3.00         67   SH         DEFINED         23         --       --         67
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $        991.00     24,973   SH         DEFINED         24     24,973       --         --
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $      5,872.00    147,900   SH         DEFINED          9    147,900       --         --
FEDERATED INVESTORS
   INC CL B             COMMON  314211103 $      1,219.00     30,700   SH         DEFINED       9,22     30,700       --         --
FEDERATED PREMIER
   MUNI INC CF          COMMON  31423P108 $            --          7   SH         DEFINED         23         --       --          7
FEDEX CORPORATION       COMMON  31428X106 $     12,546.00    119,775   SH         DEFINED          1    119,775       --         --
FEDEX CORPORATION       COMMON  31428X106 $        561.00      5,360   SH         DEFINED       1,15      5,360       --         --
FEDEX CORPORATION       COMMON  31428X106 $            --          4   SH         DEFINED         23         --       --          4
FEDEX CORPORATION       COMMON  31428X106 $      2,685.00     25,630   SH         DEFINED         24     25,630       --         --
FEDEX CORPORATION       COMMON  31428X106 $     37,679.00    359,700   SH         DEFINED          3    359,700       --         --
FEDEX CORPORATION       COMMON  31428X106 $        882.00      8,418   SH         DEFINED          6      6,380       --      2,038
FEDEX CORPORATION       COMMON  31428X106 $        528.00      5,040   SH         DEFINED          8      5,040       --         --
FELDMAN MALL
   PROPERTIES INC       COMMON  314308107 $        296.00     39,151   SH         DEFINED         24     39,151       --         --
FELCOR LODGING TRUST
   INC                  COMMON  31430F101 $      8,001.00    401,474   SH         DEFINED          1    401,474       --         --
FELCOR LODGING TRUST
   INC                  COMMON  31430F101 $        952.00     47,752   SH         DEFINED       14,2         --       --     47,752
FELCOR LODGING TRUST
   INC                  COMMON  31430F101 $        891.00     44,700   SH         DEFINED         15     44,700       --         --
FELCOR LODGING TRUST
   INC                  COMMON  31430F101 $        166.00      8,318   SH         DEFINED         24      8,318       --         --
FELCOR LODGING TRUST
   INC                  COMMON  31430F101 $        172.00      8,610   SH         DEFINED          6         --       --      8,610
FEMALE HEALTH
   COMPANY              COMMON  314462102 $            --          8   SH         DEFINED         23         --       --          8
FERRO CORP              COMMON  315405100 $      3,337.00    167,040   SH         DEFINED         15     81,440       --     84,000
FERRO CORP              COMMON  315405100 $        200.00      9,990   SH         DEFINED         24      9,990       --         --
FERRO CORP              COMMON  315405100 $         91.00      4,550   SH         DEFINED          6         --       --      4,550
F5 NETWORKS INC         COMMON  315616102 $     47,628.00  1,280,660   SH         DEFINED          1  1,280,660       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
F5 NETWORKS INC         COMMON  315616102 $        907.00     24,400   SH         DEFINED         19     24,400       --         --
F5 NETWORKS INC         COMMON  315616102 $     13,874.00    373,058   SH         DEFINED          2    373,058       --         --
F5 NETWORKS INC         COMMON  315616102 $      4,308.00    115,836   SH         DEFINED       21,2    115,836       --         --
F5 NETWORKS INC         COMMON  315616102 $      1,297.00     34,877   SH         DEFINED         24     34,877       --         --
FIDELITY NATIONAL
   INFORMATIO           COMMON  31620M106 $     48,297.00  1,088,497   SH         DEFINED          1  1,088,497       --         --
FIDELITY NATIONAL
   INFORMATIO           COMMON  31620M106 $        131.00      2,948   SH         DEFINED       1,15      2,948       --         --
FIDELITY NATIONAL
   INFORMATIO           COMMON  31620M106 $        829.00     18,676   SH         DEFINED          2         --       --     18,676
FIDELITY NATIONAL
   INFORMATIO           COMMON  31620M106 $     10,459.00    235,719   SH         DEFINED         24    235,719       --         --
FIDELITY NATIONAL
   INFORMATIO           COMMON  31620M106 $         65.00      1,471   SH         DEFINED          8      1,471       --         --
FIDELITY NATIONAL
   FINANCIAL IN         COMMON  31620R105 $        387.00     22,113   SH         DEFINED         24     22,113       --         --
FIDELITY NATIONAL
   FINANCIAL IN         COMMON  31620R105 $          6.00        337   SH         DEFINED          6         --       --        337
FIDELITY NATIONAL
   FINANCIAL IN         COMMON  31620R105 $         50.00      2,869   SH         DEFINED          8      2,869       --         --
FIFTH THIRD BANCORP     COMMON  316773100 $     66,255.00  1,955,571   SH         DEFINED          1  1,955,571       --         --
FIFTH THIRD BANCORP     COMMON  316773100 $        315.00      9,300   SH         DEFINED       1,15      9,300       --         --
FIFTH THIRD BANCORP     COMMON  316773100 $      1,139.00     33,620   SH         DEFINED         15      6,620       --     26,300
FIFTH THIRD BANCORP     COMMON  316773100 $        119.00      3,500   SH         DEFINED       15,8         --       --      3,500
FIFTH THIRD BANCORP     COMMON  316773100 $         44.00      1,311   SH         DEFINED         22      1,311       --         --
FIFTH THIRD BANCORP     COMMON  316773100 $            --         14   SH         DEFINED         23         --       --         14
FIFTH THIRD BANCORP     COMMON  316773100 $      8,305.00    245,118   SH         DEFINED         24    245,118       --         --
FIFTH THIRD BANCORP     COMMON  316773100 $          9.00        261   SH         DEFINED          6         --       --        261
FIFTH THIRD BANCORP     COMMON  316773100 $        552.00     16,305   SH         DEFINED          8     16,305       --         --
51JOB INC-ADR           COMMON  316827104 $      2,252.00    116,312   SH         DEFINED         24    116,312       --         --
FINANCIAL FEDERAL
   CORP                 COMMON  317492106 $         54.00      1,930   SH         DEFINED         24      1,930       --         --
FINANCIAL INDUSTRIES
   CORP                 COMMON  317574101 $         23.00      4,000   SH         DEFINED          6         --       --      4,000
FINANCIAL
   INSTITUTIONS INC     COMMON  317585404 $        109.00      6,100   SH         DEFINED         15      6,100       --         --
FINANCIAL
   INSTITUTIONS INC     COMMON  317585404 $        397.00     22,111   SH         DEFINED         24     22,111       --         --
FINANCIAL
   INSTITUTIONS INC     COMMON  317585404 $         65.00      3,600   SH         DEFINED       5,15      3,600       --         --
FINISAR CORPORATION     COMMON  31787A101 $         11.00      3,778   SH         DEFINED         24      3,778       --         --
FINISAR CORPORATION     COMMON  31787A101 $         81.00     28,900   SH         DEFINED          6         --       --     28,900
THE FINISH LINE CL A    COMMON  317923100 $         31.00      7,178   SH         DEFINED         24      7,178       --         --
FIRST ACCEPTANCE CORP   COMMON  318457108 $         10.00      2,051   SH         DEFINED         24      2,051       --         --
FIRST AMERICAN
   CORPORATION          COMMON  318522307 $            --          3   SH         DEFINED         23         --       --          3
FIRST AMERICAN
   CORPORATION          COMMON  318522307 $        452.00     12,331   SH         DEFINED         24     12,331       --         --
FIRST AMERICAN
   CORPORATION          COMMON  318522307 $          5.00        125   SH         DEFINED          6         --       --        125
FIRST BANCORP/PUERTO
   RICO                 COMMON  318672102 $      3,009.00    316,735   SH         DEFINED         24    316,735       --         --
FIRST BANCORP/NC        COMMON  318910106 $      7,158.00    351,240   SH         DEFINED         24    351,240       --         --
FIRST BUSEY CORP        COMMON  319383105 $        116.00      5,278   SH         DEFINED         24      5,278       --         --
FIRST CASH FINL SVCS
   IN                   COMMON  31942D107 $         12.00        500   SH         DEFINED         23         --       --        500
FIRST CASH FINL SVCS
   IN                   COMMON  31942D107 $         39.00      1,649   SH         DEFINED         24      1,649       --         --
FIRST CHARTER CORP      COMMON  319439105 $        141.00      4,658   SH         DEFINED         24      4,658       --         --
FIRST CITIZENS BCSHS
   -CL A                COMMON  31946M103 $      2,590.00     14,850   SH         DEFINED         15     10,400       --      4,450
FIRST CITIZENS BCSHS
   -CL A                COMMON  31946M103 $      5,368.00     30,779   SH         DEFINED         24     30,779       --         --
FIRST CITIZENS BCSHS
   -CL A                COMMON  31946M103 $        654.00      3,750   SH         DEFINED       5,15      3,750       --         --
FIRST COMMONWEALTH
   FINL CORP            COMMON  319829107 $      1,080.00     97,679   SH         DEFINED         15     75,379       --     22,300
FIRST COMMONWEALTH
   FINL CORP            COMMON  319829107 $     10,705.00    967,858   SH         DEFINED         24    967,858       --         --
FIRST COMMONWEALTH
   FINL CORP            COMMON  319829107 $        208.00     18,800   SH         DEFINED       5,15     18,800       --         --
FIRST COMMUNITY
   BANCSHARES           COMMON  31983A103 $        168.00      4,627   SH         DEFINED         15      4,627       --         --
FIRST COMMUNITY
   BANCSHARES           COMMON  31983A103 $         56.00      1,555   SH         DEFINED         24      1,555       --         --
FIRST COMMUNITY
   BANCSHARES           COMMON  31983A103 $         98.00      2,700   SH         DEFINED       5,15      2,700       --         --
FIRST COMMUNITY
   BANCORP /CA          COMMON  31983B101 $         78.00      1,432   SH         DEFINED         24      1,432       --         --
FIRST CONSULTING
   GROUP INC            COMMON  31986R103 $      1,036.00    100,600   SH         DEFINED         15     65,100       --     35,500
FIRST CONSULTING
   GROUP INC            COMMON  31986R103 $        225.00     21,800   SH         DEFINED       5,15     21,800       --         --
FIRST FINANCIAL
   BANCORP              COMMON  320209109 $      3,088.00    241,600   SH         DEFINED         15    167,300       --     74,300
FIRST FINANCIAL
   BANCORP              COMMON  320209109 $        124.00      9,708   SH         DEFINED         24      9,708       --         --
FIRST FINANCIAL
   BANCORP              COMMON  320209109 $        772.00     60,400   SH         DEFINED       5,15     60,400       --         --
FIRST FINL
   BANKSHARES INC       COMMON  32020R109 $      3,897.00     96,997   SH         DEFINED          1     96,997       --         --
FIRST FINL
   BANKSHARES INC       COMMON  32020R109 $      2,843.00     70,750   SH         DEFINED         15     51,050       --     19,700
FIRST FINL
   BANKSHARES INC       COMMON  32020R109 $         90.00      2,241   SH         DEFINED         24      2,241       --         --
FIRST FINL
   BANKSHARES INC       COMMON  32020R109 $        779.00     19,400   SH         DEFINED       5,15     19,400       --         --
FIRST FED BANKSHARES
   INC                  COMMON  32020V100 $          4.00        228   SH         DEFINED         24        228       --         --
FIRST FINANCIAL
   CORP/INDIANA         COMMON  320218100 $        271.00      8,954   SH         DEFINED         15      8,954       --         --
FIRST FINANCIAL
   CORP/INDIANA         COMMON  320218100 $         61.00      2,006   SH         DEFINED         24      2,006       --         --
FIRST FINANCIAL
   CORP/INDIANA         COMMON  320218100 $        148.00      4,900   SH         DEFINED       5,15      4,900       --         --
FIRST FINANCIAL FUND
   INC CEF              COMMON  320228109 $            --          8   SH         DEFINED         23         --       --          8
FIRST FINANCIAL
   HOLDINGS INC         COMMON  320239106 $      1,092.00     34,900   SH         DEFINED         15     24,500       --     10,400




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
FIRST FINANCIAL
   HOLDINGS INC         COMMON  320239106 $         53.00      1,707   SH         DEFINED         24      1,707       --         --
FIRST FINANCIAL
   HOLDINGS INC         COMMON  320239106 $        313.00     10,000   SH         DEFINED       5,15     10,000       --         --
FIRST HORIZON
   NATIONAL CORP        COMMON  320517105 $         58.00      2,172   SH         DEFINED       1,15      2,172       --         --
FIRST HORIZON
   NATIONAL CORP        COMMON  320517105 $        413.00     15,508   SH         DEFINED         24     15,508       --         --
FIRST HORIZON
   NATIONAL CORP        COMMON  320517105 $         11.00        400   SH         DEFINED          6         --       --        400
FIRST HORIZON
   NATIONAL CORP        COMMON  320517105 $         61.00      2,293   SH         DEFINED          8      2,293       --         --
FIRST INDUSTRIAL
   REALTY TR            COMMON  32054K103 $      1,271.00     32,700   SH         DEFINED         15     32,700       --         --
FIRST INDUSTRIAL
   REALTY TR            COMMON  32054K103 $        253.00      6,516   SH         DEFINED         24      6,516       --         --
FIRST INDUSTRIAL
   REALTY TR            COMMON  32054K103 $         39.00      1,000   SH         DEFINED          6      1,000       --         --
FIRST INDIANA CORP      COMMON  32054R108 $         77.00      2,460   SH         DEFINED         24      2,460       --         --
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $        508.00     13,400   SH         DEFINED       1,15     13,400       --         --
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $     20,733.00    546,620   SH         DEFINED         15    345,220       --    196,800
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $      1,100.00     29,000   SH         DEFINED       15,8         --       --     29,000
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $          4.00         94   SH         DEFINED         23         85       --          9
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $         76.00      2,016   SH         DEFINED         24      2,016       --         --
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $        322.00      8,500   SH         DEFINED       5,15      8,500       --         --
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $      2,391.00     63,035   SH         DEFINED          6     35,788       --     27,247
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $        116.00      3,058   SH         DEFINED          8      3,058       --         --
FIRST MARBLEHEAD
   CORP                 COMMON  320771108 $      1,093.00     28,814   SH         DEFINED          9     28,814       --         --
FIRST MERCHANTS
   CORP                 COMMON  320817109 $         78.00      3,600   SH         DEFINED         15      3,600       --         --
FIRST MERCHANTS CORP    COMMON  320817109 $        467.00     21,654   SH         DEFINED         24     21,654       --         --
FIRST MERCHANTS CORP    COMMON  320817109 $         47.00      2,200   SH         DEFINED       5,15      2,200       --         --
FIRST MERCURY
   FINANCIAL CORP       COMMON  320841109 $         92.00      4,300   SH         DEFINED         15      4,300       --         --
FIRST MIDWEST
   BANCORP INC/IL       COMMON  320867104 $      2,389.00     69,950   SH         DEFINED         15     49,050       --     20,900
FIRST MIDWEST
   BANCORP INC/IL       COMMON  320867104 $          1.00         23   SH         DEFINED         23         --       --         23
FIRST MIDWEST
   BANCORP INC/IL       COMMON  320867104 $        183.00      5,354   SH         DEFINED         24      5,354       --         --
FIRST MIDWEST
   BANCORP INC/IL       COMMON  320867104 $        601.00     17,600   SH         DEFINED       5,15     17,600       --         --
FIRST NIAGARA
   FINANCIAL            COMMON  33582V108 $      1,843.00    130,250   SH         DEFINED         15     99,750       --     30,500
FIRST NIAGARA
   FINANCIAL            COMMON  33582V108 $        170.00     11,997   SH         DEFINED         24     11,997       --         --
FIRST NIAGARA
   FINANCIAL            COMMON  33582V108 $        599.00     42,300   SH         DEFINED       5,15     42,300       --         --
FIRST POTOMAC REALTY
   TRUST                COMMON  33610F109 $        379.00     17,400   SH         DEFINED         15     17,400       --         --
FIRST PLACE
   FINANCIAL /OHIO      COMMON  33610T109 $        166.00      9,354   SH         DEFINED         15      9,354       --         --
FIRST PLACE
   FINANCIAL /OHIO      COMMON  33610T109 $        374.00     21,122   SH         DEFINED         24     21,122       --         --
FIRST PLACE
   FINANCIAL /OHIO      COMMON  33610T109 $         97.00      5,500   SH         DEFINED       5,15      5,500       --         --
FIRST REGIONAL
   BANCORP/CAL          COMMON  33615C101 $         62.00      2,513   SH         DEFINED         15      2,513       --         --
FIRST REGIONAL
   BANCORP/CAL          COMMON  33615C101 $         37.00      1,500   SH         DEFINED       5,15      1,500       --         --
FIRST SOLAR INC         COMMON  336433107 $      5,392.00     45,800   SH         DEFINED       1,15     45,800       --         --
FIRST SOLAR INC         COMMON  336433107 $     72,586.00    616,498   SH         DEFINED         15    417,298       --    194,800
FIRST SOLAR INC         COMMON  336433107 $      3,332.00     28,300   SH         DEFINED       15,8         --       --     28,300
FIRST SOLAR INC         COMMON  336433107 $     39,048.00    331,650   SH         DEFINED         24    331,650       --         --
FIRST SOLAR INC         COMMON  336433107 $      1,919.00     16,300   SH         DEFINED       5,15     16,300       --         --
FIRST SOLAR INC         COMMON  336433107 $        235.00      2,000   SH         DEFINED          6      2,000       --         --
FIRST STATE
   BANCORPORATION       COMMON  336453105 $         17.00        847   SH         DEFINED         24        847       --         --
1ST SOURCE CORP         COMMON  336901103 $      1,463.00     63,900   SH         DEFINED         15     45,000       --     18,900
1ST SOURCE CORP         COMMON  336901103 $        483.00     21,073   SH         DEFINED         24     21,073       --         --
1ST SOURCE CORP         COMMON  336901103 $        364.00     15,900   SH         DEFINED       5,15     15,900       --         --
FIRSTSERVICE CORP       COMMON  33761N109 $      5,602.00    181,600   SH         DEFINED          1    181,600       --         --
FIRSTSERVICE CORP       COMMON  33761N109 $      8,615.00    279,300   SH         DEFINED        1,3    279,300       --         --
FIRSTSERVICE CORP       COMMON  33761N109 $        457.00     14,800   SH         DEFINED       20,3     14,800       --         --
FIRSTSERVICE CORP       COMMON  33761N109 $     49,190.00  1,594,700   SH         DEFINED          3  1,594,700       --         --
FISERV INC              COMMON  337738108 $        148.00      2,906   SH         DEFINED       1,15      2,906       --         --
FISERV INC              COMMON  337738108 $         16.00        309   SH         DEFINED         23        256       --         53
FISERV INC              COMMON  337738108 $     12,941.00    254,437   SH         DEFINED         24    254,437       --         --
FISERV INC              COMMON  337738108 $     11,739.00    230,817   SH         DEFINED          6    165,408       --     65,409
FISERV INC              COMMON  337738108 $        202.00      3,972   SH         DEFINED          8      3,972       --         --
FISHER
   COMMUNICATIONS
   INC                  COMMON  337756209 $        482.00      9,663   SH         DEFINED         24      9,663       --         --
FIRSTFED FINANCIAL
   CORP                 COMMON  337907109 $      3,079.00     62,142   SH         DEFINED         24     62,142       --         --
FIRSTMERIT
   CORPORATION          COMMON  337915102 $            --          4   SH         DEFINED         23         --       --          4
FIRSTMERIT
   CORPORATION          COMMON  337915102 $      8,727.00    441,648   SH         DEFINED         24    441,648       --         --
FIRSTMERIT
   CORPORATION          COMMON  337915102 $        227.00     11,495   SH         DEFINED          6         --       --     11,495
FLAGSTAR BANCORP INC    COMMON  337930101 $        206.00     21,200   SH         DEFINED         15     21,200       --         --
FLAGSTAR BANCORP INC    COMMON  337930101 $        142.00     14,640   SH         DEFINED         24     14,640       --         --
FLAGSTAR BANCORP INC    COMMON  337930101 $        120.00     12,300   SH         DEFINED       5,15     12,300       --         --
FLAGSTAR BANCORP INC    COMMON  337930101 $         18.00      1,875   SH         DEFINED          6      1,875       --         --
FIRSTENERGY CORP        COMMON  337932107 $     15,708.00    248,000   SH         DEFINED          1    248,000       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
FIRSTENERGY CORP        COMMON  337932107 $        335.00      5,292   SH         DEFINED       1,15      5,292       --         --
FIRSTENERGY CORP        COMMON  337932107 $        589.00      9,300   SH         DEFINED         15      8,800       --         --
FIRSTENERGY CORP        COMMON  337932107 $         61.00        963   SH         DEFINED         23         --       --        963
FIRSTENERGY CORP        COMMON  337932107 $      8,202.00    129,494   SH         DEFINED         24    129,494       --         --
FIRSTENERGY CORP        COMMON  337932107 $        120.00      1,896   SH         DEFINED          6         --       --      1,896
FIRSTENERGY CORP        COMMON  337932107 $        341.00      5,384   SH         DEFINED          8      5,384       --         --
FIRSTENERGY CORP        COMMON  337932107 $        486.00      7,667   SH         DEFINED          9      7,667       --         --
FISHER SCI INTL
   (FSH) CVT 3.25      CONVERT  338032AX3 $     23,419.00 15,000,000   SH         DEFINED         15         --       -- 12,700,000
FIVE STAR QUALITY
   CARE INC             COMMON  33832D106 $            --         17   SH         DEFINED         23         --       --         17
FLAMEL TECHNOLOGIES
   ADR                  COMMON  338488109 $      4,347.00    483,556   SH         DEFINED          1    483,556       --         --
FLAMEL TECHNOLOGIES
   ADR                  COMMON  338488109 $        358.00     39,807   SH         DEFINED          2     39,807       --         --
FLAMEL TECHNOLOGIES
   ADR                  COMMON  338488109 $          9.00        960   SH         DEFINED       20,2         --       --        960
FLAMEL TECHNOLOGIES
   ADR                  COMMON  338488109 $        544.00     60,524   SH         DEFINED       21,2         --       --     60,524
FLAMEL TECHNOLOGIES
   ADR                  COMMON  338488109 $      4,092.00    455,128   SH         DEFINED         24    455,128       --         --
FLEETWOOD
   ENTERPRISES          COMMON  339099103 $        113.00     13,258   SH         DEFINED         24     13,258       --         --
FLORIDA ROCK INDS       COMMON  341140101 $        205.00      3,282   SH         DEFINED         24      3,282       --         --
FLUOR CORP              COMMON  343412102 $     33,691.00    234,000   SH         DEFINED          1    234,000       --         --
FLUOR CORP              COMMON  343412102 $        221.00      1,532   SH         DEFINED       1,15      1,532       --         --
FLUOR CORP              COMMON  343412102 $      8,164.00     56,700   SH         DEFINED          2     56,700       --         --
FLUOR CORP              COMMON  343412102 $         23.00        162   SH         DEFINED         23         30       --        132
FLUOR CORP              COMMON  343412102 $     21,509.00    149,392   SH         DEFINED         24    149,392       --         --
FLUOR CORP              COMMON  343412102 $        272.00      1,890   SH         DEFINED          4      1,890       --         --
FLUOR CORP              COMMON  343412102 $      9,079.00     63,060   SH         DEFINED          6     57,508       --      5,552
FLUOR CORP              COMMON  343412102 $        179.00      1,245   SH         DEFINED          8      1,245       --         --
FLOWERS FOODS INC       COMMON  343498101 $      8,277.00    379,661   SH         DEFINED          1    379,661       --         --
FLOWERS FOODS INC       COMMON  343498101 $      4,442.00    203,760   SH         DEFINED         24    203,760       --         --
FLOWSERVE
   CORPORATION          COMMON  34354P105 $         22.00        288   SH         DEFINED         23         --       --        288
FLOWSERVE
   CORPORATION          COMMON  34354P105 $     33,426.00    438,771   SH         DEFINED         24    438,771       --         --
FLOWSERVE
   CORPORATION          COMMON  34354P105 $        101.00      1,320   SH         DEFINED          6         --       --      1,320
FLUSHING FINANCIAL
   CORP                 COMMON  343873105 $        523.00     31,114   SH         DEFINED         24     31,114       --         --
FLUSHING FINANCIAL
   CORP                 COMMON  343873105 $        137.00      8,135   SH         DEFINED          6         --       --      8,135
FOCUS MEDIA
   HOLDING-ADR          COMMON  34415V109 $     65,510.00  1,129,085   SH         DEFINED          1  1,129,085       --         --
FOCUS MEDIA
   HOLDING-ADR          COMMON  34415V109 $      1,275.00     21,981   SH         DEFINED          2         --       --     21,981
FOCUS MEDIA
   HOLDING-ADR          COMMON  34415V109 $     27,430.00    472,763   SH         DEFINED         24    472,763       --         --
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $      1,417.00     37,900   SH         DEFINED       1,12     37,900       --         --
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $        744.00     19,900   SH         DEFINED         12     19,900       --         --
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $      1,866.00     49,900   SH         DEFINED         15     49,900       --         --
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $      4,843.00    129,500   SH         DEFINED       5,12    129,500       --         --
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $         10.00        270   SH         DEFINED          6         --       --        270
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $     14,526.00    388,400   SH         DEFINED          9    388,400       --         --
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $        583.00     15,600   SH         DEFINED       9,15     15,600       --         --
FOMENTO ECONOMICO
   MEX SAB ADR          COMMON  344419106 $      1,750.00     46,800   SH         DEFINED       9,22     46,800       --         --
FOOT LOCKER INC         COMMON  344849104 $         86.00      5,600   SH         DEFINED         15         --       --      5,600
FOOT LOCKER INC         COMMON  344849104 $        300.00     19,592   SH         DEFINED         24     19,592       --         --
FOOT LOCKER INC         COMMON  344849104 $          3.00        212   SH         DEFINED          6         --       --        212
FORBES MEDI-TECH INC    COMMON  344907100 $          2.00      3,690   SH         DEFINED          6      3,690       --         --
FORCE PROTECTION INC    COMMON  345203202 $      2,781.00    128,408   SH         DEFINED         24    128,408       --         --
FORD MOTOR COMPANY      COMMON  345370860 $        309.00     36,450   SH         DEFINED       1,15     36,450       --         --
FORD MOTOR COMPANY      COMMON  345370860 $     29,958.00  3,528,601   SH         DEFINED         15  1,736,701       --  1,755,000
FORD MOTOR COMPANY      COMMON  345370860 $      1,209.00    142,400   SH         DEFINED       15,8         --       --    142,400
FORD MOTOR COMPANY      COMMON  345370860 $     15,996.00  1,884,141   SH         DEFINED         24  1,884,141       --         --
FORD MOTOR COMPANY      COMMON  345370860 $         23.00      2,756   SH         DEFINED          6         --       --      2,756
FORD MOTOR COMPANY      COMMON  345370860 $        273.00     32,126   SH         DEFINED          8     32,126       --         --
FORD MOTOR COMPANY      COMMON  345370860 $     25,266.00  2,975,970   SH         DEFINED          9  2,975,970       --         --
FORDING INC             COMMON  345425102 $         19.00        500   SH         DEFINED         23         --       --        500
FORDING INC             COMMON  345425102 $          6.00        150   SH         DEFINED          6         --       --        150
FORDING CANADA COAL
   TRUST                COMMON  345425102 $        117.00      3,028   SH         DEFINED          8      3,028       --         --
FORDING CANADA COAL
   TRUST                COMMON  345425102 $        253.00      6,537   SH         DEFINED          9      6,537       --         --
FOREST CITY
   ENTERPRISES CL A     COMMON  345550107 $         44.00        800   SH         DEFINED         23         --       --        800
FOREST CITY
   ENTERPRISES CL A     COMMON  345550107 $        400.00      7,252   SH         DEFINED         24      7,252       --         --
FOREST CITY
   ENTERPRISES CL A     COMMON  345550107 $          6.00        110   SH         DEFINED          6         --       --        110
FOREST CITY
   ENTERPRISES CL B     COMMON  345550305 $         16.00        293   SH         DEFINED         24        293       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $      4,487.00    120,340   SH         DEFINED       1,15    120,340       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $        802.00     21,500   SH         DEFINED      11,15     21,500       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $     59,897.00  1,606,236   SH         DEFINED         15  1,123,836       --    458,800




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
FOREST LABORATORIES
   INC                  COMMON  345838106 $        630.00     16,900   SH         DEFINED      15,14         --       --     16,900
FOREST LABORATORIES
   INC                  COMMON  345838106 $      4,068.00    109,100   SH         DEFINED       15,8         --       --    109,100
FOREST LABORATORIES
   INC                  COMMON  345838106 $        290.00      7,776   SH         DEFINED         21      7,776       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $      1,291.00     34,617   SH         DEFINED         22     34,617       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $            --          4   SH         DEFINED         23         --       --          4
FOREST LABORATORIES
   INC                  COMMON  345838106 $      3,691.00     98,968   SH         DEFINED         24     98,968       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $      1,529.00     41,000   SH         DEFINED       5,15     41,000       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $         51.00      1,360   SH         DEFINED          6         --       --      1,360
FOREST LABORATORIES
   INC                  COMMON  345838106 $        438.00     11,737   SH         DEFINED          8     11,737       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $     21,663.00    580,942   SH         DEFINED          9    580,942       --         --
FOREST LABORATORIES
   INC                  COMMON  345838106 $      3,304.00     88,600   SH         DEFINED       9,15     88,600       --         --
FOREST OIL CORP         COMMON  346091705 $      5,561.00    129,207   SH         DEFINED         24    129,207       --         --
FOREST OIL CORP         COMMON  346091705 $        223.00      5,180   SH         DEFINED          6         --       --      5,180
FORMFACTOR INC          COMMON  346375108 $     72,230.00  1,627,892   SH         DEFINED          1  1,627,892       --         --
FORMFACTOR INC          COMMON  346375108 $        590.00     13,300   SH         DEFINED         19     13,300       --         --
FORMFACTOR INC          COMMON  346375108 $     10,611.00    239,145   SH         DEFINED          2    220,475       --     18,670
FORMFACTOR INC          COMMON  346375108 $      2,032.00     45,798   SH         DEFINED       21,2     45,798       --         --
FORMFACTOR INC          COMMON  346375108 $         53.00      1,198   SH         DEFINED         24      1,198       --         --
FORRESTER RESEARCH
   INC                  COMMON  346563109 $      1,937.00     82,200   SH         DEFINED         15     53,500       --     28,700
FORRESTER RESEARCH
   INC                  COMMON  346563109 $         33.00      1,386   SH         DEFINED         24      1,386       --         --
FORRESTER RESEARCH
   INC                  COMMON  346563109 $        309.00     13,100   SH         DEFINED       5,15     13,100       --         --
FORTRESS INVESTMENT
   GRP-CL A             COMMON  34958B106 $     13,526.00    634,442   SH         DEFINED         24    634,442       --         --
FORTUNE BRANDS INC      COMMON  349631101 $        217.00      2,658   SH         DEFINED       1,15      2,658       --         --
FORTUNE BRANDS INC      COMMON  349631101 $          9.00        115   SH         DEFINED         23         85       --         30
FORTUNE BRANDS INC      COMMON  349631101 $      1,378.00     16,908   SH         DEFINED         24     16,908       --         --
FORTUNE BRANDS INC      COMMON  349631101 $      7,019.00     86,128   SH         DEFINED          6     59,608       --     26,520
FORTUNE BRANDS INC      COMMON  349631101 $        248.00      3,041   SH         DEFINED          8      3,041       --         --
FORWARD AIR CORP        COMMON  349853101 $     10,895.00    365,851   SH         DEFINED          1    365,851       --         --
FORWARD AIR CORP        COMMON  349853101 $      8,732.00    293,213   SH         DEFINED          2    293,213       --         --
FORWARD AIR CORP        COMMON  349853101 $         39.00      1,321   SH         DEFINED         24      1,321       --         --
FOSSIL INC              COMMON  349882100 $      5,231.00    140,009   SH         DEFINED          1    140,009       --         --
FOSSIL INC              COMMON  349882100 $        213.00      5,693   SH         DEFINED         24      5,693       --         --
FOSTER (LB) CO -CL A    COMMON  350060109 $        333.00      7,670   SH         DEFINED         24      7,670       --         --
FOUNDATION COAL
   HOLDINGS INC         COMMON  35039W100 $        409.00     10,433   SH         DEFINED         24     10,433       --         --
FOUNDATION COAL
   HOLDINGS INC         COMMON  35039W100 $        158.00      4,033   SH         DEFINED          6         --       --      4,033
FOUNDRY NETWORKS INC    COMMON  35063R100 $     13,455.00    757,174   SH         DEFINED          1    757,174       --         --
FOUNDRY NETWORKS INC    COMMON  35063R100 $        183.00     10,300   SH         DEFINED         15     10,300       --         --
FOUNDRY NETWORKS INC    COMMON  35063R100 $        711.00     40,000   SH         DEFINED         19     40,000       --         --
FOUNDRY NETWORKS INC    COMMON  35063R100 $      2,858.00    160,855   SH         DEFINED       21,2    160,855       --         --
FOUNDRY NETWORKS INC    COMMON  35063R100 $        767.00     43,152   SH         DEFINED         24     43,152       --         --
4KIDS ENTERTAINMENT
   INC                  COMMON  350865101 $        523.00     29,750   SH         DEFINED         24     29,750       --         --
FOXHOLLOW
   TECHNOLOGIES INC     COMMON  35166A103 $     18,467.00    699,500   SH         DEFINED          1    699,500       --         --
FOXHOLLOW
   TECHNOLOGIES INC     COMMON  35166A103 $        356.00     13,500   SH         DEFINED          2         --       --     13,500
FOXHOLLOW
   TECHNOLOGIES INC     COMMON  35166A103 $        245.00      9,290   SH         DEFINED         24      9,290       --         --
FRANKLIN ELECTRIC CO
   INC                  COMMON  353514102 $     58,887.00  1,432,416   SH         DEFINED         24  1,432,416       --         --
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $     16,565.00    129,920   SH         DEFINED          1    129,920       --         --
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $        359.00      2,817   SH         DEFINED       1,15      2,817       --         --
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $      6,299.00     49,400   SH         DEFINED         15     42,700       --      4,800
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $        485.00      3,800   SH         DEFINED       15,8         --       --      3,800
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $        145.00      1,134   SH         DEFINED         23        300       --        834
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $      9,702.00     76,092   SH         DEFINED         24     76,092       --         --
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $         61.00        482   SH         DEFINED          6        324       --        158
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $        378.00      2,963   SH         DEFINED          8      2,963       --         --
FRANKLIN RESOURCES
   INC                  COMMON  354613101 $        370.00      2,902   SH         DEFINED          9      2,902       --         --
FRANKLIN STREET
   PROPERTIES C         COMMON  35471R106 $        151.00      8,757   SH         DEFINED         24      8,757       --         --
FRED'S INC              COMMON  356108100 $        435.00     41,301   SH         DEFINED         24     41,301       --         --
FRED'S INC              COMMON  356108100 $         22.00      2,100   SH         DEFINED          6      2,100       --         --
FREEPORT-MCMORAN C &
   G CVP(FCX           CONVERT  35671D782 $          6.00         39   SH         DEFINED         23         --       --         39
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $     53,822.00    513,129   SH         DEFINED          1    513,129       --         --
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $        695.00      6,626   SH         DEFINED       1,15      6,626       --         --
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $      4,982.00     47,500   SH         DEFINED         15     33,500       --     12,500
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $        346.00      3,300   SH         DEFINED       15,8         --       --      3,300
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $      8,912.00     84,967   SH         DEFINED          2     84,967       --         --
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $         28.00        269   SH         DEFINED         23        259       --         10
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $      3,921.00     37,384   SH         DEFINED         24     37,384       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $        382.00      3,646   SH         DEFINED          4      3,646       --         --
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $        306.00      2,921   SH         DEFINED          6        872       --      2,049
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $        748.00      7,133   SH         DEFINED          8      7,133       --         --
FREEPORT-MCMORAN
   COPPER               COMMON  35671D857 $      1,742.00     16,608   SH         DEFINED          9     16,608       --         --
FREESCALE
   SEMICONDUCTOR-B      COMMON  35687M206 $          3.00         66   SH         DEFINED         23         --       --         66
FREIGHTCAR AMERICA
   INC                  COMMON  357023100 $        439.00     11,500   SH         DEFINED         15     11,500       --         --
FREIGHTCAR AMERICA
   INC                  COMMON  357023100 $         25.00        656   SH         DEFINED         24        656       --         --
FREIGHTCAR AMERICA
   INC                  COMMON  357023100 $        252.00      6,600   SH         DEFINED       5,15      6,600       --         --
FREMONT GENERAL CORP    COMMON  357288109 $         95.00     24,285   SH         DEFINED         24     24,285       --         --
FRESENIUS MEDICAL AG
   CARE & CO            COMMON  358029106 $            --          9   SH         DEFINED         23         --       --          9
FRESENIUS MEDICAL AG
   CARE & CO            COMMON  358029106 $      5,426.00    102,257   SH         DEFINED         24    102,257       --         --
FRESENIUS MEDICAL AG
   CARE & CO            COMMON  358029106 $         41.00        780   SH         DEFINED          6         --       --        780
FRIEDMAN BILLINGS
   RAMSEY CL A          COMMON  358434108 $        227.00     49,133   SH         DEFINED         24     49,133       --         --
FRIEDMAN INDUSTRIES     COMMON  358435105 $          4.00        444   SH         DEFINED         24        444       --         --
FRONTIER AIRLINES
   HOLDINGS             COMMON  359059102 $        493.00     79,679   SH         DEFINED         24     79,679       --         --
FRONTIER FINANCIAL
   CORP                 COMMON  35907K105 $      3,391.00    145,350   SH         DEFINED         15    100,150       --     45,200
FRONTIER FINANCIAL
   CORP                 COMMON  35907K105 $         67.00      2,854   SH         DEFINED         24      2,854       --         --
FRONTIER FINANCIAL
   CORP                 COMMON  35907K105 $        782.00     33,500   SH         DEFINED       5,15     33,500       --         --
FRONTIER OIL CORP       COMMON  35914P105 $      4,639.00    111,400   SH         DEFINED       1,15    111,400       --         --
FRONTIER OIL CORP       COMMON  35914P105 $      1,415.00     33,973   SH         DEFINED         15     33,973       --         --
FRONTIER OIL CORP       COMMON  35914P105 $         25.00        600   SH         DEFINED         23        600       --         --
FRONTIER OIL CORP       COMMON  35914P105 $      5,239.00    125,819   SH         DEFINED         24    125,819       --         --
FRONTIER OIL CORP       COMMON  35914P105 $          6.00        141   SH         DEFINED          6         --       --        141
FROZEN FOOD EXPRESS
   INDS                 COMMON  359360104 $        296.00     44,006   SH         DEFINED         24     44,006       --         --
FUEL TECH INC           COMMON  359523107 $      4,127.00    186,825   SH         DEFINED          1    186,825       --         --
FUEL TECH INC           COMMON  359523107 $      3,161.00    143,092   SH         DEFINED          2    143,092       --         --
FUEL TECH INC           COMMON  359523107 $      2,070.00     93,688   SH         DEFINED         24     93,688       --         --
FUEL TECH INC           COMMON  359523107 $         28.00      1,275   SH         DEFINED          6         --       --      1,275
FUELCELL ENERGY INC     COMMON  35952H106 $            --          3   SH         DEFINED         23         --       --          3
FUELCELL ENERGY INC     COMMON  35952H106 $     18,880.00  2,123,758   SH         DEFINED         24  2,123,758       --         --
FUEL SYSTEMS
   SOLUTIONS INC        COMMON  35952W103 $     24,126.00  1,350,862   SH         DEFINED         24  1,350,862       --         --
FUJI FILM HOLDINGS
   CORP-ADR             COMMON  35958N107 $    118,575.00  2,585,579   SH         DEFINED         12  2,574,223       --     11,356
FUJI FILM HOLDINGS
   CORP-ADR             COMMON  35958N107 $      2,829.00     61,697   SH         DEFINED         15     61,697       --         --
FUJI FILM HOLDINGS
   CORP-ADR             COMMON  35958N107 $         12.00        255   SH         DEFINED         23         --       --        255
H.B. FULLER CO          COMMON  359694106 $      7,686.00    258,959   SH         DEFINED          1    258,959       --         --
H.B. FULLER CO          COMMON  359694106 $        576.00     19,400   SH         DEFINED         15     19,400       --         --
H.B. FULLER CO          COMMON  359694106 $      4,465.00    150,453   SH         DEFINED         24    150,453       --         --
FULTON FIN CORP         COMMON  360271100 $          6.00        409   SH         DEFINED         23         --       --        409
FULTON FIN CORP         COMMON  360271100 $      6,806.00    473,316   SH         DEFINED         24    473,316       --         --
FURNITURE BRANDS
   INTL INC             COMMON  360921100 $        156.00     15,408   SH         DEFINED         24     15,408       --         --
FURMANITE CORP          COMMON  361086101 $            --         32   SH         DEFINED          6         32       --         --
G & K SERVICES INC
   CL A                 COMMON  361268105 $        604.00     15,025   SH         DEFINED         24     15,025       --         --
GAMCO INVESTORS
   INC-A                COMMON  361438104 $      6,258.00    114,200   SH         DEFINED         15     79,800       --     34,400
GAMCO INVESTORS
   INC-A                COMMON  361438104 $      1,651.00     30,122   SH         DEFINED         24     30,122       --         --
GAMCO INVESTORS
   INC-A                COMMON  361438104 $      1,375.00     25,100   SH         DEFINED       5,15     25,100       --         --
GATX CORP               COMMON  361448103 $        457.00     10,685   SH         DEFINED         24     10,685       --         --
THE GEO GROUP INC       COMMON  36159R103 $        108.00      3,652   SH         DEFINED         24      3,652       --         --
GFI GROUP INC           COMMON  361652209 $         92.00      1,070   SH         DEFINED         24      1,070       --         --
GMH COMMUNITIES
   TRUST                COMMON  36188G102 $        219.00     28,200   SH         DEFINED         15     28,200       --         --
GMH COMMUNITIES
   TRUST                COMMON  36188G102 $         25.00      3,211   SH         DEFINED         24      3,211       --         --
GP STRATEGIES CORP      COMMON  36225V104 $        467.00     42,096   SH         DEFINED         24     42,096       --         --
GSI GROUP INC           COMMON  36229U102 $        515.00     45,591   SH         DEFINED         24     45,591       --         --
G-III APPAREL GROUP
   LTD                  COMMON  36237H101 $        556.00     28,250   SH         DEFINED         24     28,250       --         --
GSI COMMERCE INC        COMMON  36238G102 $         41.00      1,553   SH         DEFINED         24      1,553       --         --
GABELLI EQUITY TRUST
   CEF                  COMMON  362397101 $          1.00        102   SH         DEFINED         23         --       --        102
GABELLI DIVIDEND &
   INCOME TR C          COMMON  36242H104 $          6.00        275   SH         DEFINED         23        275       --         --
GAFISA SA-ADR           COMMON  362607301 $      5,560.00    164,800   SH         DEFINED          9    164,800       --         --
GAIAM INC               COMMON  36268Q103 $        347.00     14,435   SH         DEFINED         24     14,435       --         --
GAIAM INC               COMMON  36268Q103 $        113.00      4,700   SH         DEFINED          6         --       --      4,700
GALLAGHER
   (ARTHUR J.) & CO     COMMON  363576109 $      6,179.00    213,300   SH         DEFINED        1,3    213,300       --         --
GALLAGHER
   (ARTHUR J.) & CO     COMMON  363576109 $        112.00      3,860   SH         DEFINED         15      3,160       --        700
GALLAGHER
   (ARTHUR J.) & CO     COMMON  363576109 $      7,189.00    248,150   SH         DEFINED         24    248,150       --         --
GALLAGHER
   (ARTHUR J.) & CO     COMMON  363576109 $     64,160.00  2,214,700   SH         DEFINED          3  2,214,700       --         --
GAMETECH
   INTERNATIONAL INC    COMMON  36466D102 $        364.00     46,967   SH         DEFINED         24     46,967       --         --
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $     32,649.00    579,397   SH         DEFINED          1    579,397       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $      1,206.00     21,400   SH         DEFINED       1,15     21,400       --         --
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $      9,910.00    175,865   SH         DEFINED         15    109,765       --     64,400
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $        124.00      2,200   SH         DEFINED       15,8         --       --      2,200
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $        547.00      9,712   SH         DEFINED          2         --       --      9,712
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $      6,701.00    118,910   SH         DEFINED         24    118,910       --         --
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $         73.00      1,300   SH         DEFINED       5,15      1,300       --         --
GAMESTOP CORP-CLASS
   A                    COMMON  36467W109 $         29.00        518   SH         DEFINED          6        518       --         --
GANDER MOUNTAIN CO      COMMON  36471P108 $        213.00     39,324   SH         DEFINED         24     39,324       --         --
GANNETT CO              COMMON  364730101 $     20,501.00    469,126   SH         DEFINED          1    469,126       --         --
GANNETT CO              COMMON  364730101 $        177.00      4,054   SH         DEFINED       1,15      4,054       --         --
GANNETT CO              COMMON  364730101 $     25,330.00    579,642   SH         DEFINED         12    177,242       --    402,400
GANNETT CO              COMMON  364730101 $        345.00      7,900   SH         DEFINED      12,14      7,900       --         --
GANNETT CO              COMMON  364730101 $        401.00      9,168   SH         DEFINED       14,2         --       --      9,168
GANNETT CO              COMMON  364730101 $     13,053.00    298,705   SH         DEFINED         15    252,115       --     45,190
GANNETT CO              COMMON  364730101 $        385.00      8,800   SH         DEFINED       15,8         --       --      8,800
GANNETT CO              COMMON  364730101 $         23.00        515   SH         DEFINED      20,12        515       --         --
GANNETT CO              COMMON  364730101 $        839.00     19,200   SH         DEFINED      20,15         --       --     19,200
GANNETT CO              COMMON  364730101 $      2,001.00     45,790   SH         DEFINED      21,15         --       --         --
GANNETT CO              COMMON  364730101 $          1.00         17   SH         DEFINED         23          3       --         14
GANNETT CO              COMMON  364730101 $      2,377.00     54,404   SH         DEFINED         24     54,404       --         --
GANNETT CO              COMMON  364730101 $     30,083.00    688,400   SH         DEFINED          3    688,400       --         --
GANNETT CO              COMMON  364730101 $          1.00         23   SH         DEFINED          4         23       --         --
GANNETT CO              COMMON  364730101 $        389.00      8,900   SH         DEFINED       5,15         --       --      8,900
GANNETT CO              COMMON  364730101 $        681.00     15,580   SH         DEFINED          6     12,456       --      3,124
GANNETT CO              COMMON  364730101 $        584.00     13,358   SH         DEFINED          8     13,358       --         --
GANNETT CO              COMMON  364730101 $        328.00      7,499   SH         DEFINED          9      7,499       --         --
GANNETT CO              COMMON  364730101 $      2,109.00     48,272   SH         DEFINED       9,15         --       --     48,272
GAP INC                 COMMON  364760108 $    151,977.00  8,241,698   SH         DEFINED          1  8,241,698       --         --
GAP INC                 COMMON  364760108 $        158.00      8,591   SH         DEFINED       1,15      8,591       --         --
GAP INC                 COMMON  364760108 $     25,765.00  1,397,219   SH         DEFINED         15    699,119       --    693,300
GAP INC                 COMMON  364760108 $        278.00     15,100   SH         DEFINED       15,8         --       --     15,100
GAP INC                 COMMON  364760108 $        185.00     10,010   SH         DEFINED         21     10,010       --         --
GAP INC                 COMMON  364760108 $            --          4   SH         DEFINED         23         --       --          4
GAP INC                 COMMON  364760108 $      3,142.00    170,412   SH         DEFINED         24    170,412       --         --
GAP INC                 COMMON  364760108 $      7,646.00    414,618   SH         DEFINED          4    414,618       --         --
GAP INC                 COMMON  364760108 $         85.00      4,619   SH         DEFINED          6      4,130       --        489
GAP INC                 COMMON  364760108 $        346.00     18,782   SH         DEFINED          8     18,782       --         --
GAP INC                 COMMON  364760108 $        841.00     45,631   SH         DEFINED          9     45,631       --         --
GAMMON GOLD INC         COMMON  364915108 $      3,045.00    255,100   SH         DEFINED          1    255,100       --         --
GARDNER DENVER INC      COMMON  365558105 $      5,365.00    137,571   SH         DEFINED         24    137,571       --         --
GARTNER GROUP INC       COMMON  366651107 $     47,886.00  1,957,746   SH         DEFINED          1  1,957,746       --         --
GARTNER GROUP INC       COMMON  366651107 $      1,022.00     41,768   SH         DEFINED          2         --       --     41,768
GARTNER GROUP INC       COMMON  366651107 $            --          5   SH         DEFINED         23         --       --          5
GARTNER GROUP INC       COMMON  366651107 $        127.00      5,209   SH         DEFINED         24      5,209       --         --
GATEHOUSE MEDIA INC     COMMON  367348109 $      4,632.00    363,270   SH         DEFINED          1    363,270       --         --
GATEWAY INC             COMMON  367626108 $        176.00     93,676   SH         DEFINED         24     93,676       --         --
GAYLORD
   ENTERTAINMENT CO     COMMON  367905106 $        137.00      2,579   SH         DEFINED         24      2,579       --         --
GEHL COMPANY            COMMON  368483103 $        328.00     14,682   SH         DEFINED         24     14,682       --         --
GEN PROBE INC           COMMON  36866T103 $     37,847.00    568,437   SH         DEFINED          1    568,437       --         --
GEN PROBE INC           COMMON  36866T103 $     11,966.00    179,717   SH         DEFINED          2    165,348       --     14,369
GEN PROBE INC           COMMON  36866T103 $      3,270.00     49,121   SH         DEFINED         24     49,121       --         --
GEMSTAR TV GUIDE
   INTERNATIONAL        COMMON  36866W106 $      4,798.00    689,424   SH         DEFINED         24    689,424       --         --
GEMSTAR TV GUIDE
   INTERNATIONAL        COMMON  36866W106 $        965.00    138,720   SH         DEFINED          6    138,720       --         --
GENCORP INC             COMMON  368682100 $      1,559.00    130,339   SH         DEFINED         24    130,339       --         --
GENE LOGIC INC          COMMON  368689105 $            --        200   SH         DEFINED         23         --       --        200
GENENTECH INC           COMMON  368710406 $     37,085.00    475,329   SH         DEFINED          1    475,329       --         --
GENENTECH INC           COMMON  368710406 $        226.00      2,900   SH         DEFINED         19      2,900       --         --
GENENTECH INC           COMMON  368710406 $      1,480.00     18,971   SH         DEFINED          2     18,971       --         --
GENENTECH INC           COMMON  368710406 $         36.00        466   SH         DEFINED       20,2         --       --        466
GENENTECH INC           COMMON  368710406 $      2,308.00     29,588   SH         DEFINED       21,2         --       --     29,588
GENENTECH INC           COMMON  368710406 $          5.00         66   SH         DEFINED         23          4       --         62
GENENTECH INC           COMMON  368710406 $     34,520.00    442,453   SH         DEFINED         24    442,453       --         --
GENENTECH INC           COMMON  368710406 $      4,658.00     59,700   SH         DEFINED          3     59,700       --         --
GENENTECH INC           COMMON  368710406 $      1,946.00     24,939   SH         DEFINED          6      3,223       --     21,716
GENENTECH INC           COMMON  368710406 $        644.00      8,248   SH         DEFINED          8      8,248       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
GENENTECH INC           COMMON  368710406 $        670.00      8,585   SH         DEFINED          9      8,585       --         --
GENERAL AMERICAN
   INVESTORS CF         COMMON  368802104 $         63.00      1,534   SH         DEFINED          6      1,534       --         --
GENERAL CABLE CORP      COMMON  369300108 $     87,211.00  1,299,333   SH         DEFINED          1  1,299,333       --         --
GENERAL CABLE CORP      COMMON  369300108 $     17,448.00    259,950   SH         DEFINED          2    237,415       --     22,535
GENERAL CABLE CORP      COMMON  369300108 $      3,816.00     56,848   SH         DEFINED         24     56,848       --         --
GENERAL CABLE CORP      COMMON  369300108 $         36.00        530   SH         DEFINED          6        530       --         --
GENERAL
   COMMUNICATION CL
   A                    COMMON  369385109 $         81.00      6,644   SH         DEFINED         24      6,644       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $    177,354.00  2,099,614   SH         DEFINED          1  2,099,614       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $        595.00      7,043   SH         DEFINED       1,15      7,043       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $         92.00      1,095   SH         DEFINED         14      1,095       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $         92.00      1,095   SH         DEFINED       14,2      1,095       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $      6,949.00     82,260   SH         DEFINED         15     70,760       --      6,900
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $      2,703.00     32,000   SH         DEFINED       15,8         --       --     32,000
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $     22,751.00    269,341   SH         DEFINED          2    269,341       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $         12.00        146   SH         DEFINED         23         78       --         68
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $     21,525.00    254,820   SH         DEFINED         24    254,820       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $        400.00      4,735   SH         DEFINED          4      4,735       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $      7,942.00     94,023   SH         DEFINED          6     69,168       --     24,855
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $        496.00      5,868   SH         DEFINED          8      5,868       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $      1,165.00     13,795   SH         DEFINED          9     13,795       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $        431.00      5,100   SH         DEFINED       9,15      5,100       --         --
GENERAL DYNAMICS
   CORP                 COMMON  369550108 $        700.00      8,291   SH         DEFINED        9,2      8,291       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $    439,061.00 10,605,343   SH         DEFINED          1 10,605,343       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $     21,461.00    518,387   SH         DEFINED       1,15    518,387       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      4,061.00     98,086   SH         DEFINED         10     98,086       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      3,565.00     86,100   SH         DEFINED      11,15     86,100       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      2,214.00     53,469   SH         DEFINED       11,8     53,469       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $     55,400.00  1,338,153   SH         DEFINED         12    361,753       --    976,400
GENERAL ELECTRIC CO     COMMON  369604103 $        613.00     14,800   SH         DEFINED      12,14     14,800       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      1,206.00     29,134   SH         DEFINED         14     29,134       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $    272,031.00  6,570,801   SH         DEFINED         15  5,225,636       --  1,199,665
GENERAL ELECTRIC CO     COMMON  369604103 $      4,732.00    114,300   SH         DEFINED      15,14         --       --    114,300
GENERAL ELECTRIC CO     COMMON  369604103 $     26,496.00    640,000   SH         DEFINED       15,8         --       --    640,000
GENERAL ELECTRIC CO     COMMON  369604103 $        721.00     17,425   SH         DEFINED          2     17,425       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $         55.00      1,340   SH         DEFINED      20,12      1,340       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      1,495.00     36,100   SH         DEFINED      20,15         --       --     36,100
GENERAL ELECTRIC CO     COMMON  369604103 $      1,054.00     25,452   SH         DEFINED         21     25,452       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      3,791.00     91,580   SH         DEFINED      21,15         --       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      4,583.00    110,690   SH         DEFINED         22    110,690       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $    125,468.00  3,030,627   SH         DEFINED         24  3,030,627       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $     34,793.00    840,417   SH         DEFINED          3    840,417       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $     11,987.00    289,549   SH         DEFINED          4    289,549       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $      9,154.00    221,108   SH         DEFINED       5,15    203,400       --     17,708
GENERAL ELECTRIC CO     COMMON  369604103 $     76,403.00  1,845,482   SH         DEFINED          6  1,411,906       --    433,576
GENERAL ELECTRIC CO     COMMON  369604103 $        878.00     21,200   SH         DEFINED          7     21,200       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $     16,983.00    410,207   SH         DEFINED          8    410,207       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $    160,028.00  3,865,410   SH         DEFINED          9  3,865,410       --         --
GENERAL ELECTRIC CO     COMMON  369604103 $     20,991.00    507,037   SH         DEFINED       9,15    416,000       --     91,037
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $     95,661.00  1,784,062   SH         DEFINED       1,15  1,784,062       --         --
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $    252,116.00  4,701,905   SH         DEFINED         15  2,990,733       --  1,377,100
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $        949.00     17,700   SH         DEFINED       15,8         --       --     17,700
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $     12,703.00    236,900   SH         DEFINED       2,15    236,900       --         --
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $      3,957.00     73,800   SH         DEFINED      20,15     73,800       --         --
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $            --          5   SH         DEFINED         23         --       --          5
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $        745.00     13,890   SH         DEFINED         24     13,890       --         --
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $     22,164.00    413,351   SH         DEFINED       5,15    413,351       --         --
GENERAL GROWTH
   PROPERTIES           COMMON  370021107 $        115.00      2,150   SH         DEFINED          6        700       --      1,450
GENERAL MILLS INC       COMMON  370334104 $     32,903.00    567,200   SH         DEFINED          1    567,200       --         --
GENERAL MILLS INC       COMMON  370334104 $        414.00      7,132   SH         DEFINED       1,15      7,132       --         --
GENERAL MILLS INC       COMMON  370334104 $      1,027.00     17,700   SH         DEFINED      11,15     17,700       --         --
GENERAL MILLS INC       COMMON  370334104 $     33,798.00    582,620   SH         DEFINED         15    417,620       --    157,500
GENERAL MILLS INC       COMMON  370334104 $      6,219.00    107,200   SH         DEFINED       15,8         --       --    107,200
GENERAL MILLS INC       COMMON  370334104 $      2,172.00     37,436   SH         DEFINED         22     37,436       --         --
GENERAL MILLS INC       COMMON  370334104 $          1.00          9   SH         DEFINED         23         --       --          9
GENERAL MILLS INC       COMMON  370334104 $      7,892.00    136,042   SH         DEFINED         24    136,042       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
GENERAL MILLS INC       COMMON  370334104 $        441.00      7,600   SH         DEFINED       5,15      7,600       --         --
GENERAL MILLS INC       COMMON  370334104 $      1,992.00     34,341   SH         DEFINED          6     32,721       --      1,620
GENERAL MILLS INC       COMMON  370334104 $        835.00     14,386   SH         DEFINED          8     14,386       --         --
GENERAL MILLS INC       COMMON  370334104 $     33,468.00    576,939   SH         DEFINED          9    576,939       --         --
GENERAL MILLS INC       COMMON  370334104 $      6,764.00    116,600   SH         DEFINED       9,15    116,600       --         --
GENERAL MOTORS CORP     COMMON  370442105 $      1,757.00     47,874   SH         DEFINED       1,15     47,874       --         --
GENERAL MOTORS CORP     COMMON  370442105 $        633.00     17,250   SH         DEFINED         15     10,800       --      5,450
GENERAL MOTORS CORP     COMMON  370442105 $        389.00     10,600   SH         DEFINED       15,8         --       --     10,600
GENERAL MOTORS CORP     COMMON  370442105 $         21.00        579   SH         DEFINED         23         --       --        579
GENERAL MOTORS CORP     COMMON  370442105 $     16,885.00    460,091   SH         DEFINED         24    460,091       --         --
GENERAL MOTORS CORP     COMMON  370442105 $        286.00      7,789   SH         DEFINED          8      7,789       --         --
GENERAL MOTORS CORP     COMMON  370442105 $        388.00     10,566   SH         DEFINED          9     10,566       --         --
GENERAL MOTORS CORP
   CVT SERIES          CONVERT  370442733 $         18.00        850   SH         DEFINED         23         --       --        850
GENESCO INC             COMMON  371532102 $        155.00      3,352   SH         DEFINED         24      3,352       --         --
GENESEE & WYOMING CL
   A                    COMMON  371559105 $        350.00     12,140   SH         DEFINED         24     12,140       --         --
GENESEE & WYOMING CL
   A                    COMMON  371559105 $        330.00     11,450   SH         DEFINED          6         --       --     11,450
GENESIS MICROCHIP
   INC                  COMMON  37184C103 $         55.00      7,012   SH         DEFINED         24      7,012       --         --
GENTEX CORP             COMMON  371901109 $     12,444.00    580,400   SH         DEFINED         15    282,700       --    292,800
GENTEX CORP             COMMON  371901109 $      3,322.00    154,928   SH         DEFINED         24    154,928       --         --
GENTEX CORP             COMMON  371901109 $     71,155.00  3,318,800   SH         DEFINED          3  3,318,800       --         --
GENTEX CORP             COMMON  371901109 $        309.00     14,400   SH         DEFINED          6         --       --     14,400
GENESIS ENERGY LP       COMMON  371927104 $        356.00     12,795   SH         DEFINED         24     12,795       --         --
GENLYTE GROUP INC       COMMON  372302109 $      6,336.00     98,599   SH         DEFINED          1     98,599       --         --
GENLYTE GROUP INC       COMMON  372302109 $        245.00      3,805   SH         DEFINED         24      3,805       --         --
GENOMIC HEALTH INC      COMMON  37244C101 $     14,309.00    745,644   SH         DEFINED         17         --       --    745,644
GENTEK INC              COMMON  37245X104 $            --         28   SH         DEFINED         23         28       --         --
GENUINE PARTS CO        COMMON  372460105 $     52,561.00  1,051,227   SH         DEFINED          1  1,051,227       --         --
GENUINE PARTS CO        COMMON  372460105 $        147.00      2,943   SH         DEFINED       1,15      2,943       --         --
GENUINE PARTS CO        COMMON  372460105 $        110.00      2,200   SH         DEFINED         15      1,600       --         --
GENUINE PARTS CO        COMMON  372460105 $         34.00        675   SH         DEFINED         23         --       --        675
GENUINE PARTS CO        COMMON  372460105 $      5,623.00    112,462   SH         DEFINED         24    112,462       --         --
GENUINE PARTS CO        COMMON  372460105 $      1,286.00     25,721   SH         DEFINED          6     12,215       --     13,506
GENUINE PARTS CO        COMMON  372460105 $        190.00      3,806   SH         DEFINED          8      3,806       --         --
GENUINE PARTS CO        COMMON  372460105 $        878.00     17,567   SH         DEFINED          9     17,567       --         --
GENTIVA HEALTH
   SERVICES             COMMON  37247A102 $      7,495.00    390,155   SH         DEFINED          1    390,155       --         --
GENTIVA HEALTH
   SERVICES             COMMON  37247A102 $        581.00     30,265   SH         DEFINED         24     30,265       --         --
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $     62,859.00  2,045,539   SH         DEFINED          1  2,045,539       --         --
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $        235.00      7,649   SH         DEFINED       1,15      7,649       --         --
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $        543.00     17,683   SH         DEFINED         15     17,383       --        300
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $        221.00      7,193   SH         DEFINED          2      7,193       --         --
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $      3,648.00    118,714   SH         DEFINED         24    118,714       --         --
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $     12,524.00    407,547   SH         DEFINED          4    407,547       --         --
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $        120.00      3,920   SH         DEFINED          6      3,170       --        750
GENWORTH FINANCIAL
   INC CL-A             COMMON  37247D106 $        178.00      5,792   SH         DEFINED          8      5,792       --         --
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $     89,835.00  1,449,889   SH         DEFINED          1  1,449,889       --         --
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $        284.00      4,577   SH         DEFINED       1,15      4,577       --         --
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $        400.00      6,450   SH         DEFINED         19      6,450       --         --
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $      4,553.00     73,481   SH         DEFINED          2     65,081       --      8,400
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $         99.00      1,597   SH         DEFINED       20,2         --       --      1,597
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $      6,289.00    101,502   SH         DEFINED       21,2         --       --    101,502
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $         24.00        391   SH         DEFINED         23         87       --        304
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $     20,718.00    334,370   SH         DEFINED         24    334,370       --         --
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $     15,521.00    250,500   SH         DEFINED          3    250,500       --         --
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $     11,304.00    182,448   SH         DEFINED          6    159,838       --     22,610
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $        248.00      4,002   SH         DEFINED          8      4,002       --         --
GENZYME CORP - GENL
   DIVISION             COMMON  372917104 $      9,938.00    160,400   SH         DEFINED          9    160,400       --         --
GENZYME CO CVT(GENZ)
   144A 1.25           CONVERT  372917AM6 $     12,875.00 12,175,000   SH         DEFINED         15         --       -- 10,000,000
GENZYME CORP
   CVT(GENZ) REGS 1.   CONVERT  372917AN4 $      5,102.00  4,825,000   SH         DEFINED         15         --       --  4,325,000
GEORGIA GULF CORP       COMMON  373200203 $        132.00      9,477   SH         DEFINED         24      9,477       --         --
GERBER SCIENTIFIC
   INC                  COMMON  373730100 $        416.00     38,378   SH         DEFINED         24     38,378       --         --
GERDAU SA ADR           COMMON  373737105 $         31.00      1,200   SH         DEFINED         24      1,200       --         --
GERON CORP              COMMON  374163103 $          7.00        919   SH         DEFINED         24        919       --         --
GETTY IMAGES INC        COMMON  374276103 $      1,323.00     47,519   SH         DEFINED         24     47,519       --         --
GETTY REALTY CORP       COMMON  374297109 $      1,866.00     68,600   SH         DEFINED       1,15     68,600       --         --
GETTY REALTY CORP       COMMON  374297109 $      2,829.00    104,000   SH         DEFINED         15     67,400       --     36,600




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
GETTY REALTY CORP       COMMON  374297109 $        131.00      4,820   SH         DEFINED         24      4,820       --         --
GETTY REALTY CORP       COMMON  374297109 $        409.00     15,051   SH         DEFINED          6      6,994       --      8,057
GEVITY HR INC           COMMON  374393106 $         54.00      5,294   SH         DEFINED         24      5,294       --         --
GIBRALTAR INDUSTRIES
   INC                  COMMON  374689107 $         87.00      4,709   SH         DEFINED         24      4,709       --         --
GILEAD SCIENCES INC     COMMON  375558103 $    234,117.00  5,728,326   SH         DEFINED          1  5,728,326       --         --
GILEAD SCIENCES INC     COMMON  375558103 $        657.00     16,082   SH         DEFINED       1,15     16,082       --         --
GILEAD SCIENCES INC     COMMON  375558103 $         65.00      1,594   SH         DEFINED         14      1,594       --         --
GILEAD SCIENCES INC     COMMON  375558103 $         65.00      1,594   SH         DEFINED       14,2      1,594       --         --
GILEAD SCIENCES INC     COMMON  375558103 $        454.00     11,100   SH         DEFINED         19     11,100       --         --
GILEAD SCIENCES INC     COMMON  375558103 $     15,938.00    389,968   SH         DEFINED          2    389,968       --         --
GILEAD SCIENCES INC     COMMON  375558103 $        101.00      2,475   SH         DEFINED       20,2         --       --      2,475
GILEAD SCIENCES INC     COMMON  375558103 $      6,428.00    157,277   SH         DEFINED       21,2         --       --    157,277
GILEAD SCIENCES INC     COMMON  375558103 $         16.00        403   SH         DEFINED         23          3       --        400
GILEAD SCIENCES INC     COMMON  375558103 $     29,597.00    724,170   SH         DEFINED         24    724,170       --         --
GILEAD SCIENCES INC     COMMON  375558103 $      2,153.00     52,672   SH         DEFINED          6     10,867       --     41,805
GILEAD SCIENCES INC     COMMON  375558103 $        602.00     14,740   SH         DEFINED          8     14,740       --         --
GILEAD SCIENCES INC     COMMON  375558103 $        697.00     17,050   SH         DEFINED        9,2     17,050       --         --
GILDAN ACTIVEWEAR
   INC                  COMMON  375916103 $      2,419.00     61,074   SH         DEFINED          2     61,074       --         --
GILDAN ACTIVEWEAR
   INC                  COMMON  375916103 $          3.00         80   SH         DEFINED         24         80       --         --
GILDAN ACTIVEWEAR
   INC                  COMMON  375916103 $     31,309.00    790,312   SH         DEFINED        3,1    790,312       --         --
GILDAN ACTIVEWEAR
   INC                  COMMON  375916103 $        574.00     14,484   SH         DEFINED          9     14,484       --         --
GLACIER BANCORP INC     COMMON  37637Q105 $      1,527.00     67,800   SH         DEFINED         15     41,900       --     25,900
GLACIER BANCORP INC     COMMON  37637Q105 $        127.00      5,653   SH         DEFINED         24      5,653       --         --
GLACIER BANCORP INC     COMMON  37637Q105 $        182.00      8,100   SH         DEFINED       5,15      8,100       --         --
GLACIER BANCORP INC     COMMON  37637Q105 $         89.00      3,950   SH         DEFINED          6         --       --      3,950
GLADSTONE CAPITAL       COMMON  376535100 $      1,450.00     74,292   SH         DEFINED         24     74,292       --         --
GLADSTONE COMMERCIAL
   CORP                 COMMON  376536108 $        424.00     22,753   SH         DEFINED         24     22,753       --         --
GLADSTONE INVESTMENT
   CORP                 COMMON  376546107 $      1,890.00    147,158   SH         DEFINED         24    147,158       --         --
GLATFELTER              COMMON  377316104 $        122.00      8,228   SH         DEFINED         24      8,228       --         --
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $    139,730.00  2,626,502   SH         DEFINED          1  2,626,502       --         --
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $    254,932.00  4,791,949   SH         DEFINED         12  4,239,319       --    552,630
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $        479.00      9,000   SH         DEFINED      12,14      9,000       --         --
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $     14,528.00    273,078   SH         DEFINED         15    157,778       --    115,300
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $        838.00     15,745   SH         DEFINED          2     15,745       --         --
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $          1.00         23   SH         DEFINED         23         11       --         12
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $     19,566.00    367,782   SH         DEFINED        3,1    367,782       --         --
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $          5.00         88   SH         DEFINED          4         88       --         --
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $     26,179.00    492,082   SH         DEFINED       5,12    492,082       --         --
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $        260.00      4,890   SH         DEFINED       5,15         --       --      4,890
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $        634.00     11,908   SH         DEFINED          6        200       --     11,708
GLAXOSMITHKLINE
   PLC-SPON ADR         COMMON  37733W105 $      2,931.00     55,100   SH         DEFINED       9,15         --       --     55,100
GLOBAL CASH ACCESS
   LLC                  COMMON  378967103 $      1,160.00    109,547   SH         DEFINED         24    109,547       --         --
GLIMCHER REALTY
   TRUST                COMMON  379302102 $      1,156.00     49,200   SH         DEFINED         15     29,600       --     19,600
GLIMCHER REALTY
   TRUST                COMMON  379302102 $        157.00      6,697   SH         DEFINED         24      6,697       --         --
GLOBAL INDUSTRIES
   LTD                  COMMON  379336100 $      3,225.00    125,200   SH         DEFINED         15     68,700       --     55,300
GLOBAL INDUSTRIES
   LTD                  COMMON  379336100 $     16,176.00    627,950   SH         DEFINED         24    627,950       --         --
GLOBAL INDUSTRIES
   LTD                  COMMON  379336100 $          8.00        315   SH         DEFINED          6         --       --        315
GLOBAL PAYMENTS INC     COMMON  37940X102 $      9,683.00    218,965   SH         DEFINED          1    218,965       --         --
GLOBAL PAYMENTS INC     COMMON  37940X102 $      7,178.00    162,314   SH         DEFINED          2    162,314       --         --
GLOBAL PAYMENTS INC     COMMON  37940X102 $          3.00         69   SH         DEFINED         23         65       --          4
GLOBAL PAYMENTS INC     COMMON  37940X102 $        141.00      3,186   SH         DEFINED         24      3,186       --         --
GLOBAL PAYMENTS INC     COMMON  37940X102 $      2,115.00     47,833   SH         DEFINED          6     27,328       --     20,505
GLOBAL PARTNERS LP      COMMON  37946R109 $          1.00         25   SH         DEFINED         23         25       --         --
GLOBAL PARTNERS LP      COMMON  37946R109 $        362.00     12,409   SH         DEFINED         24     12,409       --         --
GLOBECOMM SYSTEMS
   INC                  COMMON  37956X103 $        405.00     30,523   SH         DEFINED         24     30,523       --         --
GMX RESOURCES INC       COMMON  38011M108 $        236.00      7,341   SH         DEFINED         24      7,341       --         --
GMX RESOURCES INC       COMMON  38011M108 $          8.00        240   SH         DEFINED          6        240       --         --
GOLD FIELDS LTD ADR     COMMON  38059T106 $     13,296.00    735,000   SH         DEFINED          1    735,000       --         --
GOLDCORP INC-US$        COMMON  380956409 $     23,944.00    783,500   SH         DEFINED          1    783,500       --         --
GOLDCORP INC            COMMON  380956409 $          8.00        248   SH         DEFINED         24        248       --         --
GOLDCORP INC            COMMON  380956409 $      7,032.00    230,000   SH         DEFINED          3    230,000       --         --
GOLDCORP INC-US$        COMMON  380956409 $        489.00     16,000   SH         DEFINED          6         --       --     16,000
GOLDCORP INC            COMMON  380956409 $        438.00     14,341   SH         DEFINED          8     14,341       --         --
GOLDEN TELECOM INC      COMMON  38122G107 $        281.00      3,495   SH         DEFINED         24      3,495       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $    338,242.00  1,560,587   SH         DEFINED          1  1,560,587       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $      4,539.00     20,942   SH         DEFINED       1,15     20,942       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $      1,878.00      8,665   SH         DEFINED         10      8,665       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $      3,403.00     15,700   SH         DEFINED      11,15     15,700       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $        740.00      3,413   SH         DEFINED       11,8      3,413       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $        528.00      2,435   SH         DEFINED         14      2,435       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $         76.00        350   SH         DEFINED       14,2        350       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $    218,615.00  1,008,650   SH         DEFINED         15    730,850       --    245,350
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $      6,513.00     30,050   SH         DEFINED      15,14         --       --     30,050
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $     12,213.00     56,350   SH         DEFINED       15,8         --       --     56,350
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $     44,488.00    205,259   SH         DEFINED          2    205,259       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $        155.00        713   SH         DEFINED         21        713       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $        388.00      1,791   SH         DEFINED       21,2      1,791       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $      1,787.00      8,243   SH         DEFINED         22      8,243       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $         32.00        149   SH         DEFINED         23         31       --        118
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $     20,391.00     94,079   SH         DEFINED         24     94,079       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $        670.00      3,092   SH         DEFINED          4      3,092       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $     10,761.00     49,650   SH         DEFINED       5,15     49,650       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $     18,473.00     85,231   SH         DEFINED          6     65,570       --     19,661
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $        542.00      2,500   SH         DEFINED          7      2,500       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $      7,974.00     36,791   SH         DEFINED          8     36,791       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $     16,394.00     75,640   SH         DEFINED          9     75,640       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $     17,513.00     80,800   SH         DEFINED       9,15     80,800       --         --
GOLDMAN SACHS GROUP
   INC                  COMMON  38141G104 $      1,229.00      5,670   SH         DEFINED        9,2      5,670       --         --
GOODRICH CORPORATION    COMMON  382388106 $     22,201.00    325,384   SH         DEFINED          1    325,384       --         --
GOODRICH CORPORATION    COMMON  382388106 $        148.00      2,162   SH         DEFINED       1,15      2,162       --         --
GOODRICH CORPORATION    COMMON  382388106 $        736.00     10,793   SH         DEFINED         15     10,793       --         --
GOODRICH CORPORATION    COMMON  382388106 $          1.00         16   SH         DEFINED         23         --       --         16
GOODRICH CORPORATION    COMMON  382388106 $     17,308.00    253,671   SH         DEFINED         24    253,671       --         --
GOODRICH CORPORATION    COMMON  382388106 $      4,176.00     61,200   SH         DEFINED          3     61,200       --         --
GOODRICH CORPORATION    COMMON  382388106 $     19,451.00    285,078   SH         DEFINED          4    285,078       --         --
GOODRICH CORPORATION    COMMON  382388106 $      1,242.00     18,200   SH         DEFINED          6         --       --     18,200
GOODMAN GLOBAL INC      COMMON  38239A100 $      7,021.00    293,992   SH         DEFINED          1    293,992       --         --
GOODMAN GLOBAL INC      COMMON  38239A100 $        650.00     27,200   SH         DEFINED         15     27,200       --         --
GOODMAN GLOBAL INC      COMMON  38239A100 $      1,809.00     75,741   SH         DEFINED         24     75,741       --         --
GOODMAN GLOBAL INC      COMMON  38239A100 $        377.00     15,800   SH         DEFINED       5,15     15,800       --         --
GOODMAN GLOBAL INC      COMMON  38239A100 $         39.00      1,620   SH         DEFINED          6         --       --      1,620
GOODRICH PETROLEUM
   CORP                 COMMON  382410405 $         18.00        581   SH         DEFINED         24        581       --         --
GOODYEAR TIRE &
   RUBBER CO            COMMON  382550101 $     51,175.00  1,682,826   SH         DEFINED          1  1,682,826       --         --
GOODYEAR TIRE &
   RUBBER CO            COMMON  382550101 $        112.00      3,696   SH         DEFINED       1,15      3,696       --         --
GOODYEAR TIRE &
   RUBBER CO            COMMON  382550101 $      1,085.00     35,676   SH         DEFINED          2         --       --     35,676
GOODYEAR TIRE &
   RUBBER CO            COMMON  382550101 $      1,329.00     43,703   SH         DEFINED         24     43,703       --         --
GOOGLE INC CL A         COMMON  38259P508 $    222,808.00    392,772   SH         DEFINED          1    392,772       --         --
GOOGLE INC CL A         COMMON  38259P508 $      2,274.00      4,009   SH         DEFINED       1,15      4,009       --         --
GOOGLE INC CL A         COMMON  38259P508 $      1,295.00      2,282   SH         DEFINED       14,2         --       --      2,282
GOOGLE INC CL A         COMMON  38259P508 $      3,109.00      5,480   SH         DEFINED         15      3,160       --      1,900
GOOGLE INC CL A         COMMON  38259P508 $        942.00      1,660   SH         DEFINED       15,8         --       --      1,660
GOOGLE INC CL A         COMMON  38259P508 $      2,434.00      4,290   SH         DEFINED         19      4,290       --         --
GOOGLE INC CL A         COMMON  38259P508 $     17,208.00     30,334   SH         DEFINED          2     30,334       --         --
GOOGLE INC CL A         COMMON  38259P508 $      3,950.00      6,963   SH         DEFINED       21,2      6,963       --         --
GOOGLE INC CL A         COMMON  38259P508 $        124.00        218   SH         DEFINED         22        218       --         --
GOOGLE INC CL A         COMMON  38259P508 $         21.00         37   SH         DEFINED         23         10       --         27
GOOGLE INC CL A         COMMON  38259P508 $     44,855.00     79,071   SH         DEFINED         24     79,071       --         --
GOOGLE INC CL A         COMMON  38259P508 $         79.00        140   SH         DEFINED       5,15        140       --         --
GOOGLE INC CL A         COMMON  38259P508 $     18,681.00     32,932   SH         DEFINED          6     19,494       --     13,438
GOOGLE INC CL A         COMMON  38259P508 $      2,223.00      3,918   SH         DEFINED          8      3,918       --         --
GOOGLE INC CL A         COMMON  38259P508 $      3,128.00      5,514   SH         DEFINED          9      5,514       --         --
GOOGLE INC CL A         COMMON  38259P508 $        488.00        861   SH         DEFINED        9,2        861       --         --
GORMAN-RUPP CO          COMMON  383082104 $     27,824.00    839,092   SH         DEFINED         24    839,092       --         --
GOTTSCHALKS INC         COMMON  383485109 $        163.00     37,520   SH         DEFINED         24     37,520       --         --
W.R. GRACE & CO         COMMON  38388F108 $      1,065.00     39,668   SH         DEFINED         24     39,668       --         --
GRACO INC               COMMON  384109104 $      5,292.00    135,300   SH         DEFINED        1,3    135,300       --         --
GRACO INC               COMMON  384109104 $        173.00      4,413   SH         DEFINED         24      4,413       --         --
GRACO INC               COMMON  384109104 $     49,557.00  1,267,112   SH         DEFINED          3  1,267,112       --         --
GRAFTECH
   INTERNATIONAL        COMMON  384313102 $     11,261.00    631,200   SH         DEFINED         15    416,600       --    214,600
GRAFTECH
   INTERNATIONAL        COMMON  384313102 $      6,622.00    371,172   SH         DEFINED         24    371,172       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
GRAFTECH
   INTERNATIONAL        COMMON  384313102 $      2,241.00    125,600   SH         DEFINED       5,15    125,600       --         --
GRAINGER (W.W.) INC     COMMON  384802104 $        114.00      1,245   SH         DEFINED       1,15      1,245       --         --
GRAINGER (W.W.) INC     COMMON  384802104 $      3,502.00     38,400   SH         DEFINED         15     35,500       --      1,700
GRAINGER (W.W.) INC     COMMON  384802104 $        201.00      2,200   SH         DEFINED       15,8         --       --      2,200
GRAINGER (W.W.) INC     COMMON  384802104 $          6.00         64   SH         DEFINED         23         56       --          8
GRAINGER (W.W.) INC     COMMON  384802104 $      2,474.00     27,131   SH         DEFINED         24     27,131       --         --
GRAINGER (W.W.) INC     COMMON  384802104 $      5,434.00     59,588   SH         DEFINED          6     24,101       --     35,487
GRAINGER (W.W.) INC     COMMON  384802104 $        264.00      2,896   SH         DEFINED          8      2,896       --         --
GRAINGER (W.W.) INC     COMMON  384802104 $      1,081.00     11,857   SH         DEFINED          9     11,857       --         --
GRAMERCY CAPITAL
   CORP                 COMMON  384871109 $      9,957.00    395,600   SH         DEFINED         15    279,600       --    116,000
GRAMERCY CAPITAL
   CORP                 COMMON  384871109 $         36.00      1,415   SH         DEFINED         24      1,415       --         --
GRAMERCY CAPITAL
   CORP                 COMMON  384871109 $      2,444.00     97,100   SH         DEFINED       5,15     97,100       --         --
GRANITE CONSTRUCTION
   INC                  COMMON  387328107 $        193.00      3,632   SH         DEFINED         24      3,632       --         --
GRANT PRIDECO INC       COMMON  38821G101 $    224,120.00  4,110,790   SH         DEFINED          1  4,110,790       --         --
GRANT PRIDECO INC       COMMON  38821G101 $        147.00      2,700   SH         DEFINED      11,15      2,700       --         --
GRANT PRIDECO INC       COMMON  38821G101 $     11,340.00    208,000   SH         DEFINED       14,2         --       --    208,000
GRANT PRIDECO INC       COMMON  38821G101 $     47,149.00    864,800   SH         DEFINED         15    496,700       --    356,600
GRANT PRIDECO INC       COMMON  38821G101 $        453.00      8,300   SH         DEFINED      15,14         --       --      8,300
GRANT PRIDECO INC       COMMON  38821G101 $      1,674.00     30,700   SH         DEFINED       15,8         --       --     30,700
GRANT PRIDECO INC       COMMON  38821G101 $      9,464.00    173,579   SH         DEFINED          2    173,579       --         --
GRANT PRIDECO INC       COMMON  38821G101 $          6.00        117   SH         DEFINED         23         98       --         19
GRANT PRIDECO INC       COMMON  38821G101 $     12,019.00    220,457   SH         DEFINED         24    220,457       --         --
GRANT PRIDECO INC       COMMON  38821G101 $      1,258.00     23,080   SH         DEFINED          4     23,080       --         --
GRANT PRIDECO INC       COMMON  38821G101 $        627.00     11,500   SH         DEFINED       5,15     11,500       --         --
GRANT PRIDECO INC       COMMON  38821G101 $      4,723.00     86,628   SH         DEFINED          6     44,106       --     42,522
GRANT PRIDECO INC       COMMON  38821G101 $        387.00      7,091   SH         DEFINED          8      7,091       --         --
GRANT PRIDECO INC       COMMON  38821G101 $        760.00     13,940   SH         DEFINED          9     13,940       --         --
GRANT PRIDECO INC       COMMON  38821G101 $        559.00     10,250   SH         DEFINED        9,2     10,250       --         --
GRAPHIC PACKAGING
   CORP                 COMMON  388688103 $        247.00     54,728   SH         DEFINED         24     54,728       --         --
GRAPHIC PACKAGING
   CORP                 COMMON  388688103 $         93.00     20,635   SH         DEFINED          6         --       --     20,635
GRAY TELE VISION INC    COMMON  389375106 $         70.00      8,200   SH         DEFINED         15      8,200       --         --
GRAY TELE VISION INC    COMMON  389375106 $        490.00     57,684   SH         DEFINED         24     57,684       --         --
GRAY TELE VISION INC    COMMON  389375106 $         45.00      5,300   SH         DEFINED       5,15      5,300       --         --
GREAT AMERN FINL RES
   INC                  COMMON  389915109 $        164.00      6,702   SH         DEFINED         24      6,702       --         --
GREAT ATLANTIC & PAC
   TEA CO               COMMON  390064103 $        666.00     21,865   SH         DEFINED         24     21,865       --         --
GREAT SOUTHERN
   BANCORP INC          COMMON  390905107 $        802.00     32,300   SH         DEFINED         15     24,700       --      7,600
GREAT SOUTHERN
   BANCORP INC          COMMON  390905107 $         31.00      1,264   SH         DEFINED         24      1,264       --         --
GREAT SOUTHERN
   BANCORP INC          COMMON  390905107 $        174.00      7,000   SH         DEFINED       5,15      7,000       --         --
GREAT NORTHERN IRON
   ORE PPTY             COMMON  391064102 $          6.00         50   SH         DEFINED         23         --       --         50
GREAT PLAINS ENERGY
   INC                  COMMON  391164100 $         19.00        672   SH         DEFINED         23         --       --        672
GREAT PLAINS ENERGY
   INC                  COMMON  391164100 $        446.00     15,467   SH         DEFINED         24     15,467       --         --
GREAT PLAINS ENERGY
   INC                  COMMON  391164100 $        131.00      4,540   SH         DEFINED          6      4,540       --         --
GREAT WOLF RESORTS
   INC                  COMMON  391523107 $        603.00     48,758   SH         DEFINED         24     48,758       --         --
GREATBATCH INC          COMMON  39153L106 $      8,146.00    306,350   SH         DEFINED         15    208,550       --     97,800
GREATBATCH INC          COMMON  39153L106 $        425.00     15,992   SH         DEFINED         24     15,992       --         --
GREATBATCH INC          COMMON  39153L106 $      1,611.00     60,600   SH         DEFINED       5,15     60,600       --         --
GREATBATCH INC          COMMON  39153L106 $        109.00      4,095   SH         DEFINED          6         --       --      4,095
GREATER BAY BANCORP     COMMON  391648102 $        195.00      7,024   SH         DEFINED         24      7,024       --         --
GREEN MOUNTAIN
   COFFEE ROASTERS      COMMON  393122106 $        260.00      7,835   SH         DEFINED         24      7,835       --         --
GREEN MOUNTAIN
   COFFEE ROASTERS      COMMON  393122106 $        157.00      4,725   SH         DEFINED          6         --       --      4,725
GREENBRIER COMPANIES
   INC                  COMMON  393657101 $         60.00      2,245   SH         DEFINED         24      2,245       --         --
GREENBRIER COMPANIES
   INC                  COMMON  393657101 $         27.00      1,020   SH         DEFINED          6      1,020       --         --
GREEN BANCSHARES INC    COMMON  394361208 $         66.00      1,800   SH         DEFINED         15      1,800       --         --
GREEN BANCSHARES INC    COMMON  394361208 $        520.00     14,256   SH         DEFINED         24     14,256       --         --
GREEN BANCSHARES INC    COMMON  394361208 $         36.00      1,000   SH         DEFINED       5,15      1,000       --         --
GREENFIELD ONLINE       COMMON  395150105 $        574.00     37,650   SH         DEFINED         15     21,750       --     15,900
GREENFIELD ONLINE       COMMON  395150105 $        645.00     42,325   SH         DEFINED         24     42,325       --         --
GREENFIELD ONLINE       COMMON  395150105 $         76.00      5,000   SH         DEFINED       5,15      5,000       --         --
GREENHILL & CO INC      COMMON  395259104 $     12,884.00    211,040   SH         DEFINED          1    211,040       --         --
GREENHILL & CO INC      COMMON  395259104 $      8,892.00    145,650   SH         DEFINED         15     95,450       --     50,200
GREENHILL & CO INC      COMMON  395259104 $     10,463.00    171,382   SH         DEFINED          2    171,382       --         --
GREENHILL & CO INC      COMMON  395259104 $      1,905.00     31,212   SH         DEFINED         24     31,212       --         --
GREENHILL & CO INC      COMMON  395259104 $      1,783.00     29,200   SH         DEFINED       5,15     29,200       --         --
GREIF INC               COMMON  397624107 $     15,121.00    249,194   SH         DEFINED          1    249,194       --         --
GREIF INC               COMMON  397624107 $     11,349.00    187,036   SH         DEFINED          2    187,036       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
GREIF INC               COMMON  397624107 $        214.00      3,527   SH         DEFINED         24      3,527       --         --
GREIF BROS CORP
   -CL B                COMMON  397624206 $         59.00      1,037   SH         DEFINED         24      1,037       --         --
GREY WOLF INC           COMMON  397888108 $        113.00     17,250   SH         DEFINED         15     17,250       --         --
GREY WOLF INC           COMMON  397888108 $     11,889.00  1,815,165   SH         DEFINED         24  1,815,165       --         --
GREY WOLF INC           COMMON  397888108 $        128.00     19,500   SH         DEFINED          6         --       --     19,500
GREY WOLF INC           COMMON  397888108 $      2,228.00    340,100   SH         DEFINED          9    340,100       --         --
GREY WOLF INC           COMMON  397888108 $        426.00     65,100   SH         DEFINED       9,22     65,100       --         --
GRIFFIN CORPORATION     COMMON  398433102 $        102.00      6,743   SH         DEFINED         24      6,743       --         --
GRILL CONCEPTS INC      COMMON  398502203 $            --          5   SH         DEFINED         23          5       --         --
GROUP 1 AUTOMOTIVE
   INC                  COMMON  398905109 $        236.00      7,040   SH         DEFINED         24      7,040       --         --
CGI GROUP INC           COMMON  39945C109 $      3,536.00    308,706   SH         DEFINED          2    308,706       --         --
CGI GROUP INC           COMMON  39945C109 $         45.00      3,914   SH         DEFINED         24      3,914       --         --
CGI GROUP INC           COMMON  39945C109 $     45,325.00  3,956,683   SH         DEFINED        3,1  3,956,683       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $    158,368.00  6,552,268   SH         DEFINED          1  6,552,268       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $      8,648.00    357,800   SH         DEFINED        1,3    357,800       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $        272.00     11,237   SH         DEFINED         14     11,237       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $         27.00      1,137   SH         DEFINED       14,2      1,137       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $        244.00     10,100   SH         DEFINED       14,3     10,100       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $     14,023.00    580,201   SH         DEFINED          2    580,201       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $     15,984.00    661,300   SH         DEFINED       20,3    661,300       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $      5,291.00    218,900   SH         DEFINED       21,3    218,900       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $    690,127.00 28,553,040   SH         DEFINED          3 28,553,040       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $      8,677.00    359,000   SH         DEFINED          9    359,000       --         --
GRUPO TELEVISA SA
   ADR                  COMMON  40049J206 $        729.00     30,166   SH         DEFINED        9,2     30,166       --         --
GRUPO AEROPORTUARIO
   DEL-ADR              COMMON  400506101 $      1,485.00     27,200   SH         DEFINED      12,14     27,200       --         --
GRUPO AEROPORTUARIO
   DEL-ADR              COMMON  400506101 $        450.00      8,250   SH         DEFINED         21      8,250       --         --
GRUPO AEROPORTUARIO
   DEL-ADR              COMMON  400506101 $     15,402.00    282,090   SH         DEFINED          9    282,090       --         --
GRUPO AEROPORTUARIO
   DEL-ADR              COMMON  400506101 $        666.00     12,200   SH         DEFINED       9,15     12,200       --         --
GRUPO AEROPORTUARIO
   DEL-ADR              COMMON  400506101 $      2,026.00     37,100   SH         DEFINED       9,22     37,100       --         --
GRUPO AEROPORTUARIO
   DEL SUREST           COMMON  40051E202 $     65,407.00  1,318,150   SH         DEFINED          3  1,318,150       --         --
GTX INC                 COMMON  40052B108 $        246.00     15,093   SH         DEFINED         24     15,093       --         --
GUANGSHEN RAILWAY
   ADR                  COMMON  40065W107 $     26,202.00    600,553   SH         DEFINED         24    600,553       --         --
GUESS? INC              COMMON  401617105 $     28,937.00    590,190   SH         DEFINED          1    590,190       --         --
GUESS? INC              COMMON  401617105 $        460.00      9,389   SH         DEFINED          2         --       --      9,389
GUESS? INC              COMMON  401617105 $      1,587.00     32,373   SH         DEFINED         24     32,373       --         --
GUITAR CENTER INC       COMMON  402040109 $        219.00      3,688   SH         DEFINED         24      3,688       --         --
GULF ISLAND
   FABRICATION INC      COMMON  402307102 $        493.00     12,834   SH         DEFINED         24     12,834       --         --
GULFMARK OFFSHORE
   INC                  COMMON  402629109 $     10,489.00    215,550   SH         DEFINED         15    151,850       --     63,700
GULFMARK OFFSHORE
   INC                  COMMON  402629109 $      1,330.00     27,325   SH         DEFINED         24     27,325       --         --
GULFMARK OFFSHORE
   INC                  COMMON  402629109 $      2,560.00     52,600   SH         DEFINED       5,15     52,600       --         --
GULFMARK OFFSHORE
   INC                  COMMON  402629109 $        243.00      5,000   SH         DEFINED          6      5,000       --         --
GYMBOREE CORP           COMMON  403777105 $        572.00     16,244   SH         DEFINED          1     16,244       --         --
GYMBOREE CORP           COMMON  403777105 $        152.00      4,300   SH         DEFINED         15      4,300       --         --
GYMBOREE CORP           COMMON  403777105 $         78.00      2,202   SH         DEFINED         24      2,202       --         --
H&E EQUIPMENT
   SERVICES INC         COMMON  404030108 $         40.00      2,249   SH         DEFINED         24      2,249       --         --
H & Q HEALTHCARE
   INVESTORS CF         COMMON  404052102 $         69.00      3,972   SH         DEFINED          6      3,972       --         --
H & Q LIFE SCIENCES
   INVSTRS CF           COMMON  404053100 $            --         13   SH         DEFINED         23         --       --         13
H & Q LIFE SCIENCES
   INVSTRS CF           COMMON  404053100 $         33.00      2,418   SH         DEFINED          6      2,418       --         --
HCC INSURANCE
   HOLDINGS INC         COMMON  404132102 $     10,989.00    383,700   SH         DEFINED          1    383,700       --         --
HCC INSURANCE
   HOLDINGS INC         COMMON  404132102 $      7,044.00    245,935   SH         DEFINED          2    245,935       --         --
HCC INSURANCE
   HOLDINGS INC         COMMON  404132102 $      3,279.00    114,481   SH         DEFINED         24    114,481       --         --
HCC INSURANCE
   HOLDINGS INC         COMMON  404132102 $        143.00      4,993   SH         DEFINED          6        675       --      4,318
HCP INC                 COMMON  40414L109 $     83,001.00  2,502,300   SH         DEFINED       1,15  2,502,300       --         --
HCP INC                 COMMON  40414L109 $    164,787.00  4,967,952   SH         DEFINED         15  3,132,452       --  1,495,900
HCP INC                 COMMON  40414L109 $     10,349.00    312,000   SH         DEFINED       2,15    312,000       --         --
HCP INC                 COMMON  40414L109 $      3,307.00     99,700   SH         DEFINED      20,15     99,700       --         --
HCP INC                 COMMON  40414L109 $         31.00        924   SH         DEFINED         23         --       --        924
HCP INC                 COMMON  40414L109 $        534.00     16,106   SH         DEFINED         24     16,106       --         --
HCP INC                 COMMON  40414L109 $     14,093.00    424,864   SH         DEFINED       5,15    424,864       --         --
HCP INC                 COMMON  40414L109 $        212.00      6,395   SH         DEFINED          6        200       --      6,195
HDFC BANK LTD ADR       COMMON  40415F101 $      2,238.00     20,894   SH         DEFINED          2     20,894       --         --
HDFC BANK LTD ADR       COMMON  40415F101 $         12.00        110   SH         DEFINED         23         --       --        110
HDFC BANK LTD ADR       COMMON  40415F101 $     23,935.00    223,419   SH         DEFINED          4    223,419       --         --
HDFC BANK LTD ADR       COMMON  40415F101 $      1,212.00     11,310   SH         DEFINED          9     11,310       --         --
HDFC BANK LTD ADR       COMMON  40415F101 $        520.00      4,850   SH         DEFINED       9,15      4,850       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HDFC BANK LTD ADR       COMMON  40415F101 $      2,542.00     23,727   SH         DEFINED       9,22     23,727       --         --
HFF INC-CLASS A         COMMON  40418F108 $         47.00      4,000   SH         DEFINED         15      4,000       --         --
HKN INC                 COMMON  40420K103 $         83.00      9,000   SH         DEFINED         15      9,000       --         --
HKN INC                 COMMON  40420K103 $         48.00      5,200   SH         DEFINED       5,15      5,200       --         --
HLTH CORP               COMMON  40422Y101 $        588.00     41,500   SH         DEFINED       1,15     41,500       --         --
HLTH CORP               COMMON  40422Y101 $     36,762.00  2,594,388   SH         DEFINED         15  1,520,988       --  1,050,800
HLTH CORP               COMMON  40422Y101 $      1,532.00    108,100   SH         DEFINED       15,8         --       --    108,100
HLTH CORP               COMMON  40422Y101 $        361.00     25,483   SH         DEFINED         24     25,483       --         --
HLTH CORP               COMMON  40422Y101 $        650.00     45,900   SH         DEFINED       5,15     45,900       --         --
HLTH CORP               COMMON  40422Y101 $          6.00        442   SH         DEFINED          6         --       --        442
HNI CORP                COMMON  404251100 $      1,908.00     53,000   SH         DEFINED        1,3     53,000       --         --
HNI CORP                COMMON  404251100 $        280.00      7,768   SH         DEFINED         24      7,768       --         --
HNI CORP                COMMON  404251100 $      1,008.00     28,000   SH         DEFINED          3     28,000       --         --
HNI CORP                COMMON  404251100 $          4.00        109   SH         DEFINED          6         --       --        109
HMS HOLDINGS CORP       COMMON  40425J101 $     12,534.00    509,293   SH         DEFINED          1    509,293       --         --
HMS HOLDINGS CORP       COMMON  40425J101 $        133.00      5,400   SH         DEFINED         19      5,400       --         --
HMS HOLDINGS CORP       COMMON  40425J101 $      1,044.00     42,417   SH         DEFINED          2     42,417       --         --
HMS HOLDINGS CORP       COMMON  40425J101 $         25.00      1,031   SH         DEFINED       20,2         --       --      1,031
HMS HOLDINGS CORP       COMMON  40425J101 $      1,647.00     66,928   SH         DEFINED       21,2         --       --     66,928
HMS HOLDINGS CORP       COMMON  40425J101 $        574.00     23,310   SH         DEFINED         24     23,310       --         --
HRPT PROPERTIES
   TRUST                COMMON  40426W101 $      1,497.00    151,400   SH         DEFINED         15    151,400       --         --
HRPT PROPERTIES
   TRUST                COMMON  40426W101 $          5.00        500   SH         DEFINED         23         --       --        500
HRPT PROPERTIES
   TRUST                COMMON  40426W101 $        304.00     30,762   SH         DEFINED         24     30,762       --         --
HSBC HOLDINGS PLC
   ADR                  COMMON  404280406 $     15,918.00    171,900   SH         DEFINED       1,12    171,900       --         --
HSBC HOLDINGS PLC
   ADR                  COMMON  404280406 $    146,668.00  1,583,886   SH         DEFINED         12  1,577,386       --      6,500
HSBC HOLDINGS PLC
   ADR                  COMMON  404280406 $      3,348.00     36,151   SH         DEFINED         15     36,151       --         --
HSBC HOLDINGS PLC
   ADR                  COMMON  404280406 $     21,785.00    235,259   SH         DEFINED         24    235,259       --         --
HSBC HOLDINGS PLC
   ADR                  COMMON  404280406 $          3.00         36   SH         DEFINED          4         36       --         --
HSBC HOLDINGS PLC
   ADR                  COMMON  404280406 $        223.00      2,404   SH         DEFINED          6      1,860       --        544
HAEMONETICS
   CORP/MASS            COMMON  405024100 $      8,186.00    165,634   SH         DEFINED          1    165,634       --         --
HAEMONETICS
   CORP/MASS            COMMON  405024100 $      9,508.00    192,400   SH         DEFINED         15    118,500       --     73,900
HAEMONETICS
   CORP/MASS            COMMON  405024100 $      1,348.00     27,279   SH         DEFINED         24     27,279       --         --
HAEMONETICS
   CORP/MASS            COMMON  405024100 $      1,201.00     24,300   SH         DEFINED       5,15     24,300       --         --
HAIN CELESTIAL GROUP
   INC                  COMMON  405217100 $        114.00      3,542   SH         DEFINED         24      3,542       --         --
HAIN CELESTIAL GROUP
   INC                  COMMON  405217100 $        162.00      5,050   SH         DEFINED          6         --       --      5,050
HALLIBURTON CO          COMMON  406216101 $    280,217.00  7,297,329   SH         DEFINED          1  7,297,329       --         --
HALLIBURTON CO          COMMON  406216101 $        593.00     15,454   SH         DEFINED       1,15     15,454       --         --
HALLIBURTON CO          COMMON  406216101 $        319.00      8,300   SH         DEFINED      11,15      8,300       --         --
HALLIBURTON CO          COMMON  406216101 $      7,757.00    202,000   SH         DEFINED       14,2         --       --    202,000
HALLIBURTON CO          COMMON  406216101 $     19,134.00    498,269   SH         DEFINED         15    357,869       --    111,400
HALLIBURTON CO          COMMON  406216101 $      1,640.00     42,700   SH         DEFINED       15,8         --       --     42,700
HALLIBURTON CO          COMMON  406216101 $          1.00         17   SH         DEFINED         23          8       --          9
HALLIBURTON CO          COMMON  406216101 $     25,532.00    664,885   SH         DEFINED         24    664,885       --         --
HALLIBURTON CO          COMMON  406216101 $     12,937.00    336,890   SH         DEFINED          4    336,890       --         --
HALLIBURTON CO          COMMON  406216101 $        261.00      6,800   SH         DEFINED       5,15      6,800       --         --
HALLIBURTON CO          COMMON  406216101 $        368.00      9,595   SH         DEFINED          6         --       --      9,595
HALLIBURTON CO          COMMON  406216101 $      1,019.00     26,525   SH         DEFINED          8     26,525       --         --
HALLIBURTON CO          COMMON  406216101 $      1,419.00     36,957   SH         DEFINED          9     36,957       --         --
HALLIBURTON CO          COMMON  406216101 $      1,674.00     43,600   SH         DEFINED       9,15     43,600       --         --
HANCOCK HOLDING CO      COMMON  410120109 $      4,389.00    109,500   SH         DEFINED         15     77,300       --     32,200
HANCOCK HOLDING CO      COMMON  410120109 $         95.00      2,381   SH         DEFINED         24      2,381       --         --
HANCOCK HOLDING CO      COMMON  410120109 $      1,182.00     29,500   SH         DEFINED       5,15     29,500       --         --
HANDLEMAN CO            COMMON  410252100 $        219.00     71,607   SH         DEFINED         24     71,607       --         --
HANESBRANDS INC         COMMON  410345102 $     53,592.00  1,909,925   SH         DEFINED          1  1,909,925       --         --
HANESBRANDS INC         COMMON  410345102 $      1,189.00     42,362   SH         DEFINED          2         --       --     42,362
HANESBRANDS INC         COMMON  410345102 $      4,082.00    145,467   SH         DEFINED         24    145,467       --         --
HANESBRANDS INC         COMMON  410345102 $         51.00      1,818   SH         DEFINED          6      1,065       --        753
HANESBRANDS INC         COMMON  410345102 $         47.00      1,670   SH         DEFINED          8      1,670       --         --
HANGER ORTHOPEDIC
   GROUP INC            COMMON  41043F208 $        468.00     41,300   SH         DEFINED         24     41,300       --         --
HANMI FINANCIAL
   CORPORATION          COMMON  410495105 $         47.00      3,039   SH         DEFINED         24      3,039       --         --
HANMI FINANCIAL
   CORPORATION          COMMON  410495105 $        291.00     18,800   SH         DEFINED          6         --       --     18,800
HANOVER INSURANCE
   GROUP INC            COMMON  410867105 $      1,423.00     32,211   SH         DEFINED         24     32,211       --         --
HANOVER INSURANCE
   GROUP INC            COMMON  410867105 $        174.00      3,945   SH         DEFINED          6         --       --      3,945
HANSEN NATURAL CORP     COMMON  411310105 $     27,560.00    486,232   SH         DEFINED          1    486,232       --         --
HANSEN NATURAL CORP     COMMON  411310105 $        533.00      9,401   SH         DEFINED          2         --       --      9,401




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HANSEN NATURAL CORP     COMMON  411310105 $          7.00        118   SH         DEFINED         23        110       --          8
HANSEN NATURAL CORP     COMMON  411310105 $      4,171.00     73,591   SH         DEFINED         24     73,591       --         --
HANSEN NATURAL CORP     COMMON  411310105 $      4,650.00     82,047   SH         DEFINED          6     46,916       --     35,131
HARDINGE INC            COMMON  412324303 $        456.00     13,097   SH         DEFINED         24     13,097       --         --
HARLEY-DAVIDSON INC     COMMON  412822108 $        201.00      4,350   SH         DEFINED       1,15      4,350       --         --
HARLEY-DAVIDSON INC     COMMON  412822108 $          5.00        100   SH         DEFINED         15         --       --        100
HARLEY-DAVIDSON INC     COMMON  412822108 $          1.00         14   SH         DEFINED         23         --       --         14
HARLEY-DAVIDSON INC     COMMON  412822108 $      2,147.00     46,466   SH         DEFINED         24     46,466       --         --
HARLEY-DAVIDSON INC     COMMON  412822108 $         93.00      2,020   SH         DEFINED          6         --       --      2,020
HARLEY-DAVIDSON INC     COMMON  412822108 $        335.00      7,243   SH         DEFINED          8      7,243       --         --
HARLEYSVILLE GROUP
   INC                  COMMON  412824104 $        655.00     20,496   SH         DEFINED         24     20,496       --         --
HARLEYSVILLE
   NATIONAL CORP        COMMON  412850109 $      8,157.00    513,317   SH         DEFINED         24    513,317       --         --
HARMAN INTERNATIONAL    COMMON  413086109 $      8,652.00    100,000   SH         DEFINED          1    100,000       --         --
HARMAN INTERNATIONAL    COMMON  413086109 $         97.00      1,125   SH         DEFINED       1,15      1,125       --         --
HARMAN INTERNATIONAL    COMMON  413086109 $          4.00         51   SH         DEFINED         23         48       --          3
HARMAN INTERNATIONAL    COMMON  413086109 $        183.00      2,110   SH         DEFINED         24      2,110       --         --
HARMAN INTERNATIONAL    COMMON  413086109 $      3,250.00     37,565   SH         DEFINED          6     21,026       --     16,539
HARMAN INTERNATIONAL    COMMON  413086109 $         65.00        749   SH         DEFINED          8        749       --         --
HARMONIC INC            COMMON  413160102 $        697.00     65,724   SH         DEFINED         24     65,724       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $     47,499.00    546,404   SH         DEFINED          1    546,404       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $        283.00      3,250   SH         DEFINED       1,15      3,250       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $         70.00        800   SH         DEFINED         14        800       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $      4,084.00     46,981   SH         DEFINED       14,2         --       --     46,981
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $         70.00        800   SH         DEFINED       14,3        800       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $         10.00        119   SH         DEFINED         23        106       --         13
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $        953.00     10,967   SH         DEFINED         24     10,967       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $     11,657.00    134,100   SH         DEFINED          3    134,100       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $      8,220.00     94,556   SH         DEFINED          6     68,785       --     25,771
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $        210.00      2,419   SH         DEFINED          8      2,419       --         --
HARRAH'S
   ENTERTAINMENT INC    COMMON  413619107 $        459.00      5,276   SH         DEFINED          9      5,276       --         --
HARRIS & HARRIS
   GROUP INC            COMMON  413833104 $      8,391.00    788,634   SH         DEFINED         24    788,634       --         --
HARRIS CORP             COMMON  413875105 $     46,324.00    801,584   SH         DEFINED          1    801,584       --         --
HARRIS CORP             COMMON  413875105 $        462.00      8,000   SH         DEFINED         19      8,000       --         --
HARRIS CORP             COMMON  413875105 $      3,324.00     57,524   SH         DEFINED       21,2     57,524       --         --
HARRIS CORP             COMMON  413875105 $     17,340.00    300,051   SH         DEFINED         24    300,051       --         --
HARRIS CORP             COMMON  413875105 $        259.00      4,474   SH         DEFINED          6      4,474       --         --
HARRIS INTERACTIVE
   INC                  COMMON  414549105 $        359.00     83,374   SH         DEFINED         24     83,374       --         --
HARRIS INTERACTIVE
   INC                  COMMON  414549105 $         73.00     16,985   SH         DEFINED          6         --       --     16,985
HARSCO CORP             COMMON  415864107 $      2,925.00     49,342   SH         DEFINED         24     49,342       --         --
HARSCO CORP             COMMON  415864107 $         47.00        800   SH         DEFINED          6        660       --        140
HARTE-HANKS INC         COMMON  416196103 $      3,354.00    170,427   SH         DEFINED          1    170,427       --         --
HARTE-HANKS INC         COMMON  416196103 $      6,725.00    341,700   SH         DEFINED        1,3    341,700       --         --
HARTE-HANKS INC         COMMON  416196103 $        353.00     17,940   SH         DEFINED       14,2         --       --     17,940
HARTE-HANKS INC         COMMON  416196103 $        291.00     14,800   SH         DEFINED       20,3     14,800       --         --
HARTE-HANKS INC         COMMON  416196103 $         12.00        600   SH         DEFINED         23         --       --        600
HARTE-HANKS INC         COMMON  416196103 $        272.00     13,845   SH         DEFINED         24     13,845       --         --
HARTE-HANKS INC         COMMON  416196103 $      2,385.00    121,200   SH         DEFINED          3    121,200       --         --
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $     40,758.00    440,384   SH         DEFINED          1    440,384       --         --
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $        510.00      5,515   SH         DEFINED       1,15      5,515       --         --
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $        370.00      4,000   SH         DEFINED      11,15      4,000       --         --
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $     12,866.00    139,020   SH         DEFINED         15    119,020       --     16,000
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $      4,646.00     50,200   SH         DEFINED       15,8         --       --     50,200
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $         85.00        920   SH         DEFINED         23        200       --        720
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $     28,896.00    312,222   SH         DEFINED         24    312,222       --         --
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $        436.00      4,706   SH         DEFINED          6      3,382       --      1,324
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $        476.00      5,146   SH         DEFINED          8      5,146       --         --
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $        773.00      8,354   SH         DEFINED          9      8,354       --         --
HARTFORD FINANCIAL
   SVCS GRP             COMMON  416515104 $      2,416.00     26,100   SH         DEFINED       9,15     26,100       --         --
HARTMARX CORPORATION    COMMON  417119104 $        274.00     55,982   SH         DEFINED         24     55,982       --         --
HARVEST NATURAL
   RESOURCES INC        COMMON  41754V103 $        346.00     29,001   SH         DEFINED         24     29,001       --         --
HASBRO INC              COMMON  418056107 $      2,809.00    100,764   SH         DEFINED       1,15    100,764       --         --
HASBRO INC              COMMON  418056107 $        842.00     30,200   SH         DEFINED      11,15     30,200       --         --
HASBRO INC              COMMON  418056107 $     72,820.00  2,611,918   SH         DEFINED         15  1,655,768       --    911,150
HASBRO INC              COMMON  418056107 $      1,015.00     36,400   SH         DEFINED      15,14         --       --     36,400
HASBRO INC              COMMON  418056107 $      2,484.00     89,100   SH         DEFINED       15,8         --       --     89,100




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HASBRO INC              COMMON  418056107 $         61.00      2,181   SH         DEFINED         22      2,181       --         --
HASBRO INC              COMMON  418056107 $        650.00     23,315   SH         DEFINED         24     23,315       --         --
HASBRO INC              COMMON  418056107 $      1,907.00     68,400   SH         DEFINED       5,15     68,400       --         --
HASBRO INC              COMMON  418056107 $        676.00     24,261   SH         DEFINED          8     24,261       --         --
HASBRO INC              COMMON  418056107 $      1,325.00     47,533   SH         DEFINED          9     47,533       --         --
HASBRO INC              COMMON  418056107 $      3,995.00    143,300   SH         DEFINED       9,15    143,300       --         --
HAVERTY FURNITURE       COMMON  419596101 $        520.00     59,283   SH         DEFINED         24     59,283       --         --
HAWAIIAN ELECTRIC
   INDS                 COMMON  419870100 $          7.00        300   SH         DEFINED         23         --       --        300
HAWAIIAN ELECTRIC
   INDS                 COMMON  419870100 $        312.00     14,392   SH         DEFINED         24     14,392       --         --
HAYES LEMMERZ
   INTERNATIONAL        COMMON  420781304 $        467.00    112,150   SH         DEFINED         15     74,250       --     37,900
HAYES LEMMERZ
   INTERNATIONAL        COMMON  420781304 $        347.00     83,374   SH         DEFINED         24     83,374       --         --
HAYES LEMMERZ
   INTERNATIONAL        COMMON  420781304 $        106.00     25,400   SH         DEFINED       5,15     25,400       --         --
HEALTHCARE SERVICES
   GROUP                COMMON  421906108 $         44.00      2,184   SH         DEFINED         24      2,184       --         --
HEALTHCARE SERVICES
   GROUP                COMMON  421906108 $         11.00        540   SH         DEFINED          6        540       --         --
HEALTHSOUTH CORP        COMMON  421924309 $        265.00     15,128   SH         DEFINED          6         --       --     15,128
HEALTH MGMT
   ASSOCIATES INC CL    COMMON  421933102 $        586.00     84,500   SH         DEFINED         15         --       --     84,500
HEALTH MGMT
   ASSOCIATES INC CL    COMMON  421933102 $        150.00     21,575   SH         DEFINED         24     21,575       --         --
HEALTH MGMT
   ASSOCIATES INC CL    COMMON  421933102 $         33.00      4,685   SH         DEFINED          8      4,685       --         --
HEALTHCARE REALTY
   TRUST INC            COMMON  421946104 $      2,465.00     92,453   SH         DEFINED         15     92,453       --         --
HEALTHCARE REALTY
   TRUST INC            COMMON  421946104 $        201.00      7,536   SH         DEFINED         24      7,536       --         --
HEADWATERS INC          COMMON  42210P102 $        164.00     11,000   SH         DEFINED         15     11,000       --         --
HEADWATERS INC          COMMON  42210P102 $     13,626.00    915,716   SH         DEFINED         24    915,716       --         --
HEALTH CARE REIT INC    COMMON  42217K106 $     18,677.00    422,173   SH         DEFINED       1,15    422,173       --         --
HEALTH CARE REIT INC    COMMON  42217K106 $     75,581.00  1,708,434   SH         DEFINED         15  1,013,534       --    556,400
HEALTH CARE REIT INC    COMMON  42217K106 $      1,770.00     40,000   SH         DEFINED       2,15     40,000       --         --
HEALTH CARE REIT INC    COMMON  42217K106 $         36.00        806   SH         DEFINED         23         --       --        806
HEALTH CARE REIT INC    COMMON  42217K106 $        313.00      7,075   SH         DEFINED         24      7,075       --         --
HEALTH CARE REIT INC    COMMON  42217K106 $      7,668.00    173,320   SH         DEFINED       5,15    173,320       --         --
HEALTHEXTRAS INC        COMMON  422211102 $          3.00        100   SH         DEFINED         23         --       --        100
HEALTHEXTRAS INC        COMMON  422211102 $         52.00      1,885   SH         DEFINED         24      1,885       --         --
HEALTHEXTRAS INC        COMMON  422211102 $          4.00        150   SH         DEFINED          6        150       --         --
HEALTH NET INC          COMMON  42222G108 $    205,075.00  3,794,174   SH         DEFINED          1  3,794,174       --         --
HEALTH NET INC          COMMON  42222G108 $        351.00      6,500   SH         DEFINED         15         --       --      6,500
HEALTH NET INC          COMMON  42222G108 $        151.00      2,800   SH         DEFINED         19      2,800       --         --
HEALTH NET INC          COMMON  42222G108 $     17,194.00    318,111   SH         DEFINED          2    318,111       --         --
HEALTH NET INC          COMMON  42222G108 $         35.00        655   SH         DEFINED       20,2         --       --        655
HEALTH NET INC          COMMON  42222G108 $      2,161.00     39,979   SH         DEFINED       21,2         --       --     39,979
HEALTH NET INC          COMMON  42222G108 $      8,177.00    151,286   SH         DEFINED         24    151,286       --         --
HEALTH NET INC          COMMON  42222G108 $          2.00         42   SH         DEFINED          4         42       --         --
HEALTH NET INC          COMMON  42222G108 $        137.00      2,536   SH         DEFINED          8      2,536       --         --
HEALTH NET INC          COMMON  42222G108 $        969.00     17,919   SH         DEFINED        9,2     17,919       --         --
HEALTHWAYS INC          COMMON  422245100 $          7.00        130   SH         DEFINED         23        104       --         26
HEALTHWAYS INC          COMMON  422245100 $         63.00      1,171   SH         DEFINED         24      1,171       --         --
HEALTHWAYS INC          COMMON  422245100 $      4,102.00     76,010   SH         DEFINED          6     43,620       --     32,390
HEALTHSPRING, INC       COMMON  42224N101 $         55.00      2,797   SH         DEFINED         24      2,797       --         --
HEARST CL ARGYLE
   TELEVISION IN        COMMON  422317107 $          2.00         72   SH         DEFINED         23         --       --         72
HEARST CL ARGYLE
   TELEVISION IN        COMMON  422317107 $        231.00      8,885   SH         DEFINED         24      8,885       --         --
HEARST CL ARGYLE
   TELEVISION IN        COMMON  422317107 $         25.00        952   SH         DEFINED          6         --       --        952
HEARTLAND EXPRESS
   INC                  COMMON  422347104 $      4,087.00    286,176   SH         DEFINED          1    286,176       --         --
HEARTLAND EXPRESS
   INC                  COMMON  422347104 $      2,345.00    164,200   SH         DEFINED         15     74,600       --     89,600
HEARTLAND EXPRESS
   INC                  COMMON  422347104 $        543.00     38,006   SH         DEFINED         24     38,006       --         --
HEARTLAND EXPRESS
   INC                  COMMON  422347104 $         14.00        975   SH         DEFINED          6        975       --         --
HEARTLAND FINANCIAL
   USA INC              COMMON  42234Q102 $          5.00        224   SH         DEFINED         24        224       --         --
HEARTLAND PAYMENT
   SYSTEMS INC.         COMMON  42235N108 $         51.00      1,995   SH         DEFINED         24      1,995       --         --
HECLA MINING CO         COMMON  422704106 $      3,580.00    400,000   SH         DEFINED          1    400,000       --         --
HECLA MINING CO         COMMON  422704106 $        538.00     60,071   SH         DEFINED         15     44,671       --     15,400
HECLA MINING CO         COMMON  422704106 $         28.00      3,101   SH         DEFINED         24      3,101       --         --
HECLA MINING CO         COMMON  422704106 $        109.00     12,200   SH         DEFINED       5,15     12,200       --         --
HEELYS INC              COMMON  42279M107 $         84.00     10,589   SH         DEFINED         24     10,589       --         --
HEICO CORP              COMMON  422806109 $         22.00        448   SH         DEFINED         24        448       --         --
HEICO CORP CL A         COMMON  422806208 $         34.00        859   SH         DEFINED         24        859       --         --
HEIDRICK & STRUGGLES
   INTL                 COMMON  422819102 $      3,840.00    105,350   SH         DEFINED         15     69,950       --     35,400
HEIDRICK & STRUGGLES
   INTL                 COMMON  422819102 $      1,515.00     41,552   SH         DEFINED         24     41,552       --         --
HEIDRICK & STRUGGLES
   INTL                 COMMON  422819102 $        689.00     18,900   SH         DEFINED       5,15     18,900       --         --
HEINZ (H.J.) CO         COMMON  423074103 $        256.00      5,540   SH         DEFINED       1,15      5,540       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HEINZ (H.J.) CO         COMMON  423074103 $        263.00      5,700   SH         DEFINED      11,15      5,700       --         --
HEINZ (H.J.) CO         COMMON  423074103 $      6,190.00    133,980   SH         DEFINED         15    110,380       --     20,600
HEINZ (H.J.) CO         COMMON  423074103 $      1,478.00     32,000   SH         DEFINED       15,8         --       --     32,000
HEINZ (H.J.) CO         COMMON  423074103 $         18.00        400   SH         DEFINED         22        400       --         --
HEINZ (H.J.) CO         COMMON  423074103 $          1.00         16   SH         DEFINED         23          7       --          9
HEINZ (H.J.) CO         COMMON  423074103 $      2,867.00     62,048   SH         DEFINED         24     62,048       --         --
HEINZ (H.J.) CO         COMMON  423074103 $        335.00      7,258   SH         DEFINED          6        714       --      6,544
HEINZ (H.J.) CO         COMMON  423074103 $        296.00      6,404   SH         DEFINED          8      6,404       --         --
HEINZ (H.J.) CO         COMMON  423074103 $        464.00     10,042   SH         DEFINED          9     10,042       --         --
HEINZ (H.J.) CO         COMMON  423074103 $      2,042.00     44,200   SH         DEFINED       9,15     44,200       --         --
HELIX ENERGY
   SOLUTIONS GROUP      COMMON  42330P107 $         14.00        326   SH         DEFINED         23         --       --        326
HELIX ENERGY
   SOLUTIONS GROUP      COMMON  42330P107 $        197.00      4,639   SH         DEFINED         24      4,639       --         --
HELLENIC TELECOMMUN
   ORG ADR              COMMON  423325307 $          1.00         63   SH         DEFINED         23         --       --         63
HELLENIC TELECOMMUN
   ORG ADR              COMMON  423325307 $         48.00      2,570   SH         DEFINED          6         --       --      2,570
HELMERICH & PAYNE       COMMON  423452101 $     12,724.00    387,578   SH         DEFINED         24    387,578       --         --
HENRY (JACK) &
   ASSOCIATES           COMMON  426281101 $         16.00        626   SH         DEFINED         23         --       --        626
HENRY (JACK) &
   ASSOCIATES           COMMON  426281101 $      3,185.00    123,153   SH         DEFINED         24    123,153       --         --
HERITAGE COMMERCE
   CORP                 COMMON  426927109 $        116.00      5,500   SH         DEFINED         15      5,500       --         --
HERITAGE COMMERCE
   CORP                 COMMON  426927109 $         66.00      3,100   SH         DEFINED       5,15      3,100       --         --
HERCULES INC            COMMON  427056106 $         41.00      1,970   SH         DEFINED       1,15      1,970       --         --
HERCULES INC            COMMON  427056106 $      2,850.00    135,600   SH         DEFINED         15     56,600       --     79,000
HERCULES INC            COMMON  427056106 $          1.00         48   SH         DEFINED         23         --       --         48
HERCULES INC            COMMON  427056106 $        766.00     36,450   SH         DEFINED         24     36,450       --         --
HERCULES INC            COMMON  427056106 $         29.00      1,380   SH         DEFINED          6      1,380       --         --
HERCULES OFFSHORE
   INC                  COMMON  427093109 $     43,199.00  1,654,500   SH         DEFINED          1  1,654,500       --         --
HERCULES OFFSHORE
   INC                  COMMON  427093109 $      6,266.00    240,000   SH         DEFINED       14,2         --       --    240,000
HERCULES OFFSHORE
   INC                  COMMON  427093109 $        465.00     17,827   SH         DEFINED          2         --       --     17,827
HERCULES OFFSHORE
   INC                  COMMON  427093109 $        132.00      5,054   SH         DEFINED         24      5,054       --         --
HERCULES OFFSHORE
   INC                  COMMON  427093109 $        735.00     28,137   SH         DEFINED          4     28,137       --         --
HERCULES TECHNOLOGY
   GROWTH               COMMON  427096508 $         81.00      6,132   SH         DEFINED         15      6,132       --         --
HERCULES TECHNOLOGY
   GROWTH               COMMON  427096508 $      2,606.00    196,356   SH         DEFINED         24    196,356       --         --
HERCULES TECHNOLOGY
   GROWTH               COMMON  427096508 $         50.00      3,800   SH         DEFINED       5,15      3,800       --         --
HERLEY INDUSTRIES
   INC                  COMMON  427398102 $        799.00     53,574   SH         DEFINED         24     53,574       --         --
HERSHA HOSPITALITY
   TRUST                COMMON  427825104 $        999.00    100,900   SH         DEFINED         15     38,100       --     62,800
HERSHA HOSPITALITY
   TRUST                COMMON  427825104 $        374.00     37,736   SH         DEFINED         24     37,736       --         --
HERSHEY CO/THE          COMMON  427866108 $        136.00      2,934   SH         DEFINED       1,15      2,934       --         --
HERSHEY CO/THE          COMMON  427866108 $            --          5   SH         DEFINED         23         --       --          5
HERSHEY CO/THE          COMMON  427866108 $      1,706.00     36,764   SH         DEFINED         24     36,764       --         --
HERSHEY CO/THE          COMMON  427866108 $        164.00      3,537   SH         DEFINED          6      3,150       --        387
HERSHEY CO/THE          COMMON  427866108 $        180.00      3,870   SH         DEFINED          8      3,870       --         --
HESS CORP               COMMON  42809H107 $     80,501.00  1,210,000   SH         DEFINED          1  1,210,000       --         --
HESS CORP               COMMON  42809H107 $        320.00      4,815   SH         DEFINED       1,15      4,815       --         --
HESS CORP               COMMON  42809H107 $     12,907.00    194,000   SH         DEFINED       14,2         --       --    194,000
HESS CORP               COMMON  42809H107 $         53.00        792   SH         DEFINED         23         12       --        780
HESS CORP               COMMON  42809H107 $     16,129.00    242,427   SH         DEFINED         24    242,427       --         --
HESS CORP               COMMON  42809H107 $      1,455.00     21,871   SH         DEFINED          4     21,871       --         --
HESS CORP               COMMON  42809H107 $        909.00     13,660   SH         DEFINED          6      1,246       --     12,414
HESS CORP               COMMON  42809H107 $        287.00      4,307   SH         DEFINED          8      4,307       --         --
HEWITT ASSOCIATES
   INC                  COMMON  42822Q100 $     10,813.00    308,500   SH         DEFINED        1,3    308,500       --         --
HEWITT ASSOCIATES
   INC                  COMMON  42822Q100 $        449.00     12,800   SH         DEFINED       20,3     12,800       --         --
HEWITT ASSOCIATES
   INC                  COMMON  42822Q100 $      7,042.00    200,914   SH         DEFINED         24    200,914       --         --
HEWITT ASSOCIATES
   INC                  COMMON  42822Q100 $      3,894.00    111,100   SH         DEFINED          3    111,100       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $    316,056.00  6,347,776   SH         DEFINED          1  6,347,776       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $     11,283.00    226,608   SH         DEFINED       1,15    226,608       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      3,084.00     61,950   SH         DEFINED         10     61,950       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      3,346.00     67,200   SH         DEFINED      11,15     67,200       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      1,664.00     33,427   SH         DEFINED       11,8     33,427       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $     38,487.00    772,983   SH         DEFINED         12    214,683       --    558,300
HEWLETT-PACKARD CO      COMMON  428236103 $        466.00      9,350   SH         DEFINED      12,14      9,350       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $        892.00     17,913   SH         DEFINED         14     17,913       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $    255,643.00  5,134,435   SH         DEFINED         15  4,035,125       --    950,810
HEWLETT-PACKARD CO      COMMON  428236103 $      5,377.00    108,000   SH         DEFINED      15,14         --       --    108,000
HEWLETT-PACKARD CO      COMMON  428236103 $     15,749.00    316,300   SH         DEFINED       15,8         --       --    316,300
HEWLETT-PACKARD CO      COMMON  428236103 $      1,708.00     34,300   SH         DEFINED         19     34,300       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $     46,773.00    939,405   SH         DEFINED          2    939,405       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HEWLETT-PACKARD CO      COMMON  428236103 $         10.00        210   SH         DEFINED      20,12        210       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      1,135.00     22,800   SH         DEFINED      20,15         --       --     22,800
HEWLETT-PACKARD CO      COMMON  428236103 $        291.00      5,849   SH         DEFINED         21      5,849       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      2,495.00     50,120   SH         DEFINED      21,15         --       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      3,624.00     72,787   SH         DEFINED       21,2     72,787       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      5,790.00    116,296   SH         DEFINED         22    116,296       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $         62.00      1,239   SH         DEFINED         23        513       --        726
HEWLETT-PACKARD CO      COMMON  428236103 $     32,114.00    644,989   SH         DEFINED         24    644,989       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      9,449.00    189,771   SH         DEFINED          3    189,771       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $      1,171.00     23,514   SH         DEFINED          4     23,514       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $     11,910.00    239,200   SH         DEFINED       5,15    229,400       --      9,800
HEWLETT-PACKARD CO      COMMON  428236103 $     27,867.00    559,683   SH         DEFINED          6    469,432       --     90,251
HEWLETT-PACKARD CO      COMMON  428236103 $        946.00     19,000   SH         DEFINED          7     19,000       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $     12,239.00    245,803   SH         DEFINED          8    245,803       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $     27,064.00    543,568   SH         DEFINED          9    543,568       --         --
HEWLETT-PACKARD CO      COMMON  428236103 $     19,562.00    392,883   SH         DEFINED       9,15    335,400       --     57,483
HEWLETT-PACKARD CO      COMMON  428236103 $        799.00     16,038   SH         DEFINED        9,2     16,038       --         --
HEWLETT-PACKARD(HWP)
   CVT 0.0 1           CONVERT  428236AC7 $      7,748.00  9,700,000   SH         DEFINED         15         --       --  8,200,000
HEXCEL CORP             COMMON  428291108 $      3,110.00    136,935   SH         DEFINED         24    136,935       --         --
HHGREGG INC             COMMON  42833L108 $      4,661.00    443,907   SH         DEFINED          1    443,907       --         --
HHGREGG INC             COMMON  42833L108 $        525.00     49,998   SH         DEFINED       14,2         --       --     49,998
HIBBETT SPORTS INC      COMMON  428567101 $         90.00      3,616   SH         DEFINED         24      3,616       --         --
HIBBETT SPORTS INC      COMMON  428567101 $         73.00      2,950   SH         DEFINED          6         --       --      2,950
HIGHWOODS PROPERTIES
   INC REIT             COMMON  431284108 $     21,966.00    599,010   SH         DEFINED         15    379,310       --    217,400
HIGHWOODS PROPERTIES
   INC REIT             COMMON  431284108 $        191.00      5,200   SH         DEFINED       15,8         --       --      5,200
HIGHWOODS PROPERTIES
   INC REIT             COMMON  431284108 $        261.00      7,130   SH         DEFINED         24      7,130       --         --
HIGHWOODS PROPERTIES
   INC REIT             COMMON  431284108 $      2,827.00     77,100   SH         DEFINED       5,15     77,100       --         --
HIGHWOODS PROPERTIES
   INC REIT             COMMON  431284108 $         93.00      2,545   SH         DEFINED          6         --       --      2,545
HILAND PARTNERS LP      COMMON  431291103 $        405.00      8,203   SH         DEFINED         24      8,203       --         --
HILB ROGAL & HOBBS
   CO                   COMMON  431294107 $      6,840.00    157,853   SH         DEFINED          1    157,853       --         --
HILB ROGAL & HOBBS
   CO                   COMMON  431294107 $        151.00      3,491   SH         DEFINED         24      3,491       --         --
HILLENBRAND
   INDUSTRIES           COMMON  431573104 $      1,563.00     28,402   SH         DEFINED         24     28,402       --         --
HILLENBRAND
   INDUSTRIES           COMMON  431573104 $          6.00        105   SH         DEFINED          6         --       --        105
HILLTOP HOLDINGS INC    COMMON  432748101 $        506.00     43,097   SH         DEFINED         24     43,097       --         --
HILTON HOTELS CORP      COMMON  432848109 $     27,214.00    585,382   SH         DEFINED          1    585,382       --         --
HILTON HOTELS CORP      COMMON  432848109 $        315.00      6,777   SH         DEFINED       1,15      6,777       --         --
HILTON HOTELS CORP      COMMON  432848109 $      2,446.00     52,619   SH         DEFINED       14,2         --       --     52,619
HILTON HOTELS CORP      COMMON  432848109 $          6.00        137   SH         DEFINED         23        126       --         11
HILTON HOTELS CORP      COMMON  432848109 $      1,990.00     42,809   SH         DEFINED         24     42,809       --         --
HILTON HOTELS CORP      COMMON  432848109 $      4,636.00     99,720   SH         DEFINED          6     53,953       --     45,767
HILTON HOTELS CORP      COMMON  432848109 $        355.00      7,631   SH         DEFINED          8      7,631       --         --
HILTON HOTELS CORP      COMMON  432848109 $        665.00     14,306   SH         DEFINED          9     14,306       --         --
HITACHI LTD ADR         COMMON  433578507 $         12.00        175   SH         DEFINED         23         --       --        175
HITACHI LTD ADR         COMMON  433578507 $          2.00         24   SH         DEFINED          4         24       --         --
HITTITE MICROWAVE
   CORP                 COMMON  43365Y104 $         31.00        698   SH         DEFINED         24        698       --         --
HOLLY CORP              COMMON  435758305 $        581.00      9,707   SH         DEFINED          1      9,707       --         --
HOLLY CORP              COMMON  435758305 $      2,303.00     38,500   SH         DEFINED       1,15     38,500       --         --
HOLLY CORP              COMMON  435758305 $        867.00     14,496   SH         DEFINED         10     14,496       --         --
HOLLY CORP              COMMON  435758305 $        729.00     12,181   SH         DEFINED       11,8     12,181       --         --
HOLLY CORP              COMMON  435758305 $        385.00      6,435   SH         DEFINED         14      6,435       --         --
HOLLY CORP              COMMON  435758305 $      8,634.00    144,303   SH         DEFINED         15    104,203       --     38,800
HOLLY CORP              COMMON  435758305 $      1,561.00     26,085   SH         DEFINED         21     26,085       --         --
HOLLY CORP              COMMON  435758305 $      1,745.00     29,164   SH         DEFINED         22     29,164       --         --
HOLLY CORP              COMMON  435758305 $      4,451.00     74,400   SH         DEFINED         24     74,400       --         --
HOLLY CORP              COMMON  435758305 $         60.00      1,000   SH         DEFINED       5,15      1,000       --         --
HOLLY CORP              COMMON  435758305 $      2,234.00     37,339   SH         DEFINED          8     37,339       --         --
HOLLY CORP              COMMON  435758305 $     31,599.00    528,154   SH         DEFINED          9    528,154       --         --
HOLOGIC INC             COMMON  436440101 $     49,026.00    803,700   SH         DEFINED          1    803,700       --         --
HOLOGIC INC             COMMON  436440101 $        933.00     15,300   SH         DEFINED          2         --       --     15,300
HOLOGIC INC             COMMON  436440101 $         46.00        751   SH         DEFINED         24        751       --         --
HOME BANCSHARES INC     COMMON  436893200 $      1,238.00     56,800   SH         DEFINED         15     38,500       --     18,300
HOME BANCSHARES INC     COMMON  436893200 $        299.00     13,700   SH         DEFINED       5,15     13,700       --         --
HOME DEPOT INC          COMMON  437076102 $    172,511.00  5,317,860   SH         DEFINED          1  5,317,860       --         --
HOME DEPOT INC          COMMON  437076102 $        951.00     29,315   SH         DEFINED       1,15     29,315       --         --
HOME DEPOT INC          COMMON  437076102 $        663.00     20,449   SH         DEFINED         10     20,449       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HOME DEPOT INC          COMMON  437076102 $        269.00      8,307   SH         DEFINED       11,8      8,307       --         --
HOME DEPOT INC          COMMON  437076102 $     22,175.00    683,571   SH         DEFINED         12    178,071       --    505,500
HOME DEPOT INC          COMMON  437076102 $        234.00      7,200   SH         DEFINED      12,14      7,200       --         --
HOME DEPOT INC          COMMON  437076102 $        137.00      4,215   SH         DEFINED         14      4,215       --         --
HOME DEPOT INC          COMMON  437076102 $      1,598.00     49,270   SH         DEFINED       14,2         --       --     49,270
HOME DEPOT INC          COMMON  437076102 $     11,402.00    351,480   SH         DEFINED         15    311,520       --     37,360
HOME DEPOT INC          COMMON  437076102 $        331.00     10,200   SH         DEFINED       15,8         --       --     10,200
HOME DEPOT INC          COMMON  437076102 $         17.00        535   SH         DEFINED      20,12        535       --         --
HOME DEPOT INC          COMMON  437076102 $        568.00     17,500   SH         DEFINED      20,15         --       --     17,500
HOME DEPOT INC          COMMON  437076102 $      1,503.00     46,340   SH         DEFINED      21,15         --       --         --
HOME DEPOT INC          COMMON  437076102 $         10.00        317   SH         DEFINED         22        317       --         --
HOME DEPOT INC          COMMON  437076102 $         22.00        672   SH         DEFINED         23         77       --        595
HOME DEPOT INC          COMMON  437076102 $      8,469.00    261,060   SH         DEFINED         24    261,060       --         --
HOME DEPOT INC          COMMON  437076102 $      7,565.00    233,210   SH         DEFINED          4    233,210       --         --
HOME DEPOT INC          COMMON  437076102 $        291.00      8,970   SH         DEFINED       5,15         --       --      8,970
HOME DEPOT INC          COMMON  437076102 $     38,448.00  1,185,193   SH         DEFINED          6    219,402       --    965,792
HOME DEPOT INC          COMMON  437076102 $      1,904.00     58,694   SH         DEFINED          8     58,694       --         --
HOME DEPOT INC          COMMON  437076102 $     12,578.00    387,746   SH         DEFINED          9    387,746       --         --
HOME DEPOT INC          COMMON  437076102 $      1,482.00     45,689   SH         DEFINED       9,15         --       --     45,689
HOME INNS & HOTELS
   MANAG-ADR            COMMON  43713W107 $      1,107.00     31,800   SH         DEFINED       1,15     31,800       --         --
HOME INNS & HOTELS
   MANAG-ADR            COMMON  43713W107 $        181.00      5,200   SH         DEFINED       2,15      5,200       --         --
HOME INNS & HOTELS
   MANAG-ADR            COMMON  43713W107 $      5,119.00    147,104   SH         DEFINED         24    147,104       --         --
HOME PROPERTIES INC     COMMON  437306103 $      4,186.00     80,223   SH         DEFINED         15     59,523       --     20,700
HOME PROPERTIES INC     COMMON  437306103 $        258.00      4,948   SH         DEFINED         24      4,948       --         --
HOME PROPERTIES INC     COMMON  437306103 $        110.00      2,100   SH         DEFINED          6         --       --      2,100
HONDA MOTOR CO LTD
   ADR                  COMMON  438128308 $      9,760.00    292,572   SH         DEFINED         24    292,572       --         --
HONDA MOTOR CO LTD
   ADR                  COMMON  438128308 $         61.00      1,830   SH         DEFINED          6         --       --      1,830
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $     43,498.00    731,427   SH         DEFINED          1    731,427       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $      4,692.00     78,892   SH         DEFINED       1,15     78,892       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $        375.00      6,300   SH         DEFINED      11,15      6,300       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $     38,676.00    650,347   SH         DEFINED         15    502,747       --    122,100
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $      4,680.00     78,700   SH         DEFINED       15,8         --       --     78,700
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $     11,378.00    191,322   SH         DEFINED          2    191,322       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $          3.00         51   SH         DEFINED         23         --       --         51
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $     27,477.00    462,038   SH         DEFINED         24    462,038       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $        298.00      5,019   SH         DEFINED          4      5,019       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $        464.00      7,800   SH         DEFINED       5,15      7,800       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $      2,770.00     46,574   SH         DEFINED          6     19,225       --     27,349
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $      1,222.00     20,548   SH         DEFINED          8     20,548       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $      1,670.00     28,078   SH         DEFINED          9     28,078       --         --
HONEYWELL
   INTERNATIONAL INC    COMMON  438516106 $      3,134.00     52,700   SH         DEFINED       9,15     52,700       --         --
HOOKER FURNITURE
   CORP                 COMMON  439038100 $         38.00      1,900   SH         DEFINED         15      1,900       --         --
HOOKER FURNITURE
   CORP                 COMMON  439038100 $        398.00     19,877   SH         DEFINED         24     19,877       --         --
HORACE MANN
   EDUCATORS            COMMON  440327104 $        692.00     35,100   SH         DEFINED         15     35,100       --         --
HORACE MANN
   EDUCATORS            COMMON  440327104 $      6,860.00    348,026   SH         DEFINED         24    348,026       --         --
HORACE MANN
   EDUCATORS            COMMON  440327104 $        286.00     14,500   SH         DEFINED       5,15     14,500       --         --
HORACE MANN
   EDUCATORS            COMMON  440327104 $        140.00      7,090   SH         DEFINED          6         --       --      7,090
HORIZON FINANCIAL
   CORP                 COMMON  44041F105 $      1,210.00     59,650   SH         DEFINED         15     41,750       --     17,900
HORIZON FINANCIAL
   CORP                 COMMON  44041F105 $          4.00        175   SH         DEFINED         24        175       --         --
HORIZON FINANCIAL
   CORP                 COMMON  44041F105 $        312.00     15,400   SH         DEFINED       5,15     15,400       --         --
HORIZON OFFSHORE INC    COMMON  44043J204 $         46.00      2,803   SH         DEFINED         24      2,803       --         --
HORIZON LINES INC-CL
   A                    COMMON  44044K101 $         85.00      2,795   SH         DEFINED         24      2,795       --         --
HORMEL FOODS CORP       COMMON  440452100 $      1,742.00     48,697   SH         DEFINED         24     48,697       --         --
HORMEL FOODS CORP       COMMON  440452100 $         38.00      1,059   SH         DEFINED          6        780       --        279
HORNBECK OFFSHORE
   SERVICES             COMMON  440543106 $         94.00      2,564   SH         DEFINED         24      2,564       --         --
HOSPIRA INC             COMMON  441060100 $     52,217.00  1,259,766   SH         DEFINED          1  1,259,766       --         --
HOSPIRA INC             COMMON  441060100 $        113.00      2,726   SH         DEFINED       1,15      2,726       --         --
HOSPIRA INC             COMMON  441060100 $        610.00     14,715   SH         DEFINED         15     14,715       --         --
HOSPIRA INC             COMMON  441060100 $        162.00      3,900   SH         DEFINED         19      3,900       --         --
HOSPIRA INC             COMMON  441060100 $      1,706.00     41,149   SH         DEFINED          2     41,149       --         --
HOSPIRA INC             COMMON  441060100 $         42.00      1,010   SH         DEFINED       20,2         --       --      1,010
HOSPIRA INC             COMMON  441060100 $      2,660.00     64,178   SH         DEFINED       21,2         --       --     64,178
HOSPIRA INC             COMMON  441060100 $          5.00        123   SH         DEFINED         23        107       --         16
HOSPIRA INC             COMMON  441060100 $        455.00     10,967   SH         DEFINED         24     10,967       --         --
HOSPIRA INC             COMMON  441060100 $            --          1   SH         DEFINED          3          1       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HOSPIRA INC             COMMON  441060100 $     15,735.00    379,621   SH         DEFINED          4    379,621       --         --
HOSPIRA INC             COMMON  441060100 $        194.00      4,676   SH         DEFINED          6      4,450       --        226
HOSPIRA INC             COMMON  441060100 $        107.00      2,590   SH         DEFINED          8      2,590       --         --
HOSPITALITY
   PROPERTIES TRUST     COMMON  44106M102 $      7,037.00    173,100   SH         DEFINED       1,15    173,100       --         --
HOSPITALITY
   PROPERTIES TRUST     COMMON  44106M102 $      9,250.00    227,540   SH         DEFINED         15    171,540       --     56,000
HOSPITALITY
   PROPERTIES TRUST     COMMON  44106M102 $        462.00     11,359   SH         DEFINED         24     11,359       --         --
HOSPITALITY
   PROPERTIES TRUST     COMMON  44106M102 $         10.00        250   SH         DEFINED          6         --       --        250
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $     89,306.00  3,979,752   SH         DEFINED       1,15  3,979,752       --         --
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $    221,614.00  9,875,840   SH         DEFINED         15  6,399,427       --  2,742,628
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $     12,180.00    542,765   SH         DEFINED       2,15    542,765       --         --
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $      3,898.00    173,691   SH         DEFINED      20,15    173,691       --         --
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $         21.00        925   SH         DEFINED         23         --       --        925
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $        400.00     17,831   SH         DEFINED         24     17,831       --         --
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $     20,576.00    916,919   SH         DEFINED       5,15    916,919       --         --
HOST HOTELS &
   RESORTS INC          COMMON  44107P104 $          8.00        352   SH         DEFINED          6         77       --        275
HOT TOPIC INC           COMMON  441339108 $      9,355.00  1,253,973   SH         DEFINED          1  1,253,973       --         --
HOT TOPIC INC           COMMON  441339108 $      7,227.00    968,703   SH         DEFINED          2    968,703       --         --
HOT TOPIC INC           COMMON  441339108 $         58.00      7,801   SH         DEFINED         24      7,801       --         --
HOT TOPIC INC           COMMON  441339108 $         76.00     10,165   SH         DEFINED          6         --       --     10,165
HOUSEVALUES INC         COMMON  44183Y102 $          6.00      1,639   SH         DEFINED         24      1,639       --         --
HOUSTON WIRE & CABLE
   CO                   COMMON  44244K109 $        163.00      9,004   SH         DEFINED         24      9,004       --         --
HOVNANIAN
   ENTERPRISES-A        COMMON  442487203 $        155.00     13,976   SH         DEFINED         24     13,976       --         --
HUANENG POWER INTL
   ADR                  COMMON  443304100 $     54,932.00  1,040,774   SH         DEFINED         24  1,040,774       --         --
HUB GROUP INC CL A      COMMON  443320106 $     12,129.00    403,882   SH         DEFINED          1    403,882       --         --
HUB GROUP INC CL A      COMMON  443320106 $        143.00      4,750   SH         DEFINED         15      4,750       --         --
HUB GROUP INC CL A      COMMON  443320106 $      9,857.00    328,225   SH         DEFINED          2    328,225       --         --
HUB GROUP INC CL A      COMMON  443320106 $        497.00     16,535   SH         DEFINED         24     16,535       --         --
HUB GROUP INC CL A      COMMON  443320106 $         98.00      3,270   SH         DEFINED          6         --       --      3,270
HUBBELL INC  CL B       COMMON  443510201 $          1.00         12   SH         DEFINED         23         --       --         12
HUBBELL INC  CL B       COMMON  443510201 $      1,062.00     18,596   SH         DEFINED         24     18,596       --         --
HUBBELL INC  CL B       COMMON  443510201 $        749.00     13,121   SH         DEFINED          6         --       --     13,121
HUBBELL INC  CL B       COMMON  443510201 $      8,042.00    140,800   SH         DEFINED          9    140,800       --         --
HUBBELL INC  CL B       COMMON  443510201 $      1,217.00     21,300   SH         DEFINED       9,22     21,300       --         --
HUDSON CITY BANCORP
   INC                  COMMON  443683107 $     39,602.00  2,574,887   SH         DEFINED          1  2,574,887       --         --
HUDSON CITY BANCORP
   INC                  COMMON  443683107 $        142.00      9,233   SH         DEFINED       1,15      9,233       --         --
HUDSON CITY BANCORP
   INC                  COMMON  443683107 $      1,105.00     71,816   SH         DEFINED         24     71,816       --         --
HUDSON CITY BANCORP
   INC                  COMMON  443683107 $        574.00     37,350   SH         DEFINED          6         --       --     37,350
HUDSON CITY BANCORP
   INC                  COMMON  443683107 $        130.00      8,474   SH         DEFINED          8      8,474       --         --
HUDSON HIGHLAND
   GROUP INC            COMMON  443792106 $         10.00        798   SH         DEFINED         23        798       --         --
HUDSON HIGHLAND
   GROUP INC            COMMON  443792106 $        335.00     26,355   SH         DEFINED         24     26,355       --         --
HUGHES
   COMMUNICATIONS
   INC                  COMMON  444398101 $         30.00        569   SH         DEFINED         24        569       --         --
HUGOTON ROYALTY
   TRUST                COMMON  444717102 $          4.00        160   SH         DEFINED         23          5       --        155
HUGOTON ROYALTY
   TRUST                COMMON  444717102 $          4.00        167   SH         DEFINED          6        167       --         --
HUMANA INC              COMMON  444859102 $     66,506.00    951,712   SH         DEFINED          1    951,712       --         --
HUMANA INC              COMMON  444859102 $        204.00      2,925   SH         DEFINED       1,15      2,925       --         --
HUMANA INC              COMMON  444859102 $        783.00     11,200   SH         DEFINED      11,15     11,200       --         --
HUMANA INC              COMMON  444859102 $     16,687.00    238,800   SH         DEFINED         15    188,000       --     44,800
HUMANA INC              COMMON  444859102 $        189.00      2,700   SH         DEFINED      15,14         --       --      2,700
HUMANA INC              COMMON  444859102 $      2,593.00     37,100   SH         DEFINED       15,8         --       --     37,100
HUMANA INC              COMMON  444859102 $      1,090.00     15,600   SH         DEFINED          2         --       --     15,600
HUMANA INC              COMMON  444859102 $         70.00      1,004   SH         DEFINED       21,2      1,004       --         --
HUMANA INC              COMMON  444859102 $          4.00         63   SH         DEFINED         23         59       --          4
HUMANA INC              COMMON  444859102 $      2,503.00     35,812   SH         DEFINED         24     35,812       --         --
HUMANA INC              COMMON  444859102 $      1,686.00     24,134   SH         DEFINED        3,1     24,134       --         --
HUMANA INC              COMMON  444859102 $        538.00      7,700   SH         DEFINED       5,15      7,700       --         --
HUMANA INC              COMMON  444859102 $      6,504.00     93,080   SH         DEFINED          6     33,504       --     59,576
HUMANA INC              COMMON  444859102 $        241.00      3,450   SH         DEFINED          8      3,450       --         --
HUMANA INC              COMMON  444859102 $      3,836.00     54,900   SH         DEFINED       9,15     54,900       --         --
HUMANA INC              COMMON  444859102 $        682.00      9,766   SH         DEFINED        9,2      9,766       --         --
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $     15,827.00  1,538,138   SH         DEFINED          1  1,538,138       --         --
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $      1,565.00    152,050   SH         DEFINED         15     88,250       --     63,800
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $         51.00      5,000   SH         DEFINED         19      5,000       --         --
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $      5,929.00    576,230   SH         DEFINED          2    576,230       --         --
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $         19.00      1,872   SH         DEFINED       20,2         --       --      1,872
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $      1,248.00    121,259   SH         DEFINED       21,2         --       --    121,259




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $      7,078.00    687,811   SH         DEFINED         24    687,811       --         --
HUMAN GENOME
   SCIENCES INC         COMMON  444903108 $        205.00     19,900   SH         DEFINED       5,15     19,900       --         --
HUNT (JB) TRANSPRT
   SVCS INC             COMMON  445658107 $      2,121.00     80,650   SH         DEFINED         24     80,650       --         --
HUNTINGTON
   BANCSHARES           COMMON  446150104 $        109.00      6,400   SH         DEFINED       1,15      6,400       --         --
HUNTINGTON
   BANCSHARES           COMMON  446150104 $         14.00        800   SH         DEFINED         23         --       --        800
HUNTINGTON
   BANCSHARES           COMMON  446150104 $        663.00     39,047   SH         DEFINED         24     39,047       --         --
HUNTINGTON
   BANCSHARES           COMMON  446150104 $         27.00      1,600   SH         DEFINED          6      1,600       --         --
HUNTINGTON
   BANCSHARES           COMMON  446150104 $         79.00      4,649   SH         DEFINED          8      4,649       --         --
HUNTSMAN CORP           COMMON  447011107 $      1,848.00     69,772   SH         DEFINED         24     69,772       --         --
HURCO COMPANIES INC     COMMON  447324104 $        483.00      8,930   SH         DEFINED         24      8,930       --         --
HURON CONSULTING
   GROUP INC            COMMON  447462102 $        314.00      4,319   SH         DEFINED         24      4,319       --         --
HURRAY! HOLDING CO
   LTD-ADR              COMMON  447773102 $        488.00     94,523   SH         DEFINED         24     94,523       --         --
HUTCHINSON TECH         COMMON  448407106 $        719.00     29,246   SH         DEFINED         24     29,246       --         --
HYDROGENICS CORP        COMMON  448882100 $            --         12   SH         DEFINED         23         --       --         12
IDT CORP                COMMON  448947101 $         26.00      3,243   SH         DEFINED         24      3,243       --         --
IDT CORP CL B           COMMON  448947309 $     30,627.00  3,659,137   SH         DEFINED          1  3,659,137       --         --
IDT CORP CL B           COMMON  448947309 $        541.00     64,590   SH         DEFINED         15     64,590       --         --
IDT CORP CL B           COMMON  448947309 $        148.00     17,670   SH         DEFINED         24     17,670       --         --
IDT CORP CL B           COMMON  448947309 $     14,299.00  1,708,349   SH         DEFINED          4  1,708,349       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $         98.00      3,316   SH         DEFINED       1,15      3,316       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $      1,067.00     35,954   SH         DEFINED         10     35,954       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $      1,958.00     66,000   SH         DEFINED      11,15     66,000       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $        508.00     17,105   SH         DEFINED       11,8     17,105       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $        333.00     11,234   SH         DEFINED         14     11,234       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $    140,605.00  4,738,970   SH         DEFINED         15  3,228,520       --  1,408,050
IAC/INTERACTIVECORP     COMMON  44919P300 $      2,614.00     88,100   SH         DEFINED      15,14         --       --     88,100
IAC/INTERACTIVECORP     COMMON  44919P300 $      6,643.00    223,900   SH         DEFINED       15,8         --       --    223,900
IAC/INTERACTIVECORP     COMMON  44919P300 $        190.00      6,406   SH         DEFINED         22      6,406       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $      3,481.00    117,311   SH         DEFINED         24    117,311       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $      5,266.00    177,500   SH         DEFINED       5,15    177,500       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $          6.00        207   SH         DEFINED          6         --       --        207
IAC/INTERACTIVECORP     COMMON  44919P300 $        279.00      9,400   SH         DEFINED          7      9,400       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $      3,876.00    130,624   SH         DEFINED          8    130,624       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $      6,684.00    225,280   SH         DEFINED          9    225,280       --         --
IAC/INTERACTIVECORP     COMMON  44919P300 $      9,551.00    321,900   SH         DEFINED       9,15    321,900       --         --
ICF INTERNATIONAL
   INC                  COMMON  44925C103 $        310.00     11,228   SH         DEFINED         24     11,228       --         --
ICO INC                 COMMON  449293109 $        594.00     42,201   SH         DEFINED         24     42,201       --         --
ICU MEDICAL INC         COMMON  44930G107 $      1,729.00     44,617   SH         DEFINED         15     27,417       --     17,200
ICU MEDICAL INC         COMMON  44930G107 $         37.00        963   SH         DEFINED         24        963       --         --
ICU MEDICAL INC         COMMON  44930G107 $        287.00      7,400   SH         DEFINED       5,15      7,400       --         --
IHOP CORP               COMMON  449623107 $      7,146.00    112,838   SH         DEFINED          1    112,838       --         --
IHOP CORP               COMMON  449623107 $      2,036.00     32,144   SH         DEFINED         24     32,144       --         --
IPCS INC                COMMON  44980Y305 $      7,210.00    209,662   SH         DEFINED          1    209,662       --         --
IPCS INC                COMMON  44980Y305 $         41.00      1,200   SH         DEFINED       21,2      1,200       --         --
IPCS INC                COMMON  44980Y305 $         26.00        753   SH         DEFINED         24        753       --         --
IMS HEALTH INC          COMMON  449934108 $     11,726.00    382,700   SH         DEFINED          1    382,700       --         --
IMS HEALTH INC          COMMON  449934108 $        105.00      3,415   SH         DEFINED       1,15      3,415       --         --
IMS HEALTH INC          COMMON  449934108 $      2,093.00     68,300   SH         DEFINED        1,3     68,300       --         --
IMS HEALTH INC          COMMON  449934108 $        882.00     28,800   SH         DEFINED         15     17,200       --      9,500
IMS HEALTH INC          COMMON  449934108 $        257.00      8,400   SH         DEFINED       15,8         --       --      8,400
IMS HEALTH INC          COMMON  449934108 $     10,834.00    353,600   SH         DEFINED       20,3    353,600       --         --
IMS HEALTH INC          COMMON  449934108 $      3,588.00    117,100   SH         DEFINED       21,3    117,100       --         --
IMS HEALTH INC          COMMON  449934108 $            --          9   SH         DEFINED         23         --       --          9
IMS HEALTH INC          COMMON  449934108 $        730.00     23,828   SH         DEFINED         24     23,828       --         --
IMS HEALTH INC          COMMON  449934108 $    190,970.00  6,232,700   SH         DEFINED          3  6,232,700       --         --
IMS HEALTH INC          COMMON  449934108 $      1,190.00     38,828   SH         DEFINED          6      9,934       --     28,894
IMS HEALTH INC          COMMON  449934108 $        158.00      5,166   SH         DEFINED          8      5,166       --         --
IMS HEALTH INC          COMMON  449934108 $        540.00     17,619   SH         DEFINED          9     17,619       --         --
ISTAR FINANCIAL INC     COMMON  45031U101 $      3,158.00     92,900   SH         DEFINED       1,15     92,900       --         --
ISTAR FINANCIAL INC     COMMON  45031U101 $        497.00     14,612   SH         DEFINED         24     14,612       --         --
ISTAR FINANCIAL INC     COMMON  45031U101 $        701.00     20,635   SH         DEFINED          6      1,800       --     18,835
ITT EDUCATIONAL
   SERVICES INC         COMMON  45068B109 $         73.00        600   SH         DEFINED       1,15        600       --         --
ITT EDUCATIONAL
   SERVICES INC         COMMON  45068B109 $     16,979.00    139,526   SH         DEFINED         15     98,526       --     39,300
ITT EDUCATIONAL
   SERVICES INC         COMMON  45068B109 $        681.00      5,600   SH         DEFINED       15,8         --       --      5,600
ITT EDUCATIONAL
   SERVICES INC         COMMON  45068B109 $     11,762.00     96,654   SH         DEFINED         24     96,654       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ITT EDUCATIONAL
   SERVICES INC         COMMON  45068B109 $      1,412.00     11,603   SH         DEFINED        3,1     11,603       --         --
ITT EDUCATIONAL
   SERVICES INC         COMMON  45068B109 $        353.00      2,900   SH         DEFINED       5,15      2,900       --         --
ITT EDUCATIONAL
   SERVICES INC         COMMON  45068B109 $          9.00         74   SH         DEFINED          6         --       --         74
ITT EDUCATIONAL
    SERVICES INC        COMMON  45068B109 $        571.00      4,695   SH         DEFINED        9,2      4,695       --         --
I-TRAX INC              COMMON  45069D203 $        412.00    106,985   SH         DEFINED         24    106,985       --         --
IXIA COMMUNICATIONS     COMMON  45071R109 $        251.00     28,758   SH         DEFINED         24     28,758       --         --
IXIA COMMUNICATIONS     COMMON  45071R109 $          4.00        490   SH         DEFINED          6        490       --         --
IBERIABANK CORP         COMMON  450828108 $         80.00      1,517   SH         DEFINED         24      1,517       --         --
IBERIABANK CORP         COMMON  450828108 $        177.00      3,355   SH         DEFINED          6         --       --      3,355
ITT CORP                COMMON  450911102 $     24,878.00    366,236   SH         DEFINED          1    366,236       --         --
ITT CORP                COMMON  450911102 $        213.00      3,139   SH         DEFINED       1,15      3,139       --         --
ITT CORP                COMMON  450911102 $      1,105.00     16,271   SH         DEFINED         15     12,371       --      3,900
ITT CORP                COMMON  450911102 $          1.00         15   SH         DEFINED         23         15       --         --
ITT CORP                COMMON  450911102 $     88,668.00  1,305,287   SH         DEFINED         24  1,305,287       --         --
ITT CORP                COMMON  450911102 $     41,852.00    616,100   SH         DEFINED          3    616,100       --         --
ITT CORP                COMMON  450911102 $     12,569.00    185,022   SH         DEFINED          4    185,022       --         --
ITT CORP                COMMON  450911102 $        713.00     10,500   SH         DEFINED          6      2,250       --      8,250
ITT CORP                COMMON  450911102 $        219.00      3,218   SH         DEFINED          8      3,218       --         --
ITT CORP                COMMON  450911102 $        221.00      3,256   SH         DEFINED          9      3,256       --         --
IAMGOLD CORPORATION     COMMON  450913108 $      8,700.00  1,000,000   SH         DEFINED          1  1,000,000       --         --
IAMGOLD CORPORATION     COMMON  450913108 $    110,111.00 12,656,980   SH         DEFINED          3 12,656,980       --         --
ICICI BANK LTD ADR      COMMON  45104G104 $        385.00      7,300   SH         DEFINED        3,7      7,300       --         --
ICICI BANK LTD ADR      COMMON  45104G104 $      4,059.00     77,000   SH         DEFINED          7     77,000       --         --
ICICI BANK LTD ADR      COMMON  45104G104 $      3,490.00     66,200   SH         DEFINED          9     66,200       --         --
ICICI BANK LTD ADR      COMMON  45104G104 $        216.00      4,100   SH         DEFINED       9,15      4,100       --         --
ICICI BANK LTD ADR      COMMON  45104G104 $     10,512.00    199,400   SH         DEFINED       9,22    199,400       --         --
ICICI BANK LTD ADR      COMMON  45104G104 $     11,087.00    210,300   SH         DEFINED        9,7    210,300       --         --
ICONIX BRAND GROUP
   INC                  COMMON  451055107 $         23.00        955   SH         DEFINED         24        955       --         --
IDACORP INC             COMMON  451107106 $     23,599.00    720,792   SH         DEFINED         24    720,792       --         --
IDEARC INC              COMMON  451663108 $            --          1   SH         DEFINED       21,2          1       --         --
IDEARC INC              COMMON  451663108 $         23.00        715   SH         DEFINED         23         --       --        715
IDEARC INC              COMMON  451663108 $      1,464.00     46,518   SH         DEFINED         24     46,518       --         --
IDEARC INC              COMMON  451663108 $         58.00      1,836   SH         DEFINED          6      1,354       --        482
IDEARC INC              COMMON  451663108 $         75.00      2,373   SH         DEFINED          8      2,373       --         --
IDENIX
   PHARMACEUTICALS
   INC                  COMMON  45166R204 $          3.00        930   SH         DEFINED         24        930       --         --
IDEX CORP               COMMON  45167R104 $        242.00      6,650   SH         DEFINED         14      6,650       --         --
IDEX CORP               COMMON  45167R104 $        242.00      6,650   SH         DEFINED       14,3      6,650       --         --
IDEX CORP               COMMON  45167R104 $     55,016.00  1,511,855   SH         DEFINED         24  1,511,855       --         --
IDEX CORP               COMMON  45167R104 $     44,712.00  1,228,700   SH         DEFINED          3  1,228,700       --         --
IDEXX LABORATORIES
   INC                  COMMON  45168D104 $        687.00      6,272   SH         DEFINED          1      6,272       --         --
IDEXX LABORATORIES
   INC                  COMMON  45168D104 $     38,209.00    348,657   SH         DEFINED         24    348,657       --         --
IDEXX LABORATORIES
   INC                  COMMON  45168D104 $        564.00      5,150   SH         DEFINED          6      1,600       --      3,550
IKON OFFICE
   SOLUTIONS INC        COMMON  451713101 $      1,868.00    145,400   SH         DEFINED         15     84,500       --     60,900
IKON OFFICE
   SOLUTIONS INC        COMMON  451713101 $      2,881.00    224,196   SH         DEFINED         24    224,196       --         --
IKON OFFICE
   SOLUTIONS INC        COMMON  451713101 $        247.00     19,200   SH         DEFINED       5,15     19,200       --         --
IHS INC - CLASS A       COMMON  451734107 $     49,663.00    879,139   SH         DEFINED          1    879,139       --         --
IHS INC - CLASS A       COMMON  451734107 $        926.00     16,394   SH         DEFINED          2         --       --     16,394
IHS INC - CLASS A       COMMON  451734107 $      4,094.00     72,468   SH         DEFINED         24     72,468       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $    215,632.00  3,615,561   SH         DEFINED          1  3,615,561       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $        506.00      8,483   SH         DEFINED       1,15      8,483       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $        256.00      4,300   SH         DEFINED      11,15      4,300       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $      9,225.00    154,677   SH         DEFINED         15    134,577       --     16,300
ILLINOIS TOOL WORKS     COMMON  452308109 $      1,527.00     25,600   SH         DEFINED       15,8         --       --     25,600
ILLINOIS TOOL WORKS     COMMON  452308109 $         39.00        648   SH         DEFINED         23        170       --        478
ILLINOIS TOOL WORKS     COMMON  452308109 $      4,875.00     81,737   SH         DEFINED         24     81,737       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $     10,008.00    167,803   SH         DEFINED          4    167,803       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $      3,515.00     58,938   SH         DEFINED          6     26,244       --     32,694
ILLINOIS TOOL WORKS     COMMON  452308109 $        239.00      4,000   SH         DEFINED          7      4,000       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $        810.00     13,586   SH         DEFINED          8     13,586       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $      1,441.00     24,156   SH         DEFINED          9     24,156       --         --
ILLINOIS TOOL WORKS     COMMON  452308109 $      1,962.00     32,900   SH         DEFINED       9,15     32,900       --         --
ILLUMINA INC            COMMON  452327109 $          3.00         53   SH         DEFINED         24         53       --         --
IMATION CORP            COMMON  45245A107 $        123.00      5,019   SH         DEFINED         24      5,019       --         --
IMATION CORP            COMMON  45245A107 $          7.00        276   SH         DEFINED          6        276       --         --
IMCLONE SYSTEMS         COMMON  45245W109 $     10,105.00    244,440   SH         DEFINED          1    244,440       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
IMCLONE SYSTEMS         COMMON  45245W109 $     27,881.00    674,428   SH         DEFINED         15    361,528       --    312,900
IMCLONE SYSTEMS         COMMON  45245W109 $         87.00      2,100   SH         DEFINED         19      2,100       --         --
IMCLONE SYSTEMS         COMMON  45245W109 $        835.00     20,205   SH         DEFINED          2     20,205       --         --
IMCLONE SYSTEMS         COMMON  45245W109 $         21.00        500   SH         DEFINED       20,2         --       --        500
IMCLONE SYSTEMS         COMMON  45245W109 $      1,303.00     31,512   SH         DEFINED       21,2         --       --     31,512
IMCLONE SYSTEMS         COMMON  45245W109 $          8.00        200   SH         DEFINED         23         --       --        200
IMCLONE SYSTEMS         COMMON  45245W109 $     15,656.00    378,716   SH         DEFINED         24    378,716       --         --
IMERGENT INC            COMMON  45247Q100 $      2,899.00    129,250   SH         DEFINED         15     75,150       --     54,100
IMERGENT INC            COMMON  45247Q100 $        241.00     10,741   SH         DEFINED         24     10,741       --         --
IMERGENT INC            COMMON  45247Q100 $        375.00     16,700   SH         DEFINED       5,15     16,700       --         --
IMMERSION CORPORATION   COMMON  452521107 $        488.00     29,796   SH         DEFINED         24     29,796       --         --
IMMUCOR INC             COMMON  452526106 $         26.00        721   SH         DEFINED         24        721       --         --
IMMUNOGEN INC           COMMON  45253H101 $        374.00     80,367   SH         DEFINED         24     80,367       --         --
IMPAC MORTGAGE
   HOLDINGS INC         COMMON  45254P102 $         70.00     45,236   SH         DEFINED         24     45,236       --         --
IMMUNICON CORP          COMMON  45260A107 $      2,220.00  1,913,709   SH         DEFINED         24  1,913,709       --         --
IMPERIAL CAPITAL
   BANCORP INC          COMMON  452680101 $      1,027.00     36,350   SH         DEFINED         15     25,350       --     11,000
IMPERIAL CAPITAL
   BANCORP INC          COMMON  452680101 $        241.00      8,543   SH         DEFINED         24      8,543       --         --
IMPERIAL CAPITAL
   BANCORP INC          COMMON  452680101 $        260.00      9,200   SH         DEFINED       5,15      9,200       --         --
IMPERIAL OIL LTD        COMMON  453038408 $        421.00      8,500   SH         DEFINED      11,15      8,500       --         --
IMPERIAL OIL LTD        COMMON  453038408 $        198.00      4,000   SH         DEFINED         15      1,700       --      2,300
IMPERIAL OIL LTD        COMMON  453038408 $        139.00      2,800   SH         DEFINED       15,8         --       --      2,800
IMPERIAL OIL LTD        COMMON  453038408 $         22.00        450   SH         DEFINED         23         --       --        450
IMPERIAL OIL LTD        COMMON  453038408 $      3,656.00     73,764   SH         DEFINED         24     73,764       --         --
IMPERIAL OIL LTD        COMMON  453038408 $     17,152.00    346,000   SH         DEFINED          3    346,000       --         --
IMPERIAL OIL LTD        COMMON  453038408 $        329.00      6,630   SH         DEFINED          8      6,630       --         --
IMPERIAL OIL LTD        COMMON  453038408 $      2,622.00     52,900   SH         DEFINED       9,15     52,900       --         --
IMPERIAL SUGAR
   CO-W/I               COMMON  453096208 $        443.00     16,952   SH         DEFINED          1     16,952       --         --
IMPERIAL SUGAR
   CO-W/I               COMMON  453096208 $      3,319.00    127,000   SH         DEFINED         15     92,300       --     34,700
IMPERIAL SUGAR
   CO-W/I               COMMON  453096208 $        604.00     23,134   SH         DEFINED         24     23,134       --         --
IMPERIAL SUGAR
   CO-W/I               COMMON  453096208 $        753.00     28,800   SH         DEFINED       5,15     28,800       --         --
IMPERIAL TOBACCO
   GROUP ADR            COMMON  453142101 $         12.00        135   SH         DEFINED         23         --       --        135
IMPERIAL TOBACCO
   GROUP ADR            COMMON  453142101 $     12,572.00    136,964   SH         DEFINED         24    136,964       --         --
IMPERIAL TOBACCO
   GROUP ADR            COMMON  453142101 $     26,523.00    288,958   SH         DEFINED          4    288,958       --         --
INCYTE CORP             COMMON  45337C102 $      5,616.00    785,477   SH         DEFINED          1    785,477       --         --
INCYTE CORP             COMMON  45337C102 $        464.00     64,925   SH         DEFINED          2     64,925       --         --
INCYTE CORP             COMMON  45337C102 $         12.00      1,743   SH         DEFINED       20,2         --       --      1,743
INCYTE CORP             COMMON  45337C102 $        724.00    101,259   SH         DEFINED       21,2         --       --    101,259
INDEPENDENT BANK
   CORP MASS            COMMON  453836108 $      1,108.00     37,300   SH         DEFINED         15     29,200       --      8,100
INDEPENDENT BANK
   CORP MASS            COMMON  453836108 $         49.00      1,647   SH         DEFINED         24      1,647       --         --
INDEPENDENT BANK
   CORP MASS            COMMON  453836108 $        386.00     13,000   SH         DEFINED       5,15     13,000       --         --
INDEPENDENT BANK
   CORP MASS            COMMON  453836108 $        123.00      4,145   SH         DEFINED          6         --       --      4,145
INDEPENDENT BANK
   CORP - MICH          COMMON  453838104 $        341.00     30,830   SH         DEFINED         15     24,000       --      6,830
INDEPENDENT BANK
   CORP - MICH          COMMON  453838104 $         43.00      3,861   SH         DEFINED         24      3,861       --         --
INDEPENDENT BANK
   CORP - MICH          COMMON  453838104 $        115.00     10,380   SH         DEFINED       5,15     10,380       --         --
INDIA FUND INC          COMMON  454089103 $            --          4   SH         DEFINED         23         --       --          4
INDYMAC BANCORP INC     COMMON  456607100 $        191.00      8,077   SH         DEFINED         24      8,077       --         --
INDYMAC BANCORP INC     COMMON  456607100 $          3.00        116   SH         DEFINED          6         --       --        116
INERGY LP               COMMON  456615103 $          5.00        150   SH         DEFINED         23        150       --         --
INERGY LP               COMMON  456615103 $        370.00     11,700   SH         DEFINED          6      7,000       --      4,700
INFINITY
   PHARMACEUTICALS
   INC                  COMMON  45665G303 $         20.00      2,170   SH         DEFINED         15         --       --      2,170
INFINITY
   PHARMACEUTICALS
   INC                  COMMON  45665G303 $        258.00     28,438   SH         DEFINED         17         --       --     28,438
INFINITY PROPERTY &
   CASUALTY             COMMON  45665Q103 $         72.00      1,800   SH         DEFINED         15      1,800       --         --
INFINITY PROPERTY &
   CASUALTY             COMMON  45665Q103 $        602.00     14,969   SH         DEFINED         24     14,969       --         --
INFINITY PROPERTY &
   CASUALTY             COMMON  45665Q103 $         40.00      1,000   SH         DEFINED       5,15      1,000       --         --
INFORMATICA CORP        COMMON  45666Q102 $     20,298.00  1,292,851   SH         DEFINED          1  1,292,851       --         --
INFORMATICA CORP        COMMON  45666Q102 $        170.00     10,800   SH         DEFINED         15     10,800       --         --
INFORMATICA CORP        COMMON  45666Q102 $     15,453.00    984,244   SH         DEFINED          2    984,244       --         --
INFORMATICA CORP        COMMON  45666Q102 $      3,897.00    248,209   SH         DEFINED         24    248,209       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $      4,177.00     86,314   SH         DEFINED          1     86,314       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $         51.00      1,049   SH         DEFINED         14      1,049       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $         51.00      1,049   SH         DEFINED       14,2      1,049       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $      7,934.00    163,955   SH         DEFINED          2    163,955       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $         39.00        800   SH         DEFINED         23         --       --        800
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $      1,648.00     34,062   SH         DEFINED         24     34,062       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $      1,919.00     39,663   SH         DEFINED        3,1     39,663       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $     18,941.00    391,415   SH         DEFINED          4    391,415       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $      1,650.00     34,100   SH         DEFINED          7     34,100       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $      1,099.00     22,720   SH         DEFINED          9     22,720       --         --
INFOSYS
   TECHNOLOGIES LTD
   ADR                  COMMON  456788108 $        397.00      8,200   SH         DEFINED       9,15      8,200       --         --
INFOSPACE INC           COMMON  45678T201 $          4.00        200   SH         DEFINED         23         --       --        200
INFOSPACE INC           COMMON  45678T201 $        268.00     15,258   SH         DEFINED         24     15,258       --         --
INFOUSA INC             COMMON  456818301 $         55.00      5,876   SH         DEFINED         24      5,876       --         --
ING GROEP NV ADR        COMMON  456837103 $      5,276.00    119,065   SH         DEFINED       1,12    119,065       --         --
ING GROEP NV ADR        COMMON  456837103 $     62,636.00  1,413,587   SH         DEFINED         12  1,409,207       --      4,380
ING GROEP NV ADR        COMMON  456837103 $        967.00     21,821   SH         DEFINED         15     21,821       --         --
ING GROEP NV ADR        COMMON  456837103 $         75.00      1,693   SH         DEFINED          6         --       --      1,693
INGRAM MICRO INC CL
   A                    COMMON  457153104 $      1,613.00     82,237   SH         DEFINED         24     82,237       --         --
INGRAM MICRO INC CL
   A                    COMMON  457153104 $     11,515.00    587,200   SH         DEFINED          9    587,200       --         --
INGRAM MICRO INC CL
   A                    COMMON  457153104 $        731.00     37,300   SH         DEFINED       9,22     37,300       --         --
INLAND REAL ESTATE
   CORP                 COMMON  457461200 $      4,049.00    261,400   SH         DEFINED       1,15    261,400       --         --
INLAND REAL ESTATE
   CORP                 COMMON  457461200 $      4,278.00    276,200   SH         DEFINED         15    131,100       --    145,100
INLAND REAL ESTATE
   CORP                 COMMON  457461200 $        157.00     10,152   SH         DEFINED         24     10,152       --         --
INLAND REAL ESTATE
   CORP                 COMMON  457461200 $        459.00     29,600   SH         DEFINED       5,15     29,600       --         --
INNOVEX INC/MN          COMMON  457647105 $            --         30   SH         DEFINED         23         30       --         --
INSIGHT ENTERPRISES
   INC                  COMMON  45765U103 $      2,177.00     84,364   SH         DEFINED         24     84,364       --         --
INSITUFORM
   TECHNOLOGIES CL A    COMMON  457667103 $     38,511.00  2,528,657   SH         DEFINED         24  2,528,657       --         --
INSITUFORM
   TECHNOLOGIES CL A    COMMON  457667103 $         72.00      4,750   SH         DEFINED          6         --       --      4,750
INSITUFORM
   TECHNOLOGIES CL A    COMMON  457667103 $      4,331.00    284,400   SH         DEFINED          9    284,400       --         --
INSITUFORM
   TECHNOLOGIES CL A    COMMON  457667103 $        731.00     48,000   SH         DEFINED       9,22     48,000       --         --
INNOSPEC INC            COMMON  45768S105 $      5,942.00    260,850   SH         DEFINED         15    183,450       --     77,400
INNOSPEC INC            COMMON  45768S105 $      1,074.00     47,165   SH         DEFINED         24     47,165       --         --
INNOSPEC INC            COMMON  45768S105 $      1,246.00     54,700   SH         DEFINED       5,15     54,700       --         --
INNOSPEC INC            COMMON  45768S105 $         87.00      3,800   SH         DEFINED          6         --       --      3,800
INNOVATIVE SOLUTIONS
   & SUPP               COMMON  45769N105 $         21.00      1,126   SH         DEFINED         24      1,126       --         --
INPHONIC INC            COMMON  45772G105 $          3.00        959   SH         DEFINED         24        959       --         --
INSPIRE
   PHARMACEUTICALS
   INC                  COMMON  457733103 $      3,994.00    743,721   SH         DEFINED          1    743,721       --         --
INSPIRE
   PHARMACEUTICALS
   INC                  COMMON  457733103 $        334.00     62,169   SH         DEFINED          2     62,169       --         --
INSPIRE
   PHARMACEUTICALS
   INC                  COMMON  457733103 $          8.00      1,529   SH         DEFINED       20,2         --       --      1,529
INSPIRE
   PHARMACEUTICALS
   INC                  COMMON  457733103 $        521.00     96,961   SH         DEFINED       21,2         --       --     96,961
INNERWORKINGS INC       COMMON  45773Y105 $          7.00        386   SH         DEFINED         24        386       --         --
INNSUITES
   HOSPITALITY TRUST    COMMON  457919108 $         31.00     24,000   SH         DEFINED          6     24,000       --         --
INTEGRA LIFESCIENCES
   HOLDING              COMMON  457985208 $         61.00      1,261   SH         DEFINED         24      1,261       --         --
INTEGRATED DEVICE
   TECH INC             COMMON  458118106 $     28,589.00  1,846,860   SH         DEFINED          1  1,846,860       --         --
INTEGRATED DEVICE
   TECH INC             COMMON  458118106 $      2,309.00    149,179   SH         DEFINED       21,2    149,179       --         --
INTEGRATED DEVICE
   TECH INC             COMMON  458118106 $            --          3   SH         DEFINED         23         --       --          3
INTEGRATED DEVICE
   TECH INC             COMMON  458118106 $        139.00      8,997   SH         DEFINED         24      8,997       --         --
INTAC INTERNATIONAL     COMMON  45811T100 $        874.00     97,249   SH         DEFINED         24     97,249       --         --
INTEGRATED SILICON
   SOLUTION             COMMON  45812P107 $        427.00     67,800   SH         DEFINED         15     44,800       --     23,000
INTEGRATED SILICON
   SOLUTION             COMMON  45812P107 $         98.00     15,500   SH         DEFINED       5,15     15,500       --         --
INTEL CORP              COMMON  458140100 $      2,622.00    101,389   SH         DEFINED       1,15    101,389       --         --
INTEL CORP              COMMON  458140100 $     27,305.00  1,055,888   SH         DEFINED         15    722,988       --    294,100
INTEL CORP              COMMON  458140100 $      3,644.00    140,900   SH         DEFINED       15,8         --       --    140,900
INTEL CORP              COMMON  458140100 $        313.00     12,100   SH         DEFINED         19     12,100       --         --
INTEL CORP              COMMON  458140100 $      1,176.00     45,459   SH         DEFINED         21     45,459       --         --
INTEL CORP              COMMON  458140100 $        961.00     37,174   SH         DEFINED         22     37,174       --         --
INTEL CORP              COMMON  458140100 $          7.00        260   SH         DEFINED         23        260       --         --
INTEL CORP              COMMON  458140100 $     44,464.00  1,719,397   SH         DEFINED         24  1,719,397       --         --
INTEL CORP              COMMON  458140100 $        504.00     19,500   SH         DEFINED       5,15     19,500       --         --
INTEL CORP              COMMON  458140100 $     14,489.00    560,274   SH         DEFINED          6    465,025       --     95,249
INTEL CORP              COMMON  458140100 $      3,288.00    127,148   SH         DEFINED          8    127,148       --         --
INTEL CORP              COMMON  458140100 $     28,708.00  1,110,138   SH         DEFINED          9  1,110,138       --         --
INTEL CORP CVT(INTC)
   2.95 12-1           CONVERT   458140AD2 $     17,414.00 16,825,000   SH         DEFINED         15         --       -- 14,250,000
INTEGRA BANK
   CORPORATION          COMMON  45814P105 $        648.00     35,750   SH         DEFINED         15     29,750       --      6,000
INTEGRA BANK
   CORPORATION          COMMON  45814P105 $         57.00      3,129   SH         DEFINED         24      3,129       --         --
INTEGRA BANK
   CORPORATION          COMMON  45814P105 $        274.00     15,100   SH         DEFINED       5,15     15,100       --         --
INTEGRYS ENERGY
   GROUP INC            COMMON  45822P105 $         68.00      1,330   SH         DEFINED       1,15      1,330       --         --
INTEGRYS ENERGY
   GROUP INC            COMMON  45822P105 $         27.00        521   SH         DEFINED         23        500       --         21
INTEGRYS ENERGY
   GROUP INC            COMMON  45822P105 $      8,306.00    162,135   SH         DEFINED         24    162,135       --         --
INTERACTIVE
   INTELLIGENCE INC     COMMON  45839M103 $         84.00      4,400   SH         DEFINED         15      4,400       --         --
INTERACTIVE
   INTELLIGENCE INC     COMMON  45839M103 $         49.00      2,600   SH         DEFINED       5,15      2,600       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
INTERACTIVE DATA
   CORP                 COMMON  45840J107 $        299.00     10,600   SH         DEFINED         15     10,600       --         --
INTERACTIVE DATA
   CORP                 COMMON  45840J107 $        206.00      7,314   SH         DEFINED         24      7,314       --         --
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $     31,335.00    206,288   SH         DEFINED          1    206,288       --         --
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $        183.00      1,205   SH         DEFINED       1,15      1,205       --         --
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $        304.00      2,000   SH         DEFINED         15         --       --      2,000
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $        608.00      4,003   SH         DEFINED          2         --       --      4,003
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $         11.00         75   SH         DEFINED         23         17       --         58
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $         57.00        374   SH         DEFINED         24        374       --         --
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $        987.00      6,500   SH         DEFINED       5,15      6,500       --         --
INTERCONTINENTAL
   EXCHANGE INC         COMMON  45865V100 $      7,195.00     47,365   SH         DEFINED          6     28,801       --     18,564
INTERFACE INC           COMMON  458665106 $     14,229.00    788,324   SH         DEFINED          1    788,324       --         --
INTERFACE INC           COMMON  458665106 $     10,599.00    587,192   SH         DEFINED          2    587,192       --         --
INTERFACE INC           COMMON  458665106 $      2,304.00    127,625   SH         DEFINED         24    127,625       --         --
INTERFACE INC           COMMON  458665106 $         51.00      2,850   SH         DEFINED          6         --       --      2,850
INTERDIGITAL INC        COMMON  45867G101 $      4,005.00    192,750   SH         DEFINED         15    103,550       --     89,200
INTERDIGITAL INC        COMMON  45867G101 $          6.00        300   SH         DEFINED         23         --       --        300
INTERDIGITAL INC        COMMON  45867G101 $         15.00        731   SH         DEFINED         24        731       --         --
INTERDIGITAL INC        COMMON  45867G101 $        258.00     12,400   SH         DEFINED       5,15     12,400       --         --
INTERDIGITAL INC        COMMON  45867G101 $        888.00     42,724   SH         DEFINED          9     42,724       --         --
INTERLINE BRANDS INC    COMMON  458743101 $        111.00      4,810   SH         DEFINED         24      4,810       --         --
INTERMEC INC            COMMON  458786100 $     31,511.00  1,206,385   SH         DEFINED          1  1,206,385       --         --
INTERMEC INC            COMMON  458786100 $        675.00     25,833   SH         DEFINED          2         --       --     25,833
INTERMEC INC            COMMON  458786100 $        158.00      6,068   SH         DEFINED         24      6,068       --         --
INTERMUNE
   PHARMACEUTICALS      COMMON  45884X103 $      5,487.00    286,841   SH         DEFINED          1    286,841       --         --
INTERMUNE
   PHARMACEUTICALS      COMMON  45884X103 $         27.00      1,400   SH         DEFINED         19      1,400       --         --
INTERMUNE
   PHARMACEUTICALS      COMMON  45884X103 $        239.00     12,490   SH         DEFINED          2     12,490       --         --
INTERMUNE
   PHARMACEUTICALS      COMMON  45884X103 $          6.00        320   SH         DEFINED       20,2         --       --        320
INTERMUNE
   PHARMACEUTICALS      COMMON  45884X103 $        373.00     19,480   SH         DEFINED       21,2         --       --     19,480
INTERMUNE
   PHARMACEUTICALS      COMMON  45884X103 $      6,130.00    320,421   SH         DEFINED         24    320,421       --         --
INTERMUNE
   PHARMACEUTICALS      COMMON  45884X103 $         48.00      2,520   SH         DEFINED          6         --       --      2,520
INTERNAP
   NETWORK SERVICES     COMMON  45885A300 $        671.00     47,322   SH         DEFINED         24     47,322       --         --
INTERNAP
   NETWORK SERVICES     COMMON  45885A300 $          4.00        310   SH         DEFINED          6        310       --         --
INTERNAP
   NETWORK SERVICES     COMMON  45885A300 $      1,729.00    122,000   SH         DEFINED          9    122,000       --         --
INTERNAP
   NETWORK SERVICES     COMMON  45885A300 $        323.00     22,800   SH         DEFINED       9,22     22,800       --         --
INTERNATIONAL
   BANCSHARES CORP      COMMON  459044103 $      5,155.00    237,557   SH         DEFINED         24    237,557       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $    180,559.00  1,532,755   SH         DEFINED          1  1,532,755       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      6,073.00     51,555   SH         DEFINED       1,15     51,555       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      5,001.00     42,454   SH         DEFINED         10     42,454       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      4,959.00     42,100   SH         DEFINED      11,15     42,100       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      2,542.00     21,580   SH         DEFINED       11,8     21,580       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     36,414.00    309,118   SH         DEFINED         12     54,118       --    255,000
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $        289.00      2,450   SH         DEFINED      12,14      2,450       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      1,961.00     16,646   SH         DEFINED         14     16,646       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $    329,985.00  2,801,232   SH         DEFINED         15  2,164,082       --    558,050
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      8,128.00     69,000   SH         DEFINED      15,14         --       --     69,000
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     19,896.00    168,900   SH         DEFINED       15,8         --       --    168,900
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $        389.00      3,300   SH         DEFINED         19      3,300       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     11,247.00     95,479   SH         DEFINED          2     95,479       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $         21.00        180   SH         DEFINED      20,12        180       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $        707.00      6,000   SH         DEFINED      20,15         --       --      6,000
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      3,046.00     25,856   SH         DEFINED         21     25,856       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      2,186.00     18,560   SH         DEFINED      21,15         --       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $        485.00      4,121   SH         DEFINED       21,2      4,121       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      5,845.00     49,621   SH         DEFINED         22     49,621       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $         23.00        195   SH         DEFINED         23         49       --        146
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     27,875.00    236,632   SH         DEFINED         24    236,632       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     11,762.00     99,848   SH         DEFINED        3,1     99,848       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $        348.00      2,952   SH         DEFINED          4      2,952       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     15,962.00    135,500   SH         DEFINED       5,15    131,900       --      3,600
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     13,389.00    113,655   SH         DEFINED          6     97,833       --     15,822
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $        895.00      7,600   SH         DEFINED          7      7,600       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     18,053.00    153,255   SH         DEFINED          8    153,255       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     44,800.00    380,303   SH         DEFINED          9    380,303       --         --
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $     24,671.00    209,434   SH         DEFINED       9,15    194,300       --     15,134
INTL BUSINESS
   MACHINES CORP        COMMON  459200101 $      5,036.00     42,752   SH         DEFINED        9,2     42,752       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
INTERNATIONAL
   COAL GROUP INC       COMMON  45928H106 $        112.00     25,183   SH         DEFINED         24     25,183       --         --
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $     66,957.00  1,266,684   SH         DEFINED          1  1,266,684       --         --
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $         82.00      1,549   SH         DEFINED       1,15      1,549       --         --
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $         90.00      1,700   SH         DEFINED      11,15      1,700       --         --
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $      2,678.00     50,658   SH         DEFINED         15     29,958       --     20,700
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $        132.00      2,500   SH         DEFINED       15,8         --       --      2,500
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $        496.00      9,391   SH         DEFINED         24      9,391       --         --
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $     33,824.00    639,871   SH         DEFINED          4    639,871       --         --
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $         17.00        330   SH         DEFINED          6        330       --         --
INTL FLAVORS &
   FRAGRANCES           COMMON  459506101 $        381.00      7,200   SH         DEFINED       9,15      7,200       --         --
INTL GAME TECHNOLOGY    COMMON  459902102 $     78,844.00  1,829,316   SH         DEFINED          1  1,829,316       --         --
INTL GAME TECHNOLOGY    COMMON  459902102 $        252.00      5,845   SH         DEFINED       1,15      5,845       --         --
INTL GAME TECHNOLOGY    COMMON  459902102 $      1,543.00     35,793   SH         DEFINED       14,2         --       --     35,793
INTL GAME TECHNOLOGY    COMMON  459902102 $        957.00     22,196   SH         DEFINED          2         --       --     22,196
INTL GAME TECHNOLOGY    COMMON  459902102 $            --          5   SH         DEFINED         23         --       --          5
INTL GAME TECHNOLOGY    COMMON  459902102 $     13,578.00    315,031   SH         DEFINED         24    315,031       --         --
INTL GAME TECHNOLOGY    COMMON  459902102 $        560.00     13,000   SH         DEFINED          3     13,000       --         --
INTL GAME TECHNOLOGY    COMMON  459902102 $      1,738.00     40,330   SH         DEFINED          6      1,080       --     39,250
INTL GAME TECHNOLOGY    COMMON  459902102 $        285.00      6,616   SH         DEFINED          8      6,616       --         --
INTL GAME TECHNOLOGY    COMMON  459902102 $        553.00     12,820   SH         DEFINED          9     12,820       --         --
INTERNATIONAL PAPER
   CO                   COMMON  460146103 $        363.00     10,126   SH         DEFINED       1,15     10,126       --         --
INTERNATIONAL
   PAPER CO             COMMON  460146103 $      2,987.00     83,260   SH         DEFINED         15     57,060       --     23,800
INTERNATIONAL
   PAPER CO             COMMON  460146103 $        882.00     24,600   SH         DEFINED       15,8         --       --     24,600
INTERNATIONAL
   PAPER CO             COMMON  460146103 $          1.00         16   SH         DEFINED         23         --       --         16
INTERNATIONAL
   PAPER CO             COMMON  460146103 $     14,333.00    399,570   SH         DEFINED         24    399,570       --         --
INTERNATIONAL
   PAPER CO             COMMON  460146103 $      1,551.00     43,226   SH         DEFINED        3,1     43,226       --         --
INTERNATIONAL
   PAPER CO             COMMON  460146103 $        192.00      5,351   SH         DEFINED          6      4,132       --      1,219
INTERNATIONAL
   PAPER CO             COMMON  460146103 $        143.00      4,000   SH         DEFINED          7      4,000       --         --
INTERNATIONAL
   PAPER CO             COMMON  460146103 $        298.00      8,301   SH         DEFINED          8      8,301       --         --
INTERNATIONAL
   PAPER CO             COMMON  460146103 $        233.00      6,506   SH         DEFINED          9      6,506       --         --
INTERNATIONAL
   PAPER CO             COMMON  460146103 $        664.00     18,514   SH         DEFINED        9,2     18,514       --         --
INTERNATIONAL
   POWER PLC ADR        COMMON  46018M104 $     14,284.00    155,365   SH         DEFINED          4    155,365       --         --
INTL RECTIFIER CORP     COMMON  460254105 $     38,067.00  1,153,900   SH         DEFINED        1,3  1,153,900       --         --
INTL RECTIFIER CORP     COMMON  460254105 $      5,341.00    161,900   SH         DEFINED       20,3    161,900       --         --
INTL RECTIFIER CORP     COMMON  460254105 $      1,297.00     39,300   SH         DEFINED       21,3     39,300       --         --
INTL RECTIFIER CORP     COMMON  460254105 $     42,403.00  1,285,320   SH         DEFINED         24  1,285,320       --         --
INTL RECTIFIER CORP     COMMON  460254105 $    305,517.00  9,260,900   SH         DEFINED          3  9,260,900       --         --
INTL RECTIFIER CORP     COMMON  460254105 $         24.00        735   SH         DEFINED          6        135       --        600
INTL SECURITIES
   EXCHANGE INC         COMMON  46031W204 $         62.00        938   SH         DEFINED         24        938       --         --
INTL SHIPHOLDING
   CORP                 COMMON  460321201 $        460.00     22,150   SH         DEFINED         24     22,150       --         --
INTL SPEEDWAY CORP
   CL A                 COMMON  460335201 $        163.00      3,545   SH         DEFINED         24      3,545       --         --
INTL SPEEDWAY CORP
   CL A                 COMMON  460335201 $         10.00        218   SH         DEFINED          6         --       --        218
INTERNET CAPITAL
   GROUP INC            COMMON  46059C205 $      2,770.00    230,841   SH         DEFINED         24    230,841       --         --
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $    204,340.00 19,685,951   SH         DEFINED          1 19,685,951       --         --
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $         85.00      8,202   SH         DEFINED       1,15      8,202       --         --
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $      2,197.00    211,617   SH         DEFINED         15    211,617       --         --
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $            --         33   SH         DEFINED         23         --       --         33
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $        473.00     45,556   SH         DEFINED         24     45,556       --         --
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $      9,347.00    900,500   SH         DEFINED          4    900,500       --         --
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $         50.00      4,776   SH         DEFINED          6         20       --      4,756
INTERPUBLIC GROUP
   COS INC              COMMON  460690100 $         88.00      8,503   SH         DEFINED          8      8,503       --         --
INTERSIL CORP           COMMON  46069S109 $     39,693.00  1,187,357   SH         DEFINED          1  1,187,357       --         --
INTERSIL CORP           COMMON  46069S109 $      9,481.00    283,600   SH         DEFINED         15    144,000       --    138,400
INTERSIL CORP           COMMON  46069S109 $        294.00      8,800   SH         DEFINED       15,8         --       --      8,800
INTERSIL CORP           COMMON  46069S109 $      1,170.00     35,000   SH         DEFINED         19     35,000       --         --
INTERSIL CORP           COMMON  46069S109 $      3,414.00    102,110   SH         DEFINED       21,2    102,110       --         --
INTERSIL CORP           COMMON  46069S109 $      6,094.00    182,288   SH         DEFINED         24    182,288       --         --
INTERSIL CORP           COMMON  46069S109 $      4,660.00    139,383   SH         DEFINED          3    139,383       --         --
INTERSIL CORP           COMMON  46069S109 $          7.00        210   SH         DEFINED          6         --       --        210
INTERSIL CORP           COMMON  46069S109 $         84.00      2,509   SH         DEFINED          8      2,509       --         --
INTERSIL CORP           COMMON  46069S109 $        525.00     15,703   SH         DEFINED          9     15,703       --         --
INTERSTATE HOTELS &
   RESORTS              COMMON  46088S106 $        389.00     85,477   SH         DEFINED         24     85,477       --         --
INTEVAC INC             COMMON  461148108 $        217.00     14,271   SH         DEFINED         24     14,271       --         --
INTERWOVEN INC          COMMON  46114T508 $        277.00     19,500   SH         DEFINED         15     19,500       --         --
INTERWOVEN INC          COMMON  46114T508 $          2.00        148   SH         DEFINED         23         --       --        148




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
INTERWOVEN INC          COMMON  46114T508 $        485.00     34,094   SH         DEFINED         24     34,094       --         --
INTUIT INC              COMMON  461202103 $     44,087.00  1,455,000   SH         DEFINED          1  1,455,000       --         --
INTUIT INC              COMMON  461202103 $        179.00      5,919   SH         DEFINED       1,15      5,919       --         --
INTUIT INC              COMMON  461202103 $      4,147.00    136,875   SH         DEFINED         24    136,875       --         --
INTUIT INC              COMMON  461202103 $      1,675.00     55,272   SH         DEFINED          6         --       --     55,272
INTUIT INC              COMMON  461202103 $        232.00      7,652   SH         DEFINED          8      7,652       --         --
INTUIT INC              COMMON  461202103 $        893.00     29,482   SH         DEFINED          9     29,482       --         --
INVACARE CORP           COMMON  461203101 $         61.00      2,600   SH         DEFINED         15      2,600       --         --
INVACARE CORP           COMMON  461203101 $        204.00      8,723   SH         DEFINED         24      8,723       --         --
INVACARE CORP           COMMON  461203101 $        134.00      5,750   SH         DEFINED          6         --       --      5,750
INTUITIVE SURGICAL
   INC                  COMMON  46120E602 $        552.00      2,400   SH         DEFINED       1,15      2,400       --         --
INTUITIVE SURGICAL
   INC                  COMMON  46120E602 $          6.00         26   SH         DEFINED         23         26       --         --
INTUITIVE SURGICAL
   INC                  COMMON  46120E602 $      7,628.00     33,166   SH         DEFINED         24     33,166       --         --
INTUITIVE SURGICAL
   INC                  COMMON  46120E602 $      4,434.00     19,278   SH         DEFINED          6     10,998       --      8,280
INVENTIV HEALTH INC     COMMON  46122E105 $     17,555.00    400,627   SH         DEFINED          1    400,627       --         --
INVENTIV HEALTH INC     COMMON  46122E105 $     12,965.00    295,871   SH         DEFINED          2    295,871       --         --
INVENTIV HEALTH INC     COMMON  46122E105 $        367.00      8,373   SH         DEFINED         24      8,373       --         --
INVENTIV HEALTH INC     COMMON  46122E105 $         18.00        420   SH         DEFINED          6        420       --         --
INVERNESS MEDICAL
   INNOVATION           COMMON  46126P106 $     28,220.00    510,116   SH         DEFINED          1    510,116       --         --
INVERNESS MEDICAL
   INNOVATION           COMMON  46126P106 $        357.00      6,448   SH         DEFINED         24      6,448       --         --
INVESCO
   PLC-SPONSORED ADR    COMMON  46127U104 $            --         10   SH         DEFINED         23         --       --         10
INVESCO
   PLC-SPONSORED ADR    COMMON  46127U104 $        568.00     20,800   SH         DEFINED          6         --       --     20,800
INVESTMENT
   TECHNOLOGY GROUP     COMMON  46145F105 $        126.00      2,939   SH         DEFINED         24      2,939       --         --
INVESTORS BANCORP
   INC                  COMMON  46146P102 $         67.00      4,748   SH         DEFINED         24      4,748       --         --
INVESTORS REAL
   ESTATE TRUST         COMMON  461730103 $      3,045.00    281,900   SH         DEFINED         15    217,100       --     64,800
INVESTORS REAL
   ESTATE TRUST         COMMON  461730103 $        533.00     49,388   SH         DEFINED         24     49,388       --         --
INVESTORS REAL
   ESTATE TRUST         COMMON  461730103 $        526.00     48,700   SH         DEFINED       5,15     48,700       --         --
INVITROGEN CORP         COMMON  46185R100 $     77,053.00    942,778   SH         DEFINED          1    942,778       --         --
INVITROGEN CORP         COMMON  46185R100 $         98.00      1,200   SH         DEFINED      11,15      1,200       --         --
INVITROGEN CORP         COMMON  46185R100 $      4,593.00     56,200   SH         DEFINED         15     27,600       --     28,000
INVITROGEN CORP         COMMON  46185R100 $        172.00      2,100   SH         DEFINED       15,8         --       --      2,100
INVITROGEN CORP         COMMON  46185R100 $        147.00      1,800   SH         DEFINED         19      1,800       --         --
INVITROGEN CORP         COMMON  46185R100 $      1,446.00     17,687   SH         DEFINED          2     17,687       --         --
INVITROGEN CORP         COMMON  46185R100 $         35.00        430   SH         DEFINED       20,2         --       --        430
INVITROGEN CORP         COMMON  46185R100 $      2,255.00     27,594   SH         DEFINED       21,2         --       --     27,594
INVITROGEN CORP         COMMON  46185R100 $      7,292.00     89,225   SH         DEFINED         24     89,225       --         --
INVITROGEN CORP         COMMON  46185R100 $     17,695.00    216,500   SH         DEFINED          3    216,500       --         --
INVITROGEN CORP         COMMON  46185R100 $        548.00      6,700   SH         DEFINED       9,15      6,700       --         --
IOMEGA CORP             COMMON  462030305 $        503.00     95,953   SH         DEFINED         24     95,953       --         --
ION GEOPHYSICAL CORP    COMMON  462044108 $     11,083.00    801,359   SH         DEFINED          1    801,359       --         --
ION GEOPHYSICAL CORP    COMMON  462044108 $         48.00      3,500   SH         DEFINED         15      3,500       --         --
ION GEOPHYSICAL CORP    COMMON  462044108 $      8,914.00    644,536   SH         DEFINED          2    644,536       --         --
ION GEOPHYSICAL CORP    COMMON  462044108 $          6.00        463   SH         DEFINED         23        433       --         30
ION GEOPHYSICAL CORP    COMMON  462044108 $      2,211.00    159,900   SH         DEFINED          6     45,550       --    114,350
IONATRON INC            COMMON  462070103 $          5.00      1,369   SH         DEFINED         24      1,369       --         --
IOWA TELE-
   COMMUNICATIONS
   SERV                 COMMON  462594201 $      1,845.00     92,950   SH         DEFINED         15     64,750       --     28,200
IOWA TELE-
   COMMUNICATIONS
   SERV                 COMMON  462594201 $      1,101.00     55,472   SH         DEFINED         24     55,472       --         --
IOWA TELE-
   COMMUNICATIONS
   SERV                 COMMON  462594201 $        401.00     20,200   SH         DEFINED       5,15     20,200       --         --
BANK OF IRELAND ADR     COMMON  46267Q103 $      9,536.00    126,420   SH         DEFINED          4    126,420       --         --
BANK OF IRELAND ADR     COMMON  46267Q103 $         21.00        280   SH         DEFINED          6         --       --        280
IROBOT CORP             COMMON  462726100 $        258.00     12,983   SH         DEFINED         24     12,983       --         --
IRON MOUNTAIN INC       COMMON  462846106 $        471.00     15,455   SH         DEFINED         24     15,455       --         --
IRON MOUNTAIN INC       COMMON  462846106 $          6.00        207   SH         DEFINED          6         --       --        207
IRWIN FINANCIAL CORP    COMMON  464119106 $         69.00      6,284   SH         DEFINED         24      6,284       --         --
ISHARES COMEX GOLD
   TRUST ETF            COMMON  464285105 $      7,363.00    100,000   SH         DEFINED          1    100,000       --         --
ISHARES MSCI
   AUSTRALIA INDEX E    COMMON  464286103 $         29.00        900   SH         DEFINED         23         --       --        900
ISHARES MSCI AUSTRIA
   INDEX ETF            COMMON  464286202 $      1,166.00     31,000   SH         DEFINED         12     31,000       --         --
ISHARES MSCI AUSTRIA
   INDEX ETF            COMMON  464286202 $      3,873.00    103,000   SH         DEFINED         15    103,000       --         --
ISHARES MSCI AUSTRIA
   INDEX ETF            COMMON  464286202 $         26.00        700   SH         DEFINED         23         --       --        700
ISHARES MSCI BRAZIL
   INDEX ETF            COMMON  464286400 $          5.00         71   SH         DEFINED         23         --       --         71
ISHARES MSCI BRAZIL
   INDEX ETF            COMMON  464286400 $         30.00        412   SH         DEFINED          6        412       --         --
ISHARES MSCI CANADA
   ETF                  COMMON  464286509 $          2.00         72   SH         DEFINED         23         --       --         72
ISHARES MSCI PACIFIC
   EX JPN ET            COMMON  464286665 $         47.00        284   SH         DEFINED         23        215       --         69
ISHARES MSCI PACIFIC
   EX JPN ET            COMMON  464286665 $         56.00        337   SH         DEFINED          6        337       --         --
ISHARES MSCI
   SINGAPORE ETF        COMMON  464286673 $          1.00         61   SH         DEFINED         23         61       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ISHARES MSCI
   SINGAPORE ETF        COMMON  464286673 $        648.00     43,750   SH         DEFINED          6     22,600       --     21,150
ISHARES MSCI
   TAIWAN INDEX FD E    COMMON  464286731 $          5.00        322   SH         DEFINED         23        301       --         21
ISHARES MSCI
   TAIWAN INDEX FD E    COMMON  464286731 $      1,507.00     89,700   SH         DEFINED          6     53,300       --     36,400
ISHARES MSCI
   SWITZERLAND INDEX    COMMON  464286749 $          1.00         52   SH         DEFINED         23         --       --         52
ISHARES MSCI SOUH
   KOREA ETF            COMMON  464286772 $          9.00        129   SH         DEFINED         23        121       --          8
ISHARES MSCI SOUH
   KOREA ETF            COMMON  464286772 $      2,731.00     40,125   SH         DEFINED          6     21,200       --     18,925
ISHARES MSCI GERMANY
   INDEX ETF            COMMON  464286806 $         17.00        500   SH         DEFINED         23         --       --        500
ISHARES MSCI JAPAN
   INDEX ETF            COMMON  464286848 $          9.00        661   SH         DEFINED         23        577       --         84
ISHARES MSCI JAPAN
   INDEX ETF            COMMON  464286848 $      3,797.00    264,755   SH         DEFINED          6    157,605       --    107,150
ISHARES MSCI HONG
   KONG INDEX E         COMMON  464286871 $          7.00        324   SH         DEFINED         23         81       --        243
ISHARES MSCI HONG
   KONG INDEX E         COMMON  464286871 $      1,418.00     67,425   SH         DEFINED          6     45,300       --     22,125
ISHARES S&P 100
   INDEX FUND ETF       COMMON  464287101 $            --          6   SH         DEFINED         23          6       --         --
ISHARES DJ SELECT
   DIVIDEND ETF         COMMON  464287168 $          7.00        103   SH         DEFINED         23          6       --         97
ISHARES DJ SELECT
   DIVIDEND ETF         COMMON  464287168 $        376.00      5,430   SH         DEFINED          6      5,430       --         --
ISHARES FTSE-XINHUA
   CHINA 25 E           COMMON  464287184 $          8.00         42   SH         DEFINED         23         --       --         42
ISHARES S&P 500
   INDEX ETF            COMMON  464287200 $      4,365.00     28,532   SH         DEFINED          1     28,532       --         --
ISHARES S&P 500
   INDEX ETF            COMMON  464287200 $         18.00        119   SH         DEFINED         23          6       --        113
ISHARES S&P 500
   INDEX ETF            COMMON  464287200 $        921.00      6,023   SH         DEFINED          6      6,023       --         --
ISHARES LEHMAN AGG
   BOND ETF             COMMON  464287226 $         12.00        123   SH         DEFINED         23         31       --         92
ISHARES LEHMAN AGG
   BOND ETF             COMMON  464287226 $      9,534.00     95,321   SH         DEFINED          6     91,571       --      3,750
ISHARES MSCI
   EMERGING MKT INC     COMMON  464287234 $     15,483.00    103,600   SH         DEFINED         15         --       --         --
ISHARES MSCI
   EMERGING MKT INC     COMMON  464287234 $         48.00        318   SH         DEFINED         23         42       --        276
ISHARES MSCI
   EMERGING MKT INC     COMMON  464287234 $      2,835.00     18,967   SH         DEFINED          6      3,442       --     15,525
ISHARES GS$ INVESTOP
   CORP BD E            COMMON  464287242 $          2.00         20   SH         DEFINED         23         --       --         20
ISHARES S&P GLBL
   TELECOMM SE E        COMMON  464287275 $         14.00        175   SH         DEFINED         23         --       --        175
ISHARES S&P GLBL
   TECH SECTOR E        COMMON  464287291 $         25.00        375   SH         DEFINED         23        375       --         --
ISHARES S&P 500
   GROWTH INDEX E       COMMON  464287309 $            --          7   SH         DEFINED         23         --       --          7
ISHARES S&P 500
   GROWTH INDEX E       COMMON  464287309 $        274.00      3,855   SH         DEFINED          6      3,855       --         --
ISHARES S&P GLBL
   ENERGY SECT E        COMMON  464287341 $         15.00        110   SH         DEFINED         23         --       --        110
ISHARES S&P GSSI
   NATURAL RES          COMMON  464287374 $         20.00        152   SH         DEFINED          6        152       --         --
ISHARES S&P LATIN
   AMERICA 40 E         COMMON  464287390 $          3.00         11   SH         DEFINED         23         --       --         11
ISHARES S&P 500
   VALUE INDEX FU       COMMON  464287408 $         49.00        600   SH         DEFINED         23        600       --         --
ISHARES S&P 500
   VALUE INDEX FU       COMMON  464287408 $         49.00        600   SH         DEFINED          6        600       --         --
ISHARES LEHMAN
   7-10YR TREAS ET      COMMON  464287440 $          1.00         12   SH         DEFINED         23         --       --         12
ISHARES LEHMAN
   1-3YR TRS BD ET      COMMON  464287457 $          6.00         74   SH         DEFINED         23          3       --         71
ISHARES MSCI EAFE
   INDEX ETF            COMMON  464287465 $     16,116.00    195,128   SH         DEFINED         12    195,128       --         --
ISHARES MSCI EAFE
   INDEX ETF            COMMON  464287465 $        950.00     11,500   SH         DEFINED         15         --       --         --
ISHARES MSCI EAFE
   INDEX ETF            COMMON  464287465 $         17.00        206   SH         DEFINED         23        206       --         --
ISHARES MSCI EAFE
   INDEX ETF            COMMON  464287465 $      3,734.00     45,212   SH         DEFINED          4     45,212       --         --
ISHARES MSCI EAFE
   INDEX ETF            COMMON  464287465 $     16,452.00    199,196   SH         DEFINED          6     91,990       --    107,206
ISHARES RUSSELL
   MIDCAP VALUE E       COMMON  464287473 $          2.00         15   SH         DEFINED         23         --       --         15
ISHARES RUSSELL
   MIDCAP VALUE E       COMMON  464287473 $      8,163.00     53,950   SH         DEFINED          6     48,250       --      5,700
ISHARES RUSSELL
   MIDCAP GRWTH E       COMMON  464287481 $          7.00         58   SH         DEFINED         23          4       --         54
ISHARES RUSSELL
   MIDCAP GRWTH E       COMMON  464287481 $      3,139.00     27,040   SH         DEFINED          6     19,310       --      7,730
ISHARES RUSSELL
   MIDCAP INDEX E       COMMON  464287499 $         16.00        146   SH         DEFINED         23          7       --        139
ISHARES RUSSELL
   MIDCAP INDEX E       COMMON  464287499 $        621.00      5,745   SH         DEFINED          4      5,745       --         --
ISHARES RUSSELL
   MIDCAP INDEX E       COMMON  464287499 $        495.00      4,580   SH         DEFINED          6      4,580       --         --
ISHARES S&P MIDCAP
   400 ETF              COMMON  464287507 $          9.00        107   SH         DEFINED         23         20       --         87
ISHARES S&P MIDCAP
   400 ETF              COMMON  464287507 $         81.00        920   SH         DEFINED          6        920       --         --
ISHARES GOLDMAN
   SACHS SEMI ETF       COMMON  464287523 $            --          3   SH         DEFINED         23         --       --          3
ISHARES GOLDMAN
   SACHS NETWOR E       COMMON  464287531 $         13.00        350   SH         DEFINED         23         --       --        350
ISHARES NASDAQ
   BIOTECH INDEX E      COMMON  464287556 $         80.00        965   SH         DEFINED         23        375       --        590
ISHARES NASDAQ
   BIOTECH INDEX E      COMMON  464287556 $         53.00        635   SH         DEFINED          6        635       --         --
ISHARES S&P
   GLOBAL 100 ETF       COMMON  464287572 $         55.00        662   SH         DEFINED         12        662       --         --
ISHARES S&P
   GLOBAL 100 ETF       COMMON  464287572 $      1,116.00     13,431   SH         DEFINED        3,1     13,431       --         --
ISHARES RUSSELL 1000
   VALUE ETF            COMMON  464287598 $          2.00         22   SH         DEFINED         23          6       --         16
ISHARES RUSSELL 1000
   VALUE ETF            COMMON  464287598 $        163.00      1,900   SH         DEFINED          4      1,900       --         --
ISHARES RUSSELL 1000
   VALUE ETF            COMMON  464287598 $      2,211.00     25,722   SH         DEFINED          6     23,197       --      2,525
ISHARES S&P MID CAP
   400 GROWTH           COMMON  464287606 $          1.00          9   SH         DEFINED         23         --       --          9
ISHARES RUSSELL 1000
   GROWTH ET            COMMON  464287614 $         80.00      1,290   SH         DEFINED         15      1,290       --         --
ISHARES RUSSELL 1000
   GROWTH ET            COMMON  464287614 $          8.00        129   SH         DEFINED         23         24       --        105
ISHARES RUSSELL 1000
   GROWTH ET            COMMON  464287614 $     18,693.00    302,818   SH         DEFINED          6    264,513       --     38,305
ISHARES RUSSELL 1000
   INDEX ETF            COMMON  464287622 $         25.00        304   SH         DEFINED         23        300       --          4
ISHARES RUSSELL 1000
   INDEX ETF            COMMON  464287622 $        137.00      1,650   SH         DEFINED          6      1,650       --         --
RUSSELL 2000 ISHARES
   ETF                  COMMON  464287630 $         16.00        210   SH         DEFINED         23          5       --        205




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
RUSSELL 2000 ISHARES
   ETF                  COMMON  464287630 $        717.00      9,320   SH         DEFINED          6      4,220       --      5,100
ISHARES RUSSELL 2000
   I SHARE E            COMMON  464287648 $          4.00         51   SH         DEFINED         23         --       --         51
ISHARES RUSSELL 2000
   I SHARE E            COMMON  464287648 $         13.00        150   SH         DEFINED          6        150       --         --
RUSSELL 2000 I SHARE
   ETF                  COMMON  464287655 $         13.00        164   SH         DEFINED         23          8       --        156
RUSSELL 2000 I SHARE
   ETF                  COMMON  464287655 $        499.00      6,230   SH         DEFINED          6      3,530       --      2,700
ISHARES RUSSELL 3000
   INDEX ETF            COMMON  464287689 $      4,345.00     49,386   SH         DEFINED          1     49,386       --         --
ISHARES RUSSELL 3000
   INDEX ETF            COMMON  464287689 $          1.00          8   SH         DEFINED         23         --       --          8
ISHARES RUSSELL 3000
   INDEX ETF            COMMON  464287689 $         24.00        275   SH         DEFINED          6        275       --         --
ISHARES DJ US
   UTILITIES SECT E     COMMON  464287697 $         68.00        705   SH         DEFINED         23        700       --          5
ISHARES DJ US
   UTILITIES SECT E     COMMON  464287697 $         15.00        150   SH         DEFINED          6        150       --         --
ISHARES DJ US
   TECHNOLOGY SEC E     COMMON  464287721 $          6.00         88   SH         DEFINED         23         --       --         88
ISHARES DOW JONES US
   REAL EST             COMMON  464287739 $        519.00      6,789   SH         DEFINED         15      6,789       --         --
ISHARES DOW JONES US
   REAL EST             COMMON  464287739 $         49.00        635   SH         DEFINED         23         --       --        635
ISHARES DJ US
   HEALTHCARE SEC E     COMMON  464287762 $         38.00        532   SH         DEFINED         23         --       --        532
ISHARES DJ US
   FINANCIAL SECT E     COMMON  464287788 $         11.00        100   SH         DEFINED         23         --       --        100
ISHARES DJ US ENERGY
   SECTOR ET            COMMON  464287796 $        104.00        800   SH         DEFINED         23         --       --        800
ISHARES S&P SMALLCAP
   600 ETF              COMMON  464287804 $          9.00        130   SH         DEFINED         23         10       --        120
ISHARES S&P SMALLCAP
   600 ETF              COMMON  464287804 $        718.00     10,291   SH         DEFINED          6     10,291       --         --
ISHARES DJ US CONSMR
   GOODS ETF            COMMON  464287812 $         12.00        185   SH         DEFINED         23         --       --        185
ISHARES DJ US BASIC
   MATERIAL E           COMMON  464287838 $          5.00         70   SH         DEFINED         23         --       --         70
ISHARES S&P EU 350
   ETF                  COMMON  464287861 $          2.00         14   SH         DEFINED         23         --       --         14
ISHARES S&P SMALLCAP
   600 VALUE            COMMON  464287879 $         35.00        460   SH         DEFINED          6        460       --         --
ISHARES MORNINGSTAR
   MID GR I E           COMMON  464288307 $         22.00        219   SH         DEFINED         23         --       --        219
ISHARES LEHMAN 3-7
   YEAR TREA E          COMMON  464288661 $            --          4   SH         DEFINED         23         --       --          4
ISHARES RUSSELL
   MICROCAP INX E       COMMON  464288869 $            --          3   SH         DEFINED         23         --       --          3
ISILON SYSTEMS INC      COMMON  46432L104 $          5.00        626   SH         DEFINED         23        626       --         --
ISILON SYSTEMS INC      COMMON  46432L104 $      1,770.00    229,900   SH         DEFINED          3    229,900       --         --
ISIS PHARMACEUTICALS
   INC                  COMMON  464330109 $      8,019.00    535,644   SH         DEFINED         24    535,644       --         --
ISLE OF CAPRI
   CASINOS              COMMON  464592104 $        138.00      7,080   SH         DEFINED         24      7,080       --         --
ISOLAGEN INC            COMMON  46488N103 $          2.00        808   SH         DEFINED         23          8       --        800
ITC HOLDINGS CORP       COMMON  465685105 $     11,394.00    229,958   SH         DEFINED          1    229,958       --         --
ITC HOLDINGS CORP       COMMON  465685105 $      8,528.00    172,099   SH         DEFINED          2    172,099       --         --
ITC HOLDINGS CORP       COMMON  465685105 $         65.00      1,317   SH         DEFINED         24      1,317       --         --
ITRON INC               COMMON  465741106 $        493.00      5,300   SH         DEFINED         19      5,300       --         --
ITRON INC               COMMON  465741106 $    113,949.00  1,224,332   SH         DEFINED         24  1,224,332       --         --
ITRON INC               COMMON  465741106 $        698.00      7,500   SH         DEFINED          6         --       --      7,500
I2 TECHNOLOGIES INC     COMMON  465754208 $        571.00     37,450   SH         DEFINED         15     24,150       --     13,300
I2 TECHNOLOGIES INC     COMMON  465754208 $         64.00      4,200   SH         DEFINED       5,15      4,200       --         --
IXYS CORP               COMMON  46600W106 $        230.00     22,094   SH         DEFINED         24     22,094       --         --
J & J SNACK FOODS
   CORP                 COMMON  466032109 $      7,071.00    203,065   SH         DEFINED          1    203,065       --         --
J & J SNACK FOODS
   CORP                 COMMON  466032109 $        253.00      7,256   SH         DEFINED         24      7,256       --         --
JA SOLAR HOLDINGS
   CO LTD-ADR           COMMON  466090107 $     43,786.00    974,112   SH         DEFINED         24    974,112       --         --
J CREW GROUP INC        COMMON  46612H402 $        134.00      3,237   SH         DEFINED         24      3,237       --         --
JDS UNIPHASE CORP       COMMON  46612J507 $         55.00      3,648   SH         DEFINED       1,15      3,648       --         --
JDS UNIPHASE CORP       COMMON  46612J507 $          4.00        274   SH         DEFINED         15         --       --        274
JDS UNIPHASE CORP       COMMON  46612J507 $         51.00      3,393   SH         DEFINED         17         --       --      3,393
JDS UNIPHASE CORP       COMMON  46612J507 $          5.00        337   SH         DEFINED         23         --       --        337
JDS UNIPHASE CORP       COMMON  46612J507 $        190.00     12,703   SH         DEFINED         24     12,703       --         --
JDS UNIPHASE CORP       COMMON  46612J507 $         30.00      2,024   SH         DEFINED          6      2,024       --         --
JDS UNIPHASE CORP       COMMON  46612J507 $         50.00      3,317   SH         DEFINED          8      3,317       --         --
JDS UNIPHASE CORP       COMMON  46612J507 $      8,379.00    560,100   SH         DEFINED          9    560,100       --         --
JDS UNIPHASE CORP       COMMON  46612J507 $        416.00     27,800   SH         DEFINED       9,22     27,800       --         --
JDA SOFTWARE GROUP
   INC                  COMMON  46612K108 $     13,449.00    650,978   SH         DEFINED          1    650,978       --         --
JDA SOFTWARE GROUP
   INC                  COMMON  46612K108 $        481.00     23,300   SH         DEFINED         15     13,300       --     10,000
JDA SOFTWARE GROUP
   INC                  COMMON  46612K108 $      9,998.00    483,940   SH         DEFINED          2    483,940       --         --
JDA SOFTWARE GROUP
   INC                  COMMON  46612K108 $      2,592.00    125,451   SH         DEFINED         24    125,451       --         --
JDA SOFTWARE GROUP
   INC                  COMMON  46612K108 $         68.00      3,300   SH         DEFINED       5,15      3,300       --         --
JER INVESTORS TRUST
   INC                  COMMON  46614H301 $        370.00     29,750   SH         DEFINED         24     29,750       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $    412,519.00  9,003,027   SH         DEFINED          1  9,003,027       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $      8,827.00    192,648   SH         DEFINED       1,15    192,648       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $      2,566.00     56,000   SH         DEFINED      11,15     56,000       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $     30,069.00    656,235   SH         DEFINED         12    137,435       --    518,800
JP MORGAN CHASE & CO    COMMON  46625H100 $        273.00      5,950   SH         DEFINED      12,14      5,950       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $    156,129.00  3,407,431   SH         DEFINED         15  2,699,952       --    603,279
JP MORGAN CHASE & CO    COMMON  46625H100 $      2,708.00     59,100   SH         DEFINED      15,14         --       --     59,100




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
JP MORGAN CHASE & CO    COMMON  46625H100 $     15,982.00    348,800   SH         DEFINED       15,8         --       --    348,800
JP MORGAN CHASE & CO    COMMON  46625H100 $     16,547.00    361,134   SH         DEFINED          2    361,134       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $         19.00        420   SH         DEFINED      20,12        420       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $        639.00     13,950   SH         DEFINED      20,15         --       --     13,950
JP MORGAN CHASE & CO    COMMON  46625H100 $        785.00     17,124   SH         DEFINED         21     17,124       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $      2,191.00     47,825   SH         DEFINED      21,15         --       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $        602.00     13,130   SH         DEFINED       21,2     13,130       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $         21.00        452   SH         DEFINED         23        157       --        295
JP MORGAN CHASE & CO    COMMON  46625H100 $     27,502.00    600,209   SH         DEFINED         24    600,209       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $      5,091.00    111,100   SH         DEFINED          3    111,100       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $     10,486.00    228,843   SH         DEFINED        3,1    228,843       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $     10,239.00    223,451   SH         DEFINED          4    223,451       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $      4,526.00     98,787   SH         DEFINED       5,15     89,500       --      9,287
JP MORGAN CHASE & CO    COMMON  46625H100 $     10,828.00    236,314   SH         DEFINED          6    189,475       --     46,839
JP MORGAN CHASE & CO    COMMON  46625H100 $      5,475.00    119,479   SH         DEFINED          8    119,479       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $     13,496.00    294,541   SH         DEFINED          9    294,541       --         --
JP MORGAN CHASE & CO    COMMON  46625H100 $     10,539.00    230,000   SH         DEFINED       9,15    193,600       --     36,400
JP MORGAN CHASE & CO    COMMON  46625H100 $      5,329.00    116,303   SH         DEFINED        9,2    116,303       --         --
J2 GLOBAL
   COMMUNICATIONS
   INC                  COMMON  46626E205 $            --          7   SH         DEFINED         23          7       --         --
J2 GLOBAL
   COMMUNICATIONS
   INC                  COMMON  46626E205 $      8,455.00    258,328   SH         DEFINED         24    258,328       --         --
J2 GLOBAL
   COMMUNICATIONS
   INC                  COMMON  46626E205 $        291.00      8,895   SH         DEFINED          6         --       --      8,895
JABIL CIRCUIT INC       COMMON  466313103 $         82.00      3,602   SH         DEFINED       1,15      3,602       --         --
JABIL CIRCUIT INC       COMMON  466313103 $            --          6   SH         DEFINED         23         --       --          6
JABIL CIRCUIT INC       COMMON  466313103 $        601.00     26,318   SH         DEFINED         24     26,318       --         --
JABIL CIRCUIT INC       COMMON  466313103 $         15.00        649   SH         DEFINED          6         --       --        649
JABIL CIRCUIT INC       COMMON  466313103 $         84.00      3,679   SH         DEFINED          8      3,679       --         --
JACK IN THE BOX INC     COMMON  466367109 $     13,111.00    202,203   SH         DEFINED          1    202,203       --         --
JACK IN THE BOX INC     COMMON  466367109 $      9,091.00    140,200   SH         DEFINED         15     66,100       --     74,100
JACK IN THE BOX INC     COMMON  466367109 $      8,882.00    136,987   SH         DEFINED          2    136,987       --         --
JACK IN THE BOX INC     COMMON  466367109 $          6.00        100   SH         DEFINED         23         --       --        100
JACK IN THE BOX INC     COMMON  466367109 $      5,078.00     78,310   SH         DEFINED         24     78,310       --         --
JACK IN THE BOX INC     COMMON  466367109 $        182.00      2,800   SH         DEFINED       5,15      2,800       --         --
JACKSON HEWITT TAX
   SERVICE              COMMON  468202106 $      9,696.00    346,786   SH         DEFINED          1    346,786       --         --
JACKSON HEWITT TAX
   SERVICE              COMMON  468202106 $     17,306.00    618,951   SH         DEFINED        1,3    618,951       --         --
JACKSON HEWITT TAX
   SERVICE              COMMON  468202106 $      4,885.00    174,721   SH         DEFINED          2    174,721       --         --
JACKSON HEWITT TAX
   SERVICE              COMMON  468202106 $      1,222.00     43,715   SH         DEFINED       20,3     43,715       --         --
JACKSON HEWITT TAX
   SERVICE              COMMON  468202106 $         97.00      3,475   SH         DEFINED         24      3,475       --         --
JACKSON HEWITT TAX
   SERVICE              COMMON  468202106 $     94,334.00  3,373,887   SH         DEFINED          3  3,373,887       --         --
JACOBS ENGINEERING
   GROUP INC            COMMON  469814107 $      9,448.00    125,000   SH         DEFINED          1    125,000       --         --
JACOBS ENGINEERING
   GROUP INC            COMMON  469814107 $     12,103.00    160,134   SH         DEFINED         24    160,134       --         --
JACOBS ENGINEERING
   GROUP INC            COMMON  469814107 $        123.00      1,625   SH         DEFINED          6      1,300       --        325
JACOBS ENGINEERING
   GROUP INC            COMMON  469814107 $        170.00      2,253   SH         DEFINED          8      2,253       --         --
JACOBS ENGINEERING
   GROUP INC            COMMON  469814107 $      1,968.00     26,038   SH         DEFINED          9     26,038       --         --
JAKKS PACIFIC INC       COMMON  47012E106 $      2,600.00     97,332   SH         DEFINED          1     97,332       --         --
JAKKS PACIFIC INC       COMMON  47012E106 $         27.00      1,006   SH         DEFINED       21,2      1,006       --         --
JAKKS PACIFIC INC       COMMON  47012E106 $        536.00     20,071   SH         DEFINED         24     20,071       --         --
JAMES RIVER GROUP
   INC                  COMMON  470359100 $        370.00     11,426   SH         DEFINED         24     11,426       --         --
JANUS CAPITAL GROUP
   INC                  COMMON  47102X105 $         77.00      2,739   SH         DEFINED       1,15      2,739       --         --
JANUS CAPITAL GROUP
   INC                  COMMON  47102X105 $     15,489.00    547,700   SH         DEFINED         15    246,500       --    299,800
JANUS CAPITAL GROUP
   INC                  COMMON  47102X105 $        116.00      4,100   SH         DEFINED       15,8         --       --      4,100
JANUS CAPITAL GROUP
   INC                  COMMON  47102X105 $        691.00     24,442   SH         DEFINED         24     24,442       --         --
JANUS CAPITAL GROUP
   INC                  COMMON  47102X105 $        257.00      9,100   SH         DEFINED          6      9,100       --         --
JAPAN SMALLER
   CAPITALIZATION C     COMMON  47109U104 $            --         12   SH         DEFINED         23         --       --         12
JARDEN CORP             COMMON  471109108 $     53,698.00  1,735,540   SH         DEFINED          1  1,735,540       --         --
JARDEN CORP             COMMON  471109108 $      1,241.00     40,119   SH         DEFINED          2         --       --     40,119
JARDEN CORP             COMMON  471109108 $        215.00      6,941   SH         DEFINED         24      6,941       --         --
JEFFERIES GROUP INC     COMMON  472319102 $        194.00      6,965   SH         DEFINED         24      6,965       --         --
JETBLUE AIRWAYS CORP    COMMON  477143101 $        161.00     17,459   SH         DEFINED         24     17,459       --         --
JO-ANN STORES INC       COMMON  47758P307 $      8,931.00    423,250   SH         DEFINED         15    302,350       --    120,900
JO-ANN STORES INC       COMMON  47758P307 $        512.00     24,247   SH         DEFINED         24     24,247       --         --
JO-ANN STORES INC       COMMON  47758P307 $      1,726.00     81,800   SH         DEFINED       5,15     81,800       --         --
JOHNSON & JOHNSON       COMMON  478160104 $    160,112.00  2,437,016   SH         DEFINED          1  2,437,016       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      3,374.00     51,351   SH         DEFINED       1,15     51,351       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      3,751.00     57,096   SH         DEFINED         10     57,096       --         --
JOHNSON & JOHNSON       COMMON  478160104 $        250.00      3,800   SH         DEFINED      11,15      3,800       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
JOHNSON & JOHNSON       COMMON  478160104 $      1,832.00     27,882   SH         DEFINED       11,8     27,882       --         --
JOHNSON & JOHNSON       COMMON  478160104 $     39,726.00    604,657   SH         DEFINED         12    149,757       --    454,900
JOHNSON & JOHNSON       COMMON  478160104 $        427.00      6,500   SH         DEFINED      12,14      6,500       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      1,359.00     20,686   SH         DEFINED         14     20,686       --         --
JOHNSON & JOHNSON       COMMON  478160104 $        322.00      4,900   SH         DEFINED       14,3      4,900       --         --
JOHNSON & JOHNSON       COMMON  478160104 $    128,887.00  1,961,757   SH         DEFINED         15  1,488,632       --    415,925
JOHNSON & JOHNSON       COMMON  478160104 $      1,780.00     27,100   SH         DEFINED      15,14         --       --     27,100
JOHNSON & JOHNSON       COMMON  478160104 $     10,190.00    155,100   SH         DEFINED       15,8         --       --    155,100
JOHNSON & JOHNSON       COMMON  478160104 $        723.00     11,000   SH         DEFINED         19     11,000       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      5,453.00     83,006   SH         DEFINED          2     83,006       --         --
JOHNSON & JOHNSON       COMMON  478160104 $         49.00        745   SH         DEFINED      20,12        745       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      1,038.00     15,800   SH         DEFINED      20,15         --       --     15,800
JOHNSON & JOHNSON       COMMON  478160104 $         96.00      1,466   SH         DEFINED       20,2         --       --      1,466
JOHNSON & JOHNSON       COMMON  478160104 $        686.00     10,446   SH         DEFINED         21     10,446       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      2,481.00     37,770   SH         DEFINED      21,15         --       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      6,119.00     93,136   SH         DEFINED       21,2         --       --     93,136
JOHNSON & JOHNSON       COMMON  478160104 $      6,898.00    104,996   SH         DEFINED         22    104,996       --         --
JOHNSON & JOHNSON       COMMON  478160104 $         32.00        485   SH         DEFINED         23         82       --        403
JOHNSON & JOHNSON       COMMON  478160104 $     31,179.00    474,571   SH         DEFINED         24    474,571       --         --
JOHNSON & JOHNSON       COMMON  478160104 $    303,472.00  4,619,050   SH         DEFINED          3  4,619,050       --         --
JOHNSON & JOHNSON       COMMON  478160104 $     20,062.00    305,356   SH         DEFINED        3,1    305,356       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      6,174.00     93,980   SH         DEFINED       5,15     86,600       --      7,380
JOHNSON & JOHNSON       COMMON  478160104 $     19,398.00    295,249   SH         DEFINED          6    180,835       --    114,414
JOHNSON & JOHNSON       COMMON  478160104 $      1,346.00     20,485   SH         DEFINED          7     20,485       --         --
JOHNSON & JOHNSON       COMMON  478160104 $     11,520.00    175,341   SH         DEFINED          8    175,341       --         --
JOHNSON & JOHNSON       COMMON  478160104 $     66,159.00  1,006,979   SH         DEFINED          9  1,006,979       --         --
JOHNSON & JOHNSON       COMMON  478160104 $      4,372.00     66,550   SH         DEFINED       9,15     25,800       --     40,750
JOHNSON CONTROLS INC    COMMON  478366107 $     31,075.00    263,100   SH         DEFINED          1    263,100       --         --
JOHNSON CONTROLS INC    COMMON  478366107 $        406.00      3,436   SH         DEFINED       1,15      3,436       --         --
JOHNSON CONTROLS INC    COMMON  478366107 $         24.00        200   SH         DEFINED         23        200       --         --
JOHNSON CONTROLS INC    COMMON  478366107 $     12,567.00    106,398   SH         DEFINED         24    106,398       --         --
JOHNSON CONTROLS INC    COMMON  478366107 $        313.00      2,652   SH         DEFINED          6      2,153       --        499
JOHNSON CONTROLS INC    COMMON  478366107 $        403.00      3,408   SH         DEFINED          8      3,408       --         --
JOHNSON CONTROLS INC    COMMON  478366107 $        459.00      3,885   SH         DEFINED          9      3,885       --         --
JONES APPAREL GROUP
   INC                  COMMON  480074103 $      7,935.00    375,528   SH         DEFINED          1    375,528       --         --
JONES APPAREL GROUP
   INC                  COMMON  480074103 $         34.00      1,621   SH         DEFINED       1,15      1,621       --         --
JONES APPAREL GROUP
   INC                  COMMON  480074103 $        466.00     22,045   SH         DEFINED         24     22,045       --         --
JONES LANG LASALLE
   INC                  COMMON  48020Q107 $      8,813.00     85,759   SH         DEFINED          1     85,759       --         --
JONES LANG LASALLE
   INC                  COMMON  48020Q107 $        619.00      6,020   SH         DEFINED         24      6,020       --         --
JOS A BANK CLOTHIERS
   INC                  COMMON  480838101 $      1,616.00     48,354   SH         DEFINED         24     48,354       --         --
JOURNAL
   COMMUNICATIONS       COMMON  481130102 $      1,197.00    126,275   SH         DEFINED         24    126,275       --         --
JOURNAL REGISTER CO     COMMON  481138105 $         25.00     10,270   SH         DEFINED         24     10,270       --         --
JOY GLOBAL INC          COMMON  481165108 $     87,712.00  1,724,569   SH         DEFINED          1  1,724,569       --         --
JOY GLOBAL INC          COMMON  481165108 $        624.00     12,266   SH         DEFINED         15     12,266       --         --
JOY GLOBAL INC          COMMON  481165108 $        856.00     16,835   SH         DEFINED          2         --       --     16,835
JOY GLOBAL INC          COMMON  481165108 $      2,700.00     53,083   SH         DEFINED         24     53,083       --         --
JOY GLOBAL INC          COMMON  481165108 $     16,827.00    330,841   SH         DEFINED          4    330,841       --         --
JOY GLOBAL INC          COMMON  481165108 $          6.00        123   SH         DEFINED          6         --       --        123
JOY GLOBAL INC          COMMON  481165108 $     14,114.00    277,500   SH         DEFINED          9    277,500       --         --
JOY GLOBAL INC          COMMON  481165108 $      1,272.00     25,000   SH         DEFINED       9,22     25,000       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $     23,906.00    653,000   SH         DEFINED          1    653,000       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $      6,133.00    167,524   SH         DEFINED       1,15    167,524       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $      2,431.00     66,400   SH         DEFINED      11,15     66,400       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $    182,854.00  4,994,636   SH         DEFINED         15  3,491,136       --  1,379,100
JUNIPER NETWORKS INC    COMMON  48203R104 $      4,313.00    117,800   SH         DEFINED      15,14         --       --    117,800
JUNIPER NETWORKS INC    COMMON  48203R104 $      5,089.00    139,000   SH         DEFINED       15,8         --       --    139,000
JUNIPER NETWORKS INC    COMMON  48203R104 $         44.00      1,200   SH         DEFINED         19      1,200       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $      7,620.00    208,141   SH         DEFINED          2    208,141       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $          8.00        207   SH         DEFINED         23        194       --         13
JUNIPER NETWORKS INC    COMMON  48203R104 $      6,169.00    168,496   SH         DEFINED         24    168,496       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $        267.00      7,292   SH         DEFINED          4      7,292       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $      7,633.00    208,500   SH         DEFINED       5,15    208,500       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $      5,303.00    144,839   SH         DEFINED          6     82,877       --     61,962
JUNIPER NETWORKS INC    COMMON  48203R104 $      1,723.00     47,064   SH         DEFINED          8     47,064       --         --
JUNIPER NETWORKS INC    COMMON  48203R104 $      3,396.00     92,757   SH         DEFINED          9     92,757       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
JUNIPER NETWORKS INC    COMMON  48203R104 $     12,001.00    327,800   SH         DEFINED       9,15    327,800       --         --
KBR INC                 COMMON  48242W106 $            --          3   SH         DEFINED         23          3       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $    253,571.00  4,545,918   SH         DEFINED          1  4,545,918       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $        187.00      3,352   SH         DEFINED       1,15      3,352       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $        290.00      5,200   SH         DEFINED         14      5,200       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $        290.00      5,200   SH         DEFINED       14,3      5,200       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $      2,145.00     38,455   SH         DEFINED         15     38,455       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $        524.00      9,400   SH         DEFINED         19      9,400       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $      5,765.00    103,345   SH         DEFINED          2     94,485       --      8,860
KLA-TENCOR
   CORPORATION          COMMON  482480100 $      1,741.00     31,216   SH         DEFINED       21,2     31,216       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $          6.00        105   SH         DEFINED         23         86       --         19
KLA-TENCOR
   CORPORATION          COMMON  482480100 $      8,048.00    144,274   SH         DEFINED         24    144,274       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $     77,942.00  1,397,309   SH         DEFINED          3  1,397,309       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $      9,548.00    171,175   SH         DEFINED          4    171,175       --         --
KLA-TENCOR
   CORPORATION          COMMON  482480100 $      3,690.00     66,151   SH         DEFINED          6     37,119       --     29,032
KLA-TENCOR
   CORPORATION          COMMON  482480100 $        204.00      3,651   SH         DEFINED          8      3,651       --         --
KKR FINANCIAL
   HOLDINGS LLC         COMMON  48248A306 $     36,389.00  2,159,600   SH         DEFINED          1  2,159,600       --         --
KKR FINANCIAL
   HOLDINGS LLC         COMMON  48248A306 $          5.00        280   SH         DEFINED         15        280       --         --
KKR FINANCIAL
   HOLDINGS LLC         COMMON  48248A306 $        702.00     41,676   SH         DEFINED          2         --       --     41,676
KKR FINANCIAL
   HOLDINGS LLC         COMMON  48248A306 $      6,047.00    358,888   SH         DEFINED         24    358,888       --         --
KMG CHEMICALS INC       COMMON  482564101 $        442.00     16,870   SH         DEFINED         24     16,870       --         --
K-SWISS INC CL A        COMMON  482686102 $        294.00     12,840   SH         DEFINED         24     12,840       --         --
K-SWISS INC CL A        COMMON  482686102 $        141.00      6,150   SH         DEFINED          6        900       --      5,250
KT CORP- ADR            COMMON  48268K101 $        200.00      8,000   SH         DEFINED         24      8,000       --         --
K-SEA TRANSPORTATION
   PARTNER              COMMON  48268Y101 $          1.00         25   SH         DEFINED         23         25       --         --
K-SEA TRANSPORTATION
   PARTNER              COMMON  48268Y101 $        368.00      9,447   SH         DEFINED         24      9,447       --         --
K-SEA TRANSPORTATION
   PARTNER              COMMON  48268Y101 $        612.00     15,700   SH         DEFINED          6      8,200       --      7,500
KVH INDUSTRIES INC      COMMON  482738101 $        242.00     28,337   SH         DEFINED         24     28,337       --         --
K V PHARMACEUTICAL
   CO-CL B              COMMON  482740107 $         12.00        406   SH         DEFINED         24        406       --         --
KV PHARMACEUTICAL
   CO CL A              COMMON  482740206 $      4,232.00    147,983   SH         DEFINED         24    147,983       --         --
KV PHARMACEUTICAL
   CO CL A              COMMON  482740206 $      2,520.00     88,100   SH         DEFINED          3     88,100       --         --
KADANT INC              COMMON  48282T104 $      8,552.00    305,424   SH         DEFINED          1    305,424       --         --
KADANT INC              COMMON  48282T104 $      1,220.00     43,558   SH         DEFINED         24     43,558       --         --
KADANT INC              COMMON  48282T104 $        130.00      4,655   SH         DEFINED          6         --       --      4,655
KNBT BANCORP INC        COMMON  482921103 $        576.00     34,833   SH         DEFINED         24     34,833       --         --
KAISER ALUMINUM CORP    COMMON  483007704 $      4,565.00     64,690   SH         DEFINED          1     64,690       --         --
KAMAN CORP              COMMON  483548103 $        639.00     18,485   SH         DEFINED         24     18,485       --         --
KAMAN CORP              COMMON  483548103 $         29.00        840   SH         DEFINED          6        840       --         --
KANSAS CITY LIFE INS
   CO                   COMMON  484836101 $        109.00      2,467   SH         DEFINED         24      2,467       --         --
KANSAS CITY SOUTHERN
   INDS                 COMMON  485170302 $          4.00        125   SH         DEFINED         23        125       --         --
KANSAS CITY SOUTHERN
   INDS                 COMMON  485170302 $        945.00     29,365   SH         DEFINED         24     29,365       --         --
KAYDON CORP             COMMON  486587108 $     21,964.00    422,467   SH         DEFINED          1    422,467       --         --
KAYDON CORP             COMMON  486587108 $      4,391.00     84,450   SH         DEFINED         15     49,450       --     35,000
KAYDON CORP             COMMON  486587108 $        873.00     16,795   SH         DEFINED          2         --       --     16,795
KAYDON CORP             COMMON  486587108 $        199.00      3,832   SH         DEFINED         24      3,832       --         --
KAYDON CORP             COMMON  486587108 $        577.00     11,100   SH         DEFINED       5,15     11,100       --         --
KAYNE ANDERSON MLP
   INVESTMEN C          COMMON  486606106 $          1.00         23   SH         DEFINED         23         --       --         23
KAYNE ANDERSON MLP
   INVESTMEN C          COMMON  486606106 $         74.00      2,343   SH         DEFINED          6      2,343       --         --
KAYNE ANDERSON
   ENERGY DEVELO        COMMON  48660Q102 $         25.00      1,000   SH         DEFINED          6      1,000       --         --
KB HOME                 COMMON  48666K109 $         33.00      1,327   SH         DEFINED       1,15      1,327       --         --
KB HOME                 COMMON  48666K109 $        113.00      4,500   SH         DEFINED         15         --       --      4,500
KB HOME                 COMMON  48666K109 $        444.00     17,704   SH         DEFINED         24     17,704       --         --
KB HOME                 COMMON  48666K109 $         11.00        457   SH         DEFINED          6         --       --        457
KEARNY FINANCIAL
   CORP                 COMMON  487169104 $         55.00      4,339   SH         DEFINED         24      4,339       --         --
KELLOGG CO              COMMON  487836108 $     48,384.00    864,000   SH         DEFINED          1    864,000       --         --
KELLOGG CO              COMMON  487836108 $        258.00      4,605   SH         DEFINED       1,15      4,605       --         --
KELLOGG CO              COMMON  487836108 $          6.00        100   SH         DEFINED         15         --       --        100
KELLOGG CO              COMMON  487836108 $     30,232.00    539,856   SH         DEFINED         24    539,856       --         --
KELLOGG CO              COMMON  487836108 $        980.00     17,508   SH         DEFINED          6     16,100       --      1,408
KELLOGG CO              COMMON  487836108 $        341.00      6,092   SH         DEFINED          8      6,092       --         --
KELLOGG CO              COMMON  487836108 $        319.00      5,705   SH         DEFINED          9      5,705       --         --
KELLWOOD CO             COMMON  488044108 $      4,787.00    280,750   SH         DEFINED         15    209,150       --     71,600
KELLWOOD CO             COMMON  488044108 $        123.00      7,226   SH         DEFINED         24      7,226       --         --
KELLWOOD CO             COMMON  488044108 $      1,270.00     74,500   SH         DEFINED       5,15     74,500       --         --
KELLWOOD CO             COMMON  488044108 $         49.00      2,895   SH         DEFINED          6         --       --      2,895




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
KELLY SVCS INC          COMMON  488152208 $        295.00     14,891   SH         DEFINED         24     14,891       --         --
KEMET CORP              COMMON  488360108 $        152.00     20,686   SH         DEFINED         24     20,686       --         --
KENEXA CORP             COMMON  488879107 $          8.00        257   SH         DEFINED         24        257       --         --
KENNAMETAL INC          COMMON  489170100 $        975.00     11,613   SH         DEFINED         24     11,613       --         --
KENNAMETAL INC          COMMON  489170100 $         21.00        250   SH         DEFINED          6        250       --         --
KERYX BIO-
   PHARMACEUTICALS      COMMON  492515101 $      4,231.00    425,605   SH         DEFINED          1    425,605       --         --
KERYX BIO-
   PHARMACEUTICALS      COMMON  492515101 $         48.00      4,800   SH         DEFINED         19      4,800       --         --
KERYX BIO-
   PHARMACEUTICALS      COMMON  492515101 $        350.00     35,179   SH         DEFINED          2     35,179       --         --
KERYX BIO-
   PHARMACEUTICALS      COMMON  492515101 $          9.00        880   SH         DEFINED       20,2         --       --        880
KERYX BIO-
   PHARMACEUTICALS      COMMON  492515101 $        545.00     54,866   SH         DEFINED       21,2         --       --     54,866
KERYX BIO-
   PHARMACEUTICALS      COMMON  492515101 $          3.00        301   SH         DEFINED         24        301       --         --
KEYCORP                 COMMON  493267108 $        219.00      6,778   SH         DEFINED       1,15      6,778       --         --
KEYCORP                 COMMON  493267108 $      4,861.00    150,350   SH         DEFINED         15     93,500       --     50,450
KEYCORP                 COMMON  493267108 $      1,025.00     31,700   SH         DEFINED       15,8         --       --     31,700
KEYCORP                 COMMON  493267108 $            --          3   SH         DEFINED         23         --       --          3
KEYCORP                 COMMON  493267108 $     11,833.00    366,020   SH         DEFINED         24    366,020       --         --
KEYCORP                 COMMON  493267108 $         76.00      2,349   SH         DEFINED          6      2,156       --        193
KEYCORP                 COMMON  493267108 $        513.00     15,853   SH         DEFINED          8     15,853       --         --
KEYCORP                 COMMON  493267108 $      1,082.00     33,477   SH         DEFINED          9     33,477       --         --
KEYCORP                 COMMON  493267108 $        947.00     29,300   SH         DEFINED       9,15     29,300       --         --
KEYNOTE SYSTEMS INC     COMMON  493308100 $      3,146.00    229,150   SH         DEFINED         15    168,250       --     60,900
KEYNOTE SYSTEMS INC     COMMON  493308100 $        586.00     42,668   SH         DEFINED         24     42,668       --         --
KEYNOTE SYSTEMS INC     COMMON  493308100 $        537.00     39,100   SH         DEFINED       5,15     39,100       --         --
KEYSTONE AUTOMOTIVE
   INDS INC             COMMON  49338N109 $         83.00      1,732   SH         DEFINED         24      1,732       --         --
KFORCE INC              COMMON  493732101 $      6,644.00    516,640   SH         DEFINED          1    516,640       --         --
KFORCE INC              COMMON  493732101 $         14.00      1,072   SH         DEFINED         24      1,072       --         --
KFORCE INC              COMMON  493732101 $         90.00      6,975   SH         DEFINED          6         --       --      6,975
KIMBALL
   INTERNATIONAL CL
   B                    COMMON  494274103 $        452.00     39,726   SH         DEFINED         24     39,726       --         --
KILROY REALTY CORP      COMMON  49427F108 $      1,426.00     23,514   SH         DEFINED         15     23,514       --         --
KILROY REALTY CORP      COMMON  49427F108 $        151.00      2,491   SH         DEFINED         24      2,491       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $     30,837.00    438,900   SH         DEFINED          1    438,900       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $        519.00      7,388   SH         DEFINED       1,15      7,388       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $        492.00      7,000   SH         DEFINED      11,15      7,000       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $     24,553.00    349,454   SH         DEFINED         12    105,954       --    243,500
KIMBERLY-CLARK CORP     COMMON  494368103 $        323.00      4,600   SH         DEFINED      12,14      4,600       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $     25,692.00    365,674   SH         DEFINED         15    330,089       --     30,485
KIMBERLY-CLARK CORP     COMMON  494368103 $      4,328.00     61,600   SH         DEFINED       15,8         --       --     61,600
KIMBERLY-CLARK CORP     COMMON  494368103 $         24.00        335   SH         DEFINED      20,12        335       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $        794.00     11,300   SH         DEFINED      20,15         --       --     11,300
KIMBERLY-CLARK CORP     COMMON  494368103 $      1,504.00     21,410   SH         DEFINED      21,15         --       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $          3.00         40   SH         DEFINED         23          5       --         35
KIMBERLY-CLARK CORP     COMMON  494368103 $      7,266.00    103,410   SH         DEFINED         24    103,410       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $     39,711.00    565,200   SH         DEFINED          3    565,200       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $        288.00      4,100   SH         DEFINED       5,15         --       --      4,100
KIMBERLY-CLARK CORP     COMMON  494368103 $      1,394.00     19,844   SH         DEFINED          6     15,364       --      4,480
KIMBERLY-CLARK CORP     COMMON  494368103 $        840.00     11,954   SH         DEFINED          8     11,954       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $      2,231.00     31,758   SH         DEFINED          9     31,758       --         --
KIMBERLY-CLARK CORP     COMMON  494368103 $      9,547.00    135,875   SH         DEFINED       9,15    107,400       --     28,475
KIMCO REALTY CORP       COMMON  49446R109 $     75,690.00  1,674,178   SH         DEFINED       1,15  1,674,178       --         --
KIMCO REALTY CORP       COMMON  49446R109 $        714.00     15,800   SH         DEFINED      11,15     15,800       --         --
KIMCO REALTY CORP       COMMON  49446R109 $    225,059.00  4,978,087   SH         DEFINED         15  3,193,537       --  1,476,950
KIMCO REALTY CORP       COMMON  49446R109 $      1,374.00     30,400   SH         DEFINED      15,14         --       --     30,400
KIMCO REALTY CORP       COMMON  49446R109 $      1,605.00     35,500   SH         DEFINED       15,8         --       --     35,500
KIMCO REALTY CORP       COMMON  49446R109 $     10,281.00    227,400   SH         DEFINED       2,15    227,400       --         --
KIMCO REALTY CORP       COMMON  49446R109 $      3,196.00     70,700   SH         DEFINED      20,15     70,700       --         --
KIMCO REALTY CORP       COMMON  49446R109 $        703.00     15,547   SH         DEFINED         24     15,547       --         --
KIMCO REALTY CORP       COMMON  49446R109 $     17,635.00    390,064   SH         DEFINED       5,15    390,064       --         --
KIMCO REALTY CORP       COMMON  49446R109 $      2,221.00     49,126   SH         DEFINED          6     26,492       --     22,634
KIMCO REALTY CORP       COMMON  49446R109 $        484.00     10,713   SH         DEFINED          8     10,713       --         --
KIMCO REALTY CORP       COMMON  49446R109 $      3,061.00     67,700   SH         DEFINED       9,15     67,700       --         --
KINDER MORGAN ENERGY
   PRTNRS               COMMON  494550106 $         12.00        241   SH         DEFINED         23          9       --        232
KINDER MORGAN ENERGY
   PRTNRS               COMMON  494550106 $        463.00      9,379   SH         DEFINED         24      9,379       --         --
KINDER MORGAN ENERGY
   PRTNRS               COMMON  494550106 $        772.00     15,625   SH         DEFINED          6     12,825       --      2,800
KINDER MORGAN
   MANAGEMENT LLC       COMMON  49455U100 $          9.00        185   SH         DEFINED         23        161       --         24
KINDER MORGAN
   MANAGEMENT LLC       COMMON  49455U100 $        157.00      3,365   SH         DEFINED         24      3,365       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
KINDER MORGAN
   MANAGEMENT LLC       COMMON  49455U100 $      7,460.00    159,579   SH         DEFINED          6    124,255       --     35,324
KINDRED HEALTHCARE
   INC                  COMMON  494580103 $        175.00      9,766   SH         DEFINED         24      9,766       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $     13,822.00    245,600   SH         DEFINED          1    245,600       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $      1,283.00     22,800   SH         DEFINED       1,15     22,800       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $     41,715.00    741,200   SH         DEFINED        1,3    741,200       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $     29,345.00    521,416   SH         DEFINED         15    308,016       --    211,600
KINETIC CONCEPTS INC    COMMON  49460W208 $        630.00     11,200   SH         DEFINED       15,8         --       --     11,200
KINETIC CONCEPTS INC    COMMON  49460W208 $        552.00      9,800   SH         DEFINED          2         --       --      9,800
KINETIC CONCEPTS INC    COMMON  49460W208 $     19,343.00    343,700   SH         DEFINED       20,3    343,700       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $      6,073.00    107,900   SH         DEFINED       21,3    107,900       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $          7.00        121   SH         DEFINED         23        100       --         21
KINETIC CONCEPTS INC    COMMON  49460W208 $      6,880.00    122,243   SH         DEFINED         24    122,243       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $    470,431.00  8,358,766   SH         DEFINED          3  8,358,766       --         --
KINETIC CONCEPTS INC    COMMON  49460W208 $        203.00      3,600   SH         DEFINED       5,15      3,600       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      1,520.00    129,660   SH         DEFINED       1,15    129,660       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      2,538.00    216,547   SH         DEFINED         10    216,547       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $        634.00     54,100   SH         DEFINED      11,15     54,100       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      1,208.00    103,056   SH         DEFINED       11,8    103,056       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $        711.00     60,660   SH         DEFINED         14     60,660       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $     67,311.00  5,743,295   SH         DEFINED         15  3,754,395       --  1,890,400
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      1,143.00     97,500   SH         DEFINED      15,14         --       --     97,500
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      3,030.00    258,500   SH         DEFINED       15,8         --       --    258,500
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      2,423.00    206,721   SH         DEFINED         22    206,721       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $         11.00        938   SH         DEFINED         23         --       --        938
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      3,163.00    269,844   SH         DEFINED         24    269,844       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      1,724.00    147,100   SH         DEFINED       5,15    147,100       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $        222.00     18,900   SH         DEFINED          7     18,900       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      4,291.00    366,090   SH         DEFINED          8    366,090       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $     11,433.00    975,506   SH         DEFINED          9    975,506       --         --
KING PHARMACEUTICALS
   INC                  COMMON  495582108 $      4,002.00    341,500   SH         DEFINED       9,15    341,500       --         --
KINROSS GOLD
   CORP-US$             COMMON  496902404 $          4.00        269   SH         DEFINED         24        269       --         --
KINROSS GOLD CORP       COMMON 4969024047 $     14,198.00    950,000   SH         DEFINED          1    950,000       --         --
KINROSS GOLD CORP       COMMON 4969024047 $        353.00     23,600   SH         DEFINED          2     23,600       --         --
KINROSS GOLD CORP       COMMON 4969024047 $     16,361.00  1,094,733   SH         DEFINED          3  1,094,733       --         --
KINROSS GOLD CORP       COMMON 4969024047 $     22,457.00  1,502,600   SH         DEFINED        3,1  1,502,600       --         --
KINROSS GOLD CORP       COMMON 4969024047 $        168.00     11,232   SH         DEFINED          8     11,232       --         --
KINGSWAY FINANCIAL
   SERVICES             COMMON  496904103 $      7,628.00    412,000   SH         DEFINED          1    412,000       --         --
KINGSWAY FINANCIAL
   SERVICES             COMMON  496904103 $      2,118.00    114,365   SH         DEFINED          2    114,365       --         --
KINGSWAY FINANCIAL
   SERVICES             COMMON  496904103 $     27,217.00  1,469,972   SH         DEFINED        3,1  1,469,972       --         --
KIRBY CORP              COMMON  497266106 $      1,985.00     44,970   SH         DEFINED         24     44,970       --         --
KITE REALTY GROUP
   TRUST                COMMON  49803T102 $        436.00     23,200   SH         DEFINED         15     23,200       --         --
KITE REALTY GROUP
   TRUST                COMMON  49803T102 $        441.00     23,441   SH         DEFINED         24     23,441       --         --
KNOLL INC               COMMON  498904200 $      8,177.00    460,963   SH         DEFINED          1    460,963       --         --
KNOLL INC               COMMON  498904200 $         64.00      3,600   SH         DEFINED         15      3,600       --         --
KNOLL INC               COMMON  498904200 $        226.00     12,748   SH         DEFINED         24     12,748       --         --
KNIGHT CAPITAL
   GROUP INC-A          COMMON  499005106 $        116.00      9,666   SH         DEFINED         24      9,666       --         --
KNIGHT TRANSPORT        COMMON  499064103 $     12,658.00    735,505   SH         DEFINED          1    735,505       --         --
KNIGHT TRANSPORT        COMMON  499064103 $      9,504.00    552,221   SH         DEFINED          2    552,221       --         --
KNIGHT TRANSPORT        COMMON  499064103 $      1,426.00     82,856   SH         DEFINED         24     82,856       --         --
KNOT INC (THE)          COMMON  499184109 $          2.00        100   SH         DEFINED         23         --       --        100
KNOT INC (THE)          COMMON  499184109 $      1,183.00     55,645   SH         DEFINED         24     55,645       --         --
KOHLBERG CAPITAL
   CORP                 COMMON  500233101 $      1,455.00     96,610   SH         DEFINED         24     96,610       --         --
KOHLS CORP              COMMON  500255104 $     20,465.00    356,964   SH         DEFINED          1    356,964       --         --
KOHLS CORP              COMMON  500255104 $        316.00      5,517   SH         DEFINED       1,15      5,517       --         --
KOHLS CORP              COMMON  500255104 $      1,540.00     26,868   SH         DEFINED       14,2         --       --     26,868
KOHLS CORP              COMMON  500255104 $      3,351.00     58,450   SH         DEFINED         15     37,800       --     17,150
KOHLS CORP              COMMON  500255104 $      1,141.00     19,900   SH         DEFINED       15,8         --       --     19,900
KOHLS CORP              COMMON  500255104 $      2,357.00     41,106   SH         DEFINED         24     41,106       --         --
KOHLS CORP              COMMON  500255104 $        954.00     16,642   SH         DEFINED          6      2,880       --     13,762
KOHLS CORP              COMMON  500255104 $        415.00      7,236   SH         DEFINED          8      7,236       --         --
KOHLS CORP              COMMON  500255104 $     10,759.00    187,665   SH         DEFINED          9    187,665       --         --
KONINKLIJKE PHILIPS
   ELECTRONIC           COMMON  500472303 $      6,112.00    136,000   SH         DEFINED       1,12    136,000       --         --
KONINKLIJKE PHILIPS
   ELECTRONIC           COMMON  500472303 $    114,728.00  2,552,914   SH         DEFINED         12  2,266,814       --    286,100
KONINKLIJKE PHILIPS
   ELECTRONIC           COMMON  500472303 $      3,829.00     85,198   SH         DEFINED         15     26,998       --     58,200




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
KONINKLIJKE PHILIPS
   ELECTRONIC           COMMON  500472303 $          2.00         42   SH         DEFINED          4         42       --         --
KONINKLIJKE PHILIPS
   ELECTRONIC           COMMON  500472303 $      1,968.00     43,790   SH         DEFINED          6     12,145       --     31,645
KONGZHONG CORP-ADR      COMMON  50047P104 $      1,011.00    150,826   SH         DEFINED         24    150,826       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $     16,563.00    202,018   SH         DEFINED         12    202,018       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $        235.00      2,867   SH         DEFINED         15      2,867       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $        107.00      1,300   SH         DEFINED         24      1,300       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $      1,049.00     12,800   SH         DEFINED        3,7     12,800       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $      7,092.00     86,500   SH         DEFINED          7     86,500       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $      8,281.00    101,000   SH         DEFINED          9    101,000       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $        844.00     10,300   SH         DEFINED       9,15     10,300       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $     16,824.00    205,190   SH         DEFINED       9,22    205,190       --         --
KOOKMIN BANK-SPONS
   ADR                  COMMON  50049M109 $     20,276.00    247,300   SH         DEFINED        9,7    247,300       --         --
KOPIN CORP              COMMON  500600101 $         19.00      5,026   SH         DEFINED         24      5,026       --         --
KOPPERS HOLDINGS INC    COMMON  50060P106 $        303.00      7,848   SH         DEFINED         24      7,848       --         --
KOREA ELEC POWER
   CORP ADR             COMMON  500631106 $          7.00        300   SH         DEFINED         23         --       --        300
KOREA ELEC POWER
   CORP ADR             COMMON  500631106 $        190.00      8,200   SH         DEFINED         24      8,200       --         --
KOREA ELEC POWER
   CORP ADR             COMMON  500631106 $        169.00      7,300   SH         DEFINED          9      7,300       --         --
KOREA ELEC POWER
   CORP ADR             COMMON  500631106 $        431.00     18,600   SH         DEFINED       9,15     18,600       --         --
KORN/FERRY
   INTERNATIONAL        COMMON  500643200 $     11,361.00    688,106   SH         DEFINED          1    688,106       --         --
KORN/FERRY
   INTERNATIONAL        COMMON  500643200 $      8,719.00    528,124   SH         DEFINED          2    528,124       --         --
KORN/FERRY
   INTERNATIONAL        COMMON  500643200 $        482.00     29,200   SH         DEFINED         24     29,200       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $     26,970.00    781,517   SH         DEFINED          1    781,517       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $        945.00     27,372   SH         DEFINED       1,15     27,372       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $        375.00     10,878   SH         DEFINED         10     10,878       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $        184.00      5,330   SH         DEFINED       11,8      5,330       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $     31,122.00    901,826   SH         DEFINED         12    232,877       --    668,949
KRAFT FOODS INC CL A    COMMON  50075N104 $        373.00     10,800   SH         DEFINED      12,14     10,800       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $        100.00      2,901   SH         DEFINED         14      2,901       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $     18,321.00    530,881   SH         DEFINED         15    466,978       --     57,502
KRAFT FOODS INC CL A    COMMON  50075N104 $        645.00     18,700   SH         DEFINED       15,8         --       --     18,700
KRAFT FOODS INC CL A    COMMON  50075N104 $         28.00        825   SH         DEFINED      20,12        825       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $        883.00     25,600   SH         DEFINED      20,15         --       --     25,600
KRAFT FOODS INC CL A    COMMON  50075N104 $      2,819.00     81,675   SH         DEFINED      21,15         --       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $          1.00         23   SH         DEFINED         23          3       --         20
KRAFT FOODS INC CL A    COMMON  50075N104 $     28,744.00    832,918   SH         DEFINED         24    832,918       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $        547.00     15,842   SH         DEFINED       5,15         --       --     15,842
KRAFT FOODS INC CL A    COMMON  50075N104 $        497.00     14,396   SH         DEFINED          6      4,694       --      9,702
KRAFT FOODS INC CL A    COMMON  50075N104 $        227.00      6,574   SH         DEFINED          7      6,574       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $      1,749.00     50,683   SH         DEFINED          8     50,683       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $     13,295.00    385,261   SH         DEFINED          9    385,261       --         --
KRAFT FOODS INC CL A    COMMON  50075N104 $      2,276.00     65,961   SH         DEFINED       9,15         --       --     65,961
KRISPY KREME
   DOUGHNUTS INC        COMMON  501014104 $         29.00      7,160   SH         DEFINED         24      7,160       --         --
KROGER CO               COMMON  501044101 $     10,084.00    353,560   SH         DEFINED          1    353,560       --         --
KROGER CO               COMMON  501044101 $        419.00     14,682   SH         DEFINED       1,15     14,682       --         --
KROGER CO               COMMON  501044101 $        394.00     13,800   SH         DEFINED      11,15     13,800       --         --
KROGER CO               COMMON  501044101 $     62,138.00  2,178,740   SH         DEFINED         15  1,486,040       --    620,100
KROGER CO               COMMON  501044101 $      1,857.00     65,100   SH         DEFINED      15,14         --       --     65,100
KROGER CO               COMMON  501044101 $      1,700.00     59,600   SH         DEFINED       15,8         --       --     59,600
KROGER CO               COMMON  501044101 $         23.00        800   SH         DEFINED         23         --       --        800
KROGER CO               COMMON  501044101 $      7,690.00    269,644   SH         DEFINED         24    269,644       --         --
KROGER CO               COMMON  501044101 $      3,351.00    117,500   SH         DEFINED       5,15    117,500       --         --
KROGER CO               COMMON  501044101 $        183.00      6,426   SH         DEFINED          6      2,899       --      3,527
KROGER CO               COMMON  501044101 $      2,242.00     78,622   SH         DEFINED          8     78,622       --         --
KROGER CO               COMMON  501044101 $      2,326.00     81,567   SH         DEFINED          9     81,567       --         --
KROGER CO               COMMON  501044101 $        947.00     33,200   SH         DEFINED       9,15     33,200       --         --
KUBOTA CORP ADR         COMMON  501173207 $         22.00        530   SH         DEFINED         23         --       --        530
KUBOTA CORP ADR         COMMON  501173207 $         28.00        690   SH         DEFINED          6         --       --        690
KULICKE & SOFFA
   INDUSTRIES           COMMON  501242101 $      7,174.00    846,000   SH         DEFINED         15    562,500       --    283,500
KULICKE & SOFFA
   INDUSTRIES           COMMON  501242101 $      1,409.00    166,200   SH         DEFINED       5,15    166,200       --         --
KYOCERA CORP ADR        COMMON  501556203 $      3,650.00     39,170   SH         DEFINED         24     39,170       --         --
KYPHON INC              COMMON  501577100 $     14,041.00    200,589   SH         DEFINED          1    200,589       --         --
KYPHON INC              COMMON  501577100 $     10,727.00    153,239   SH         DEFINED          2    153,239       --         --
KYPHON INC              COMMON  501577100 $          7.00         96   SH         DEFINED         23         91       --          5
KYPHON INC              COMMON  501577100 $         65.00        934   SH         DEFINED         24        934       --         --
KYPHON INC              COMMON  501577100 $      4,724.00     67,487   SH         DEFINED          6     38,659       --     28,828




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
LCA-VISION INC          COMMON  501803308 $         17.00        572   SH         DEFINED         24        572       --         --
LDK SOLAR CO LTD -
   ADR                  COMMON  50183L107 $      3,511.00     50,954   SH         DEFINED         24     50,954       --         --
LG PHILLIPS LCD CO
   LTD - ADR            COMMON  50186V102 $         96.00      4,000   SH         DEFINED         24      4,000       --         --
LKQ CORP                COMMON  501889208 $     38,931.00  1,118,395   SH         DEFINED          1  1,118,395       --         --
LKQ CORP                COMMON  501889208 $        600.00     17,230   SH         DEFINED          2         --       --     17,230
LKQ CORP                COMMON  501889208 $            --         14   SH         DEFINED         23         14       --         --
LKQ CORP                COMMON  501889208 $        114.00      3,279   SH         DEFINED         24      3,279       --         --
LKQ CORP                COMMON  501889208 $        535.00     15,375   SH         DEFINED          6      6,255       --      9,120
L-1 IDENTITY
   SOLUTIONS INC        COMMON  50212A106 $      2,659.00    141,070   SH         DEFINED         24    141,070       --         --
L-1 IDENTITY
   SOLUTIONS INC        COMMON  50212A106 $         81.00      4,280   SH         DEFINED          6         --       --      4,280
LSI CORP                COMMON  502161102 $         93.00     12,475   SH         DEFINED       1,15     12,475       --         --
LSI CORP                COMMON  502161102 $         92.00     12,372   SH         DEFINED         17         --       --     12,372
LSI CORP                COMMON  502161102 $          1.00        134   SH         DEFINED         23         --       --        134
LSI CORP                COMMON  502161102 $        340.00     45,773   SH         DEFINED         24     45,773       --         --
LSI CORP                COMMON  502161102 $        774.00    104,259   SH         DEFINED          6         58       --    104,201
LSI INDUSTRIES INC      COMMON  50216C108 $        530.00     25,834   SH         DEFINED         24     25,834       --         --
LTC PROPERTIES INC      COMMON  502175102 $      3,361.00    142,000   SH         DEFINED         15     96,900       --     45,100
LTC PROPERTIES INC      COMMON  502175102 $         57.00      2,400   SH         DEFINED         24      2,400       --         --
LTC PROPERTIES INC      COMMON  502175102 $        810.00     34,200   SH         DEFINED       5,15     34,200       --         --
LTC PROPERTIES INC      COMMON  502175102 $        134.00      5,675   SH         DEFINED          6         --       --      5,675
LTX CORP                COMMON  502392103 $         90.00     25,300   SH         DEFINED         15     25,300       --         --
LTX CORP                COMMON  502392103 $          7.00      1,852   SH         DEFINED         24      1,852       --         --
L-3 COMMUNICATIONS
   HLDGS INC            COMMON  502424104 $     21,708.00    212,532   SH         DEFINED          1    212,532       --         --
L-3 COMMUNICATIONS
   HLDGS INC            COMMON  502424104 $        223.00      2,187   SH         DEFINED       1,15      2,187       --         --
L-3 COMMUNICATIONS
   HLDGS INC            COMMON  502424104 $         82.00        800   SH         DEFINED         23        800       --         --
L-3 COMMUNICATIONS
   HLDGS INC            COMMON  502424104 $     18,553.00    181,640   SH         DEFINED         24    181,640       --         --
L-3 COMMUNICATIONS
   HLDGS INC            COMMON  502424104 $        204.00      2,000   SH         DEFINED          6      1,200       --        800
L-3 COMMUNICATIONS
   HLDGS INC            COMMON  502424104 $        103.00      1,006   SH         DEFINED          8      1,006       --         --
LA-Z-BOY INC            COMMON  505336107 $      4,617.00    625,590   SH         DEFINED         24    625,590       --         --
LABOR READY INC         COMMON  505401208 $      2,821.00    152,410   SH         DEFINED          1    152,410       --         --
LABOR READY INC         COMMON  505401208 $      8,040.00    434,350   SH         DEFINED         15    271,350       --    163,000
LABOR READY INC         COMMON  505401208 $      4,707.00    254,311   SH         DEFINED         24    254,311       --         --
LABOR READY INC         COMMON  505401208 $      1,364.00     73,700   SH         DEFINED       5,15     73,700       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $     14,010.00    179,092   SH         DEFINED          1    179,092       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $        159.00      2,031   SH         DEFINED       1,15      2,031       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $        892.00     11,400   SH         DEFINED      11,15     11,400       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $     28,541.00    364,840   SH         DEFINED         15    282,240       --     72,300
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $        399.00      5,100   SH         DEFINED      15,14         --       --      5,100
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $      4,483.00     57,300   SH         DEFINED       15,8         --       --     57,300
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $        125.00      1,600   SH         DEFINED         19      1,600       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $      1,158.00     14,803   SH         DEFINED          2     14,803       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $         30.00        382   SH         DEFINED       20,2         --       --        382
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $      1,806.00     23,087   SH         DEFINED       21,2         --       --     23,087
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $      1,631.00     20,845   SH         DEFINED         22     20,845       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $         12.00        155   SH         DEFINED         23        131       --         24
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $     10,755.00    137,478   SH         DEFINED         24    137,478       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $        954.00     12,200   SH         DEFINED       5,15     12,200       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $      9,331.00    119,271   SH         DEFINED          6     83,755       --     35,516
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $        705.00      9,011   SH         DEFINED          8      9,011       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $     24,087.00    307,904   SH         DEFINED          9    307,904       --         --
LABORATORY CRP OF
   AMER HLDGS           COMMON  50540R409 $      4,921.00     62,900   SH         DEFINED       9,15     62,900       --         --
LABORATORY CORP OF
   AMER (LH)CV         CONVERT  50540RAG7 $     17,063.00 16,250,000   SH         DEFINED         15         --       -- 13,750,000
LABRANCHE & CO INC      COMMON  505447102 $        227.00     48,513   SH         DEFINED         24     48,513       --         --
LACLEDE GROUP
   INC/THE              COMMON  505597104 $      1,118.00     34,631   SH         DEFINED         24     34,631       --         --
LADISH CO INC           COMMON  505754200 $      1,515.00     27,314   SH         DEFINED         24     27,314       --         --
LADENBURG THALMANN
   FINANCIAL            COMMON  50575Q102 $            --        242   SH         DEFINED         23         --       --        242
LAFARGE S.A. ADR        COMMON  505861401 $         18.00        475   SH         DEFINED         23         --       --        475
LAFARGE S.A. ADR        COMMON  505861401 $         42.00      1,080   SH         DEFINED          6         --       --      1,080
LAIDLAW
   INTERNATIONAL        COMMON  50730R102 $        359.00     10,201   SH         DEFINED         24     10,201       --         --
LAIDLAW
   INTERNATIONAL        COMMON  50730R102 $          7.00        202   SH         DEFINED          6         --       --        202
LAKELAND BANCORP INC    COMMON  511637100 $        520.00     38,300   SH         DEFINED         15     29,600       --      8,700
LAKELAND BANCORP INC    COMMON  511637100 $         37.00      2,703   SH         DEFINED         24      2,703       --         --
LAKELAND BANCORP INC    COMMON  511637100 $        170.00     12,500   SH         DEFINED       5,15     12,500       --         --
LAKELAND FINANCIAL
   CORPORATION          COMMON  511656100 $        626.00     27,100   SH         DEFINED         15     20,100       --      7,000
LAKELAND FINANCIAL
   CORPORATION          COMMON  511656100 $        183.00      7,900   SH         DEFINED       5,15      7,900       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
LAKES ENTERTAINMENT
    INC                 COMMON  51206P109 $        360.00     37,782   SH         DEFINED         24     37,782       --         --
LAM RESEARCH CORP       COMMON  512807108 $        607.00     11,400   SH         DEFINED      11,15     11,400       --         --
LAM RESEARCH CORP       COMMON  512807108 $     30,310.00    569,100   SH         DEFINED         15    363,900       --    200,300
LAM RESEARCH CORP       COMMON  512807108 $      2,434.00     45,700   SH         DEFINED       15,8         --       --     45,700
LAM RESEARCH CORP       COMMON  512807108 $        559.00     10,492   SH         DEFINED         21     10,492       --         --
LAM RESEARCH CORP       COMMON  512807108 $         83.00      1,554   SH         DEFINED         22      1,554       --         --
LAM RESEARCH CORP       COMMON  512807108 $      7,178.00    134,774   SH         DEFINED         24    134,774       --         --
LAM RESEARCH CORP       COMMON  512807108 $        554.00     10,400   SH         DEFINED       5,15     10,400       --         --
LAM RESEARCH CORP       COMMON  512807108 $          6.00        112   SH         DEFINED          6         --       --        112
LAM RESEARCH CORP       COMMON  512807108 $        100.00      1,882   SH         DEFINED          8      1,882       --         --
LAM RESEARCH CORP       COMMON  512807108 $      1,041.00     19,540   SH         DEFINED          9     19,540       --         --
LAM RESEARCH CORP       COMMON  512807108 $      2,849.00     53,500   SH         DEFINED       9,15     53,500       --         --
LAMAR ADVERTISING CO    COMMON  512815101 $          7.00        153   SH         DEFINED         23        123       --         30
LAMAR ADVERTISING CO    COMMON  512815101 $      1,348.00     27,535   SH         DEFINED         24     27,535       --         --
LAMAR ADVERTISING CO    COMMON  512815101 $      5,646.00    115,303   SH         DEFINED          6     87,745       --     27,558
LANCASTER COLONY
   CORP                 COMMON  513847103 $      5,126.00    134,291   SH         DEFINED          1    134,291       --         --
LANCASTER COLONY
   CORP                 COMMON  513847103 $      1,449.00     37,952   SH         DEFINED         24     37,952       --         --
LANCE INC               COMMON  514606102 $        119.00      5,162   SH         DEFINED         24      5,162       --         --
LANDEC CORP             COMMON  514766104 $      1,435.00     92,833   SH         DEFINED         24     92,833       --         --
LANDAUER INC            COMMON  51476K103 $         46.00        894   SH         DEFINED         24        894       --         --
LANDAUER INC            COMMON  51476K103 $        306.00      6,000   SH         DEFINED          6         --       --      6,000
LANDAMERICA
   FINANCIAL GROUP      COMMON  514936103 $     13,296.00    341,090   SH         DEFINED          1    341,090       --         --
LANDAMERICA
   FINANCIAL GROUP      COMMON  514936103 $        255.00      6,547   SH         DEFINED         24      6,547       --         --
LANDRY'S RESTAURANTS
   INC                  COMMON  51508L103 $        494.00     18,652   SH         DEFINED         24     18,652       --         --
LANDSTAR SYSTEM INC     COMMON  515098101 $      5,087.00    121,194   SH         DEFINED          1    121,194       --         --
LANDSTAR SYSTEM INC     COMMON  515098101 $      2,371.00     56,500   SH         DEFINED         15     25,700       --     30,800
LANDSTAR SYSTEM INC     COMMON  515098101 $          4.00        105   SH         DEFINED         23         97       --          8
LANDSTAR SYSTEM INC     COMMON  515098101 $      7,730.00    184,189   SH         DEFINED         24    184,189       --         --
LANDSTAR SYSTEM INC     COMMON  515098101 $      2,963.00     70,608   SH         DEFINED          6     39,869       --     30,739
LAS VEGAS SANDS         COMMON  517834107 $        323.00      2,421   SH         DEFINED         24      2,421       --         --
LAS VEGAS SANDS         COMMON  517834107 $        270.00      2,020   SH         DEFINED          8      2,020       --         --
LASALLE HOTEL
   PROPERTIES           COMMON  517942108 $      5,766.00    137,030   SH         DEFINED          1    137,030       --         --
LASALLE HOTEL
   PROPERTIES           COMMON  517942108 $      4,166.00     99,000   SH         DEFINED       1,15     99,000       --         --
LASALLE HOTEL
   PROPERTIES           COMMON  517942108 $     45,651.00  1,084,851   SH         DEFINED         15    683,351       --    323,000
LASALLE HOTEL
   PROPERTIES           COMMON  517942108 $        774.00     18,400   SH         DEFINED      20,15     18,400       --         --
LASALLE HOTEL
   PROPERTIES           COMMON  517942108 $        110.00      2,604   SH         DEFINED         24      2,604       --         --
LASALLE HOTEL
   PROPERTIES           COMMON  517942108 $      4,132.00     98,200   SH         DEFINED       5,15     98,200       --         --
LATTICE
   SEMICONDUCTOR
   CORP                 COMMON  518415104 $        402.00     89,587   SH         DEFINED         24     89,587       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $    150,267.00  3,539,021   SH         DEFINED          1  3,539,021       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $         84.00      1,989   SH         DEFINED       1,15      1,989       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $         48.00      1,133   SH         DEFINED         14      1,133       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $         48.00      1,133   SH         DEFINED       14,2      1,133       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $      1,334.00     31,414   SH         DEFINED         15     31,414       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $        394.00      9,278   SH         DEFINED          2      9,278       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $      1,359.00     32,014   SH         DEFINED         24     32,014       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $        505.00     11,900   SH         DEFINED          3     11,900       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $     35,168.00    828,254   SH         DEFINED          4    828,254       --         --
ESTEE LAUDER
   COMPANIES CL A       COMMON  518439104 $        130.00      3,073   SH         DEFINED          6         --       --      3,073
LAWSON PRODUCTS INC     COMMON  520776105 $         70.00      2,016   SH         DEFINED         24      2,016       --         --
LAWSON SOFTWARE INC     COMMON  52078P102 $     18,245.00  1,822,720   SH         DEFINED          1  1,822,720       --         --
LAWSON SOFTWARE INC     COMMON  52078P102 $     13,852.00  1,383,841   SH         DEFINED          2  1,383,841       --         --
LAWSON SOFTWARE INC     COMMON  52078P102 $         77.00      7,677   SH         DEFINED         24      7,677       --         --
LAYNE CHRISTENSEN
   COMPANY              COMMON  521050104 $     81,121.00  1,462,159   SH         DEFINED         24  1,462,159       --         --
LAYNE CHRISTENSEN
   COMPANY              COMMON  521050104 $        225.00      4,055   SH         DEFINED          6      4,055       --         --
LEAP WIRELESS INTL
   INC/OLD              COMMON  521863100 $            --        187   SH         DEFINED         23        187       --         --
LEAP WIRELESS INTL
   INC                  COMMON  521863308 $     18,541.00    227,863   SH         DEFINED          1    227,863       --         --
LEAP WIRELESS INTL
   INC                  COMMON  521863308 $        353.00      4,342   SH         DEFINED          2         --       --      4,342
LEAP WIRELESS INTL
   INC                  COMMON  521863308 $          4.00         48   SH         DEFINED         23         48       --         --
LEAP WIRELESS INTL
   INC                  COMMON  521863308 $        245.00      3,017   SH         DEFINED         24      3,017       --         --
LEAP WIRELESS INTL
   INC                  COMMON  521863308 $      3,421.00     42,044   SH         DEFINED          6     20,603       --     21,441
LEAR CORPORATION        COMMON  521865105 $         87.00      2,700   SH         DEFINED       1,15      2,700       --         --
LEAR CORPORATION        COMMON  521865105 $     16,660.00    519,000   SH         DEFINED         15    247,000       --    270,100
LEAR CORPORATION        COMMON  521865105 $        366.00     11,400   SH         DEFINED       15,8         --       --     11,400
LEAR CORPORATION        COMMON  521865105 $      1,082.00     33,711   SH         DEFINED         24     33,711       --         --
LEAR CORPORATION        COMMON  521865105 $        189.00      5,902   SH         DEFINED          8      5,902       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
LEAR CORPORATION        COMMON  521865105 $        377.00     11,731   SH         DEFINED          9     11,731       --         --
LEAPFROG ENTERPRISES    COMMON  52186N106 $         83.00     10,100   SH         DEFINED         24     10,100       --         --
LEARNING TREE
   INTERNATIONAL        COMMON  522015106 $      8,224.00    462,800   SH         DEFINED        1,3    462,800       --         --
LEARNING TREE
   INTERNATIONAL        COMMON  522015106 $        641.00     36,100   SH         DEFINED       20,3     36,100       --         --
LEARNING TREE
   INTERNATIONAL        COMMON  522015106 $      3,209.00    180,600   SH         DEFINED          3    180,600       --         --
LECG CORP               COMMON  523234102 $         45.00      3,000   SH         DEFINED         24      3,000       --         --
LEE ENTERPRISES INC     COMMON  523768109 $        107.00      6,871   SH         DEFINED         24      6,871       --         --
LEE ENTERPRISES INC     COMMON  523768109 $         71.00      4,550   SH         DEFINED          6         --       --      4,550
LEGGETT & PLATT INC     COMMON  524660107 $         57.00      2,994   SH         DEFINED       1,15      2,994       --         --
LEGGETT & PLATT INC     COMMON  524660107 $          1.00         29   SH         DEFINED         23         --       --         29
LEGGETT & PLATT INC     COMMON  524660107 $        501.00     26,127   SH         DEFINED         24     26,127       --         --
LEGGETT & PLATT INC     COMMON  524660107 $          5.00        259   SH         DEFINED          6         --       --        259
LEGG MASON INC          COMMON  524901105 $        194.00      2,304   SH         DEFINED       1,15      2,304       --         --
LEGG MASON INC          COMMON  524901105 $        782.00      9,276   SH         DEFINED         24      9,276       --         --
LEGG MASON INC          COMMON  524901105 $          8.00         90   SH         DEFINED          6         10       --         80
LEGG MASON INC          COMMON  524901105 $        165.00      1,960   SH         DEFINED          8      1,960       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $        568.00      9,203   SH         DEFINED       1,15      9,203       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $      1,685.00     27,297   SH         DEFINED         10     27,297       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $        721.00     11,676   SH         DEFINED       11,8     11,676       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $        417.00      6,753   SH         DEFINED         14      6,753       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $      1,775.00     28,760   SH         DEFINED         15     17,260       --      9,200
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $        556.00      9,000   SH         DEFINED       15,8         --       --      9,000
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $        328.00      5,320   SH         DEFINED         22      5,320       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $         14.00        228   SH         DEFINED         23         35       --        193
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $      3,583.00     58,042   SH         DEFINED         24     58,042       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $        500.00      8,100   SH         DEFINED       5,15      8,100       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $        593.00      9,607   SH         DEFINED          6      7,288       --      2,319
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $      2,554.00     41,375   SH         DEFINED          8     41,375       --         --
LEHMAN BROTHERS
   HOLDINGS INC         COMMON  524908100 $      6,509.00    105,442   SH         DEFINED          9    105,442       --         --
MORGAN STANLEY (LEH)
   CVT 0.75            CONVERT  524908NL0 $     11,954.00  9,475,000   SH         DEFINED         15         --       --  8,000,000
GENERAL MILLS (LEH)
   CVT 3.0 12          CONVERT  524908NY2 $     15,122.00 14,350,000   SH         DEFINED         15         --       -- 12,125,000
PRUDENTIAL (LEH) CVT
   3.0 11-17           CONVERT  524908PA2 $     10,630.00  9,575,000   SH         DEFINED         15         --       --  8,125,000
LENNAR CORP CL A        COMMON  526057104 $         54.00      2,405   SH         DEFINED       1,15      2,405       --         --
LENNAR CORP CL A        COMMON  526057104 $      2,353.00    103,900   SH         DEFINED         15     41,800       --     62,100
LENNAR CORP CL A        COMMON  526057104 $        463.00     20,421   SH         DEFINED         24     20,421       --         --
LENNAR CORP CL A        COMMON  526057104 $          3.00        114   SH         DEFINED          6         --       --        114
LENNAR CORP CL A        COMMON  526057104 $         52.00      2,281   SH         DEFINED          8      2,281       --         --
LENNOX INTERNATIONAL
   INC                  COMMON  526107107 $        321.00      9,497   SH         DEFINED         24      9,497       --         --
LEUCADIA NATIONAL
   CORP                 COMMON  527288104 $        137.00      2,844   SH         DEFINED       1,15      2,844       --         --
LEUCADIA NATIONAL
   CORP                 COMMON  527288104 $         96.00      2,000   SH         DEFINED      11,15      2,000       --         --
LEUCADIA NATIONAL
   CORP                 COMMON  527288104 $        931.00     19,300   SH         DEFINED         15     14,900       --      4,400
LEUCADIA NATIONAL
   CORP                 COMMON  527288104 $        159.00      3,300   SH         DEFINED       15,8         --       --      3,300
LEUCADIA NATIONAL
   CORP                 COMMON  527288104 $         19.00        400   SH         DEFINED         23         --       --        400
LEUCADIA NATIONAL
   CORP                 COMMON  527288104 $     16,074.00    333,338   SH         DEFINED         24    333,338       --         --
LEUCADIA NATIONAL
   CORP                 COMMON  527288104 $        150.00      3,103   SH         DEFINED          8      3,103       --         --
LEVEL 3
   COMMUNICATIONS
   INC                  COMMON  52729N100 $            --         40   SH         DEFINED         23         --       --         40
LEVEL 3
   COMMUNICATIONS
   INC                  COMMON  52729N100 $      2,205.00    474,233   SH         DEFINED         24    474,233       --         --
LEVEL 3
   COMMUNICATIONS
   INC                  COMMON  52729N100 $         15.00      3,243   SH         DEFINED          6      1,500       --      1,743
LEVEL 3
   COMMUNICATIONS
   INC                  COMMON  52729N100 $        103.00     22,140   SH         DEFINED          8     22,140       --         --
LEVEL 3 COMM
   INC(LVLT) CVT 6.0   CONVERT  52729NAS9 $            --         30   SH         DEFINED         23         --       --         30
LEXINGTON REALTY
   TRUST                COMMON  529043101 $        648.00     32,400   SH         DEFINED       1,15     32,400       --         --
LEXINGTON REALTY
   TRUST                COMMON  529043101 $        182.00      9,103   SH         DEFINED         24      9,103       --         --
LEXINGTON REALTY
   TRUST                COMMON  529043101 $        151.00      7,540   SH         DEFINED          6         --       --      7,540
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $         68.00      1,633   SH         DEFINED       1,15      1,633       --         --
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $        507.00     12,200   SH         DEFINED      11,15     12,200       --         --
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $     36,198.00    871,600   SH         DEFINED         15    499,200       --    369,600
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $      2,047.00     49,300   SH         DEFINED       15,8         --       --     49,300
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $         86.00      2,073   SH         DEFINED         22      2,073       --         --
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $      1,237.00     29,786   SH         DEFINED         24     29,786       --         --
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $        174.00      4,200   SH         DEFINED       5,15      4,200       --         --
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $      1,202.00     28,941   SH         DEFINED          8     28,941       --         --
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $      5,962.00    143,563   SH         DEFINED          9    143,563       --         --
LEXMARK INTL GROUP
   INC CL A             COMMON  529771107 $      1,528.00     36,800   SH         DEFINED       9,15     36,800       --         --
LIBBEY INC              COMMON  529898108 $        566.00     32,327   SH         DEFINED         24     32,327       --         --
LIBERTY GLOBAL
   INC -A               COMMON  530555101 $      3,472.00     84,636   SH         DEFINED          1     84,636       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
LIBERTY GLOBAL
   INC -A               COMMON  530555101 $        377.00      9,185   SH         DEFINED       14,2         --       --      9,185
LIBERTY GLOBAL
   INC -A               COMMON  530555101 $         15.00        361   SH         DEFINED         23        272       --         89
LIBERTY GLOBAL
   INC -A               COMMON  530555101 $      4,666.00    113,754   SH         DEFINED         24    113,754       --         --
LIBERTY GLOBAL
   INC -A               COMMON  530555101 $     10,446.00    254,655   SH         DEFINED          6    202,689       --     51,966
LIBERTY GLOBAL
   INC -A               COMMON  530555101 $         97.00      2,367   SH         DEFINED          8      2,367       --         --
LIBERTY GLOBAL
   INC- SERIES C        COMMON  530555309 $      6,740.00    174,328   SH         DEFINED          1    174,328       --         --
LIBERTY GLOBAL
   INC- SERIES C        COMMON  530555309 $        710.00     18,358   SH         DEFINED       14,2         --       --     18,358
LIBERTY GLOBAL
   INC- SERIES C        COMMON  530555309 $        562.00     14,549   SH         DEFINED         24     14,549       --         --
LIBERTY GLOBAL
   INC- SERIES C        COMMON  530555309 $          3.00         77   SH         DEFINED          6         --       --         77
LIBERTY GLOBAL
   INC- SERIES C        COMMON  530555309 $         93.00      2,401   SH         DEFINED          8      2,401       --         --
VIACOM INC CVT
   (L) 3.25 03-15-     CONVERT  530715AR2 $            --         39   SH         DEFINED         23         25       --         14
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $     14,860.00    773,535   SH         DEFINED          1    773,535       --         --
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $      1,015.00     52,846   SH         DEFINED       14,2         --       --     52,846
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $        151.00      7,862   SH         DEFINED          2      7,862       --         --
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $            --         24   SH         DEFINED         23          4       --         20
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $      4,511.00    234,805   SH         DEFINED         24    234,805       --         --
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $      9,925.00    516,650   SH         DEFINED        3,1    516,650       --         --
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $        269.00     13,993   SH         DEFINED          6         --       --     13,993
LIBERTY
   MEDIA-INTERACTIVE
   A                    COMMON  53071M104 $        209.00     10,867   SH         DEFINED          8     10,867       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $     19,919.00    159,567   SH         DEFINED          1    159,567       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $        150.00      1,200   SH         DEFINED      11,15      1,200       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $      1,337.00     10,709   SH         DEFINED       14,2         --       --     10,709
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $      5,625.00     45,060   SH         DEFINED         15     39,360       --      4,000
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $      1,236.00      9,900   SH         DEFINED       15,8         --       --      9,900
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $        248.00      1,986   SH         DEFINED          2      1,986       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $        107.00        859   SH         DEFINED         23        855       --          4
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $      4,729.00     37,887   SH         DEFINED         24     37,887       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $     16,661.00    133,470   SH         DEFINED        3,1    133,470       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $        478.00      3,828   SH         DEFINED          6         --       --      3,828
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $        387.00      3,103   SH         DEFINED          8      3,103       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $      1,107.00      8,867   SH         DEFINED          9      8,867       --         --
LIBERTY MEDIA
   HOLD-CAP SER A       COMMON  53071M302 $        399.00      3,200   SH         DEFINED       9,15      3,200       --         --
LIBERTY PROPERTY
   TRUST                COMMON  531172104 $      1,930.00     48,000   SH         DEFINED       1,15     48,000       --         --
LIBERTY PROPERTY
   TRUST                COMMON  531172104 $      8,657.00    215,300   SH         DEFINED         15    161,900       --     53,400
LIBERTY PROPERTY
   TRUST                COMMON  531172104 $        459.00     11,411   SH         DEFINED         24     11,411       --         --
LIBERTY PROPERTY
   TRUST                COMMON  531172104 $          5.00        115   SH         DEFINED          6         --       --        115
LIFEWAY FOODS INC       COMMON  531914109 $        156.00      9,275   SH         DEFINED          6         --       --      9,275
LIFECELL CORPORATION    COMMON  531927101 $        321.00      8,550   SH         DEFINED         15      8,550       --         --
LIFECELL CORPORATION    COMMON  531927101 $            --          7   SH         DEFINED         23         --       --          7
LIFECELL CORPORATION    COMMON  531927101 $         24.00        647   SH         DEFINED         24        647       --         --
LIFECELL CORPORATION    COMMON  531927101 $      3,263.00     86,854   SH         DEFINED        3,1     86,854       --         --
LIFECELL CORPORATION    COMMON  531927101 $        104.00      2,770   SH         DEFINED          6        370       --      2,400
LIFECELL CORPORATION    COMMON  531927101 $      1,367.00     36,396   SH         DEFINED        9,2     36,396       --         --
LIFE PARTNERS
   HOLDINGS INC         COMMON  53215T106 $        226.00      6,705   SH         DEFINED         24      6,705       --         --
LIFE TIME FITNESS
   INC                  COMMON  53217R207 $        107.00      1,749   SH         DEFINED         24      1,749       --         --
LIFE TIME FITNESS
   INC                  COMMON  53217R207 $         20.00        320   SH         DEFINED          6        320       --         --
LIFECORE BIOMEDICAL
   INC                  COMMON  532187101 $      5,004.00    387,888   SH         DEFINED          3    387,888       --         --
LIFEPOINT HOSPITALS
   INC                  COMMON  53219L109 $     11,653.00    388,304   SH         DEFINED          1    388,304       --         --
LIFEPOINT HOSPITALS
   INC                  COMMON  53219L109 $      8,866.00    295,448   SH         DEFINED          2    295,448       --         --
LIFEPOINT HOSPITALS
   INC                  COMMON  53219L109 $      6,315.00    210,429   SH         DEFINED         24    210,429       --         --
LIFEPOINT HOSPITALS
   INC                  COMMON  53219L109 $         34.00      1,120   SH         DEFINED          6      1,120       --         --
LILLY (ELI) & CO        COMMON  532457108 $     54,955.00    965,315   SH         DEFINED          1    965,315       --         --
LILLY (ELI) & CO        COMMON  532457108 $      2,038.00     35,801   SH         DEFINED       1,15     35,801       --         --
LILLY (ELI) & CO        COMMON  532457108 $     23,803.00    418,115   SH         DEFINED         12    124,315       --    293,800
LILLY (ELI) & CO        COMMON  532457108 $        302.00      5,300   SH         DEFINED      12,14      5,300       --         --
LILLY (ELI) & CO        COMMON  532457108 $     13,999.00    245,895   SH         DEFINED         15    209,625       --     30,770
LILLY (ELI) & CO        COMMON  532457108 $        518.00      9,100   SH         DEFINED       15,8         --       --      9,100
LILLY (ELI) & CO        COMMON  532457108 $        296.00      5,200   SH         DEFINED         19      5,200       --         --
LILLY (ELI) & CO        COMMON  532457108 $      1,510.00     26,532   SH         DEFINED          2     26,532       --         --
LILLY (ELI) & CO        COMMON  532457108 $         25.00        445   SH         DEFINED      20,12        445       --         --
LILLY (ELI) & CO        COMMON  532457108 $        734.00     12,900   SH         DEFINED      20,15         --       --     12,900
LILLY (ELI) & CO        COMMON  532457108 $         37.00        651   SH         DEFINED       20,2         --       --        651
LILLY (ELI) & CO        COMMON  532457108 $        712.00     12,499   SH         DEFINED         21     12,499       --         --
LILLY (ELI) & CO        COMMON  532457108 $      1,613.00     28,330   SH         DEFINED      21,15         --       --         --
LILLY (ELI) & CO        COMMON  532457108 $      2,356.00     41,381   SH         DEFINED       21,2         --       --     41,381




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
LILLY (ELI) & CO        COMMON  532457108 $        714.00     12,550   SH         DEFINED         22     12,550       --         --
LILLY (ELI) & CO        COMMON  532457108 $          3.00         53   SH         DEFINED         23         22       --         31
LILLY (ELI) & CO        COMMON  532457108 $     13,132.00    230,676   SH         DEFINED         24    230,676       --         --
LILLY (ELI) & CO        COMMON  532457108 $     10,646.00    187,000   SH         DEFINED          3    187,000       --         --
LILLY (ELI) & CO        COMMON  532457108 $        313.00      5,500   SH         DEFINED       5,15         --       --      5,500
LILLY (ELI) & CO        COMMON  532457108 $      1,850.00     32,491   SH         DEFINED          6     17,827       --     14,664
LILLY (ELI) & CO        COMMON  532457108 $      1,493.00     26,230   SH         DEFINED          8     26,230       --         --
LILLY (ELI) & CO        COMMON  532457108 $      2,924.00     51,368   SH         DEFINED          9     51,368       --         --
LILLY (ELI) & CO        COMMON  532457108 $      1,907.00     33,500   SH         DEFINED       9,15         --       --     33,500
LIMITED BRANDS INC      COMMON  532716107 $     28,613.00  1,250,000   SH         DEFINED          1  1,250,000       --         --
LIMITED BRANDS INC      COMMON  532716107 $        127.00      5,535   SH         DEFINED       1,15      5,535       --         --
LIMITED BRANDS INC      COMMON  532716107 $      1,046.00     45,716   SH         DEFINED         24     45,716       --         --
LIMITED BRANDS INC      COMMON  532716107 $     15,627.00    682,700   SH         DEFINED          3    682,700       --         --
LIMITED BRANDS INC      COMMON  532716107 $        186.00      8,116   SH         DEFINED          6      1,064       --      7,052
LIMITED BRANDS INC      COMMON  532716107 $         98.00      4,271   SH         DEFINED          8      4,271       --         --
LIN TV CORP CL A        COMMON  532774106 $      1,293.00     99,412   SH         DEFINED         24     99,412       --         --
LINCARE HOLDINGS INC    COMMON  532791100 $        264.00      7,200   SH         DEFINED      11,15      7,200       --         --
LINCARE HOLDINGS INC    COMMON  532791100 $     20,387.00    556,260   SH         DEFINED         15    311,660       --    236,200
LINCARE HOLDINGS INC    COMMON  532791100 $        125.00      3,400   SH         DEFINED      15,14         --       --      3,400
LINCARE HOLDINGS INC    COMMON  532791100 $      1,220.00     33,300   SH         DEFINED       15,8         --       --     33,300
LINCARE HOLDINGS INC    COMMON  532791100 $          4.00        115   SH         DEFINED         23        109       --          6
LINCARE HOLDINGS INC    COMMON  532791100 $      8,945.00    244,055   SH         DEFINED         24    244,055       --         --
LINCARE HOLDINGS INC    COMMON  532791100 $        165.00      4,500   SH         DEFINED       5,15      4,500       --         --
LINCARE HOLDINGS INC    COMMON  532791100 $      2,971.00     81,076   SH         DEFINED          6     46,532       --     34,544
LINCARE HOLDINGS INC    COMMON  532791100 $        238.00      6,481   SH         DEFINED          8      6,481       --         --
LINCARE HOLDINGS INC    COMMON  532791100 $        518.00     14,121   SH         DEFINED          9     14,121       --         --
LINCARE HOLDINGS INC    COMMON  532791100 $      1,063.00     29,000   SH         DEFINED       9,15     29,000       --         --
LINCOLN ELECTRIC
   HOLDINGS             COMMON  533900106 $      9,871.00    127,190   SH         DEFINED         24    127,190       --         --
LINCOLN ELECTRIC
   HOLDINGS             COMMON  533900106 $            --          6   SH         DEFINED          6         --       --          6
LINCOLN NATIONAL
   CORP                 COMMON  534187109 $        310.00      4,699   SH         DEFINED       1,15      4,699       --         --
LINCOLN NATIONAL
   CORP                 COMMON  534187109 $        606.00      9,180   SH         DEFINED         15      6,280       --      2,500
LINCOLN NATIONAL
   CORP                 COMMON  534187109 $        284.00      4,300   SH         DEFINED       15,8         --       --      4,300
LINCOLN NATIONAL
   CORP                 COMMON  534187109 $          2.00         26   SH         DEFINED         23         --       --         26
LINCOLN NATIONAL
   CORP                 COMMON  534187109 $     28,407.00    430,601   SH         DEFINED         24    430,601       --         --
LINCOLN NATIONAL
   CORP                 COMMON  534187109 $      1,545.00     23,420   SH         DEFINED          6      9,599       --     13,821
LINCOLN NATIONAL
   CORP                 COMMON  534187109 $        404.00      6,124   SH         DEFINED          8      6,124       --         --
LINDSAY CORP            COMMON  535555106 $     47,600.00  1,087,262   SH         DEFINED         24  1,087,262       --         --
LINDSAY CORP            COMMON  535555106 $        173.00      3,950   SH         DEFINED          6         --       --      3,950
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $     48,125.00  1,375,381   SH         DEFINED          1  1,375,381       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $        135.00      3,853   SH         DEFINED       1,15      3,853       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $        217.00      6,200   SH         DEFINED         14      6,200       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $        217.00      6,200   SH         DEFINED       14,3      6,200       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $        553.00     15,815   SH         DEFINED         15     15,815       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $          5.00        131   SH         DEFINED         23        108       --         23
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $      4,611.00    131,768   SH         DEFINED         24    131,768       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $     39,052.00  1,116,100   SH         DEFINED          3  1,116,100       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $     14,283.00    408,194   SH         DEFINED          4    408,194       --         --
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $      3,904.00    111,562   SH         DEFINED          6     58,698       --     52,864
LINEAR TECHNOLOGY
   CORP                 COMMON  535678106 $        198.00      5,656   SH         DEFINED          8      5,656       --         --
LINKTONE LTD            COMMON  535925101 $        340.00    101,407   SH         DEFINED         24    101,407       --         --
LIQUIDITY SERVICES
    INC                 COMMON  53635B107 $        165.00     15,003   SH         DEFINED         24     15,003       --         --
LITHIA MOTORS INC
   CL A                 COMMON  536797103 $     22,397.00  1,312,838   SH         DEFINED        1,3  1,312,838       --         --
LITHIA MOTORS INC CL
   A                    COMMON  536797103 $        812.00     47,600   SH         DEFINED       20,3     47,600       --         --
LITHIA MOTORS INC CL
   A                    COMMON  536797103 $        406.00     23,788   SH         DEFINED         24     23,788       --         --
LITHIA MOTORS INC CL
   A                    COMMON  536797103 $     11,805.00    691,962   SH         DEFINED          3    691,962       --         --
LITTELFUSE INC          COMMON  537008104 $        491.00     13,750   SH         DEFINED         15      9,550       --      4,200
LITTELFUSE INC          COMMON  537008104 $         70.00      1,957   SH         DEFINED         24      1,957       --         --
LITTELFUSE INC          COMMON  537008104 $         50.00      1,400   SH         DEFINED       5,15      1,400       --         --
LIVE NATION INC         COMMON  538034109 $     11,049.00    519,970   SH         DEFINED          1    519,970       --         --
LIVE NATION INC         COMMON  538034109 $            --          1   SH         DEFINED         15          1       --         --
LIVE NATION INC         COMMON  538034109 $      8,823.00    415,189   SH         DEFINED          2    415,189       --         --
LIVE NATION INC         COMMON  538034109 $          3.00        150   SH         DEFINED         23         --       --        150
LIVE NATION INC         COMMON  538034109 $        200.00      9,416   SH         DEFINED         24      9,416       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $      8,558.00    249,276   SH         DEFINED          1    249,276       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $         61.00      1,775   SH         DEFINED       1,15      1,775       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
LIZ CLAIBORNE INC       COMMON  539320101 $     14,151.00    412,200   SH         DEFINED        1,3    412,200       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $        110.00      3,200   SH         DEFINED         14      3,200       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $        110.00      3,200   SH         DEFINED       14,3      3,200       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $        318.00      9,268   SH         DEFINED         24      9,268       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $    339,979.00  9,903,250   SH         DEFINED          3  9,903,250       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $         53.00      1,550   SH         DEFINED          6      1,550       --         --
LIZ CLAIBORNE INC       COMMON  539320101 $         83.00      2,411   SH         DEFINED          8      2,411       --         --
LLOYDS TSB GROUP PLC
   ADR                  COMMON  539439109 $     88,300.00  1,986,060   SH         DEFINED         12  1,986,060       --         --
LLOYDS TSB GROUP PLC
   ADR                  COMMON  539439109 $      1,889.00     42,479   SH         DEFINED         15     42,479       --         --
LLOYDS TSB GROUP PLC
   ADR                  COMMON  539439109 $         16.00        370   SH         DEFINED         23         --       --        370
LLOYDS TSB GROUP PLC
   ADR                  COMMON  539439109 $          2.00         50   SH         DEFINED          4         50       --         --
LOJACK CORPORATION      COMMON  539451104 $         44.00      2,300   SH         DEFINED         15      2,300       --         --
LOJACK CORPORATION      COMMON  539451104 $        895.00     47,187   SH         DEFINED         24     47,187       --         --
LOJACK CORPORATION      COMMON  539451104 $         12.00        650   SH         DEFINED          6        650       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $    110,559.00  1,019,067   SH         DEFINED          1  1,019,067       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      3,258.00     30,027   SH         DEFINED       1,15     30,027       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      2,973.00     27,400   SH         DEFINED      11,15     27,400       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $    164,174.00  1,513,260   SH         DEFINED         15  1,168,960       --    308,400
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      4,871.00     44,900   SH         DEFINED      15,14         --       --     44,900
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      9,395.00     86,600   SH         DEFINED       15,8         --       --     86,600
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $     27,669.00    255,041   SH         DEFINED          2    255,041       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $        832.00      7,668   SH         DEFINED         21      7,668       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $        676.00      6,231   SH         DEFINED       21,2      6,231       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      2,679.00     24,689   SH         DEFINED         22     24,689       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $         27.00        250   SH         DEFINED         23        250       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $     29,325.00    270,303   SH         DEFINED         24    270,303       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $     13,393.00    123,446   SH         DEFINED        3,1    123,446       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $        814.00      7,506   SH         DEFINED          4      7,506       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      9,091.00     83,800   SH         DEFINED       5,15     83,800       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $        368.00      3,395   SH         DEFINED          6      1,885       --      1,510
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $        618.00      5,700   SH         DEFINED          7      5,700       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      3,308.00     30,487   SH         DEFINED          8     30,487       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $     47,396.00    436,870   SH         DEFINED          9    436,870       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $     14,245.00    131,300   SH         DEFINED       9,15    131,300       --         --
LOCKHEED MARTIN
   CORPORATION          COMMON  539830109 $      5,736.00     52,874   SH         DEFINED        9,2     52,874       --         --
LOCKHEED MARTIN
   CVT(LMT) FLT 0      CONVERT  539830AP4 $     19,312.00 12,700,000   SH         DEFINED         15         --       -- 10,750,000
LODGENET
   ENTERTAINMENT
   CORP                 COMMON  540211109 $        187.00      7,384   SH         DEFINED         24      7,384       --         --
LODGIAN INC             COMMON  54021P403 $        565.00     47,854   SH         DEFINED         24     47,854       --         --
LOEWS CORP              COMMON  540424108 $      1,830.00     37,851   SH         DEFINED       1,15     37,851       --         --
LOEWS CORP              COMMON  540424108 $      1,661.00     34,350   SH         DEFINED         15     33,900       --        450
LOEWS CORP              COMMON  540424108 $            --          6   SH         DEFINED         23          6       --         --
LOEWS CORP              COMMON  540424108 $      6,408.00    132,541   SH         DEFINED         24    132,541       --         --
LOEWS CORP              COMMON  540424108 $        493.00     10,200   SH         DEFINED          6      4,200       --      6,000
LOEWS CORP              COMMON  540424108 $      1,692.00     35,000   SH         DEFINED       9,15     35,000       --         --
LOEWS CORP -
   CAROLINA GROUP       COMMON  540424207 $      8,191.00     99,610   SH         DEFINED          1     99,610       --         --
LOEWS CORP -
   CAROLINA GROUP       COMMON  540424207 $      1,492.00     18,150   SH         DEFINED       1,15     18,150       --         --
LOEWS CORP -
   CAROLINA GROUP       COMMON  540424207 $          4.00         50   SH         DEFINED         15         --       --         50
LOEWS CORP -
   CAROLINA GROUP       COMMON  540424207 $     10,030.00    121,979   SH         DEFINED         24    121,979       --         --
LOEWS CORP -
   CAROLINA GROUP       COMMON  540424207 $         30.00        365   SH         DEFINED          6        365       --         --
LONGS DRUG STORES
   CORP                 COMMON  543162101 $     68,806.00  1,385,261   SH         DEFINED          1  1,385,261       --         --
LONGS DRUG STORES
   CORP                 COMMON  543162101 $     17,343.00    349,162   SH         DEFINED          2    349,162       --         --
LONGS DRUG STORES
   CORP                 COMMON  543162101 $        510.00     10,273   SH         DEFINED         24     10,273       --         --
LONGS DRUG STORES
   CORP                 COMMON  543162101 $        264.00      5,312   SH         DEFINED        9,2      5,312       --         --
LOOPNET INC             COMMON  543524300 $      1,252.00     60,934   SH         DEFINED         24     60,934       --         --
LORAL SPACE &
   COMMUNICATIONS       COMMON  543881106 $        111.00      2,780   SH         DEFINED         24      2,780       --         --
LOUISIANA-PACIFIC
   CORP                 COMMON  546347105 $        395.00     23,292   SH         DEFINED         24     23,292       --         --
LOUISIANA-PACIFIC
   CORP                 COMMON  546347105 $         82.00      4,803   SH         DEFINED          6      4,803       --         --
LOWES COMPANIES INC     COMMON  548661107 $      8,587.00    306,464   SH         DEFINED          1    306,464       --         --
LOWES COMPANIES INC     COMMON  548661107 $        719.00     25,670   SH         DEFINED       1,15     25,670       --         --
LOWES COMPANIES INC     COMMON  548661107 $      1,048.00     37,416   SH         DEFINED       14,2         --       --     37,416
LOWES COMPANIES INC     COMMON  548661107 $          9.00        308   SH         DEFINED         23        308       --         --
LOWES COMPANIES INC     COMMON  548661107 $      6,507.00    232,239   SH         DEFINED         24    232,239       --         --
LOWES COMPANIES INC     COMMON  548661107 $        726.00     25,900   SH         DEFINED          3     25,900       --         --
LOWES COMPANIES INC     COMMON  548661107 $     13,638.00    486,727   SH         DEFINED          6    436,722       --     50,005
LOWES COMPANIES INC     COMMON  548661107 $        736.00     26,270   SH         DEFINED          8     26,270       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
LOWES COMPANIES INC     COMMON  548661107 $        789.00     28,141   SH         DEFINED          9     28,141       --         --
LUBRIZOL CORP           COMMON  549271104 $      4,639.00     71,300   SH         DEFINED         15     44,900       --     24,500
LUBRIZOL CORP           COMMON  549271104 $        319.00      4,900   SH         DEFINED       15,8         --       --      4,900
LUBRIZOL CORP           COMMON  549271104 $            --          4   SH         DEFINED         23         --       --          4
LUBRIZOL CORP           COMMON  549271104 $      5,550.00     85,308   SH         DEFINED         24     85,308       --         --
LUBRIZOL CORP           COMMON  549271104 $        102.00      1,575   SH         DEFINED          6      1,175       --        400
LUCENT-CW07             COMMON  549463131 $            --          2   SH         DEFINED          1          2       --         --
LUCENT-CW07             COMMON  549463131 $            --      1,233   SH         DEFINED         23        277       --        956
LUCENT-CW07             COMMON  549463131 $            --        167   SH         DEFINED          6        167       --         --
LUFKIN INDUSTRIES
   INC                  COMMON  549764108 $     12,160.00    221,019   SH         DEFINED         24    221,019       --         --
LULULEMON ATHLETICA
   INC                  COMMON  550021109 $        210.00      5,000   SH         DEFINED          6         --       --      5,000
LUMINEX CORP            COMMON  55027E102 $      1,455.00     96,500   SH         DEFINED         15     58,100       --     38,400
LUMINEX CORP            COMMON  55027E102 $          3.00        225   SH         DEFINED         24        225       --         --
LUMINEX CORP            COMMON  55027E102 $      1,335.00     88,500   SH         DEFINED          3     88,500       --         --
LUMINEX CORP            COMMON  55027E102 $        184.00     12,200   SH         DEFINED       5,15     12,200       --         --
LUXOTTICA GROUP SPA
   ADR                  COMMON  55068R202 $      4,705.00    138,860   SH         DEFINED         24    138,860       --         --
LYDALL INC              COMMON  550819106 $        283.00     30,523   SH         DEFINED         24     30,523       --         --
LYONDELL CHEMICAL
   COMPANY              COMMON  552078107 $      2,506.00     54,057   SH         DEFINED         24     54,057       --         --
LYONDELL CHEMICAL
   COMPANY              COMMON  552078107 $        168.00      3,623   SH         DEFINED          8      3,623       --         --
M & F WORLDWIDE CORP    COMMON  552541104 $         15.00        289   SH         DEFINED         24        289       --         --
M & T BANK
   CORPORATION          COMMON  55261F104 $        135.00      1,309   SH         DEFINED       1,15      1,309       --         --
M & T BANK
   CORPORATION          COMMON  55261F104 $         10.00        100   SH         DEFINED         15        100       --         --
M & T BANK
   CORPORATION          COMMON  55261F104 $      5,719.00     55,285   SH         DEFINED         24     55,285       --         --
M & T BANK
   CORPORATION          COMMON  55261F104 $         18.00        170   SH         DEFINED          6        100       --         70
M & T BANK
   CORPORATION          COMMON  55261F104 $        628.00      6,073   SH         DEFINED          8      6,073       --         --
MBIA INC                COMMON  55262C100 $     45,972.00    753,025   SH         DEFINED          1    753,025       --         --
MBIA INC                COMMON  55262C100 $        134.00      2,196   SH         DEFINED       1,15      2,196       --         --
MBIA INC                COMMON  55262C100 $        250.00      4,100   SH         DEFINED         12      4,100       --         --
MBIA INC                COMMON  55262C100 $         32.00        525   SH         DEFINED         23         --       --        525
MBIA INC                COMMON  55262C100 $        922.00     15,104   SH         DEFINED         24     15,104       --         --
MBIA INC                COMMON  55262C100 $      1,351.00     22,125   SH         DEFINED          6      1,595       --     20,530
MBIA INC                COMMON  55262C100 $        169.00      2,776   SH         DEFINED          8      2,776       --         --
MBIA INC                COMMON  55262C100 $     18,477.00    302,648   SH         DEFINED          9    302,648       --         --
MB FINANCIAL INC        COMMON  55264U108 $         90.00      2,597   SH         DEFINED         24      2,597       --         --
MB FINANCIAL INC        COMMON  55264U108 $         60.00      1,742   SH         DEFINED          6      1,742       --         --
MDC HOLDINGS INC        COMMON  552676108 $      2,370.00     57,900   SH         DEFINED         15     25,700       --     32,200
MDC HOLDINGS INC        COMMON  552676108 $        299.00      7,295   SH         DEFINED         24      7,295       --         --
MDC HOLDINGS INC        COMMON  552676108 $         68.00      1,650   SH         DEFINED          6      1,650       --         --
MDU RESOURCES GROUP
   INC                  COMMON  552690109 $         82.00      2,950   SH         DEFINED         15      2,650       --        300
MDU RESOURCES GROUP
   INC                  COMMON  552690109 $      2,098.00     75,345   SH         DEFINED         24     75,345       --         --
MDS INC CL B            COMMON  55269P302 $     24,530.00  1,134,950   SH         DEFINED          1  1,134,950       --         --
MDS INC CL B            COMMON  55269P302 $      1,484.00     68,672   SH         DEFINED          2     68,672       --         --
MDS INC CL B            COMMON  55269P302 $         37.00      1,700   SH         DEFINED       20,2         --       --      1,700
MDS INC CL B            COMMON  55269P302 $      2,321.00    107,380   SH         DEFINED       21,2         --       --    107,380
MDS INC                 COMMON  55269P302 $          4.00        200   SH         DEFINED         24        200       --         --
MDS INC CL B            COMMON  55269P302 $    132,227.00  6,117,900   SH         DEFINED          3  6,117,900       --         --
MDS INC                 COMMON  55269P302 $        203.00      9,400   SH         DEFINED          6         --       --      9,400
MEMC ELECTRONIC MATE    COMMON  552715104 $     30,647.00    520,668   SH         DEFINED          1    520,668       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $      1,819.00     30,906   SH         DEFINED       1,15     30,906       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $        165.00      2,800   SH         DEFINED         15      1,900       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $        453.00      7,700   SH         DEFINED         19      7,700       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $      5,826.00     98,988   SH         DEFINED          2     98,988       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $      1,187.00     20,168   SH         DEFINED       21,2     20,168       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $         24.00        414   SH         DEFINED         23        253       --        161
MEMC ELECTRONIC MATE    COMMON  552715104 $     56,215.00    955,064   SH         DEFINED         24    955,064       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $      3,135.00     53,270   SH         DEFINED          3     53,270       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $        246.00      4,174   SH         DEFINED          4      4,174       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $     17,902.00    304,148   SH         DEFINED          6    193,546       --    110,602
MEMC ELECTRONIC MATE    COMMON  552715104 $        398.00      6,757   SH         DEFINED          8      6,757       --         --
MEMC ELECTRONIC MATE    COMMON  552715104 $      1,064.00     18,070   SH         DEFINED          9     18,070       --         --
MFRI INC                COMMON  552721102 $        284.00     15,927   SH         DEFINED         24     15,927       --         --
MFB CORP                COMMON  55272D106 $          3.00         86   SH         DEFINED         24         86       --         --
MFA MORTGAGE
   INVESTMENTS INC      COMMON  55272X102 $        107.00     13,300   SH         DEFINED         15     13,300       --         --
MFA MORTGAGE
   INVESTMENTS INC      COMMON  55272X102 $        720.00     89,471   SH         DEFINED         24     89,471       --         --
MFA MORTGAGE
   INVESTMENTS INC      COMMON  55272X102 $         61.00      7,600   SH         DEFINED       5,15      7,600       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MGE ENERGY INC          COMMON  55277P104 $      7,503.00    224,358   SH         DEFINED         24    224,358       --         --
MGE ENERGY INC          COMMON  55277P104 $         83.00      2,495   SH         DEFINED          6         --       --      2,495
MGIC INVESTMENT CORP    COMMON  552848103 $         47.00      1,446   SH         DEFINED       1,15      1,446       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $        440.00     13,630   SH         DEFINED         10     13,630       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $        217.00      6,721   SH         DEFINED       11,8      6,721       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $     19,225.00    595,005   SH         DEFINED         12    166,505       --    428,500
MGIC INVESTMENT CORP    COMMON  552848103 $        263.00      8,150   SH         DEFINED      12,14      8,150       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $         81.00      2,519   SH         DEFINED         14      2,519       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $      9,245.00    286,138   SH         DEFINED         15    256,768       --     29,370
MGIC INVESTMENT CORP    COMMON  552848103 $         19.00        600   SH         DEFINED      20,12        600       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $        627.00     19,400   SH         DEFINED      20,15         --       --     19,400
MGIC INVESTMENT CORP    COMMON  552848103 $      1,533.00     47,440   SH         DEFINED      21,15         --       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $          1.00         21   SH         DEFINED         23         --       --         21
MGIC INVESTMENT CORP    COMMON  552848103 $        444.00     13,733   SH         DEFINED         24     13,733       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $        298.00      9,220   SH         DEFINED       5,15         --       --      9,220
MGIC INVESTMENT CORP    COMMON  552848103 $          2.00         57   SH         DEFINED          6         57       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $        790.00     24,461   SH         DEFINED          8     24,461       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $      2,655.00     82,176   SH         DEFINED          9     82,176       --         --
MGIC INVESTMENT CORP    COMMON  552848103 $      1,603.00     49,628   SH         DEFINED       9,15         --       --     49,628
MGI PHARMA INC          COMMON  552880106 $      9,668.00    348,037   SH         DEFINED          1    348,037       --         --
MGI PHARMA INC          COMMON  552880106 $      4,388.00    157,950   SH         DEFINED         15     92,650       --     65,300
MGI PHARMA INC          COMMON  552880106 $      7,386.00    265,883   SH         DEFINED          2    265,883       --         --
MGI PHARMA INC          COMMON  552880106 $      4,890.00    176,013   SH         DEFINED         24    176,013       --         --
MGI PHARMA INC          COMMON  552880106 $        564.00     20,300   SH         DEFINED       5,15     20,300       --         --
MGM MIRAGE              COMMON  552953101 $     27,945.00    312,440   SH         DEFINED          1    312,440       --         --
MGM MIRAGE              COMMON  552953101 $      2,459.00     27,496   SH         DEFINED       14,2         --       --     27,496
MGM MIRAGE              COMMON  552953101 $      4,078.00     45,595   SH         DEFINED         24     45,595       --         --
MGM MIRAGE              COMMON  552953101 $      1,798.00     20,100   SH         DEFINED          6         --       --     20,100
MGM MIRAGE              COMMON  552953101 $        246.00      2,752   SH         DEFINED          8      2,752       --         --
MIDWEST GRAIN
   PRODUCTS INC         COMMON  55302G103 $      8,209.00    799,295   SH         DEFINED         24    799,295       --         --
MI DEVELOPMENTS INC
   W-I CL A             COMMON  55304X104 $        241.00      7,287   SH         DEFINED         24      7,287       --         --
MI DEVELOPMENTS INC
   CL A                 COMMON  55304X104 $         47.00      1,408   SH         DEFINED          8      1,408       --         --
M/I HOMES INC           COMMON  55305B101 $        427.00     30,732   SH         DEFINED         24     30,732       --         --
MKS INSTRUMENTS INC     COMMON  55306N104 $         90.00      4,757   SH         DEFINED         24      4,757       --         --
MIVA INC                COMMON  55311R108 $        324.00     68,646   SH         DEFINED         24     68,646       --         --
MPS GROUP INC           COMMON  553409103 $        585.00     52,505   SH         DEFINED         24     52,505       --         --
MPS GROUP INC           COMMON  553409103 $         26.00      2,375   SH         DEFINED          6      2,375       --         --
MSC INDUSTRIAL
   DIRECT CO CL A       COMMON  553530106 $         48.00        955   SH         DEFINED         23         --       --        955
MSC INDUSTRIAL
   DIRECT CO CL A       COMMON  553530106 $      2,551.00     50,419   SH         DEFINED         24     50,419       --         --
MSC INDUSTRIAL
   DIRECT CO CL A       COMMON  553530106 $         16.00        320   SH         DEFINED          6        320       --         --
MSC SOFTWARE CORP       COMMON  553531104 $        297.00     21,790   SH         DEFINED         24     21,790       --         --
MTR GAMING GROUP INC    COMMON  553769100 $        312.00     32,768   SH         DEFINED         24     32,768       --         --
MTS SYSTEMS CORP        COMMON  553777103 $      5,287.00    127,100   SH         DEFINED         15     83,200       --     43,900
MTS SYSTEMS CORP        COMMON  553777103 $      1,806.00     43,406   SH         DEFINED         24     43,406       --         --
MTS SYSTEMS CORP        COMMON  553777103 $      1,115.00     26,800   SH         DEFINED       5,15     26,800       --         --
MTC TECHNOLOGIES INC    COMMON  55377A106 $        581.00     30,090   SH         DEFINED         24     30,090       --         --
MVC CAPITAL INC         COMMON  553829102 $      2,211.00    119,342   SH         DEFINED         24    119,342       --         --
MACERICH COMPANY
   (THE)                COMMON  554382101 $     72,245.00    824,900   SH         DEFINED       1,15    824,900       --         --
MACERICH COMPANY
   (THE)                COMMON  554382101 $    153,831.00  1,756,467   SH         DEFINED         15  1,107,514       --    519,600
MACERICH COMPANY
   (THE)                COMMON  554382101 $     10,448.00    119,300   SH         DEFINED       2,15    119,300       --         --
MACERICH COMPANY
   (THE)                COMMON  554382101 $      2,452.00     28,000   SH         DEFINED      20,15     28,000       --         --
MACERICH COMPANY
   (THE)                COMMON  554382101 $        406.00      4,631   SH         DEFINED         24      4,631       --         --
MACERICH COMPANY
   (THE)                COMMON  554382101 $     14,164.00    161,732   SH         DEFINED       5,15    161,732       --         --
MACERICH COMPANY
   (THE)                COMMON  554382101 $          6.00         74   SH         DEFINED          6         --       --         74
MACK-CALI REALTY
   CORP                 COMMON  554489104 $      4,254.00    103,500   SH         DEFINED       1,15    103,500       --         --
MACK-CALI REALTY
   CORP                 COMMON  554489104 $     60,569.00  1,473,704   SH         DEFINED         15    857,504       --    492,100
MACK-CALI REALTY
   CORP                 COMMON  554489104 $         21.00        500   SH         DEFINED         23         --       --        500
MACK-CALI REALTY
   CORP                 COMMON  554489104 $        410.00      9,982   SH         DEFINED         24      9,982       --         --
MACK-CALI REALTY
   CORP                 COMMON  554489104 $      6,416.00    156,100   SH         DEFINED       5,15    156,100       --         --
MACK-CALI REALTY
   CORP                 COMMON  554489104 $          5.00        111   SH         DEFINED          6         --       --        111
MACROVISION CORP        COMMON  555904101 $         78.00      3,176   SH         DEFINED         24      3,176       --         --
MACROVISION CORP        COMMON  555904101 $        111.00      4,520   SH         DEFINED          6         --       --      4,520
MACQUARIE
   INFRASTRUCTURE CO    COMMON  55608B105 $      6,320.00    163,769   SH         DEFINED         24    163,769       --         --
MACQUARIE
   INFRASTRUCTURE CO    COMMON  55608B105 $      1,294.00     33,523   SH         DEFINED          9     33,523       --         --
MACY'S INC              COMMON  55616P104 $        979.00     30,300   SH         DEFINED          1     30,300       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MACY'S INC              COMMON  55616P104 $        243.00      7,526   SH         DEFINED       1,15      7,526       --         --
MACY'S INC              COMMON  55616P104 $            --          3   SH         DEFINED         23          3       --         --
MACY'S INC              COMMON  55616P104 $      1,238.00     38,316   SH         DEFINED         24     38,316       --         --
MACY'S INC              COMMON  55616P104 $         17.00        540   SH         DEFINED          6         75       --        465
MACY'S INC              COMMON  55616P104 $        358.00     11,090   SH         DEFINED          8     11,090       --         --
STEVEN MADDEN LTD       COMMON  556269108 $         27.00      1,440   SH         DEFINED         24      1,440       --         --
MAGELLAN HEALTH
   SERVICES INC         COMMON  559079207 $     11,050.00    272,309   SH         DEFINED          1    272,309       --         --
MAGELLAN HEALTH
   SERVICES INC         COMMON  559079207 $        300.00      7,400   SH         DEFINED       1,15      7,400       --         --
MAGELLAN HEALTH
   SERVICES INC         COMMON  559079207 $      7,898.00    194,616   SH         DEFINED         15    133,916       --     60,000
MAGELLAN HEALTH
   SERVICES INC         COMMON  559079207 $      8,765.00    215,986   SH         DEFINED          2    215,986       --         --
MAGELLAN HEALTH
   SERVICES INC         COMMON  559079207 $      1,549.00     38,169   SH         DEFINED         24     38,169       --         --
MAGELLAN HEALTH
   SERVICES INC         COMMON  559079207 $      1,132.00     27,900   SH         DEFINED       5,15     27,900       --         --
MAGELLAN MIDSTREAM
   HOLDINGS             COMMON  55907R108 $          1.00         36   SH         DEFINED         23         --       --         36
MAGELLAN MIDSTREAM
   HOLDINGS             COMMON  55907R108 $      6,206.00    235,085   SH         DEFINED          6    209,915       --     25,170
MAGELLAN MIDSTREAM
   PARTNERS             COMMON  559080106 $      1,666.00     41,623   SH         DEFINED          6     25,988       --     15,635
MAGMA DESIGN
   AUTOMATION           COMMON  559181102 $      4,595.00    326,550   SH         DEFINED         15    215,250       --    111,300
MAGMA DESIGN
   AUTOMATION           COMMON  559181102 $      2,133.00    151,619   SH         DEFINED         24    151,619       --         --
MAGMA DESIGN
   AUTOMATION           COMMON  559181102 $        768.00     54,600   SH         DEFINED       5,15     54,600       --         --
MAGNA INTERNATIONAL
   INC CL A             COMMON  559222401 $        491.00      5,100   SH         DEFINED         15         --       --      5,100
MAGNA INTERNATIONAL
   INC CL A             COMMON  559222401 $      2,997.00     31,056   SH         DEFINED          2     31,056       --         --
MAGNA INTERNATIONAL
   INC CL A             COMMON  559222401 $        218.00      2,258   SH         DEFINED         24      2,258       --         --
MAGNA INTERNATIONAL
   INC CL A             COMMON  559222401 $     62,025.00    642,744   SH         DEFINED        3,1    642,744       --         --
MAGNA INTERNATIONAL
   INC CL A             COMMON  559222401 $        181.00      1,884   SH         DEFINED          8      1,884       --         --
MAGNA INTERNATIONAL
   INC CL A             COMMON  559222401 $      1,151.00     11,939   SH         DEFINED          9     10,046   1,893          --
MAGNETEK INC            COMMON  559424106 $         49.00     10,300   SH         DEFINED         15     10,300       --         --
MAGUIRE PROPERTIES
   INC                  COMMON  559775101 $        677.00     26,224   SH         DEFINED         15     26,224       --         --
MAGUIRE PROPERTIES
   INC                  COMMON  559775101 $        116.00      4,493   SH         DEFINED         24      4,493       --         --
MAGYAR TELEKOM
   TELECOMMUNICATI      COMMON  559776109 $         36.00      1,300   SH         DEFINED         24      1,300       --         --
MAGYAR TELEKOM
   TELECOMMUNICATI      COMMON  559776109 $      3,639.00    130,000   SH         DEFINED          9    130,000       --         --
MAHANAGAR TELEPHONE
   NIGA-ADR             COMMON  559778402 $         84.00     10,600   SH         DEFINED         24     10,600       --         --
MAIDENFORM BRANDS,
   INC.                 COMMON  560305104 $         44.00      2,800   SH         DEFINED         15      2,800       --         --
MAIDENFORM BRANDS,
   INC.                 COMMON  560305104 $        205.00     12,905   SH         DEFINED         24     12,905       --         --
MAIDENFORM BRANDS,
   INC.                 COMMON  560305104 $         86.00      5,390   SH         DEFINED          6         --       --      5,390
MAINSOURCE FINANCIAL
   GROUP I              COMMON  56062Y102 $        473.00     26,829   SH         DEFINED         24     26,829       --         --
MANHATTAN ASSOCIATES
   INC                  COMMON  562750109 $     12,642.00    461,231   SH         DEFINED          1    461,231       --         --
MANHATTAN ASSOCIATES
   INC                  COMMON  562750109 $      2,335.00     85,200   SH         DEFINED         15     60,600       --     24,600
MANHATTAN ASSOCIATES
   INC                  COMMON  562750109 $      9,507.00    346,838   SH         DEFINED          2    346,838       --         --
MANHATTAN ASSOCIATES
   INC                  COMMON  562750109 $         19.00        700   SH         DEFINED         23         --       --        700
MANHATTAN ASSOCIATES
   INC                  COMMON  562750109 $      2,909.00    106,118   SH         DEFINED         24    106,118       --         --
MANHATTAN ASSOCIATES
   INC                  COMMON  562750109 $        348.00     12,700   SH         DEFINED       5,15     12,700       --         --
MANITOWOC COMPANY
   INC                  COMMON  563571108 $      1,541.00     34,800   SH         DEFINED         15     33,000       --         --
MANITOWOC COMPANY
   INC                  COMMON  563571108 $          9.00        202   SH         DEFINED         23        121       --         81
MANITOWOC COMPANY
   INC                  COMMON  563571108 $      6,823.00    154,097   SH         DEFINED         24    154,097       --         --
MANITOWOC COMPANY
   INC                  COMMON  563571108 $      4,021.00     90,804   SH         DEFINED          6     51,800       --     39,004
MANNKIND CORP           COMMON  56400P201 $      1,222.00    126,291   SH         DEFINED          1    126,291       --         --
MANNKIND CORP           COMMON  56400P201 $        101.00     10,437   SH         DEFINED          2     10,437       --         --
MANNKIND CORP           COMMON  56400P201 $          3.00        267   SH         DEFINED       20,2         --       --        267
MANNKIND CORP           COMMON  56400P201 $        158.00     16,280   SH         DEFINED       21,2         --       --     16,280
MANNKIND CORP           COMMON  56400P201 $          7.00        750   SH         DEFINED          6        750       --         --
MANOR CARE INC          COMMON  564055101 $      8,694.00    135,000   SH         DEFINED          1    135,000       --         --
MANOR CARE INC          COMMON  564055101 $         81.00      1,264   SH         DEFINED       1,15      1,264       --         --
MANOR CARE INC          COMMON  564055101 $      7,891.00    122,531   SH         DEFINED         24    122,531       --         --
MANOR CARE INC          COMMON  564055101 $         50.00        770   SH         DEFINED          6         --       --        770
MANPOWER INC            COMMON  56418H100 $     11,705.00    181,900   SH         DEFINED        1,3    181,900       --         --
MANPOWER INC            COMMON  56418H100 $         84.00      1,300   SH         DEFINED      11,15      1,300       --         --
MANPOWER INC            COMMON  56418H100 $      1,544.00     24,000   SH         DEFINED         15     20,500       --      3,000
MANPOWER INC            COMMON  56418H100 $      3,787.00     58,852   SH         DEFINED         24     58,852       --         --
MANPOWER INC            COMMON  56418H100 $    252,181.00  3,918,900   SH         DEFINED          3  3,918,900       --         --
MANPOWER INC            COMMON  56418H100 $         10.00        150   SH         DEFINED          4        150       --         --
MANPOWER INC            COMMON  56418H100 $        491.00      7,627   SH         DEFINED          6         --       --      7,627
MANPOWER INC            COMMON  56418H100 $        128.00      1,994   SH         DEFINED          8      1,994       --         --
MANPOWER INC            COMMON  56418H100 $        431.00      6,700   SH         DEFINED       9,15      6,700       --         --
MANTECH
   INTERNATIONAL
   CORP                 COMMON  564563104 $      2,422.00     67,305   SH         DEFINED         24     67,305       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $     37,764.00    915,598   SH         DEFINED          1    915,598       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $      1,357.00     32,900   SH         DEFINED      11,15     32,900       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $         42.00      1,022   SH         DEFINED         14      1,022       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $         42.00      1,022   SH         DEFINED       14,2      1,022       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $     10,038.00    243,368   SH         DEFINED          2    243,368       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $        180.00      4,358   SH         DEFINED         21      4,358       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $        388.00      9,398   SH         DEFINED         22      9,398       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $          8.00        203   SH         DEFINED         23        200       --          3
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $     11,680.00    283,087   SH         DEFINED         24    283,087       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $    296,886.00  7,198,100   SH         DEFINED          3  7,198,100       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $    122,835.00  2,978,167   SH         DEFINED        3,1  2,978,167       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $      9,387.00    227,510   SH         DEFINED          4    227,510       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $        182.00      4,416   SH         DEFINED          6      4,416       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $      2,100.00     50,907   SH         DEFINED          8     50,907       --         --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $      2,991.00     72,520   SH         DEFINED          9     62,988   9,532          --
MANULIFE FINANCIAL
   CORP                 COMMON  56501R106 $      5,257.00    127,400   SH         DEFINED       9,15    127,400       --         --
MARATHON OIL CORP       COMMON  565849106 $     68,996.00  1,210,032   SH         DEFINED          1  1,210,032       --         --
MARATHON OIL CORP       COMMON  565849106 $      2,881.00     50,524   SH         DEFINED       1,15     50,524       --         --
MARATHON OIL CORP       COMMON  565849106 $        761.00     13,348   SH         DEFINED         10     13,348       --         --
MARATHON OIL CORP       COMMON  565849106 $        958.00     16,800   SH         DEFINED      11,15     16,800       --         --
MARATHON OIL CORP       COMMON  565849106 $        363.00      6,360   SH         DEFINED       11,8      6,360       --         --
MARATHON OIL CORP       COMMON  565849106 $        239.00      4,188   SH         DEFINED         14      4,188       --         --
MARATHON OIL CORP       COMMON  565849106 $     98,722.00  1,731,350   SH         DEFINED         15  1,258,100       --    401,750
MARATHON OIL CORP       COMMON  565849106 $      4,288.00     75,200   SH         DEFINED      15,14         --       --     75,200
MARATHON OIL CORP       COMMON  565849106 $      1,380.00     24,200   SH         DEFINED       15,8         --       --     24,200
MARATHON OIL CORP       COMMON  565849106 $     13,939.00    244,460   SH         DEFINED          2    244,460       --         --
MARATHON OIL CORP       COMMON  565849106 $      1,279.00     22,431   SH         DEFINED         21     22,431       --         --
MARATHON OIL CORP       COMMON  565849106 $      3,955.00     69,365   SH         DEFINED         22     69,365       --         --
MARATHON OIL CORP       COMMON  565849106 $          8.00        143   SH         DEFINED         23         63       --         80
MARATHON OIL CORP       COMMON  565849106 $     18,173.00    318,706   SH         DEFINED         24    318,706       --         --
MARATHON OIL CORP       COMMON  565849106 $        250.00      4,384   SH         DEFINED          4      4,384       --         --
MARATHON OIL CORP       COMMON  565849106 $      5,947.00    104,300   SH         DEFINED       5,15    104,300       --         --
MARATHON OIL CORP       COMMON  565849106 $      4,208.00     73,803   SH         DEFINED          6     68,943       --      4,860
MARATHON OIL CORP       COMMON  565849106 $        627.00     11,000   SH         DEFINED          7     11,000       --         --
MARATHON OIL CORP       COMMON  565849106 $      5,653.00     99,143   SH         DEFINED          8     99,143       --         --
MARATHON OIL CORP       COMMON  565849106 $     14,397.00    252,488   SH         DEFINED          9    252,488       --         --
MARATHON OIL CORP       COMMON  565849106 $      5,765.00    101,100   SH         DEFINED       9,15    101,100       --         --
MARCHEX INC - CLASS
   B                    COMMON  56624R108 $        164.00     17,220   SH         DEFINED         24     17,220       --         --
MARCUS CORPORATION      COMMON  566330106 $         83.00      4,300   SH         DEFINED         15      4,300       --         --
MARCUS CORPORATION      COMMON  566330106 $         82.00      4,253   SH         DEFINED         24      4,253       --         --
MARINE PRODUCTS CORP    COMMON  568427108 $         28.00      3,350   SH         DEFINED         24      3,350       --         --
MARINER ENERGY INC      COMMON  56845T305 $        154.00      7,441   SH         DEFINED         24      7,441       --         --
MARKEL CORP             COMMON  570535104 $      6,974.00     14,410   SH         DEFINED         24     14,410       --         --
MARKEL CORP             COMMON  570535104 $          7.00         15   SH         DEFINED          6         --       --         15
MARKETAXESS HOLDINGS
   INC                  COMMON  57060D108 $        944.00     62,921   SH         DEFINED         24     62,921       --         --
MARKWEST ENERGY
   PARTNERS LP          COMMON  570759100 $          1.00         41   SH         DEFINED         23         41       --         --
MARKWEST ENERGY
   PARTNERS LP          COMMON  570759100 $         92.00      3,000   SH         DEFINED          6      3,000       --         --
MARKWEST HYDROCARBON
   INC                  COMMON  570762104 $          1.00         18   SH         DEFINED         23         18       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $    243,292.00  9,540,848   SH         DEFINED          1  9,540,848       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $        240.00      9,409   SH         DEFINED       1,15      9,409       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $        217.00      8,500   SH         DEFINED      11,15      8,500       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $      5,227.00    204,975   SH         DEFINED         15    140,175       --     57,000
MARSH & MCLENNAN COS    COMMON  571748102 $        783.00     30,700   SH         DEFINED       15,8         --       --     30,700
MARSH & MCLENNAN COS    COMMON  571748102 $        291.00     11,406   SH         DEFINED          2     11,406       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $          1.00         32   SH         DEFINED         23          6       --         26
MARSH & MCLENNAN COS    COMMON  571748102 $      1,902.00     74,575   SH         DEFINED         24     74,575       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $     22,449.00    880,335   SH         DEFINED          4    880,335       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $        818.00     32,083   SH         DEFINED          6     25,400       --      6,683
MARSH & MCLENNAN COS    COMMON  571748102 $        375.00     14,699   SH         DEFINED          8     14,699       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $      5,569.00    218,400   SH         DEFINED          9    218,400       --         --
MARSH & MCLENNAN COS    COMMON  571748102 $      2,086.00     81,800   SH         DEFINED       9,15     81,800       --         --
MARSHALL & ILSLEY
   CORP                 COMMON  571834100 $        203.00      4,627   SH         DEFINED       1,15      4,627       --         --
MARSHALL & ILSLEY
   CORP                 COMMON  571834100 $         20.00        450   SH         DEFINED         23         --       --        450
MARSHALL & ILSLEY
   CORP                 COMMON  571834100 $      5,568.00    127,210   SH         DEFINED         24    127,210       --         --
MARSHALL & ILSLEY
   CORP                 COMMON  571834100 $      4,482.00    102,400   SH         DEFINED          3    102,400       --         --
MARSHALL & ILSLEY
   CORP                 COMMON  571834100 $          1.00         33   SH         DEFINED          4         33       --         --
MARSHALL & ILSLEY
   CORP                 COMMON  571834100 $        134.00      3,071   SH         DEFINED          6      2,960       --        111




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MARSHALL & ILSLEY
   CORP                 COMMON  571834100 $         67.00      1,541   SH         DEFINED          8      1,541       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $     35,864.00    825,021   SH         DEFINED          1    825,021       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $        241.00      5,547   SH         DEFINED       1,15      5,547       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $        578.00     13,300   SH         DEFINED      11,15     13,300       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      1,908.00     43,895   SH         DEFINED       14,2         --       --     43,895
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $     73,356.00  1,687,500   SH         DEFINED         15  1,030,800       --    619,000
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      1,156.00     26,600   SH         DEFINED      15,14         --       --     26,600
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      4,099.00     94,300   SH         DEFINED       15,8         --       --     94,300
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $         35.00        797   SH         DEFINED         23        266       --        531
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      3,222.00     74,119   SH         DEFINED         24     74,119       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      3,521.00     81,000   SH         DEFINED       5,15     81,000       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $     12,394.00    285,114   SH         DEFINED          6    217,152       --     67,962
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      1,070.00     24,621   SH         DEFINED          8     24,621       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      2,183.00     50,218   SH         DEFINED          9     50,218       --         --
MARRIOTT
   INTERNATIONAL
   CL A                 COMMON  571903202 $      5,164.00    118,800   SH         DEFINED       9,15    118,800       --         --
MARTEK BIOSCIENCES
   CORP                 COMMON  572901106 $      2,337.00     80,500   SH         DEFINED         15     46,700       --     33,800
MARTEK BIOSCIENCES
   CORP                 COMMON  572901106 $      1,384.00     47,665   SH         DEFINED         24     47,665       --         --
MARTEK BIOSCIENCES
   CORP                 COMMON  572901106 $        308.00     10,600   SH         DEFINED       5,15     10,600       --         --
MARTEN TRANSPORT LTD    COMMON  573075108 $      6,897.00    447,565   SH         DEFINED          1    447,565       --         --
MARTHA STEWART
   LIVING CL A          COMMON  573083102 $         18.00      1,568   SH         DEFINED         24      1,568       --         --
MARTIN MARIETTA
   MATERIALS            COMMON  573284106 $        435.00      3,259   SH         DEFINED         24      3,259       --         --
MARTIN MARIETTA
   MATERIALS            COMMON  573284106 $      1,683.00     12,601   SH         DEFINED          6     12,542       --         59
MARTIN MARIETTA
   MATERIALS            COMMON  573284106 $        132.00        987   SH         DEFINED          8        987       --         --
MARTIN MARIETTA
   MATERIALS            COMMON  573284106 $        177.00      1,327   SH         DEFINED          9      1,327       --         --
MARTIN MIDSTREAM
   PARTNERS LP          COMMON  573331105 $        393.00     10,731   SH         DEFINED         24     10,731       --         --
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $     11,771.00    502,194   SH         DEFINED          1    502,194       --         --
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $      1,172.00     50,000   SH         DEFINED       1,15     50,000       --         --
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $     25,594.00  1,091,900   SH         DEFINED         15    658,700       --    430,800
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $        281.00     12,000   SH         DEFINED       15,8         --       --     12,000
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $      8,633.00    368,285   SH         DEFINED          2    368,285       --         --
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $      1,819.00     77,602   SH         DEFINED         24     77,602       --         --
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $      2,562.00    109,300   SH         DEFINED       5,15    109,300       --         --
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $         13.00        550   SH         DEFINED          6        550       --         --
MARVEL ENTERTAINMENT
   INC                  COMMON  57383T103 $        198.00      8,433   SH         DEFINED          9      8,433       --         --
MASCO CORP              COMMON  574599106 $        148.00      6,373   SH         DEFINED       1,15      6,373       --         --
MASCO CORP              COMMON  574599106 $     31,325.00  1,351,960   SH         DEFINED         15    684,660       --    654,500
MASCO CORP              COMMON  574599106 $      1,483.00     64,000   SH         DEFINED       15,8         --       --     64,000
MASCO CORP              COMMON  574599106 $            --          6   SH         DEFINED         23          6       --         --
MASCO CORP              COMMON  574599106 $      2,253.00     97,222   SH         DEFINED         24     97,222       --         --
MASCO CORP              COMMON  574599106 $         96.00      4,130   SH         DEFINED          6      3,700       --        430
MASCO CORP              COMMON  574599106 $        577.00     24,895   SH         DEFINED          8     24,895       --         --
MASCO CORP              COMMON  574599106 $      1,151.00     49,672   SH         DEFINED          9     49,672       --         --
MASIMO CORPORATION      COMMON  574795100 $     10,847.00    422,727   SH         DEFINED          1    422,727       --         --
MASIMO CORPORATION      COMMON  574795100 $     90,522.00  3,527,763   SH         DEFINED         17         --       --  3,527,763
MASSEY ENERGY
   COMPANY              COMMON  576206106 $          4.00        200   SH         DEFINED         15         --       --        200
MASSEY ENERGY
   COMPANY              COMMON  576206106 $        791.00     36,254   SH         DEFINED         24     36,254       --         --
MASSEY ENERGY
   COMPANY              COMMON  576206106 $          3.00        151   SH         DEFINED          6         --       --        151
MASTEC INC              COMMON  576323109 $        989.00     70,282   SH         DEFINED         24     70,282       --         --
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $      4,950.00     33,450   SH         DEFINED       1,15     33,450       --         --
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $        444.00      3,000   SH         DEFINED      11,15      3,000       --         --
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $     12,020.00     81,230   SH         DEFINED         15     75,780       --      1,900
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $        126.00        850   SH         DEFINED       15,8         --       --        850
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $      7,991.00     54,006   SH         DEFINED         24     54,006       --         --
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $         12.00         84   SH         DEFINED          6         --       --         84
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $        620.00      4,190   SH         DEFINED          8      4,190       --         --
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $        157.00      1,059   SH         DEFINED          9      1,059       --         --
MASTERCARD INC-CLASS
   A                    COMMON  57636Q104 $      2,745.00     18,550   SH         DEFINED       9,15     18,550       --         --
MATRIA HEALTHCARE
   INC                  COMMON  576817209 $        330.00     12,601   SH         DEFINED         24     12,601       --         --
MATRIX SERVICE CO       COMMON  576853105 $      1,087.00     51,900   SH         DEFINED         15     51,900       --         --
MATRIX SERVICE CO       COMMON  576853105 $        211.00     10,050   SH         DEFINED         24     10,050       --         --
MATRIX SERVICE CO       COMMON  576853105 $        534.00     25,500   SH         DEFINED       5,15     25,500       --         --
MATRIXX INITIATIVES
   INC                  COMMON  57685L105 $      7,012.00    354,497   SH         DEFINED          1    354,497       --         --
MATRIXX INITIATIVES
   INC                  COMMON  57685L105 $         79.00      4,000   SH         DEFINED         19      4,000       --         --
MATRIXX INITIATIVES
   INC                  COMMON  57685L105 $        580.00     29,301   SH         DEFINED          2     29,301       --         --
MATRIXX INITIATIVES
   INC                  COMMON  57685L105 $         15.00        760   SH         DEFINED       20,2         --       --        760




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MATRIXX INITIATIVES
   INC                  COMMON  57685L105 $        904.00     45,699   SH         DEFINED       21,2         --       --     45,699
MATSUSHITA ELEC IND
   ADR                  COMMON  576879209 $            --          5   SH         DEFINED         23         --       --          5
MATTEL INC              COMMON  577081102 $      5,305.00    226,131   SH         DEFINED       1,15    226,131       --         --
MATTEL INC              COMMON  577081102 $      1,480.00     63,100   SH         DEFINED      11,15     63,100       --         --
MATTEL INC              COMMON  577081102 $    114,546.00  4,882,591   SH         DEFINED         15  3,531,641       --  1,228,750
MATTEL INC              COMMON  577081102 $      2,649.00    112,900   SH         DEFINED      15,14         --       --    112,900
MATTEL INC              COMMON  577081102 $      5,124.00    218,400   SH         DEFINED       15,8         --       --    218,400
MATTEL INC              COMMON  577081102 $            --         21   SH         DEFINED         23         --       --         21
MATTEL INC              COMMON  577081102 $      1,272.00     54,231   SH         DEFINED         24     54,231       --         --
MATTEL INC              COMMON  577081102 $      5,009.00    213,500   SH         DEFINED       5,15    213,500       --         --
MATTEL INC              COMMON  577081102 $         90.00      3,847   SH         DEFINED          6        600       --      3,247
MATTEL INC              COMMON  577081102 $      2,024.00     86,271   SH         DEFINED          8     86,271       --         --
MATTEL INC              COMMON  577081102 $      1,785.00     76,095   SH         DEFINED          9     76,095       --         --
MATTEL INC              COMMON  577081102 $      7,343.00    313,000   SH         DEFINED       9,15    313,000       --         --
MATTHEWS INTL CORP
   CL A                 COMMON  577128101 $        110.00      2,518   SH         DEFINED         24      2,518       --         --
MAXIM INTEGRATED
   PRODUCTS             COMMON  57772K101 $     32,759.00  1,116,139   SH         DEFINED          1  1,116,139       --         --
MAXIM INTEGRATED
   PRODUCTS             COMMON  57772K101 $        690.00     23,505   SH         DEFINED          2         --       --     23,505
MAXIM INTEGRATED
   PRODUCTS             COMMON  57772K101 $          5.00        172   SH         DEFINED         23        154       --         18
MAXIM INTEGRATED
   PRODUCTS             COMMON  57772K101 $      4,299.00    146,460   SH         DEFINED         24    146,460       --         --
MAXIM INTEGRATED
   PRODUCTS             COMMON  57772K101 $      3,292.00    112,168   SH         DEFINED          6     64,704       --     47,464
MAXIM INTEGRATED
   PRODUCTS             COMMON  57772K101 $        176.00      5,981   SH         DEFINED          8      5,981       --         --
MAXIM INTEGRATED
   PRODUCTS             COMMON  57772K101 $     21,773.00    741,839   SH         DEFINED          9    741,839       --         --
MAXWELL TECHNOLOGIES
   INC                  COMMON  577767106 $     19,857.00  1,707,430   SH         DEFINED         24  1,707,430       --         --
MAXYGEN INC             COMMON  577776107 $        358.00     52,578   SH         DEFINED         24     52,578       --         --
MAXIMUS INC             COMMON  577933104 $      5,796.00    133,000   SH         DEFINED         15     88,400       --     44,600
MAXIMUS INC             COMMON  577933104 $        392.00      8,988   SH         DEFINED         24      8,988       --         --
MAXIMUS INC             COMMON  577933104 $      1,042.00     23,900   SH         DEFINED       5,15     23,900       --         --
MCAFEE INC              COMMON  579064106 $     52,389.00  1,502,395   SH         DEFINED          1  1,502,395       --         --
MCAFEE INC              COMMON  579064106 $         23.00        650   SH         DEFINED       1,15        650       --         --
MCAFEE INC              COMMON  579064106 $        146.00      4,200   SH         DEFINED      11,15      4,200       --         --
MCAFEE INC              COMMON  579064106 $     11,961.00    343,004   SH         DEFINED         15    172,904       --    166,400
MCAFEE INC              COMMON  579064106 $        366.00     10,500   SH         DEFINED       15,8         --       --     10,500
MCAFEE INC              COMMON  579064106 $        558.00     16,000   SH         DEFINED         19     16,000       --         --
MCAFEE INC              COMMON  579064106 $      5,808.00    166,549   SH         DEFINED          2    166,549       --         --
MCAFEE INC              COMMON  579064106 $      1,678.00     48,123   SH         DEFINED       21,2     48,123       --         --
MCAFEE INC              COMMON  579064106 $     23,963.00    687,203   SH         DEFINED         24    687,203       --         --
MCAFEE INC              COMMON  579064106 $     18,056.00    517,809   SH         DEFINED          4    517,809       --         --
MCAFEE INC              COMMON  579064106 $          9.00        250   SH         DEFINED          6         --       --        250
MCAFEE INC              COMMON  579064106 $        973.00     27,900   SH         DEFINED       9,15     27,900       --         --
MCCLATCHY COMPANY CL
   A                    COMMON  579489105 $      2,354.00    117,796   SH         DEFINED          1    117,796       --         --
MCCLATCHY COMPANY CL
   A                    COMMON  579489105 $        263.00     13,150   SH         DEFINED       14,2         --       --     13,150
MCCLATCHY COMPANY CL
   A                    COMMON  579489105 $        132.00      6,623   SH         DEFINED         24      6,623       --         --
MCCLATCHY COMPANY CL
   A                    COMMON  579489105 $          1.00         40   SH         DEFINED          4         40       --         --
MCCLATCHY COMPANY CL
   A                    COMMON  579489105 $         35.00      1,739   SH         DEFINED          6         --       --      1,739
MCCLATCHY COMPANY CL
   A                    COMMON  579489105 $         18.00        883   SH         DEFINED          8        883       --         --
MCCORMICK & CO NON
   VTG SHRS             COMMON  579780206 $         81.00      2,249   SH         DEFINED       1,15      2,249       --         --
MCCORMICK & CO NON
   VTG SHRS             COMMON  579780206 $        363.00     10,087   SH         DEFINED         24     10,087       --         --
MCCORMICK & CO NON
   VTG SHRS             COMMON  579780206 $        501.00     13,922   SH         DEFINED          6         --       --     13,922
MCDERMOTT INTL INC      COMMON  580037109 $    326,445.00  6,036,340   SH         DEFINED          1  6,036,340       --         --
MCDERMOTT INTL INC      COMMON  580037109 $     23,918.00    442,273   SH         DEFINED         15    223,973       --    214,300
MCDERMOTT INTL INC      COMMON  580037109 $        422.00      7,800   SH         DEFINED       15,8         --       --      7,800
MCDERMOTT INTL INC      COMMON  580037109 $     31,524.00    582,910   SH         DEFINED          2    552,910       --     30,000
MCDERMOTT INTL INC      COMMON  580037109 $         36.00        663   SH         DEFINED         23         13       --        650
MCDERMOTT INTL INC      COMMON  580037109 $     30,578.00    565,416   SH         DEFINED         24    565,416       --         --
MCDERMOTT INTL INC      COMMON  580037109 $        768.00     14,205   SH         DEFINED          4     14,205       --         --
MCDERMOTT INTL INC      COMMON  580037109 $        422.00      7,800   SH         DEFINED       5,15      7,800       --         --
MCDERMOTT INTL INC      COMMON  580037109 $      3,064.00     56,651   SH         DEFINED          6     10,180       --     46,471
MCDERMOTT INTL INC      COMMON  580037109 $        281.00      5,202   SH         DEFINED          8      5,202       --         --
MCDERMOTT INTL INC      COMMON  580037109 $        200.00      3,699   SH         DEFINED          9      3,699       --         --
MCDERMOTT INTL INC      COMMON  580037109 $        898.00     16,602   SH         DEFINED        9,2     16,602       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $     16,153.00    296,547   SH         DEFINED          1    296,547       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      1,127.00     20,690   SH         DEFINED       1,15     20,690       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      4,673.00     85,787   SH         DEFINED         10     85,787       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      2,593.00     47,600   SH         DEFINED      11,15     47,600       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      1,939.00     35,591   SH         DEFINED       11,8     35,591       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MCDONALD'S
   CORPORATION          COMMON  580135101 $      1,648.00     30,260   SH         DEFINED         14     30,260       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      1,160.00     21,296   SH         DEFINED       14,2         --       --     21,296
MCDONALD'S
   CORPORATION          COMMON  580135101 $    173,241.00  3,180,484   SH         DEFINED         15  2,427,384       --    648,200
MCDONALD'S
   CORPORATION          COMMON  580135101 $      5,600.00    102,800   SH         DEFINED      15,14         --       --    102,800
MCDONALD'S
   CORPORATION          COMMON  580135101 $      9,260.00    170,000   SH         DEFINED       15,8         --       --    170,000
MCDONALD'S
   CORPORATION          COMMON  580135101 $      1,621.00     29,760   SH         DEFINED         21     29,760       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $        239.00      4,394   SH         DEFINED       21,2      4,394       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      7,012.00    128,734   SH         DEFINED         22    128,734       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $          3.00         64   SH         DEFINED         23         --       --         64
MCDONALD'S
   CORPORATION          COMMON  580135101 $      8,545.00    156,883   SH         DEFINED         24    156,883       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      8,628.00    158,400   SH         DEFINED       5,15    158,400       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $      1,460.00     26,806   SH         DEFINED          6     15,200       --     11,606
MCDONALD'S
   CORPORATION          COMMON  580135101 $      4,707.00     86,420   SH         DEFINED          7     86,420       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $     12,329.00    226,345   SH         DEFINED          8    226,345       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $     28,413.00    521,626   SH         DEFINED          9    521,626       --         --
MCDONALD'S
   CORPORATION          COMMON  580135101 $     12,909.00    237,000   SH         DEFINED       9,15    237,000       --         --
MCG CAPITAL CORP        COMMON  58047P107 $      3,315.00    230,350   SH         DEFINED         15    162,450       --     67,900
MCG CAPITAL CORP        COMMON  58047P107 $      4,841.00    336,420   SH         DEFINED         24    336,420       --         --
MCG CAPITAL CORP        COMMON  58047P107 $        790.00     54,900   SH         DEFINED       5,15     54,900       --         --
MCGRATH RENTCORP        COMMON  580589109 $      1,874.00     56,387   SH         DEFINED         24     56,387       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $     45,414.00    892,049   SH         DEFINED          1    892,049       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $        300.00      5,883   SH         DEFINED       1,15      5,883       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $        865.00     17,000   SH         DEFINED         10     17,000       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $        443.00      8,701   SH         DEFINED       11,8      8,701       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $        253.00      4,979   SH         DEFINED         14      4,979       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $      1,197.00     23,520   SH         DEFINED       14,2         --       --     23,520
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $      1,195.00     23,480   SH         DEFINED         15     11,480       --     10,800
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $        392.00      7,700   SH         DEFINED       15,8         --       --      7,700
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $         63.00      1,228   SH         DEFINED          2      1,228       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $         38.00        752   SH         DEFINED         23        730       --         22
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $     11,174.00    219,495   SH         DEFINED         24    219,495       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $        535.00     10,500   SH         DEFINED          3     10,500       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $      6,282.00    123,391   SH         DEFINED        3,1    123,391       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $          1.00         24   SH         DEFINED          4         24       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $        753.00     14,792   SH         DEFINED          6     12,722       --      2,070
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $      1,869.00     36,709   SH         DEFINED          8     36,709       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $      5,079.00     99,772   SH         DEFINED          9     99,772       --         --
MCGRAW-HILL
   COMPANIES INC        COMMON  580645109 $      2,691.00     52,851   SH         DEFINED        9,2     52,851       --         --
MCKESSON CORP           COMMON  58155Q103 $    166,515.00  2,832,367   SH         DEFINED          1  2,832,367       --         --
MCKESSON CORP           COMMON  58155Q103 $        308.00      5,238   SH         DEFINED       1,15      5,238       --         --
MCKESSON CORP           COMMON  58155Q103 $        531.00      9,027   SH         DEFINED         10      9,027       --         --
MCKESSON CORP           COMMON  58155Q103 $      1,064.00     18,100   SH         DEFINED      11,15     18,100       --         --
MCKESSON CORP           COMMON  58155Q103 $        259.00      4,408   SH         DEFINED       11,8      4,408       --         --
MCKESSON CORP           COMMON  58155Q103 $        115.00      1,950   SH         DEFINED         14      1,950       --         --
MCKESSON CORP           COMMON  58155Q103 $     26,074.00    443,510   SH         DEFINED         15    338,260       --     88,650
MCKESSON CORP           COMMON  58155Q103 $        682.00     11,600   SH         DEFINED      15,14         --       --     11,600
MCKESSON CORP           COMMON  58155Q103 $      2,046.00     34,800   SH         DEFINED       15,8         --       --     34,800
MCKESSON CORP           COMMON  58155Q103 $         41.00        700   SH         DEFINED         19        700       --         --
MCKESSON CORP           COMMON  58155Q103 $     23,550.00    400,579   SH         DEFINED          2    400,579       --         --
MCKESSON CORP           COMMON  58155Q103 $        246.00      4,176   SH         DEFINED       21,2      4,176       --         --
MCKESSON CORP           COMMON  58155Q103 $        957.00     16,283   SH         DEFINED         22     16,283       --         --
MCKESSON CORP           COMMON  58155Q103 $     14,913.00    253,673   SH         DEFINED         24    253,673       --         --
MCKESSON CORP           COMMON  58155Q103 $        385.00      6,555   SH         DEFINED          4      6,555       --         --
MCKESSON CORP           COMMON  58155Q103 $      1,082.00     18,400   SH         DEFINED       5,15     18,400       --         --
MCKESSON CORP           COMMON  58155Q103 $      1,729.00     29,405   SH         DEFINED          6      5,199       --     24,206
MCKESSON CORP           COMMON  58155Q103 $      1,763.00     29,981   SH         DEFINED          8     29,981       --         --
MCKESSON CORP           COMMON  58155Q103 $     11,534.00    196,197   SH         DEFINED          9    196,197       --         --
MCKESSON CORP           COMMON  58155Q103 $      3,233.00     55,000   SH         DEFINED       9,15     55,000       --         --
MCKESSON CORP           COMMON  58155Q103 $        526.00      8,946   SH         DEFINED        9,2      8,946       --         --
MCMORAN EXPLORATION
   CO                   COMMON  582411104 $            --          6   SH         DEFINED         23         --       --          6
MEADOWBROOK
   INSURANCE GROUP      COMMON  58319P108 $        599.00     66,531   SH         DEFINED         24     66,531       --         --
MEADWESTVACO CORP       COMMON  583334107 $     40,020.00  1,355,220   SH         DEFINED          1  1,355,220       --         --
MEADWESTVACO CORP       COMMON  583334107 $         93.00      3,157   SH         DEFINED       1,15      3,157       --         --
MEADWESTVACO CORP       COMMON  583334107 $        581.00     19,667   SH         DEFINED         15     19,667       --         --
MEADWESTVACO CORP       COMMON  583334107 $      1,187.00     40,186   SH         DEFINED         24     40,186       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MEADWESTVACO CORP       COMMON  583334107 $     15,046.00    509,506   SH         DEFINED          4    509,506       --         --
MEADWESTVACO CORP       COMMON  583334107 $         39.00      1,317   SH         DEFINED          6      1,120       --        197
MEADWESTVACO CORP       COMMON  583334107 $        122.00      4,119   SH         DEFINED          8      4,119       --         --
MEDAREX INC             COMMON  583916101 $     12,086.00    853,526   SH         DEFINED          1    853,526       --         --
MEDAREX INC             COMMON  583916101 $        109.00      7,700   SH         DEFINED         19      7,700       --         --
MEDAREX INC             COMMON  583916101 $      1,021.00     72,108   SH         DEFINED          2     72,108       --         --
MEDAREX INC             COMMON  583916101 $         25.00      1,745   SH         DEFINED       20,2         --       --      1,745
MEDAREX INC             COMMON  583916101 $      1,572.00    111,005   SH         DEFINED       21,2         --       --    111,005
MEDAREX INC             COMMON  583916101 $          3.00        200   SH         DEFINED         23         --       --        200
MEDAREX INC             COMMON  583916101 $      4,391.00    310,100   SH         DEFINED          3    310,100       --         --
MEDALLION FINL CORP     COMMON  583928106 $        410.00     37,692   SH         DEFINED         24     37,692       --         --
MEDCATH CORP            COMMON  58404W109 $        618.00     22,500   SH         DEFINED         15     14,700       --      7,800
MEDCATH CORP            COMMON  58404W109 $      2,246.00     81,805   SH         DEFINED         24     81,805       --         --
MEDCATH CORP            COMMON  58404W109 $         74.00      2,700   SH         DEFINED       5,15      2,700       --         --
MEDCATH CORP            COMMON  58404W109 $        162.00      5,895   SH         DEFINED          6         --       --      5,895
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $     37,663.00    416,668   SH         DEFINED          1    416,668       --         --
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $        425.00      4,701   SH         DEFINED       1,15      4,701       --         --
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $      1,085.00     12,000   SH         DEFINED         15      4,500       --      7,200
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $        443.00      4,900   SH         DEFINED       15,8         --       --      4,900
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $         54.00        600   SH         DEFINED         19        600       --         --
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $     12,126.00    134,150   SH         DEFINED          2    134,150       --         --
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $          3.00         31   SH         DEFINED         23          6       --         25
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $     15,782.00    174,594   SH         DEFINED         24    174,594       --         --
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $        428.00      4,732   SH         DEFINED          4      4,732       --         --
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $        975.00     10,786   SH         DEFINED          6      3,868       --      6,918
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $        436.00      4,825   SH         DEFINED          8      4,825       --         --
MEDCO HEALTH
   SOLUTIONS INC        COMMON  58405U102 $        256.00      2,836   SH         DEFINED          9      2,836       --         --
MEDIA GENERAL INC CL
   A                    COMMON  584404107 $        139.00      5,047   SH         DEFINED         24      5,047       --         --
MEDIACOM
   COMMUNICATIONS CO    COMMON  58446K105 $      1,198.00    169,883   SH         DEFINED         24    169,883       --         --
MEDICAL ACTION IND
   INC                  COMMON  58449L100 $      6,634.00    280,383   SH         DEFINED          1    280,383       --         --
MEDICAL ACTION IND
   INC                  COMMON  58449L100 $         90.00      3,800   SH         DEFINED         15      3,800       --         --
MEDICAL PROPERTIES
   TRUST INC            COMMON  58463J304 $      1,337.00    100,400   SH         DEFINED       1,15    100,400       --         --
MEDICAL PROPERTIES
   TRUST INC            COMMON  58463J304 $        746.00     56,000   SH         DEFINED         15      6,800       --     49,200
MEDICAL PROPERTIES
   TRUST INC            COMMON  58463J304 $        449.00     33,701   SH         DEFINED         24     33,701       --         --
MEDICINES COMPANY       COMMON  584688105 $     13,287.00    746,053   SH         DEFINED          1    746,053       --         --
MEDICINES COMPANY       COMMON  584688105 $         43.00      2,400   SH         DEFINED         19      2,400       --         --
MEDICINES COMPANY       COMMON  584688105 $      7,268.00    408,094   SH         DEFINED          2    408,094       --         --
MEDICINES COMPANY       COMMON  584688105 $         10.00        545   SH         DEFINED       20,2         --       --        545
MEDICINES COMPANY       COMMON  584688105 $        617.00     34,625   SH         DEFINED       21,2         --       --     34,625
MEDICINES COMPANY       COMMON  584688105 $          8.00        472   SH         DEFINED         24        472       --         --
MEDICIS
   PHARMACEUTICAL
   CORP                 COMMON  584690309 $     11,419.00    374,278   SH         DEFINED          1    374,278       --         --
MEDICIS
   PHARMACEUTICAL
   CORP                 COMMON  584690309 $      7,841.00    257,000   SH         DEFINED         15    171,500       --     85,500
MEDICIS
   PHARMACEUTICAL
   CORP                 COMMON  584690309 $      8,863.00    290,507   SH         DEFINED          2    290,507       --         --
MEDICIS
   PHARMACEUTICAL
   CORP                 COMMON  584690309 $      2,536.00     83,133   SH         DEFINED         24     83,133       --         --
MEDICIS
   PHARMACEUTICAL
   CORP                 COMMON  584690309 $      1,532.00     50,200   SH         DEFINED       5,15     50,200       --         --
MEDIWARE INFORMATION
   SYSTEMS              COMMON  584946107 $            --          7   SH         DEFINED         23          7       --         --
MEDIWARE INFORMATION
   SYSTEMS              COMMON  584946107 $         47.00      7,200   SH         DEFINED          6         --       --      7,200
MEDTOX SCIENTIFIC
   INC                  COMMON  584977201 $        312.00     15,239   SH         DEFINED         24     15,239       --         --
MEDIS TECHNOLOGIES
   LTD                  COMMON  58500P107 $     23,386.00  1,798,902   SH         DEFINED         24  1,798,902       --         --
MEDTRONIC INC           COMMON  585055106 $    195,429.00  3,464,446   SH         DEFINED          1  3,464,446       --         --
MEDTRONIC INC           COMMON  585055106 $      1,111.00     19,689   SH         DEFINED       1,15     19,689       --         --
MEDTRONIC INC           COMMON  585055106 $         45.00        800   SH         DEFINED         14        800       --         --
MEDTRONIC INC           COMMON  585055106 $         45.00        800   SH         DEFINED       14,3        800       --         --
MEDTRONIC INC           COMMON  585055106 $     11,152.00    197,700   SH         DEFINED         15    132,100       --     54,800
MEDTRONIC INC           COMMON  585055106 $      1,771.00     31,400   SH         DEFINED       15,8         --       --     31,400
MEDTRONIC INC           COMMON  585055106 $        361.00      6,400   SH         DEFINED         19      6,400       --         --
MEDTRONIC INC           COMMON  585055106 $      3,613.00     64,041   SH         DEFINED          2     64,041       --         --
MEDTRONIC INC           COMMON  585055106 $         75.00      1,337   SH         DEFINED       20,2         --       --      1,337
MEDTRONIC INC           COMMON  585055106 $      4,795.00     84,996   SH         DEFINED       21,2         --       --     84,996
MEDTRONIC INC           COMMON  585055106 $         57.00      1,007   SH         DEFINED         23        254       --        753
MEDTRONIC INC           COMMON  585055106 $     24,473.00    433,846   SH         DEFINED         24    433,846       --         --
MEDTRONIC INC           COMMON  585055106 $     24,100.00    427,230   SH         DEFINED          3    427,230       --         --
MEDTRONIC INC           COMMON  585055106 $         56.00      1,000   SH         DEFINED       5,15      1,000       --         --
MEDTRONIC INC           COMMON  585055106 $      9,864.00    174,865   SH         DEFINED          6     94,886       --     79,979
MEDTRONIC INC           COMMON  585055106 $      1,181.00     20,928   SH         DEFINED          8     20,928       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MEDTRONIC INC           COMMON  585055106 $     39,164.00    694,281   SH         DEFINED          9    694,281       --         --
MEDTRONIC INC (MDT)
   CVT 1.625           CONVERT  585055AM8 $     38,968.00 34,600,000   SH         DEFINED         15         --       -- 29,300,000
MENS WEARHOUSE INC      COMMON  587118100 $      1,244.00     24,617   SH         DEFINED          1     24,617       --         --
MENS WEARHOUSE INC      COMMON  587118100 $      3,819.00     75,600   SH         DEFINED         15     34,500       --     41,100
MENS WEARHOUSE INC      COMMON  587118100 $      6,085.00    120,451   SH         DEFINED         24    120,451       --         --
MENTOR CORP             COMMON  587188103 $     11,947.00    259,431   SH         DEFINED          1    259,431       --         --
MENTOR CORP             COMMON  587188103 $        267.00      5,800   SH         DEFINED         15      5,800       --         --
MENTOR CORP             COMMON  587188103 $      9,640.00    209,336   SH         DEFINED          2    209,336       --         --
MENTOR CORP             COMMON  587188103 $      1,560.00     33,868   SH         DEFINED         24     33,868       --         --
MENTOR GRAPHICS CORP    COMMON  587200106 $      7,155.00    473,850   SH         DEFINED         15    231,350       --    242,500
MENTOR GRAPHICS CORP    COMMON  587200106 $        109.00      7,233   SH         DEFINED         24      7,233       --         --
MENTOR GRAPHICS CORP    COMMON  587200106 $        122.00      8,100   SH         DEFINED       5,15      8,100       --         --
MENTOR GRAPHICS CORP    COMMON  587200106 $         59.00      3,920   SH         DEFINED          6         --       --      3,920
MERCER INSURANCE
   GROUP INC            COMMON  587902107 $        396.00     22,413   SH         DEFINED         24     22,413       --         --
MERCER INTL INC         COMMON  588056101 $         43.00      4,500   SH         DEFINED         15      4,500       --         --
MERCER INTL INC         COMMON  588056101 $        413.00     43,744   SH         DEFINED         24     43,744       --         --
MERCK & CO INC          COMMON  589331107 $    353,868.00  6,845,971   SH         DEFINED          1  6,845,971       --         --
MERCK & CO INC          COMMON  589331107 $     12,009.00    232,334   SH         DEFINED       1,15    232,334       --         --
MERCK & CO INC          COMMON  589331107 $      5,310.00    102,732   SH         DEFINED         10    102,732       --         --
MERCK & CO INC          COMMON  589331107 $      3,670.00     71,000   SH         DEFINED      11,15     71,000       --         --
MERCK & CO INC          COMMON  589331107 $      2,458.00     47,556   SH         DEFINED       11,8     47,556       --         --
MERCK & CO INC          COMMON  589331107 $      1,560.00     30,187   SH         DEFINED         14     30,187       --         --
MERCK & CO INC          COMMON  589331107 $         71.00      1,378   SH         DEFINED       14,2      1,378       --         --
MERCK & CO INC          COMMON  589331107 $    239,610.00  4,635,515   SH         DEFINED         15  3,550,915       --    949,100
MERCK & CO INC          COMMON  589331107 $      6,048.00    117,000   SH         DEFINED      15,14         --       --    117,000
MERCK & CO INC          COMMON  589331107 $     14,375.00    278,100   SH         DEFINED       15,8         --       --    278,100
MERCK & CO INC          COMMON  589331107 $        238.00      4,600   SH         DEFINED         19      4,600       --         --
MERCK & CO INC          COMMON  589331107 $     30,103.00    582,369   SH         DEFINED          2    582,369       --         --
MERCK & CO INC          COMMON  589331107 $      3,678.00     71,146   SH         DEFINED         21     71,146       --         --
MERCK & CO INC          COMMON  589331107 $      8,087.00    156,456   SH         DEFINED         22    156,456       --         --
MERCK & CO INC          COMMON  589331107 $         11.00        214   SH         DEFINED         23         60       --        154
MERCK & CO INC          COMMON  589331107 $     19,982.00    386,567   SH         DEFINED         24    386,567       --         --
MERCK & CO INC          COMMON  589331107 $        266.00      5,155   SH         DEFINED          4      5,155       --         --
MERCK & CO INC          COMMON  589331107 $     11,677.00    225,900   SH         DEFINED       5,15    225,900       --         --
MERCK & CO INC          COMMON  589331107 $      5,548.00    107,341   SH         DEFINED          6     42,005       --     65,336
MERCK & CO INC          COMMON  589331107 $        491.00      9,500   SH         DEFINED          7      9,500       --         --
MERCK & CO INC          COMMON  589331107 $     14,964.00    289,498   SH         DEFINED          8    289,498       --         --
MERCK & CO INC          COMMON  589331107 $     70,435.00  1,362,650   SH         DEFINED          9  1,362,650       --         --
MERCK & CO INC          COMMON  589331107 $     17,394.00    336,500   SH         DEFINED       9,15    336,500       --         --
MERCK & CO INC          COMMON  589331107 $      1,075.00     20,806   SH         DEFINED        9,2     20,806       --         --
MERCURY COMPUTER
   SYSTEMS INC          COMMON  589378108 $        694.00     67,523   SH         DEFINED         24     67,523       --         --
MERCURY GENL CORP
   NEW                  COMMON  589400100 $      9,252.00    171,559   SH         DEFINED         24    171,559       --         --
MEREDITH CORP           COMMON  589433101 $         38.00        667   SH         DEFINED       1,15        667       --         --
MEREDITH CORP           COMMON  589433101 $      5,876.00    102,550   SH         DEFINED         24    102,550       --         --
MEREDITH CORP           COMMON  589433101 $         18.00        309   SH         DEFINED          6         --       --        309
MERIDIAN BIOSCIENCE
   INC                  COMMON  589584101 $      1,274.00     42,025   SH         DEFINED         15     24,300       --     17,725
MERIDIAN BIOSCIENCE
   INC                  COMMON  589584101 $      2,743.00     90,474   SH         DEFINED         24     90,474       --         --
MERIDIAN BIOSCIENCE
   INC                  COMMON  589584101 $        168.00      5,550   SH         DEFINED       5,15      5,550       --         --
MERIDIAN BIOSCIENCE
   INC                  COMMON  589584101 $        325.00     10,713   SH         DEFINED          6         --       --     10,713
MERIDIAN RESOURCE
   CORP                 COMMON  58977Q109 $        462.00    186,126   SH         DEFINED         24    186,126       --         --
MERIT MEDICAL
   SYSTEMS INC          COMMON  589889104 $         29.00      2,247   SH         DEFINED         24      2,247       --         --
MERIDIAN GOLD INC       COMMON  589975101 $     15,226.00    460,000   SH         DEFINED          1    460,000       --         --
MERIDIAN GOLD INC       COMMON  589975101 $     17,295.00    520,000   SH         DEFINED          3    520,000       --         --
MERITAGE CORPORATION    COMMON  59001A102 $         73.00      5,197   SH         DEFINED         24      5,197       --         --
MERITAGE CORPORATION    COMMON  59001A102 $     36,476.00  2,583,300   SH         DEFINED          3  2,583,300       --         --
MERIX CORP              COMMON  590049102 $        320.00     56,539   SH         DEFINED         24     56,539       --         --
MERRILL LYNCH & CO      COMMON  590188108 $    221,230.00  3,103,680   SH         DEFINED          1  3,103,680       --         --
MERRILL LYNCH & CO      COMMON  590188108 $      1,165.00     16,347   SH         DEFINED       1,15     16,347       --         --
MERRILL LYNCH & CO      COMMON  590188108 $        798.00     11,200   SH         DEFINED      11,15     11,200       --         --
MERRILL LYNCH & CO      COMMON  590188108 $     64,959.00    911,320   SH         DEFINED         15    633,220       --    253,000
MERRILL LYNCH & CO      COMMON  590188108 $      1,233.00     17,300   SH         DEFINED      15,14         --       --     17,300
MERRILL LYNCH & CO      COMMON  590188108 $      4,512.00     63,300   SH         DEFINED       15,8         --       --     63,300
MERRILL LYNCH & CO      COMMON  590188108 $      7,433.00    104,274   SH         DEFINED          2    104,274       --         --
MERRILL LYNCH & CO      COMMON  590188108 $      1,766.00     24,772   SH         DEFINED         21     24,772       --         --
MERRILL LYNCH & CO      COMMON  590188108 $        500.00      7,012   SH         DEFINED       21,2      7,012       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MERRILL LYNCH & CO      COMMON  590188108 $        164.00      2,301   SH         DEFINED         22      2,301       --         --
MERRILL LYNCH & CO      COMMON  590188108 $         27.00        374   SH         DEFINED         23        111       --        263
MERRILL LYNCH & CO      COMMON  590188108 $      4,746.00     66,577   SH         DEFINED         24     66,577       --         --
MERRILL LYNCH & CO      COMMON  590188108 $      4,733.00     66,400   SH         DEFINED          3     66,400       --         --
MERRILL LYNCH & CO      COMMON  590188108 $      1,711.00     24,000   SH         DEFINED       5,15     24,000       --         --
MERRILL LYNCH & CO      COMMON  590188108 $      8,940.00    125,414   SH         DEFINED          6    115,934       --      9,480
MERRILL LYNCH & CO      COMMON  590188108 $      2,615.00     36,682   SH         DEFINED          8     36,682       --         --
MERRILL LYNCH & CO      COMMON  590188108 $      2,968.00     41,644   SH         DEFINED          9     41,644       --         --
MERRILL LYNCH & CO      COMMON  590188108 $      2,851.00     40,000   SH         DEFINED       9,15     40,000       --         --
MERRILL LYNCH & CO      COMMON  590188108 $        437.00      6,133   SH         DEFINED        9,2      6,133       --         --
MERRILL LYNCH & CO
   CVT(MER) FL         CONVERT  590188W46 $     34,472.00 30,850,000   SH         DEFINED         15         --       -- 26,150,000
MERUELO MADDUX
   PROPERTIES IN        COMMON  590473104 $     22,547.00  3,814,993   SH         DEFINED          1  3,814,993       --         --
MERUELO MADDUX
   PROPERTIES IN        COMMON  590473104 $        441.00     74,649   SH         DEFINED          2         --       --     74,649
MESABI TRUST            COMMON  590672101 $         82.00      4,000   SH         DEFINED          6      4,000       --         --
METAL MANAGEMENT INC    COMMON  591097209 $        637.00     11,747   SH         DEFINED         24     11,747       --         --
METAL MANAGEMENT INC    COMMON  591097209 $        202.00      3,725   SH         DEFINED          6         --       --      3,725
METALICO INC            COMMON  591176102 $        511.00     56,113   SH         DEFINED         24     56,113       --         --
METHANEX CORP           COMMON  59151K108 $     12,944.00    513,100   SH         DEFINED          1    513,100       --         --
METHANEX CORP           COMMON  59151K108 $        405.00     16,100   SH         DEFINED       21,2     16,100       --         --
METHANEX CORP           COMMON  59151K108 $      1,395.00     54,923   SH         DEFINED         24     54,923       --         --
METHANEX CORP           COMMON  59151K108 $      3,701.00    147,000   SH         DEFINED        3,1    147,000       --         --
METHANEX CORP           COMMON  59151K108 $        121.00      4,792   SH         DEFINED          8      4,792       --         --
METHANEX CORP           COMMON  59151K108 $      1,561.00     62,000   SH         DEFINED        9,2     62,000       --         --
METHODE ELECTRONICS     COMMON  591520200 $      7,420.00    493,029   SH         DEFINED          1    493,029       --         --
METHODE ELECTRONICS     COMMON  591520200 $      5,286.00    351,250   SH         DEFINED         15    254,150       --     97,100
METHODE ELECTRONICS     COMMON  591520200 $      1,799.00    119,510   SH         DEFINED         24    119,510       --         --
METHODE ELECTRONICS     COMMON  591520200 $      1,154.00     76,700   SH         DEFINED       5,15     76,700       --         --
METLIFE INC             COMMON  59156R108 $        899.00     12,896   SH         DEFINED       1,15     12,896       --         --
METLIFE INC             COMMON  59156R108 $        293.00      4,200   SH         DEFINED      11,15      4,200       --         --
METLIFE INC             COMMON  59156R108 $     16,809.00    241,060   SH         DEFINED         15    180,960       --     51,900
METLIFE INC             COMMON  59156R108 $        356.00      5,100   SH         DEFINED      15,14         --       --      5,100
METLIFE INC             COMMON  59156R108 $      3,563.00     51,100   SH         DEFINED       15,8         --       --     51,100
METLIFE INC             COMMON  59156R108 $        660.00      9,470   SH         DEFINED         22      9,470       --         --
METLIFE INC             COMMON  59156R108 $      9,332.00    133,836   SH         DEFINED         24    133,836       --         --
METLIFE INC             COMMON  59156R108 $        474.00      6,800   SH         DEFINED       5,15      6,800       --         --
METLIFE INC             COMMON  59156R108 $      2,336.00     33,507   SH         DEFINED          6     11,476       --     22,031
METLIFE INC             COMMON  59156R108 $      1,125.00     16,138   SH         DEFINED          8     16,138       --         --
METLIFE INC             COMMON  59156R108 $        992.00     14,225   SH         DEFINED          9     14,225       --         --
METLIFE INC             COMMON  59156R108 $        920.00     13,200   SH         DEFINED       9,15     13,200       --         --
METROPCS
   COMMUNICATIONS
   INC                  COMMON  591708102 $      3,828.00    140,316   SH         DEFINED         17         --       --    140,316
METROPCS
   COMMUNICATIONS
   INC                  COMMON  591708102 $      1,487.00     54,500   SH         DEFINED       21,2     54,500       --         --
METTLER TOLEDO
   INTERNATIONAL        COMMON  592688105 $        709.00      6,950   SH         DEFINED          1      6,950       --         --
METTLER TOLEDO
   INTERNATIONAL        COMMON  592688105 $      4,825.00     47,300   SH         DEFINED         15     30,300       --     15,400
METTLER TOLEDO
   INTERNATIONAL        COMMON  592688105 $        286.00      2,800   SH         DEFINED       15,8         --       --      2,800
METTLER TOLEDO
   INTERNATIONAL        COMMON  592688105 $         57.00        558   SH         DEFINED         23         --       --        558
METTLER TOLEDO
   INTERNATIONAL        COMMON  592688105 $      8,323.00     81,597   SH         DEFINED         24     81,597       --         --
METTLER TOLEDO
   INTERNATIONAL        COMMON  592688105 $          9.00         91   SH         DEFINED          6         --       --         91
MFS INTERMARKET INC
   TRUST I CE           COMMON  59318R103 $            --          4   SH         DEFINED         23         --       --          4
MICREL INC              COMMON  594793101 $     16,630.00  1,539,790   SH         DEFINED         15    877,190       --    656,300
MICREL INC              COMMON  594793101 $      6,505.00    602,346   SH         DEFINED         24    602,346       --         --
MICREL INC              COMMON  594793101 $      1,109.00    102,700   SH         DEFINED       5,15    102,700       --         --
MICROS SYSTEMS INC      COMMON  594901100 $     98,096.00  1,507,544   SH         DEFINED          1  1,507,544       --         --
MICROS SYSTEMS INC      COMMON  594901100 $     21,376.00    328,514   SH         DEFINED          2    328,514       --         --
MICROS SYSTEMS INC      COMMON  594901100 $         98.00      1,513   SH         DEFINED         24      1,513       --         --
MICROS SYSTEMS INC      COMMON  594901100 $        319.00      4,902   SH         DEFINED        9,2      4,902       --         --
MICROSOFT CORP          COMMON  594918104 $    488,799.00 16,591,941   SH         DEFINED          1 16,591,941       --         --
MICROSOFT CORP          COMMON  594918104 $     14,734.00    500,133   SH         DEFINED       1,15    500,133       --         --
MICROSOFT CORP          COMMON  594918104 $      4,566.00    154,974   SH         DEFINED         10    154,974       --         --
MICROSOFT CORP          COMMON  594918104 $      3,429.00    116,400   SH         DEFINED      11,15    116,400       --         --
MICROSOFT CORP          COMMON  594918104 $      2,647.00     89,841   SH         DEFINED       11,8     89,841       --         --
MICROSOFT CORP          COMMON  594918104 $     30,302.00  1,028,584   SH         DEFINED         12    235,484       --    793,100
MICROSOFT CORP          COMMON  594918104 $        293.00      9,950   SH         DEFINED      12,14      9,950       --         --
MICROSOFT CORP          COMMON  594918104 $      1,274.00     43,250   SH         DEFINED         14     43,250       --         --
MICROSOFT CORP          COMMON  594918104 $    336,542.00 11,423,685   SH         DEFINED         15  8,722,975       --  2,354,410
MICROSOFT CORP          COMMON  594918104 $      7,816.00    265,300   SH         DEFINED      15,14         --       --    265,300




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MICROSOFT CORP          COMMON  594918104 $     18,978.00    644,200   SH         DEFINED       15,8         --       --    644,200
MICROSOFT CORP          COMMON  594918104 $      1,944.00     66,000   SH         DEFINED         19     66,000       --         --
MICROSOFT CORP          COMMON  594918104 $     16,820.00    570,931   SH         DEFINED          2    570,931       --         --
MICROSOFT CORP          COMMON  594918104 $         22.00        760   SH         DEFINED      20,12        760       --         --
MICROSOFT CORP          COMMON  594918104 $        689.00     23,400   SH         DEFINED      20,15         --       --     23,400
MICROSOFT CORP          COMMON  594918104 $      4,390.00    149,005   SH         DEFINED         21    149,005       --         --
MICROSOFT CORP          COMMON  594918104 $      1,875.00     63,640   SH         DEFINED      21,15         --       --         --
MICROSOFT CORP          COMMON  594918104 $      3,125.00    106,088   SH         DEFINED       21,2    106,088       --         --
MICROSOFT CORP          COMMON  594918104 $      3,757.00    127,543   SH         DEFINED         22    127,543       --         --
MICROSOFT CORP          COMMON  594918104 $         17.00        581   SH         DEFINED         23        581       --         --
MICROSOFT CORP          COMMON  594918104 $     54,574.00  1,852,469   SH         DEFINED         24  1,852,469       --         --
MICROSOFT CORP          COMMON  594918104 $     29,358.00    996,548   SH         DEFINED        3,1    996,548       --         --
MICROSOFT CORP          COMMON  594918104 $     10,725.00    364,047   SH         DEFINED          4    364,047       --         --
MICROSOFT CORP          COMMON  594918104 $     17,090.00    580,095   SH         DEFINED       5,15    567,700       --     12,395
MICROSOFT CORP          COMMON  594918104 $     29,854.00  1,013,370   SH         DEFINED          6    816,621       --    196,749
MICROSOFT CORP          COMMON  594918104 $        382.00     12,950   SH         DEFINED          7     12,950       --         --
MICROSOFT CORP          COMMON  594918104 $     19,431.00    659,567   SH         DEFINED          8    659,567       --         --
MICROSOFT CORP          COMMON  594918104 $    115,514.00  3,921,042   SH         DEFINED          9  3,921,042       --         --
MICROSOFT CORP          COMMON  594918104 $     19,851.00    673,845   SH         DEFINED       9,15    613,000       --     60,845
MICROSOFT CORP          COMMON  594918104 $      4,932.00    167,406   SH         DEFINED        9,2    167,406       --         --
MICROSTRATEGY INC       COMMON  594972408 $      2,150.00     27,096   SH         DEFINED         24     27,096       --         --
MICROSTRATEGY INC       COMMON  594972408 $         65.00        825   SH         DEFINED          6         --       --        825
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $     98,701.00  2,717,526   SH         DEFINED          1  2,717,526       --         --
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $        137.00      3,780   SH         DEFINED       1,15      3,780       --         --
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $      7,911.00    217,815   SH         DEFINED          2    217,815       --         --
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $         46.00      1,279   SH         DEFINED         23        437       --        842
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $      2,176.00     59,900   SH         DEFINED         24     59,900       --         --
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $     14,502.00    399,282   SH         DEFINED          6    288,609       --    110,673
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $        155.00      4,254   SH         DEFINED          8      4,254       --         --
MICROCHIP TECHNOLOGY
   INC                  COMMON  595017104 $        453.00     12,481   SH         DEFINED        9,2     12,481       --         --
MICRON TECHNOLOGY
   INC                  COMMON  595112103 $        146.00     13,171   SH         DEFINED       1,15     13,171       --         --
MICRON TECHNOLOGY
   INC                  COMMON  595112103 $        901.00     81,129   SH         DEFINED         24     81,129       --         --
MICRON TECHNOLOGY
   INC                  COMMON  595112103 $          7.00        655   SH         DEFINED          6         --       --        655
MICRON TECHNOLOGY
   INC                  COMMON  595112103 $        113.00     10,199   SH         DEFINED          8     10,199       --         --
MICRON TECHNOLOGY
   INC                  COMMON  595112103 $     10,912.00    983,100   SH         DEFINED          9    983,100       --         --
MICROSEMI CORP          COMMON  595137100 $     22,172.00    795,274   SH         DEFINED          1    795,274       --         --
MICROSEMI CORP          COMMON  595137100 $     15,620.00    560,249   SH         DEFINED          2    560,249       --         --
MICROSEMI CORP          COMMON  595137100 $         78.00      2,789   SH         DEFINED         24      2,789       --         --
MICROSEMI CORP          COMMON  595137100 $      2,955.00    106,000   SH         DEFINED          3    106,000       --         --
MICROSEMI CORP          COMMON  595137100 $          8.00        290   SH         DEFINED          6        290       --         --
MID-AMER APT CMNTYS
   INC                  COMMON  59522J103 $      1,396.00     28,007   SH         DEFINED         15     19,807       --      8,200
MID-AMER APT CMNTYS
   INC                  COMMON  59522J103 $        138.00      2,774   SH         DEFINED         24      2,774       --         --
MIDAS GROUP INC         COMMON  595626102 $         19.00        984   SH         DEFINED         24        984       --         --
STANDARD AND POOR'S
   MIDCAP 400           COMMON  595635103 $      3,474.00     21,597   SH         DEFINED          6     16,377       --      5,220
MIDDLEBY CORP           COMMON  596278101 $      5,402.00     83,700   SH         DEFINED         15     49,400       --     34,300
MIDDLEBY CORP           COMMON  596278101 $        405.00      6,273   SH         DEFINED         24      6,273       --         --
MIDDLEBY CORP           COMMON  596278101 $        703.00     10,900   SH         DEFINED       5,15     10,900       --         --
MIDDLEBY CORP           COMMON  596278101 $         84.00      1,300   SH         DEFINED          6         --       --      1,300
MIDDLESEX WATER CO      COMMON  596680108 $         97.00      5,130   SH         DEFINED         15      5,130       --         --
MIDDLESEX WATER CO      COMMON  596680108 $         57.00      3,000   SH         DEFINED       5,15      3,000       --         --
MIDLAND CO              COMMON  597486109 $      1,461.00     26,588   SH         DEFINED         24     26,588       --         --
MIDWAY GAMES INC        COMMON  598148104 $          2.00        567   SH         DEFINED         24        567       --         --
MIDWEST BANC
   HOLDINGS INC         COMMON  598251106 $         33.00      2,252   SH         DEFINED         24      2,252       --         --
MILLENNIUM
   PHARMACEUTICALS      COMMON  599902103 $     26,537.00  2,614,500   SH         DEFINED         15  1,239,900       --  1,370,600
MILLENNIUM
   PHARMACEUTICALS      COMMON  599902103 $        133.00     13,100   SH         DEFINED       15,8         --       --     13,100
MILLENNIUM
   PHARMACEUTICALS      COMMON  599902103 $     11,748.00  1,157,419   SH         DEFINED         24  1,157,419       --         --
MILLENNIUM
   PHARMACEUTICALS      COMMON  599902103 $        245.00     24,160   SH         DEFINED          6         --       --     24,160
MILLENNIUM
   PHARMACEUTICALS      COMMON  599902103 $         54.00      5,307   SH         DEFINED          8      5,307       --         --
MILLEA HOLDINGS
   INC - ADR            COMMON  60032R106 $         34.00        850   SH         DEFINED          6         --       --        850
MILLER (HERMAN) INC     COMMON  600544100 $        225.00      8,288   SH         DEFINED         24      8,288       --         --
MILLER (HERMAN) INC     COMMON  600544100 $         60.00      2,225   SH         DEFINED          6         --       --      2,225
MILLER INDUSTRIES
   INC/TENN             COMMON  600551204 $        304.00     17,774   SH         DEFINED         24     17,774       --         --
MILLIPORE CORP          COMMON  601073109 $     33,848.00    446,538   SH         DEFINED          1    446,538       --         --
MILLIPORE CORP          COMMON  601073109 $         71.00        932   SH         DEFINED       1,15        932       --         --
MILLIPORE CORP          COMMON  601073109 $        182.00      2,400   SH         DEFINED         19      2,400       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MILLIPORE CORP          COMMON  601073109 $      2,147.00     28,326   SH         DEFINED          2     28,326       --         --
MILLIPORE CORP          COMMON  601073109 $         52.00        685   SH         DEFINED       20,2         --       --        685
MILLIPORE CORP          COMMON  601073109 $      3,293.00     43,438   SH         DEFINED       21,2         --       --     43,438
MILLIPORE CORP          COMMON  601073109 $     56,869.00    750,256   SH         DEFINED         24    750,256       --         --
MILLIPORE CORP          COMMON  601073109 $      1,978.00     26,100   SH         DEFINED          3     26,100       --         --
MILLIPORE CORP          COMMON  601073109 $        474.00      6,250   SH         DEFINED          6         --       --      6,250
MINDRAY MEDICAL INTL
   LTD-ADR              COMMON  602675100 $      1,624.00     37,800   SH         DEFINED        1,7         --       --     37,800
MINDRAY MEDICAL INTL
   LTD-ADR              COMMON  602675100 $     18,886.00    439,711   SH         DEFINED         24    439,711       --         --
MINDRAY MEDICAL INTL
   LTD-ADR              COMMON  602675100 $        601.00     14,000   SH         DEFINED          7          -  14,000          --
MINDRAY MEDICAL INTL
   LTD-ADR              COMMON  602675100 $      5,674.00    132,100   SH         DEFINED       7,14    132,100       --         --
MINDRAY MEDICAL INTL
   LTD-ADR              COMMON  602675100 $     30,572.00    711,800   SH         DEFINED       7,22    711,800       --         --
MINDRAY MEDICAL INTL
   LTD-ADR              COMMON  602675100 $      3,810.00     88,700   SH         DEFINED        9,7     88,700       --         --
MINE SAFETY
   APPLIANCES CO        COMMON  602720104 $        231.00      4,909   SH         DEFINED         24      4,909       --         --
MINE SAFETY
   APPLIANCES CO        COMMON  602720104 $         72.00      1,520   SH         DEFINED          6         --       --      1,520
MINERALS
   TECHNOLOGIES INC     COMMON  603158106 $      1,132.00     16,896   SH         DEFINED         24     16,896       --         --
MINERALS
   TECHNOLOGIES INC     COMMON  603158106 $        219.00      3,275   SH         DEFINED          6         --       --      3,275
MIPS TECHNOLOGIES
   INC                  COMMON  604567107 $        401.00     50,747   SH         DEFINED         24     50,747       --         --
MIRANT CORP             COMMON  60467R100 $      4,974.00    122,280   SH         DEFINED         15     82,780       --     33,700
MIRANT CORP             COMMON  60467R100 $        126.00      3,100   SH         DEFINED      15,14         --       --      3,100
MIRANT CORP             COMMON  60467R100 $        431.00     10,600   SH         DEFINED       15,8         --       --     10,600
MIRANT CORP             COMMON  60467R100 $      7,634.00    187,657   SH         DEFINED         24    187,657       --         --
MIRANT CORP             COMMON  60467R100 $        175.00      4,300   SH         DEFINED       5,15      4,300       --         --
MIRANT CORP             COMMON  60467R100 $        139.00      3,421   SH         DEFINED          6      3,085       --        336
MIRANT CORP             COMMON  60467R100 $        209.00      5,143   SH         DEFINED          8      5,143       --         --
MIRANT CORP-W/I-CW11
   WTS                  COMMON  60467R118 $          1.00         40   SH         DEFINED         23         --       --         40
MISSION WEST PPTYS
   INC                  COMMON  605203108 $      1,668.00    137,300   SH         DEFINED         15    102,900       --     34,400
MISSION WEST PPTYS
   INC                  COMMON  605203108 $        389.00     31,984   SH         DEFINED         24     31,984       --         --
MISSION WEST PPTYS
   INC                  COMMON  605203108 $        295.00     24,300   SH         DEFINED       5,15     24,300       --         --
MITSUBISHI UFJ
   FINANCIAL ADR        COMMON  606822104 $     74,106.00  8,161,428   SH         DEFINED         12  8,161,428       --         --
MITSUBISHI UFJ
   FINANCIAL ADR        COMMON  606822104 $      1,548.00    170,503   SH         DEFINED         15    170,503       --         --
MITSUBISHI UFJ
   FINANCIAL ADR        COMMON  606822104 $            --          5   SH         DEFINED         23         --       --          5
MITSUBISHI UFJ
   FINANCIAL ADR        COMMON  606822104 $          3.00        360   SH         DEFINED          4        360       --         --
MITSUBISHI UFJ
   FINANCIAL ADR        COMMON  606822104 $         56.00      6,170   SH         DEFINED          6         --       --      6,170
MIZUHO FINANCIAL
   GROUP-ADR            COMMON  60687Y109 $     13,093.00  1,155,581   SH         DEFINED          4  1,155,581       --         --
MOBILE TELESYSTEMS
   SP ADR               COMMON  607409109 $     12,018.00    173,400   SH         DEFINED          1    173,400       --         --
MOBILE TELESYSTEMS
   SP ADR               COMMON  607409109 $      3,084.00     44,500   SH         DEFINED       10,9     44,500       --         --
MOBILE TELESYSTEMS
   SP ADR               COMMON  607409109 $        416.00      6,000   SH         DEFINED         15         --       --         --
MOBILE TELESYSTEMS
   SP ADR               COMMON  607409109 $      6,363.00     91,800   SH         DEFINED         20     91,800       --         --
MOBILE TELESYSTEMS
   SP ADR               COMMON  607409109 $     25,922.00    374,000   SH         DEFINED          9    374,000       --         --
MOBILE TELESYSTEMS
   SP ADR               COMMON  607409109 $        853.00     12,300   SH         DEFINED       9,15     12,300       --         --
MOBILE TELESYSTEMS
   SP ADR               COMMON  607409109 $      2,280.00     32,900   SH         DEFINED       9,22     32,900       --         --
MOBILE MINI INC         COMMON  60740F105 $         57.00      2,341   SH         DEFINED         24      2,341       --         --
MOBILE MINI INC         COMMON  60740F105 $          6.00        230   SH         DEFINED          6        230       --         --
MODINE MFG CO           COMMON  607828100 $        445.00     16,728   SH         DEFINED         24     16,728       --         --
MOHAWK INDS INC         COMMON  608190104 $          4.00         55   SH         DEFINED         23         44       --         11
MOHAWK INDS INC         COMMON  608190104 $      6,362.00     78,252   SH         DEFINED         24     78,252       --         --
MOHAWK INDS INC         COMMON  608190104 $      2,741.00     33,713   SH         DEFINED          6     19,245       --     14,468
MOLDFLOW CORPORATION    COMMON  608507109 $        391.00     20,310   SH         DEFINED         24     20,310       --         --
MOLDFLOW CORPORATION    COMMON  608507109 $        288.00     14,973   SH         DEFINED          6      7,356       --      7,617
MOLEX INC               COMMON  608554101 $     27,781.00  1,031,618   SH         DEFINED          1  1,031,618       --         --
MOLEX INC               COMMON  608554101 $         66.00      2,454   SH         DEFINED       1,15      2,454       --         --
MOLEX INC               COMMON  608554101 $        657.00     24,381   SH         DEFINED         15     24,381       --         --
MOLEX INC               COMMON  608554101 $          1.00         20   SH         DEFINED         23         --       --         20
MOLEX INC               COMMON  608554101 $        240.00      8,901   SH         DEFINED         24      8,901       --         --
MOLEX INC               COMMON  608554101 $     17,903.00    664,786   SH         DEFINED          4    664,786       --         --
MOLEX INC               COMMON  608554101 $         32.00      1,200   SH         DEFINED          6      1,006       --        194
MOLEX INC               COMMON  608554101 $        431.00     16,000   SH         DEFINED          7     16,000       --         --
MOLEX INC - CL A        COMMON  608554200 $      1,724.00     68,000   SH         DEFINED        1,3     68,000       --         --
MOLEX INC - CL A        COMMON  608554200 $      8,927.00    352,000   SH         DEFINED       20,3    352,000       --         --
MOLEX INC - CL A        COMMON  608554200 $      2,954.00    116,500   SH         DEFINED       21,3    116,500       --         --
MOLEX INC - CL A        COMMON  608554200 $          1.00         22   SH         DEFINED         23         --       --         22
MOLEX INC - CL A        COMMON  608554200 $        192.00      7,567   SH         DEFINED         24      7,567       --         --
MOLEX INC - CL A        COMMON  608554200 $    292,258.00 11,524,387   SH         DEFINED          3 11,524,387       --         --
MOLINA HEALTHCARE
   INC                  COMMON  60855R100 $      8,835.00    243,584   SH         DEFINED          1    243,584       --         --
MOLINA HEALTHCARE
   INC                  COMMON  60855R100 $         43.00      1,183   SH         DEFINED       21,2      1,183       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MOLINA HEALTHCARE
   INC                  COMMON  60855R100 $      1,481.00     40,835   SH         DEFINED         24     40,835       --         --
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $    210,068.00  2,107,632   SH         DEFINED          1  2,107,632       --         --
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $        118.00      1,183   SH         DEFINED       1,15      1,183       --         --
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $      7,964.00     79,904   SH         DEFINED        1,3     79,904       --         --
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $      2,810.00     28,192   SH         DEFINED         15     28,092       --        100
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $      2,208.00     22,155   SH         DEFINED         24     22,155       --         --
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $     14,143.00    141,900   SH         DEFINED          3    141,900       --         --
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $     11,834.00    118,731   SH         DEFINED          4    118,731       --         --
MOLSON COORS BREWING
   CO -B                COMMON  60871R209 $         82.00        820   SH         DEFINED          6        820       --         --
MOMENTA
   PHARMACEUTICALS
   INC                  COMMON  60877T100 $         11.00        961   SH         DEFINED         24        961       --         --
MOMENTA
   PHARMACEUTICALS
   INC                  COMMON  60877T100 $         52.00      4,533   SH         DEFINED          6         --       --      4,533
MONACO COACH CORP       COMMON  60886R103 $      6,615.00    471,500   SH         DEFINED         15    342,100       --    129,400
MONACO COACH CORP       COMMON  60886R103 $        523.00     37,296   SH         DEFINED         24     37,296       --         --
MONACO COACH CORP       COMMON  60886R103 $      1,341.00     95,600   SH         DEFINED       5,15     95,600       --         --
MONARCH CASINO &
   RESORT INC           COMMON  609027107 $      5,380.00    189,100   SH         DEFINED         15    122,400       --     66,700
MONARCH CASINO &
   RESORT INC           COMMON  609027107 $        784.00     27,569   SH         DEFINED         24     27,569       --         --
MONARCH CASINO &
   RESORT INC           COMMON  609027107 $      1,363.00     47,900   SH         DEFINED       5,15     47,900       --         --
MONARCH COMMUNITY
   BANCORP              COMMON  609045109 $          2.00        167   SH         DEFINED         24        167       --         --
MONEYGRAM
   INTERNATIONAL        COMMON  60935Y109 $        126.00      5,592   SH         DEFINED         24      5,592       --         --
MONEYGRAM
   INTERNATIONAL        COMMON  60935Y109 $         73.00      3,250   SH         DEFINED          6         --       --      3,250
MONOGRAM BIOSCIENCES
   INC                  COMMON  60975U108 $         59.00     41,227   SH         DEFINED          6     29,960       --     11,267
MONSANTO COMPANY        COMMON  61166W101 $        812.00      9,469   SH         DEFINED       1,15      9,469       --         --
MONSANTO COMPANY        COMMON  61166W101 $         26.00        300   SH         DEFINED         15         --       --        300
MONSANTO COMPANY        COMMON  61166W101 $         12.00        142   SH         DEFINED         23         26       --        116
MONSANTO COMPANY        COMMON  61166W101 $     21,279.00    248,181   SH         DEFINED         24    248,181       --         --
MONSANTO COMPANY        COMMON  61166W101 $      9,366.00    109,243   SH         DEFINED          6     72,245       --     36,998
MONSANTO COMPANY        COMMON  61166W101 $        914.00     10,660   SH         DEFINED          8     10,660       --         --
MONSANTO COMPANY        COMMON  61166W101 $      1,058.00     12,334   SH         DEFINED          9     12,334       --         --
MONSTER WORLDWIDE
   INC                  COMMON  611742107 $         78.00      2,297   SH         DEFINED       1,15      2,297       --         --
MONSTER WORLDWIDE
   INC                  COMMON  611742107 $            --          5   SH         DEFINED         23          5       --         --
MONSTER WORLDWIDE
   INC                  COMMON  611742107 $      1,507.00     44,246   SH         DEFINED         24     44,246       --         --
MONSTER WORLDWIDE
   INC                  COMMON  611742107 $          4.00        119   SH         DEFINED          6         --       --        119
MOODYS CORPORATION      COMMON  615369105 $     33,017.00    655,090   SH         DEFINED          1    655,090       --         --
MOODYS CORPORATION      COMMON  615369105 $        194.00      3,845   SH         DEFINED       1,15      3,845       --         --
MOODYS CORPORATION      COMMON  615369105 $      7,308.00    145,000   SH         DEFINED         15     68,500       --     74,500
MOODYS CORPORATION      COMMON  615369105 $        302.00      6,000   SH         DEFINED       15,8         --       --      6,000
MOODYS CORPORATION      COMMON  615369105 $          5.00        100   SH         DEFINED         22        100       --         --
MOODYS CORPORATION      COMMON  615369105 $            --          5   SH         DEFINED         23         --       --          5
MOODYS CORPORATION      COMMON  615369105 $      1,134.00     22,491   SH         DEFINED         24     22,491       --         --
MOODYS CORPORATION      COMMON  615369105 $      8,515.00    168,953   SH         DEFINED        3,1    168,953       --         --
MOODYS CORPORATION      COMMON  615369105 $        312.00      6,195   SH         DEFINED          6      6,000       --        195
MOODYS CORPORATION      COMMON  615369105 $        880.00     17,451   SH         DEFINED          8     17,451       --         --
MOODYS CORPORATION      COMMON  615369105 $        385.00      7,631   SH         DEFINED          9      7,631       --         --
MOODYS CORPORATION      COMMON  615369105 $      3,647.00     72,365   SH         DEFINED        9,2     72,365       --         --
MOOG INC CL A           COMMON  615394202 $      7,984.00    181,700   SH         DEFINED          1    181,700       --         --
MOOG INC CL A           COMMON  615394202 $      3,690.00     83,984   SH         DEFINED         24     83,984       --         --
MORGAN STANLEY          COMMON  617446448 $    139,051.00  2,207,153   SH         DEFINED          1  2,207,153       --         --
MORGAN STANLEY          COMMON  617446448 $      7,461.00    118,422   SH         DEFINED       1,15    118,422       --         --
MORGAN STANLEY          COMMON  617446448 $      1,625.00     25,800   SH         DEFINED      11,15     25,800       --         --
MORGAN STANLEY          COMMON  617446448 $    139,663.00  2,216,869   SH         DEFINED         15  1,700,669       --    455,400
MORGAN STANLEY          COMMON  617446448 $      3,100.00     49,200   SH         DEFINED      15,14         --       --     49,200
MORGAN STANLEY          COMMON  617446448 $      9,803.00    155,600   SH         DEFINED       15,8         --       --    155,600
MORGAN STANLEY          COMMON  617446448 $        265.00      4,206   SH         DEFINED         22      4,206       --         --
MORGAN STANLEY          COMMON  617446448 $          2.00         34   SH         DEFINED         23         14       --         20
MORGAN STANLEY          COMMON  617446448 $     14,062.00    223,210   SH         DEFINED         24    223,210       --         --
MORGAN STANLEY          COMMON  617446448 $      1,560.00     24,765   SH         DEFINED        3,1     24,765       --         --
MORGAN STANLEY          COMMON  617446448 $     12,933.00    205,287   SH         DEFINED          4    205,287       --         --
MORGAN STANLEY          COMMON  617446448 $      5,424.00     86,100   SH         DEFINED       5,15     86,100       --         --
MORGAN STANLEY          COMMON  617446448 $      3,152.00     50,039   SH         DEFINED          6     22,402       --     27,637
MORGAN STANLEY          COMMON  617446448 $        176.00      2,800   SH         DEFINED          7      2,800       --         --
MORGAN STANLEY          COMMON  617446448 $      3,075.00     48,802   SH         DEFINED          8     48,802       --         --
MORGAN STANLEY          COMMON  617446448 $      4,799.00     76,182   SH         DEFINED          9     76,182       --         --
MORGAN STANLEY          COMMON  617446448 $     10,836.00    172,000   SH         DEFINED       9,15    172,000       --         --
MORGAN STANLEY          COMMON  617446448 $        656.00     10,411   SH         DEFINED        9,2     10,411       --         --
ORACLE CORP (MWD)
   CVT 0.0 12-3        CONVERT  617446GV5 $     18,250.00 13,725,000   SH         DEFINED         15         --       -- 11,625,000




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
CLEAR CHANNEL
   CVT(MWD) 0.5 07-    CONVERT  617446YE3 $     20,195.00 18,925,000   SH         DEFINED         15         --       -- 16,175,000
CISCO SYSTEMS INC
   CVT(MS) 144A        CONVERT  617446YV5 $     38,203.00 25,000,000   SH         DEFINED         15         --       -- 21,175,000
MORGAN STANLEY INDIA
   INVEST CF            COMMON  61745C105 $         16.00        305   SH         DEFINED         23        300       --          5
MORNINGSTAR INC         COMMON  617700109 $     14,736.00    240,000   SH         DEFINED          1    240,000       --         --
MORNINGSTAR INC         COMMON  617700109 $        170.00      2,776   SH         DEFINED         24      2,776       --         --
MOSAIC CO-THE           COMMON  61945A107 $      1,782.00     33,300   SH         DEFINED       1,15     33,300       --         --
MOSAIC CO-THE           COMMON  61945A107 $        326.00      6,100   SH         DEFINED      11,15      6,100       --         --
MOSAIC CO-THE           COMMON  61945A107 $     28,597.00    534,330   SH         DEFINED         15    382,580       --    136,050
MOSAIC CO-THE           COMMON  61945A107 $        690.00     12,900   SH         DEFINED      15,14         --       --     12,900
MOSAIC CO-THE           COMMON  61945A107 $        749.00     14,000   SH         DEFINED       15,8         --       --     14,000
MOSAIC CO-THE           COMMON  61945A107 $         17.00        321   SH         DEFINED         23         --       --        321
MOSAIC CO-THE           COMMON  61945A107 $      1,969.00     36,791   SH         DEFINED         24     36,791       --         --
MOSAIC CO-THE           COMMON  61945A107 $      1,284.00     24,000   SH         DEFINED       5,15     24,000       --         --
MOSAIC CO-THE           COMMON  61945A107 $        259.00      4,840   SH         DEFINED          8      4,840       --         --
MOSAIC CO-THE           COMMON  61945A107 $        118.00      2,200   SH         DEFINED          9      2,200       --         --
MOSAIC CO-THE           COMMON  61945A107 $      2,301.00     43,000   SH         DEFINED       9,15     43,000       --         --
MOTHERS WORK INC        COMMON  619903107 $        266.00     14,256   SH         DEFINED         24     14,256       --         --
MOTOROLA INC            COMMON  620076109 $    202,453.00 10,925,689   SH         DEFINED          1 10,925,689       --         --
MOTOROLA INC            COMMON  620076109 $        745.00     40,183   SH         DEFINED       1,15     40,183       --         --
MOTOROLA INC            COMMON  620076109 $         98.00      5,300   SH         DEFINED         19      5,300       --         --
MOTOROLA INC            COMMON  620076109 $      1,137.00     61,360   SH         DEFINED          2     61,360       --         --
MOTOROLA INC            COMMON  620076109 $          1.00         55   SH         DEFINED         23         --       --         55
MOTOROLA INC            COMMON  620076109 $      3,458.00    186,597   SH         DEFINED         24    186,597       --         --
MOTOROLA INC            COMMON  620076109 $     33,293.00  1,796,700   SH         DEFINED        3,1  1,796,700       --         --
MOTOROLA INC            COMMON  620076109 $          3.00        137   SH         DEFINED          4        137       --         --
MOTOROLA INC            COMMON  620076109 $      1,027.00     55,407   SH         DEFINED          6     25,080       --     30,327
MOTOROLA INC            COMMON  620076109 $        759.00     40,937   SH         DEFINED          8     40,937       --         --
MOTOROLA INC            COMMON  620076109 $        477.00     25,746   SH         DEFINED          9     25,746       --         --
MOVADO GROUP            COMMON  624580106 $        684.00     21,421   SH         DEFINED         24     21,421       --         --
MUELLER INDS INC        COMMON  624756102 $        317.00      8,780   SH         DEFINED         24      8,780       --         --
MUELLER WATER
   PRODUCTS INC-B       COMMON  624758207 $     43,386.00  3,944,149   SH         DEFINED         24  3,944,149       --         --
MULTI-FINELINE
   ELECTRONIX           COMMON  62541B101 $         33.00      2,239   SH         DEFINED         24      2,239       --         --
MULTIMEDIA GAMES INC    COMMON  625453105 $        529.00     62,047   SH         DEFINED         24     62,047       --         --
MULTIMEDIA GAMES INC    COMMON  625453105 $         39.00      4,520   SH         DEFINED          6         --       --      4,520
MUNICIPAL MORTGAGE &
   EQUITY               COMMON  62624B101 $        157.00      6,904   SH         DEFINED         24      6,904       --         --
MURPHY OIL CORP         COMMON  626717102 $     87,712.00  1,255,000   SH         DEFINED          1  1,255,000       --         --
MURPHY OIL CORP         COMMON  626717102 $        229.00      3,271   SH         DEFINED       1,15      3,271       --         --
MURPHY OIL CORP         COMMON  626717102 $     14,397.00    206,000   SH         DEFINED       14,2         --       --    206,000
MURPHY OIL CORP         COMMON  626717102 $      6,675.00     95,513   SH         DEFINED         24     95,513       --         --
MURPHY OIL CORP         COMMON  626717102 $      4,997.00     71,500   SH         DEFINED          3     71,500       --         --
MURPHY OIL CORP         COMMON  626717102 $      1,538.00     22,005   SH         DEFINED          4     22,005       --         --
MURPHY OIL CORP         COMMON  626717102 $          7.00        102   SH         DEFINED          6         --       --        102
MYERS INDUSTRIES INC    COMMON  628464109 $        122.00      6,180   SH         DEFINED         24      6,180       --         --
MYLAN LABORATORIES      COMMON  628530107 $         68.00      4,283   SH         DEFINED       1,15      4,283       --         --
MYLAN LABORATORIES      COMMON  628530107 $      2,878.00    180,331   SH         DEFINED         24    180,331       --         --
MYLAN LABORATORIES      COMMON  628530107 $         43.00      2,700   SH         DEFINED          6      2,700       --         --
MYRIAD GENETICS INC     COMMON  62855J104 $     32,365.00    620,617   SH         DEFINED          1    620,617       --         --
MYRIAD GENETICS INC     COMMON  62855J104 $        130.00      2,500   SH         DEFINED         19      2,500       --         --
MYRIAD GENETICS INC     COMMON  62855J104 $     16,488.00    316,168   SH         DEFINED          2    316,168       --         --
MYRIAD GENETICS INC     COMMON  62855J104 $         23.00        436   SH         DEFINED       20,2         --       --        436
MYRIAD GENETICS INC     COMMON  62855J104 $      1,312.00     25,155   SH         DEFINED       21,2         --       --     25,155
MYRIAD GENETICS INC     COMMON  62855J104 $         13.00        250   SH         DEFINED         23         --       --        250
MYRIAD GENETICS INC     COMMON  62855J104 $      9,570.00    183,512   SH         DEFINED         24    183,512       --         --
MYRIAD GENETICS INC     COMMON  62855J104 $         52.00      1,000   SH         DEFINED          6      1,000       --         --
N B T BANCORP INC       COMMON  628778102 $        115.00      5,300   SH         DEFINED         15      5,300       --         --
N B T BANCORP INC       COMMON  628778102 $        100.00      4,606   SH         DEFINED         24      4,606       --         --
N B T BANCORP INC       COMMON  628778102 $         67.00      3,100   SH         DEFINED       5,15      3,100       --         --
NBTY INC                COMMON  628782104 $      1,429.00     35,200   SH         DEFINED       1,15     35,200       --         --
NBTY INC                COMMON  628782104 $      1,902.00     46,852   SH         DEFINED         10     46,852       --         --
NBTY INC                COMMON  628782104 $        757.00     18,646   SH         DEFINED       11,8     18,646       --         --
NBTY INC                COMMON  628782104 $        480.00     11,832   SH         DEFINED         14     11,832       --         --
NBTY INC                COMMON  628782104 $     46,193.00  1,137,763   SH         DEFINED         15    686,263       --    447,400
NBTY INC                COMMON  628782104 $      1,644.00     40,500   SH         DEFINED       15,8         --       --     40,500
NBTY INC                COMMON  628782104 $        201.00      4,943   SH         DEFINED         21      4,943       --         --
NBTY INC                COMMON  628782104 $      1,162.00     28,632   SH         DEFINED         22     28,632       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NBTY INC                COMMON  628782104 $      7,530.00    185,468   SH         DEFINED         24    185,468       --         --
NBTY INC                COMMON  628782104 $        487.00     12,000   SH         DEFINED       5,15     12,000       --         --
NBTY INC                COMMON  628782104 $      2,449.00     60,326   SH         DEFINED          8     60,326       --         --
NBTY INC                COMMON  628782104 $     21,174.00    521,539   SH         DEFINED          9    521,539       --         --
NCI BUILDING SYS INC    COMMON  628852105 $      6,981.00    161,558   SH         DEFINED          1    161,558       --         --
NCI BUILDING SYS INC    COMMON  628852105 $        173.00      4,010   SH         DEFINED         24      4,010       --         --
NCI BUILDING SYS INC    COMMON  628852105 $          3.00         75   SH         DEFINED          6         75       --         --
NCR CORPORATION         COMMON  62886E108 $     33,888.00    680,490   SH         DEFINED          1    680,490       --         --
NCR CORPORATION         COMMON  62886E108 $        156.00      3,133   SH         DEFINED       1,15      3,133       --         --
NCR CORPORATION         COMMON  62886E108 $        494.00      9,918   SH         DEFINED          2         --       --      9,918
NCR CORPORATION         COMMON  62886E108 $      1,428.00     28,668   SH         DEFINED       21,2     28,668       --         --
NCR CORPORATION         COMMON  62886E108 $         17.00        338   SH         DEFINED         23         --       --        338
NCR CORPORATION         COMMON  62886E108 $      4,928.00     98,948   SH         DEFINED         24     98,948       --         --
NCR CORPORATION         COMMON  62886E108 $      3,929.00     78,905   SH         DEFINED          6      6,840       --     72,065
NCI INC-CLASS A         COMMON  62886K104 $        504.00     26,619   SH         DEFINED         24     26,619       --         --
NCI INC-CLASS A         COMMON  62886K104 $          4.00        200   SH         DEFINED          6        200       --         --
NGP CAPITAL
   RESOURCES CO         COMMON  62912R107 $      1,833.00    112,951   SH         DEFINED         24    112,951       --         --
NII HOLDINGS INC        COMMON  62913F201 $     67,274.00    818,916   SH         DEFINED          1    818,916       --         --
NII HOLDINGS INC        COMMON  62913F201 $      1,461.00     17,783   SH         DEFINED          2         --       --     17,783
NII HOLDINGS INC        COMMON  62913F201 $      5,415.00     65,910   SH         DEFINED       21,2     65,910       --         --
NII HOLDINGS INC        COMMON  62913F201 $     12,562.00    152,921   SH         DEFINED         24    152,921       --         --
NII HOLDINGS INC        COMMON  62913F201 $         46.00        558   SH         DEFINED          6        350       --        208
NII HOLDINGS INC        COMMON  62913F201 $        174.00      2,114   SH         DEFINED          8      2,114       --         --
NIC INC                 COMMON  62914B100 $        711.00    102,469   SH         DEFINED         24    102,469       --         --
NL INDUSTRIES           COMMON  629156407 $        203.00     17,896   SH         DEFINED         24     17,896       --         --
NMS COMMUNICATIONS
   CORP                 COMMON  629248105 $          4.00      3,032   SH         DEFINED         24      3,032       --         --
NPS PHARMACEUTICALS
    INC                 COMMON  62936P103 $         12.00      2,000   SH         DEFINED          6      2,000       --         --
NRG ENERGY INC          COMMON  629377508 $     46,664.00  1,103,440   SH         DEFINED          1  1,103,440       --         --
NRG ENERGY INC          COMMON  629377508 $      6,126.00    144,862   SH         DEFINED          2    144,862       --         --
NRG ENERGY INC          COMMON  629377508 $      1,571.00     37,145   SH         DEFINED         24     37,145       --         --
NRG ENERGY INC          COMMON  629377508 $        134.00      3,169   SH         DEFINED          6      2,943       --        226
NRG ENERGY INC CVT
   PFD 5.75            CONVERT  629377870 $        365.00      1,000   SH         DEFINED          1      1,000       --         --
NTT DOCOMO INC-SPON
   ADR                  COMMON  62942M201 $     45,142.00  3,170,112   SH         DEFINED         12  3,170,112       --         --
NTT DOCOMO INC-SPON
   ADR                  COMMON  62942M201 $        974.00     68,389   SH         DEFINED         15     68,389       --         --
NTT DOCOMO INC-SPON
   ADR                  COMMON  62942M201 $      9,471.00    665,093   SH         DEFINED         24    665,093       --         --
NVE CORP                COMMON  629445206 $      8,439.00    271,169   SH         DEFINED         24    271,169       --         --
NVR INC                 COMMON  62944T105 $      2,140.00      4,550   SH         DEFINED          1      4,550       --         --
NVR INC                 COMMON  62944T105 $        644.00      1,370   SH         DEFINED         10      1,370       --         --
NVR INC                 COMMON  62944T105 $      1,138.00      2,420   SH         DEFINED      11,15      2,420       --         --
NVR INC                 COMMON  62944T105 $        305.00        649   SH         DEFINED       11,8        649       --         --
NVR INC                 COMMON  62944T105 $        186.00        395   SH         DEFINED         14        395       --         --
NVR INC                 COMMON  62944T105 $     85,275.00    181,340   SH         DEFINED         15    116,460       --     60,920
NVR INC                 COMMON  62944T105 $      1,702.00      3,620   SH         DEFINED      15,14         --       --      3,620
NVR INC                 COMMON  62944T105 $      2,220.00      4,720   SH         DEFINED       15,8         --       --      4,720
NVR INC                 COMMON  62944T105 $        852.00      1,811   SH         DEFINED         22      1,811       --         --
NVR INC                 COMMON  62944T105 $      1,244.00      2,646   SH         DEFINED         24      2,646       --         --
NVR INC                 COMMON  62944T105 $      1,386.00      2,948   SH         DEFINED        3,1      2,948       --         --
NVR INC                 COMMON  62944T105 $      3,301.00      7,020   SH         DEFINED       5,15      7,020       --         --
NVR INC                 COMMON  62944T105 $      2,026.00      4,308   SH         DEFINED          8      4,308       --         --
NVR INC                 COMMON  62944T105 $      4,267.00      9,074   SH         DEFINED          9      9,074       --         --
NVR INC                 COMMON  62944T105 $      5,568.00     11,840   SH         DEFINED       9,15     11,840       --         --
NVR INC                 COMMON  62944T105 $        593.00      1,262   SH         DEFINED        9,2      1,262       --         --
NYMAGIC INC             COMMON  629484106 $        487.00     17,495   SH         DEFINED         24     17,495       --         --
NYMEX HOLDINGS INC      COMMON  62948N104 $        190.00      1,461   SH         DEFINED          8      1,461       --         --
NYSE EURONEXT           COMMON  629491101 $         49.00        625   SH         DEFINED         23         --       --        625
NYSE EURONEXT           COMMON  629491101 $        945.00     11,937   SH         DEFINED         24     11,937       --         --
NYSE EURONEXT           COMMON  629491101 $          4.00         50   SH         DEFINED          4         50       --         --
NYSE EURONEXT           COMMON  629491101 $          7.00         83   SH         DEFINED          6         --       --         83
NYSE EURONEXT           COMMON  629491101 $        202.00      2,555   SH         DEFINED          8      2,555       --         --
NABI BIO-
   PHARMACEUTICALS      COMMON  629519109 $         18.00      4,380   SH         DEFINED         24      4,380       --         --
NACCO INDUSTRIES        COMMON  629579103 $        221.00      2,140   SH         DEFINED         24      2,140       --         --
NALCO HOLDING CO        COMMON  62985Q101 $         18.00        613   SH         DEFINED         23        471       --        142
NALCO HOLDING CO        COMMON  62985Q101 $     87,247.00  2,942,572   SH         DEFINED         24  2,942,572       --         --
NALCO HOLDING CO        COMMON  62985Q101 $     13,390.00    451,594   SH         DEFINED          6    355,986       --     95,608
NAM TAI ELECTRONICS
   INC                  COMMON  629865205 $     48,097.00  3,823,263   SH         DEFINED         24  3,823,263       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NANOPHASE
   TECHNOLOGIES CORP    COMMON  630079101 $      8,213.00  1,235,018   SH         DEFINED         24  1,235,018       --         --
NAPSTER INC             COMMON  630797108 $        429.00    131,239   SH         DEFINED         24    131,239       --         --
NARA BANCORP INC        COMMON  63080P105 $         80.00      5,130   SH         DEFINED         15      5,130       --         --
NARA BANCORP INC        COMMON  63080P105 $         23.00      1,489   SH         DEFINED         24      1,489       --         --
NARA BANCORP INC        COMMON  63080P105 $         50.00      3,200   SH         DEFINED       5,15      3,200       --         --
NASDAQ STOCK MARKET
   INC                  COMMON  631103108 $          4.00        119   SH         DEFINED         23        109       --         10
NASDAQ STOCK MARKET
   INC                  COMMON  631103108 $      2,288.00     60,727   SH         DEFINED         24     60,727       --         --
NASDAQ STOCK MARKET
   INC                  COMMON  631103108 $      3,247.00     86,162   SH         DEFINED          6     47,118       --     39,044
NASH FINCH CO           COMMON  631158102 $      6,685.00    167,850   SH         DEFINED         15    120,150       --     47,700
NASH FINCH CO           COMMON  631158102 $        629.00     15,791   SH         DEFINED         24     15,791       --         --
NASH FINCH CO           COMMON  631158102 $      1,621.00     40,700   SH         DEFINED       5,15     40,700       --         --
NASH FINCH CO           COMMON  631158102 $         10.00        255   SH         DEFINED          6        255       --         --
NATCO GROUP INC-A       COMMON  63227W203 $      7,446.00    143,883   SH         DEFINED          1    143,883       --         --
NATCO GROUP INC-A       COMMON  63227W203 $      2,763.00     53,400   SH         DEFINED         15     34,500       --     18,900
NATCO GROUP INC-A       COMMON  63227W203 $        734.00     14,190   SH         DEFINED         24     14,190       --         --
NATCO GROUP INC-A       COMMON  63227W203 $        305.00      5,900   SH         DEFINED       5,15      5,900       --         --
NATIONAL BK GREECE
   SA ADR               COMMON  633643408 $         60.00      4,610   SH         DEFINED         24      4,610       --         --
NATIONAL CINEMEDIA
   INC                  COMMON  635309107 $      7,347.00    327,987   SH         DEFINED          1    327,987       --         --
NATIONAL CINEMEDIA
   INC                  COMMON  635309107 $      5,880.00    262,498   SH         DEFINED          2    262,498       --         --
NATIONAL CITY CORP      COMMON  635405103 $        276.00     10,984   SH         DEFINED       1,15     10,984       --         --
NATIONAL CITY CORP      COMMON  635405103 $        111.00      4,440   SH         DEFINED         15      3,740       --        700
NATIONAL CITY CORP      COMMON  635405103 $            --         12   SH         DEFINED         23         --       --         12
NATIONAL CITY CORP      COMMON  635405103 $      8,107.00    323,115   SH         DEFINED         24    323,115       --         --
NATIONAL CITY CORP      COMMON  635405103 $        931.00     37,097   SH         DEFINED          6      6,540       --     30,557
NATIONAL CITY CORP      COMMON  635405103 $        267.00     10,637   SH         DEFINED          8     10,637       --         --
NATIONAL CITY CORP      COMMON  635405103 $        298.00     11,880   SH         DEFINED          9     11,880       --         --
NATIONAL HEALTHCARE
   CORP                 COMMON  635906100 $         48.00        938   SH         DEFINED         24        938       --         --
NATIONAL FINANCIAL
   PARTNERS             COMMON  63607P208 $     58,252.00  1,099,514   SH         DEFINED          1  1,099,514       --         --
NATIONAL FINANCIAL
   PARTNERS             COMMON  63607P208 $     12,081.00    228,029   SH         DEFINED          2    228,029       --         --
NATIONAL FINANCIAL
   PARTNERS             COMMON  63607P208 $        124.00      2,341   SH         DEFINED         24      2,341       --         --
NATIONAL FINANCIAL
   PARTNERS             COMMON  63607P208 $          6.00        110   SH         DEFINED          6        110       --         --
NATIONAL FUEL GAS CO
   NJ                   COMMON  636180101 $        365.00      7,800   SH         DEFINED         15      6,500       --      1,300
NATIONAL FUEL GAS CO
   NJ                   COMMON  636180101 $      1,516.00     32,392   SH         DEFINED         24     32,392       --         --
NATIONAL FUEL GAS CO
   NJ                   COMMON  636180101 $         47.00      1,000   SH         DEFINED          6         --       --      1,000
NATIONAL GRID PLC-SP
   ADR                  COMMON  636274300 $     19,786.00    246,614   SH         DEFINED         24    246,614       --         --
NATIONAL GRID PLC-SP
   ADR                  COMMON  636274300 $         18.00        219   SH         DEFINED          6         --       --        219
NATIONAL HEALTH
   INVESTORS REIT       COMMON  63633D104 $        136.00      4,408   SH         DEFINED         24      4,408       --         --
NATIONAL INSTRS CORP    COMMON  636518102 $        223.00      6,500   SH         DEFINED         14      6,500       --         --
NATIONAL INSTRS CORP    COMMON  636518102 $        223.00      6,500   SH         DEFINED       14,3      6,500       --         --
NATIONAL INSTRS CORP    COMMON  636518102 $      4,554.00    132,657   SH         DEFINED         24    132,657       --         --
NATIONAL INSTRS CORP    COMMON  636518102 $     43,877.00  1,278,100   SH         DEFINED          3  1,278,100       --         --
NATIONAL INSTRS CORP    COMMON  636518102 $        326.00      9,505   SH         DEFINED          6      7,455       --      2,050
NATIONAL INTERSTATE
   CORP                 COMMON  63654U100 $        357.00     11,607   SH         DEFINED         24     11,607       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $    219,343.00  1,517,946   SH         DEFINED          1  1,517,946       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $        447.00      3,091   SH         DEFINED       1,15      3,091       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      2,298.00     15,900   SH         DEFINED      11,15     15,900       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $         51.00        352   SH         DEFINED         14        352       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      3,663.00     25,352   SH         DEFINED       14,2        352       --     25,000
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $    169,435.00  1,172,560   SH         DEFINED         15    873,260       --    260,900
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      5,216.00     36,100   SH         DEFINED      15,14         --       --     36,100
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      8,988.00     62,200   SH         DEFINED       15,8         --       --     62,200
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $     20,132.00    139,319   SH         DEFINED          2    130,319       --      9,000
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $         11.00         74   SH         DEFINED         23         --       --         74
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $     32,709.00    226,361   SH         DEFINED         24    226,361       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      1,782.00     12,335   SH         DEFINED          4     12,335       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $     10,043.00     69,500   SH         DEFINED       5,15     69,500       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      2,184.00     15,112   SH         DEFINED          6      2,550       --     12,562
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      3,952.00     27,349   SH         DEFINED          8     27,349       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $        929.00      6,429   SH         DEFINED          9      6,429       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $      6,633.00     45,900   SH         DEFINED       9,15     45,900       --         --
NATIONAL OILWELL
   VARCO INC            COMMON  637071101 $        689.00      4,769   SH         DEFINED        9,2      4,769       --         --
NATIONAL PENN
   BANCSHARES INC       COMMON  637138108 $        122.00      7,480   SH         DEFINED         15      7,480       --         --
NATIONAL PENN
   BANCSHARES INC       COMMON  637138108 $        108.00      6,626   SH         DEFINED         24      6,626       --         --
NATIONAL PENN
   BANCSHARES INC       COMMON  637138108 $         62.00      3,811   SH         DEFINED       5,15      3,811       --         --
NATIONAL PENN
   BANCSHARES INC       COMMON  637138108 $        169.00     10,340   SH         DEFINED          6         --       --     10,340




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NATIONAL PRESTO
   INDS INC             COMMON  637215104 $        424.00      7,991   SH         DEFINED         24      7,991       --         --
NATIONAL RETAIL
   PROPERTIES INC       COMMON  637417106 $      3,755.00    154,000   SH         DEFINED       1,15    154,000       --         --
NATIONAL RETAIL
   PROPERTIES INC       COMMON  637417106 $      5,895.00    241,800   SH         DEFINED         15    152,500       --     89,300
NATIONAL RETAIL
   PROPERTIES INC       COMMON  637417106 $        251.00     10,300   SH         DEFINED         24     10,300       --         --
NATIONAL RETAIL
   PROPERTIES INC       COMMON  637417106 $        731.00     30,000   SH         DEFINED       5,15     30,000       --         --
NATIONAL RETAIL
   PROPERTIES INC       COMMON  637417106 $        133.00      5,475   SH         DEFINED          6        400       --      5,075
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $     38,636.00  1,424,646   SH         DEFINED          1  1,424,646       --         --
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $        820.00     30,254   SH         DEFINED       1,15     30,254       --         --
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $     15,043.00    554,700   SH         DEFINED         15    245,200       --    309,500
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $        374.00     13,800   SH         DEFINED       15,8         --       --     13,800
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $      1,052.00     38,800   SH         DEFINED         19     38,800       --         --
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $        456.00     16,815   SH         DEFINED         21     16,815       --         --
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $      2,781.00    102,545   SH         DEFINED       21,2    102,545       --         --
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $     10,190.00    375,755   SH         DEFINED         24    375,755       --         --
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $          8.00        278   SH         DEFINED          6         --       --        278
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $        146.00      5,395   SH         DEFINED          8      5,395       --         --
NATIONAL
   SEMICONDUCTOR
   CORP                 COMMON  637640103 $        650.00     23,962   SH         DEFINED          9     23,962       --         --
NATIONAL WESTERN
   LIFE INS - CL        COMMON  638522102 $        244.00        955   SH         DEFINED         15        955       --         --
NATIONAL WESTERN
   LIFE INS - CL        COMMON  638522102 $        141.00        549   SH         DEFINED         24        549       --         --
NATIONAL WESTERN
   LIFE INS - CL        COMMON  638522102 $        128.00        500   SH         DEFINED       5,15        500       --         --
NATIONWIDE FINANCIAL
   SERVICES             COMMON  638612101 $      3,045.00     56,580   SH         DEFINED         15     28,380       --     28,200
NATIONWIDE FINANCIAL
   SERVICES             COMMON  638612101 $     10,552.00    196,053   SH         DEFINED         24    196,053       --         --
NATIONWIDE HEALTH
   PPTYS INC            COMMON  638620104 $      4,300.00    142,700   SH         DEFINED       1,15    142,700       --         --
NATIONWIDE HEALTH
   PPTYS INC            COMMON  638620104 $     18,820.00    624,638   SH         DEFINED         15    383,938       --    240,700
NATIONWIDE HEALTH
   PPTYS INC            COMMON  638620104 $        217.00      7,186   SH         DEFINED         24      7,186       --         --
NATIONWIDE HEALTH
   PPTYS INC            COMMON  638620104 $      1,082.00     35,900   SH         DEFINED       5,15     35,900       --         --
NATIONWIDE HEALTH
   PROP PFD 7.7        CONVERT  638620302 $         26.00        200   SH         DEFINED         23         --       --        200
NAVIGATORS GROUP INC    COMMON  638904102 $      3,162.00     58,286   SH         DEFINED         24     58,286       --         --
NAVIGATORS GROUP INC    COMMON  638904102 $        146.00      2,685   SH         DEFINED          6         --       --      2,685
NATURAL RESOURCE
   PARTNERS LP          COMMON  63900P103 $         28.00        897   SH         DEFINED         23        800       --         97
NATURAL RESOURCE
   PARTNERS LP          COMMON  63900P103 $        118.00      3,800   SH         DEFINED          6         --       --      3,800
NATURAL RESOURCE
   PARTNERS LP          COMMON  63900P509 $          2.00         58   SH         DEFINED         23         --       --         58
NAUTILUS INC            COMMON  63910B102 $         57.00      7,172   SH         DEFINED         24      7,172       --         --
NAUTILUS INC            COMMON  63910B102 $         32.00      3,975   SH         DEFINED          6         --       --      3,975
NAVARRE CORP            COMMON  639208107 $        430.00    114,410   SH         DEFINED         24    114,410       --         --
NAVIGANT CONSULTING
   INC                  COMMON  63935N107 $         47.00      3,674   SH         DEFINED         24      3,674       --         --
NAVTEQ CORP             COMMON  63936L100 $        890.00     11,411   SH         DEFINED         24     11,411       --         --
NEENAH PAPER INC        COMMON  640079109 $          4.00        109   SH         DEFINED         23         --       --        109
NEENAH PAPER INC        COMMON  640079109 $         73.00      2,205   SH         DEFINED         24      2,205       --         --
NEENAH PAPER INC        COMMON  640079109 $          1.00         30   SH         DEFINED          6         30       --         --
NEKTAR THERAPEUTICS     COMMON  640268108 $        275.00     31,103   SH         DEFINED         24     31,103       --         --
NEKTAR THERAPEUTICS     COMMON  640268108 $      1,111.00    125,800   SH         DEFINED          9    125,800       --         --
NEKTAR THERAPEUTICS     COMMON  640268108 $        208.00     23,500   SH         DEFINED       9,22     23,500       --         --
NELNET INC- CL A        COMMON  64031N108 $        120.00      6,573   SH         DEFINED         24      6,573       --         --
NELNET INC- CL A        COMMON  64031N108 $         46.00      2,540   SH         DEFINED          6      2,540       --         --
NESS TECHNOLOGIES
   INC                  COMMON  64104X108 $        375.00     34,303   SH         DEFINED         24     34,303       --         --
NESS TECHNOLOGIES
   INC                  COMMON  64104X108 $      3,060.00    280,200   SH         DEFINED          9    280,200       --         --
NESS TECHNOLOGIES
   INC                  COMMON  64104X108 $        630.00     57,700   SH         DEFINED       9,22     57,700       --         --
NET 1 UEPS
   TECHNOLOGIES INC     COMMON  64107N206 $          2.00         72   SH         DEFINED         23         62       --         10
NET 1 UEPS
   TECHNOLOGIES INC     COMMON  64107N206 $         40.00      1,476   SH         DEFINED         24      1,476       --         --
NET 1 UEPS
   TECHNOLOGIES INC     COMMON  64107N206 $      1,098.00     40,400   SH         DEFINED          6     10,600       --     29,800
NETFLIX.COM INC         COMMON  64110L106 $         79.00      3,799   SH         DEFINED         24      3,799       --         --
NETEASE.COM INC ADR     COMMON  64110W102 $      9,056.00    535,840   SH         DEFINED         24    535,840       --         --
NETGEAR INC             COMMON  64111Q104 $        744.00     24,471   SH         DEFINED         24     24,471       --         --
NETSCOUT SYSTEMS INC    COMMON  64115T104 $     16,684.00  1,530,618   SH         DEFINED          6  1,422,210       --    108,408
NETLOGIC
   MICROSYSTEMS INC     COMMON  64118B100 $     11,209.00    310,415   SH         DEFINED          1    310,415       --         --
NETLOGIC
   MICROSYSTEMS INC     COMMON  64118B100 $        614.00     17,000   SH         DEFINED         19     17,000       --         --
NETLOGIC
   MICROSYSTEMS INC     COMMON  64118B100 $      1,323.00     36,650   SH         DEFINED       21,2     36,650       --         --
NETLOGIC
   MICROSYSTEMS INC     COMMON  64118B100 $        783.00     21,696   SH         DEFINED         24     21,696       --         --
NETWORK EQUIPMENT
   TECH INC             COMMON  641208103 $        678.00     46,751   SH         DEFINED         24     46,751       --         --
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $     51,695.00  1,921,034   SH         DEFINED          1  1,921,034       --         --
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $        166.00      6,177   SH         DEFINED       1,15      6,177       --         --
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $        481.00     17,887   SH         DEFINED          2         --       --     17,887
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $      2,510.00     93,262   SH         DEFINED       21,2     93,262       --         --
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $         13.00        480   SH         DEFINED         23         77       --        403




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $      4,052.00    150,593   SH         DEFINED         24    150,593       --         --
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $        576.00     21,415   SH         DEFINED          6      8,315       --     13,100
NETWORK APPLIANCE
   INC                  COMMON  64120L104 $        163.00      6,063   SH         DEFINED          8      6,063       --         --
NEUROGEN CORP           COMMON  64124E106 $            --         57   SH         DEFINED       20,2         --       --         57
NEUROCRINE
   BIOSCIENCES INC      COMMON  64125C109 $         17.00      1,742   SH         DEFINED         24      1,742       --         --
NEUBERGER BERMAN
   REALTY INC CF        COMMON  64126G109 $      1,612.00     77,400   SH         DEFINED       1,15     77,400       --         --
NEUSTAR INC- CLASS A    COMMON  64126X201 $     15,004.00    437,561   SH         DEFINED          1    437,561       --         --
NEUSTAR INC- CLASS A    COMMON  64126X201 $     11,912.00    347,397   SH         DEFINED          2    347,397       --         --
NEUSTAR INC- CLASS A    COMMON  64126X201 $          4.00        126   SH         DEFINED         23        119       --          7
NEUSTAR INC- CLASS A    COMMON  64126X201 $         49.00      1,434   SH         DEFINED         24      1,434       --         --
NEUSTAR INC- CLASS A    COMMON  64126X201 $      3,037.00     88,562   SH         DEFINED          6     50,684       --     37,878
NEUSTAR INC- CLASS A    COMMON  64126X201 $      3,186.00     92,900   SH         DEFINED          9     92,900       --         --
NEUSTAR INC- CLASS A    COMMON  64126X201 $        617.00     18,000   SH         DEFINED       9,22     18,000       --         --
NEW DRAGON ASIA CORP    COMMON  64378H102 $        287.00    228,151   SH         DEFINED         24    228,151       --         --
NEW JERSEY RES          COMMON  646025106 $      1,898.00     38,283   SH         DEFINED         24     38,283       --         --
NEW JERSEY RES          COMMON  646025106 $        237.00      4,775   SH         DEFINED          6         --       --      4,775
NEW ORIENTAL
   EDUCATIO-SP ADR      COMMON  647581107 $      9,954.00    149,546   SH         DEFINED         24    149,546       --         --
NEW YORK AND COMPANY    COMMON  649295102 $         47.00      7,625   SH         DEFINED         24      7,625       --         --
NEW YORK COMMUNITY
   BANCORP              COMMON  649445103 $          4.00        217   SH         DEFINED         23         29       --        188
NEW YORK COMMUNITY
   BANCORP              COMMON  649445103 $        681.00     35,737   SH         DEFINED         24     35,737       --         --
NEW YORK COMMUNITY
   BANCORP              COMMON  649445103 $        224.00     11,761   SH         DEFINED          6         --       --     11,761
NEW YORK COMMUNITY
   BANCORP              COMMON  649445103 $         61.00      3,195   SH         DEFINED          8      3,195       --         --
NEW YORK TIMES CO       COMMON  650111107 $         49.00      2,498   SH         DEFINED       1,15      2,498       --         --
NEW YORK TIMES CO       COMMON  650111107 $        440.00     22,255   SH         DEFINED         24     22,255       --         --
NEW YORK TIMES CO       COMMON  650111107 $          5.00        235   SH         DEFINED          6         --       --        235
NEW YORK TIMES CO       COMMON  650111107 $         63.00      3,191   SH         DEFINED          8      3,191       --         --
NEWALLIANCE
   BANCSHARES INC       COMMON  650203102 $        130.00      8,851   SH         DEFINED         24      8,851       --         --
NEWALLIANCE
   BANCSHARES INC       COMMON  650203102 $         95.00      6,457   SH         DEFINED          6      6,457       --         --
NEWCASTLE INVESTMENT
   CORP                 COMMON  65105M108 $        121.00      6,843   SH         DEFINED         24      6,843       --         --
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $      1,152.00     39,969   SH         DEFINED       1,15     39,969       --         --
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $      3,678.00    127,610   SH         DEFINED         15     73,360       --     50,950
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $        398.00     13,800   SH         DEFINED       15,8         --       --     13,800
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $          3.00         93   SH         DEFINED         23         --       --         93
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $      2,210.00     76,678   SH         DEFINED         24     76,678       --         --
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $        595.00     20,638   SH         DEFINED          6         --       --     20,638
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $        169.00      5,865   SH         DEFINED          8      5,865       --         --
NEWELL RUBBERMAID
   INC                  COMMON  651229106 $        389.00     13,508   SH         DEFINED          9     13,508       --         --
NEWFIELD EXPL CO        COMMON  651290108 $     33,932.00    704,566   SH         DEFINED          1    704,566       --         --
NEWFIELD EXPL CO        COMMON  651290108 $        646.00     13,413   SH         DEFINED         15     13,413       --         --
NEWFIELD EXPL CO        COMMON  651290108 $          5.00        104   SH         DEFINED         23        100       --          4
NEWFIELD EXPL CO        COMMON  651290108 $        664.00     13,779   SH         DEFINED         24     13,779       --         --
NEWFIELD EXPL CO        COMMON  651290108 $     17,500.00    363,369   SH         DEFINED          4    363,369       --         --
NEWFIELD EXPL CO        COMMON  651290108 $      1,011.00     21,000   SH         DEFINED          6      1,500       --     19,500
NEWMARKET CORP          COMMON  651587107 $        125.00      2,536   SH         DEFINED         24      2,536       --         --
NEWMONT MINING CORP
   HLDG CO              COMMON  651639106 $     11,630.00    260,000   SH         DEFINED          1    260,000       --         --
NEWMONT MINING CORP
   HLDG CO              COMMON  651639106 $        351.00      7,838   SH         DEFINED       1,15      7,838       --         --
NEWMONT MINING CORP
   HLDG CO              COMMON  651639106 $            --          5   SH         DEFINED         23         --       --          5
NEWMONT MINING CORP
   HLDG CO              COMMON  651639106 $      1,433.00     32,035   SH         DEFINED         24     32,035       --         --
NEWMONT MINING CORP
   HLDG CO              COMMON  651639106 $     10,377.00    232,000   SH         DEFINED          3    232,000       --         --
NEWMONT MINING CORP
   HLDG CO              COMMON  651639106 $         87.00      1,948   SH         DEFINED          6      1,613       --        335
NEWMONT MINING CORP
   HLDG CO              COMMON  651639106 $        559.00     12,499   SH         DEFINED          8     12,499       --         --
NEWPARK RES INC         COMMON  651718504 $          1.00        108   SH         DEFINED         23         --       --        108
NEWPARK RES INC         COMMON  651718504 $         73.00     13,697   SH         DEFINED         24     13,697       --         --
NEWPORT CORP            COMMON  651824104 $        459.00     30,147   SH         DEFINED         24     30,147       --         --
NEWS CORP CL A          COMMON  65248E104 $    151,093.00  6,870,985   SH         DEFINED          1  6,870,985       --         --
NEWS CORP CL A          COMMON  65248E104 $        883.00     40,149   SH         DEFINED       1,15     40,149       --         --
NEWS CORP CL A          COMMON  65248E104 $      5,598.00    254,555   SH         DEFINED       14,2         --       --    254,555
NEWS CORP CL A          COMMON  65248E104 $      4,237.00    192,700   SH         DEFINED         15    105,300       --     77,500
NEWS CORP CL A          COMMON  65248E104 $        739.00     33,600   SH         DEFINED       15,8         --       --     33,600
NEWS CORP CL A          COMMON  65248E104 $        355.00     16,130   SH         DEFINED          2     16,130       --         --
NEWS CORP CL A          COMMON  65248E104 $          1.00         26   SH         DEFINED         23         --       --         26
NEWS CORP CL A          COMMON  65248E104 $     19,359.00    880,359   SH         DEFINED         24    880,359       --         --
NEWS CORP CL A          COMMON  65248E104 $          2.00         85   SH         DEFINED          4         85       --         --
NEWS CORP CL A          COMMON  65248E104 $        286.00     13,000   SH         DEFINED       5,15     13,000       --         --
NEWS CORP CL A          COMMON  65248E104 $         78.00      3,550   SH         DEFINED          6      2,600       --        950




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NEWS CORP CL A          COMMON  65248E104 $        669.00     30,429   SH         DEFINED          8     30,429       --         --
NEWS CORP CL A          COMMON  65248E104 $        163.00      7,408   SH         DEFINED          9      7,408       --         --
NEWS CORP CL B          COMMON  65248E203 $      1,061.00     45,375   SH         DEFINED         24     45,375       --         --
NEWS CORP CL B          COMMON  65248E203 $         23.00        970   SH         DEFINED          6         --       --        970
NEWS CORP CL B          COMMON  65248E203 $        267.00     11,425   SH         DEFINED          8     11,425       --         --
NEWSTAR FINANCIAL
   INC                  COMMON  65251F105 $        212.00     18,871   SH         DEFINED         24     18,871       --         --
NEXTEL COMM (NXTL)
   CVT 5.25 01         CONVERT  65332VAY9 $     34,015.00 34,100,000   SH         DEFINED         15         --       -- 28,875,000
NEXTEST SYSTEMS CORP    COMMON  653339101 $      4,030.00    313,399   SH         DEFINED          1    313,399       --         --
NEXEN INC               COMMON  65334H102 $     34,052.00  1,115,000   SH         DEFINED          1  1,115,000       --         --
NEXEN INC               COMMON  65334H102 $      6,322.00    207,000   SH         DEFINED       14,2         --       --    207,000
NEXEN INC               COMMON  65334H102 $      3,694.00    120,870   SH         DEFINED          2    120,870       --         --
NEXEN INC               COMMON  65334H102 $          9.00        300   SH         DEFINED         23         --       --        300
NEXEN INC               COMMON  65334H102 $         12.00        386   SH         DEFINED         24        386       --         --
NEXEN INC               COMMON  65334H102 $     37,264.00  1,219,200   SH         DEFINED          3  1,219,200       --         --
NEXEN INC               COMMON  65334H102 $     47,682.00  1,560,074   SH         DEFINED        3,1  1,560,074       --         --
NEXEN INC               COMMON  65334H102 $        293.00      9,592   SH         DEFINED          8      9,592       --         --
NEXCEN BRANDS INC       COMMON  653351106 $        269.00     40,056   SH         DEFINED         24     40,056       --         --
NFJ DVD INTEREST &
   PR STRAT CE          COMMON  65337H109 $         17.00        700   SH         DEFINED          6        700       --         --
NICE SYS LTD ADR        COMMON  653656108 $     26,641.00    743,341   SH         DEFINED          1    743,341       --         --
NICE SYS LTD ADR        COMMON  653656108 $     13,047.00    364,024   SH         DEFINED          2    364,024       --         --
NICE SYS LTD ADR        COMMON  653656108 $      1,211.00     33,800   SH         DEFINED       21,2     33,800       --         --
NICE SYS LTD ADR        COMMON  653656108 $      6,204.00    173,100   SH         DEFINED          3    173,100       --         --
NICE SYS LTD ADR        COMMON  653656108 $        139.00      3,890   SH         DEFINED          6        210       --      3,680
NICOR INC               COMMON  654086107 $         34.00        800   SH         DEFINED       1,15        800       --         --
NICOR INC               COMMON  654086107 $     12,139.00    282,950   SH         DEFINED         15    204,150       --     78,800
NICOR INC               COMMON  654086107 $      1,319.00     30,740   SH         DEFINED         24     30,740       --         --
NICOR INC               COMMON  654086107 $      3,282.00     76,500   SH         DEFINED       5,15     76,500       --         --
NICOR INC               COMMON  654086107 $        131.00      3,050   SH         DEFINED          6        700       --      2,350
NIDEC CORPORATION
   ADR                  COMMON  654090109 $         26.00      1,500   SH         DEFINED          6         --       --      1,500
NIKE INC                COMMON  654106103 $     85,727.00  1,461,417   SH         DEFINED          1  1,461,417       --         --
NIKE INC                COMMON  654106103 $      1,702.00     29,011   SH         DEFINED       1,15     29,011       --         --
NIKE INC                COMMON  654106103 $      1,249.00     21,300   SH         DEFINED      11,15     21,300       --         --
NIKE INC                COMMON  654106103 $      1,058.00     18,040   SH         DEFINED       14,2         --       --     18,040
NIKE INC                COMMON  654106103 $     56,814.00    968,539   SH         DEFINED         15    718,339       --    227,600
NIKE INC                COMMON  654106103 $        651.00     11,100   SH         DEFINED      15,14         --       --     11,100
NIKE INC                COMMON  654106103 $      5,731.00     97,700   SH         DEFINED       15,8         --       --     97,700
NIKE INC                COMMON  654106103 $     11,943.00    203,597   SH         DEFINED          2    203,597       --         --
NIKE INC                COMMON  654106103 $        519.00      8,846   SH         DEFINED         21      8,846       --         --
NIKE INC                COMMON  654106103 $          7.00        116   SH         DEFINED         23         72       --         44
NIKE INC                COMMON  654106103 $     20,935.00    356,883   SH         DEFINED         24    356,883       --         --
NIKE INC                COMMON  654106103 $        342.00      5,825   SH         DEFINED          4      5,825       --         --
NIKE INC                COMMON  654106103 $      1,953.00     33,300   SH         DEFINED       5,15     33,300       --         --
NIKE INC                COMMON  654106103 $      4,958.00     84,528   SH         DEFINED          6     76,590       --      7,938
NIKE INC                COMMON  654106103 $        702.00     11,974   SH         DEFINED          8     11,974       --         --
NIKE INC                COMMON  654106103 $      1,162.00     19,814   SH         DEFINED          9     19,814       --         --
NIKE INC                COMMON  654106103 $      7,385.00    125,900   SH         DEFINED       9,15    125,900       --         --
NIGHTHAWK RADIOLOGY
   HOLDINGS             COMMON  65411N105 $          6.00        250   SH         DEFINED         23         --       --        250
NIGHTHAWK RADIOLOGY
   HOLDINGS             COMMON  65411N105 $          8.00        332   SH         DEFINED         24        332       --         --
NINETOWNS INTERNET
   TECH-ADS             COMMON  654407105 $        605.00    148,334   SH         DEFINED         24    148,334       --         --
99 CENTS ONLY STORES    COMMON  65440K106 $     11,547.00  1,124,359   SH         DEFINED          1  1,124,359       --         --
99 CENTS ONLY STORES    COMMON  65440K106 $      4,146.00    403,669   SH         DEFINED         15    210,869       --    192,800
99 CENTS ONLY STORES    COMMON  65440K106 $     11,434.00  1,113,344   SH         DEFINED          4  1,113,344       --         --
99 CENTS ONLY STORES    COMMON  65440K106 $         86.00      8,375   SH         DEFINED          6         --       --      8,375
NTT ADR                 COMMON  654624105 $     48,097.00  2,066,892   SH         DEFINED         12  2,057,977       --      8,915
NTT ADR                 COMMON  654624105 $      1,131.00     48,617   SH         DEFINED         15     48,617       --         --
NISOURCE INC            COMMON  65473P105 $         91.00      4,735   SH         DEFINED       1,15      4,735       --         --
NISOURCE INC            COMMON  65473P105 $         67.00      3,500   SH         DEFINED      11,15      3,500       --         --
NISOURCE INC            COMMON  65473P105 $     19,894.00  1,039,409   SH         DEFINED         12    267,609       --    771,800
NISOURCE INC            COMMON  65473P105 $        263.00     13,750   SH         DEFINED      12,14     13,750       --         --
NISOURCE INC            COMMON  65473P105 $      9,458.00    494,131   SH         DEFINED         15    434,031       --     56,100
NISOURCE INC            COMMON  65473P105 $         18.00        960   SH         DEFINED      20,12        960       --         --
NISOURCE INC            COMMON  65473P105 $        632.00     33,000   SH         DEFINED      20,15         --       --     33,000
NISOURCE INC            COMMON  65473P105 $      1,328.00     69,400   SH         DEFINED      21,15         --       --         --
NISOURCE INC            COMMON  65473P105 $         15.00        800   SH         DEFINED         23        800       --         --
NISOURCE INC            COMMON  65473P105 $      1,103.00     57,632   SH         DEFINED         24     57,632       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NISOURCE INC            COMMON  65473P105 $        256.00     13,400   SH         DEFINED       5,15         --       --     13,400
NISOURCE INC            COMMON  65473P105 $         56.00      2,924   SH         DEFINED          6         --       --      2,924
NISOURCE INC            COMMON  65473P105 $        226.00     11,786   SH         DEFINED          8     11,786       --         --
NISOURCE INC            COMMON  65473P105 $        106.00      5,521   SH         DEFINED          9      5,521       --         --
NISOURCE INC            COMMON  65473P105 $      1,607.00     83,979   SH         DEFINED       9,15         --       --     83,979
NISSAN MOTORS ADR       COMMON  654744408 $          2.00        100   SH         DEFINED          4        100       --         --
NISSAN MOTORS ADR       COMMON  654744408 $         22.00      1,100   SH         DEFINED          6         --       --      1,100
NOVA BIOSOURCE FUELS
   INC                  COMMON  65488W103 $      6,667.00  2,372,640   SH         DEFINED         24  2,372,640       --         --
NOKIA OYJ ADR           COMMON  654902204 $    277,068.00  7,304,723   SH         DEFINED          1  7,304,723       --         --
NOKIA OYJ ADR           COMMON  654902204 $    126,056.00  3,323,384   SH         DEFINED         12  3,308,684       --     14,700
NOKIA OYJ ADR           COMMON  654902204 $      9,196.00    242,458   SH         DEFINED         15    242,458       --         --
NOKIA OYJ ADR           COMMON  654902204 $        834.00     22,000   SH         DEFINED         19     22,000       --         --
NOKIA OYJ ADR           COMMON  654902204 $     15,842.00    417,653   SH         DEFINED          2    417,653       --         --
NOKIA OYJ ADR           COMMON  654902204 $      4,904.00    129,283   SH         DEFINED       21,2    129,283       --         --
NOKIA OYJ ADR           COMMON  654902204 $          1.00         32   SH         DEFINED         23         --       --         32
NOKIA OYJ ADR           COMMON  654902204 $      5,561.00    146,603   SH         DEFINED         24    146,603       --         --
NOKIA OYJ ADR           COMMON  654902204 $        331.00      8,735   SH         DEFINED          4      8,735       --         --
NOKIA OYJ ADR           COMMON  654902204 $        262.00      6,918   SH         DEFINED       5,15         --       --      6,918
NOKIA OYJ ADR           COMMON  654902204 $        469.00     12,372   SH         DEFINED          6      8,597       --      3,775
NOBLE ENERGY INC        COMMON  655044105 $     16,048.00    229,120   SH         DEFINED         15    112,420       --    115,400
NOBLE ENERGY INC        COMMON  655044105 $            --          4   SH         DEFINED         23         --       --          4
NOBLE ENERGY INC        COMMON  655044105 $     49,074.00    700,661   SH         DEFINED         24    700,661       --         --
NOBLE ENERGY INC        COMMON  655044105 $         15.00        210   SH         DEFINED          6         --       --        210
NOBLE ENERGY INC        COMMON  655044105 $        179.00      2,557   SH         DEFINED          8      2,557       --         --
NOBLE INTERNATIONAL
   LTD                  COMMON  655053106 $        263.00     12,336   SH         DEFINED         24     12,336       --         --
NOMURA HOLDINGS INC
   ADR                  COMMON  65535H208 $     47,684.00  2,863,932   SH         DEFINED         12  2,856,132       --      7,800
NOMURA HOLDINGS INC
   ADR                  COMMON  65535H208 $      1,158.00     69,525   SH         DEFINED         15     69,525       --         --
NOMURA HOLDINGS INC
   ADR                  COMMON  65535H208 $          2.00        125   SH         DEFINED          4        125       --         --
NOMURA HOLDINGS INC
   ADR                  COMMON  65535H208 $         13.00        800   SH         DEFINED          6         --       --        800
NORDSON CORP            COMMON  655663102 $        279.00      5,552   SH         DEFINED         24      5,552       --         --
NORDSTROM INC           COMMON  655664100 $     99,110.00  2,113,661   SH         DEFINED          1  2,113,661       --         --
NORDSTROM INC           COMMON  655664100 $        161.00      3,433   SH         DEFINED       1,15      3,433       --         --
NORDSTROM INC           COMMON  655664100 $      7,529.00    160,574   SH         DEFINED          2    160,574       --         --
NORDSTROM INC           COMMON  655664100 $         15.00        315   SH         DEFINED         23        177       --        138
NORDSTROM INC           COMMON  655664100 $        691.00     14,744   SH         DEFINED         24     14,744       --         --
NORDSTROM INC           COMMON  655664100 $     10,877.00    231,966   SH         DEFINED          6    181,721       --     50,245
NORDSTROM INC           COMMON  655664100 $        405.00      8,634   SH         DEFINED        9,2      8,634       --         --
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $        355.00      6,832   SH         DEFINED       1,15      6,832       --         --
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $      1,235.00     23,800   SH         DEFINED         15     12,200       --      9,500
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $        576.00     11,100   SH         DEFINED       15,8         --       --     11,100
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $         12.00        232   SH         DEFINED         23        140       --         92
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $      2,199.00     42,366   SH         DEFINED         24     42,366       --         --
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $      8,289.00    159,680   SH         DEFINED          6    145,716       --     13,964
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $        480.00      9,241   SH         DEFINED          8      9,241       --         --
NORFOLK SOUTHERN
   CORP                 COMMON  655844108 $        969.00     18,670   SH         DEFINED          9     18,670       --         --
NORSK HYDRO ASA ADR     COMMON  656531605 $     11,776.00    271,659   SH         DEFINED         24    271,659       --         --
NORTEL NETWORKS CP      COMMON  656568508 $     32,026.00  1,886,130   SH         DEFINED          1  1,886,130       --         --
NORTEL NETWORKS CP      COMMON  656568508 $        396.00     23,312   SH         DEFINED         15     23,312       --         --
NORTEL NETWORKS CP      COMMON  656568508 $          7.00        440   SH         DEFINED         23         --       --        440
NORTEL NETWORKS CP      COMMON  656568508 $     10,220.00    601,905   SH         DEFINED          4    601,905       --         --
NORTEL NETWORKS CP      COMMON  656568508 $         67.00      3,921   SH         DEFINED          6      3,921       --         --
NORTH AMERICAN
   GALVANIZING          COMMON  65686Y109 $        395.00     51,992   SH         DEFINED         24     51,992       --         --
NORTH AMER PALLADIUM
   LTD                  COMMON  656912102 $         10.00      1,350   SH         DEFINED          6      1,350       --         --
NORTH CENTRAL
   BANCSHARES INC       COMMON  658418108 $          3.00         88   SH         DEFINED         24         88       --         --
NORTH EUROPEAN OIL
   RTY TRUST            COMMON  659310106 $         20.00        600   SH         DEFINED         23        600       --         --
NORTH EUROPEAN OIL
   RTY TRUST            COMMON  659310106 $         20.00        600   SH         DEFINED          6         --       --        600
NORTH PITTSBURGH
   SYSTEMS              COMMON  661562108 $         53.00      2,219   SH         DEFINED         24      2,219       --         --
NORTHEAST UTILS         COMMON  664397106 $         16.00        568   SH         DEFINED         23         --       --        568
NORTHEAST UTILS         COMMON  664397106 $      1,669.00     58,426   SH         DEFINED         24     58,426       --         --
NORTHEAST UTILS         COMMON  664397106 $         30.00      1,050   SH         DEFINED          6        700       --        350
NIS GROUP CO LTD        COMMON    6646958 $          1.00        200   SH         DEFINED         24        200       --         --
NORTHERN TRUST CORP     COMMON  665859104 $     23,339.00    352,174   SH         DEFINED          1    352,174       --         --
NORTHERN TRUST CORP     COMMON  665859104 $        220.00      3,323   SH         DEFINED       1,15      3,323       --         --
NORTHERN TRUST CORP     COMMON  665859104 $        113.00      1,700   SH         DEFINED         15      1,200       --         --
NORTHERN TRUST CORP     COMMON  665859104 $        899.00     13,561   SH         DEFINED          2         --       --     13,561




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NORTHERN TRUST CORP     COMMON  665859104 $            --          5   SH         DEFINED         23         --       --          5
NORTHERN TRUST CORP     COMMON  665859104 $      6,281.00     94,779   SH         DEFINED         24     94,779       --         --
NORTHERN TRUST CORP     COMMON  665859104 $        342.00      5,163   SH         DEFINED          6      1,870       --      3,293
NORTHERN TRUST CORP     COMMON  665859104 $        349.00      5,267   SH         DEFINED          8      5,267       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $     87,286.00  1,119,049   SH         DEFINED          1  1,119,049       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $        465.00      5,963   SH         DEFINED       1,15      5,963       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $     30,431.00    390,146   SH         DEFINED         12    102,646       --    287,500
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $        347.00      4,450   SH         DEFINED      12,14      4,450       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $     13,225.00    169,548   SH         DEFINED         15    149,683       --     19,365
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $        317.00      4,060   SH         DEFINED          2      4,060       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $         33.00        420   SH         DEFINED      20,12        420       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $        850.00     10,900   SH         DEFINED      20,15         --       --     10,900
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $      2,117.00     27,140   SH         DEFINED      21,15         --       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $         76.00        980   SH         DEFINED       21,2        980       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $        373.00      4,785   SH         DEFINED         22      4,785       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $     25,110.00    321,919   SH         DEFINED         24    321,919       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $          1.00         18   SH         DEFINED          4         18       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $        413.00      5,300   SH         DEFINED       5,15         --       --      5,300
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $         81.00      1,034   SH         DEFINED          6        884       --        150
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $        524.00      6,721   SH         DEFINED          8      6,721       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $      6,445.00     82,626   SH         DEFINED          9     82,626       --         --
NORTHROP GRUMMAN
   CORP                 COMMON  666807102 $      2,208.00     28,313   SH         DEFINED       9,15         --       --     28,313
NORTHSTAR
   NEUROSCIENCE
   INC                  COMMON  66704V101 $          3.00        260   SH         DEFINED         23        260       --         --
NORTHWEST BANCORP
   INC                  COMMON  667328108 $     10,093.00    354,628   SH         DEFINED        1,3    354,628       --         --
NORTHWEST BANCORP
   INC                  COMMON  667328108 $        461.00     16,200   SH         DEFINED       20,3     16,200       --         --
NORTHWEST BANCORP
   INC                  COMMON  667328108 $      2,552.00     89,687   SH         DEFINED         24     89,687       --         --
NORTHWEST BANCORP
   INC                  COMMON  667328108 $      3,202.00    112,500   SH         DEFINED          3    112,500       --         --
NORTHWEST BANCORP
   INC                  COMMON  667328108 $        131.00      4,620   SH         DEFINED          6         --       --      4,620
NORTHWEST NATURAL
   GAS CO               COMMON  667655104 $        123.00      2,700   SH         DEFINED         15      2,700       --         --
NORTHWEST NATURAL
   GAS CO               COMMON  667655104 $      2,920.00     63,894   SH         DEFINED         24     63,894       --         --
NORTHWEST NATURAL
   GAS CO               COMMON  667655104 $         69.00      1,500   SH         DEFINED       5,15      1,500       --         --
NORTHWEST PIPE CO       COMMON  667746101 $        474.00     12,533   SH         DEFINED         24     12,533       --         --
NORTHWESTERN CORP       COMMON  668074305 $        138.00      5,071   SH         DEFINED         24      5,071       --         --
NOVA CHEMICALS CORP     COMMON  66977W109 $          9.00        233   SH         DEFINED         24        233       --         --
NOVA CHEMICALS CORP     COMMON  66977W109 $         85.00      2,218   SH         DEFINED          8      2,218       --         --
NOVATEL WIRELESS INC    COMMON  66987M604 $      8,164.00    360,450   SH         DEFINED         15    229,850       --    130,600
NOVATEL WIRELESS INC    COMMON  66987M604 $      1,750.00     77,267   SH         DEFINED         24     77,267       --         --
NOVATEL WIRELESS INC    COMMON  66987M604 $      1,375.00     60,700   SH         DEFINED       5,15     60,700       --         --
NOVATEL WIRELESS INC    COMMON  66987M604 $         38.00      1,675   SH         DEFINED          6      1,675       --         --
NOVARTIS ADR            COMMON  66987V109 $     88,942.00  1,618,296   SH         DEFINED          1  1,618,296       --         --
NOVARTIS ADR            COMMON  66987V109 $    142,815.00  2,598,520   SH         DEFINED         12  2,587,170       --     11,350
NOVARTIS ADR            COMMON  66987V109 $      8,343.00    151,793   SH         DEFINED         15    151,793       --         --
NOVARTIS ADR            COMMON  66987V109 $      5,510.00    100,252   SH         DEFINED          2    100,252       --         --
NOVARTIS ADR            COMMON  66987V109 $        148.00      2,692   SH         DEFINED       20,2         --       --      2,692
NOVARTIS ADR            COMMON  66987V109 $      3,398.00     61,825   SH         DEFINED       21,2         --       --     61,825
NOVARTIS ADR            COMMON  66987V109 $         36.00        653   SH         DEFINED         23        120       --        533
NOVARTIS ADR            COMMON  66987V109 $     13,844.00    251,900   SH         DEFINED          3    251,900       --         --
NOVARTIS ADR            COMMON  66987V109 $          5.00         96   SH         DEFINED          4         96       --         --
NOVARTIS ADR            COMMON  66987V109 $        223.00      4,063   SH         DEFINED       5,15         --       --      4,063
NOVARTIS ADR            COMMON  66987V109 $     12,375.00    225,167   SH         DEFINED          6    196,986       --     28,181
NU HORIZONS ELEC
   CORP                 COMMON  669908105 $        316.00     33,530   SH         DEFINED         24     33,530       --         --
NOVASTAR FINANCIAL
   INC                  COMMON  669947889 $         62.00      7,022   SH         DEFINED         24      7,022       --         --
NOVAMERICAN STEEL
   INC                  COMMON  669959108 $        425.00      8,373   SH         DEFINED         24      8,373       --         --
NOVELL INC              COMMON  670006105 $         47.00      6,119   SH         DEFINED       1,15      6,119       --         --
NOVELL INC              COMMON  670006105 $     10,485.00  1,372,400   SH         DEFINED         15    627,700       --    744,700
NOVELL INC              COMMON  670006105 $        409.00     53,593   SH         DEFINED         24     53,593       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $         59.00      2,149   SH         DEFINED       1,15      2,149       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $      2,196.00     80,572   SH         DEFINED         10     80,572       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $        136.00      5,000   SH         DEFINED      11,15      5,000       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $        933.00     34,220   SH         DEFINED       11,8     34,220       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $        588.00     21,559   SH         DEFINED         14     21,559       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $     29,364.00  1,077,200   SH         DEFINED         15    512,800       --    561,400
NOVELLUS SYSTEMS INC    COMMON  670008101 $        684.00     25,100   SH         DEFINED       15,8         --       --     25,100
NOVELLUS SYSTEMS INC    COMMON  670008101 $      2,243.00     82,285   SH         DEFINED         22     82,285       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $         22.00        800   SH         DEFINED         23         --       --        800




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NOVELLUS SYSTEMS INC    COMMON  670008101 $        455.00     16,689   SH         DEFINED         24     16,689       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $      3,398.00    124,652   SH         DEFINED          8    124,652       --         --
NOVELLUS SYSTEMS INC    COMMON  670008101 $      8,002.00    293,544   SH         DEFINED          9    293,544       --         --
NOVEN
   PHARMACEUTICALS
   INC                  COMMON  670009109 $      3,367.00    211,350   SH         DEFINED         15    146,450       --     64,900
NOVEN
   PHARMACEUTICALS
   INC                  COMMON  670009109 $         12.00        759   SH         DEFINED         24        759       --         --
NOVEN
   PHARMACEUTICALS
   INC                  COMMON  670009109 $        757.00     47,500   SH         DEFINED       5,15     47,500       --         --
NOVO-NORDISK A-S ADR    COMMON  670100205 $         72.00        595   SH         DEFINED         23         --       --        595
NOVO-NORDISK A-S ADR    COMMON  670100205 $      5,024.00     41,505   SH         DEFINED         24     41,505       --         --
NOVO-NORDISK A-S ADR    COMMON  670100205 $     13,864.00    114,544   SH         DEFINED          4    114,544       --         --
NU SKIN ENTERPRISES
   INC                  COMMON  67018T105 $        374.00     23,115   SH         DEFINED         24     23,115       --         --
NSTAR                   COMMON  67019E107 $        148.00      4,240   SH         DEFINED         15      3,540       --        700
NSTAR                   COMMON  67019E107 $      1,589.00     45,639   SH         DEFINED         24     45,639       --         --
NSTAR                   COMMON  67019E107 $        269.00      7,740   SH         DEFINED          6      6,540       --      1,200
NTELOS INC 144A WT      COMMON  67019U119 $            --     40,627   SH         DEFINED          1     40,627       --         --
NTELOS INC 144A WT      COMMON  67019U119 $            --         20   SH         DEFINED       21,2         20       --         --
NTELOS HOLDINGS CORP    COMMON  67020Q107 $      7,663.00    260,114   SH         DEFINED          1    260,114       --         --
NTELOS HOLDINGS CORP    COMMON  67020Q107 $      1,466.00     49,773   SH         DEFINED         24     49,773       --         --
NUANCE
   COMMUNICATIONS
   INC                  COMMON  67020Y100 $          6.00        329   SH         DEFINED         23        296       --         33
NUANCE
   COMMUNICATIONS
   INC                  COMMON  67020Y100 $        101.00      5,245   SH         DEFINED         24      5,245       --         --
NUANCE
   COMMUNICATIONS
   INC                  COMMON  67020Y100 $      2,134.00    110,500   SH         DEFINED          6     43,100       --     67,400
NUCOR CORP              COMMON  670346105 $        297.00      4,998   SH         DEFINED       1,15      4,998       --         --
NUCOR CORP              COMMON  670346105 $      5,249.00     88,260   SH         DEFINED         15     56,860       --     28,400
NUCOR CORP              COMMON  670346105 $        505.00      8,500   SH         DEFINED       15,8         --       --      8,500
NUCOR CORP              COMMON  670346105 $      1,094.00     18,400   SH         DEFINED         17     18,400       --         --
NUCOR CORP              COMMON  670346105 $         53.00        887   SH         DEFINED         22        887       --         --
NUCOR CORP              COMMON  670346105 $          1.00         14   SH         DEFINED         23         --       --         14
NUCOR CORP              COMMON  670346105 $      7,184.00    120,792   SH         DEFINED         24    120,792       --         --
NUCOR CORP              COMMON  670346105 $        678.00     11,397   SH         DEFINED          6      5,400       --      5,997
NUCOR CORP              COMMON  670346105 $        934.00     15,700   SH         DEFINED          7     15,700       --         --
NUCOR CORP              COMMON  670346105 $        698.00     11,745   SH         DEFINED          8     11,745       --         --
NUCOR CORP              COMMON  670346105 $        860.00     14,468   SH         DEFINED          9     14,468       --         --
NUCRYST
   PHARMACEUTICALS      COMMON  67035Q100 $      2,153.00    692,125   SH         DEFINED         24    692,125       --         --
NUMEREX CORP -CL A      COMMON  67053A102 $          8.00        966   SH         DEFINED         24        966       --         --
NUSTAR ENERGY LP        COMMON  67058H102 $         12.00        197   SH         DEFINED         23        146       --         51
NUSTAR ENERGY LP        COMMON  67058H102 $      5,217.00     87,806   SH         DEFINED          6     76,148       --     11,658
NUSTAR GP HOLDINGS
   LLC                  COMMON  67059L102 $          8.00        244   SH         DEFINED         23        228       --         16
NUSTAR GP HOLDINGS
   LLC                  COMMON  67059L102 $        253.00      8,145   SH         DEFINED         24      8,145       --         --
NUSTAR GP HOLDINGS
   LLC                  COMMON  67059L102 $      4,982.00    160,246   SH         DEFINED          6    147,874       --     12,372
NUVEEN PERFORMANCE
   PLUS MUNI C          COMMON  67062P108 $            --          3   SH         DEFINED         23         --       --          3
NUVEEN CALIF PERF+
   MUNI FD CEF          COMMON  67062Q106 $            --         27   SH         DEFINED         23         --       --         27
NUVEEN PREMIUM INC
   MUNI FUND C          COMMON  67062T100 $         21.00      1,543   SH         DEFINED          6      1,543       --         --
NUVEEN CAL MUNI MKT
   OPPOR FD C           COMMON  67062U107 $          3.00        200   SH         DEFINED         23         --       --        200
NUVEEN SELECT
   TAX-FREE INC 2 C     COMMON  67063C106 $         26.00      1,877   SH         DEFINED          6      1,877       --         --
NUVEEN PREMIUM INC
   MUNI FD 2 C          COMMON  67063W102 $         20.00      1,476   SH         DEFINED          6      1,476       --         --
NVIDIA CORP             COMMON  67066G104 $     92,779.00  2,560,138   SH         DEFINED          1  2,560,138       --         --
NVIDIA CORP             COMMON  67066G104 $      5,908.00    163,028   SH         DEFINED       1,15    163,028       --         --
NVIDIA CORP             COMMON  67066G104 $     28,401.00    783,695   SH         DEFINED         15    567,395       --    194,950
NVIDIA CORP             COMMON  67066G104 $        591.00     16,300   SH         DEFINED      15,14         --       --     16,300
NVIDIA CORP             COMMON  67066G104 $      1,522.00     42,000   SH         DEFINED       15,8         --       --     42,000
NVIDIA CORP             COMMON  67066G104 $        872.00     24,050   SH         DEFINED         19     24,050       --         --
NVIDIA CORP             COMMON  67066G104 $      6,885.00    189,980   SH         DEFINED          2    161,250       --     28,730
NVIDIA CORP             COMMON  67066G104 $      2,745.00     75,740   SH         DEFINED       21,2     75,740       --         --
NVIDIA CORP             COMMON  67066G104 $        134.00      3,711   SH         DEFINED         22      3,711       --         --
NVIDIA CORP             COMMON  67066G104 $         12.00        344   SH         DEFINED         23        276       --         68
NVIDIA CORP             COMMON  67066G104 $     30,332.00    836,965   SH         DEFINED         24    836,965       --         --
NVIDIA CORP             COMMON  67066G104 $      2,887.00     79,650   SH         DEFINED          3     79,650       --         --
NVIDIA CORP             COMMON  67066G104 $      1,580.00     43,600   SH         DEFINED       5,15     43,600       --         --
NVIDIA CORP             COMMON  67066G104 $      7,431.00    205,047   SH         DEFINED          6    119,471       --     85,576
NVIDIA CORP             COMMON  67066G104 $        632.00     17,447   SH         DEFINED          8     17,447       --         --
NVIDIA CORP             COMMON  67066G104 $        473.00     13,042   SH         DEFINED          9     13,042       --         --
NUTRISYSTEM INC         COMMON  67069D108 $     16,041.00    342,100   SH         DEFINED        1,3    342,100       --         --
NUTRISYSTEM INC         COMMON  67069D108 $        586.00     12,500   SH         DEFINED       20,3     12,500       --         --
NUTRISYSTEM INC         COMMON  67069D108 $      2,327.00     49,621   SH         DEFINED         24     49,621       --         --
NUTRISYSTEM INC         COMMON  67069D108 $      5,256.00    112,100   SH         DEFINED          3    112,100       --         --
NUTRISYSTEM INC         COMMON  67069D108 $          4.00         95   SH         DEFINED          6         --       --         95




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
NUTRISYSTEM INC         COMMON  67069D108 $         77.00      1,640   SH         DEFINED          8      1,640       --         --
NUTRISYSTEM INC         COMMON  67069D108 $        331.00      7,068   SH         DEFINED          9      7,068       --         --
NUVASIVE INC            COMMON  670704105 $     16,410.00    456,731   SH         DEFINED          1    456,731       --         --
NUVASIVE INC            COMMON  670704105 $     10,851.00    301,997   SH         DEFINED          2    301,997       --         --
NUVASIVE INC            COMMON  670704105 $            --          3   SH         DEFINED         23         --       --          3
NUVASIVE INC            COMMON  670704105 $          3.00         89   SH         DEFINED         24         89       --         --
NUVEEN REAL ESTATE
   INCOME CF            COMMON  67071B108 $        800.00     35,400   SH         DEFINED       1,15     35,400       --         --
NUVEEN QUALITY
   PREFERRED II CF      COMMON  67072C105 $          9.00        700   SH         DEFINED         23         --       --        700
NUVEEN QUALITY
   PREFERRED II CF      COMMON  67072C105 $         13.00      1,000   SH         DEFINED          6      1,000       --         --
NXSTAGE MEDICAL INC     COMMON  67072V103 $      9,390.00    648,043   SH         DEFINED          1    648,043       --         --
NXSTAGE MEDICAL INC     COMMON  67072V103 $         59.00      4,100   SH         DEFINED         19      4,100       --         --
NXSTAGE MEDICAL INC     COMMON  67072V103 $        775.00     53,474   SH         DEFINED          2     53,474       --         --
NXSTAGE MEDICAL INC     COMMON  67072V103 $         19.00      1,328   SH         DEFINED       20,2         --       --      1,328
NXSTAGE MEDICAL INC     COMMON  67072V103 $      1,194.00     82,394   SH         DEFINED       21,2         --       --     82,394
O CHARLEYS INC          COMMON  670823103 $         45.00      3,000   SH         DEFINED         15      3,000       --         --
O CHARLEYS INC          COMMON  670823103 $        414.00     27,332   SH         DEFINED         24     27,332       --         --
OGE ENERGY CORP         COMMON  670837103 $      3,442.00    104,000   SH         DEFINED          1    104,000       --         --
OGE ENERGY CORP         COMMON  670837103 $        579.00     17,480   SH         DEFINED         15     15,680       --        700
OGE ENERGY CORP         COMMON  670837103 $          1.00         18   SH         DEFINED         23         --       --         18
OGE ENERGY CORP         COMMON  670837103 $        523.00     15,808   SH         DEFINED         24     15,808       --         --
OM GROUP INC            COMMON  670872100 $     10,095.00    191,150   SH         DEFINED         15    136,650       --     54,500
OM GROUP INC            COMMON  670872100 $     28,947.00    548,144   SH         DEFINED         24    548,144       --         --
OM GROUP INC            COMMON  670872100 $      2,508.00     47,500   SH         DEFINED       5,15     47,500       --         --
OM GROUP INC            COMMON  670872100 $         96.00      1,825   SH         DEFINED          6         --       --      1,825
NUVEEN INVESTMENTS
   INC                  COMMON  67090F106 $        752.00     12,138   SH         DEFINED         24     12,138       --         --
NUVEEN MUNICIPAL
   VALUE FUND CF        COMMON  670928100 $            --          7   SH         DEFINED         23         --       --          7
OSI PHARMACEUTICALS
   INC                  COMMON  671040103 $      8,516.00    250,544   SH         DEFINED          1    250,544       --         --
OSI PHARMACEUTICALS
   INC                  COMMON  671040103 $         37.00      1,100   SH         DEFINED         19      1,100       --         --
OSI PHARMACEUTICALS
   INC                  COMMON  671040103 $        707.00     20,800   SH         DEFINED          2     20,800       --         --
OSI PHARMACEUTICALS
   INC                  COMMON  671040103 $         17.00        508   SH         DEFINED       20,2         --       --        508
OSI PHARMACEUTICALS
   INC                  COMMON  671040103 $      1,144.00     33,648   SH         DEFINED       21,2         --       --     33,648
OSI PHARMACEUTICALS
   INC                  COMMON  671040103 $      7,770.00    228,590   SH         DEFINED         24    228,590       --         --
OSI SYSTEMS INC         COMMON  671044105 $      1,130.00     50,216   SH         DEFINED         24     50,216       --         --
O2MICRO
   INTERNATIONAL-ADR    COMMON  67107W100 $        826.00     53,372   SH         DEFINED         24     53,372       --         --
OAK HILL FINANCIAL
   INC                  COMMON  671337103 $          3.00         86   SH         DEFINED         23         --       --         86
OAK HILL FINANCIAL
   INC                  COMMON  671337103 $         11.00        356   SH         DEFINED         24        356       --         --
OAKLEY INC              COMMON  673662102 $        140.00      4,808   SH         DEFINED         24      4,808       --         --
OBAGI MEDICAL
   PRODUCTS INC         COMMON  67423R108 $        253.00     13,719   SH         DEFINED         24     13,719       --         --
OCCAM NETWORKS
   INC                  COMMON  67457P309 $          3.00        310   SH         DEFINED          6        310       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $    305,949.00  4,774,491   SH         DEFINED          1  4,774,491       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $        923.00     14,408   SH         DEFINED       1,15     14,408       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $         37.00        577   SH         DEFINED         14        577       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $     15,416.00    240,577   SH         DEFINED       14,2        577       --    240,000
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $     39,485.00    616,180   SH         DEFINED         15    494,980       --     97,100
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $        942.00     14,700   SH         DEFINED      15,14         --       --     14,700
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $      2,300.00     35,900   SH         DEFINED       15,8         --       --     35,900
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $     19,470.00    303,841   SH         DEFINED          2    303,841       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $            --          4   SH         DEFINED         23         --       --          4
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $     20,235.00    315,778   SH         DEFINED         24    315,778       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $      2,385.00     37,215   SH         DEFINED          4     37,215       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $      1,307.00     20,400   SH         DEFINED       5,15     20,400       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $        752.00     11,740   SH         DEFINED          6      9,545       --      2,195
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $      1,307.00     20,400   SH         DEFINED          7     20,400       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $      1,901.00     29,664   SH         DEFINED          8     29,664       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $      3,110.00     48,536   SH         DEFINED          9     48,536       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $      4,889.00     76,300   SH         DEFINED       9,15     76,300       --         --
OCCIDENTAL PETROLEUM
   CORP                 COMMON  674599105 $        528.00      8,246   SH         DEFINED        9,2      8,246       --         --
OCEANEERING INTL INC    COMMON  675232102 $      8,293.00    109,403   SH         DEFINED          1    109,403       --         --
OCEANEERING INTL INC    COMMON  675232102 $     14,796.00    195,195   SH         DEFINED         24    195,195       --         --
OCEANEERING INTL INC    COMMON  675232102 $         53.00        699   SH         DEFINED          6         --       --        699
OCEANFIRST FINANCIAL
   CORP                 COMMON  675234108 $         76.00      4,400   SH         DEFINED         15      4,400       --         --
OCEANFIRST FINANCIAL
   CORP                 COMMON  675234108 $         45.00      2,600   SH         DEFINED       5,15      2,600       --         --
OCWEN FINANCIAL CORP    COMMON  675746309 $      2,743.00    290,900   SH         DEFINED         15    169,500       --    121,400
OCWEN FINANCIAL CORP    COMMON  675746309 $        548.00     58,098   SH         DEFINED         24     58,098       --         --
OCWEN FINANCIAL CORP    COMMON  675746309 $        354.00     37,500   SH         DEFINED       5,15     37,500       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ODYSSEY HEALTHCARE
   INC                  COMMON  67611V101 $         34.00      3,522   SH         DEFINED         24      3,522       --         --
ODYSSEY RE HOLDINGS
   CORP                 COMMON  67612W108 $      1,506.00     40,590   SH         DEFINED          1     40,590       --         --
ODYSSEY RE HOLDINGS
   CORP                 COMMON  67612W108 $        137.00      3,700   SH         DEFINED       1,15      3,700       --         --
ODYSSEY RE HOLDINGS
   CORP                 COMMON  67612W108 $      8,805.00    237,270   SH         DEFINED         15    162,070       --     74,100
ODYSSEY RE HOLDINGS
   CORP                 COMMON  67612W108 $        174.00      4,700   SH         DEFINED       15,8         --       --      4,700
ODYSSEY RE HOLDINGS
   CORP                 COMMON  67612W108 $      3,272.00     88,167   SH         DEFINED         24     88,167       --         --
ODYSSEY RE HOLDINGS
   CORP                 COMMON  67612W108 $      1,729.00     46,600   SH         DEFINED       5,15     46,600       --         --
OFFICE DEPOT INC        COMMON  676220106 $         98.00      4,752   SH         DEFINED       1,15      4,752       --         --
OFFICE DEPOT INC        COMMON  676220106 $          7.00        350   SH         DEFINED         22        350       --         --
OFFICE DEPOT INC        COMMON  676220106 $      1,010.00     48,963   SH         DEFINED         24     48,963       --         --
OFFICE DEPOT INC        COMMON  676220106 $         38.00      1,842   SH         DEFINED          6      1,610       --        232
OFFICE DEPOT INC        COMMON  676220106 $        129.00      6,237   SH         DEFINED          8      6,237       --         --
OFFICEMAX INC           COMMON  67622P101 $         44.00      1,297   SH         DEFINED       1,15      1,297       --         --
OFFICEMAX INC           COMMON  67622P101 $        398.00     11,621   SH         DEFINED         24     11,621       --         --
OFFICEMAX INC           COMMON  67622P101 $         69.00      2,005   SH         DEFINED          6         --       --      2,005
OIL STATES
   INTERNATIONAL INC    COMMON  678026105 $      4,470.00     92,550   SH         DEFINED         15     59,850       --     32,700
OIL STATES
   INTERNATIONAL INC    COMMON  678026105 $     13,929.00    288,387   SH         DEFINED         24    288,387       --         --
OIL STATES
   INTERNATIONAL INC    COMMON  678026105 $        502.00     10,400   SH         DEFINED       5,15     10,400       --         --
OLD DOMINION FREIGHT
   LINE                 COMMON  679580100 $        103.00      4,315   SH         DEFINED         24      4,315       --         --
OLD NATL BANCORP        COMMON  680033107 $        355.00     21,400   SH         DEFINED         15     21,400       --         --
OLD NATL BANCORP        COMMON  680033107 $      9,226.00    556,805   SH         DEFINED         24    556,805       --         --
OLD NATL BANCORP        COMMON  680033107 $        121.00      7,300   SH         DEFINED       5,15      7,300       --         --
OLD NATL BANCORP        COMMON  680033107 $         64.00      3,850   SH         DEFINED          6         --       --      3,850
OLD REPUBLIC
   INTERNATIONAL COR    COMMON  680223104 $      1,810.00     96,571   SH         DEFINED         24     96,571       --         --
OLD REPUBLIC
   INTERNATIONAL COR    COMMON  680223104 $        522.00     27,849   SH         DEFINED          6      6,010       --     21,839
OLD REPUBLIC
   INTERNATIONAL COR    COMMON  680223104 $         86.00      4,588   SH         DEFINED          8      4,588       --         --
OLD SECOND BANCORP
   INC                  COMMON  680277100 $      1,084.00     38,050   SH         DEFINED         15     25,150       --     12,900
OLD SECOND BANCORP
   INC                  COMMON  680277100 $         52.00      1,821   SH         DEFINED         24      1,821       --         --
OLD SECOND BANCORP
   INC                  COMMON  680277100 $        245.00      8,600   SH         DEFINED       5,15      8,600       --         --
OLIN CORP               COMMON  680665205 $      4,613.00    206,128   SH         DEFINED         24    206,128       --         --
OLYMPIC STEEL INC       COMMON  68162K106 $        423.00     15,586   SH         DEFINED         24     15,586       --         --
OMNICARE INC            COMMON  681904108 $         10.00        295   SH         DEFINED         23        295       --         --
OMNICARE INC            COMMON  681904108 $        328.00      9,903   SH         DEFINED         24      9,903       --         --
OMNICARE INC            COMMON  681904108 $        554.00     16,721   SH         DEFINED          6      1,710       --     15,011
OMNICARE INC            COMMON  681904108 $         53.00      1,600   SH         DEFINED          8      1,600       --         --
OMNICOM GROUP           COMMON  681919106 $    271,498.00  5,645,631   SH         DEFINED          1  5,645,631       --         --
OMNICOM GROUP           COMMON  681919106 $        467.00      9,715   SH         DEFINED       1,15      9,715       --         --
OMNICOM GROUP           COMMON  681919106 $        625.00     13,000   SH         DEFINED      11,15     13,000       --         --
OMNICOM GROUP           COMMON  681919106 $      5,539.00    115,176   SH         DEFINED       14,2         --       --    115,176
OMNICOM GROUP           COMMON  681919106 $     49,834.00  1,036,263   SH         DEFINED         15    810,463       --    197,400
OMNICOM GROUP           COMMON  681919106 $        606.00     12,600   SH         DEFINED      15,14         --       --     12,600
OMNICOM GROUP           COMMON  681919106 $      4,107.00     85,400   SH         DEFINED       15,8         --       --     85,400
OMNICOM GROUP           COMMON  681919106 $          3.00         62   SH         DEFINED         22         62       --         --
OMNICOM GROUP           COMMON  681919106 $          4.00         90   SH         DEFINED         23         51       --         39
OMNICOM GROUP           COMMON  681919106 $      4,521.00     94,006   SH         DEFINED         24     94,006       --         --
OMNICOM GROUP           COMMON  681919106 $      6,612.00    137,500   SH         DEFINED          3    137,500       --         --
OMNICOM GROUP           COMMON  681919106 $     27,433.00    570,454   SH         DEFINED          4    570,454       --         --
OMNICOM GROUP           COMMON  681919106 $      2,606.00     54,200   SH         DEFINED       5,15     54,200       --         --
OMNICOM GROUP           COMMON  681919106 $      5,859.00    121,824   SH         DEFINED          6    112,930       --      8,894
OMNICOM GROUP           COMMON  681919106 $      1,008.00     20,958   SH         DEFINED          8     20,958       --         --
OMNICOM GROUP           COMMON  681919106 $      2,019.00     41,990   SH         DEFINED          9     41,990       --         --
OMNICOM GROUP           COMMON  681919106 $      3,876.00     80,600   SH         DEFINED       9,15     80,600       --         --
OMEGA HEALTHCARE
   INVS INC             COMMON  681936100 $      9,257.00    596,100   SH         DEFINED         15    381,800       --    214,300
OMEGA HEALTHCARE
   INVS INC             COMMON  681936100 $            --         10   SH         DEFINED         23         --       --         10
OMEGA HEALTHCARE
   INVS INC             COMMON  681936100 $         95.00      6,093   SH         DEFINED         24      6,093       --         --
OMEGA HEALTHCARE
   INVS INC             COMMON  681936100 $      2,090.00    134,600   SH         DEFINED       5,15    134,600       --         --
OMEGA HEALTHCARE
   INVS INC             COMMON  681936100 $      1,087.00     70,000   SH         DEFINED          6     41,100       --     28,900
OMRIX BIO-
   PHARMACEUTICALS
   INC                  COMMON  681989109 $        786.00     22,252   SH         DEFINED         24     22,252       --         --
OMEGA FINANCIAL CORP    COMMON  682092101 $        122.00      4,627   SH         DEFINED         15      4,627       --         --
OMEGA FINANCIAL CORP    COMMON  682092101 $      7,394.00    279,957   SH         DEFINED         24    279,957       --         --
OMEGA FINANCIAL CORP    COMMON  682092101 $         71.00      2,700   SH         DEFINED       5,15      2,700       --         --
OMEGA PROTEIN CORP      COMMON  68210P107 $        436.00     48,166   SH         DEFINED         24     48,166       --         --
OMNIVISION
   TECHNOLOGIES         COMMON  682128103 $        118.00      5,184   SH         DEFINED         24      5,184       --         --
OMNIVISION
   TECHNOLOGIES         COMMON  682128103 $         54.00      2,355   SH         DEFINED          6         --       --      2,355
OMNITURE INC            COMMON  68212S109 $      7,116.00    234,686   SH         DEFINED          1    234,686       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
OMNITURE INC            COMMON  68212S109 $      5,340.00    176,116   SH         DEFINED          2    176,116       --         --
OMNICELL INC            COMMON  68213N109 $     10,787.00    377,961   SH         DEFINED          1    377,961       --         --
OMNICELL INC            COMMON  68213N109 $      1,788.00     62,638   SH         DEFINED         24     62,638       --         --
ON ASSIGNMENT INC       COMMON  682159108 $        216.00     23,134   SH         DEFINED         24     23,134       --         --
ON ASSIGNMENT INC       COMMON  682159108 $         16.00      1,700   SH         DEFINED          6      1,700       --         --
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $     72,284.00  5,755,076   SH         DEFINED          1  5,755,076       --         --
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $        294.00     23,400   SH         DEFINED       1,15     23,400       --         --
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $     34,801.00  2,770,742   SH         DEFINED         15  1,523,742       --  1,243,700
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $      1,193.00     95,000   SH         DEFINED         19     95,000       --         --
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $      1,082.00     86,125   SH         DEFINED          2         --       --     86,125
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $      2,223.00    177,016   SH         DEFINED       21,2    177,016       --         --
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $          1.00        100   SH         DEFINED         23         --       --        100
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $      6,322.00    503,311   SH         DEFINED         24    503,311       --         --
ON SEMICONDUCTOR
   CORPORATION          COMMON  682189105 $      1,405.00    111,900   SH         DEFINED       5,15    111,900       --         --
1-800-FLOWERS.COM
   INC-CL A             COMMON  68243Q106 $      1,128.00     97,300   SH         DEFINED         24     97,300       --         --
1-800-FLOWERS.COM
   INC-CL A             COMMON  68243Q106 $          3.00        300   SH         DEFINED          6        300       --         --
ONEOK INC               COMMON  682680103 $         28.00        600   SH         DEFINED         23        600       --         --
ONEOK INC               COMMON  682680103 $      1,702.00     35,909   SH         DEFINED         24     35,909       --         --
ONEOK INC               COMMON  682680103 $        554.00     11,690   SH         DEFINED          6         --       --     11,690
ONEOK PARTNERS LP       COMMON  68268N103 $         14.00        240   SH         DEFINED          6        240       --         --
ONLINE RESOURCES
   CORP                 COMMON  68273G101 $          4.00        300   SH         DEFINED          6        300       --         --
ONYX PHARMACEUTICALS
   INC                  COMMON  683399109 $     19,904.00    457,349   SH         DEFINED          1    457,349       --         --
ONYX PHARMACEUTICALS
   INC                  COMMON  683399109 $        191.00      4,400   SH         DEFINED         19      4,400       --         --
ONYX PHARMACEUTICALS
   INC                  COMMON  683399109 $      1,645.00     37,803   SH         DEFINED          2     37,803       --         --
ONYX PHARMACEUTICALS
   INC                  COMMON  683399109 $         41.00        950   SH         DEFINED       20,2         --       --        950
ONYX PHARMACEUTICALS
   INC                  COMMON  683399109 $      2,566.00     58,958   SH         DEFINED       21,2         --       --     58,958
ONYX PHARMACEUTICALS
   INC                  COMMON  683399109 $      6,959.00    159,907   SH         DEFINED         24    159,907       --         --
ONYX PHARMACEUTICALS
   INC                  COMMON  683399109 $         85.00      1,960   SH         DEFINED          6         --       --      1,960
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $     69,908.00  2,585,350   SH         DEFINED          1  2,585,350       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $      2,988.00    110,500   SH         DEFINED       10,9    110,500       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $      7,859.00    290,653   SH         DEFINED       14,2    290,653       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $      6,260.00    231,500   SH         DEFINED         20    231,500       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $      1,311.00     48,475   SH         DEFINED        3,1     48,475       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $     23,406.00    865,595   SH         DEFINED          4    865,595       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $         41.00      1,500   SH         DEFINED          6         --       --      1,500
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $      1,341.00     49,600   SH         DEFINED          9     49,600       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $        579.00     21,400   SH         DEFINED       9,15     21,400       --         --
OPEN JT STK
   CO-VIMPEL
   COMMUNIC             COMMON  68370R109 $      1,555.00     57,500   SH         DEFINED       9,22     57,500       --         --
OPEN TEXT CORP          COMMON  683715106 $      7,067.00    272,133   SH         DEFINED          1    272,133       --         --
OPEN TEXT CORP          COMMON  683715106 $        397.00     15,200   SH         DEFINED          2     15,200       --         --
OPEN TEXT CORP          COMMON  683715106 $     12,845.00    494,600   SH         DEFINED          3    494,600       --         --
OPEN TEXT CORP          COMMON  683715106 $     26,318.00  1,008,000   SH         DEFINED        3,1  1,008,000       --         --
OPENWAVE SYSTEMS INC    COMMON  683718308 $         17.00      3,856   SH         DEFINED         24      3,856       --         --
OPLINK
   COMMUNICATIONS
   INC                  COMMON  68375Q403 $        373.00     27,277   SH         DEFINED         17         --       --     27,277
OPLINK
   COMMUNICATIONS
   INC                  COMMON  68375Q403 $         95.00      6,950   SH         DEFINED          6         --       --      6,950
OPNEXT INC              COMMON  68375V105 $     10,323.00    889,907   SH         DEFINED          1    889,907       --         --
OPNEXT INC              COMMON  68375V105 $      1,189.00    102,492   SH         DEFINED       21,2    102,492       --         --
OPPENHEIMER HOLDINGS
   INC                  COMMON  683797104 $        361.00      8,674   SH         DEFINED         24      8,674       --         --
ORACLE CORPORATION      COMMON  68389X105 $    103,110.00  4,762,599   SH         DEFINED          1  4,762,599       --         --
ORACLE CORPORATION      COMMON  68389X105 $      1,479.00     68,304   SH         DEFINED       1,15     68,304       --         --
ORACLE CORPORATION      COMMON  68389X105 $      2,070.00     95,600   SH         DEFINED        1,3     95,600       --         --
ORACLE CORPORATION      COMMON  68389X105 $     43,563.00  2,012,162   SH         DEFINED         12    448,562       --  1,563,600
ORACLE CORPORATION      COMMON  68389X105 $        416.00     19,200   SH         DEFINED      12,14     19,200       --         --
ORACLE CORPORATION      COMMON  68389X105 $         55.00      2,545   SH         DEFINED         14      2,545       --         --
ORACLE CORPORATION      COMMON  68389X105 $         55.00      2,545   SH         DEFINED       14,2      2,545       --         --
ORACLE CORPORATION      COMMON  68389X105 $     19,553.00    903,151   SH         DEFINED         15    769,386       --    121,165
ORACLE CORPORATION      COMMON  68389X105 $      1,723.00     79,600   SH         DEFINED       15,8         --       --     79,600
ORACLE CORPORATION      COMMON  68389X105 $      1,390.00     64,200   SH         DEFINED         19     64,200       --         --
ORACLE CORPORATION      COMMON  68389X105 $     12,827.00    592,466   SH         DEFINED          2    592,466       --         --
ORACLE CORPORATION      COMMON  68389X105 $         23.00      1,045   SH         DEFINED      20,12      1,045       --         --
ORACLE CORPORATION      COMMON  68389X105 $      1,013.00     46,800   SH         DEFINED      20,15         --       --     46,800
ORACLE CORPORATION      COMMON  68389X105 $     10,691.00    493,800   SH         DEFINED       20,3    493,800       --         --
ORACLE CORPORATION      COMMON  68389X105 $      2,957.00    136,590   SH         DEFINED      21,15         --       --         --
ORACLE CORPORATION      COMMON  68389X105 $      2,161.00     99,821   SH         DEFINED       21,2     99,821       --         --
ORACLE CORPORATION      COMMON  68389X105 $      3,544.00    163,700   SH         DEFINED       21,3    163,700       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ORACLE CORPORATION      COMMON  68389X105 $         10.00        450   SH         DEFINED         22        450       --         --
ORACLE CORPORATION      COMMON  68389X105 $         25.00      1,153   SH         DEFINED         23        548       --        605
ORACLE CORPORATION      COMMON  68389X105 $     49,102.00  2,268,007   SH         DEFINED         24  2,268,007       --         --
ORACLE CORPORATION      COMMON  68389X105 $    361,405.00 16,693,088   SH         DEFINED          3 16,693,088       --         --
ORACLE CORPORATION      COMMON  68389X105 $        635.00     29,343   SH         DEFINED          4     29,343       --         --
ORACLE CORPORATION      COMMON  68389X105 $        573.00     26,485   SH         DEFINED       5,15         --       --     26,485
ORACLE CORPORATION      COMMON  68389X105 $     12,512.00    577,918   SH         DEFINED          6    413,630       --    164,288
ORACLE CORPORATION      COMMON  68389X105 $      1,458.00     67,367   SH         DEFINED          8     67,367       --         --
ORACLE CORPORATION      COMMON  68389X105 $      3,525.00    162,810   SH         DEFINED          9    162,810       --         --
ORACLE CORPORATION      COMMON  68389X105 $      2,616.00    120,817   SH         DEFINED       9,15         --       --    120,817
OPTIONSXPRESS INC       COMMON  684010101 $        110.00      4,200   SH         DEFINED         15         --       --      4,200
OPTIONSXPRESS INC       COMMON  684010101 $          5.00        180   SH         DEFINED         23        151       --         29
OPTIONSXPRESS INC       COMMON  684010101 $      1,918.00     73,365   SH         DEFINED         24     73,365       --         --
OPTIONSXPRESS INC       COMMON  684010101 $      3,059.00    117,015   SH         DEFINED          6     69,229       --     47,786
ORASURE TECHNOLOGIES
   INC                  COMMON  68554V108 $        291.00     28,979   SH         DEFINED         24     28,979       --         --
ORBITAL SCIENCES
   CORP                 COMMON  685564106 $      3,785.00    170,200   SH         DEFINED         15     94,800       --     75,400
ORBITAL SCIENCES
   CORP                 COMMON  685564106 $      2,584.00    116,191   SH         DEFINED         24    116,191       --         --
ORBITAL SCIENCES
   CORP                 COMMON  685564106 $        534.00     24,000   SH         DEFINED       5,15     24,000       --         --
ORBITAL SCIENCES
   CORP                 COMMON  685564106 $        146.00      6,570   SH         DEFINED          6         --       --      6,570
ORBITZ WORLDWIDE INC    COMMON  68557K109 $     36,756.00  3,255,626   SH         DEFINED          1  3,255,626       --         --
ORBITZ WORLDWIDE INC    COMMON  68557K109 $        603.00     53,396   SH         DEFINED          2         --       --     53,396
O'REILLY AUTOMOTIVE
   INC                  COMMON  686091109 $        225.00      6,738   SH         DEFINED         24      6,738       --         --
O'REILLY AUTOMOTIVE
   INC                  COMMON  686091109 $        301.00      9,000   SH         DEFINED          3      9,000       --         --
O'REILLY AUTOMOTIVE
   INC                  COMMON  686091109 $         47.00      1,400   SH         DEFINED          6        400       --      1,000
ORIENTAL FINANCIAL
   GROUP                COMMON  68618W100 $         59.00      5,100   SH         DEFINED         15      5,100       --         --
ORIENTAL FINANCIAL
   GROUP                COMMON  68618W100 $        525.00     45,663   SH         DEFINED         24     45,663       --         --
ORITANI FINANCIAL
   CORP                 COMMON  686323106 $        967.00     61,019   SH         DEFINED         15     44,319       --     16,700
ORITANI FINANCIAL
   CORP                 COMMON  686323106 $        269.00     17,000   SH         DEFINED       5,15     17,000       --         --
ORIX CORP ADR           COMMON  686330101 $      1,775.00     15,662   SH         DEFINED         24     15,662       --         --
ORIX CORP ADR           COMMON  686330101 $     17,265.00    152,319   SH         DEFINED          4    152,319       --         --
ORIX CORP ADR           COMMON  686330101 $         18.00        160   SH         DEFINED          6         --       --        160
ORMAT TECHNOLOGIES
   INC                  COMMON  686688102 $     38,363.00    827,857   SH         DEFINED         24    827,857       --         --
OSCIENT
   PHARMACEUTICALS
   CORP                 COMMON  68812R303 $            --         25   SH         DEFINED          6         25       --         --
OSHKOSH TRUCK CORP      COMMON  688239201 $         50.00        800   SH         DEFINED         23         --       --        800
OSHKOSH TRUCK CORP      COMMON  688239201 $     10,819.00    174,587   SH         DEFINED         24    174,587       --         --
OSHKOSH TRUCK CORP      COMMON  688239201 $      1,004.00     16,200   SH         DEFINED          6         --       --     16,200
OSTEOTECH INC           COMMON  688582105 $        466.00     61,951   SH         DEFINED         24     61,951       --         --
OTTER TAIL CORP         COMMON  689648103 $      6,604.00    185,245   SH         DEFINED         24    185,245       --         --
OVERLAND STORAGE INC    COMMON  690310107 $          1.00        851   SH         DEFINED         24        851       --         --
OVERSEAS SHIPHOLDING
   GROUP INC            COMMON  690368105 $        704.00      9,168   SH         DEFINED          1      9,168       --         --
OVERSEAS SHIPHOLDING
   GROUP INC            COMMON  690368105 $      3,857.00     50,200   SH         DEFINED         15     25,900       --     24,300
OVERSEAS SHIPHOLDING
   GROUP INC            COMMON  690368105 $     13,321.00    173,383   SH         DEFINED         24    173,383       --         --
OVERSTOCK.COM INC       COMMON  690370101 $        602.00     20,900   SH         DEFINED         15     20,900       --         --
OVERSTOCK.COM INC       COMMON  690370101 $        399.00     13,860   SH         DEFINED         24     13,860       --         --
OWENS & MINOR INC       COMMON  690732102 $      6,615.00    173,658   SH         DEFINED          1    173,658       --         --
OWENS & MINOR INC       COMMON  690732102 $        293.00      7,686   SH         DEFINED         24      7,686       --         --
OWENS CORNING INC
   -CW13 WTS            COMMON  690742127 $            --         57   SH         DEFINED          6         57       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $     67,559.00  1,629,881   SH         DEFINED          1  1,629,881       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $      1,268.00     30,600   SH         DEFINED       1,15     30,600       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $      1,865.00     45,004   SH         DEFINED         10     45,004       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $      1,471.00     35,500   SH         DEFINED      11,15     35,500       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $        832.00     20,082   SH         DEFINED       11,8     20,082       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $        500.00     12,066   SH         DEFINED         14     12,066       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $    103,843.00  2,505,250   SH         DEFINED         15  1,657,350       --    796,200
OWENS-ILLINOIS INC      COMMON  690768403 $      1,990.00     48,000   SH         DEFINED      15,14         --       --     48,000
OWENS-ILLINOIS INC      COMMON  690768403 $      3,362.00     81,100   SH         DEFINED       15,8         --       --     81,100
OWENS-ILLINOIS INC      COMMON  690768403 $      1,699.00     40,998   SH         DEFINED          2         --       --     40,998
OWENS-ILLINOIS INC      COMMON  690768403 $        523.00     12,622   SH         DEFINED         21     12,622       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $      2,139.00     51,612   SH         DEFINED         22     51,612       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $     28,592.00    689,796   SH         DEFINED         24    689,796       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $      2,761.00     66,600   SH         DEFINED       5,15     66,600       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $         12.00        300   SH         DEFINED          6         --       --        300
OWENS-ILLINOIS INC      COMMON  690768403 $      3,953.00     95,378   SH         DEFINED          8     95,378       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $      9,847.00    237,565   SH         DEFINED          9    237,565       --         --
OWENS-ILLINOIS INC      COMMON  690768403 $      3,780.00     91,200   SH         DEFINED       9,15     91,200       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
OWENS-ILLINOIS INC
   PFD 4.75            CONVERT  690768502 $         32.00        700   SH         DEFINED         23         --       --        700
OXFORD INDS INC         COMMON  691497309 $         73.00      2,031   SH         DEFINED         24      2,031       --         --
P C CONNECTION          COMMON  69318J100 $        637.00     50,971   SH         DEFINED         24     50,971       --         --
PC MALL INC             COMMON  69323K100 $      3,062.00    196,150   SH         DEFINED          1    196,150       --         --
PC MALL INC             COMMON  69323K100 $        570.00     36,492   SH         DEFINED         24     36,492       --         --
PC-TEL INC              COMMON  69325Q105 $        236.00     31,100   SH         DEFINED          3     31,100       --         --
PDL BIOPHARMA INC       COMMON  69329Y104 $     13,704.00    634,158   SH         DEFINED          1    634,158       --         --
PDL BIOPHARMA INC       COMMON  69329Y104 $         69.00      3,200   SH         DEFINED         19      3,200       --         --
PDL BIOPHARMA INC       COMMON  69329Y104 $      1,152.00     53,304   SH         DEFINED          2     53,304       --         --
PDL BIOPHARMA INC       COMMON  69329Y104 $         28.00      1,292   SH         DEFINED       20,2         --       --      1,292
PDL BIOPHARMA INC       COMMON  69329Y104 $      1,806.00     83,558   SH         DEFINED       21,2         --       --     83,558
PDL BIOPHARMA INC       COMMON  69329Y104 $         57.00      2,632   SH         DEFINED         24      2,632       --         --
PDL BIOPHARMA INC       COMMON  69329Y104 $          9.00        401   SH         DEFINED          6         --       --        401
PG&E CORP               COMMON  69331C108 $     16,778.00    351,000   SH         DEFINED          1    351,000       --         --
PG&E CORP               COMMON  69331C108 $      1,799.00     37,634   SH         DEFINED       1,15     37,634       --         --
PG&E CORP               COMMON  69331C108 $        736.00     15,400   SH         DEFINED      11,15     15,400       --         --
PG&E CORP               COMMON  69331C108 $     19,068.00    398,902   SH         DEFINED         12    106,002       --    292,900
PG&E CORP               COMMON  69331C108 $        229.00      4,800   SH         DEFINED      12,14      4,800       --         --
PG&E CORP               COMMON  69331C108 $     33,807.00    707,253   SH         DEFINED         15    575,808       --    111,345
PG&E CORP               COMMON  69331C108 $        846.00     17,700   SH         DEFINED      15,14         --       --     17,700
PG&E CORP               COMMON  69331C108 $      1,472.00     30,800   SH         DEFINED       15,8         --       --     30,800
PG&E CORP               COMMON  69331C108 $        554.00     11,600   SH         DEFINED      20,15         --       --     11,600
PG&E CORP               COMMON  69331C108 $      1,673.00     35,010   SH         DEFINED      21,15         --       --         --
PG&E CORP               COMMON  69331C108 $      6,195.00    129,595   SH         DEFINED         24    129,595       --         --
PG&E CORP               COMMON  69331C108 $      1,496.00     31,300   SH         DEFINED       5,15     24,500       --      6,800
PG&E CORP               COMMON  69331C108 $         67.00      1,411   SH         DEFINED          6      1,130       --        281
PG&E CORP               COMMON  69331C108 $        900.00     18,824   SH         DEFINED          8     18,824       --         --
PG&E CORP               COMMON  69331C108 $        543.00     11,356   SH         DEFINED          9     11,356       --         --
PG&E CORP               COMMON  69331C108 $      4,101.00     85,800   SH         DEFINED       9,15     56,100       --     29,700
PFF BANCORP INC         COMMON  69331W104 $        204.00     13,300   SH         DEFINED         15     13,300       --         --
PFF BANCORP INC         COMMON  69331W104 $         33.00      2,134   SH         DEFINED         24      2,134       --         --
PFF BANCORP INC         COMMON  69331W104 $        117.00      7,600   SH         DEFINED       5,15      7,600       --         --
PHH CORP                COMMON  693320202 $        657.00     24,994   SH         DEFINED         24     24,994       --         --
PF CHANG'S CHINA
   BISTRO INC           COMMON  69333Y108 $      9,687.00    327,249   SH         DEFINED          1    327,249       --         --
PF CHANG'S CHINA
   BISTRO INC           COMMON  69333Y108 $      7,581.00    256,100   SH         DEFINED          2    256,100       --         --
PF CHANG'S CHINA
   BISTRO INC           COMMON  69333Y108 $          6.00        200   SH         DEFINED         23        200       --         --
PF CHANG'S CHINA
   BISTRO INC           COMMON  69333Y108 $         59.00      2,002   SH         DEFINED         24      2,002       --         --
PICO HOLDINGS INC       COMMON  693366205 $         42.00      1,000   SH         DEFINED         24      1,000       --         --
PHI INC-NON VOTING      COMMON  69336T205 $        452.00     14,983   SH         DEFINED         24     14,983       --         --
PMA CAPITAL  A          COMMON  693419202 $        723.00     76,117   SH         DEFINED         24     76,117       --         --
PMC COML TR             COMMON  693434102 $         23.00      1,741   SH         DEFINED          6      1,741       --         --
PMC-SIERRA INC          COMMON  69344F106 $        757.00     90,286   SH         DEFINED         24     90,286       --         --
PMC-SIERRA INC          COMMON  69344F106 $     22,164.00  2,641,700   SH         DEFINED          9  2,641,700       --         --
PMC-SIERRA INC          COMMON  69344F106 $      1,165.00    138,800   SH         DEFINED       9,22    138,800       --         --
PMI GROUP INC (THE)     COMMON  69344M101 $         26.00        800   SH         DEFINED         23         --       --        800
PMI GROUP INC (THE)     COMMON  69344M101 $        260.00      7,943   SH         DEFINED         24      7,943       --         --
PMI GROUP INC (THE)     COMMON  69344M101 $         51.00      1,570   SH         DEFINED          6      1,570       --         --
PMI GROUP INC (THE)     COMMON  69344M101 $        132.00      4,048   SH         DEFINED          8      4,048       --         --
PMI GROUP INC (THE)     COMMON  69344M101 $        873.00     26,683   SH         DEFINED          9     26,683       --         --
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $        404.00      5,937   SH         DEFINED       1,15      5,937       --         --
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $      1,223.00     17,960   SH         DEFINED         15     11,760       --      4,600
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $        272.00      4,000   SH         DEFINED       15,8         --       --      4,000
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $            --          5   SH         DEFINED         23         --       --          5
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $      2,134.00     31,333   SH         DEFINED         24     31,333       --         --
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $        560.00      8,222   SH         DEFINED          6        251       --      7,971
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $        415.00      6,091   SH         DEFINED          8      6,091       --         --
PNC FINANCIAL
   SERVICES GROUP       COMMON  693475105 $        620.00      9,107   SH         DEFINED          9      9,107       --         --
POSCO ADR               COMMON  693483109 $         54.00        300   SH         DEFINED         23         --       --        300
POSCO ADR               COMMON  693483109 $        322.00      1,800   SH         DEFINED         24      1,800       --         --
POSCO ADR               COMMON  693483109 $      3,307.00     18,500   SH         DEFINED          9     18,500       --         --
POSCO ADR               COMMON  693483109 $      1,180.00      6,600   SH         DEFINED       9,15      6,600       --         --
POSCO ADR               COMMON  693483109 $      3,808.00     21,300   SH         DEFINED       9,22     21,300       --         --
PNM RESOURCES INC       COMMON  69349H107 $        227.00      9,755   SH         DEFINED         24      9,755       --         --
PPG INDUSTRIES INC      COMMON  693506107 $     16,999.00    225,000   SH         DEFINED          1    225,000       --         --
PPG INDUSTRIES INC      COMMON  693506107 $        214.00      2,836   SH         DEFINED       1,15      2,836       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PPG INDUSTRIES INC      COMMON  693506107 $      3,279.00     43,400   SH         DEFINED         15     31,900       --      7,200
PPG INDUSTRIES INC      COMMON  693506107 $        612.00      8,100   SH         DEFINED       15,8         --       --      8,100
PPG INDUSTRIES INC      COMMON  693506107 $      3,106.00     41,107   SH         DEFINED         24     41,107       --         --
PPG INDUSTRIES INC      COMMON  693506107 $        306.00      4,050   SH         DEFINED          6      3,401       --        649
PPG INDUSTRIES INC      COMMON  693506107 $        227.00      3,003   SH         DEFINED          8      3,003       --         --
PPG INDUSTRIES INC      COMMON  693506107 $        646.00      8,547   SH         DEFINED          9      8,547       --         --
PPL CORPORATION         COMMON  69351T106 $     17,872.00    386,000   SH         DEFINED          1    386,000       --         --
PPL CORPORATION         COMMON  69351T106 $        308.00      6,651   SH         DEFINED       1,15      6,651       --         --
PPL CORPORATION         COMMON  69351T106 $         28.00        600   SH         DEFINED         23         --       --        600
PPL CORPORATION         COMMON  69351T106 $     10,669.00    230,437   SH         DEFINED         24    230,437       --         --
PPL CORPORATION         COMMON  69351T106 $        771.00     16,646   SH         DEFINED          6         --       --     16,646
PPL CORPORATION         COMMON  69351T106 $        304.00      6,564   SH         DEFINED          8      6,564       --         --
PRA INTERNATIONAL       COMMON  69353C101 $         65.00      2,217   SH         DEFINED         24      2,217       --         --
PS BUSINESS PKS INC
   CALIF                COMMON  69360J107 $      6,532.00    114,900   SH         DEFINED         15     89,900       --     25,000
PS BUSINESS PKS INC
   CALIF                COMMON  69360J107 $        115.00      2,021   SH         DEFINED         24      2,021       --         --
PS BUSINESS PKS INC
   CALIF                COMMON  69360J107 $      1,359.00     23,900   SH         DEFINED       5,15     23,900       --         --
PSS WORLD MED INC       COMMON  69366A100 $      2,011.00    105,100   SH         DEFINED         15     61,700       --     43,400
PSS WORLD MED INC       COMMON  69366A100 $        132.00      6,889   SH         DEFINED         24      6,889       --         --
PSS WORLD MED INC       COMMON  69366A100 $        260.00     13,600   SH         DEFINED       5,15     13,600       --         --
PSS WORLD MED INC       COMMON  69366A100 $        143.00      7,495   SH         DEFINED          6      1,075       --      6,420
PACCAR INC              COMMON  693718108 $        368.00      4,315   SH         DEFINED       1,15      4,315       --         --
PACCAR INC              COMMON  693718108 $        554.00      6,500   SH         DEFINED         15      2,000       --      3,900
PACCAR INC              COMMON  693718108 $        111.00      1,300   SH         DEFINED       15,8         --       --      1,300
PACCAR INC              COMMON  693718108 $         25.00        290   SH         DEFINED         23        290       --         --
PACCAR INC              COMMON  693718108 $     14,471.00    169,749   SH         DEFINED         24    169,749       --         --
PACCAR INC              COMMON  693718108 $      1,240.00     14,546   SH         DEFINED          6         --       --     14,546
PACCAR INC              COMMON  693718108 $        386.00      4,530   SH         DEFINED          8      4,530       --         --
PACCAR INC              COMMON  693718108 $        273.00      3,206   SH         DEFINED          9      3,206       --         --
PACER INTERNATIONAL     COMMON  69373H106 $     11,598.00    608,800   SH         DEFINED        1,3    608,800       --         --
PACER INTERNATIONAL     COMMON  69373H106 $         61.00      3,200   SH         DEFINED         15      3,200       --         --
PACER INTERNATIONAL     COMMON  69373H106 $        444.00     23,300   SH         DEFINED       20,3     23,300       --         --
PACER INTERNATIONAL     COMMON  69373H106 $          5.00        276   SH         DEFINED         23         --       --        276
PACER INTERNATIONAL     COMMON  69373H106 $         86.00      4,519   SH         DEFINED         24      4,519       --         --
PACER INTERNATIONAL     COMMON  69373H106 $      3,867.00    203,000   SH         DEFINED          3    203,000       --         --
PACER INTERNATIONAL     COMMON  69373H106 $         71.00      3,715   SH         DEFINED          6         --       --      3,715
PACHOLDER HIGH YIELD
   FUND CEF             COMMON  693742108 $          4.00        400   SH         DEFINED         23         --       --        400
PACIFIC CAP BANCORP     COMMON  69404P101 $        183.00      6,966   SH         DEFINED         24      6,966       --         --
PACIFIC CAP BANCORP     COMMON  69404P101 $        166.00      6,300   SH         DEFINED          6         --       --      6,300
PACIFIC ETHANOL INC     COMMON  69423U107 $     22,717.00  2,361,467   SH         DEFINED         24  2,361,467       --         --
PACIFIC SUNWEAR OF
   CALIFORNIA           COMMON  694873100 $        224.00     15,106   SH         DEFINED         24     15,106       --         --
PACIFIC RIM MINING
   CORP                 COMMON  694915208 $      1,426.00  1,254,900   SH         DEFINED          1  1,254,900       --         --
PACKAGING CORP OF
   AMERICA              COMMON  695156109 $      1,448.00     49,795   SH         DEFINED         24     49,795       --         --
PACTIV CORPORATION      COMMON  695257105 $        305.00     10,652   SH         DEFINED       1,15     10,652       --         --
PACTIV CORPORATION      COMMON  695257105 $        794.00     27,700   SH         DEFINED      11,15     27,700       --         --
PACTIV CORPORATION      COMMON  695257105 $     31,329.00  1,093,130   SH         DEFINED         15    761,780       --    305,050
PACTIV CORPORATION      COMMON  695257105 $        728.00     25,400   SH         DEFINED      15,14         --       --     25,400
PACTIV CORPORATION      COMMON  695257105 $      1,780.00     62,100   SH         DEFINED       15,8         --       --     62,100
PACTIV CORPORATION      COMMON  695257105 $          6.00        206   SH         DEFINED         23        106       --        100
PACTIV CORPORATION      COMMON  695257105 $        706.00     24,631   SH         DEFINED         24     24,631       --         --
PACTIV CORPORATION      COMMON  695257105 $      1,006.00     35,100   SH         DEFINED       5,15     35,100       --         --
PACTIV CORPORATION      COMMON  695257105 $         50.00      1,747   SH         DEFINED          6        166       --      1,581
PACTIV CORPORATION      COMMON  695257105 $        665.00     23,186   SH         DEFINED          8     23,186       --         --
PACTIV CORPORATION      COMMON  695257105 $      2,445.00     85,300   SH         DEFINED       9,15     85,300       --         --
PAIN THERAPEUTICS
   INC                  COMMON  69562K100 $      1,384.00    148,000   SH         DEFINED         15     93,700       --     54,300
PAIN THERAPEUTICS
   INC                  COMMON  69562K100 $        258.00     27,631   SH         DEFINED         24     27,631       --         --
PAIN THERAPEUTICS
   INC                  COMMON  69562K100 $        212.00     22,700   SH         DEFINED       5,15     22,700       --         --
PALL CORPORATION        COMMON  696429307 $         82.00      2,118   SH         DEFINED       1,15      2,118       --         --
PALL CORPORATION        COMMON  696429307 $        665.00     17,100   SH         DEFINED         15      6,700       --      9,300
PALL CORPORATION        COMMON  696429307 $          8.00        215   SH         DEFINED         23         --       --        215
PALL CORPORATION        COMMON  696429307 $     56,323.00  1,447,884   SH         DEFINED         24  1,447,884       --         --
PALL CORPORATION        COMMON  696429307 $          2.00         50   SH         DEFINED          4         50       --         --
PALL CORPORATION        COMMON  696429307 $          7.00        184   SH         DEFINED          6         --       --        184
PALM HARBOR HOMES
   INC                  COMMON  696639103 $         70.00      5,605   SH         DEFINED         24      5,605       --         --
PALM INC                COMMON  696643105 $      4,455.00    273,795   SH         DEFINED         24    273,795       --         --
PALOMAR MEDICAL
   TECHNOLOGIES         COMMON  697529303 $      3,850.00    135,137   SH         DEFINED          1    135,137       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PALOMAR MEDICAL
   TECHNOLOGIES         COMMON  697529303 $      3,086.00    108,310   SH         DEFINED          2    108,310       --         --
PALOMAR MEDICAL
   TECHNOLOGIES         COMMON  697529303 $          7.00        242   SH         DEFINED         24        242       --         --
PAN AMERICAN SILVER
   CORP COM             COMMON  697900108 $     11,271.00    390,000   SH         DEFINED          1    390,000       --         --
PANACOS
   PHARMACEUTICALS
   INC                  COMMON  69811Q106 $        132.00     82,286   SH         DEFINED          6     67,378       --     14,908
PANERA BREAD CO CL A    COMMON  69840W108 $         56.00      1,378   SH         DEFINED         24      1,378       --         --
PANERA BREAD CO CL A    COMMON  69840W108 $      1,489.00     36,500   SH         DEFINED          9     36,500       --         --
PANERA BREAD CO CL A    COMMON  69840W108 $        277.00      6,800   SH         DEFINED       9,22      6,800       --         --
PANTRY INC              COMMON  698657103 $        118.00      4,602   SH         DEFINED         24      4,602       --         --
PANTRY INC              COMMON  698657103 $         54.00      2,110   SH         DEFINED          6        730       --      1,380
PAPA JOHNS INTL INC     COMMON  698813102 $      5,197.00    212,658   SH         DEFINED          1    212,658       --         --
PAPA JOHNS INTL INC     COMMON  698813102 $      5,677.00    232,300   SH         DEFINED         15    177,600       --     54,700
PAPA JOHNS INTL INC     COMMON  698813102 $         90.00      3,671   SH         DEFINED         24      3,671       --         --
PAPA JOHNS INTL INC     COMMON  698813102 $      1,261.00     51,600   SH         DEFINED       5,15     51,600       --         --
PAR PHARMACEUTICAL
   COS INC              COMMON  69888P106 $      2,301.00    124,000   SH         DEFINED         15     56,300       --     67,700
PAR PHARMACEUTICAL
   COS INC              COMMON  69888P106 $         92.00      4,944   SH         DEFINED         24      4,944       --         --
PARAGON TECHNOLOGIES
   INC                  COMMON  69912T108 $          1.00        187   SH         DEFINED         24        187       --         --
PARALLEL PETROLEUM
   CORP                 COMMON  699157103 $      7,137.00    420,065   SH         DEFINED          1    420,065       --         --
PARALLEL PETROLEUM
   CORP                 COMMON  699157103 $         18.00      1,033   SH         DEFINED         24      1,033       --         --
PARALLEL PETROLEUM
   CORP                 COMMON  699157103 $         10.00        600   SH         DEFINED          6        600       --         --
PARAMETRIC
   TECHNOLOGY CORP      COMMON  699173209 $      3,306.00    189,799   SH         DEFINED         24    189,799       --         --
PARAMETRIC
   TECHNOLOGY CORP      COMMON  699173209 $        484.00     27,800   SH         DEFINED          6         --       --     27,800
PAREXEL INTL CORP       COMMON  699462107 $     14,373.00    348,279   SH         DEFINED          1    348,279       --         --
PAREXEL INTL CORP       COMMON  699462107 $     11,184.00    271,000   SH         DEFINED          2    271,000       --         --
PAREXEL INTL CORP       COMMON  699462107 $            --          4   SH         DEFINED         23         --       --          4
PAREXEL INTL CORP       COMMON  699462107 $      1,685.00     40,840   SH         DEFINED         24     40,840       --         --
PARK ELECTROCHEMICAL
   CORP                 COMMON  700416209 $      8,389.00    249,834   SH         DEFINED          1    249,834       --         --
PARK ELECTROCHEMICAL
   CORP                 COMMON  700416209 $      5,175.00    154,100   SH         DEFINED         15     93,800       --     60,300
PARK ELECTROCHEMICAL
   CORP                 COMMON  700416209 $         69.00      2,063   SH         DEFINED         24      2,063       --         --
PARK ELECTROCHEMICAL
   CORP                 COMMON  700416209 $        641.00     19,100   SH         DEFINED       5,15     19,100       --         --
PARK NATIONAL CORP      COMMON  700658107 $        323.00      3,700   SH         DEFINED         15      3,700       --         --
PARK NATIONAL CORP      COMMON  700658107 $      7,213.00     82,721   SH         DEFINED         24     82,721       --         --
PARK NATIONAL CORP      COMMON  700658107 $        183.00      2,100   SH         DEFINED       5,15      2,100       --         --
PARK-OHIO HOLDINGS
   CORP                 COMMON  700666100 $        425.00     16,359   SH         DEFINED         24     16,359       --         --
PARKER DRILLING CO      COMMON  701081101 $     13,266.00  1,633,793   SH         DEFINED         24  1,633,793       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $     44,849.00    401,042   SH         DEFINED          1    401,042       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $        225.00      2,016   SH         DEFINED       1,15      2,016       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $         78.00        700   SH         DEFINED      11,15        700       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $      5,007.00     44,774   SH         DEFINED         15     31,174       --     11,800
PARKER HANNIFIN CORP    COMMON  701094104 $      1,331.00     11,900   SH         DEFINED       15,8         --       --     11,900
PARKER HANNIFIN CORP    COMMON  701094104 $         53.00        475   SH         DEFINED         23         --       --        475
PARKER HANNIFIN CORP    COMMON  701094104 $      7,119.00     63,657   SH         DEFINED         24     63,657       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $     20,440.00    182,774   SH         DEFINED          4    182,774       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $         75.00        675   SH         DEFINED          6        675       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $        258.00      2,305   SH         DEFINED          8      2,305       --         --
PARKER HANNIFIN CORP    COMMON  701094104 $      1,029.00      9,198   SH         DEFINED          9      9,198       --         --
PARKWAY PROPERTIES
   INC-MD               COMMON  70159Q104 $        508.00     11,500   SH         DEFINED         15     11,500       --         --
PARKWAY PROPERTIES
   INC-MD               COMMON  70159Q104 $        100.00      2,260   SH         DEFINED         24      2,260       --         --
PARKWAY PROPERTIES
   INC-MD               COMMON  70159Q104 $        289.00      6,550   SH         DEFINED          6         --       --      6,550
PARTNERS TRUST
   FINANCIAL GRP        COMMON  70213F102 $        100.00      8,257   SH         DEFINED         24      8,257       --         --
PATHMARK STORES INC     COMMON  70322A101 $        279.00     21,851   SH         DEFINED         24     21,851       --         --
PATHMARK STORES INC     COMMON  70322A101 $          1.00        100   SH         DEFINED          6         --       --        100
PATRIOT CAPITAL
   FUNDING INC          COMMON  70335Y104 $        516.00     38,600   SH         DEFINED         15     30,500       --      8,100
PATRIOT CAPITAL
   FUNDING INC          COMMON  70335Y104 $      1,815.00    135,781   SH         DEFINED         24    135,781       --         --
PATRIOT CAPITAL
   FUNDING INC          COMMON  70335Y104 $        178.00     13,300   SH         DEFINED       5,15     13,300       --         --
PATTERSON COS INC       COMMON  703395103 $         93.00      2,421   SH         DEFINED       1,15      2,421       --         --
PATTERSON COS INC       COMMON  703395103 $      3,151.00     81,600   SH         DEFINED         15     29,600       --     52,000
PATTERSON COS INC       COMMON  703395103 $      3,120.00     80,810   SH         DEFINED         24     80,810       --         --
PATTERSON COS INC       COMMON  703395103 $          6.00        148   SH         DEFINED          6         --       --        148
PATTERSON - UTI
   ENERGY INC           COMMON  703481101 $     14,073.00    623,512   SH         DEFINED         24    623,512       --         --
PAYCHEX INC             COMMON  704326107 $      8,200.00    200,000   SH         DEFINED          1    200,000       --         --
PAYCHEX INC             COMMON  704326107 $        242.00      5,905   SH         DEFINED       1,15      5,905       --         --
PAYCHEX INC             COMMON  704326107 $         29.00        700   SH         DEFINED         19        700       --         --
PAYCHEX INC             COMMON  704326107 $          8.00        183   SH         DEFINED         23        137       --         46
PAYCHEX INC             COMMON  704326107 $      5,730.00    139,755   SH         DEFINED         24    139,755       --         --
PAYCHEX INC             COMMON  704326107 $      6,018.00    146,786   SH         DEFINED          6     60,759       --     86,027




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PAYCHEX INC             COMMON  704326107 $        272.00      6,631   SH         DEFINED          8      6,631       --         --
PEABODY ENERGY CORP     COMMON  704549104 $        221.00      4,608   SH         DEFINED       1,15      4,608       --         --
PEABODY ENERGY CORP     COMMON  704549104 $      1,838.00     38,388   SH         DEFINED         24     38,388       --         --
PEABODY ENERGY CORP     COMMON  704549104 $         66.00      1,377   SH         DEFINED          6      1,130       --        247
PEABODY ENERGY CORP     COMMON  704549104 $        185.00      3,872   SH         DEFINED          8      3,872       --         --
PEAPACK GLADSTONE
   FINANCIAL CO         COMMON  704699107 $         21.00        806   SH         DEFINED         24        806       --         --
PEARSON PLC ADR         COMMON  705015105 $     15,598.00  1,008,905   SH         DEFINED         24  1,008,905       --         --
PEDIATRIX MED GROUP     COMMON  705324101 $     38,279.00    585,123   SH         DEFINED          1    585,123       --         --
PEDIATRIX MED GROUP     COMMON  705324101 $     11,370.00    173,800   SH         DEFINED          2    173,800       --         --
PEDIATRIX MED GROUP     COMMON  705324101 $         16.00        238   SH         DEFINED         23         --       --        238
PEDIATRIX MED GROUP     COMMON  705324101 $      3,699.00     56,547   SH         DEFINED         24     56,547       --         --
PEDIATRIX MED GROUP     COMMON  705324101 $      3,487.00     53,300   SH         DEFINED          3     53,300       --         --
PEGASYSTEMS INC         COMMON  705573103 $          4.00        300   SH         DEFINED         23         --       --        300
PEGASYSTEMS INC         COMMON  705573103 $        486.00     40,829   SH         DEFINED         24     40,829       --         --
PENGROWTH ENERGY
   TRUST                COMMON  706902509 $          4.00        200   SH         DEFINED         23         --       --        200
PENFORD CORP            COMMON  707051108 $      5,414.00    143,614   SH         DEFINED         24    143,614       --         --
PENN NATIONAL GAMING
   INC                  COMMON  707569109 $        266.00      4,506   SH         DEFINED         24      4,506       --         --
PENN NATIONAL GAMING
   INC                  COMMON  707569109 $         12.00        200   SH         DEFINED          6        200       --         --
PENN VA CORP            COMMON  707882106 $      8,878.00    201,872   SH         DEFINED          1    201,872       --         --
PENN VA CORP            COMMON  707882106 $      5,047.00    114,750   SH         DEFINED         15     77,650       --     37,100
PENN VA CORP            COMMON  707882106 $        115.00      2,625   SH         DEFINED         24      2,625       --         --
PENN VA CORP            COMMON  707882106 $        695.00     15,800   SH         DEFINED       5,15     15,800       --         --
PENN VA CORP            COMMON  707882106 $          4.00        100   SH         DEFINED          6        100       --         --
PENN WEST ENERGY
   TRUST                COMMON  707885109 $     49,155.00  1,582,083   SH         DEFINED          1  1,582,083       --         --
PENN WEST ENERGY
   TRUST                 COMMON  707885109 $        704.00     22,661   SH         DEFINED         15     22,661       --         --
PENN WEST ENERGY
   TRUST                COMMON  707885109 $          3.00        100   SH         DEFINED         23         --       --        100
PENN WEST ENERGY
   TRUST                COMMON  707885109 $     19,032.00    612,563   SH         DEFINED          4    612,563       --         --
J. C. PENNEY CO         COMMON  708160106 $    141,713.00  2,236,285   SH         DEFINED          1  2,236,285       --         --
J. C. PENNEY CO         COMMON  708160106 $        244.00      3,847   SH         DEFINED       1,15      3,847       --         --
J. C. PENNEY CO         COMMON  708160106 $         44.00        701   SH         DEFINED         14        701       --         --
J. C. PENNEY CO         COMMON  708160106 $         44.00        701   SH         DEFINED       14,2        701       --         --
J. C. PENNEY CO         COMMON  708160106 $        665.00     10,500   SH         DEFINED         15      3,900       --      6,600
J. C. PENNEY CO         COMMON  708160106 $        520.00      8,200   SH         DEFINED       15,8         --       --      8,200
J. C. PENNEY CO         COMMON  708160106 $     10,770.00    169,959   SH         DEFINED          2    169,959       --         --
J. C. PENNEY CO         COMMON  708160106 $        472.00      7,446   SH         DEFINED         22      7,446       --         --
J. C. PENNEY CO         COMMON  708160106 $          1.00          9   SH         DEFINED         23         --       --          9
J. C. PENNEY CO         COMMON  708160106 $      1,291.00     20,379   SH         DEFINED         24     20,379       --         --
J. C. PENNEY CO         COMMON  708160106 $      1,440.00     22,717   SH         DEFINED          6      4,970       --     17,747
J. C. PENNEY CO         COMMON  708160106 $        478.00      7,550   SH         DEFINED          7      7,550       --         --
J. C. PENNEY CO         COMMON  708160106 $        336.00      5,306   SH         DEFINED          8      5,306       --         --
J. C. PENNEY CO         COMMON  708160106 $      1,525.00     24,067   SH         DEFINED          9     24,067       --         --
J. C. PENNEY CO         COMMON  708160106 $        630.00      9,938   SH         DEFINED        9,2      9,938       --         --
PENNSYLVANIA RL
   ESTATE INVT TR       COMMON  709102107 $      1,086.00     27,900   SH         DEFINED         15     27,900       --         --
PENNSYLVANIA RL
   ESTATE INVT TR       COMMON  709102107 $        163.00      4,196   SH         DEFINED         24      4,196       --         --
PENSKE AUTO GROUP INC   COMMON  70959W103 $        411.00     20,298   SH         DEFINED         24     20,298       --         --
PENSON WORLDWIDE INC    COMMON  709600100 $        336.00     18,200   SH         DEFINED         24     18,200       --         --
PENTAIR INC             COMMON  709631105 $     32,626.00    983,300   SH         DEFINED          1    983,300       --         --
PENTAIR INC             COMMON  709631105 $     58,060.00  1,749,857   SH         DEFINED         24  1,749,857       --         --
PENTAIR INC             COMMON  709631105 $          5.00        152   SH         DEFINED          6         --       --        152
PEOPLES BANCORP INC     COMMON  709789101 $        192.00      7,342   SH         DEFINED         15      7,342       --         --
PEOPLES BANCORP INC     COMMON  709789101 $            --          4   SH         DEFINED         23         --       --          4
PEOPLES BANCORP INC     COMMON  709789101 $         40.00      1,526   SH         DEFINED         24      1,526       --         --
PEOPLES BANCORP INC     COMMON  709789101 $        105.00      4,000   SH         DEFINED       5,15      4,000       --         --
PEOPLES FINANCIAL
   CORP-MISS            COMMON  71103B102 $        350.00     17,519   SH         DEFINED         24     17,519       --         --
PEOPLE'S UNITED
   FINANCIAL            COMMON  712704105 $     54,112.00  3,131,476   SH         DEFINED          1  3,131,476       --         --
PEOPLE'S UNITED
   FINANCIAL            COMMON  712704105 $        755.00     43,699   SH         DEFINED         15     43,699       --         --
PEOPLE'S UNITED
   FINANCIAL            COMMON  712704105 $        537.00     31,048   SH         DEFINED         24     31,048       --         --
PEOPLE'S UNITED
   FINANCIAL            COMMON  712704105 $     19,987.00  1,156,636   SH         DEFINED          4  1,156,636       --         --
PEOPLE'S UNITED
   FINANCIAL            COMMON  712704105 $        814.00     47,090   SH         DEFINED          6         --       --     47,090
PEP BOYS-MANNY MOE &
   JACK                 COMMON  713278109 $      1,943.00    138,500   SH         DEFINED         15     87,100       --     51,400
PEP BOYS-MANNY MOE &
   JACK                 COMMON  713278109 $        152.00     10,843   SH         DEFINED         24     10,843       --         --
PEP BOYS-MANNY MOE &
   JACK                 COMMON  713278109 $        290.00     20,700   SH         DEFINED       5,15     20,700       --         --
PEPCO HOLDINGS INC      COMMON  713291102 $     13,405.00    495,000   SH         DEFINED          1    495,000       --         --
PEPCO HOLDINGS INC      COMMON  713291102 $        106.00      3,900   SH         DEFINED         15      2,900       --         --
PEPCO HOLDINGS INC      COMMON  713291102 $          8.00        300   SH         DEFINED         23         --       --        300




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PEPCO HOLDINGS INC      COMMON  713291102 $      1,865.00     68,861   SH         DEFINED         24     68,861       --         --
PEPCO HOLDINGS INC      COMMON  713291102 $         53.00      1,950   SH         DEFINED          6        800       --      1,150
PEPCO HOLDINGS INC      COMMON  713291102 $        125.00      4,617   SH         DEFINED          8      4,617       --         --
PEPSI BOTTLING GROUP
   INC                  COMMON  713409100 $         90.00      2,432   SH         DEFINED       1,15      2,432       --         --
PEPSI BOTTLING GROUP
   INC                  COMMON  713409100 $          1.00         25   SH         DEFINED         23         --       --         25
PEPSI BOTTLING GROUP
   INC                  COMMON  713409100 $      2,302.00     61,927   SH         DEFINED         24     61,927       --         --
PEPSI BOTTLING GROUP
   INC                  COMMON  713409100 $         13.00        350   SH         DEFINED          6         --       --        350
PEPSIAMERICAS INC       COMMON  71343P200 $      2,441.00     75,259   SH         DEFINED         24     75,259       --         --
PEPSIAMERICAS INC       COMMON  71343P200 $          7.00        230   SH         DEFINED          6         --       --        230
PEPSICO INC             COMMON  713448108 $     98,688.00  1,347,099   SH         DEFINED          1  1,347,099       --         --
PEPSICO INC             COMMON  713448108 $      6,916.00     94,398   SH         DEFINED       1,15     94,398       --         --
PEPSICO INC             COMMON  713448108 $        901.00     12,300   SH         DEFINED      11,15     12,300       --         --
PEPSICO INC             COMMON  713448108 $      1,711.00     23,351   SH         DEFINED       14,2         --       --     23,351
PEPSICO INC             COMMON  713448108 $     47,068.00    642,480   SH         DEFINED         15    520,680       --     82,400
PEPSICO INC             COMMON  713448108 $      7,949.00    108,500   SH         DEFINED       15,8         --       --    108,500
PEPSICO INC             COMMON  713448108 $      9,550.00    130,353   SH         DEFINED          2    130,353       --         --
PEPSICO INC             COMMON  713448108 $      1,772.00     24,181   SH         DEFINED         22     24,181       --         --
PEPSICO INC             COMMON  713448108 $         87.00      1,187   SH         DEFINED         23        309       --        878
PEPSICO INC             COMMON  713448108 $      7,914.00    108,026   SH         DEFINED         24    108,026       --         --
PEPSICO INC             COMMON  713448108 $      6,982.00     95,300   SH         DEFINED          3     95,300       --         --
PEPSICO INC             COMMON  713448108 $        526.00      7,185   SH         DEFINED          4      7,185       --         --
PEPSICO INC             COMMON  713448108 $        498.00      6,800   SH         DEFINED       5,15      6,800       --         --
PEPSICO INC             COMMON  713448108 $     43,576.00    594,816   SH         DEFINED          6    453,732       --    141,084
PEPSICO INC             COMMON  713448108 $        311.00      4,250   SH         DEFINED          7      4,250       --         --
PEPSICO INC             COMMON  713448108 $      4,299.00     58,680   SH         DEFINED          8     58,680       --         --
PEPSICO INC             COMMON  713448108 $     45,871.00    626,139   SH         DEFINED          9    626,139       --         --
PEPSICO INC             COMMON  713448108 $      2,527.00     34,500   SH         DEFINED       9,15     34,500       --         --
PERCEPTRON INC          COMMON  71361F100 $        657.00     45,655   SH         DEFINED         24     45,655       --         --
PEREGRINE
   PHARMACEUTICALS      COMMON  713661106 $            --         20   SH         DEFINED         23         10       --         10
PERFECT WORLD CO
   LTD-ADR              COMMON  71372U104 $      1,739.00     64,200   SH         DEFINED        1,7         --       --     64,200
PERFECT WORLD CO
   LTD-ADR              COMMON  71372U104 $        190.00      7,000   SH         DEFINED          7         --    7,000         --
PERFECT WORLD CO
   LTD-ADR              COMMON  71372U104 $        103.00      3,800   SH         DEFINED        9,7      3,800       --         --
PERFORMANCE FOOD
   GROUP CO             COMMON  713755106 $     13,429.00    445,693   SH         DEFINED          1    445,693       --         --
PERFORMANCE FOOD
   GROUP CO             COMMON  713755106 $     10,823.00    359,202   SH         DEFINED          2    359,202       --         --
PERFORMANCE FOOD
   GROUP CO             COMMON  713755106 $      1,741.00     57,786   SH         DEFINED         24     57,786       --         --
PERFORMANCE FOOD
   GROUP CO             COMMON  713755106 $         15.00        500   SH         DEFINED          6        500       --         --
PERICOM
   SEMICONDUCTOR
   CORP                 COMMON  713831105 $        749.00     63,945   SH         DEFINED         24     63,945       --         --
PERINI CORP             COMMON  713839108 $        463.00      8,279   SH         DEFINED          1      8,279       --         --
PERINI CORP             COMMON  713839108 $      8,851.00    158,250   SH         DEFINED         15     96,650       --     61,600
PERINI CORP             COMMON  713839108 $      3,827.00     68,421   SH         DEFINED         24     68,421       --         --
PERINI CORP             COMMON  713839108 $      1,437.00     25,700   SH         DEFINED       5,15     25,700       --         --
PERKINELMER INC         COMMON  714046109 $     22,324.00    764,250   SH         DEFINED          1    764,250       --         --
PERKINELMER INC         COMMON  714046109 $         60.00      2,069   SH         DEFINED       1,15      2,069       --         --
PERKINELMER INC         COMMON  714046109 $     12,756.00    436,696   SH         DEFINED         15    219,096       --    217,600
PERKINELMER INC         COMMON  714046109 $      1,974.00     67,570   SH         DEFINED         24     67,570       --         --
PERKINELMER INC         COMMON  714046109 $     21,366.00    731,452   SH         DEFINED          4    731,452       --         --
PERKINELMER INC         COMMON  714046109 $      5,728.00    196,100   SH         DEFINED          9    196,100       --         --
PERKINELMER INC         COMMON  714046109 $        914.00     31,300   SH         DEFINED       9,22     31,300       --         --
PERMA-FIX
   ENVIRONMENTAL
   SVCS                 COMMON  714157104 $        389.00    145,323   SH         DEFINED         24    145,323       --         --
PEROT SYS CORP          COMMON  714265105 $        215.00     12,704   SH         DEFINED         24     12,704       --         --
PEROT SYS CORP          COMMON  714265105 $        200.00     11,840   SH         DEFINED          6      6,115       --      5,725
PERRIGO CO              COMMON  714290103 $        147.00      6,900   SH         DEFINED         15      6,900       --         --
PERRIGO CO              COMMON  714290103 $      2,703.00    126,621   SH         DEFINED         24    126,621       --         --
TELEKOMUNIKASI ADR      COMMON  715684106 $     19,931.00    408,248   SH         DEFINED         12    408,248       --         --
TELEKOMUNIKASI ADR      COMMON  715684106 $        294.00      6,017   SH         DEFINED         15      6,017       --         --
TELEKOMUNIKASI ADR      COMMON  715684106 $      3,270.00     66,979   SH         DEFINED       21,2     66,979       --         --
TELEKOMUNIKASI ADR      COMMON  715684106 $         17.00        350   SH         DEFINED         23         --       --        350
TELEKOMUNIKASI ADR      COMMON  715684106 $     14,927.00    305,751   SH         DEFINED          4    305,751       --         --
PETRO-CANADA            COMMON  71644E102 $      4,761.00     82,957   SH         DEFINED          2     82,957       --         --
PETRO-CANADA            COMMON  71644E102 $      1,304.00     22,722   SH         DEFINED         22     22,722       --         --
PETRO-CANADA            COMMON  71644E102 $        609.00     10,614   SH         DEFINED         24     10,614       --         --
PETRO-CANADA            COMMON  71644E102 $     80,695.00  1,405,900   SH         DEFINED          3  1,405,900       --         --
PETRO-CANADA            COMMON  71644E102 $     89,964.00  1,567,390   SH         DEFINED        3,1  1,567,390       --         --
PETRO-CANADA            COMMON  71644E102 $        783.00     13,642   SH         DEFINED          8     13,642       --         --
PETRO-CANADA            COMMON  71644E102 $      1,694.00     29,509   SH         DEFINED          9     29,509       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PETROCHINA CO LTD-
   ADR                  COMMON  71646E100 $        117.00        630   SH         DEFINED         23         --       --        630
PETROCHINA CO LTD-
   ADR                  COMMON  71646E100 $     47,986.00    259,231   SH         DEFINED         24    259,231       --         --
PETROBRAS ENERGIA
   PARTICIPACIO         COMMON  71646M102 $        402.00     40,000   SH         DEFINED         15         --       --         --
PETROBRAS ENERGIA
   PARTICIPACIO         COMMON  71646M102 $         11.00      1,100   SH         DEFINED         24      1,100       --         --
PETROHAWK ENERGY
   CORP                 COMMON  716495106 $         98.00      5,940   SH         DEFINED         24      5,940       --         --
PETROHAWK ENERGY
   CORP                 COMMON  716495106 $        145.00      8,830   SH         DEFINED          6         --       --      8,830
PETROLEUM & RES CORP    COMMON  716549100 $          4.00         87   SH         DEFINED         23         --       --         87
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $     48,507.00    749,728   SH         DEFINED          1    749,728       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $      1,682.00     26,000   SH         DEFINED      12,14     26,000       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $      3,853.00     59,553   SH         DEFINED          2     59,553       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $         91.00      1,400   SH         DEFINED         24      1,400       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $      2,333.00     36,053   SH         DEFINED        3,1     36,053       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $     54,221.00    838,042   SH         DEFINED          9    838,042       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $      2,666.00     41,200   SH         DEFINED       9,15     41,200       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V101 $      7,521.00    116,242   SH         DEFINED       9,22    116,242       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $     66,440.00    880,000   SH         DEFINED          1    880,000       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $      2,280.00     30,200   SH         DEFINED       1,12     30,200       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $      5,134.00     68,000   SH         DEFINED         12     16,100       --     51,900
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $     10,193.00    135,000   SH         DEFINED       14,2         --       --    135,000
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $      3,133.00     41,500   SH         DEFINED         15     41,500       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $      3,306.00     43,785   SH         DEFINED          2     43,785       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $         22.00        290   SH         DEFINED         23         --       --        290
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $         76.00      1,000   SH         DEFINED         24      1,000       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $     42,364.00    561,109   SH         DEFINED        3,1    561,109       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $     15,333.00    203,087   SH         DEFINED          4    203,087       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $      8,131.00    107,700   SH         DEFINED       5,12    107,700       --         --
PETROLEO BRASILEIRO
   SA ADR               COMMON  71654V408 $         30.00        400   SH         DEFINED          6         --       --        400
PETROLEUM
   DEVELOPMENT CORP     COMMON  716578109 $         89.00      2,006   SH         DEFINED         24      2,006       --         --
PETROLEUM
   DEVELOPMENT CORP     COMMON  716578109 $        876.00     19,754   SH         DEFINED        3,1     19,754       --         --
PETROLEUM
   DEVELOPMENT CORP     COMMON  716578109 $        368.00      8,304   SH         DEFINED        9,2      8,304       --         --
PETROLEUM
   GEO-SERVICES ADR     COMMON  716599105 $     25,732.00    897,286   SH         DEFINED          4    897,286       --         --
PETROQUEST ENERGY
   INC                  COMMON  716748108 $      3,232.00    301,200   SH         DEFINED         15    204,800       --     96,400
PETROQUEST ENERGY
   INC                  COMMON  716748108 $         37.00      3,488   SH         DEFINED         24      3,488       --         --
PETROQUEST ENERGY
   INC                  COMMON  716748108 $        674.00     62,800   SH         DEFINED       5,15     62,800       --         --
PETSMART INC            COMMON  716768106 $    149,103.00  4,674,077   SH         DEFINED          1  4,674,077       --         --
PETSMART INC            COMMON  716768106 $      1,782.00     55,853   SH         DEFINED       14,2         --       --     55,853
PETSMART INC            COMMON  716768106 $      8,707.00    272,955   SH         DEFINED          2    244,862       --     28,093
PETSMART INC            COMMON  716768106 $          6.00        194   SH         DEFINED         23        147       --         47
PETSMART INC            COMMON  716768106 $      7,032.00    220,446   SH         DEFINED         24    220,446       --         --
PETSMART INC            COMMON  716768106 $      6,794.00    212,974   SH         DEFINED          6    153,043       --     59,931
PETSMART INC            COMMON  716768106 $         69.00      2,150   SH         DEFINED          8      2,150       --         --
PETSMART INC            COMMON  716768106 $        436.00     13,673   SH         DEFINED        9,2     13,673       --         --
PFIZER INC              COMMON  717081103 $    465,829.00 19,067,905   SH         DEFINED          1 19,067,905       --         --
PFIZER INC              COMMON  717081103 $      8,780.00    359,414   SH         DEFINED       1,15    359,414       --         --
PFIZER INC              COMMON  717081103 $      5,609.00    229,578   SH         DEFINED         10    229,578       --         --
PFIZER INC              COMMON  717081103 $      1,835.00     75,100   SH         DEFINED      11,15     75,100       --         --
PFIZER INC              COMMON  717081103 $      2,493.00    102,045   SH         DEFINED       11,8    102,045       --         --
PFIZER INC              COMMON  717081103 $     26,852.00  1,099,146   SH         DEFINED         12    318,146       --    781,000
PFIZER INC              COMMON  717081103 $        288.00     11,800   SH         DEFINED      12,14     11,800       --         --
PFIZER INC              COMMON  717081103 $      2,080.00     85,144   SH         DEFINED         14     85,144       --         --
PFIZER INC              COMMON  717081103 $    224,489.00  9,189,065   SH         DEFINED         15  7,028,869       --  1,874,097
PFIZER INC              COMMON  717081103 $      5,954.00    243,700   SH         DEFINED      15,14         --       --    243,700
PFIZER INC              COMMON  717081103 $     12,809.00    524,300   SH         DEFINED       15,8         --       --    524,300
PFIZER INC              COMMON  717081103 $        723.00     29,600   SH         DEFINED         19     29,600       --         --
PFIZER INC              COMMON  717081103 $      6,256.00    256,094   SH         DEFINED          2    256,094       --         --
PFIZER INC              COMMON  717081103 $         24.00        980   SH         DEFINED      20,12        980       --         --
PFIZER INC              COMMON  717081103 $        704.00     28,800   SH         DEFINED      20,15         --       --     28,800
PFIZER INC              COMMON  717081103 $         95.00      3,909   SH         DEFINED       20,2         --       --      3,909
PFIZER INC              COMMON  717081103 $      2,203.00     90,160   SH         DEFINED         21     90,160       --         --
PFIZER INC              COMMON  717081103 $      1,951.00     79,860   SH         DEFINED      21,15         --       --         --
PFIZER INC              COMMON  717081103 $      6,069.00    248,411   SH         DEFINED       21,2         --       --    248,411
PFIZER INC              COMMON  717081103 $      9,761.00    399,552   SH         DEFINED         22    399,552       --         --
PFIZER INC              COMMON  717081103 $         20.00        802   SH         DEFINED         23        171       --        631
PFIZER INC              COMMON  717081103 $     40,320.00  1,650,426   SH         DEFINED         24  1,650,426       --         --
PFIZER INC              COMMON  717081103 $     16,712.00    684,057   SH         DEFINED        3,1    684,057       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PFIZER INC              COMMON  717081103 $      8,522.00    348,843   SH         DEFINED          4    348,843       --         --
PFIZER INC              COMMON  717081103 $      9,795.00    400,935   SH         DEFINED       5,15    385,400       --     15,535
PFIZER INC              COMMON  717081103 $     12,548.00    513,617   SH         DEFINED          6    464,651       --     48,966
PFIZER INC              COMMON  717081103 $      1,134.00     46,400   SH         DEFINED          7     46,400       --         --
PFIZER INC              COMMON  717081103 $     17,227.00    705,147   SH         DEFINED          8    705,147       --         --
PFIZER INC              COMMON  717081103 $     54,010.00  2,210,796   SH         DEFINED          9  2,210,796       --         --
PFIZER INC              COMMON  717081103 $     15,153.00    620,243   SH         DEFINED       9,15    545,100       --     75,143
PHARMACEUTICAL PROD
   DEV INC              COMMON  717124101 $    123,343.00  3,480,337   SH         DEFINED          1  3,480,337       --         --
PHARMACEUTICAL PROD
   DEV INC              COMMON  717124101 $        280.00      7,900   SH         DEFINED         19      7,900       --         --
PHARMACEUTICAL PROD
   DEV INC              COMMON  717124101 $      3,726.00    105,124   SH         DEFINED          2     77,875       --     27,249
PHARMACEUTICAL PROD
   DEV INC              COMMON  717124101 $         68.00      1,911   SH         DEFINED       20,2         --       --      1,911
PHARMACEUTICAL PROD
    DEV INC             COMMON  717124101 $      4,304.00    121,456   SH         DEFINED       21,2         --       --    121,456
PHARMACEUTICAL PROD
   DEV INC              COMMON  717124101 $         10.00        272   SH         DEFINED         23         --       --        272
PHARMACEUTICAL PROD
   DEV INC              COMMON  717124101 $        177.00      5,004   SH         DEFINED         24      5,004       --         --
PHARMACEUTICAL PROD
   DEV INC              COMMON  717124101 $      7,403.00    208,900   SH         DEFINED          3    208,900       --         --
PHARMACEUTICAL
   HOLDERS TRUST        COMMON  71712A206 $         27.00        335   SH         DEFINED         23        335       --         --
PHARMANET
   DEVELOPMENT GROUP    COMMON  717148100 $      4,022.00    138,550   SH         DEFINED         15     84,550       --     54,000
PHARMANET
   DEVELOPMENT GROUP    COMMON  717148100 $        459.00     15,798   SH         DEFINED         24     15,798       --         --
PHARMANET
   DEVELOPMENT GROUP    COMMON  717148100 $        491.00     16,900   SH         DEFINED       5,15     16,900       --         --
PHARMERICA CORP         COMMON  71714F104 $        590.00     39,550   SH         DEFINED       1,15     39,550       --         --
PHARMERICA CORP         COMMON  71714F104 $        189.00     12,700   SH         DEFINED      11,15     12,700       --         --
PHARMERICA CORP         COMMON  71714F104 $     15,376.00  1,030,572   SH         DEFINED         15    723,467       --    286,504
PHARMERICA CORP         COMMON  71714F104 $        342.00     22,901   SH         DEFINED      15,14         --       --     22,901
PHARMERICA CORP         COMMON  71714F104 $        695.00     46,602   SH         DEFINED       15,8         --       --     46,602
PHARMERICA CORP         COMMON  71714F104 $         53.00      3,584   SH         DEFINED         22      3,584       --         --
PHARMERICA CORP         COMMON  71714F104 $            --          5   SH         DEFINED         23         --       --          5
PHARMERICA CORP         COMMON  71714F104 $         99.00      6,617   SH         DEFINED         24      6,617       --         --
PHARMERICA CORP         COMMON  71714F104 $        601.00     40,300   SH         DEFINED       5,15     40,300       --         --
PHARMERICA CORP         COMMON  71714F104 $         11.00        749   SH         DEFINED          7        749       --         --
PHARMERICA CORP         COMMON  71714F104 $         97.00      6,523   SH         DEFINED          8      6,523       --         --
PHARMERICA CORP         COMMON  71714F104 $        312.00     20,900   SH         DEFINED          9     20,900       --         --
PHARMERICA CORP         COMMON  71714F104 $        935.00     62,700   SH         DEFINED       9,15     62,700       --         --
PHARMION CORP           COMMON  71715B409 $        507.00     10,996   SH         DEFINED         24     10,996       --         --
PHILADELPHIA
   CONSOLIDATED HOLD    COMMON  717528103 $      5,956.00    144,068   SH         DEFINED          1    144,068       --         --
PHILADELPHIA
   CONSOLIDATED HOLD    COMMON  717528103 $        857.00     20,719   SH         DEFINED         24     20,719       --         --
PHILIPPINE LONG DIST
   ADR                  COMMON  718252604 $         13.00        200   SH         DEFINED         24        200       --         --
PHILIPPINE LONG DIST
   ADR                  COMMON  718252604 $         35.00        550   SH         DEFINED          6         --       --        550
PHILIPPINE LONG DIST
   ADR                  COMMON  718252604 $      8,776.00    136,400   SH         DEFINED          9    136,400       --         --
PHILIPPINE LONG DIST
   ADR                  COMMON  718252604 $        360.00      5,600   SH         DEFINED       9,15      5,600       --         --
PHILIPPINE LONG DIST
   ADR                  COMMON  718252604 $      1,132.00     17,600   SH         DEFINED       9,22     17,600       --         --
PHILLIPS-VAN HEUSEN     COMMON  718592108 $     71,965.00  1,371,283   SH         DEFINED          1  1,371,283       --         --
PHILLIPS-VAN HEUSEN     COMMON  718592108 $      5,812.00    110,753   SH         DEFINED          2    110,753       --         --
PHILLIPS-VAN HEUSEN     COMMON  718592108 $      1,898.00     36,168   SH         DEFINED         24     36,168       --         --
PHILLIPS-VAN HEUSEN     COMMON  718592108 $      5,552.00    105,800   SH         DEFINED          3    105,800       --         --
PHILLIPS-VAN HEUSEN     COMMON  718592108 $        322.00      6,127   SH         DEFINED        9,2      6,127       --         --
PHOENIX COMPANIES INC   COMMON  71902E109 $      2,708.00    191,900   SH         DEFINED         15    152,400       --     39,500
PHOENIX COMPANIES INC   COMMON  71902E109 $      3,299.00    233,801   SH         DEFINED         24    233,801       --         --
PHOENIX COMPANIES INC   COMMON  71902E109 $        721.00     51,100   SH         DEFINED       5,15     51,100       --         --
PHOENIX COMPANIES INC   COMMON  71902E109 $        161.00     11,425   SH         DEFINED          6         --       --     11,425
PHOTRONICS INC          COMMON  719405102 $      1,892.00    165,850   SH         DEFINED          1    165,850       --         --
PHOTRONICS INC          COMMON  719405102 $      6,568.00    575,597   SH         DEFINED         24    575,597       --         --
PIEDMONT NATURAL GAS    COMMON  720186105 $            --          6   SH         DEFINED         23         --       --          6
PIEDMONT NATURAL GAS    COMMON  720186105 $      7,396.00    294,797   SH         DEFINED         24    294,797       --         --
PIEDMONT NATURAL GAS    COMMON  720186105 $        182.00      7,250   SH         DEFINED          6      7,250       --         --
PIER 1 IMPORTS INC      COMMON  720279108 $        132.00     28,011   SH         DEFINED         24     28,011       --         --
PIKE ELECTRIC CORP      COMMON  721283109 $     14,846.00    791,362   SH         DEFINED          1    791,362       --         --
PIKE ELECTRIC CORP      COMMON  721283109 $     11,710.00    624,180   SH         DEFINED          2    624,180       --         --
PIKE ELECTRIC CORP      COMMON  721283109 $      1,442.00     76,860   SH         DEFINED         24     76,860       --         --
PIKE ELECTRIC CORP      COMMON  721283109 $         26.00      1,400   SH         DEFINED          6      1,400       --         --
PILGRIMS PRIDE CORP     COMMON  721467108 $        294.00      8,463   SH         DEFINED         24      8,463       --         --
PIMCO CALIFORNIA
   MUNICIPA II C        COMMON  72200M108 $            --          4   SH         DEFINED         23         --       --          4
RCM STRATEGIC GLOBAL
   GOVT FD              COMMON  72200X104 $            --          6   SH         DEFINED         23         --       --          6
PIMCO CORPORATE
   OPPORTUNITY          COMMON  72201B101 $            --          5   SH         DEFINED         23         --       --          5
PINNACLE AIRLINES
   CORP                 COMMON  723443107 $        798.00     49,810   SH         DEFINED          1     49,810       --         --
PINNACLE AIRLINES
   CORP                 COMMON  723443107 $      7,783.00    485,800   SH         DEFINED         15    321,000       --    164,800




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PINNACLE AIRLINES
   CORP                 COMMON  723443107 $        381.00     23,782   SH         DEFINED         24     23,782       --         --
PINNACLE AIRLINES
   CORP                 COMMON  723443107 $      1,554.00     97,000   SH         DEFINED       5,15     97,000       --         --
PINNACLE ENTMT INC      COMMON  723456109 $         96.00      3,535   SH         DEFINED         24      3,535       --         --
PINNACLE FINANCIAL
   PARTNERS             COMMON  72346Q104 $        447.00     15,509   SH         DEFINED         24     15,509       --         --
PINNACLE WEST
   CAPITAL CORP         COMMON  723484101 $         69.00      1,739   SH         DEFINED       1,15      1,739       --         --
PINNACLE WEST
   CAPITAL CORP         COMMON  723484101 $        534.00     13,520   SH         DEFINED         15      8,620       --      4,900
PINNACLE WEST
   CAPITAL CORP         COMMON  723484101 $        174.00      4,400   SH         DEFINED       15,8         --       --      4,400
PINNACLE WEST
   CAPITAL CORP         COMMON  723484101 $      8,606.00    217,828   SH         DEFINED         24    217,828       --         --
PINNACLE WEST
   CAPITAL CORP         COMMON  723484101 $         40.00      1,000   SH         DEFINED          6      1,000       --         --
PINNACLE WEST
   CAPITAL CORP         COMMON  723484101 $         73.00      1,853   SH         DEFINED          8      1,853       --         --
PIONEER DRILLING
   COMPANY              COMMON  723655106 $         36.00      2,928   SH         DEFINED         24      2,928       --         --
PIONEER MUNI HI
   INCOME TRUST C       COMMON  723763108 $         23.00      1,545   SH         DEFINED          6      1,545       --         --
PIONEER NAT RES CO      COMMON  723787107 $     53,821.00  1,196,547   SH         DEFINED          1  1,196,547       --         --
PIONEER NAT RES CO      COMMON  723787107 $        667.00     14,827   SH         DEFINED         15     14,827       --         --
PIONEER NAT RES CO      COMMON  723787107 $          7.00        158   SH         DEFINED         23         --       --        158
PIONEER NAT RES CO      COMMON  723787107 $        544.00     12,085   SH         DEFINED         24     12,085       --         --
PIONEER NAT RES CO      COMMON  723787107 $     17,358.00    385,900   SH         DEFINED          4    385,900       --         --
PIONEER NAT RES CO      COMMON  723787107 $        166.00      3,700   SH         DEFINED          6      3,000       --        700
PIPER JAFFRAY COS       COMMON  724078100 $      5,719.00    106,700   SH         DEFINED         15     73,200       --     33,500
PIPER JAFFRAY COS       COMMON  724078100 $         22.00        412   SH         DEFINED         23        309       --        103
PIPER JAFFRAY COS       COMMON  724078100 $        173.00      3,228   SH         DEFINED         24      3,228       --         --
PIPER JAFFRAY COS       COMMON  724078100 $      1,029.00     19,200   SH         DEFINED       5,15     19,200       --         --
PIPER JAFFRAY COS       COMMON  724078100 $         12.00        216   SH         DEFINED          6         --       --        216
PITNEY BOWES INC        COMMON  724479100 $     23,334.00    513,746   SH         DEFINED          1    513,746       --         --
PITNEY BOWES INC        COMMON  724479100 $        172.00      3,795   SH         DEFINED       1,15      3,795       --         --
PITNEY BOWES INC        COMMON  724479100 $        501.00     11,036   SH         DEFINED         15     11,036       --         --
PITNEY BOWES INC        COMMON  724479100 $          1.00         12   SH         DEFINED         23         --       --         12
PITNEY BOWES INC        COMMON  724479100 $      5,473.00    120,502   SH         DEFINED         24    120,502       --         --
PITNEY BOWES INC        COMMON  724479100 $     12,911.00    284,265   SH         DEFINED          4    284,265       --         --
PITNEY BOWES INC        COMMON  724479100 $      1,731.00     38,117   SH         DEFINED          6      7,995       --     30,122
PITNEY BOWES INC        COMMON  724479100 $        209.00      4,602   SH         DEFINED          8      4,602       --         --
PLAINS ALL AMER
   PIPELINE LP          COMMON  726503105 $          8.00        147   SH         DEFINED         23        132       --         15
PLAINS ALL AMER
   PIPELINE LP          COMMON  726503105 $      3,773.00     69,236   SH         DEFINED          6     54,226       --     15,010
PLAINS EXPLORATION
   & PRODUCT            COMMON  726505100 $     54,612.00  1,235,000   SH         DEFINED          1  1,235,000       --         --
PLAINS EXPLORATION
   & PRODUCT            COMMON  726505100 $      8,623.00    195,000   SH         DEFINED       14,2         --       --    195,000
PLAINS EXPLORATION
   & PRODUCT            COMMON  726505100 $      4,802.00    108,600   SH         DEFINED         24    108,600       --         --
PLAINS EXPLORATION
   & PRODUCT            COMMON  726505100 $      1,067.00     24,119   SH         DEFINED          4     24,119       --         --
PLANTRONICS INC         COMMON  727493108 $      6,544.00    229,209   SH         DEFINED          1    229,209       --         --
PLANTRONICS INC         COMMON  727493108 $     19,103.00    669,100   SH         DEFINED        1,3    669,100       --         --
PLANTRONICS INC         COMMON  727493108 $        500.00     17,500   SH         DEFINED       20,3     17,500       --         --
PLANTRONICS INC         COMMON  727493108 $      2,625.00     91,930   SH         DEFINED         24     91,930       --         --
PLANTRONICS INC         COMMON  727493108 $     72,443.00  2,537,420   SH         DEFINED          3  2,537,420       --         --
PLANTRONICS INC         COMMON  727493108 $        244.00      8,550   SH         DEFINED          6         --       --      8,550
PLAYBOY ENTERPRISES
   INC                  COMMON  728117300 $        485.00     45,183   SH         DEFINED         24     45,183       --         --
PLAYTEX PRODS INC       COMMON  72813P100 $        148.00      8,092   SH         DEFINED         24      8,092       --         --
PLAYTEX PRODS INC       COMMON  72813P100 $         59.00      3,250   SH         DEFINED          6      3,250       --         --
PLEXUS CORP             COMMON  729132100 $         47.00      1,700   SH         DEFINED         15      1,700       --         --
PLEXUS CORP             COMMON  729132100 $        192.00      7,009   SH         DEFINED         24      7,009       --         --
PLUG POWER INC          COMMON  72919P103 $            --          6   SH         DEFINED         23         --       --          6
PLUG POWER INC          COMMON  72919P103 $     22,098.00  7,128,518   SH         DEFINED         24  7,128,518       --         --
PLUM CREEK TIMBER CO
   INC                  COMMON  729251108 $        137.00      3,054   SH         DEFINED       1,15      3,054       --         --
PLUM CREEK TIMBER CO
   INC                  COMMON  729251108 $      8,580.00    191,700   SH         DEFINED         15    191,700       --         --
PLUM CREEK TIMBER CO
   INC                  COMMON  729251108 $         27.00        595   SH         DEFINED         23         30       --        565
PLUM CREEK TIMBER CO
   INC                  COMMON  729251108 $        858.00     19,166   SH         DEFINED         24     19,166       --         --
PLUM CREEK TIMBER CO
   INC                  COMMON  729251108 $    313,360.00  7,000,900   SH         DEFINED          3  7,000,900       --         --
PLUM CREEK TIMBER CO
   INC                  COMMON  729251108 $        250.00      5,583   SH         DEFINED          6      5,439       --        144
POGO PRODUCING CO       COMMON  730448107 $        446.00      8,396   SH         DEFINED         24      8,396       --         --
POLARIS INDUSTRIES
   INC                  COMMON  731068102 $      1,989.00     45,590   SH         DEFINED          1     45,590       --         --
POLARIS INDUSTRIES
   INC                  COMMON  731068102 $     12,615.00    289,200   SH         DEFINED        1,3    289,200       --         --
POLARIS INDUSTRIES
   INC                  COMMON  731068102 $      2,399.00     55,000   SH         DEFINED         15     24,700       --     30,300
POLARIS INDUSTRIES
   INC                  COMMON  731068102 $        366.00      8,400   SH         DEFINED       20,3      8,400       --         --
POLARIS INDUSTRIES
   INC                  COMMON  731068102 $        400.00      9,178   SH         DEFINED         24      9,178       --         --
POLARIS INDUSTRIES
   INC                  COMMON  731068102 $    114,668.00  2,628,789   SH         DEFINED          3  2,628,789       --         --
POLARIS INDUSTRIES
   INC                  COMMON  731068102 $        817.00     18,726   SH         DEFINED          6      5,010       --     13,716
POLO RALPH LAUREN
   CORP                 COMMON  731572103 $     61,858.00    795,606   SH         DEFINED          1    795,606       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
POLO RALPH LAUREN
   CORP                 COMMON  731572103 $         81.00      1,039   SH         DEFINED       1,15      1,039       --         --
POLO RALPH LAUREN
   CORP                 COMMON  731572103 $      2,326.00     29,918   SH         DEFINED       14,2         --       --     29,918
POLO RALPH LAUREN
   CORP                 COMMON  731572103 $        769.00      9,891   SH         DEFINED          2         --       --      9,891
POLO RALPH LAUREN
   CORP                 COMMON  731572103 $         24.00        306   SH         DEFINED         23         --       --        306
POLO RALPH LAUREN
   CORP                 COMMON  731572103 $     10,301.00    132,495   SH         DEFINED         24    132,495       --         --
POLYCOM INC             COMMON  73172K104 $     10,275.00    382,533   SH         DEFINED          1    382,533       --         --
POLYCOM INC             COMMON  73172K104 $     33,110.00  1,232,690   SH         DEFINED         15    703,590       --    525,300
POLYCOM INC             COMMON  73172K104 $      1,107.00     41,200   SH         DEFINED       15,8         --       --     41,200
POLYCOM INC             COMMON  73172K104 $      6,220.00    231,559   SH         DEFINED          2    231,559       --         --
POLYCOM INC             COMMON  73172K104 $        761.00     28,338   SH         DEFINED         24     28,338       --         --
POLYCOM INC             COMMON  73172K104 $      1,982.00     73,800   SH         DEFINED       5,15     73,800       --         --
POLYCOM INC             COMMON  73172K104 $        209.00      7,765   SH         DEFINED          6        290       --      7,475
POLYMEDICA CORP         COMMON  731738100 $        188.00      3,574   SH         DEFINED         24      3,574       --         --
POLYONE CORPORATION     COMMON  73179P106 $        209.00     27,952   SH         DEFINED         24     27,952       --         --
POOL CORP               COMMON  73278L105 $     10,716.00    429,000   SH         DEFINED        1,3    429,000       --         --
POOL CORP               COMMON  73278L105 $         81.00      3,244   SH         DEFINED         24      3,244       --         --
POOL CORP               COMMON  73278L105 $     59,078.00  2,365,000   SH         DEFINED          3  2,365,000       --         --
POOL CORP               COMMON  73278L105 $          3.00        124   SH         DEFINED          6         --       --        124
POPULAR INC             COMMON  733174106 $     17,896.00  1,457,360   SH         DEFINED          1  1,457,360       --         --
POPULAR INC             COMMON  733174106 $         96.00      7,800   SH         DEFINED         15         --       --      7,800
POPULAR INC             COMMON  733174106 $        460.00     37,485   SH         DEFINED         24     37,485       --         --
PORTFOLIO RECOVERY
   ASSOCIATE            COMMON  73640Q105 $            --          3   SH         DEFINED         23         --       --          3
PORTFOLIO RECOVERY
   ASSOCIATE            COMMON  73640Q105 $         63.00      1,193   SH         DEFINED         24      1,193       --         --
PORTFOLIO RECOVERY
   ASSOCIATE            COMMON  73640Q105 $      4,060.00     76,500   SH         DEFINED          9     76,500       --         --
PORTFOLIO RECOVERY
   ASSOCIATE            COMMON  73640Q105 $        828.00     15,600   SH         DEFINED       9,22     15,600       --         --
PORTLAND GENERAL
   ELECTRIC CO          COMMON  736508847 $      9,370.00    337,060   SH         DEFINED          1    337,060       --         --
PORTLAND GENERAL
   ELECTRIC CO          COMMON  736508847 $        100.00      3,600   SH         DEFINED         15      3,600       --         --
PORTLAND GENERAL
   ELECTRIC CO          COMMON  736508847 $     25,209.00    906,810   SH         DEFINED         24    906,810       --         --
PORTLAND GENERAL
   ELECTRIC CO          COMMON  736508847 $         58.00      2,100   SH         DEFINED       5,15      2,100       --         --
POSSIS MEDICAL INC      COMMON  737407106 $        556.00     40,999   SH         DEFINED         24     40,999       --         --
POST PROPERTIES INC
   REIT                 COMMON  737464107 $      2,016.00     52,084   SH         DEFINED         15     52,084       --         --
POST PROPERTIES INC
   REIT                 COMMON  737464107 $         22.00        558   SH         DEFINED         23         --       --        558
POST PROPERTIES INC
   REIT                 COMMON  737464107 $        190.00      4,903   SH         DEFINED         24      4,903       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $     48,381.00    457,722   SH         DEFINED          1    457,722       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $         16.00        150   SH         DEFINED       1,15        150       --         --
POTASH CORP OF
    SASKATCHEWAN        COMMON  73755L107 $        560.00      5,300   SH         DEFINED      11,15      5,300       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $      7,473.00     70,700   SH         DEFINED         15     38,200       --     31,200
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $        550.00      5,200   SH         DEFINED      15,14         --       --      5,200
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $        127.00      1,200   SH         DEFINED       15,8         --       --      1,200
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $      1,020.00      9,650   SH         DEFINED          2         --       --      9,650
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $        647.00      6,117   SH         DEFINED         24      6,117       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $     24,152.00    228,600   SH         DEFINED          3    228,600       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $        761.00      7,200   SH         DEFINED       5,15      7,200       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $      1,788.00     16,920   SH         DEFINED          6     16,920       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $        774.00      7,321   SH         DEFINED          8      7,321       --         --
POTASH CORP OF
   SASKATCHEWAN         COMMON  73755L107 $        592.00      5,600   SH         DEFINED       9,15      5,600       --         --
POTLATCH CORP           COMMON  737630103 $      2,962.00     65,768   SH         DEFINED         24     65,768       --         --
POTLATCH CORP           COMMON  737630103 $        114.00      2,530   SH         DEFINED          6         --       --      2,530
POWELL INDUSTRIES
   INC                  COMMON  739128106 $        580.00     15,295   SH         DEFINED         24     15,295       --         --
POWER INTEGRATIONS
   INC                  COMMON  739276103 $     21,883.00    736,559   SH         DEFINED          1    736,559       --         --
POWER INTEGRATIONS
   INC                  COMMON  739276103 $     12,408.00    417,644   SH         DEFINED          2    417,644       --         --
POWER INTEGRATIONS
   INC                  COMMON  739276103 $        297.00     10,000   SH         DEFINED          6         --       --     10,000
POWER-ONE INC           COMMON  739308104 $        583.00    114,221   SH         DEFINED         24    114,221       --         --
POWERSHARES QQQ
   NASDAQ 100 ETF       COMMON  73935A104 $          3.00         62   SH         DEFINED         23         --       --         62
POWERSHARES QQQ
   NASDAQ 100 ETF       COMMON  73935A104 $        459.00      8,925   SH         DEFINED          6      8,125       --        800
POWERSHARES H/Y EQ
   DVD ACHIE E          COMMON  73935X302 $          1.00         68   SH         DEFINED         23         --       --         68
POWERSHARES GLD DRG
   H USX CH E           COMMON  73935X401 $          7.00        202   SH         DEFINED         23          9       --        193
POWERSHARES WILDERH
   CLEAN EN E           COMMON  73935X500 $         11.00        491   SH         DEFINED         23        400       --         91
POWERSHARES WILDERH
   CLEAN EN E           COMMON  73935X500 $         11.00        500   SH         DEFINED          6        500       --         --
POWERSHARES FTSE
   RAFI US 150 E        COMMON  73935X567 $        529.00      9,360   SH         DEFINED          1      9,360       --         --
POWERSHARES FTSE
   RAFI US 150 E        COMMON  73935X567 $          4.00         65   SH         DEFINED          6         65       --         --
POWERSHARES GLOBAL
   WATER PT ET          COMMON  73935X575 $          9.00        444   SH         DEFINED         23        400       --         44
POWERSHARES FTSE
   RAFI US 1K ET        COMMON  73935X583 $      1,011.00     16,418   SH         DEFINED          1     16,418       --         --
POWERSHARES DYN L/C
   GROWTH ETF           COMMON  73935X609 $        444.00     23,594   SH         DEFINED          1     23,594       --         --
POWERSHARES DYN L/C
   GROWTH ETF           COMMON  73935X609 $            --          4   SH         DEFINED         23         --       --          4




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
POWERSHARES DYN OIL
   & GAS SV E           COMMON  73935X625 $            --         13   SH         DEFINED         23         --       --         13
POWERSHARES DYN OIL
   & GAS SV E           COMMON  73935X625 $         52.00      1,865   SH         DEFINED          6      1,865       --         --
POWERSHARES LUX
   NANOTECH PT ET       COMMON  73935X633 $          9.00        500   SH         DEFINED         23         --       --        500
POWERSHARES DYN L/C
   VALUE ETF            COMMON  73935X708 $        420.00     20,194   SH         DEFINED          1     20,194       --         --
POWERSHARES INTER
   DVD ACHIEV E         COMMON  73935X716 $        564.00     26,503   SH         DEFINED          1     26,503       --         --
POWERSHARES INTER
   DVD ACHIEV E         COMMON  73935X716 $          4.00        208   SH         DEFINED         23          9       --        199
POWERSHARES DYN
   PHARMACEUTIC E       COMMON  73935X799 $            --          4   SH         DEFINED         23         --       --          4
POWERSHARES DYN
   BIOTECH&GENO E       COMMON  73935X856 $            --          4   SH         DEFINED         23         --       --          4
POWERSHARES DYN
   S/C VALUE ETF        COMMON  73935X864 $        426.00     23,749   SH         DEFINED          1     23,749       --         --
POWERSHARES DYN
   S/C GROWTH ETF       COMMON  73935X872 $        438.00     24,147   SH         DEFINED          1     24,147       --         --
POWERWAVE
   TECHNOLOGIES INC     COMMON  739363109 $        110.00     17,828   SH         DEFINED         24     17,828       --         --
POWERSECURE
   INTERNATIONAL IN     COMMON  73936N105 $        611.00     49,030   SH         DEFINED         24     49,030       --         --
POWERSHARES GLOBAL
   WATER POR E          COMMON  73936T623 $          1.00         39   SH         DEFINED         23         --       --         39
PRAXAIR INC             COMMON  74005P104 $     14,030.00    167,500   SH         DEFINED          1    167,500       --         --
PRAXAIR INC             COMMON  74005P104 $        465.00      5,552   SH         DEFINED       1,15      5,552       --         --
PRAXAIR INC             COMMON  74005P104 $         35.00        413   SH         DEFINED         23        127       --        286
PRAXAIR INC             COMMON  74005P104 $     37,736.00    450,526   SH         DEFINED         24    450,526       --         --
PRAXAIR INC             COMMON  74005P104 $      8,281.00     98,860   SH         DEFINED          3     98,860       --         --
PRAXAIR INC             COMMON  74005P104 $     19,910.00    237,698   SH         DEFINED          6    179,851       --     57,847
PRAXAIR INC             COMMON  74005P104 $        521.00      6,224   SH         DEFINED          8      6,224       --         --
PREPAID LEGAL
   SERVICES INC         COMMON  740065107 $        128.00      2,300   SH         DEFINED         15      2,300       --         --
PREPAID LEGAL
   SERVICES INC         COMMON  740065107 $      3,849.00     69,394   SH         DEFINED         24     69,394       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $    319,450.00  2,158,741   SH         DEFINED          1  2,158,741       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $        354.00      2,392   SH         DEFINED       1,15      2,392       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $         83.00        561   SH         DEFINED         14        561       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $         83.00        561   SH         DEFINED       14,2        561       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $        104.00        700   SH         DEFINED         15        100       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $     21,123.00    142,740   SH         DEFINED          2    133,487       --      9,253
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $     32,655.00    220,673   SH         DEFINED         24    220,673       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $      3,037.00     20,520   SH         DEFINED          6      1,575       --     18,945
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $         89.00        600   SH         DEFINED          8        600       --         --
PRECISION CASTPARTS
   CORP                 COMMON  740189105 $      1,197.00      8,087   SH         DEFINED        9,2      8,087       --         --
PREFERRED BANK-LOS
   ANGELES              COMMON  740367107 $      1,062.00     27,000   SH         DEFINED         15     22,100       --      4,900
PREFERRED BANK-LOS
   ANGELES              COMMON  740367107 $        346.00      8,800   SH         DEFINED       5,15      8,800       --         --
PREFORMED LINE
   PRODUCTS CO          COMMON  740444104 $         19.00        357   SH         DEFINED         24        357       --         --
PREMIERE GLOBAL
   SERVICES INC         COMMON  740585104 $      5,410.00    427,700   SH         DEFINED         15    291,500       --    136,200
PREMIERE GLOBAL
   SERVICES INC         COMMON  740585104 $        730.00     57,681   SH         DEFINED         24     57,681       --         --
PREMIERE GLOBAL
   SERVICES INC         COMMON  740585104 $        768.00     60,700   SH         DEFINED       5,15     60,700       --         --
PRESIDENTIAL LIFE
   CORP                 COMMON  740884101 $      1,180.00     69,600   SH         DEFINED         15     52,600       --     17,000
PRESIDENTIAL LIFE
   CORP                 COMMON  740884101 $        463.00     27,295   SH         DEFINED         24     27,295       --         --
PRESIDENTIAL LIFE
   CORP                 COMMON  740884101 $        370.00     21,800   SH         DEFINED       5,15     21,800       --         --
PRESSTEK INC            COMMON  741113104 $         34.00      5,350   SH         DEFINED          6         --       --      5,350
PRESTIGE BRANDS
   HOLDINGS INC         COMMON  74112D101 $        925.00     84,250   SH         DEFINED         15     64,250       --     20,000
PRESTIGE BRANDS
   HOLDINGS INC         COMMON  74112D101 $      3,130.00    285,069   SH         DEFINED         24    285,069       --         --
PRESTIGE BRANDS
   HOLDINGS INC         COMMON  74112D101 $        214.00     19,500   SH         DEFINED       5,15     19,500       --         --
T ROWE PRICE GROUP
   INC                  COMMON  74144T108 $     11,405.00    204,800   SH         DEFINED          1    204,800       --         --
T ROWE PRICE GROUP
   INC                  COMMON  74144T108 $        256.00      4,602   SH         DEFINED       1,15      4,602       --         --
T ROWE PRICE GROUP
   INC                  COMMON  74144T108 $          5.00         95   SH         DEFINED         23         89       --          6
T ROWE PRICE GROUP
   INC                  COMMON  74144T108 $     12,314.00    221,116   SH         DEFINED         24    221,116       --         --
T ROWE PRICE GROUP
   INC                  COMMON  74144T108 $      1,420.00     25,500   SH         DEFINED          3     25,500       --         --
T ROWE PRICE GROUP
   INC                  COMMON  74144T108 $      3,825.00     68,677   SH         DEFINED          6     40,099       --     28,578
T ROWE PRICE GROUP
   INC                  COMMON  74144T108 $        268.00      4,816   SH         DEFINED          8      4,816       --         --
PRICELINE COM INC       COMMON  741503403 $        497.00      5,600   SH         DEFINED       1,15      5,600       --         --
PRICELINE COM INC       COMMON  741503403 $     16,738.00    188,597   SH         DEFINED         15    117,197       --     71,400
PRICELINE COM INC       COMMON  741503403 $      1,723.00     19,417   SH         DEFINED         24     19,417       --         --
PRICELINE COM INC       COMMON  741503403 $      1,207.00     13,600   SH         DEFINED       5,15     13,600       --         --
PRICESMART INC          COMMON  741511109 $          2.00         76   SH         DEFINED         23         --       --         76
PRICESMART INC          COMMON  741511109 $        425.00     18,029   SH         DEFINED         24     18,029       --         --
PRICESMART INC          COMMON  741511109 $         59.00      2,500   SH         DEFINED          6         --       --      2,500
PRIDE INTERNATIONAL
   INC                  COMMON  74153Q102 $     14,766.00    403,988   SH         DEFINED         24    403,988       --         --
PRIMEWEST ENERGY
   TRUST                COMMON  741930309 $         26.00        980   SH         DEFINED          6         --       --        980
PRINCIPAL FINANCIAL
   GROUP                COMMON  74251V102 $        292.00      4,627   SH         DEFINED       1,15      4,627       --         --
PRINCIPAL FINANCIAL
   GROUP                COMMON  74251V102 $         13.00        200   SH         DEFINED         23         --       --        200
PRINCIPAL FINANCIAL
   GROUP                COMMON  74251V102 $     26,304.00    416,935   SH         DEFINED         24    416,935       --         --
PRINCIPAL FINANCIAL
   GROUP                COMMON  74251V102 $        115.00      1,827   SH         DEFINED          6      1,604       --        223




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PRINCIPAL FINANCIAL
   GROUP                COMMON  74251V102 $        273.00      4,330   SH         DEFINED          8      4,330       --         --
PROASSURANCE CORP       COMMON  74267C106 $     12,080.00    224,244   SH         DEFINED          1    224,244       --         --
PROASSURANCE CORP       COMMON  74267C106 $     10,527.00    195,422   SH         DEFINED          2    195,422       --         --
PROASSURANCE CORP       COMMON  74267C106 $      4,043.00     75,051   SH         DEFINED         24     75,051       --         --
PROCENTURY CORP         COMMON  74268T108 $        389.00     26,619   SH         DEFINED         24     26,619       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $     46,635.00    663,000   SH         DEFINED          1    663,000       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $      4,149.00     58,979   SH         DEFINED       1,15     58,979       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $      3,603.00     51,220   SH         DEFINED         10     51,220       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $        647.00      9,200   SH         DEFINED      11,15      9,200       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $      1,870.00     26,581   SH         DEFINED       11,8     26,581       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $      1,064.00     15,132   SH         DEFINED         14     15,132       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $     29,501.00    419,410   SH         DEFINED         15    318,260       --     87,050
PROCTER & GAMBLE CO     COMMON  742718109 $        331.00      4,700   SH         DEFINED      15,14         --       --      4,700
PROCTER & GAMBLE CO     COMMON  742718109 $      5,036.00     71,600   SH         DEFINED       15,8         --       --     71,600
PROCTER & GAMBLE CO     COMMON  742718109 $      3,451.00     49,065   SH         DEFINED         22     49,065       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $         91.00      1,291   SH         DEFINED         23        322       --        969
PROCTER & GAMBLE CO     COMMON  742718109 $     13,057.00    185,634   SH         DEFINED         24    185,634       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $        246.00      3,500   SH         DEFINED          3      3,500       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $        457.00      6,500   SH         DEFINED       5,15      6,500       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $     42,023.00    597,421   SH         DEFINED          6    433,605       --    163,816
PROCTER & GAMBLE CO     COMMON  742718109 $      9,952.00    141,479   SH         DEFINED          8    141,479       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $    130,211.00  1,851,172   SH         DEFINED          9  1,851,172       --         --
PROCTER & GAMBLE CO     COMMON  742718109 $      2,680.00     38,100   SH         DEFINED       9,15     38,100       --         --
PRIVATEBANCORP INC      COMMON  742962103 $            --         12   SH         DEFINED         23         --       --         12
PRIVATEBANCORP INC      COMMON  742962103 $         34.00        967   SH         DEFINED         24        967       --         --
PROGENICS
   PHARMACEUTICALS      COMMON  743187106 $      6,071.00    274,587   SH         DEFINED         24    274,587       --         --
PROGRESS ENERGY INC     COMMON  743263105 $        351.00      7,493   SH         DEFINED       1,15      7,493       --         --
PROGRESS ENERGY INC     COMMON  743263105 $        558.00     11,900   SH         DEFINED      11,15     11,900       --         --
PROGRESS ENERGY INC     COMMON  743263105 $     20,911.00    446,340   SH         DEFINED         15    336,340       --     97,500
PROGRESS ENERGY INC     COMMON  743263105 $        305.00      6,500   SH         DEFINED      15,14         --       --      6,500
PROGRESS ENERGY INC     COMMON  743263105 $      2,881.00     61,500   SH         DEFINED       15,8         --       --     61,500
PROGRESS ENERGY INC     COMMON  743263105 $            --         10   SH         DEFINED         23         --       --         10
PROGRESS ENERGY INC     COMMON  743263105 $     10,583.00    225,890   SH         DEFINED         24    225,890       --         --
PROGRESS ENERGY INC     COMMON  743263105 $        436.00      9,300   SH         DEFINED       5,15      9,300       --         --
PROGRESS ENERGY INC     COMMON  743263105 $        415.00      8,855   SH         DEFINED          6      7,950       --        905
PROGRESS ENERGY INC     COMMON  743263105 $        404.00      8,633   SH         DEFINED          8      8,633       --         --
PROGRESS ENERGY INC     COMMON  743263105 $      4,118.00     87,900   SH         DEFINED       9,15     87,900       --         --
PROGRESS ENERGY
   INC-CVO RT           COMMON  743263AA3 $            --        421   SH         DEFINED         23         --       --        421
PROGRESS SOFTWARE
   CORP                 COMMON  743312100 $         86.00      2,851   SH         DEFINED         24      2,851       --         --
PROGRESS SOFTWARE
   CORP                 COMMON  743312100 $         14.00        450   SH         DEFINED          6        450       --         --
PROGRESSIVE CORP        COMMON  743315103 $    265,620.00 13,684,717   SH         DEFINED          1 13,684,717       --         --
PROGRESSIVE CORP        COMMON  743315103 $        244.00     12,570   SH         DEFINED       1,15     12,570       --         --
PROGRESSIVE CORP        COMMON  743315103 $        664.00     34,197   SH         DEFINED         15     34,197       --         --
PROGRESSIVE CORP        COMMON  743315103 $      1,031.00     53,100   SH         DEFINED          2     53,100       --         --
PROGRESSIVE CORP        COMMON  743315103 $          1.00         73   SH         DEFINED         23         --       --         73
PROGRESSIVE CORP        COMMON  743315103 $      1,122.00     57,806   SH         DEFINED         24     57,806       --         --
PROGRESSIVE CORP        COMMON  743315103 $        534.00     27,500   SH         DEFINED          3     27,500       --         --
PROGRESSIVE CORP        COMMON  743315103 $         54.00      2,800   SH         DEFINED        3,1      2,800       --         --
PROGRESSIVE CORP        COMMON  743315103 $     17,892.00    921,797   SH         DEFINED          4    921,797       --         --
PROGRESSIVE CORP        COMMON  743315103 $        222.00     11,441   SH         DEFINED          6      8,400       --      3,041
PROGRESSIVE CORP        COMMON  743315103 $        320.00     16,488   SH         DEFINED          8     16,488       --         --
PROGRESSIVE CORP        COMMON  743315103 $        596.00     30,691   SH         DEFINED          9     30,691       --         --
PROGRESSIVE GAMING
   INTERNATI            COMMON  74332S102 $         12.00      2,319   SH         DEFINED         24      2,319       --         --
PROGRESSIVE GAMING
   INTERNATI            COMMON  74332S102 $          3.00        500   SH         DEFINED          6         --       --        500
PROLOGIS                COMMON  743410102 $    141,637.00  2,134,694   SH         DEFINED       1,15  2,134,694       --         --
PROLOGIS                COMMON  743410102 $        750.00     11,300   SH         DEFINED      11,15     11,300       --         --
PROLOGIS                COMMON  743410102 $    370,518.00  5,584,291   SH         DEFINED         15  3,589,004       --  1,585,850
PROLOGIS                COMMON  743410102 $        179.00      2,700   SH         DEFINED      15,14         --       --      2,700
PROLOGIS                COMMON  743410102 $      1,785.00     26,900   SH         DEFINED       15,8         --       --     26,900
PROLOGIS                COMMON  743410102 $     19,029.00    286,800   SH         DEFINED       2,15    286,800       --         --
PROLOGIS                COMMON  743410102 $      5,932.00     89,400   SH         DEFINED      20,15     89,400       --         --
PROLOGIS                COMMON  743410102 $         10.00        148   SH         DEFINED         23         12       --        136
PROLOGIS                COMMON  743410102 $      1,087.00     16,377   SH         DEFINED         24     16,377       --         --
PROLOGIS                COMMON  743410102 $     33,648.00    507,135   SH         DEFINED       5,15    507,135       --         --
PROLOGIS                COMMON  743410102 $        187.00      2,824   SH         DEFINED          6      2,400       --        424




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
PROLOGIS                COMMON  743410102 $        374.00      5,630   SH         DEFINED          8      5,630       --         --
PROLOGIS                COMMON  743410102 $      2,880.00     43,400   SH         DEFINED       9,15     43,400       --         --
PROSPECT CAPITAL
   CORP                 COMMON  74348T102 $      1,854.00    108,911   SH         DEFINED         24    108,911       --         --
PROSPECT STREET HI
   INC PORTF C          COMMON  743586406 $            --         71   SH         DEFINED         23         --       --         71
PROSPECT STREET
   INCOME SHARES        COMMON  743590101 $            --         12   SH         DEFINED         23         --       --         12
PROSPERITY
   BANCSHARES INC       COMMON  743606105 $         63.00      1,899   SH         DEFINED         24      1,899       --         --
PROSPERITY
   BANCSHARES INC       COMMON  743606105 $        104.00      3,125   SH         DEFINED          6         --       --      3,125
PROTECTIVE LIFE CORP    COMMON  743674103 $      4,792.00    112,919   SH         DEFINED          1    112,919       --         --
PROTECTIVE LIFE CORP    COMMON  743674103 $      1,824.00     42,985   SH         DEFINED         24     42,985       --         --
PROTECTIVE LIFE CORP    COMMON  743674103 $         17.00        400   SH         DEFINED          6         --       --        400
PROVIDENCE SERVICE
   CORP                 COMMON  743815102 $        259.00      8,838   SH         DEFINED         24      8,838       --         --
PROVIDENT BANKSHARES
    CORP                COMMON  743859100 $      4,793.00    152,996   SH         DEFINED          1    152,996       --         --
PROVIDENT BANKSHARES
   CORP                 COMMON  743859100 $        248.00      7,900   SH         DEFINED         15      7,900       --         --
PROVIDENT BANKSHARES
   CORP                 COMMON  743859100 $      6,330.00    202,033   SH         DEFINED         24    202,033       --         --
PROVIDENT BANKSHARES
   CORP                 COMMON  743859100 $        154.00      4,900   SH         DEFINED       5,15      4,900       --         --
PROVIDENT ENERGY
    TRUST-UTS           COMMON  74386K104 $          6.00        500   SH         DEFINED          6         --       --        500
PROVIDENT COMMUNITY
   BANCSHAR             COMMON  74386S107 $          2.00        121   SH         DEFINED         24        121       --         --
PROVIDENT FINANCIAL
   SERVICES             COMMON  74386T105 $        454.00     27,759   SH         DEFINED         24     27,759       --         --
PROVIDENT NEW YORK
   BANCORP              COMMON  744028101 $        700.00     53,369   SH         DEFINED         24     53,369       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $     57,940.00    593,770   SH         DEFINED          1    593,770       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $        778.00      7,968   SH         DEFINED       1,15      7,968       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $      1,869.00     19,157   SH         DEFINED         10     19,157       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $        774.00      7,928   SH         DEFINED       11,8      7,928       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $        407.00      4,168   SH         DEFINED         14      4,168       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $      6,173.00     63,260   SH         DEFINED         15     44,060       --     15,600
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $      1,542.00     15,800   SH         DEFINED       15,8         --       --     15,800
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $     17,148.00    175,729   SH         DEFINED          2    175,729       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $        836.00      8,563   SH         DEFINED         22      8,563       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $         14.00        142   SH         DEFINED         23         79       --         63
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $     14,659.00    150,225   SH         DEFINED         24    150,225       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $        569.00      5,826   SH         DEFINED          4      5,826       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $      9,618.00     98,562   SH         DEFINED          6     91,210       --      7,352
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $      3,593.00     36,821   SH         DEFINED          8     36,821       --         --
PRUDENTIAL FINANCIAL
   INC                  COMMON  744320102 $      5,816.00     59,599   SH         DEFINED          9     59,599       --         --
PRUDENTIAL PLC ADR      COMMON  74435K204 $         19.00        600   SH         DEFINED         23         --       --        600
PRUDENTIAL PLC ADR      COMMON  74435K204 $          2.00         75   SH         DEFINED          4         75       --         --
PSYCHIATRIC SOLUTIONS
   INC                  COMMON  74439H108 $     37,850.00    963,600   SH         DEFINED          1    963,600       --         --
PSYCHIATRIC
   SOLUTIONS INC        COMMON  74439H108 $        998.00     25,400   SH         DEFINED          2         --       --     25,400
PSYCHIATRIC
   SOLUTIONS INC        COMMON  74439H108 $          5.00        126   SH         DEFINED         23        116       --         10
PSYCHIATRIC
   SOLUTIONS INC        COMMON  74439H108 $         71.00      1,810   SH         DEFINED         24      1,810       --         --
PSYCHIATRIC
   SOLUTIONS INC        COMMON  74439H108 $      3,425.00     87,201   SH         DEFINED          6     49,863       --     37,338
PUBLIC SERVICE
   ENTERPRISE GROU      COMMON  744573106 $        388.00      4,413   SH         DEFINED       1,15      4,413       --         --
PUBLIC SERVICE
   ENTERPRISE GROU      COMMON  744573106 $        361.00      4,100   SH         DEFINED         15      1,800       --      2,300
PUBLIC SERVICE
   ENTERPRISE GROU      COMMON  744573106 $        238.00      2,700   SH         DEFINED       15,8         --       --      2,700
PUBLIC SERVICE
   ENTERPRISE GROU      COMMON  744573106 $     11,395.00    129,509   SH         DEFINED         24    129,509       --         --
PUBLIC SERVICE
   ENTERPRISE GROU      COMMON  744573106 $        192.00      2,185   SH         DEFINED          6      1,730       --        455
PUBLIC SERVICE
   ENTERPRISE GROU      COMMON  744573106 $        364.00      4,138   SH         DEFINED          8      4,138       --         --
PUBLIC SERVICE
   ENTERPRISE GROU      COMMON  744573106 $        541.00      6,153   SH         DEFINED          9      6,153       --         --
PUBLIC STORAGE          COMMON  74460D109 $     75,320.00    957,660   SH         DEFINED       1,15    957,660       --         --
PUBLIC STORAGE          COMMON  74460D109 $    182,905.00  2,325,554   SH         DEFINED         15  1,477,418       --    680,575
PUBLIC STORAGE          COMMON  74460D109 $     10,295.00    130,900   SH         DEFINED       2,15    130,900       --         --
PUBLIC STORAGE          COMMON  74460D109 $      2,871.00     36,500   SH         DEFINED      20,15     36,500       --         --
PUBLIC STORAGE          COMMON  74460D109 $        519.00      6,601   SH         DEFINED         24      6,601       --         --
PUBLIC STORAGE          COMMON  74460D109 $     16,478.00    209,516   SH         DEFINED       5,15    209,516       --         --
PUBLIC STORAGE          COMMON  74460D109 $          5.00         69   SH         DEFINED          6         --       --         69
PUBLIC STORAGE DEP
   SH CL A              COMMON  74460D729 $      3,513.00    135,100   SH         DEFINED       1,15    135,100       --         --
PUBLICIS GROUPE ADR     COMMON  74463M106 $     41,010.00    999,877   SH         DEFINED         12    999,877       --         --
PUBLICIS GROUPE ADR     COMMON  74463M106 $        898.00     21,887   SH         DEFINED         15     21,887       --         --
PUBLICIS GROUPE ADR     COMMON  74463M106 $         55.00      1,344   SH         DEFINED         24      1,344       --         --
PUGET ENERGY INC        COMMON  745310102 $     24,963.00  1,020,166   SH         DEFINED         24  1,020,166       --         --
PULTE HOMES INC         COMMON  745867101 $         51.00      3,718   SH         DEFINED       1,15      3,718       --         --
PULTE HOMES INC         COMMON  745867101 $        458.00     33,674   SH         DEFINED         24     33,674       --         --
PULTE HOMES INC         COMMON  745867101 $         45.00      3,332   SH         DEFINED          8      3,332       --         --
QLT PHOTO-
   THERAPEUTICS INC     COMMON  746927102 $          1.00        200   SH         DEFINED         24        200       --         --
QLOGIC CORP             COMMON  747277101 $     45,935.00  3,415,260   SH         DEFINED          1  3,415,260       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
QLOGIC CORP             COMMON  747277101 $         35.00      2,596   SH         DEFINED       1,15      2,596       --         --
QLOGIC CORP             COMMON  747277101 $      2,741.00    203,800   SH         DEFINED         15     85,700       --    118,100
QLOGIC CORP             COMMON  747277101 $      1,309.00     97,345   SH         DEFINED         24     97,345       --         --
QLOGIC CORP             COMMON  747277101 $        265.00     19,700   SH         DEFINED          3     19,700       --         --
QLOGIC CORP             COMMON  747277101 $         82.00      6,100   SH         DEFINED        3,1      6,100       --         --
QLOGIC CORP             COMMON  747277101 $         54.00      3,990   SH         DEFINED          6      3,990       --         --
QLOGIC CORP             COMMON  747277101 $        709.00     52,731   SH         DEFINED          9     52,731       --         --
QC HOLDING INC          COMMON  74729T101 $         19.00      1,300   SH         DEFINED         24      1,300       --         --
QUAKER CHEMICAL CORP    COMMON  747316107 $        444.00     18,888   SH         DEFINED         24     18,888       --         --
QUALCOMM INC            COMMON  747525103 $     16,228.00    384,000   SH         DEFINED          1    384,000       --         --
QUALCOMM INC            COMMON  747525103 $      1,228.00     29,066   SH         DEFINED       1,15     29,066       --         --
QUALCOMM INC            COMMON  747525103 $        904.00     21,400   SH         DEFINED         15     11,100       --      6,900
QUALCOMM INC            COMMON  747525103 $        194.00      4,600   SH         DEFINED       15,8         --       --      4,600
QUALCOMM INC            COMMON  747525103 $         80.00      1,900   SH         DEFINED         19      1,900       --         --
QUALCOMM INC            COMMON  747525103 $         37.00        887   SH         DEFINED         23        212       --        675
QUALCOMM INC            COMMON  747525103 $     44,922.00  1,062,991   SH         DEFINED         24  1,062,991       --         --
QUALCOMM INC            COMMON  747525103 $      7,624.00    180,402   SH         DEFINED          3    180,402       --         --
QUALCOMM INC            COMMON  747525103 $     44,673.00  1,057,108   SH         DEFINED          6    332,135       --    724,973
QUALCOMM INC            COMMON  747525103 $      1,578.00     37,350   SH         DEFINED          8     37,350       --         --
QUALCOMM INC            COMMON  747525103 $     30,146.00    713,338   SH         DEFINED          9    713,338       --         --
QUALITY SYSTEMS INC     COMMON  747582104 $     15,018.00    410,000   SH         DEFINED          1    410,000       --         --
QUALITY SYSTEMS INC     COMMON  747582104 $         88.00      2,400   SH         DEFINED         15      2,400       --         --
QUALITY SYSTEMS INC     COMMON  747582104 $         19.00        510   SH         DEFINED         24        510       --         --
QUALITY SYSTEMS INC     COMMON  747582104 $         72.00      1,975   SH         DEFINED          6         --       --      1,975
QUANEX CORP             COMMON  747620102 $      1,057.00     22,490   SH         DEFINED          1     22,490       --         --
QUANEX CORP             COMMON  747620102 $      4,658.00     99,150   SH         DEFINED         15     69,850       --     29,300
QUANEX CORP             COMMON  747620102 $      3,712.00     79,015   SH         DEFINED         24     79,015       --         --
QUANEX CORP             COMMON  747620102 $      1,113.00     23,700   SH         DEFINED       5,15     23,700       --         --
QUANEX CORP             COMMON  747620102 $         47.00        997   SH         DEFINED          6        997       --         --
QUANTA SVCS INC         COMMON  74762E102 $      6,131.00    231,811   SH         DEFINED          1    231,811       --         --
QUANTA SVCS INC         COMMON  74762E102 $         14.00        525   SH         DEFINED         23         --       --        525
QUANTA SVCS INC         COMMON  74762E102 $        518.00     19,576   SH         DEFINED         24     19,576       --         --
QUANTA SVCS INC         COMMON  74762E102 $        186.00      7,025   SH         DEFINED          6         --       --      7,025
QUANTUM CORP-DLT &
   STORAGE              COMMON  747906204 $        758.00    222,819   SH         DEFINED         24    222,819       --         --
QUEBECOR WORLD CAP
   SUB VTG NPV          COMMON  748203106 $    148,870.00 15,370,900   SH         DEFINED          3 15,370,900       --         --
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $     42,439.00    734,615   SH         DEFINED          1    734,615       --         --
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $        158.00      2,730   SH         DEFINED       1,15      2,730       --         --
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $        685.00     11,853   SH         DEFINED         15     11,853       --         --
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $          4.00         66   SH         DEFINED         23         62       --          4
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $        710.00     12,291   SH         DEFINED         24     12,291       --         --
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $     18,511.00    320,431   SH         DEFINED          4    320,431       --         --
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $      2,806.00     48,575   SH         DEFINED          6     27,497       --     21,078
QUEST DIAGNOSTICS
   INC                  COMMON  74834L100 $        181.00      3,138   SH         DEFINED          8      3,138       --         --
QUEST SOFTWARE INC      COMMON  74834T103 $          2.00        100   SH         DEFINED         23         --       --        100
QUEST SOFTWARE INC      COMMON  74834T103 $      1,830.00    106,654   SH         DEFINED         24    106,654       --         --
QUESTAR CORP            COMMON  748356102 $     79,846.00  1,520,000   SH         DEFINED          1  1,520,000       --         --
QUESTAR CORP            COMMON  748356102 $        156.00      2,979   SH         DEFINED       1,15      2,979       --         --
QUESTAR CORP            COMMON  748356102 $      8,930.00    170,000   SH         DEFINED       14,2         --       --    170,000
QUESTAR CORP            COMMON  748356102 $          6.00        112   SH         DEFINED         23        105       --          7
QUESTAR CORP            COMMON  748356102 $      7,313.00    139,214   SH         DEFINED         24    139,214       --         --
QUESTAR CORP            COMMON  748356102 $      1,418.00     27,000   SH         DEFINED          4     27,000       --         --
QUESTAR CORP            COMMON  748356102 $      6,135.00    116,794   SH         DEFINED          6     54,788       --     62,006
QUESTAR CORP            COMMON  748356102 $        187.00      3,554   SH         DEFINED          8      3,554       --         --
QUICKSILVER RESOURCE    COMMON  74837R104 $     17,079.00    363,000   SH         DEFINED          1    363,000       --         --
QUICKSILVER RESOURCE    COMMON  74837R104 $        112.00      2,391   SH         DEFINED         24      2,391       --         --
QUIKSILVER INC          COMMON  74838C106 $        199.00     13,948   SH         DEFINED         24     13,948       --         --
QUIDEL CORP             COMMON  74838J101 $        303.00     15,500   SH         DEFINED         15     15,500       --         --
QUIDEL CORP             COMMON  74838J101 $        305.00     15,599   SH         DEFINED         24     15,599       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      2,562.00    279,737   SH         DEFINED       1,15    279,737       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      2,182.00    238,207   SH         DEFINED         10    238,207       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      1,306.00    142,600   SH         DEFINED      11,15    142,600       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $        716.00     78,192   SH         DEFINED       11,8     78,192       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $        533.00     58,172   SH         DEFINED         14     58,172       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $    106,262.00 11,600,610   SH         DEFINED         15  7,635,660       --  3,584,250
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      2,694.00    294,100   SH         DEFINED      15,14         --       --    294,100




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      1,880.00    205,200   SH         DEFINED       15,8         --       --    205,200
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $        119.00     12,985   SH         DEFINED         21     12,985       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      1,374.00    150,017   SH         DEFINED         22    150,017       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $            --          3   SH         DEFINED         23         --       --          3
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      3,297.00    359,979   SH         DEFINED         24    359,979       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      3,357.00    366,506   SH         DEFINED        3,1    366,506       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      3,735.00    407,800   SH         DEFINED       5,15    407,800       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $         89.00      9,680   SH         DEFINED          6         75       --      9,605
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $        406.00     44,300   SH         DEFINED          7     44,300       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      6,179.00    674,586   SH         DEFINED          8    674,586       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $     11,008.00  1,201,721   SH         DEFINED          9  1,201,721       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      5,539.00    604,700   SH         DEFINED       9,15    604,700       --         --
QWEST COMMUNICATIONS
   INTL INC             COMMON  749121109 $      1,438.00    156,980   SH         DEFINED        9,2    156,980       --         --
RCN CORP                COMMON  749361200 $         27.00      2,209   SH         DEFINED         24      2,209       --         --
RC2 CORP                COMMON  749388104 $         62.00      2,231   SH         DEFINED         24      2,231       --         --
RH DONNELLEY CORP       COMMON  74955W307 $     22,889.00    408,585   SH         DEFINED          1    408,585       --         --
RH DONNELLEY CORP       COMMON  74955W307 $      1,801.00     32,147   SH         DEFINED         24     32,147       --         --
RH DONNELLEY CORP       COMMON  74955W307 $         37.00        659   SH         DEFINED          6        560       --         99
RLI CORP                COMMON  749607107 $        154.00      2,715   SH         DEFINED         15      2,715       --         --
RLI CORP                COMMON  749607107 $      1,576.00     27,789   SH         DEFINED         24     27,789       --         --
RLI CORP                COMMON  749607107 $         96.00      1,700   SH         DEFINED       5,15      1,700       --         --
RPC INC                 COMMON  749660106 $         57.00      4,036   SH         DEFINED         24      4,036       --         --
RPM INTERNATIONAL
   INC                  COMMON  749685103 $      5,485.00    229,038   SH         DEFINED         24    229,038       --         --
RPM INTERNATIONAL
   INC                  COMMON  749685103 $         33.00      1,375   SH         DEFINED          6      1,375       --         --
RTI INTERNATIONAL
   METALS INC           COMMON  74973W107 $         59.00        748   SH         DEFINED         24        748       --         --
RTI INTERNATIONAL
   METALS INC           COMMON  74973W107 $         96.00      1,205   SH         DEFINED          6         --       --      1,205
RF MICRO DEVICES INC    COMMON  749941100 $         97.00     14,398   SH         DEFINED         24     14,398       --         --
RF MICRO DEVICES INC    COMMON  749941100 $         13.00      2,000   SH         DEFINED          6      2,000       --         --
RACKABLE SYSTEMS INC    COMMON  750077109 $         15.00      1,186   SH         DEFINED         24      1,186       --         --
RACKABLE SYSTEMS INC    COMMON  750077109 $         56.00      4,300   SH         DEFINED          6         --       --      4,300
RADIAN GROUP INC        COMMON  750236101 $        154.00      6,603   SH         DEFINED         24      6,603       --         --
RADIAN GROUP INC        COMMON  750236101 $         47.00      2,003   SH         DEFINED          8      2,003       --         --
RADIAN GROUP INC        COMMON  750236101 $      1,669.00     71,700   SH         DEFINED          9     71,700       --         --
RADIAN GROUP INC        COMMON  750236101 $        335.00     14,400   SH         DEFINED       9,22     14,400       --         --
RADIATION THERAPY
   SERVICES             COMMON  750323206 $         23.00      1,102   SH         DEFINED         24      1,102       --         --
RADIO ONE INC CL D
   WI                   COMMON  75040P405 $        105.00     28,059   SH         DEFINED         24     28,059       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $        291.00     14,078   SH         DEFINED          1     14,078       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $      5,774.00    279,466   SH         DEFINED       1,15    279,466       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $      6,343.00    307,011   SH         DEFINED         10    307,011       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $      2,109.00    102,100   SH         DEFINED      11,15    102,100       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $      2,782.00    134,658   SH         DEFINED       11,8    134,658       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $      1,701.00     82,341   SH         DEFINED         14     82,341       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $    173,970.00  8,420,638   SH         DEFINED         15  5,933,238       --  2,286,800
RADIOSHACK
   CORPORATION          COMMON  750438103 $      3,808.00    184,300   SH         DEFINED      15,14         --       --    184,300
RADIOSHACK
   CORPORATION          COMMON  750438103 $      7,557.00    365,800   SH         DEFINED       15,8         --       --    365,800
RADIOSHACK
   CORPORATION          COMMON  750438103 $      2,283.00    110,492   SH         DEFINED         21    110,492       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $         12.00        584   SH         DEFINED       21,2        584       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $     10,657.00    515,845   SH         DEFINED         22    515,845       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $        339.00     16,396   SH         DEFINED         24     16,396       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $      1,114.00     53,913   SH         DEFINED        3,1     53,913       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $          3.00        140   SH         DEFINED          4        140       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $      7,000.00    338,800   SH         DEFINED       5,15    338,800       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $     11,865.00    574,299   SH         DEFINED          8    574,299       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $     51,255.00  2,480,863   SH         DEFINED          9  2,480,863       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $     10,512.00    508,800   SH         DEFINED       9,15    508,800       --         --
RADIOSHACK
   CORPORATION          COMMON  750438103 $        468.00     22,664   SH         DEFINED        9,2     22,664       --         --
RADISYS CORP            COMMON  750459109 $          1.00         50   SH         DEFINED          6         50       --         --
RAMBUS INC DEL          COMMON  750917106 $         58.00      3,034   SH         DEFINED         24      3,034       --         --
RALCORP HLDGS INC       COMMON  751028101 $     13,238.00    237,164   SH         DEFINED          1    237,164       --         --
RALCORP HLDGS INC       COMMON  751028101 $      1,139.00     20,400   SH         DEFINED         15     12,600       --      7,800
RALCORP HLDGS INC       COMMON  751028101 $     10,568.00    189,328   SH         DEFINED          2    189,328       --         --
RALCORP HLDGS INC       COMMON  751028101 $          1.00          9   SH         DEFINED         23         --       --          9
RALCORP HLDGS INC       COMMON  751028101 $        249.00      4,459   SH         DEFINED         24      4,459       --         --
RALCORP HLDGS INC       COMMON  751028101 $        134.00      2,400   SH         DEFINED       5,15      2,400       --         --
RAMCO-GERSHENSON
   PPTYS TR             COMMON  751452202 $      3,383.00    108,300   SH         DEFINED         15     53,100       --     55,200




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
RAMCO-GERSHENSON
   PPTYS TR             COMMON  751452202 $        471.00     15,090   SH         DEFINED         24     15,090       --         --
RAMCO-GERSHENSON
   PPTYS TR             COMMON  751452202 $        462.00     14,800   SH         DEFINED       5,15     14,800       --         --
RANGE RESOURCES CORP    COMMON  75281A109 $          5.00        129   SH         DEFINED         23        119       --         10
RANGE RESOURCES CORP    COMMON  75281A109 $        172.00      4,220   SH         DEFINED         24      4,220       --         --
RANGE RESOURCES CORP    COMMON  75281A109 $     16,882.00    415,200   SH         DEFINED          3    415,200       --         --
RANGE RESOURCES CORP    COMMON  75281A109 $      3,767.00     92,650   SH         DEFINED          6     53,850       --     38,800
RARE HOSPITALITY
   INTL INC             COMMON  753820109 $        137.00      3,606   SH         DEFINED         24      3,606       --         --
RAVEN INDUSTRIES INC    COMMON  754212108 $        628.00     15,686   SH         DEFINED         24     15,686       --         --
RAYMOND JAMES
   FINANCIAL INC        COMMON  754730109 $        235.00      7,152   SH         DEFINED         24      7,152       --         --
RAYONIER INC            COMMON  754907103 $      3,346.00     69,650   SH         DEFINED         15     69,650       --         --
RAYONIER INC            COMMON  754907103 $        333.00      6,922   SH         DEFINED         24      6,922       --         --
RAYONIER INC            COMMON  754907103 $         41.00        862   SH         DEFINED          6         --       --        862
RAYTHEON COMPANY-
   CW11 WT              COMMON  755111119 $         55.00      1,970   SH         DEFINED         15        191       --      1,779
RAYTHEON COMPANY        COMMON  755111507 $     92,773.00  1,453,667   SH         DEFINED          1  1,453,667       --         --
RAYTHEON COMPANY        COMMON  755111507 $        485.00      7,592   SH         DEFINED       1,15      7,592       --         --
RAYTHEON COMPANY        COMMON  755111507 $        428.00      6,700   SH         DEFINED      11,15      6,700       --         --
RAYTHEON COMPANY        COMMON  755111507 $     15,120.00    236,920   SH         DEFINED         15    183,920       --     46,100
RAYTHEON COMPANY        COMMON  755111507 $      1,410.00     22,100   SH         DEFINED       15,8         --       --     22,100
RAYTHEON COMPANY        COMMON  755111507 $     13,813.00    216,433   SH         DEFINED          2    216,433       --         --
RAYTHEON COMPANY        COMMON  755111507 $     28,792.00    451,138   SH         DEFINED         24    451,138       --         --
RAYTHEON COMPANY        COMMON  755111507 $        360.00      5,646   SH         DEFINED          4      5,646       --         --
RAYTHEON COMPANY        COMMON  755111507 $        893.00     13,995   SH         DEFINED          6      2,100       --     11,895
RAYTHEON COMPANY        COMMON  755111507 $        848.00     13,290   SH         DEFINED          8     13,290       --         --
RAYTHEON COMPANY        COMMON  755111507 $      1,774.00     27,792   SH         DEFINED          9     27,792       --         --
RBC BEARINGS INC        COMMON  75524B104 $      8,060.00    210,176   SH         DEFINED          1    210,176       --         --
RBC BEARINGS INC        COMMON  75524B104 $        447.00     11,650   SH         DEFINED         15     11,650       --         --
RBC BEARINGS INC        COMMON  75524B104 $        454.00     11,848   SH         DEFINED         24     11,848       --         --
RBC BEARINGS INC        COMMON  75524B104 $        249.00      6,500   SH         DEFINED       5,15      6,500       --         --
REALNETWORKS INC        COMMON  75605L104 $         76.00     11,223   SH         DEFINED         24     11,223       --         --
REALNETWORKS INC        COMMON  75605L104 $        347.00     51,181   SH         DEFINED          6     26,342       --     24,839
REALTY INCOME CORP      COMMON  756109104 $      1,560.00     55,800   SH         DEFINED       1,15     55,800       --         --
REALTY INCOME CORP      COMMON  756109104 $      6,368.00    227,820   SH         DEFINED         15    144,120       --     82,700
REALTY INCOME CORP      COMMON  756109104 $        272.00      9,745   SH         DEFINED         24      9,745       --         --
RED HAT INC             COMMON  756577102 $         36.00      1,814   SH         DEFINED         24      1,814       --         --
RED HAT INC             COMMON  756577102 $         10.00        493   SH         DEFINED          6        300       --        193
RED LION HOTELS CORP    COMMON  756764106 $      5,426.00    527,300   SH         DEFINED          1    527,300       --         --
RED LION HOTELS CORP    COMMON  756764106 $        357.00     34,729   SH         DEFINED         24     34,729       --         --
RED ROBIN GOURMET       COMMON  75689M101 $         66.00      1,541   SH         DEFINED         24      1,541       --         --
REDDY ICE HOLDINGS
   INC                  COMMON  75734R105 $          7.00        270   SH         DEFINED         23        106       --        164
REDDY ICE HOLDINGS
   INC                  COMMON  75734R105 $         55.00      2,073   SH         DEFINED         24      2,073       --         --
REDDY ICE HOLDINGS
   INC                  COMMON  75734R105 $      4,080.00    154,724   SH         DEFINED          6    137,424       --     17,300
REDWOOD TR INC          COMMON  758075402 $        182.00      5,488   SH         DEFINED         24      5,488       --         --
REDWOOD TR INC          COMMON  758075402 $          2.00         50   SH         DEFINED          6         50       --         --
REED ELSEVIER
   NV-SPONS ADR         COMMON  758204101 $     12,235.00    322,229   SH         DEFINED         24    322,229       --         --
REED ELSEVIER
   NV-SPONS ADR         COMMON  758204101 $         16.00        420   SH         DEFINED          6         --       --        420
REED ELSEVIER
   PLC-SPONS ADR        COMMON  758205108 $     72,086.00  1,428,854   SH         DEFINED         12  1,422,934       --      5,920
REED ELSEVIER
   PLC-SPONS ADR        COMMON  758205108 $      1,720.00     34,097   SH         DEFINED         15     34,097       --         --
REED ELSEVIER
   PLC-SPONS ADR        COMMON  758205108 $     11,519.00    228,333   SH         DEFINED         24    228,333       --         --
REGAL BELOIT CORP       COMMON  758750103 $     12,129.00    253,274   SH         DEFINED          1    253,274       --         --
REGAL BELOIT CORP       COMMON  758750103 $         62.00      1,300   SH         DEFINED         15      1,300       --         --
REGAL BELOIT CORP       COMMON  758750103 $      9,309.00    194,389   SH         DEFINED          2    194,389       --         --
REGAL BELOIT CORP       COMMON  758750103 $      2,784.00     58,134   SH         DEFINED         24     58,134       --         --
REGAL ENTERTAINMENT
   GROUP                COMMON  758766109 $          2.00        104   SH         DEFINED         23         --       --        104
REGAL ENTERTAINMENT
   GROUP                COMMON  758766109 $      2,299.00    104,720   SH         DEFINED         24    104,720       --         --
REGAL ENTERTAINMENT
   GROUP                COMMON  758766109 $          5.00        250   SH         DEFINED          6        250       --         --
REGENCY CENTERS CORP    COMMON  758849103 $        107.00      1,400   SH         DEFINED       1,15      1,400       --         --
REGENCY CENTERS CORP    COMMON  758849103 $     65,321.00    851,091   SH         DEFINED         15    534,151       --    245,100
REGENCY CENTERS CORP    COMMON  758849103 $        388.00      5,055   SH         DEFINED         24      5,055       --         --
REGENCY CENTERS CORP    COMMON  758849103 $      6,745.00     87,884   SH         DEFINED       5,15     87,884       --         --
REGENCY CENTERS CORP    COMMON  758849103 $          7.00         85   SH         DEFINED          6         --       --         85
REGENCY ENERGY
   PARTNERS LP          COMMON  75885Y107 $          1.00         40   SH         DEFINED         23         40       --         --
REGENCY ENERGY
   PARTNERS LP          COMMON  75885Y107 $        204.00      6,945   SH         DEFINED          6      6,945       --         --
REGENERON
   PHARMACEUTICALS      COMMON  75886F107 $      4,097.00    230,150   SH         DEFINED         15    134,150       --     96,000
REGENERON
   PHARMACEUTICALS      COMMON  75886F107 $      5,794.00    325,527   SH         DEFINED         24    325,527       --         --
REGENERON
   PHARMACEUTICALS      COMMON  75886F107 $        543.00     30,500   SH         DEFINED       5,15     30,500       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
REGENERON
   PHARMACEUTICALS      COMMON  75886F107 $        116.00      6,500   SH         DEFINED          6         --       --      6,500
REGENERATION TECH       COMMON  75886N100 $            --          9   SH         DEFINED         23          9       --         --
REGENERATION TECH       COMMON  75886N100 $        657.00     61,268   SH         DEFINED         24     61,268       --         --
REGENERATION TECH       COMMON  75886N100 $        103.00      9,600   SH         DEFINED          6         --       --      9,600
REGIS CORP MINN         COMMON  758932107 $      2,754.00     86,314   SH         DEFINED         24     86,314       --         --
REHABCARE GROUP INC     COMMON  759148109 $        633.00     35,965   SH         DEFINED         24     35,965       --         --
REGIONS FINANCIAL
   CORP                 COMMON  7591EP100 $        360.00     12,220   SH         DEFINED       1,15     12,220       --         --
REGIONS FINANCIAL
   CORP                 COMMON  7591EP100 $        449.00     15,220   SH         DEFINED         15     12,620       --      2,600
REGIONS FINANCIAL
   CORP                 COMMON  7591EP100 $         87.00      2,948   SH         DEFINED         22      2,948       --         --
REGIONS FINANCIAL
   CORP                 COMMON  7591EP100 $      1,316.00     44,644   SH         DEFINED         24     44,644       --         --
REGIONS FINANCIAL
   CORP                 COMMON  7591EP100 $        777.00     26,351   SH         DEFINED          6     23,672       --      2,679
REGIONS FINANCIAL
   CORP                 COMMON  7591EP100 $        310.00     10,531   SH         DEFINED          8     10,531       --         --
REGIONS FINANCIAL
   CORP                 COMMON  7591EP100 $        376.00     12,760   SH         DEFINED          9     12,760       --         --
REINSURANCE GROUP OF
   AMERICA              COMMON  759351109 $        439.00      7,740   SH         DEFINED         15      7,040       --        200
REINSURANCE GROUP OF
   AMERICA              COMMON  759351109 $      7,376.00    130,110   SH         DEFINED         24    130,110       --         --
REINSURANCE GROUP OF
   AMERICA              COMMON  759351109 $         54.00        960   SH         DEFINED          6        960       --         --
RELIANCE STEEL &
   ALUMINUM CO          COMMON  759509102 $     15,674.00    277,223   SH         DEFINED          1    277,223       --         --
RELIANCE STEEL &
   ALUMINUM CO          COMMON  759509102 $        427.00      7,547   SH         DEFINED       21,2      7,547       --         --
RELIANCE STEEL &
   ALUMINUM CO          COMMON  759509102 $      2,521.00     44,590   SH         DEFINED         24     44,590       --         --
RELIANCE STEEL &
   ALUMINUM CO          COMMON  759509102 $          8.00        140   SH         DEFINED          6         --       --        140
RELIANT ENERGY INC      COMMON  75952B105 $      5,271.00    205,880   SH         DEFINED          1    205,880       --         --
RELIANT ENERGY INC      COMMON  75952B105 $        239.00      9,350   SH         DEFINED       1,15      9,350       --         --
RELIANT ENERGY INC      COMMON  75952B105 $      1,192.00     46,545   SH         DEFINED         15     34,495       --      9,250
RELIANT ENERGY INC      COMMON  75952B105 $        115.00      4,500   SH         DEFINED       15,8         --       --      4,500
RELIANT ENERGY INC      COMMON  75952B105 $          8.00        328   SH         DEFINED         23         --       --        328
RELIANT ENERGY INC      COMMON  75952B105 $     10,826.00    422,888   SH         DEFINED         24    422,888       --         --
RELIANT ENERGY INC      COMMON  75952B105 $         89.00      3,494   SH         DEFINED          6      3,035       --        459
RELIANT ENERGY INC      COMMON  75952B105 $        271.00     10,586   SH         DEFINED          8     10,586       --         --
RENAISSANCE LEARNING
   INC                  COMMON  75968L105 $         78.00      6,431   SH         DEFINED         24      6,431       --         --
RENAISSANCE LEARNING
   INC                  COMMON  75968L105 $        143.00     11,800   SH         DEFINED          6         --       --     11,800
RENASANT CORP           COMMON  75970E107 $        799.00     36,950   SH         DEFINED         15     31,750       --      5,200
RENASANT CORP           COMMON  75970E107 $        486.00     22,472   SH         DEFINED         24     22,472       --         --
RENASANT CORP           COMMON  75970E107 $        303.00     14,000   SH         DEFINED       5,15     14,000       --         --
RENT A CTR INC          COMMON  76009N100 $      3,176.00    175,200   SH         DEFINED         15    114,800       --     60,400
RENT A CTR INC          COMMON  76009N100 $        264.00     14,568   SH         DEFINED         24     14,568       --         --
RENT A CTR INC          COMMON  76009N100 $        673.00     37,100   SH         DEFINED       5,15     37,100       --         --
RENTECH INC             COMMON  760112102 $        225.00    104,367   SH         DEFINED         24    104,367       --         --
REPSOL YPF SA ADR       COMMON  76026T205 $      4,350.00    122,525   SH         DEFINED       1,12    122,525       --         --
REPSOL YPF SA ADR       COMMON  76026T205 $     91,683.00  2,582,613   SH         DEFINED         12  2,235,943       --    346,670
REPSOL YPF SA ADR       COMMON  76026T205 $        812.00     22,873   SH         DEFINED         15     22,873       --         --
REPSOL YPF SA ADR       COMMON  76026T205 $         21.00        600   SH         DEFINED          6        600       --         --
REPUBLIC AIRWAYS
   HOLDINGS INC         COMMON  760276105 $        106.00      5,000   SH         DEFINED         15      5,000       --         --
REPUBLIC AIRWAYS
   HOLDINGS INC         COMMON  760276105 $        686.00     32,405   SH         DEFINED         24     32,405       --         --
REPUBLIC AIRWAYS
   HOLDINGS INC         COMMON  760276105 $        130.00      6,125   SH         DEFINED          6         --       --      6,125
REPUBLIC SVCS INC       COMMON  760759100 $     36,100.00  1,103,642   SH         DEFINED          1  1,103,642       --         --
REPUBLIC SVCS INC       COMMON  760759100 $        393.00     12,000   SH         DEFINED      11,15     12,000       --         --
REPUBLIC SVCS INC       COMMON  760759100 $      7,343.00    224,495   SH         DEFINED         15    195,695       --     22,350
REPUBLIC SVCS INC       COMMON  760759100 $      2,085.00     63,750   SH         DEFINED       15,8         --       --     63,750
REPUBLIC SVCS INC       COMMON  760759100 $     27,256.00    833,257   SH         DEFINED         24    833,257       --         --
REPUBLIC SVCS INC       COMMON  760759100 $     24,700.00    755,130   SH         DEFINED          4    755,130       --         --
REPUBLIC SVCS INC       COMMON  760759100 $          9.00        261   SH         DEFINED          6         --       --        261
REPUBLIC SVCS INC       COMMON  760759100 $        170.00      5,187   SH         DEFINED          8      5,187       --         --
REPUBLIC SVCS INC       COMMON  760759100 $        586.00     17,916   SH         DEFINED          9     17,916       --         --
REPUBLIC SVCS INC       COMMON  760759100 $      2,820.00     86,200   SH         DEFINED       9,15     86,200       --         --
RES-CARE INC            COMMON  760943100 $      2,123.00     92,960   SH         DEFINED         24     92,960       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $    186,092.00  1,888,397   SH         DEFINED          1  1,888,397       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $         44.00        450   SH         DEFINED       1,15        450       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $      1,813.00     18,400   SH         DEFINED      11,15     18,400       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $     27,372.00    277,750   SH         DEFINED         15    188,600       --     85,150
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $      1,478.00     15,000   SH         DEFINED      15,14         --       --     15,000
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $        572.00      5,800   SH         DEFINED       15,8         --       --      5,800
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $      2,365.00     24,000   SH         DEFINED         19     24,000       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $     12,030.00    122,075   SH         DEFINED          2    122,075       --         --
RESEARCH IN MOTION      COMMON  760975102 $        188.00      1,913   SH         DEFINED         21      1,913       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $      8,103.00     82,223   SH         DEFINED       21,2     82,223       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
RESEARCH IN MOTION      COMMON  760975102 $     16,291.00    165,307   SH         DEFINED         24    165,307       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $     68,987.00    700,022   SH         DEFINED          3    700,022       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $      2,040.00     20,700   SH         DEFINED       5,15     20,700       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $      2,791.00     28,320   SH         DEFINED          6        420       --     27,900
RESEARCH IN MOTION      COMMON  760975102 $      1,203.00     12,223   SH         DEFINED          8     12,223       --         --
RESEARCH IN MOTION      COMMON  760975102 $      2,095.00     21,297   SH         DEFINED          9     21,297       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $      8,633.00     87,600   SH         DEFINED       9,15     87,600       --         --
RESEARCH IN MOTION
   LTD                  COMMON  760975102 $        706.00      7,167   SH         DEFINED        9,2      7,167       --         --
RESMED INC              COMMON  761152107 $     48,150.00  1,123,174   SH         DEFINED          1  1,123,174       --         --
RESMED INC              COMMON  761152107 $        129.00      3,000   SH         DEFINED         19      3,000       --         --
RESMED INC              COMMON  761152107 $      1,653.00     38,554   SH         DEFINED          2     26,854       --     11,700
RESMED INC              COMMON  761152107 $         28.00        659   SH         DEFINED       20,2         --       --        659
RESMED INC              COMMON  761152107 $      1,796.00     41,883   SH         DEFINED       21,2         --       --     41,883
RESMED INC              COMMON  761152107 $          7.00        171   SH         DEFINED         23        151       --         20
RESMED INC              COMMON  761152107 $         92.00      2,140   SH         DEFINED         24      2,140       --         --
RESMED INC              COMMON  761152107 $      2,838.00     66,200   SH         DEFINED          3     66,200       --         --
RESMED INC              COMMON  761152107 $      4,830.00    112,674   SH         DEFINED          6     64,907       --     47,767
RESOURCE AMERICA
   INC-CL A             COMMON  761195205 $        364.00     23,063   SH         DEFINED         24     23,063       --         --
RESOURCE CAPITAL
   CORP                 COMMON  76120W302 $        198.00     17,579   SH         DEFINED         15     17,579       --         --
RESOURCE CAPITAL
   CORP                 COMMON  76120W302 $        359.00     31,899   SH         DEFINED         24     31,899       --         --
RESOURCE CAPITAL
   CORP                 COMMON  76120W302 $         98.00      8,700   SH         DEFINED       5,15      8,700       --         --
RESOURCES GLOBAL
   PROFESSIONALS        COMMON  76122Q105 $      1,336.00     57,729   SH         DEFINED         24     57,729       --         --
RESOURCES GLOBAL
   PROFESSIONALS        COMMON  76122Q105 $         13.00        550   SH         DEFINED          6        550       --         --
RESPIRONICS INC         COMMON  761230101 $     33,473.00    696,920   SH         DEFINED          1    696,920       --         --
RESPIRONICS INC         COMMON  761230101 $        231.00      4,800   SH         DEFINED         19      4,800       --         --
RESPIRONICS INC         COMMON  761230101 $      2,153.00     44,821   SH         DEFINED          2     44,821       --         --
RESPIRONICS INC         COMMON  761230101 $         52.00      1,093   SH         DEFINED       20,2         --       --      1,093
RESPIRONICS INC         COMMON  761230101 $      3,399.00     70,777   SH         DEFINED       21,2         --       --     70,777
RESPIRONICS INC         COMMON  761230101 $      2,677.00     55,728   SH         DEFINED         24     55,728       --         --
RESPIRONICS INC         COMMON  761230101 $        352.00      7,325   SH         DEFINED          6        450       --      6,875
RESPONSE GENETICS
   INC                  COMMON  76123U105 $        207.00     47,609   SH         DEFINED          3     47,609       --         --
RESTORE MEDICAL INC     COMMON  76128C100 $        663.00    425,300   SH         DEFINED          3    425,300       --         --
REUTERS GROUP PLC
   ADR                  COMMON  76132M102 $            --          3   SH         DEFINED         23         --       --          3
REUTERS GROUP PLC
   ADR                  COMMON  76132M102 $      1,040.00     13,113   SH         DEFINED          6      1,213       --     11,900
REVLON INC              COMMON  761525500 $         27.00     23,557   SH         DEFINED         24     23,557       --         --
REX STORES CORP         COMMON  761624105 $        435.00     22,498   SH         DEFINED         24     22,498       --         --
REYNOLDS AMERICAN
   INC                  COMMON  761713106 $        188.00      2,956   SH         DEFINED       1,15      2,956       --         --
REYNOLDS AMERICAN
   INC                  COMMON  761713106 $         95.00      1,500   SH         DEFINED         14      1,500       --         --
REYNOLDS AMERICAN
   INC                  COMMON  761713106 $      6,322.00     99,412   SH         DEFINED         24     99,412       --         --
REYNOLDS AMERICAN
   INC                  COMMON  761713106 $  1,723,675.00 27,106,077   SH         DEFINED          9 27,106,077       --         --
REYNOLDS AMERICAN
   INC                  COMMON  761713106 $      7,143.00    112,336   SH         DEFINED       9,21         --  112,336         --
RHODIA SA-SPONSORED
   ADR                  COMMON  762397206 $          8.00        225   SH         DEFINED          6         --       --        225
RICHARDSON ELECTRS
   LTD                  COMMON  763165107 $        330.00     48,212   SH         DEFINED         24     48,212       --         --
RICHARDSON ELECTRS
   LTD                  COMMON  763165107 $          8.00      1,150   SH         DEFINED          6      1,150       --         --
RIGHTNOW
   TECHNOLOGIES INC     COMMON  76657R106 $          7.00        455   SH         DEFINED          6        455       --         --
RIMAGE CORP             COMMON  766721104 $        317.00     14,125   SH         DEFINED         24     14,125       --         --
RIO NARCEA GOLD
   MINES LTD            COMMON  766909105 $      2,854.00    515,900   SH         DEFINED          1    515,900       --         --
RIO TINTO PLC ADR       COMMON  767204100 $     29,954.00     87,227   SH         DEFINED          1     87,227       --         --
RIO TINTO PLC ADR       COMMON  767204100 $      9,624.00     28,025   SH         DEFINED          2     28,025       --         --
RIO TINTO PLC ADR       COMMON  767204100 $      6,525.00     19,000   SH         DEFINED          3     19,000       --         --
RIO TINTO PLC ADR       COMMON  767204100 $        313.00        912   SH         DEFINED          4        912       --         --
RIO TINTO PLC ADR       COMMON  767204100 $        141.00        411   SH         DEFINED          6        281       --        130
RITE AID CORP           COMMON  767754104 $            --          7   SH         DEFINED         23         --       --          7
RITE AID CORP           COMMON  767754104 $        756.00    163,665   SH         DEFINED         24    163,665       --         --
RIVERBED TECHNOLOGY
   INC                  COMMON  768573107 $          9.00        223   SH         DEFINED         24        223       --         --
RIVIERA HOLDINGS CORP   COMMON  769627100 $        215.00      7,660   SH         DEFINED         24      7,660       --         --
ROBERTS REALTY INVS     COMMON  769900101 $         23.00      3,001   SH         DEFINED          6      3,001       --         --
ROBBINS & MYERS INC     COMMON  770196103 $      1,258.00     21,950   SH         DEFINED         15     19,250       --      2,700
ROBBINS & MYERS INC     COMMON  770196103 $        588.00     10,255   SH         DEFINED         24     10,255       --         --
ROBBINS & MYERS INC     COMMON  770196103 $        464.00      8,100   SH         DEFINED       5,15      8,100       --         --
ROBERT HALF
   INTERNATIONAL INC    COMMON  770323103 $     10,123.00    339,000   SH         DEFINED          1    339,000       --         --
ROBERT HALF
   INTERNATIONAL INC    COMMON  770323103 $         86.00      2,872   SH         DEFINED       1,15      2,872       --         --
ROBERT HALF
   INTERNATIONAL INC    COMMON  770323103 $      2,817.00     94,328   SH         DEFINED         24     94,328       --         --
ROBERT HALF
   INTERNATIONAL INC    COMMON  770323103 $        362.00     12,125   SH         DEFINED          6         --       --     12,125
ROCHESTER MEDICAL
   CORP                 COMMON  771497104 $        539.00     29,711   SH         DEFINED         24     29,711       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ROCK-TENN COMPANY       COMMON  772739207 $      1,344.00     46,509   SH         DEFINED         24     46,509       --         --
ROCK-TENN COMPANY       COMMON  772739207 $         51.00      1,750   SH         DEFINED          6         --       --      1,750
ROCKWELL AUTOMATION
   INC                  COMMON  773903109 $        184.00      2,648   SH         DEFINED       1,15      2,648       --         --
ROCKWELL AUTOMATION
   INC                  COMMON  773903109 $            --          3   SH         DEFINED         23          3       --         --
ROCKWELL AUTOMATION
   INC                  COMMON  773903109 $     26,280.00    378,069   SH         DEFINED         24    378,069       --         --
ROCKWELL AUTOMATION
   INC                  COMMON  773903109 $      2,712.00     39,012   SH         DEFINED        3,1     39,012       --         --
ROCKWELL AUTOMATION
   INC                  COMMON  773903109 $        125.00      1,803   SH         DEFINED          6         --       --      1,803
ROCKWELL AUTOMATION
   INC                  COMMON  773903109 $        267.00      3,840   SH         DEFINED          8      3,840       --         --
ROCKWELL AUTOMATION
   INC                  COMMON  773903109 $      1,140.00     16,401   SH         DEFINED        9,2     16,401       --         --
ROCKWELL COLLINS        COMMON  774341101 $      9,970.00    136,500   SH         DEFINED          1    136,500       --         --
ROCKWELL COLLINS        COMMON  774341101 $        211.00      2,891   SH         DEFINED       1,15      2,891       --         --
ROCKWELL COLLINS        COMMON  774341101 $         11.00        146   SH         DEFINED         23         74       --         72
ROCKWELL COLLINS        COMMON  774341101 $     28,250.00    386,776   SH         DEFINED         24    386,776       --         --
ROCKWELL COLLINS        COMMON  774341101 $        606.00      8,300   SH         DEFINED          3      8,300       --         --
ROCKWELL COLLINS        COMMON  774341101 $      7,703.00    105,457   SH         DEFINED          6     85,610       --     19,847
ROCKWELL COLLINS        COMMON  774341101 $        281.00      3,841   SH         DEFINED          8      3,841       --         --
ROCKWOOD HOLDINGS
   INC                  COMMON  774415103 $        965.00     26,922   SH         DEFINED         24     26,922       --         --
ROFIN-SINAR
   TECHNOLOGIES INC     COMMON  775043102 $         74.00      1,050   SH         DEFINED         15      1,050       --         --
ROFIN-SINAR
   TECHNOLOGIES INC     COMMON  775043102 $      1,308.00     18,634   SH         DEFINED         24     18,634       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $        628.00     13,800   SH         DEFINED      11,15     13,800       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $        820.00     18,000   SH         DEFINED         15      8,500       --      9,500
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $      3,012.00     66,148   SH         DEFINED          2     66,148       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $      1,984.00     43,582   SH         DEFINED       21,2     43,582       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $         15.00        325   SH         DEFINED         24        325       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $        278.00      6,100   SH         DEFINED          3      6,100       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $     38,922.00    854,695   SH         DEFINED        3,1    854,695       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $        463.00     10,168   SH         DEFINED          8     10,168       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $        152.00      3,344   SH         DEFINED          9      3,344       --         --
ROGERS
   COMMUNICATIONS
   CL B                 COMMON  775109200 $      2,764.00     60,700   SH         DEFINED       9,15     60,700       --         --
ROGERS CORP             COMMON  775133101 $         52.00      1,258   SH         DEFINED         24      1,258       --         --
ROHM & HAAS CO          COMMON  775371107 $     26,828.00    481,920   SH         DEFINED          1    481,920       --         --
ROHM & HAAS CO          COMMON  775371107 $        133.00      2,384   SH         DEFINED       1,15      2,384       --         --
ROHM & HAAS CO          COMMON  775371107 $        616.00     11,072   SH         DEFINED         15     11,072       --         --
ROHM & HAAS CO          COMMON  775371107 $          2.00         31   SH         DEFINED         23         31       --         --
ROHM & HAAS CO          COMMON  775371107 $      1,709.00     30,699   SH         DEFINED         24     30,699       --         --
ROHM & HAAS CO          COMMON  775371107 $     15,951.00    286,536   SH         DEFINED          4    286,536       --         --
ROHM & HAAS CO          COMMON  775371107 $      2,608.00     46,856   SH         DEFINED          6      2,913       --     43,943
ROHM & HAAS CO          COMMON  775371107 $        170.00      3,056   SH         DEFINED          8      3,056       --         --
ROLLINS INC             COMMON  775711104 $        191.00      7,157   SH         DEFINED         24      7,157       --         --
ROPER INDUSTRIES INC    COMMON  776696106 $     62,267.00    950,638   SH         DEFINED         24    950,638       --         --
ROPER INDUSTRIES INC    COMMON  776696106 $         36.00        557   SH         DEFINED          6         --       --        557
ROSETTA RESOURCES,
   INC.                 COMMON  777779307 $      4,661.00    254,150   SH         DEFINED         24    254,150       --         --
ROSS STORES INC         COMMON  778296103 $     10,952.00    427,137   SH         DEFINED          1    427,137       --         --
ROSS STORES INC         COMMON  778296103 $     12,643.00    493,100   SH         DEFINED        1,3    493,100       --         --
ROSS STORES INC         COMMON  778296103 $        252.00      9,839   SH         DEFINED          2         --       --      9,839
ROSS STORES INC         COMMON  778296103 $      7,225.00    281,800   SH         DEFINED       20,3    281,800       --         --
ROSS STORES INC         COMMON  778296103 $      2,392.00     93,300   SH         DEFINED       21,3     93,300       --         --
ROSS STORES INC         COMMON  778296103 $      1,422.00     55,475   SH         DEFINED         24     55,475       --         --
ROSS STORES INC         COMMON  778296103 $    316,121.00 12,329,200   SH         DEFINED          3 12,329,200       --         --
ROSTELECOM OPEN JT
   STK LNG DST          COMMON  778529107 $      2,928.00     46,602   SH         DEFINED         24     46,602       --         --
ROWAN COS INC           COMMON  779382100 $         70.00      1,911   SH         DEFINED       1,15      1,911       --         --
ROWAN COS INC           COMMON  779382100 $        263.00      7,177   SH         DEFINED         24      7,177       --         --
ROWAN COS INC           COMMON  779382100 $      3,380.00     92,400   SH         DEFINED          9     92,400       --         --
ROWAN COS INC           COMMON  779382100 $        679.00     18,550   SH         DEFINED       9,22     18,550       --         --
ROYAL BANCSHARES OF
   PENN-A               COMMON  780081105 $         81.00      3,700   SH         DEFINED         15      3,700       --         --
ROYAL BANCSHARES OF
   PENN-A               COMMON  780081105 $         48.00      2,200   SH         DEFINED       5,15      2,200       --         --
ROYAL BK CDA
   MONTREAL QUE         COMMON  780087102 $        783.00     14,100   SH         DEFINED      11,15     14,100       --         --
ROYAL BANK OF CANADA    COMMON  780087102 $      2,288.00     41,331   SH         DEFINED          2     41,331       --         --
ROYAL BANK OF CANADA    COMMON  780087102 $        385.00      6,945   SH         DEFINED         21      6,945       --         --
ROYAL BANK OF CANADA    COMMON  780087102 $      1,246.00     22,499   SH         DEFINED         22     22,499       --         --
ROYAL BK CDA
   MONTREAL QUE         COMMON  780087102 $     16,410.00    295,581   SH         DEFINED         24    295,581       --         --
ROYAL BANK OF CANADA    COMMON  780087102 $    281,811.00  5,090,000   SH         DEFINED          3  5,090,000       --         --
ROYAL BANK OF CANADA    COMMON  780087102 $     29,209.00    527,562   SH         DEFINED        3,1    527,562       --         --
ROYAL BK CDA
   MONTREAL QUE         COMMON  780087102 $        100.00      1,804   SH         DEFINED          6      1,804       --         --
ROYAL BANK OF CANADA    COMMON  780087102 $      1,904.00     34,397   SH         DEFINED          8     34,397       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ROYAL BANK OF CANADA    COMMON  780087102 $      3,930.00     70,984   SH         DEFINED          9     70,984       --         --
ROYAL BK CDA
   MONTREAL QUE         COMMON  780087102 $      4,564.00     82,200   SH         DEFINED       9,15     82,200       --         --
ROYAL DUTCH SHELL
   PLC-ADR B            COMMON  780259107 $    133,200.00  1,622,412   SH         DEFINED         12  1,441,251       --    181,161
ROYAL DUTCH SHELL
   PLC-ADR B            COMMON  780259107 $      4,502.00     54,831   SH         DEFINED         15     16,531       --     38,300
ROYAL DUTCH SHELL
   PLC-ADR B            COMMON  780259107 $         64.00        774   SH         DEFINED         23        774       --         --
ROYAL DUTCH SHELL
   PLC-ADR B            COMMON  780259107 $     13,415.00    163,399   SH         DEFINED       5,12    163,399       --         --
ROYAL DUTCH SHELL
   PLC-ADR B            COMMON  780259107 $        631.00      7,687   SH         DEFINED          6      3,034       --      4,653
ROYAL DUTCH SHELL
   PLC-ADR A            COMMON  780259206 $      6,340.00     77,150   SH         DEFINED       1,12     77,150       --         --
ROYAL DUTCH SHELL
   PLC-ADR A            COMMON  780259206 $          5.00         62   SH         DEFINED         23          5       --         57
ROYAL DUTCH SHELL
   PLC-ADR A            COMMON  780259206 $        547.00      6,661   SH         DEFINED         24      6,661       --         --
ROYAL DUTCH SHELL
   PLC-ADR A            COMMON  780259206 $          4.00         47   SH         DEFINED          4         47       --         --
ROYAL DUTCH SHELL
   PLC-ADR A            COMMON  780259206 $      2,463.00     29,976   SH         DEFINED          6     27,936       --      2,040
ROYAL GOLD INC          COMMON  780287108 $         19.00        566   SH         DEFINED         24        566       --         --
ROYAL GOLD INC          COMMON  780287108 $        128.00      3,900   SH         DEFINED          6         --       --      3,900
ROYCE VALUE TRUST CF    COMMON  780910105 $            --          3   SH         DEFINED         23         --       --          3
ROYCE MICRO-CAP
   TRUST CEF            COMMON  780915104 $            --         14   SH         DEFINED         23         --       --         14
RUBY TUESDAY INC        COMMON  781182100 $      1,315.00     71,718   SH         DEFINED         24     71,718       --         --
RUBY TUESDAY INC        COMMON  781182100 $          6.00        325   SH         DEFINED          6        325       --         --
RUDDICK CORP            COMMON  781258108 $      7,467.00    222,617   SH         DEFINED          1    222,617       --         --
RUDDICK CORP            COMMON  781258108 $        250.00      7,446   SH         DEFINED         24      7,446       --         --
RUDOLPH TECHNOLOGIES
   INC                  COMMON  781270103 $        392.00     28,348   SH         DEFINED         24     28,348       --         --
RUSH ENTERPRISES INC
   CL A                 COMMON  781846209 $        766.00     30,201   SH         DEFINED         24     30,201       --         --
RUSS BERRIE & CO        COMMON  782233100 $        578.00     34,403   SH         DEFINED         24     34,403       --         --
RUTH'S CHRIS STEAK
   HOUSE, INC.          COMMON  783332109 $      4,288.00    300,883   SH         DEFINED          1    300,883       --         --
RUTH'S CHRIS STEAK
   HOUSE, INC.          COMMON  783332109 $        498.00     34,946   SH         DEFINED       14,2         --       --     34,946
RYANAIR HLDGS PLC
   ADR                  COMMON  783513104 $      4,616.00    111,200   SH         DEFINED        1,3    111,200       --         --
RYANAIR HLDGS PLC
   ADR                  COMMON  783513104 $      9,107.00    219,400   SH         DEFINED       20,3    219,400       --         --
RYANAIR HLDGS PLC
   ADR                  COMMON  783513104 $      3,014.00     72,600   SH         DEFINED       21,3     72,600       --         --
RYANAIR HLDGS PLC
   ADR                  COMMON  783513104 $      1,422.00     34,259   SH         DEFINED         24     34,259       --         --
RYANAIR HLDGS PLC
   ADR                  COMMON  783513104 $    217,263.00  5,234,000   SH         DEFINED          3  5,234,000       --         --
RYDER SYSTEM INC        COMMON  783549108 $         52.00      1,058   SH         DEFINED       1,15      1,058       --         --
RYDER SYSTEM INC        COMMON  783549108 $      1,265.00     25,824   SH         DEFINED         24     25,824       --         --
RYDER SYSTEM INC        COMMON  783549108 $         44.00        891   SH         DEFINED          6        800       --         91
RYERSON INC             COMMON  78375P107 $        458.00     13,575   SH         DEFINED         24     13,575       --         --
RYLAND GROUP INC        COMMON  783764103 $        205.00      9,573   SH         DEFINED         24      9,573       --         --
S & T BANCORP INC       COMMON  783859101 $      1,690.00     52,650   SH         DEFINED         15     40,250       --     12,400
S & T BANCORP INC       COMMON  783859101 $      7,699.00    239,910   SH         DEFINED         24    239,910       --         --
S & T BANCORP INC       COMMON  783859101 $        549.00     17,100   SH         DEFINED       5,15     17,100       --         --
SBA COMMUNICATIONS
   CORP                 COMMON  78388J106 $     45,961.00  1,302,762   SH         DEFINED          1  1,302,762       --         --
SBA COMMUNICATIONS
   CORP                 COMMON  78388J106 $     17,409.00    493,455   SH         DEFINED          2    493,455       --         --
SBA COMMUNICATIONS
   CORP                 COMMON  78388J106 $      3,458.00     98,020   SH         DEFINED         24     98,020       --         --
SAIC INC                COMMON  78390X101 $      6,825.00    355,653   SH         DEFINED          1    355,653       --         --
SAIC INC                COMMON  78390X101 $         84.00      4,358   SH         DEFINED       21,2      4,358       --         --
SAIC INC                COMMON  78390X101 $     19,020.00    991,164   SH         DEFINED         24    991,164       --         --
SCBT FINANCIAL CORP     COMMON  78401V102 $        605.00     17,514   SH         DEFINED         15     14,117       --      3,397
SCBT FINANCIAL CORP     COMMON  78401V102 $        216.00      6,255   SH         DEFINED       5,15      6,255       --         --
SCPIE HOLDINGS INC      COMMON  78402P104 $        397.00     17,859   SH         DEFINED         24     17,859       --         --
SEI INVESTMENTS CO      COMMON  784117103 $          4.00        137   SH         DEFINED         23        129       --          8
SEI INVESTMENTS CO      COMMON  784117103 $      9,363.00    343,207   SH         DEFINED         24    343,207       --         --
SEI INVESTMENTS CO      COMMON  784117103 $      5,398.00    197,886   SH         DEFINED          6    156,285       --     41,601
SI INTERNATIONAL INC    COMMON  78427V102 $      1,093.00     38,261   SH         DEFINED         24     38,261       --         --
SJW CORP                COMMON  784305104 $     44,773.00  1,311,447   SH         DEFINED         24  1,311,447       --         --
SK TELECOM ADR          COMMON  78440P108 $     79,297.00  2,669,934   SH         DEFINED          1  2,669,934       --         --
SK TELECOM ADR          COMMON  78440P108 $      1,604.00     54,000   SH         DEFINED        1,3     54,000       --         --
SK TELECOM ADR          COMMON  78440P108 $      1,254.00     42,230   SH         DEFINED         15     42,230       --         --
SK TELECOM ADR          COMMON  78440P108 $        238.00      8,016   SH         DEFINED          2      8,016       --         --
SK TELECOM ADR          COMMON  78440P108 $      8,298.00    279,400   SH         DEFINED       20,3    279,400       --         --
SK TELECOM ADR          COMMON  78440P108 $      2,747.00     92,500   SH         DEFINED       21,3     92,500       --         --
SK TELECOM ADR          COMMON  78440P108 $        151.00      5,100   SH         DEFINED         24      5,100       --         --
SK TELECOM ADR          COMMON  78440P108 $    117,971.00  3,972,100   SH         DEFINED          3  3,972,100       --         --
SK TELECOM ADR          COMMON  78440P108 $         65.00      2,200   SH         DEFINED        3,1      2,200       --         --
SK TELECOM ADR          COMMON  78440P108 $     32,544.00  1,095,765   SH         DEFINED          4  1,095,765       --         --
SL GREEN REALTY CORP
   REIT                 COMMON  78440X101 $    109,425.00    937,100   SH         DEFINED       1,15    937,100       --         --
SL GREEN REALTY CORP
   REIT                 COMMON  78440X101 $    230,870.00  1,977,138   SH         DEFINED         15  1,239,321       --    591,700
SL GREEN REALTY CORP
   REIT                 COMMON  78440X101 $     15,122.00    129,500   SH         DEFINED       2,15    129,500       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SL GREEN REALTY CORP
   REIT                 COMMON  78440X101 $      3,690.00     31,600   SH         DEFINED      20,15     31,600       --         --
SL GREEN REALTY CORP
   REIT                 COMMON  78440X101 $        170.00      1,453   SH         DEFINED         24      1,453       --         --
SL GREEN REALTY CORP
   REIT                 COMMON  78440X101 $     21,350.00    182,836   SH         DEFINED       5,15    182,836       --         --
SLM CORP                COMMON  78442P106 $        356.00      7,163   SH         DEFINED       1,15      7,163       --         --
SLM CORP                COMMON  78442P106 $          3.00         55   SH         DEFINED         23          9       --         46
SLM CORP                COMMON  78442P106 $      2,193.00     44,147   SH         DEFINED         24     44,147       --         --
SLM CORP                COMMON  78442P106 $        824.00     16,593   SH         DEFINED          6     13,626       --      2,967
SLM CORP                COMMON  78442P106 $        405.00      8,146   SH         DEFINED          8      8,146       --         --
SLM CORP                COMMON  78442P106 $        791.00     15,918   SH         DEFINED          9     15,918       --         --
SORL AUTO PARTS INC     COMMON  78461U101 $        603.00     77,469   SH         DEFINED         24     77,469       --         --
S & P 500 DEPOSITORY
   RECEIPTS             COMMON  78462F103 $      4,373.00     28,663   SH         DEFINED          1     28,663       --         --
S & P 500 DEPOSITORY
   RECEIPTS             COMMON  78462F103 $      2,617.00     17,150   SH         DEFINED         15     17,150       --         --
S & P 500 DEPOSITORY
   RECEIPTS             COMMON  78462F103 $         14.00         93   SH         DEFINED         23         45       --         48
S & P 500 DEPOSITORY
   RECEIPTS             COMMON  78462F103 $     18,726.00    122,728   SH         DEFINED          6     79,143       --     43,585
S & P 500 DEPOSITORY
   RECEIPTS             COMMON  78462F103 $    241,629.00  1,583,620   SH         DEFINED       9,15  1,583,620       --         --
SPSS INC                COMMON  78462K102 $         10.00        238   SH         DEFINED         23         48       --        190
SPSS INC                COMMON  78462K102 $      2,123.00     51,599   SH         DEFINED         24     51,599       --         --
SPSS INC                COMMON  78462K102 $        107.00      2,600   SH         DEFINED          6         --       --      2,600
SPX CORP                COMMON  784635104 $        116.00      1,250   SH         DEFINED       1,15      1,250       --         --
SPX CORP                COMMON  784635104 $        324.00      3,500   SH         DEFINED      11,15      3,500       --         --
SPX CORP                COMMON  784635104 $     26,411.00    285,344   SH         DEFINED         15    171,044       --    110,300
SPX CORP                COMMON  784635104 $        157.00      1,700   SH         DEFINED      15,14         --       --      1,700
SPX CORP                COMMON  784635104 $      1,953.00     21,100   SH         DEFINED       15,8         --       --     21,100
SPX CORP                COMMON  784635104 $      3,474.00     37,533   SH         DEFINED         24     37,533       --         --
SPX CORP                COMMON  784635104 $        315.00      3,400   SH         DEFINED       5,15      3,400       --         --
SPX CORP                COMMON  784635104 $        879.00      9,493   SH         DEFINED          6      9,400       --         93
SPX CORP                COMMON  784635104 $        705.00      7,617   SH         DEFINED          8      7,617       --         --
SPX CORP                COMMON  784635104 $        891.00      9,630   SH         DEFINED          9      9,630       --         --
SPX CORP                COMMON  784635104 $      1,564.00     16,900   SH         DEFINED       9,15     16,900       --         --
S1 CORPORATION          COMMON  78463B101 $      2,147.00    237,237   SH         DEFINED         15    156,937       --     80,300
S1 CORPORATION          COMMON  78463B101 $      1,674.00    184,962   SH         DEFINED         24    184,962       --         --
S1 CORPORATION          COMMON  78463B101 $        357.00     39,500   SH         DEFINED       5,15     39,500       --         --
DJ WILSHIRE REIT ETF    COMMON  78464A607 $         18.00        225   SH         DEFINED         23         13       --        212
SPDR S&P PHARMA-
   CEUTICALS ETF        COMMON  78464A722 $         47.00      1,390   SH         DEFINED          6      1,390       --         --
SPDR S&P OIL & GAS
   EXPLORATI E         COMMON  78464A730 $         50.00      1,070   SH         DEFINED          6      1,070       --         --
SRS LABS INC            COMMON  78464M106 $        335.00     45,762   SH         DEFINED         24     45,762       --         --
SRA INTERNATIONAL
   INC CLASS A          COMMON  78464R105 $      3,140.00    111,815   SH         DEFINED         24    111,815       --         --
SM&A CORP               COMMON  78465D105 $          9.00      1,248   SH         DEFINED         24      1,248       --         --
STEC INC                COMMON  784774101 $        529.00     69,375   SH         DEFINED         24     69,375       --         --
SVB FINANCIAL GROUP     COMMON  78486Q101 $     34,479.00    728,027   SH         DEFINED          1    728,027       --         --
SVB FINANCIAL GROUP     COMMON  78486Q101 $        462.00      9,746   SH         DEFINED         15      9,746       --         --
SVB FINANCIAL GROUP     COMMON  78486Q101 $     11,124.00    234,873   SH         DEFINED          2    234,873       --         --
SVB FINANCIAL GROUP     COMMON  78486Q101 $      8,615.00    181,902   SH         DEFINED         24    181,902       --         --
SVB FINANCIAL GROUP     COMMON  78486Q101 $     11,917.00    251,631   SH         DEFINED          4    251,631       --         --
SWS GROUP INC           COMMON  78503N107 $        233.00     13,176   SH         DEFINED         15     13,176       --         --
SWS GROUP INC           COMMON  78503N107 $        404.00     22,855   SH         DEFINED         24     22,855       --         --
SWS GROUP INC           COMMON  78503N107 $        126.00      7,100   SH         DEFINED       5,15      7,100       --         --
S.Y. BANCORP INC        COMMON  785060104 $        812.00     30,020   SH         DEFINED         15     22,040       --      7,980
S.Y. BANCORP INC        COMMON  785060104 $         48.00      1,759   SH         DEFINED         24      1,759       --         --
S.Y. BANCORP INC        COMMON  785060104 $        246.00      9,100   SH         DEFINED       5,15      9,100       --         --
SABINE ROYALTY TRUST    COMMON  785688102 $         11.00        250   SH         DEFINED         23         --       --        250
SABINE ROYALTY TRUST    COMMON  785688102 $         99.00      2,250   SH         DEFINED          6      2,250       --         --
SAFECO CORP             COMMON  786429100 $      1,078.00     17,606   SH         DEFINED       1,15     17,606       --         --
SAFECO CORP             COMMON  786429100 $        705.00     11,523   SH         DEFINED         15     10,223       --      1,300
SAFECO CORP             COMMON  786429100 $      3,890.00     63,537   SH         DEFINED         24     63,537       --         --
SAFECO CORP             COMMON  786429100 $        200.00      3,264   SH         DEFINED          6      3,000       --        264
SAFECO CORP             COMMON  786429100 $        995.00     16,249   SH         DEFINED          8     16,249       --         --
SAFECO CORP             COMMON  786429100 $        867.00     14,159   SH         DEFINED          9     14,159       --         --
SAFEGUARD
   SCIENTIFICS INC      COMMON  786449108 $      1,780.00    777,229   SH         DEFINED         24    777,229       --         --
SAFETY INSURANCE
   GROUP                COMMON  78648T100 $      5,450.00    151,650   SH         DEFINED         15    108,550       --     43,100
SAFETY INSURANCE
   GROUP                COMMON  78648T100 $          4.00        100   SH         DEFINED         23         --       --        100
SAFETY INSURANCE
   GROUP                COMMON  78648T100 $        457.00     12,708   SH         DEFINED         24     12,708       --         --
SAFETY INSURANCE
   GROUP                COMMON  78648T100 $      1,337.00     37,200   SH         DEFINED       5,15     37,200       --         --
SAFEWAY INC             COMMON  786514208 $        862.00     26,030   SH         DEFINED       1,15     26,030       --         --
SAFEWAY INC             COMMON  786514208 $      1,629.00     49,200   SH         DEFINED      11,15     49,200       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SAFEWAY INC             COMMON  786514208 $    133,592.00  4,034,800   SH         DEFINED         15  2,789,600       --  1,142,700
SAFEWAY INC             COMMON  786514208 $      3,248.00     98,100   SH         DEFINED      15,14         --       --     98,100
SAFEWAY INC             COMMON  786514208 $      4,996.00    150,900   SH         DEFINED       15,8         --       --    150,900
SAFEWAY INC             COMMON  786514208 $        706.00     21,314   SH         DEFINED         22     21,314       --         --
SAFEWAY INC             COMMON  786514208 $         23.00        704   SH         DEFINED         23        700       --          4
SAFEWAY INC             COMMON  786514208 $      2,079.00     62,793   SH         DEFINED         24     62,793       --         --
SAFEWAY INC             COMMON  786514208 $      4,947.00    149,400   SH         DEFINED       5,15    149,400       --         --
SAFEWAY INC             COMMON  786514208 $        173.00      5,236   SH         DEFINED          6      2,329       --      2,907
SAFEWAY INC             COMMON  786514208 $      2,649.00     80,012   SH         DEFINED          8     80,012       --         --
SAFEWAY INC             COMMON  786514208 $      2,114.00     63,838   SH         DEFINED          9     63,838       --         --
SAFEWAY INC             COMMON  786514208 $      8,804.00    265,900   SH         DEFINED       9,15    265,900       --         --
ST JOE COMPANY (THE)    COMMON  790148100 $        107.00      3,170   SH         DEFINED         24      3,170       --         --
ST JOE COMPANY (THE)    COMMON  790148100 $          4.00        112   SH         DEFINED          6         --       --        112
ST JOE COMPANY (THE)    COMMON  790148100 $        277.00      8,237   SH         DEFINED          9      8,237       --         --
ST JUDE MEDICAL INC     COMMON  790849103 $        261.00      5,924   SH         DEFINED       1,15      5,924       --         --
ST JUDE MEDICAL INC     COMMON  790849103 $         35.00        800   SH         DEFINED         19        800       --         --
ST JUDE MEDICAL INC     COMMON  790849103 $         39.00        874   SH         DEFINED         23        244       --        630
ST JUDE MEDICAL INC     COMMON  790849103 $        576.00     13,072   SH         DEFINED         24     13,072       --         --
ST JUDE MEDICAL INC     COMMON  790849103 $      6,607.00    149,911   SH         DEFINED          6     91,766       --     58,145
ST JUDE MEDICAL INC     COMMON  790849103 $        291.00      6,600   SH         DEFINED          8      6,600       --         --
ST JUDE MEDICAL INC     COMMON  790849103 $      4,773.00    108,300   SH         DEFINED          9    108,300       --         --
ST MARY LAND &
   EXPLORATION          COMMON  792228108 $      4,341.00    121,711   SH         DEFINED         24    121,711       --         --
ST MARY LAND &
   EXPLORATION          COMMON  792228108 $      2,236.00     62,683   SH         DEFINED          6     62,683       --         --
SAKS INC                COMMON  79377W108 $      2,612.00    152,300   SH         DEFINED         15     69,100       --     83,200
SAKS INC                COMMON  79377W108 $        483.00     28,153   SH         DEFINED         24     28,153       --         --
SAKS INC                COMMON  79377W108 $         15.00        864   SH         DEFINED          6         --       --        864
SALEM COMMUNICATIONS
   CORP DEL             COMMON  794093104 $         13.00      1,591   SH         DEFINED         24      1,591       --         --
SALESFORCE.COM INC      COMMON  79466L302 $          7.00        137   SH         DEFINED         23         --       --        137
SALESFORCE.COM INC      COMMON  79466L302 $         35.00        678   SH         DEFINED         24        678       --         --
SALIX PHARMA-
   CEUTICALS LTD        COMMON  795435106 $         22.00      1,777   SH         DEFINED         24      1,777       --         --
SALIX PHARMA-
   CEUTICALS LTD        COMMON  795435106 $        105.00      8,425   SH         DEFINED          6         --       --      8,425
SALLY BEAUTY
   HOLDINGS INC         COMMON  79546E104 $        221.00     26,142   SH         DEFINED         24     26,142       --         --
SANDERSON FARMS INC     COMMON  800013104 $      1,632.00     39,159   SH         DEFINED         24     39,159       --         --
SANDISK CORP            COMMON  80004C101 $     42,570.00    772,598   SH         DEFINED          1    772,598       --         --
SANDISK CORP            COMMON  80004C101 $        217.00      3,943   SH         DEFINED       1,15      3,943       --         --
SANDISK CORP            COMMON  80004C101 $        816.00     14,806   SH         DEFINED          2         --       --     14,806
SANDISK CORP            COMMON  80004C101 $      3,937.00     71,448   SH         DEFINED         24     71,448       --         --
SANDISK CORP            COMMON  80004C101 $      2,589.00     46,994   SH         DEFINED          6      3,785       --     43,209
SANDISK CORP            COMMON  80004C101 $        135.00      2,442   SH         DEFINED          8      2,442       --         --
SANDY SPRING BANCORP
   INC                  COMMON  800363103 $        463.00     15,373   SH         DEFINED         15     10,773       --      4,600
SANDY SPRING BANCORP
   INC                  COMMON  800363103 $         71.00      2,369   SH         DEFINED         24      2,369       --         --
SANDY SPRING BANCORP
   INC                  COMMON  800363103 $        108.00      3,600   SH         DEFINED       5,15      3,600       --         --
SANMINA- SCI CORP       COMMON  800907107 $      1,078.00    508,378   SH         DEFINED         24    508,378       --         --
SANMINA- SCI CORP       COMMON  800907107 $          4.00      2,014   SH         DEFINED          6         --       --      2,014
SANMINA- SCI CORP       COMMON  800907107 $         22.00     10,486   SH         DEFINED          8     10,486       --         --
SANMINA- SCI CORP       COMMON  800907107 $     46,331.00 21,854,315   SH         DEFINED          9 21,854,315       --         --
SANMINA- SCI CORP       COMMON  800907107 $        941.00    444,077   SH         DEFINED       9,22    444,077       --         --
SANOFI-AVENTIS ADR      COMMON  80105N105 $     43,160.00  1,017,436   SH         DEFINED          1  1,017,436       --         --
SANOFI-AVENTIS ADR      COMMON  80105N105 $     53,454.00  1,260,107   SH         DEFINED         12  1,260,107       --         --
SANOFI-AVENTIS ADR      COMMON  80105N105 $      4,417.00    104,129   SH         DEFINED         15    104,129       --         --
SANOFI-AVENTIS ADR      COMMON  80105N105 $        148.00      3,484   SH         DEFINED          2      3,484       --         --
SANOFI-AVENTIS ADR      COMMON  80105N105 $         51.00      1,201   SH         DEFINED       20,2         --       --      1,201
SANOFI-AVENTIS ADR      COMMON  80105N105 $         13.00        300   SH         DEFINED         23        300       --         --
SANOFI-AVENTIS ADR      COMMON  80105N105 $     13,352.00    314,760   SH         DEFINED          4    314,760       --         --
SANOFI-AVENTIS ADR      COMMON  80105N105 $         30.00        700   SH         DEFINED          6        100       --        600
BANCO SANTANDER P R
   SAN JUAN             COMMON  802809103 $        172.00     13,378   SH         DEFINED         15     13,378       --         --
BANCO SANTANDER P R
   SAN JUAN             COMMON  802809103 $         86.00      6,668   SH         DEFINED         24      6,668       --         --
BANCO SANTANDER P R
   SAN JUAN             COMMON  802809103 $        100.00      7,800   SH         DEFINED       5,15      7,800       --         --
SANTARUS INC            COMMON  802817304 $      1,459.00    550,565   SH         DEFINED          1    550,565       --         --
SANTARUS INC            COMMON  802817304 $      1,185.00    447,052   SH         DEFINED          2    447,052       --         --
SANTOS LIMITED ADR      COMMON  803021609 $         50.00        943   SH         DEFINED         15        943       --         --
SAP AG ADR              COMMON  803054204 $      4,917.00     83,809   SH         DEFINED         24     83,809       --         --
SAP AG ADR              COMMON  803054204 $        102.00      1,740   SH         DEFINED          6      1,300       --        440
SAPIENT CORP            COMMON  803062108 $         35.00      5,159   SH         DEFINED         24      5,159       --         --
SARA LEE CORP           COMMON  803111103 $     17,565.00  1,052,419   SH         DEFINED          1  1,052,419       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SARA LEE CORP           COMMON  803111103 $        210.00     12,578   SH         DEFINED       1,15     12,578       --         --
SARA LEE CORP           COMMON  803111103 $            --         27   SH         DEFINED         23         --       --         27
SARA LEE CORP           COMMON  803111103 $     11,349.00    680,000   SH         DEFINED         24    680,000       --         --
SARA LEE CORP           COMMON  803111103 $        145.00      8,660   SH         DEFINED          6      7,425       --      1,235
SARA LEE CORP           COMMON  803111103 $        223.00     13,367   SH         DEFINED          8     13,367       --         --
SASOL LTD SPONSORED
   ADR                  COMMON  803866300 $        284.00      6,600   SH         DEFINED         12      6,600       --         --
SASOL LTD SPONSORED
   ADR                  COMMON  803866300 $         28.00        660   SH         DEFINED         23         --       --        660
SASOL LTD SPONSORED
   ADR                  COMMON  803866300 $     15,621.00    363,373   SH         DEFINED         24    363,373       --         --
SATYAM COMPUTER
   SERVICE ADR          COMMON  804098101 $         10.00        374   SH         DEFINED         23        287       --         87
SATYAM COMPUTER
   SERVICE ADR          COMMON  804098101 $      2,453.00     94,733   SH         DEFINED         24     94,733       --         --
SATYAM COMPUTER
   SERVICE ADR          COMMON  804098101 $     12,018.00    464,209   SH         DEFINED          4    464,209       --         --
SATYAM COMPUTER
   SERVICE ADR          COMMON  804098101 $      6,891.00    266,147   SH         DEFINED          6    158,159       --    107,988
SAUER INC               COMMON  804137107 $        120.00      4,485   SH         DEFINED         24      4,485       --         --
SAUL CTRS INC           COMMON  804395101 $     11,114.00    215,800   SH         DEFINED         15    160,000       --     55,800
SAUL CTRS INC           COMMON  804395101 $         83.00      1,616   SH         DEFINED         24      1,616       --         --
SAUL CTRS INC           COMMON  804395101 $      1,864.00     36,200   SH         DEFINED       5,15     36,200       --         --
SAUL CTRS INC           COMMON  804395101 $         26.00        500   SH         DEFINED          6        500       --         --
SAVIENT
   PHARMACEUTICALS
   INC                  COMMON  80517Q100 $      2,762.00    189,800   SH         DEFINED         15    119,600       --     70,200
SAVIENT
   PHARMACEUTICALS
   INC                  COMMON  80517Q100 $      7,853.00    539,707   SH         DEFINED         24    539,707       --         --
SAVIENT
   PHARMACEUTICALS
   INC                  COMMON  80517Q100 $        496.00     34,100   SH         DEFINED       5,15     34,100       --         --
SCANA CORP              COMMON  80589M102 $      3,758.00     97,000   SH         DEFINED          1     97,000       --         --
SCANA CORP              COMMON  80589M102 $        687.00     17,746   SH         DEFINED         24     17,746       --         --
SCANA CORP              COMMON  80589M102 $        172.00      4,430   SH         DEFINED          6      3,715       --        715
SCANSOURCE INC          COMMON  806037107 $        105.00      3,731   SH         DEFINED         24      3,731       --         --
SCHAWK INC              COMMON  806373106 $         67.00      2,972   SH         DEFINED         24      2,972       --         --
SCHEIN HENRY INC        COMMON  806407102 $      3,370.00     55,389   SH         DEFINED         24     55,389       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $    123,435.00  3,902,473   SH         DEFINED          1  3,902,473       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $        905.00     28,614   SH         DEFINED       1,15     28,614       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $        180.00      5,700   SH         DEFINED      11,15      5,700       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $     23,565.00    745,010   SH         DEFINED         15    531,560       --    182,850
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $        794.00     25,100   SH         DEFINED      15,14         --       --     25,100
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $      1,521.00     48,100   SH         DEFINED       15,8         --       --     48,100
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $     17,906.00    566,123   SH         DEFINED          2    566,123       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $          6.00        181   SH         DEFINED         23         37       --        144
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $     13,718.00    433,704   SH         DEFINED         24    433,704       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $      5,905.00    186,700   SH         DEFINED          3    186,700       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $        444.00     14,024   SH         DEFINED          4     14,024       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $      1,164.00     36,800   SH         DEFINED       5,15     36,800       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $      1,967.00     62,175   SH         DEFINED          6     49,514       --     12,661
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $        206.00      6,500   SH         DEFINED          8      6,500       --         --
SCHERING-PLOUGH
   CORPORATION          COMMON  806605101 $        532.00     16,835   SH         DEFINED        9,2     16,835       --         --
SCHLUMBERGER LTD        COMMON  806857108 $    270,812.00  2,579,161   SH         DEFINED          1  2,579,161       --         --
SCHLUMBERGER LTD        COMMON  806857108 $      2,173.00     20,695   SH         DEFINED       1,15     20,695       --         --
SCHLUMBERGER LTD        COMMON  806857108 $      1,418.00     13,500   SH         DEFINED      11,15     13,500       --         --
SCHLUMBERGER LTD        COMMON  806857108 $      9,450.00     90,000   SH         DEFINED       14,2         --       --     90,000
SCHLUMBERGER LTD        COMMON  806857108 $     18,680.00    177,900   SH         DEFINED         15    125,500       --     46,900
SCHLUMBERGER LTD        COMMON  806857108 $      3,581.00     34,100   SH         DEFINED       15,8         --       --     34,100
SCHLUMBERGER LTD        COMMON  806857108 $        638.00      6,074   SH         DEFINED          2      6,074       --         --
SCHLUMBERGER LTD        COMMON  806857108 $      1,413.00     13,460   SH         DEFINED         22     13,460       --         --
SCHLUMBERGER LTD        COMMON  806857108 $         87.00        830   SH         DEFINED         23        144       --        686
SCHLUMBERGER LTD        COMMON  806857108 $     49,725.00    473,569   SH         DEFINED         24    473,569       --         --
SCHLUMBERGER LTD        COMMON  806857108 $        620.00      5,900   SH         DEFINED       5,15      5,900       --         --
SCHLUMBERGER LTD        COMMON  806857108 $     22,465.00    213,948   SH         DEFINED          6    130,413       --     83,535
SCHLUMBERGER LTD        COMMON  806857108 $      2,789.00     26,562   SH         DEFINED          8     26,562       --         --
SCHLUMBERGER LTD        COMMON  806857108 $      4,452.00     42,401   SH         DEFINED          9     42,401       --         --
SCHLUMBERGER LTD        COMMON  806857108 $      6,846.00     65,200   SH         DEFINED       9,15     65,200       --         --
SCHLUMBERGER LTD
   CVT(SLB) 1.5        CONVERT  806857AC2 $     39,061.00 13,475,000   SH         DEFINED         15         --       -- 11,425,000
SCHNITZER STEEL INDS
   INC-A                COMMON  806882106 $            --          5   SH         DEFINED         23         --       --          5
SCHNITZER STEEL INDS
   INC-A                COMMON  806882106 $      5,172.00     70,571   SH         DEFINED         24     70,571       --         --
SCHOLASTIC CORP         COMMON  807066105 $        345.00      9,894   SH         DEFINED         24      9,894       --         --
SCHOLASTIC CORP         COMMON  807066105 $        220.00      6,305   SH         DEFINED          6        350       --      5,955
SCHOOL SPECIALTY INC    COMMON  807863105 $        472.00     13,627   SH         DEFINED         24     13,627       --         --
SCHOOL SPECIALTY INC    COMMON  807863105 $        153.00      4,415   SH         DEFINED          6         --       --      4,415
SCHULMAN (A) INC        COMMON  808194104 $      5,071.00    257,031   SH         DEFINED          1    257,031       --         --
SCHULMAN (A) INC        COMMON  808194104 $        597.00     30,261   SH         DEFINED         24     30,261       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SCHWAB (CHARLES) CORP   COMMON  808513105 $        355.00     16,454   SH         DEFINED       1,15     16,454       --         --
SCHWAB (CHARLES) CORP   COMMON  808513105 $      1,473.00     68,200   SH         DEFINED         15     43,100       --     19,000
SCHWAB (CHARLES) CORP   COMMON  808513105 $        238.00     11,000   SH         DEFINED       15,8         --       --     11,000
SCHWAB (CHARLES) CORP   COMMON  808513105 $         16.00        738   SH         DEFINED         23         97       --        641
SCHWAB (CHARLES) CORP   COMMON  808513105 $      8,478.00    392,489   SH         DEFINED         24    392,489       --         --
SCHWAB (CHARLES) CORP   COMMON  808513105 $      5,445.00    252,067   SH         DEFINED          6    235,903       --     16,164
SCHWAB (CHARLES) CORP   COMMON  808513105 $        456.00     21,102   SH         DEFINED          8     21,102       --         --
SCHWAB (CHARLES) CORP   COMMON  808513105 $        546.00     25,284   SH         DEFINED          9     25,284       --         --
SCHWEITZER-MAUDUIT
   INTL INC             COMMON  808541106 $        427.00     18,326   SH         DEFINED         24     18,326       --         --
SCIELE PHARMA INC       COMMON  808627103 $     14,779.00    567,971   SH         DEFINED          1    567,971       --         --
SCIELE PHARMA INC       COMMON  808627103 $     10,049.00    386,200   SH         DEFINED         15    252,300       --    133,900
SCIELE PHARMA INC       COMMON  808627103 $     11,251.00    432,382   SH         DEFINED          2    432,382       --         --
SCIELE PHARMA INC       COMMON  808627103 $      2,847.00    109,430   SH         DEFINED         24    109,430       --         --
SCIELE PHARMA INC       COMMON  808627103 $      1,689.00     64,900   SH         DEFINED       5,15     64,900       --         --
SCIENTIFIC GAMES
   CORP-A               COMMON  80874P109 $     60,496.00  1,608,928   SH         DEFINED          1  1,608,928       --         --
SCIENTIFIC GAMES
   CORP-A               COMMON  80874P109 $      1,360.00     36,177   SH         DEFINED          2         --       --     36,177
SCIENTIFIC GAMES
   CORP-A               COMMON  80874P109 $        163.00      4,336   SH         DEFINED         24      4,336       --         --
SCOTTS MIRACLE-GRO
   CO/THE               COMMON  810186106 $        169.00      3,962   SH         DEFINED         24      3,962       --         --
SCRIPPS E W CO OHIO     COMMON  811054204 $      6,071.00    144,550   SH         DEFINED          1    144,550       --         --
SCRIPPS E W CO OHIO     COMMON  811054204 $         65.00      1,557   SH         DEFINED       1,15      1,557       --         --
SCRIPPS E W CO OHIO     COMMON  811054204 $        689.00     16,400   SH         DEFINED       14,2         --       --     16,400
SCRIPPS E W CO OHIO     COMMON  811054204 $      1,561.00     37,160   SH         DEFINED         24     37,160       --         --
SCRIPPS E W CO OHIO     COMMON  811054204 $        104.00      2,471   SH         DEFINED          4      2,471       --         --
SCRIPPS E W CO OHIO     COMMON  811054204 $         34.00        814   SH         DEFINED          6         --       --        814
SEABOARD CORP           COMMON  811543107 $      1,341.00        684   SH         DEFINED         24        684       --         --
SEABRIGHT INSURANCE
   HOLDINGS             COMMON  811656107 $        655.00     38,344   SH         DEFINED         24     38,344       --         --
SEACHANGE
   INTERNATIONAL INC    COMMON  811699107 $        325.00     46,900   SH         DEFINED         15     30,000       --     16,900
SEACHANGE
   INTERNATIONAL INC    COMMON  811699107 $        416.00     60,123   SH         DEFINED         24     60,123       --         --
SEACHANGE
   INTERNATIONAL INC    COMMON  811699107 $         37.00      5,300   SH         DEFINED       5,15      5,300       --         --
SEACHANGE
   INTERNATIONAL INC    COMMON  811699107 $        115.00     16,665   SH         DEFINED          6         --       --     16,665
SEACOAST BANKING
   CORP FL              COMMON  811707306 $         36.00      1,920   SH         DEFINED         24      1,920       --         --
SEACOR SMIT INC         COMMON  811904101 $     21,812.00    229,355   SH         DEFINED         24    229,355       --         --
SEALED AIR CORP         COMMON  81211K100 $         72.00      2,808   SH         DEFINED       1,15      2,808       --         --
SEALED AIR CORP         COMMON  81211K100 $        156.00      6,100   SH         DEFINED         15         --       --      6,100
SEALED AIR CORP         COMMON  81211K100 $         12.00        470   SH         DEFINED         22        470       --         --
SEALED AIR CORP         COMMON  81211K100 $            --          9   SH         DEFINED         23         --       --          9
SEALED AIR CORP         COMMON  81211K100 $        959.00     37,534   SH         DEFINED         24     37,534       --         --
SEALED AIR CORP
   (SEE)144A CVT 3     CONVERT  81211KAG5 $      8,714.00  9,125,000   SH         DEFINED         15         --       --  7,750,000
SEALY CORP              COMMON  812139301 $         86.00      6,122   SH         DEFINED         24      6,122       --         --
SEARS HOLDING CORP      COMMON  812350106 $        167.00      1,314   SH         DEFINED       1,15      1,314       --         --
SEARS HOLDING CORP      COMMON  812350106 $        127.00      1,000   SH         DEFINED         15        350       --        650
SEARS HOLDING CORP      COMMON  812350106 $         38.00        300   SH         DEFINED         23         --       --        300
SEARS HOLDING CORP      COMMON  812350106 $     11,194.00     88,004   SH         DEFINED         24     88,004       --         --
SEARS HOLDING CORP      COMMON  812350106 $         13.00        105   SH         DEFINED          6         --       --        105
SEARS HOLDING CORP      COMMON  812350106 $        331.00      2,600   SH         DEFINED          8      2,600       --         --
SEARS HOLDING CORP      COMMON  812350106 $        669.00      5,256   SH         DEFINED          9      5,256       --         --
HEALTH CARE SELECT
   SECTOR ETF           COMMON  81369Y209 $         18.00        500   SH         DEFINED         23         --       --        500
HEALTH CARE SELECT
   SECTOR ETF           COMMON  81369Y209 $        267.00      7,555   SH         DEFINED          6      7,555       --         --
ENERGY SELECT SPDR
   ETF                  COMMON  81369Y506 $        215.00      2,875   SH         DEFINED          6      2,875       --         --
TECHNOLOGY SELECT
   SECT SPDR ET         COMMON  81369Y803 $          5.00        167   SH         DEFINED         23         15       --        152
TECHNOLOGY SELECT
   SECT SPDR ET         COMMON  81369Y803 $         70.00      2,600   SH         DEFINED          6      2,600       --         --
UTILITIES SELECT
   SECTOR SPDR E        COMMON  81369Y886 $          1.00         18   SH         DEFINED         23         --       --         18
SECURE COMPUTING
   CORP                 COMMON  813705100 $        526.00     54,009   SH         DEFINED         24     54,009       --         --
SECURITY BANK CORP      COMMON  814047106 $        278.00     22,196   SH         DEFINED         24     22,196       --         --
SELECT COMFORT CORP     COMMON  81616X103 $         38.00      2,734   SH         DEFINED         24      2,734       --         --
SELECTICA INC           COMMON  816288104 $          4.00      2,036   SH         DEFINED         24      2,036       --         --
SELECTIVE INSURANCE
   GROUP                COMMON  816300107 $        676.00     31,789   SH         DEFINED         24     31,789       --         --
SELECTIVE INSURANCE
   GROUP                COMMON  816300107 $        454.00     21,352   SH         DEFINED          6         --       --     21,352
SEMICONDUCTOR
   MANUFACT-ADR         COMMON  81663N206 $      9,403.00  1,569,776   SH         DEFINED         24  1,569,776       --         --
SEMTECH CORP            COMMON  816850101 $      8,446.00    412,388   SH         DEFINED          1    412,388       --         --
SEMTECH CORP            COMMON  816850101 $     13,914.00    679,400   SH         DEFINED         15    405,900       --    273,500
SEMTECH CORP            COMMON  816850101 $      5,838.00    285,059   SH         DEFINED         24    285,059       --         --
SEMTECH CORP            COMMON  816850101 $      1,327.00     64,800   SH         DEFINED       5,15     64,800       --         --
SEMPRA ENERGY           COMMON  816851109 $     19,645.00    338,000   SH         DEFINED          1    338,000       --         --
SEMPRA ENERGY           COMMON  816851109 $        266.00      4,582   SH         DEFINED       1,15      4,582       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SEMPRA ENERGY           COMMON  816851109 $         23.00        392   SH         DEFINED         23         --       --        392
SEMPRA ENERGY           COMMON  816851109 $      1,397.00     24,038   SH         DEFINED         24     24,038       --         --
SEMPRA ENERGY           COMMON  816851109 $        447.00      7,692   SH         DEFINED          6      1,170       --      6,522
SEMPRA ENERGY           COMMON  816851109 $        211.00      3,635   SH         DEFINED          8      3,635       --         --
SEMITOOL INC            COMMON  816909105 $        450.00     46,411   SH         DEFINED         24     46,411       --         --
SENIOR HSG PPTYS TR     COMMON  81721M109 $      1,788.00     81,064   SH         DEFINED         15     81,064       --         --
SENIOR HSG PPTYS TR     COMMON  81721M109 $        191.00      8,665   SH         DEFINED         24      8,665       --         --
SENSIENT
   TECHNOLOGIES CORP    COMMON  81725T100 $      6,634.00    229,800   SH         DEFINED         15    110,200       --    119,600
SENSIENT
   TECHNOLOGIES CORP    COMMON  81725T100 $        715.00     24,777   SH         DEFINED         24     24,777       --         --
SENSIENT
   TECHNOLOGIES CORP    COMMON  81725T100 $         17.00        575   SH         DEFINED          6        575       --         --
SEPRACOR INC            COMMON  817315104 $      3,170.00    115,268   SH         DEFINED         24    115,268       --         --
SEPRACOR INC            COMMON  817315104 $          8.00        289   SH         DEFINED          6         --       --        289
SEQUA CORP-CL A         COMMON  817320104 $        282.00      1,702   SH         DEFINED         24      1,702       --         --
SEQUA CORP-CL B         COMMON  817320203 $         60.00        363   SH         DEFINED         24        363       --         --
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $        244.00     18,900   SH         DEFINED         14     18,900       --         --
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $        244.00     18,900   SH         DEFINED       14,3     18,900       --         --
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $      7,873.00    610,336   SH         DEFINED         15    403,736       --    200,600
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $        206.00     16,000   SH         DEFINED       15,8         --       --     16,000
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $        293.00     22,745   SH         DEFINED         24     22,745       --         --
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $     43,759.00  3,392,200   SH         DEFINED          3  3,392,200       --         --
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $     17,483.00  1,355,287   SH         DEFINED          4  1,355,287       --         --
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $        121.00      9,400   SH         DEFINED       5,15      9,400       --         --
SERVICE CORP
   INTERNATIONAL        COMMON  817565104 $        116.00      8,972   SH         DEFINED          6         --       --      8,972
SHANDA INTERACTIVE
   ENTER-ADR            COMMON  81941Q203 $     11,285.00    303,535   SH         DEFINED         24    303,535       --         --
SHAW GROUP INC          COMMON  820280105 $     12,448.00    214,251   SH         DEFINED          1    214,251       --         --
SHAW GROUP INC          COMMON  820280105 $        674.00     11,596   SH         DEFINED         24     11,596       --         --
SHAW COMMUNICATIONS
   INC CL B             COMMON  82028K200 $         97.00      3,900   SH         DEFINED      11,15      3,900       --         --
SHAW COMMUNICATIONS
   INC CL B C           COMMON  82028K200 $          8.00        312   SH         DEFINED         24        312       --         --
SHAW COMMUNICATIONS
   INC CL B C           COMMON  82028K200 $    161,617.00  6,505,900   SH         DEFINED          3  6,505,900       --         --
SHAW COMMUNICATIONS
   INC CL B C           COMMON  82028K200 $        165.00      6,623   SH         DEFINED          8      6,623       --         --
SHAW COMMUNICATIONS
   INC CL B C           COMMON  82028K200 $        705.00     28,390   SH         DEFINED          9     28,390       --         --
SHAW COMMUNICATIONS
   INC CL B             COMMON  82028K200 $        482.00     19,400   SH         DEFINED       9,15     19,400       --         --
SHENANDOAH
   TELECOMMUN CO        COMMON  82312B106 $      2,372.00    109,000   SH         DEFINED         15     82,900       --     26,100
SHENANDOAH
   TELECOMMUN CO        COMMON  82312B106 $        416.00     19,100   SH         DEFINED       5,15     19,100       --         --
SHENGDATECH INC         COMMON  823213103 $      1,383.00    229,313   SH         DEFINED         24    229,313       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $        124.00      1,891   SH         DEFINED       1,15      1,891       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $        821.00     12,500   SH         DEFINED      11,15     12,500       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $     16,396.00    249,520   SH         DEFINED         15    193,620       --     51,800
SHERWIN-WILLIAMS CO     COMMON  824348106 $      2,438.00     37,100   SH         DEFINED       15,8         --       --     37,100
SHERWIN-WILLIAMS CO     COMMON  824348106 $            --          6   SH         DEFINED         23         --       --          6
SHERWIN-WILLIAMS CO     COMMON  824348106 $     22,129.00    336,772   SH         DEFINED         24    336,772       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $          2.00         34   SH         DEFINED          4         34       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $        171.00      2,600   SH         DEFINED       5,15      2,600       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $        269.00      4,100   SH         DEFINED          6      3,800       --        300
SHERWIN-WILLIAMS CO     COMMON  824348106 $        119.00      1,812   SH         DEFINED          8      1,812       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $        533.00      8,105   SH         DEFINED          9      8,105       --         --
SHERWIN-WILLIAMS CO     COMMON  824348106 $      2,339.00     35,600   SH         DEFINED       9,15     35,600       --         --
SHINHAN FINANCIAL
   GRP ADR              COMMON  824596100 $         64.00        500   SH         DEFINED         24        500       --         --
SHINHAN FINANCIAL
   GRP ADR              COMMON  824596100 $        449.00      3,500   SH         DEFINED          9      3,500       --         --
SHINHAN FINANCIAL
   GRP ADR              COMMON  824596100 $        770.00      6,000   SH         DEFINED       9,15      6,000       --         --
SHIRE PLC-ADR           COMMON  82481R106 $     45,646.00    617,004   SH         DEFINED          1    617,004       --         --
SHIRE PLC-ADR           COMMON  82481R106 $      1,743.00     23,557   SH         DEFINED          2     23,557       --         --
SHIRE PLC-ADR           COMMON  82481R106 $         43.00        578   SH         DEFINED       20,2         --       --        578
SHIRE PLC-ADR           COMMON  82481R106 $      2,718.00     36,740   SH         DEFINED       21,2         --       --     36,740
SHIRE PLC-ADR           COMMON  82481R106 $          7.00         97   SH         DEFINED         23         92       --          5
SHIRE PLC-ADR           COMMON  82481R106 $     25,624.00    346,357   SH         DEFINED          4    346,357       --         --
SHIRE PLC-ADR           COMMON  82481R106 $      7,005.00     94,692   SH         DEFINED          6     51,445       --     43,247
SHOE CARNIVAL INC       COMMON  824889109 $        256.00     16,228   SH         DEFINED         24     16,228       --         --
SHUFFLE MASTER INC      COMMON  825549108 $         15.00      1,002   SH         DEFINED         24      1,002       --         --
SHUTTERFLY INC          COMMON  82568P304 $     12,496.00    391,600   SH         DEFINED          1    391,600       --         --
SHUTTERFLY INC          COMMON  82568P304 $      7,306.00    228,963   SH         DEFINED          2    228,963       --         --
SHUTTERFLY INC          COMMON  82568P304 $        287.00      8,992   SH         DEFINED         24      8,992       --         --
SIEMENS AG ADR          COMMON  826197501 $        109.00        796   SH         DEFINED         23        200       --        596
SIEMENS AG ADR          COMMON  826197501 $     52,904.00    385,455   SH         DEFINED         24    385,455       --         --
SIEMENS AG ADR          COMMON  826197501 $     19,869.00    144,768   SH         DEFINED          4    144,768       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SIEMENS AG ADR          COMMON  826197501 $        482.00      3,510   SH         DEFINED          6      2,730       --        780
SIERRA HEALTH
   SERVICES             COMMON  826322109 $        182.00      4,321   SH         DEFINED         24      4,321       --         --
SIERRA PAC RES          COMMON  826428104 $        326.00     20,735   SH         DEFINED         24     20,735       --         --
SIERRA PAC RES          COMMON  826428104 $          9.00        563   SH         DEFINED          6         --       --        563
SIGMA-ALDRICH           COMMON  826552101 $     71,580.00  1,468,607   SH         DEFINED          1  1,468,607       --         --
SIGMA-ALDRICH           COMMON  826552101 $        111.00      2,268   SH         DEFINED       1,15      2,268       --         --
SIGMA-ALDRICH           COMMON  826552101 $      1,853.00     38,008   SH         DEFINED         15     35,708       --      2,300
SIGMA-ALDRICH           COMMON  826552101 $        136.00      2,800   SH         DEFINED       15,8         --       --      2,800
SIGMA-ALDRICH           COMMON  826552101 $         29.00        600   SH         DEFINED         23        600       --         --
SIGMA-ALDRICH           COMMON  826552101 $      5,680.00    116,545   SH         DEFINED         24    116,545       --         --
SIGMA-ALDRICH           COMMON  826552101 $        590.00     12,100   SH         DEFINED          3     12,100       --         --
SIGMA-ALDRICH           COMMON  826552101 $     43,199.00    886,313   SH         DEFINED          4    886,313       --         --
SIGMA-ALDRICH           COMMON  826552101 $        175.00      3,600   SH         DEFINED          6         --       --      3,600
SIGMA-ALDRICH           COMMON  826552101 $        146.00      3,000   SH         DEFINED          8      3,000       --         --
SIGMATEL INC            COMMON  82661W107 $          6.00      2,384   SH         DEFINED         24      2,384       --         --
SIGNATURE BANK
   COMMON               COMMON  82669G104 $     32,281.00    916,298   SH         DEFINED          1    916,298       --         --
SIGNATURE BANK
   COMMON               COMMON  82669G104 $        611.00     17,335   SH         DEFINED          2         --       --     17,335
SIGNATURE BANK
   COMMON               COMMON  82669G104 $         22.00        616   SH         DEFINED         23         --       --        616
SIGNATURE BANK
   COMMON               COMMON  82669G104 $        331.00      9,408   SH         DEFINED         24      9,408       --         --
SILICON LABORATORIES    COMMON  826919102 $     15,983.00    382,743   SH         DEFINED          1    382,743       --         --
SILICON LABORATORIES    COMMON  826919102 $     13,102.00    313,750   SH         DEFINED          2    313,750       --         --
SILICON LABORATORIES    COMMON  826919102 $        847.00     20,274   SH         DEFINED         24     20,274       --         --
SILICON LABORATORIES    COMMON  826919102 $        280.00      6,700   SH         DEFINED          3      6,700       --         --
SILICON LABORATORIES    COMMON  826919102 $          6.00        150   SH         DEFINED          6        150       --         --
SILGAN HOLDINGS INC     COMMON  827048109 $        726.00     13,508   SH         DEFINED         24     13,508       --         --
SILICON STORAGE
   TECHNOLOGY INC       COMMON  827057100 $        118.00     36,500   SH         DEFINED         15     36,500       --         --
SILICON STORAGE
   TECHNOLOGY INC       COMMON  827057100 $        418.00    129,908   SH         DEFINED         24    129,908       --         --
SILICON IMAGE INC       COMMON  82705T102 $         15.00      2,972   SH         DEFINED         24      2,972       --         --
SILICONWARE
   PRECISION ADR        COMMON  827084864 $     15,081.00  1,246,338   SH         DEFINED          1  1,246,338       --         --
SILICONWARE
   PRECISION ADR        COMMON  827084864 $      2,247.00    185,706   SH         DEFINED          2    185,706       --         --
SILICONWARE
   PRECISION ADR        COMMON  827084864 $      1,728.00    142,792   SH         DEFINED       21,2    142,792       --         --
SILVERLEAF RESORTS
   INC                  COMMON  828395103 $        397.00     75,001   SH         DEFINED         24     75,001       --         --
SIMCERE PHARMA-
   CEUTICAL-ADR         COMMON  82859P104 $      4,221.00    264,942   SH         DEFINED         24    264,942       --         --
SIMCERE PHARMA-
   CEUTICAL-ADR         COMMON  82859P104 $      1,497.00     94,000   SH         DEFINED        7,9          -  94,000          --
SIMMONS FIRST
   NATIONAL CORP CL     COMMON  828730200 $        764.00     29,000   SH         DEFINED         15     20,200       --      8,800
SIMMONS FIRST
   NATIONAL CORP CL     COMMON  828730200 $        480.00     18,229   SH         DEFINED         24     18,229       --         --
SIMMONS FIRST
   NATIONAL CORP CL     COMMON  828730200 $        192.00      7,300   SH         DEFINED       5,15      7,300       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $    150,823.00  1,508,227   SH         DEFINED       1,15  1,508,227       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $      2,090.00     20,900   SH         DEFINED      11,15     20,900       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $    469,329.00  4,693,287   SH         DEFINED         15  3,055,956       --  1,350,850
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $      4,080.00     40,800   SH         DEFINED      15,14         --       --     40,800
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $      6,460.00     64,600   SH         DEFINED       15,8         --       --     64,600
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $     20,670.00    206,700   SH         DEFINED       2,15    206,700       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $      5,570.00     55,700   SH         DEFINED      20,15     55,700       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $         93.00        930   SH         DEFINED         23         --       --        930
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $        622.00      6,219   SH         DEFINED         24      6,219       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $     37,954.00    379,538   SH         DEFINED       5,15    379,538       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $        382.00      3,819   SH         DEFINED          6      2,039       --      1,780
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $      1,066.00     10,663   SH         DEFINED          8     10,663       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $        650.00      6,500   SH         DEFINED          9      6,500       --         --
SIMON PROPERTY
   GROUP INC REIT       COMMON  828806109 $     10,580.00    105,800   SH         DEFINED       9,15    105,800       --         --
SIMPSON
   MANUFACTURING CO
   INC                  COMMON  829073105 $        984.00     30,884   SH         DEFINED         24     30,884       --         --
SIMPSON
   MANUFACTURING
   CO INC               COMMON  829073105 $        200.00      6,275   SH         DEFINED          6         --       --      6,275
SINCLAIR BROADCAST
   GROUP INC            COMMON  829226109 $      5,356.00    444,838   SH         DEFINED          1    444,838       --         --
SINCLAIR BROADCAST
   GROUP INC            COMMON  829226109 $        587.00     48,794   SH         DEFINED       14,2         --       --     48,794
SINCLAIR BROADCAST
   GROUP INC            COMMON  829226109 $      3,537.00    293,750   SH         DEFINED         15    194,250       --     99,500
SINCLAIR BROADCAST
   GROUP INC            COMMON  829226109 $        367.00     30,459   SH         DEFINED         24     30,459       --         --
SINCLAIR BROADCAST
   GROUP INC            COMMON  829226109 $        694.00     57,600   SH         DEFINED       5,15     57,600       --         --
SINOPEC SHANGHAI-
   SPONS ADR            COMMON  82935M109 $     24,768.00    305,213   SH         DEFINED         24    305,213       --         --
SIRONA DENTAL
   SYSTEMS              COMMON  82966C103 $         60.00      1,686   SH         DEFINED         24      1,686       --         --
SIRONA DENTAL
   SYSTEMS              COMMON  82966C103 $      9,039.00    253,400   SH         DEFINED          3    253,400       --         --
SIRENZA MICRODEVICES
   INC                  COMMON  82966T106 $        352.00     20,383   SH         DEFINED         24     20,383       --         --
SIRENZA MICRODEVICES
   INC                  COMMON  82966T106 $         19.00      1,070   SH         DEFINED          6      1,070       --         --
SIRIUS SATELLITE
   RADIO INC            COMMON  82966U103 $            --          4   SH         DEFINED         23         --       --          4
SIRIUS SATELLITE
   RADIO INC            COMMON  82966U103 $      1,628.00    466,433   SH         DEFINED         24    466,433       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SIRIUS SATELLITE
   RADIO INC            COMMON  82966U103 $          9.00      2,564   SH         DEFINED          6      2,564       --         --
SIRIUS SATELLITE
   RADIO INC            COMMON  82966U103 $         63.00     18,188   SH         DEFINED          8     18,188       --         --
SIRIUS SATELLITE
   RADIO INC            COMMON  82966U103 $      3,825.00  1,096,100   SH         DEFINED          9  1,096,100       --         --
SIRIUS SATELLITE
   RADIO INC            COMMON  82966U103 $        780.00    223,400   SH         DEFINED       9,22    223,400       --         --
SIRF TECHNOLOGY
   HOLDINGS INC         COMMON  82967H101 $      7,638.00    357,758   SH         DEFINED          1    357,758       --         --
SIRF TECHNOLOGY
   HOLDINGS INC         COMMON  82967H101 $      6,126.00    286,921   SH         DEFINED          2    286,921       --         --
SIRF TECHNOLOGY
   HOLDINGS INC         COMMON  82967H101 $         38.00      1,797   SH         DEFINED         24      1,797       --         --
SIRF TECHNOLOGY
   HOLDINGS INC         COMMON  82967H101 $         92.00      4,325   SH         DEFINED          6         --       --      4,325
SIX FLAGS INC           COMMON  83001P109 $        119.00     34,390   SH         DEFINED         24     34,390       --         --
SKECHERS USA INC
   CL A                 COMMON  830566105 $         94.00      4,265   SH         DEFINED         24      4,265       --         --
SKILLED HEALTHCARE
   GROU-CL A            COMMON  83066R107 $     14,357.00    911,557   SH         DEFINED          1    911,557       --         --
SKILLED HEALTHCARE
   GROU-CL A            COMMON  83066R107 $        708.00     44,952   SH         DEFINED          2     44,952       --         --
SKILLED HEALTHCARE
   GROU-CL A            COMMON  83066R107 $         17.00      1,103   SH         DEFINED       20,2         --       --      1,103
SKILLED HEALTHCARE
   GROU-CL A            COMMON  83066R107 $      1,104.00     70,109   SH         DEFINED       21,2         --       --     70,109
SKYLINE CORP            COMMON  830830105 $         48.00      1,603   SH         DEFINED         24      1,603       --         --
SKYWEST INC             COMMON  830879102 $        184.00      7,302   SH         DEFINED         24      7,302       --         --
SKYWEST INC             COMMON  830879102 $        108.00      4,275   SH         DEFINED          6         --       --      4,275
SKYWORKS SOLUTIONS
   INC                  COMMON  83088M102 $        186.00     20,576   SH         DEFINED         24     20,576       --         --
SMITH & WESSON
   HOLDING CORP         COMMON  831756101 $      5,832.00    305,516   SH         DEFINED          1    305,516       --         --
SMITH & WESSON
   HOLDING CORP         COMMON  831756101 $         15.00        811   SH         DEFINED         24        811       --         --
SMITH & NEPHEW PLC
   ADR                  COMMON  83175M205 $      4,212.00     68,785   SH         DEFINED         24     68,785       --         --
SMITH & NEPHEW PLC
   ADR                  COMMON  83175M205 $          8.00        130   SH         DEFINED          6         --       --        130
SMITH AO                COMMON  831865209 $        442.00     10,063   SH         DEFINED         24     10,063       --         --
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $     97,576.00  1,366,606   SH         DEFINED          1  1,366,606       --         --
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $        248.00      3,480   SH         DEFINED       1,15      3,480       --         --
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $        763.00     10,689   SH         DEFINED         15     10,689       --         --
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $        305.00      4,276   SH         DEFINED          2      4,276       --         --
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $         36.00        500   SH         DEFINED         23         --       --        500
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $     29,636.00    415,070   SH         DEFINED         24    415,070       --         --
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $     20,483.00    286,881   SH         DEFINED          4    286,881       --         --
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $         11.00        153   SH         DEFINED          6         --       --        153
SMITH INTERNATIONAL
   INC                  COMMON  832110100 $        295.00      4,134   SH         DEFINED          8      4,134       --         --
SMITH MICRO SOFTWARE
   INC                  COMMON  832154108 $        273.00     16,997   SH         DEFINED         24     16,997       --         --
SMITHFIELD FOODS INC    COMMON  832248108 $        844.00     26,782   SH         DEFINED         24     26,782       --         --
SMITHFIELD FOODS INC    COMMON  832248108 $         60.00      1,895   SH         DEFINED          6      1,710       --        185
SMTC CORPORATION        COMMON  832682207 $        181.00     76,377   SH         DEFINED         24     76,377       --         --
JM SMUCKER CO           COMMON  832696405 $      3,248.00     60,800   SH         DEFINED         15     31,100       --     29,700
JM SMUCKER CO           COMMON  832696405 $         29.00        539   SH         DEFINED         23        182       --        357
JM SMUCKER CO           COMMON  832696405 $        465.00      8,701   SH         DEFINED         24      8,701       --         --
JM SMUCKER CO           COMMON  832696405 $         28.00        526   SH         DEFINED          6        400       --        126
SMURFIT-STONE
   CONTAINER CORP       COMMON  832727101 $      5,046.00    432,019   SH         DEFINED          1    432,019       --         --
SMURFIT-STONE
   CONTAINER CORP       COMMON  832727101 $      2,741.00    234,700   SH         DEFINED         15    106,600       --    128,100
SMURFIT-STONE
   CONTAINER CORP       COMMON  832727101 $        988.00     84,600   SH         DEFINED         24     84,600       --         --
SMURFIT-STONE
   CONTAINER CORP       COMMON  832727101 $         74.00      6,300   SH         DEFINED          6         --       --      6,300
SNAP-ON INC             COMMON  833034101 $     25,664.00    518,055   SH         DEFINED          1    518,055       --         --
SNAP-ON INC             COMMON  833034101 $         50.00      1,017   SH         DEFINED       1,15      1,017       --         --
SNAP-ON INC             COMMON  833034101 $        327.00      6,600   SH         DEFINED         15      6,600       --         --
SNAP-ON INC             COMMON  833034101 $         40.00        800   SH         DEFINED         23         --       --        800
SNAP-ON INC             COMMON  833034101 $        490.00      9,883   SH         DEFINED         24      9,883       --         --
SOCIEDAD QUIMICA
   MINERA DE CHI        COMMON  833635105 $      1,114.00      6,446   SH         DEFINED         24      6,446       --         --
SOHU.COM INC            COMMON  83408W103 $          9.00        250   SH         DEFINED         23         --       --        250
SOHU.COM INC            COMMON  83408W103 $      7,302.00    193,644   SH         DEFINED         24    193,644       --         --
SOLARFUN POWER
   HOLD-SPON ADR        COMMON  83415U108 $      2,672.00    203,471   SH         DEFINED         24    203,471       --         --
SOLECTRON CORP          COMMON  834182107 $         62.00     15,866   SH         DEFINED       1,15     15,866       --         --
SOLECTRON CORP          COMMON  834182107 $      1,530.00    392,289   SH         DEFINED         24    392,289       --         --
SOLECTRON CORP          COMMON  834182107 $          6.00      1,530   SH         DEFINED          6         --       --      1,530
SOLERA HOLDINGS INC     COMMON  83421A104 $     18,525.00  1,029,752   SH         DEFINED          1  1,029,752       --         --
SOLERA HOLDINGS INC     COMMON  83421A104 $      3,550.00    197,305   SH         DEFINED          9    197,305       --         --
SOLERA HOLDINGS INC     COMMON  83421A104 $        706.00     39,227   SH         DEFINED       9,22     39,227       --         --
SOLITARIO RESOURCES
   CORP                 COMMON  83422R106 $      3,772.00    767,000   SH         DEFINED          1    767,000       --         --
SONIC CORP              COMMON  835451105 $        224.00      9,563   SH         DEFINED         24      9,563       --         --
SONIC CORP              COMMON  835451105 $      1,282.00     54,803   SH         DEFINED          6         --       --     54,803
SONIC AUTOMOTIVE INC    COMMON  83545G102 $      1,120.00     46,771   SH         DEFINED         24     46,771       --         --
SONIC AUTOMOTIVE INC    COMMON  83545G102 $         84.00      3,510   SH         DEFINED          6      3,510       --         --
SONIC INNOVATIONS
   INC                  COMMON  83545M109 $        468.00     51,003   SH         DEFINED         24     51,003       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SONIC SOLUTIONS         COMMON  835460106 $          5.00        500   SH         DEFINED         23        500       --         --
SONIC SOLUTIONS         COMMON  835460106 $         11.00      1,054   SH         DEFINED         24      1,054       --         --
SONIC SOLUTIONS         COMMON  835460106 $         10.00        975   SH         DEFINED          6        975       --         --
SONICWALL INC           COMMON  835470105 $      5,222.00    598,200   SH         DEFINED         15    379,700       --    218,500
SONICWALL INC           COMMON  835470105 $        911.00    104,340   SH         DEFINED         24    104,340       --         --
SONICWALL INC           COMMON  835470105 $        990.00    113,400   SH         DEFINED       5,15    113,400       --         --
SONOCO PRODUCTS CO      COMMON  835495102 $          6.00        200   SH         DEFINED         23         --       --        200
SONOCO PRODUCTS CO      COMMON  835495102 $        507.00     16,806   SH         DEFINED         24     16,806       --         --
SONOSITE INC            COMMON  83568G104 $        271.00      8,878   SH         DEFINED         24      8,878       --         --
SONOSITE INC            COMMON  83568G104 $          8.00        275   SH         DEFINED          6        275       --         --
SONY CORPORATION ADR    COMMON  835699307 $      3,275.00     68,141   SH         DEFINED          1     68,141       --         --
SONY CORPORATION ADR    COMMON  835699307 $     12,359.00    257,150   SH         DEFINED       1,12    257,150       --         --
SONY CORPORATION ADR    COMMON  835699307 $    113,889.00  2,369,727   SH         DEFINED         12  2,360,487       --      9,240
SONY CORPORATION ADR    COMMON  835699307 $        370.00      7,690   SH         DEFINED       14,2         --       --      7,690
SONY CORPORATION ADR    COMMON  835699307 $      2,614.00     54,386   SH         DEFINED         15     54,386       --         --
SONY CORPORATION ADR    COMMON  835699307 $         17.00        359   SH         DEFINED         23        350       --          9
SONY CORPORATION ADR    COMMON  835699307 $        519.00     10,793   SH         DEFINED         24     10,793       --         --
SONY CORPORATION ADR    COMMON  835699307 $         34.00        700   SH         DEFINED          6         --       --        700
SOTHEBYS                COMMON  835898107 $         37.00        775   SH         DEFINED         23         --       --        775
SOTHEBYS                COMMON  835898107 $        678.00     14,180   SH         DEFINED         24     14,180       --         --
SOTHEBYS                COMMON  835898107 $        176.00      3,690   SH         DEFINED          6         --       --      3,690
SONUS NETWORKS INC      COMMON  835916107 $        688.00    112,850   SH         DEFINED         24    112,850       --         --
SONUS NETWORKS INC      COMMON  835916107 $      1,652.00    270,900   SH         DEFINED          9    270,900       --         --
SONUS NETWORKS INC      COMMON  835916107 $        319.00     52,300   SH         DEFINED       9,22     52,300       --         --
SOURCE INTERLINK COS
   INC                  COMMON  836151209 $         44.00     12,402   SH         DEFINED         24     12,402       --         --
SOUTH FINANCIAL
   GROUP                COMMON  837841105 $        175.00      7,687   SH         DEFINED         24      7,687       --         --
SOUTH JERSEY
   INDUSTRIES           COMMON  838518108 $      1,120.00     32,178   SH         DEFINED         24     32,178       --         --
SOUTH JERSEY
   INDUSTRIES           COMMON  838518108 $        240.00      6,900   SH         DEFINED          6         --       --      6,900
SOUTHERN CO             COMMON  842587107 $      7,002.00    193,000   SH         DEFINED          1    193,000       --         --
SOUTHERN CO             COMMON  842587107 $        476.00     13,131   SH         DEFINED       1,15     13,131       --         --
SOUTHERN CO             COMMON  842587107 $        105.00      2,900   SH         DEFINED         15      2,700       --        200
SOUTHERN CO             COMMON  842587107 $      1,073.00     29,567   SH         DEFINED         22     29,567       --         --
SOUTHERN CO             COMMON  842587107 $      3,784.00    104,307   SH         DEFINED         24    104,307       --         --
SOUTHERN CO             COMMON  842587107 $        358.00      9,855   SH         DEFINED          6      9,510       --        345
SOUTHERN CO             COMMON  842587107 $        876.00     24,150   SH         DEFINED          8     24,150       --         --
SOUTHERN CO             COMMON  842587107 $     17,060.00    470,229   SH         DEFINED          9    470,229       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $      2,935.00     23,700   SH         DEFINED       1,15     23,700       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $      1,659.00     13,400   SH         DEFINED      11,15     13,400       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $    115,351.00    931,529   SH         DEFINED         15    671,679       --    236,350
SOUTHERN COPPER CORP    COMMON  84265V105 $      2,774.00     22,400   SH         DEFINED      15,14         --       --     22,400
SOUTHERN COPPER CORP    COMMON  84265V105 $      8,148.00     65,800   SH         DEFINED       15,8         --       --     65,800
SOUTHERN COPPER CORP    COMMON  84265V105 $        562.00      4,541   SH         DEFINED         21      4,541       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $      9,520.00     76,883   SH         DEFINED         24     76,883       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $      5,089.00     41,100   SH         DEFINED       5,15     41,100       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $        142.00      1,149   SH         DEFINED          6         --       --      1,149
SOUTHERN COPPER CORP    COMMON  84265V105 $      1,729.00     13,965   SH         DEFINED          8     13,965       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $      2,799.00     22,606   SH         DEFINED          9     22,606       --         --
SOUTHERN COPPER CORP    COMMON  84265V105 $     14,488.00    117,000   SH         DEFINED       9,15    117,000       --         --
SOUTHERN UNION
   COMPANY              COMMON  844030106 $      1,303.00     41,873   SH         DEFINED         24     41,873       --         --
SOUTHWEST AIRLINES      COMMON  844741108 $        192.00     12,973   SH         DEFINED       1,15     12,973       --         --
SOUTHWEST AIRLINES      COMMON  844741108 $         10.00        675   SH         DEFINED         23        675       --         --
SOUTHWEST AIRLINES      COMMON  844741108 $        807.00     54,541   SH         DEFINED         24     54,541       --         --
SOUTHWEST AIRLINES      COMMON  844741108 $     54,602.00  3,689,300   SH         DEFINED          3  3,689,300       --         --
SOUTHWEST AIRLINES      COMMON  844741108 $        122.00      8,247   SH         DEFINED          6      7,220       --      1,027
SOUTHWEST AIRLINES      COMMON  844741108 $        280.00     18,900   SH         DEFINED          7     18,900       --         --
SOUTHWEST BANCORP
   INC/OKLA             COMMON  844767103 $        360.00     19,141   SH         DEFINED         24     19,141       --         --
SOUTHWEST GAS CORP      COMMON  844895102 $      1,781.00     62,965   SH         DEFINED         15     45,365       --     17,600
SOUTHWEST GAS CORP      COMMON  844895102 $        162.00      5,709   SH         DEFINED         24      5,709       --         --
SOUTHWEST GAS CORP      COMMON  844895102 $        334.00     11,800   SH         DEFINED       5,15     11,800       --         --
SOUTHWEST WATER CO      COMMON  845331107 $         11.00        883   SH         DEFINED         23         --       --        883
SOUTHWEST WATER CO      COMMON  845331107 $     27,558.00  2,181,973   SH         DEFINED         24  2,181,973       --         --
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $    111,949.00  2,675,000   SH         DEFINED          1  2,675,000       --         --
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $      9,458.00    226,000   SH         DEFINED       14,2         --       --    226,000
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $      1,155.00     27,590   SH         DEFINED          2         --       --     27,590
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $          7.00        160   SH         DEFINED         23         48       --        112




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $        221.00      5,279   SH         DEFINED         24      5,279       --         --
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $      1,080.00     25,817   SH         DEFINED          4     25,817       --         --
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $      5,551.00    132,631   SH         DEFINED          6    116,941       --     15,690
SOUTHWESTERN ENERGY
   COMPANY              COMMON  845467109 $        146.00      3,492   SH         DEFINED          8      3,492       --         --
SOVEREIGN BANCORP
   INC                  COMMON  845905108 $        106.00      6,239   SH         DEFINED       1,15      6,239       --         --
SOVEREIGN BANCORP
   INC                  COMMON  845905108 $        444.00     26,048   SH         DEFINED         24     26,048       --         --
SOVEREIGN BANCORP
   INC                  COMMON  845905108 $          4.00        248   SH         DEFINED          6         --       --        248
SOVEREIGN BANCORP
   INC                  COMMON  845905108 $         94.00      5,514   SH         DEFINED          8      5,514       --         --
SOVRAN SELF STORAGE
   INC REIT             COMMON  84610H108 $        715.00     15,600   SH         DEFINED         15     15,600       --         --
SOVRAN SELF STORAGE
   INC REIT             COMMON  84610H108 $        114.00      2,482   SH         DEFINED         24      2,482       --         --
SOVRAN SELF STORAGE
   INC REIT             COMMON  84610H108 $         88.00      1,925   SH         DEFINED          6         --       --      1,925
SPANISH BROADCASTING
   SYS INC              COMMON  846425882 $        616.00    238,633   SH         DEFINED          1    238,633       --         --
SPANISH BROADCASTING
   SYS INC              COMMON  846425882 $         52.00     20,144   SH         DEFINED       14,2         --       --     20,144
SPANSION INC            COMMON  84649R101 $        210.00     24,834   SH         DEFINED         24     24,834       --         --
SPARTAN MOTORS INC      COMMON  846819100 $        441.00     26,232   SH         DEFINED         24     26,232       --         --
SPARTAN STORES INC      COMMON  846822104 $        112.00      4,950   SH         DEFINED         15      4,950       --         --
SPARTAN STORES INC      COMMON  846822104 $        306.00     13,568   SH         DEFINED         24     13,568       --         --
SPARTAN STORES INC      COMMON  846822104 $         97.00      4,325   SH         DEFINED          6         --       --      4,325
SPARTECH CORP           COMMON  847220209 $      3,459.00    202,750   SH         DEFINED         15    149,250       --     53,500
SPARTECH CORP           COMMON  847220209 $        843.00     49,414   SH         DEFINED         24     49,414       --         --
SPARTECH CORP           COMMON  847220209 $        694.00     40,700   SH         DEFINED       5,15     40,700       --         --
SPECIALTY
   UNDERWRITERS'
   ALLI                 COMMON  84751T309 $        395.00     56,413   SH         DEFINED         24     56,413       --         --
SPECTRA ENERGY CORP     COMMON  847560109 $     13,488.00    551,000   SH         DEFINED          1    551,000       --         --
SPECTRA ENERGY CORP     COMMON  847560109 $        270.00     11,020   SH         DEFINED       1,15     11,020       --         --
SPECTRA ENERGY CORP     COMMON  847560109 $        114.00      4,650   SH         DEFINED         15      3,450       --         --
SPECTRA ENERGY CORP     COMMON  847560109 $          7.00        275   SH         DEFINED         23        275       --         --
SPECTRA ENERGY CORP     COMMON  847560109 $      1,718.00     70,199   SH         DEFINED         24     70,199       --         --
SPECTRA ENERGY CORP     COMMON  847560109 $        211.00      8,632   SH         DEFINED          6      4,042       --      4,590
SPECTRA ENERGY CORP     COMMON  847560109 $        264.00     10,782   SH         DEFINED          8     10,782       --         --
SPECTRA ENERGY CORP     COMMON  847560109 $        299.00     12,213   SH         DEFINED          9     12,213       --         --
SPECTRA ENERGY
   PARTNERS LP          COMMON  84756N109 $        195.00      7,413   SH         DEFINED          6      5,000       --      2,413
SPECTRUM CONTROL INC    COMMON  847615101 $        383.00     26,448   SH         DEFINED         24     26,448       --         --
SPECTRUM BRANDS INC     COMMON  84762L105 $        112.00     19,305   SH         DEFINED         24     19,305       --         --
SPECTRUM
   PHARMACEUTICALS
   INC                  COMMON  84763A108 $          1.00        200   SH         DEFINED         23         --       --        200
SPEEDWAY MOTORSPORTS
   INC                  COMMON  847788106 $      3,682.00     99,517   SH         DEFINED         24     99,517       --         --
SPHERION CORP           COMMON  848420105 $      2,265.00    274,250   SH         DEFINED         15    175,950       --     98,300
SPHERION CORP           COMMON  848420105 $        606.00     73,406   SH         DEFINED         24     73,406       --         --
SPHERION CORP           COMMON  848420105 $        422.00     51,100   SH         DEFINED       5,15     51,100       --         --
SPIRIT AEROSYSTEMS
   HOLD-CL A            COMMON  848574109 $    236,287.00  6,067,975   SH         DEFINED          1  6,067,975       --         --
SPIRIT AEROSYSTEMS
   HOLD-CL A            COMMON  848574109 $     16,493.00    423,546   SH         DEFINED          2    391,869       --     31,677
SPIRIT AEROSYSTEMS
   HOLD-CL A            COMMON  848574109 $         93.00      2,392   SH         DEFINED          6      1,260       --      1,132
SPIRIT AEROSYSTEMS
   HOLD-CL A            COMMON  848574109 $        855.00     21,962   SH         DEFINED        9,2     21,962       --         --
SPRINT NEXTEL CORP      COMMON  852061100 $    136,908.00  7,205,690   SH         DEFINED          1  7,205,690       --         --
SPRINT NEXTEL CORP      COMMON  852061100 $        939.00     49,420   SH         DEFINED       1,15     49,420       --         --
SPRINT NEXTEL CORP      COMMON  852061100 $      3,079.00    162,050   SH         DEFINED         15    128,650       --     27,500
SPRINT NEXTEL CORP      COMMON  852061100 $        162.00      8,500   SH         DEFINED       15,8         --       --      8,500
SPRINT NEXTEL CORP      COMMON  852061100 $          2.00        130   SH         DEFINED         23         88       --         42
SPRINT NEXTEL CORP      COMMON  852061100 $      7,989.00    420,494   SH         DEFINED         24    420,494       --         --
SPRINT NEXTEL CORP      COMMON  852061100 $      7,802.00    410,652   SH         DEFINED          4    410,652       --         --
SPRINT NEXTEL CORP      COMMON  852061100 $        372.00     19,600   SH         DEFINED          6     13,267       --      6,333
SPRINT NEXTEL CORP      COMMON  852061100 $        877.00     46,140   SH         DEFINED          8     46,140       --         --
STAGE STORES INC        COMMON  85254C305 $         98.00      5,365   SH         DEFINED         24      5,365       --         --
STAMPS.COM INC          COMMON  852857200 $         29.00      2,430   SH         DEFINED         24      2,430       --         --
STANCORP FINL GROUP
   INC                  COMMON  852891100 $     34,380.00    694,409   SH         DEFINED          1    694,409       --         --
STANCORP FINL GROUP
   INC                  COMMON  852891100 $      7,333.00    148,118   SH         DEFINED         24    148,118       --         --
STANDARD
   MICROSYSTEMS CORP    COMMON  853626109 $      5,399.00    140,533   SH         DEFINED         24    140,533       --         --
STANDARD MOTOR PRODS    COMMON  853666105 $      2,057.00    218,850   SH         DEFINED         15    160,050       --     58,800
STANDARD MOTOR PRODS    COMMON  853666105 $        291.00     30,921   SH         DEFINED         24     30,921       --         --
STANDARD MOTOR PRODS    COMMON  853666105 $        450.00     47,900   SH         DEFINED       5,15     47,900       --         --
STANDARD-PACIFIC
   CORP                 COMMON  85375C101 $        171.00     31,116   SH         DEFINED         24     31,116       --         --
STANDARD-PACIFIC
   CORP                 COMMON  85375C101 $          2.00        300   SH         DEFINED          6         --       --        300
STANDARD PARKING
   CORP                 COMMON  853790103 $      1,351.00     33,950   SH         DEFINED         15     22,150       --     11,800
STANDARD PARKING
   CORP                 COMMON  853790103 $        271.00      6,800   SH         DEFINED       5,15      6,800       --         --
STANDARD REGISTER CO    COMMON  853887107 $         89.00      7,000   SH         DEFINED         15      7,000       --         --
STANDARD REGISTER CO    COMMON  853887107 $        130.00     10,202   SH         DEFINED         24     10,202       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
STANDEX
   INTERNATIONAL
   CORP                 COMMON  854231107 $         95.00      4,600   SH         DEFINED         15      4,600       --         --
STANDEX
   INTERNATIONAL
   CORP                 COMMON  854231107 $         58.00      2,784   SH         DEFINED         24      2,784       --         --
STANDEX
   INTERNATIONAL
   CORP                 COMMON  854231107 $         56.00      2,700   SH         DEFINED       5,15      2,700       --         --
STANDEX
   INTERNATIONAL
   CORP                 COMMON  854231107 $         12.00        600   SH         DEFINED          6        600       --         --
STANLEY FURNITURE CO
   INC                  COMMON  854305208 $         11.00        696   SH         DEFINED         24        696       --         --
STANLEY INC             COMMON  854532108 $      1,151.00     41,784   SH         DEFINED         24     41,784       --         --
STANLEY WORKS           COMMON  854616109 $         80.00      1,424   SH         DEFINED       1,15      1,424       --         --
STANLEY WORKS           COMMON  854616109 $        848.00     15,100   SH         DEFINED         15     13,200       --         --
STANLEY WORKS           COMMON  854616109 $         47.00        841   SH         DEFINED         23         --       --        841
STANLEY WORKS           COMMON  854616109 $      1,970.00     35,104   SH         DEFINED         24     35,104       --         --
STANLEY WORKS           COMMON  854616109 $        306.00      5,450   SH         DEFINED          6         --       --      5,450
STANLEY WORKS           COMMON  854616109 $         86.00      1,535   SH         DEFINED          8      1,535       --         --
STANTEC INC             COMMON  85472N109 $      3,458.00    105,562   SH         DEFINED         24    105,562       --         --
STANTEC INC             COMMON  85472N109 $      3,649.00    111,400   SH         DEFINED          3    111,400       --         --
STAPLES INC             COMMON  855030102 $     13,589.00    632,350   SH         DEFINED          1    632,350       --         --
STAPLES INC             COMMON  855030102 $        266.00     12,359   SH         DEFINED       1,15     12,359       --         --
STAPLES INC             COMMON  855030102 $            --         10   SH         DEFINED         23          7       --          3
STAPLES INC             COMMON  855030102 $      3,909.00    181,891   SH         DEFINED         24    181,891       --         --
STAPLES INC             COMMON  855030102 $     48,387.00  2,251,610   SH         DEFINED          6     89,869       --  2,161,741
STAPLES INC             COMMON  855030102 $        302.00     14,056   SH         DEFINED          8     14,056       --         --
STAR GAS PARTNERS
   L.P.                 COMMON  85512C105 $        454.00    100,027   SH         DEFINED         24    100,027       --         --
STARBUCKS CORP          COMMON  855244109 $     17,030.00    650,000   SH         DEFINED          1    650,000       --         --
STARBUCKS CORP          COMMON  855244109 $        339.00     12,938   SH         DEFINED       1,15     12,938       --         --
STARBUCKS CORP          COMMON  855244109 $          9.00        344   SH         DEFINED         23         21       --        323
STARBUCKS CORP          COMMON  855244109 $      8,496.00    324,285   SH         DEFINED         24    324,285       --         --
STARBUCKS CORP          COMMON  855244109 $         63.00      2,420   SH         DEFINED          6        420       --      2,000
STARBUCKS CORP          COMMON  855244109 $        389.00     14,860   SH         DEFINED          8     14,860       --         --
STARENT NETWORKS
   CORP                 COMMON  85528P108 $      3,813.00    180,623   SH         DEFINED          1    180,623       --         --
STATE AUTO FINANCIAL
   CORP                 COMMON  855707105 $        673.00     22,995   SH         DEFINED         24     22,995       --         --
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $     38,175.00    628,398   SH         DEFINED          1    628,398       --         --
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $     28,895.00    475,642   SH         DEFINED       1,15    475,642       --         --
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $      3,251.00     53,522   SH         DEFINED       14,2         --       --     53,522
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $     71,352.00  1,174,513   SH         DEFINED         15    684,057       --    392,000
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $      3,961.00     65,200   SH         DEFINED       2,15     65,200       --         --
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $      1,288.00     21,200   SH         DEFINED      20,15     21,200       --         --
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $         18.00        300   SH         DEFINED         23         --       --        300
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $      2,506.00     41,244   SH         DEFINED         24     41,244       --         --
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $      7,471.00    122,984   SH         DEFINED       5,15    122,984       --         --
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $         49.00        800   SH         DEFINED          6         --       --        800
STARWOOD HOTELS &
   RESORTS              COMMON  85590A401 $        180.00      2,969   SH         DEFINED          9      2,969       --         --
STATE STREET CORP       COMMON  857477103 $     41,389.00    607,232   SH         DEFINED          1    607,232       --         --
STATE STREET CORP       COMMON  857477103 $        461.00      6,761   SH         DEFINED       1,15      6,761       --         --
STATE STREET CORP       COMMON  857477103 $      1,581.00     23,200   SH         DEFINED        1,3     23,200       --         --
STATE STREET CORP       COMMON  857477103 $        170.00      2,500   SH         DEFINED         15      1,700       --         --
STATE STREET CORP       COMMON  857477103 $      8,186.00    120,100   SH         DEFINED       20,3    120,100       --         --
STATE STREET CORP       COMMON  857477103 $      2,713.00     39,800   SH         DEFINED       21,3     39,800       --         --
STATE STREET CORP       COMMON  857477103 $          3.00         50   SH         DEFINED         23         50       --         --
STATE STREET CORP       COMMON  857477103 $      3,392.00     49,768   SH         DEFINED         24     49,768       --         --
STATE STREET CORP       COMMON  857477103 $    345,531.00  5,069,408   SH         DEFINED          3  5,069,408       --         --
STATE STREET CORP       COMMON  857477103 $      2,190.00     32,131   SH         DEFINED          6      9,101       --     23,030
STATE STREET CORP       COMMON  857477103 $        477.00      7,000   SH         DEFINED          7      7,000       --         --
STATE STREET CORP       COMMON  857477103 $        406.00      5,952   SH         DEFINED          8      5,952       --         --
STATION CASINOS INC     COMMON  857689103 $        517.00      5,908   SH         DEFINED         24      5,908       --         --
STATOIL ASA ADR         COMMON  85771P102 $     62,210.00  1,834,009   SH         DEFINED         12  1,826,399       --      7,610
STATOIL ASA ADR         COMMON  85771P102 $      1,510.00     44,516   SH         DEFINED         15     44,516       --         --
THE STEAK N SHAKE
   COMPANY              COMMON  857873103 $         75.00      5,029   SH         DEFINED         24      5,029       --         --
STEEL DYNAMICS INC      COMMON  858119100 $        705.00     15,100   SH         DEFINED       1,15     15,100       --         --
STEEL DYNAMICS INC      COMMON  858119100 $      1,308.00     28,000   SH         DEFINED         15     28,000       --         --
STEEL DYNAMICS INC      COMMON  858119100 $        757.00     16,208   SH         DEFINED         24     16,208       --         --
STEEL DYNAMICS INC      COMMON  858119100 $        691.00     14,800   SH         DEFINED       5,15     14,800       --         --
STEELCASE INC           COMMON  858155203 $          7.00        400   SH         DEFINED         15        400       --         --
STEELCASE INC           COMMON  858155203 $        292.00     16,232   SH         DEFINED         24     16,232       --         --
STEIN MART INC          COMMON  858375108 $         55.00      7,240   SH         DEFINED         24      7,240       --         --
STEINWAY MUSICAL
   INSTRS INC           COMMON  858495104 $        382.00     12,880   SH         DEFINED         24     12,880       --         --
STEPAN CO               COMMON  858586100 $         97.00      3,152   SH         DEFINED         24      3,152       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
STERLING BANCSHARES
   INC-TX               COMMON  858907108 $      7,422.00    650,467   SH         DEFINED          1    650,467       --         --
STERLING BANCSHARES
   INC-TX               COMMON  858907108 $        135.00     11,850   SH         DEFINED         15     11,850       --         --
STERLING BANCSHARES
   INC-TX               COMMON  858907108 $        123.00     10,742   SH         DEFINED         24     10,742       --         --
STERLING BANCSHARES
   INC-TX               COMMON  858907108 $         83.00      7,300   SH         DEFINED       5,15      7,300       --         --
STERLING BANCSHARES
   INC-TX               COMMON  858907108 $        142.00     12,437   SH         DEFINED          6         --       --     12,437
STERICYCLE INC          COMMON  858912108 $          9.00        163   SH         DEFINED         23        146       --         17
STERICYCLE INC          COMMON  858912108 $      4,070.00     71,200   SH         DEFINED         24     71,200       --         --
STERICYCLE INC          COMMON  858912108 $      7,534.00    131,800   SH         DEFINED          6     79,369       --     52,431
STERIS CORP             COMMON  859152100 $      8,141.00    297,880   SH         DEFINED          1    297,880       --         --
STERIS CORP             COMMON  859152100 $      9,852.00    360,500   SH         DEFINED         15    234,700       --    125,800
STERIS CORP             COMMON  859152100 $        327.00     11,979   SH         DEFINED         24     11,979       --         --
STERIS CORP             COMMON  859152100 $      1,744.00     63,800   SH         DEFINED       5,15     63,800       --         --
STERLING BANCORP NY     COMMON  859158107 $          7.00        478   SH         DEFINED         23        478       --         --
STERLING BANCORP NY     COMMON  859158107 $      6,975.00    498,234   SH         DEFINED         24    498,234       --         --
STEREOTAXIS INC         COMMON  85916J102 $            --          3   SH         DEFINED         23         --       --          3
STEREOTAXIS INC         COMMON  85916J102 $     14,162.00  1,027,000   SH         DEFINED          3  1,027,000       --         --
STERLING FINANCIAL
   CORP (PA)            COMMON  859317109 $         62.00      3,593   SH         DEFINED         24      3,593       --         --
STERLING FINL
   CORP/SPOKANE         COMMON  859319105 $      4,336.00    161,122   SH         DEFINED          1    161,122       --         --
STERLING FINL
   CORP/SPOKANE         COMMON  859319105 $        444.00     16,500   SH         DEFINED         15     16,500       --         --
STERLING FINL
   CORP/SPOKANE         COMMON  859319105 $         71.00      2,636   SH         DEFINED         24      2,636       --         --
STERLING FINL
   CORP/SPOKANE         COMMON  859319105 $        261.00      9,700   SH         DEFINED       5,15      9,700       --         --
STERLITE INDUSTRIES
   INDI-ADS             COMMON  859737207 $            --          7   SH         DEFINED         23         --       --          7
STEWART ENTERPRISES
   INC                  COMMON  860370105 $      4,876.00    639,900   SH         DEFINED         15    382,300       --    257,600
STEWART ENTERPRISES
   INC                  COMMON  860370105 $        939.00    123,249   SH         DEFINED         24    123,249       --         --
STEWART ENTERPRISES
   INC                  COMMON  860370105 $        611.00     80,200   SH         DEFINED       5,15     80,200       --         --
STEWART ENTERPRISES
   INC                  COMMON  860370105 $         22.00      2,825   SH         DEFINED          6      2,825       --         --
STEWART INFORMATION
   SVCS CORP            COMMON  860372101 $        229.00      6,684   SH         DEFINED         24      6,684       --         --
STILLWATER MINING
   COMPANY              COMMON  86074Q102 $         85.00      8,235   SH         DEFINED         24      8,235       --         --
STILLWATER MINING
   COMPANY              COMMON  86074Q102 $        103.00      9,995   SH         DEFINED          6         --       --      9,995
STMICROELECTRONICS
   NV                   COMMON  861012102 $     29,177.00  1,741,931   SH         DEFINED          1  1,741,931       --         --
STMICROELECTRONICS
   NV                   COMMON  861012102 $      2,498.00    149,121   SH         DEFINED       21,2    149,121       --         --
STMICROELECTRONICS
   NV                   COMMON  861012102 $        342.00     20,400   SH         DEFINED          6         --       --     20,400
STONE ENERGY CORP       COMMON  861642106 $     15,176.00    379,300   SH         DEFINED         15    289,800       --     89,500
STONE ENERGY CORP       COMMON  861642106 $        328.00      8,193   SH         DEFINED         24      8,193       --         --
STONE ENERGY CORP       COMMON  861642106 $      3,101.00     77,500   SH         DEFINED       5,15     77,500       --         --
STONERIDGE INC          COMMON  86183P102 $        300.00     29,400   SH         DEFINED         15     29,400       --         --
STONERIDGE INC          COMMON  86183P102 $        369.00     36,151   SH         DEFINED         24     36,151       --         --
STONERIDGE INC          COMMON  86183P102 $         67.00      6,600   SH         DEFINED       5,15      6,600       --         --
STONEMOR PARTNERS LP    COMMON  86183Q100 $        448.00     18,076   SH         DEFINED         24     18,076       --         --
STORA ENSO OYJ ADR      COMMON  86210M106 $     26,670.00  1,378,984   SH         DEFINED         12  1,372,706       --      6,278
STORA ENSO OYJ ADR      COMMON  86210M106 $        571.00     29,517   SH         DEFINED         15     29,517       --         --
STRATASYS INC           COMMON  862685104 $        758.00     27,501   SH         DEFINED         24     27,501       --         --
STRATEGIC HOTEL &
   RESORTS INC          COMMON  86272T106 $      2,689.00    130,600   SH         DEFINED         15    130,600       --         --
STRATEGIC HOTEL &
   RESORTS INC          COMMON  86272T106 $        225.00     10,907   SH         DEFINED         24     10,907       --         --
STRAYER ED INC          COMMON  863236105 $     13,675.00     81,094   SH         DEFINED          1     81,094       --         --
STRAYER ED INC          COMMON  863236105 $     10,284.00     60,983   SH         DEFINED          2     60,983       --         --
STRAYER ED INC          COMMON  863236105 $      5,023.00     29,785   SH         DEFINED         24     29,785       --         --
STRAYER ED INC          COMMON  863236105 $        400.00      2,375   SH         DEFINED          6         --       --      2,375
STREETTRACK GOLD
   TRUST ETF            COMMON  863307104 $      8,821.00    120,000   SH         DEFINED          1    120,000       --         --
STRYKER CORP            COMMON  863667101 $     14,240.00    207,100   SH         DEFINED          1    207,100       --         --
STRYKER CORP            COMMON  863667101 $        283.00      4,118   SH         DEFINED       1,15      4,118       --         --
STRYKER CORP            COMMON  863667101 $        633.00      9,200   SH         DEFINED         15      6,700       --      1,500
STRYKER CORP            COMMON  863667101 $        117.00      1,700   SH         DEFINED       15,8         --       --      1,700
STRYKER CORP            COMMON  863667101 $         41.00        600   SH         DEFINED         19        600       --         --
STRYKER CORP            COMMON  863667101 $         53.00        773   SH         DEFINED         23        104       --        669
STRYKER CORP            COMMON  863667101 $      1,875.00     27,270   SH         DEFINED         24     27,270       --         --
STRYKER CORP            COMMON  863667101 $     13,702.00    199,277   SH         DEFINED          6    175,470       --     23,807
STRYKER CORP            COMMON  863667101 $        330.00      4,800   SH         DEFINED          8      4,800       --         --
STRYKER CORP            COMMON  863667101 $        689.00     10,027   SH         DEFINED          9     10,027       --         --
STUDENT LOAN CORP       COMMON  863902102 $        303.00      1,679   SH         DEFINED         24      1,679       --         --
STUDENT LOAN CORP       COMMON  863902102 $          2.00         10   SH         DEFINED          6         --       --         10
STURM RUGER & CO INC    COMMON  864159108 $        859.00     47,970   SH         DEFINED          1     47,970       --         --
STURM RUGER & CO INC    COMMON  864159108 $      8,668.00    484,000   SH         DEFINED         15    320,800       --    163,200
STURM RUGER & CO INC    COMMON  864159108 $        755.00     42,171   SH         DEFINED         24     42,171       --         --
STURM RUGER & CO INC    COMMON  864159108 $      1,820.00    101,600   SH         DEFINED       5,15    101,600       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SUBURBAN PROPANE
   PARTNERS LP          COMMON  864482104 $         29.00        648   SH         DEFINED         23        555       --         93
SUBURBAN PROPANE
   PARTNERS LP          COMMON  864482104 $        215.00      4,833   SH         DEFINED         24      4,833       --         --
SUBURBAN PROPANE
   PARTNERS LP          COMMON  864482104 $      6,660.00    149,993   SH         DEFINED          6    132,106       --     17,887
SUEZ-ADR                COMMON  864686100 $          5.00         80   SH         DEFINED          4         80       --         --
SUFFOLK BANCORP         COMMON  864739107 $      1,760.00     54,900   SH         DEFINED         15     37,700       --     17,200
SUFFOLK BANCORP         COMMON  864739107 $         35.00      1,105   SH         DEFINED         24      1,105       --         --
SUFFOLK BANCORP         COMMON  864739107 $        391.00     12,200   SH         DEFINED       5,15     12,200       --         --
SUMTOTAL SYSTEMS INC    COMMON  866615107 $      2,044.00    349,381   SH         DEFINED         17         --       --    349,381
SUMTOTAL SYSTEMS INC    COMMON  866615107 $        333.00     56,840   SH         DEFINED         24     56,840       --         --
SUN BANCORP INC-NJ      COMMON  86663B102 $        509.00     29,070   SH         DEFINED         24     29,070       --         --
SUN COMMUNITIES INC
   REIT                 COMMON  866674104 $        364.00     12,100   SH         DEFINED         15     12,100       --         --
SUN COMMUNITIES INC
   REIT                 COMMON  866674104 $          9.00        304   SH         DEFINED         23         --       --        304
SUN COMMUNITIES INC
   REIT                 COMMON  866674104 $        151.00      5,014   SH         DEFINED         24      5,014       --         --
SUN COMMUNITIES INC
   REIT                 COMMON  866674104 $        111.00      3,680   SH         DEFINED          6         --       --      3,680
SUN LIFE FINANCIAL
   SVSC CAN             COMMON  866796105 $      1,129.00     21,500   SH         DEFINED         10     21,500       --         --
SUN LIFE FINANCIAL
   INC                  COMMON  866796105 $        535.00     10,200   SH         DEFINED      11,15     10,200       --         --
SUN LIFE FINANCIAL
   SVSC CAN             COMMON  866796105 $        502.00      9,571   SH         DEFINED       11,8      9,571       --         --
SUN LIFE FINANCIAL
   SVSC CAN             COMMON  866796105 $        295.00      5,621   SH         DEFINED         14      5,621       --         --
SUN LIFE FINANCIAL
   INC                  COMMON  866796105 $         50.00        949   SH         DEFINED         23        949       --         --
SUN LIFE FINANCIAL
   INC                  COMMON  866796105 $     13,198.00    251,635   SH         DEFINED         24    251,635       --         --
SUN LIFE FINANCIAL
   SVSC CAN             COMMON  866796105 $     80,666.00  1,536,513   SH         DEFINED          3  1,536,513       --         --
SUN LIFE FINANCIAL
   INC                  COMMON  866796105 $        278.00      5,299   SH         DEFINED          6      4,350       --        949
SUN LIFE FINANCIAL
   SVSC CAN             COMMON  866796105 $      2,817.00     53,667   SH         DEFINED          8     53,667       --         --
SUN LIFE FINANCIAL
   SVSC CAN             COMMON  866796105 $      6,253.00    119,099   SH         DEFINED          9    114,426   4,673          --
SUN LIFE FINANCIAL
   INC                  COMMON  866796105 $      2,025.00     38,600   SH         DEFINED       9,15     38,600       --         --
SUN MICROSYSTEMS INC    COMMON  866810104 $        345.00     61,415   SH         DEFINED       1,15     61,415       --         --
SUN MICROSYSTEMS INC    COMMON  866810104 $        481.00     85,500   SH         DEFINED         15     13,500       --     66,700
SUN MICROSYSTEMS INC    COMMON  866810104 $         44.00      7,800   SH         DEFINED         19      7,800       --         --
SUN MICROSYSTEMS INC    COMMON  866810104 $            --         64   SH         DEFINED         23         60       --          4
SUN MICROSYSTEMS INC    COMMON  866810104 $      3,909.00    695,503   SH         DEFINED         24    695,503       --         --
SUN MICROSYSTEMS INC    COMMON  866810104 $         21.00      3,720   SH         DEFINED          6         --       --      3,720
SUN MICROSYSTEMS INC    COMMON  866810104 $        298.00     53,078   SH         DEFINED          8     53,078       --         --
SUN-TIMES MEDIA
   GROUP INC            COMMON  86688Q100 $        155.00     68,432   SH         DEFINED         24     68,432       --         --
SUN HYDRAULICS CORP     COMMON  866942105 $            --          6   SH         DEFINED         23          6       --         --
SUNCOR ENERGY INC       COMMON  867229106 $    122,673.00  1,292,475   SH         DEFINED          1  1,292,475       --         --
SUNCOR ENERGY INC       COMMON  867229106 $         67.00        700   SH         DEFINED         14        700       --         --
SUNCOR ENERGY INC       COMMON  867229106 $      7,272.00     76,700   SH         DEFINED       14,2        700       --     76,000
SUNCOR ENERGY INC       COMMON  867229106 $     12,417.00    130,703   SH         DEFINED          2    130,703       --         --
SUNCOR ENERGY INC       COMMON  867229106 $      1,337.00     14,077   SH         DEFINED         22     14,077       --         --
SUNCOR ENERGY INC       COMMON  867229106 $         14.00        146   SH         DEFINED         23         11       --        135
SUNCOR ENERGY INC       COMMON  867229106 $         25.00        262   SH         DEFINED         24        262       --         --
SUNCOR ENERGY INC       COMMON  867229106 $     81,597.00    858,900   SH         DEFINED          3    858,900       --         --
SUNCOR ENERGY INC       COMMON  867229106 $     84,183.00    886,125   SH         DEFINED        3,1    886,125       --         --
SUNCOR ENERGY INC       COMMON  867229106 $        977.00     10,300   SH         DEFINED          4     10,300       --         --
SUNCOR ENERGY INC       COMMON  867229106 $        233.00      2,460   SH         DEFINED          6      2,460       --         --
SUNCOR ENERGY INC       COMMON  867229106 $        968.00     10,189   SH         DEFINED          8     10,189       --         --
SUNCOR ENERGY INC       COMMON  867229106 $      1,308.00     13,764   SH         DEFINED          9     13,764       --         --
SUNOCO LOGISTICS
   PARTNERS LP          COMMON  86764L108 $        261.00      5,100   SH         DEFINED          6      3,950       --      1,150
SUNOCO INC              COMMON  86764P109 $      8,848.00    125,000   SH         DEFINED          1    125,000       --         --
SUNOCO INC              COMMON  86764P109 $        148.00      2,098   SH         DEFINED       1,15      2,098       --         --
SUNOCO INC              COMMON  86764P109 $          2.00         25   SH         DEFINED         23         --       --         25
SUNOCO INC              COMMON  86764P109 $     14,642.00    206,870   SH         DEFINED         24    206,870       --         --
SUNOCO INC              COMMON  86764P109 $        276.00      3,906   SH         DEFINED          6      3,346       --        560
SUNOCO INC              COMMON  86764P109 $        145.00      2,055   SH         DEFINED          8      2,055       --         --
SUNOCO INC              COMMON  86764P109 $        893.00     12,613   SH         DEFINED          9     12,613       --         --
SUNPOWER CORP-CLASS
   A                    COMMON  867652109 $     38,396.00    463,605   SH         DEFINED         24    463,605       --         --
SUNPOWER CORP-CLASS
   A                    COMMON  867652109 $        155.00      1,875   SH         DEFINED          6         --       --      1,875
SUNRISE ASSISTED
   LIVING INC           COMMON  86768K106 $        160.00      4,536   SH         DEFINED         24      4,536       --         --
SUNRISE ASSISTED
   LIVING INC           COMMON  86768K106 $          5.00        140   SH         DEFINED          6        140       --         --
SUNOPTA INC             COMMON  8676EP108 $      1,296.00     89,434   SH         DEFINED         24     89,434       --         --
SUNOPTA INC             COMMON  8676EP108 $        193.00     13,290   SH         DEFINED          6        440       --     12,850
SUNOPTA BIOPROCESS
   INC PP SER        PREFERRED  8676EP1PP $        700.00     35,000   SH         DEFINED          3     35,000       --         --
SUNSTONE HOTEL
   INVESTORS INC        COMMON  867892101 $      1,113.00     43,424   SH         DEFINED         15     43,424       --         --
SUNSTONE HOTEL
   INVESTORS INC        COMMON  867892101 $        101.00      3,940   SH         DEFINED         24      3,940       --         --
SUNTRUST BANKS INC      COMMON  867914103 $     36,953.00    488,350   SH         DEFINED          1    488,350       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SUNTRUST BANKS INC      COMMON  867914103 $        458.00      6,059   SH         DEFINED       1,15      6,059       --         --
SUNTRUST BANKS INC      COMMON  867914103 $        265.00      3,500   SH         DEFINED         12      3,500       --         --
SUNTRUST BANKS INC      COMMON  867914103 $      1,208.00     15,958   SH         DEFINED         15     11,600       --      3,458
SUNTRUST BANKS INC      COMMON  867914103 $        492.00      6,500   SH         DEFINED       15,8         --       --      6,500
SUNTRUST BANKS INC      COMMON  867914103 $         21.00        273   SH         DEFINED         23        200       --         73
SUNTRUST BANKS INC      COMMON  867914103 $      2,773.00     36,643   SH         DEFINED         24     36,643       --         --
SUNTRUST BANKS INC      COMMON  867914103 $      1,002.00     13,239   SH         DEFINED          6     12,145       --      1,094
SUNTRUST BANKS INC      COMMON  867914103 $        501.00      6,620   SH         DEFINED          8      6,620       --         --
SUNTECH POWER
   HOLDINGS-ADR         COMMON  86800C104 $          3.00         67   SH         DEFINED         23         61       --          6
SUNTECH POWER
   HOLDINGS-ADR         COMMON  86800C104 $     61,898.00  1,551,330   SH         DEFINED         24  1,551,330       --         --
SUNTECH POWER
   HOLDINGS-ADR         COMMON  86800C104 $      1,894.00     47,478   SH         DEFINED          6     26,858       --     20,620
SUPERIOR ENERGY SVCS
   INC                  COMMON  868157108 $     11,186.00    315,621   SH         DEFINED         24    315,621       --         --
SUPERIOR ESSEX INC      COMMON  86815V105 $        171.00      4,578   SH         DEFINED         24      4,578       --         --
SUPERIOR INDS INTL
   INC                  COMMON  868168105 $      5,439.00    250,774   SH         DEFINED         24    250,774       --         --
SUPERIOR UNIFORM
   GROUP INC            COMMON  868358102 $          5.00        442   SH         DEFINED         24        442       --         --
SUPERTEL HOSPITALITY
   INC                  COMMON  868526104 $        397.00     52,673   SH         DEFINED         24     52,673       --         --
SUPERTEX INC            COMMON  868532102 $      4,562.00    114,397   SH         DEFINED          1    114,397       --         --
SUPERTEX INC            COMMON  868532102 $         18.00        451   SH         DEFINED         24        451       --         --
SUPERVALU INC           COMMON  868536103 $     25,235.00    646,897   SH         DEFINED          1    646,897       --         --
SUPERVALU INC           COMMON  868536103 $        142.00      3,646   SH         DEFINED       1,15      3,646       --         --
SUPERVALU INC           COMMON  868536103 $        749.00     19,211   SH         DEFINED         15     19,211       --         --
SUPERVALU INC           COMMON  868536103 $        121.00      3,110   SH         DEFINED       21,2      3,110       --         --
SUPERVALU INC           COMMON  868536103 $          7.00        182   SH         DEFINED         23         --       --        182
SUPERVALU INC           COMMON  868536103 $      2,590.00     66,395   SH         DEFINED         24     66,395       --         --
SUPERVALU INC           COMMON  868536103 $     19,433.00    498,160   SH         DEFINED          4    498,160       --         --
SUPERVALU INC           COMMON  868536103 $        214.00      5,479   SH         DEFINED          6      5,245       --        234
SUPERVALU INC           COMMON  868536103 $         54.00      1,389   SH         DEFINED          8      1,389       --         --
SUPPORTSOFT INC         COMMON  868587106 $        477.00     81,696   SH         DEFINED         24     81,696       --         --
SUREWEST
   COMMUNICATIONS       COMMON  868733106 $        490.00     19,584   SH         DEFINED         24     19,584       --         --
SURMODICS INC           COMMON  868873100 $        300.00      6,118   SH         DEFINED         24      6,118       --         --
SUSQUEHANNA
   BANCSHARES INC PA    COMMON  869099101 $            --          4   SH         DEFINED         23         --       --          4
SUSQUEHANNA
   BANCSHARES INC PA    COMMON  869099101 $      7,353.00    365,839   SH         DEFINED         24    365,839       --         --
SUSSER HOLDINGS CORP    COMMON  869233106 $          3.00        150   SH         DEFINED          6        150       --         --
SWIFT ENERGY CO         COMMON  870738101 $          8.00        200   SH         DEFINED         23         --       --        200
SWIFT ENERGY CO         COMMON  870738101 $      5,511.00    134,680   SH         DEFINED         24    134,680       --         --
SYBASE INC              COMMON  871130100 $     12,366.00    534,620   SH         DEFINED         15    362,020       --    170,200
SYBASE INC              COMMON  871130100 $      2,496.00    107,898   SH         DEFINED         24    107,898       --         --
SYBASE INC              COMMON  871130100 $      2,486.00    107,500   SH         DEFINED       5,15    107,500       --         --
SYBASE INC              COMMON  871130100 $         63.00      2,719   SH         DEFINED          6        212       --      2,507
SYCAMORE NETWORKS
   INC                  COMMON  871206108 $         68.00     16,800   SH         DEFINED         24     16,800       --         --
SYKES ENTERPRISES
   INC                  COMMON  871237103 $      6,291.00    378,750   SH         DEFINED         15    246,150       --    132,600
SYKES ENTERPRISES
   INC                  COMMON  871237103 $        340.00     20,496   SH         DEFINED         24     20,496       --         --
SYKES ENTERPRISES
   INC                  COMMON  871237103 $      1,161.00     69,900   SH         DEFINED       5,15     69,900       --         --
SYKES ENTERPRISES
   INC                  COMMON  871237103 $         96.00      5,775   SH         DEFINED          6         --       --      5,775
SYMANTEC CORP           COMMON  871503108 $    164,469.00  8,486,511   SH         DEFINED          1  8,486,511       --         --
SYMANTEC CORP           COMMON  871503108 $        302.00     15,569   SH         DEFINED       1,15     15,569       --         --
SYMANTEC CORP           COMMON  871503108 $            --         23   SH         DEFINED         15         23       --         --
SYMANTEC CORP           COMMON  871503108 $        677.00     34,951   SH         DEFINED          2     34,951       --         --
SYMANTEC CORP           COMMON  871503108 $            --         22   SH         DEFINED         23          3       --         19
SYMANTEC CORP           COMMON  871503108 $     16,188.00    835,290   SH         DEFINED         24    835,290       --         --
SYMANTEC CORP           COMMON  871503108 $          3.00        150   SH         DEFINED          4        150       --         --
SYMANTEC CORP           COMMON  871503108 $         18.00        952   SH         DEFINED          6        118       --        834
SYMMETRICOM INC         COMMON  871543104 $            --          6   SH         DEFINED         23         --       --          6
SYMMETRICOM INC         COMMON  871543104 $        270.00     57,421   SH         DEFINED         24     57,421       --         --
SYMMETRICOM INC         COMMON  871543104 $         47.00     10,005   SH         DEFINED          6        565       --      9,440
SYMMETRY MEDICAL INC    COMMON  871546206 $     14,188.00    849,586   SH         DEFINED          1    849,586       --         --
SYMMETRY MEDICAL INC    COMMON  871546206 $        100.00      6,000   SH         DEFINED         19      6,000       --         --
SYMMETRY MEDICAL INC    COMMON  871546206 $        727.00     43,549   SH         DEFINED          2     43,549       --         --
SYMMETRY MEDICAL INC    COMMON  871546206 $         19.00      1,131   SH         DEFINED       20,2         --       --      1,131
SYMMETRY MEDICAL INC    COMMON  871546206 $      1,134.00     67,921   SH         DEFINED       21,2         --       --     67,921
SYMMETRY MEDICAL INC    COMMON  871546206 $         53.00      3,152   SH         DEFINED         24      3,152       --         --
SYMMETRY MEDICAL INC    COMMON  871546206 $      6,764.00    405,000   SH         DEFINED          9    405,000       --         --
SYMMETRY MEDICAL INC    COMMON  871546206 $      1,020.00     61,100   SH         DEFINED       9,22     61,100       --         --
SYMS CORP               COMMON  871551107 $        339.00     22,566   SH         DEFINED         24     22,566       --         --
SYMYX TECHNOLOGIES      COMMON  87155S108 $      7,043.00    810,451   SH         DEFINED         24    810,451       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SYNALLOY CORP           COMMON  871565107 $        270.00     12,795   SH         DEFINED         24     12,795       --         --
SYNAPTICS INC           COMMON  87157D109 $      9,882.00    206,900   SH         DEFINED         15    139,300       --     67,600
SYNAPTICS INC           COMMON  87157D109 $        641.00     13,420   SH         DEFINED         24     13,420       --         --
SYNAPTICS INC           COMMON  87157D109 $      1,992.00     41,700   SH         DEFINED       5,15     41,700       --         --
SYNOPSYS INC            COMMON  871607107 $      2,477.00     91,488   SH         DEFINED         10     91,488       --         --
SYNOPSYS INC            COMMON  871607107 $        357.00     13,200   SH         DEFINED      11,15     13,200       --         --
SYNOPSYS INC            COMMON  871607107 $        951.00     35,107   SH         DEFINED       11,8     35,107       --         --
SYNOPSYS INC            COMMON  871607107 $        622.00     22,967   SH         DEFINED         14     22,967       --         --
SYNOPSYS INC            COMMON  871607107 $     31,514.00  1,163,720   SH         DEFINED         15    623,220       --    533,500
SYNOPSYS INC            COMMON  871607107 $      1,183.00     43,700   SH         DEFINED       15,8         --       --     43,700
SYNOPSYS INC            COMMON  871607107 $        654.00     24,149   SH         DEFINED         22     24,149       --         --
SYNOPSYS INC            COMMON  871607107 $        243.00      8,960   SH         DEFINED         24      8,960       --         --
SYNOPSYS INC            COMMON  871607107 $      3,744.00    138,268   SH         DEFINED          8    138,268       --         --
SYNOPSYS INC            COMMON  871607107 $      9,219.00    340,432   SH         DEFINED          9    340,432       --         --
SYNOPSYS INC            COMMON  871607107 $      2,283.00     84,300   SH         DEFINED       9,15     84,300       --         --
SYNGENTA AG- ADR        COMMON  87160A100 $     26,924.00    621,377   SH         DEFINED          4    621,377       --         --
SYNOVUS FINANCIAL
   CORP                 COMMON  87161C105 $        160.00      5,716   SH         DEFINED       1,15      5,716       --         --
SYNOVUS FINANCIAL
   CORP                 COMMON  87161C105 $      1,030.00     36,730   SH         DEFINED         24     36,730       --         --
SYNOVUS FINANCIAL
   CORP                 COMMON  87161C105 $      2,893.00    103,129   SH         DEFINED          6    103,129       --         --
SYNOVUS FINANCIAL
   CORP                 COMMON  87161C105 $        125.00      4,463   SH         DEFINED          8      4,463       --         --
SYNOVIS LIFE
   TECHNOLOGIES INC     COMMON  87162G105 $         43.00      2,000   SH         DEFINED         15      2,000       --         --
SYNOVIS LIFE
   TECHNOLOGIES INC     COMMON  87162G105 $        669.00     30,995   SH         DEFINED         24     30,995       --         --
SYNTEL INC              COMMON  87162H103 $     11,285.00    271,411   SH         DEFINED          1    271,411       --         --
SYNTEL INC              COMMON  87162H103 $      2,010.00     48,350   SH         DEFINED         15     28,150       --     20,200
SYNTEL INC              COMMON  87162H103 $      8,567.00    206,039   SH         DEFINED          2    206,039       --         --
SYNTEL INC              COMMON  87162H103 $        426.00     10,237   SH         DEFINED         24     10,237       --         --
SYNTEL INC              COMMON  87162H103 $        266.00      6,400   SH         DEFINED       5,15      6,400       --         --
SYNNEX CORP             COMMON  87162W100 $        755.00     36,700   SH         DEFINED         24     36,700       --         --
SYNIVERSE TECH          COMMON  87163F106 $      6,573.00    413,400   SH         DEFINED         15    303,900       --    109,500
SYNIVERSE TECH          COMMON  87163F106 $      1,776.00    111,729   SH         DEFINED         24    111,729       --         --
SYNIVERSE TECH          COMMON  87163F106 $      1,386.00     87,200   SH         DEFINED       5,15     87,200       --         --
SYNTAX-BRILLIAN CORP    COMMON  87163L103 $        369.00     90,672   SH         DEFINED         24     90,672       --         --
SYSCO CORP              COMMON  871829107 $     27,046.00    759,945   SH         DEFINED          1    759,945       --         --
SYSCO CORP              COMMON  871829107 $        376.00     10,578   SH         DEFINED       1,15     10,578       --         --
SYSCO CORP              COMMON  871829107 $         17.00        472   SH         DEFINED         23        138       --        334
SYSCO CORP              COMMON  871829107 $      5,406.00    151,886   SH         DEFINED         24    151,886       --         --
SYSCO CORP              COMMON  871829107 $      9,729.00    273,359   SH         DEFINED          6    229,418       --     43,941
SYSCO CORP              COMMON  871829107 $        404.00     11,341   SH         DEFINED          8     11,341       --         --
SYSCO CORP              COMMON  871829107 $        201.00      5,661   SH         DEFINED          9      5,661       --         --
SYSTEMAX INC            COMMON  871851101 $        549.00     26,879   SH         DEFINED         24     26,879       --         --
TCF FINANCIAL CORP      COMMON  872275102 $      8,418.00    321,531   SH         DEFINED         24    321,531       --         --
TCF FINANCIAL CORP      COMMON  872275102 $         92.00      3,525   SH         DEFINED          6      2,700       --        825
TCF FINANCIAL CORP      COMMON  872275102 $         59.00      2,246   SH         DEFINED          8      2,246       --         --
TC PIPELINES LP         COMMON  87233Q108 $          2.00         63   SH         DEFINED         23         63       --         --
TCW STRATEGIC INCOME
   FUND INC             COMMON  872340104 $          2.00        600   SH         DEFINED         23         --       --        600
TDK CORP ADR            COMMON  872351408 $      8,343.00     95,038   SH         DEFINED          4     95,038       --         --
TD AMERITRADE
   HOLDING CORP         COMMON  87236Y108 $            --          6   SH         DEFINED         23         --       --          6
TD AMERITRADE
   HOLDING CORP         COMMON  87236Y108 $      3,389.00    186,002   SH         DEFINED         24    186,002       --         --
TECO ENERGY INC         COMMON  872375100 $         60.00      3,645   SH         DEFINED       1,15      3,645       --         --
TECO ENERGY INC         COMMON  872375100 $      2,367.00    144,040   SH         DEFINED         15     67,840       --     70,500
TECO ENERGY INC         COMMON  872375100 $        159.00      9,700   SH         DEFINED       15,8         --       --      9,700
TECO ENERGY INC         COMMON  872375100 $      1,624.00     98,865   SH         DEFINED         24     98,865       --         --
TECO ENERGY INC         COMMON  872375100 $          6.00        343   SH         DEFINED          6         --       --        343
TECO ENERGY INC         COMMON  872375100 $        502.00     30,572   SH         DEFINED          9     30,572       --         --
TEPPCO PARTNERS LP      COMMON  872384102 $            --          3   SH         DEFINED         23         --       --          3
TEPPCO PARTNERS LP      COMMON  872384102 $         47.00      1,225   SH         DEFINED         24      1,225       --         --
TEPPCO PARTNERS LP      COMMON  872384102 $         95.00      2,500   SH         DEFINED          6      2,500       --         --
TESSCO TECHNOLOGIES
   INC                  COMMON  872386107 $        366.00     23,331   SH         DEFINED         24     23,331       --         --
THQ INC                 COMMON  872443403 $     48,185.00  1,928,957   SH         DEFINED          1  1,928,957       --         --
THQ INC                 COMMON  872443403 $         45.00      1,800   SH         DEFINED         15      1,800       --         --
THQ INC                 COMMON  872443403 $     10,707.00    428,635   SH         DEFINED          2    401,311       --     27,324
THQ INC                 COMMON  872443403 $        108.00      4,327   SH         DEFINED         24      4,327       --         --
TJX COMPANIES INC       COMMON  872540109 $     24,019.00    826,254   SH         DEFINED          1    826,254       --         --
TJX COMPANIES INC       COMMON  872540109 $        224.00      7,718   SH         DEFINED       1,15      7,718       --         --
TJX COMPANIES INC       COMMON  872540109 $         76.00      2,600   SH         DEFINED      11,15      2,600       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TJX COMPANIES INC       COMMON  872540109 $         37.00      1,261   SH         DEFINED         14      1,261       --         --
TJX COMPANIES INC       COMMON  872540109 $         37.00      1,261   SH         DEFINED       14,2      1,261       --         --
TJX COMPANIES INC       COMMON  872540109 $     25,193.00    866,620   SH         DEFINED         15    585,620       --    270,100
TJX COMPANIES INC       COMMON  872540109 $      1,471.00     50,600   SH         DEFINED       15,8         --       --     50,600
TJX COMPANIES INC       COMMON  872540109 $          8.00        270   SH         DEFINED         23        251       --         19
TJX COMPANIES INC       COMMON  872540109 $      2,320.00     79,797   SH         DEFINED         24     79,797       --         --
TJX COMPANIES INC       COMMON  872540109 $      5,658.00    194,645   SH         DEFINED          6    112,262       --     82,383
TJX COMPANIES INC       COMMON  872540109 $        435.00     14,957   SH         DEFINED          8     14,957       --         --
TJX COMPANIES INC       COMMON  872540109 $      1,261.00     43,372   SH         DEFINED          9     43,372       --         --
TJX COMPANIES INC       COMMON  872540109 $      1,096.00     37,700   SH         DEFINED       9,15     37,700       --         --
TNT NV-ADR              COMMON  87260W101 $     75,036.00  1,794,638   SH         DEFINED         12  1,787,148       --      7,490
TNT NV-ADR              COMMON  87260W101 $      1,587.00     37,957   SH         DEFINED         15     37,957       --         --
TNT NV-ADR              COMMON  87260W101 $         23.00        540   SH         DEFINED         23         --       --        540
TNT NV-ADR              COMMON  87260W101 $     22,316.00    533,739   SH         DEFINED          4    533,739       --         --
TNT NV-ADR              COMMON  87260W101 $         50.00      1,190   SH         DEFINED          6         --       --      1,190
TRW AUTOMOTIVE
   HOLDINGS CORP        COMMON  87264S106 $      2,250.00     71,024   SH         DEFINED         24     71,024       --         --
TNS INC                 COMMON  872960109 $         53.00      3,275   SH         DEFINED         24      3,275       --         --
TOUSA INC               COMMON  872962105 $         38.00     23,768   SH         DEFINED         24     23,768       --         --
T-3 ENERGY SERVICES
   INC                  COMMON  87306E107 $        569.00     13,352   SH         DEFINED         24     13,352       --         --
TXU CORPORATION         COMMON  873168108 $        548.00      8,005   SH         DEFINED       1,15      8,005       --         --
TXU CORPORATION         COMMON  873168108 $        397.00      5,800   SH         DEFINED      11,15      5,800       --         --
TXU CORPORATION         COMMON  873168108 $      7,139.00    104,260   SH         DEFINED         15     88,760       --     12,500
TXU CORPORATION         COMMON  873168108 $      1,999.00     29,200   SH         DEFINED       15,8         --       --     29,200
TXU CORPORATION         COMMON  873168108 $      2,075.00     30,302   SH         DEFINED         24     30,302       --         --
TXU CORPORATION         COMMON  873168108 $        238.00      3,474   SH         DEFINED          6      3,096       --        378
TXU CORPORATION         COMMON  873168108 $        520.00      7,600   SH         DEFINED          7      7,600       --         --
TXU CORPORATION         COMMON  873168108 $        550.00      8,030   SH         DEFINED          8      8,030       --         --
TXU CORPORATION         COMMON  873168108 $      1,199.00     17,518   SH         DEFINED          9     17,518       --         --
TXU CORPORATION         COMMON  873168108 $      1,862.00     27,200   SH         DEFINED       9,15     27,200       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $     20,282.00  2,004,187   SH         DEFINED          1  2,004,187       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $      1,672.00    165,262   SH         DEFINED       1,12    165,262       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $     23,462.00  2,318,416   SH         DEFINED         12  1,990,677       --    327,739
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $          6.00        629   SH         DEFINED      12,14        629       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $         26.00      2,532   SH         DEFINED         14      2,532       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $         26.00      2,532   SH         DEFINED       14,2      2,532       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $      2,792.00    275,927   SH         DEFINED         15    275,927       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $      2,197.00    217,089   SH         DEFINED          2    217,089       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $      1,614.00    159,522   SH         DEFINED       21,2    159,522       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $            --         36   SH         DEFINED         23         30       --          6
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $        156.00     15,400   SH         DEFINED         24     15,400       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $    257,460.00 25,440,702   SH         DEFINED          3 25,440,702       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $     13,424.00  1,326,483   SH         DEFINED          4  1,326,483       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $      6,483.00    640,584   SH         DEFINED       5,12    640,584       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $         51.00      5,009   SH         DEFINED          6         --       --      5,009
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $     14,068.00  1,390,164   SH         DEFINED          9  1,390,164       --         --
TAIWAN SEMICONDUCTOR
   ADR                  COMMON  874039100 $        975.00     96,344   SH         DEFINED       9,15     96,344       --         --
TAKE TWO INTERACTIVE
   SOFTWARE             COMMON  874054109 $        172.00     10,045   SH         DEFINED         24     10,045       --         --
TAL INTERNATIONAL
   GROUP INC            COMMON  874083108 $        134.00      5,345   SH         DEFINED         24      5,345       --         --
TALBOTS INC             COMMON  874161102 $        149.00      8,251   SH         DEFINED         24      8,251       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $     40,385.00  2,050,000   SH         DEFINED          1  2,050,000       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $      7,388.00    375,000   SH         DEFINED       14,2         --       --    375,000
TALISMAN ENERGY INC     COMMON  87425E103 $      5,347.00    272,242   SH         DEFINED          2    272,242       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $         16.00        836   SH         DEFINED         24        836       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $     62,055.00  3,159,300   SH         DEFINED          3  3,159,300       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $    114,077.00  5,807,842   SH         DEFINED        3,1  5,807,842       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $        828.00     42,054   SH         DEFINED          4     42,054       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $        386.00     19,665   SH         DEFINED          8     19,665       --         --
TALISMAN ENERGY INC     COMMON  87425E103 $        722.00     36,760   SH         DEFINED          9     36,760       --         --
TANGER FACTORY
   OUTLET CTRS INC      COMMON  875465106 $      1,737.00     42,800   SH         DEFINED         15     25,200       --     17,600
TANGER FACTORY
   OUTLET CTRS INC      COMMON  875465106 $        118.00      2,895   SH         DEFINED         24      2,895       --         --
TARGA RESOURCES
   PARTNERS LP          COMMON  87611X105 $         11.00        370   SH         DEFINED         23        366       --          4
TARGA RESOURCES
   PARTNERS LP          COMMON  87611X105 $      1,285.00     44,300   SH         DEFINED          6     41,050       --      3,250
TARGET CORPORATION      COMMON  87612E106 $    250,003.00  3,932,722   SH         DEFINED          1  3,932,722       --         --
TARGET CORPORATION      COMMON  87612E106 $        935.00     14,713   SH         DEFINED       1,15     14,713       --         --
TARGET CORPORATION      COMMON  87612E106 $      1,046.00     16,459   SH         DEFINED       14,2         --       --     16,459




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TARGET CORPORATION      COMMON  87612E106 $      4,543.00     71,467   SH         DEFINED         15     48,167       --     23,300
TARGET CORPORATION      COMMON  87612E106 $         44.00        695   SH         DEFINED         23        116       --        579
TARGET CORPORATION      COMMON  87612E106 $      4,867.00     76,564   SH         DEFINED         24     76,564       --         --
TARGET CORPORATION      COMMON  87612E106 $      7,330.00    115,300   SH         DEFINED          3    115,300       --         --
TARGET CORPORATION      COMMON  87612E106 $     12,918.00    203,203   SH         DEFINED          4    203,203       --         --
TARGET CORPORATION      COMMON  87612E106 $        413.00      6,500   SH         DEFINED       5,15      6,500       --         --
TARGET CORPORATION      COMMON  87612E106 $     13,473.00    211,932   SH         DEFINED          6    184,876       --     27,056
TARGET CORPORATION      COMMON  87612E106 $        969.00     15,239   SH         DEFINED          8     15,239       --         --
TARGET CORPORATION      COMMON  87612E106 $      1,399.00     22,008   SH         DEFINED          9     22,008       --         --
TARPON INDUSTRIES
   INC                  COMMON  876223108 $            --         10   SH         DEFINED         23         --       --         10
TARRAGON CORP           COMMON  876287103 $         13.00      4,819   SH         DEFINED         24      4,819       --         --
TASER INTERNATIONAL
   INC                  COMMON  87651B104 $      2,128.00    135,649   SH         DEFINED         24    135,649       --         --
TASER INTERNATIONAL
   INC                  COMMON  87651B104 $         63.00      4,000   SH         DEFINED          6      4,000       --         --
TATA MOTORS
   LTD-SPON ADR         COMMON  876568502 $         73.00      3,800   SH         DEFINED         24      3,800       --         --
TAUBMAN CENTERS INC
   REIT                 COMMON  876664103 $      4,164.00     76,050   SH         DEFINED         15     71,850       --      4,200
TAUBMAN CENTERS INC
   REIT                 COMMON  876664103 $        198.00      3,625   SH         DEFINED         24      3,625       --         --
TAUBMAN CENTERS INC
   REIT                 COMMON  876664103 $        865.00     15,800   SH         DEFINED       5,15     15,800       --         --
TAYLOR CAPITAL GROUP
   INC                  COMMON  876851106 $        621.00     22,232   SH         DEFINED         15     16,232       --      6,000
TAYLOR CAPITAL GROUP
   INC                  COMMON  876851106 $        154.00      5,500   SH         DEFINED       5,15      5,500       --         --
TEAM INC                COMMON  878155100 $        137.00      5,000   SH         DEFINED          6         --       --      5,000
TEAM FINANCIAL INC      COMMON  87815X109 $          4.00        242   SH         DEFINED         24        242       --         --
TECH DATA CORP          COMMON  878237106 $     13,351.00    332,772   SH         DEFINED          1    332,772       --         --
TECH DATA CORP          COMMON  878237106 $     10,267.00    255,903   SH         DEFINED          2    255,903       --         --
TECH DATA CORP          COMMON  878237106 $      1,207.00     30,092   SH         DEFINED         24     30,092       --         --
TECHNE CORP             COMMON  878377100 $     45,789.00    725,883   SH         DEFINED          1    725,883       --         --
TECHNE CORP             COMMON  878377100 $     12,800.00    202,920   SH         DEFINED         15    122,620       --     79,400
TECHNE CORP             COMMON  878377100 $      7,356.00    116,609   SH         DEFINED         24    116,609       --         --
TECHNE CORP             COMMON  878377100 $     27,019.00    428,328   SH         DEFINED          4    428,328       --         --
TECHNE CORP             COMMON  878377100 $      1,135.00     18,000   SH         DEFINED       5,15     18,000       --         --
TECHNITROL INC          COMMON  878555101 $      2,353.00     87,300   SH         DEFINED         15     53,400       --     33,900
TECHNITROL INC          COMMON  878555101 $         95.00      3,533   SH         DEFINED         24      3,533       --         --
TECHNITROL INC          COMMON  878555101 $        294.00     10,900   SH         DEFINED       5,15     10,900       --         --
TECHNOLOGY INVSTMT
   CAP CORP             COMMON  878717305 $      1,509.00    112,887   SH         DEFINED         24    112,887       --         --
TECHNOLOGY
   SOLUTIONS CO         COMMON  87872T207 $            --         11   SH         DEFINED         23         --       --         11
TECK COMINCO LTD
   CL B                 COMMON  878742204 $      8,311.00    175,000   SH         DEFINED          1    175,000       --         --
TECK COMINCO LTD
   CL B                 COMMON  878742204 $      2,029.00     42,720   SH         DEFINED          2     42,720       --         --
TECK COMINCO LTD
   CL B                 COMMON  878742204 $        210.00      4,420   SH         DEFINED         24      4,420       --         --
TECK COMINCO LTD
   CL B                 COMMON  878742204 $     23,418.00    493,100   SH         DEFINED          3    493,100       --         --
TECK COMINCO LTD
   CL B                 COMMON  878742204 $     39,317.00    827,881   SH         DEFINED        3,1    827,881       --         --
TECK COMINCO LTD-
   CL B                 COMMON  878742204 $        373.00      7,822   SH         DEFINED          6      3,642       --      4,180
TECK COMINCO LTD
   CL B                 COMMON  878742204 $        475.00      9,994   SH         DEFINED          8      9,994       --         --
TECK COMINCO LTD
   CL B                 COMMON  878742204 $      1,447.00     30,469   SH         DEFINED          9     16,529   13,940         --
TECHWELL INC            COMMON  87874D101 $         57.00      5,400   SH         DEFINED         15      5,400       --         --
TECUMSEH PRODUCTS
   CO-CL B              COMMON  878895101 $         52.00      3,042   SH         DEFINED         24      3,042       --         --
TECUMSEH PRODUCTS CO    COMMON  878895200 $        672.00     34,905   SH         DEFINED         24     34,905       --         --
TEJON RANCH CO          COMMON  879080109 $            --          3   SH         DEFINED         23         --       --          3
TEJON RANCH CO          COMMON  879080109 $         13.00        322   SH         DEFINED         24        322       --         --
TEKELEC                 COMMON  879101103 $     23,982.00  1,982,000   SH         DEFINED        1,3  1,982,000       --         --
TEKELEC                 COMMON  879101103 $        860.00     71,100   SH         DEFINED       20,3     71,100       --         --
TEKELEC                 COMMON  879101103 $        700.00     57,814   SH         DEFINED         24     57,814       --         --
TEKELEC                 COMMON  879101103 $     15,730.00  1,300,000   SH         DEFINED          3  1,300,000       --         --
TEKTRONIX INC           COMMON  879131100 $         37.00      1,328   SH         DEFINED       1,15      1,328       --         --
TEKTRONIX INC           COMMON  879131100 $          6.00        200   SH         DEFINED         15        200       --         --
TEKTRONIX INC           COMMON  879131100 $      1,056.00     38,067   SH         DEFINED         24     38,067       --         --
TEKTRONIX INC           COMMON  879131100 $         66.00      2,377   SH         DEFINED          6         --       --      2,377
TELE NORTE LESTE
   PART SA ADR          COMMON  879246106 $         47.00      2,100   SH         DEFINED         24      2,100       --         --
TELE NORTE LESTE
   PART SA ADR          COMMON  879246106 $      1,273.00     56,700   SH         DEFINED          9     56,700       --         --
TELE NORTE LESTE
   PART SA ADR          COMMON  879246106 $        665.00     29,629   SH         DEFINED       9,15     29,629       --         --
TELE NORTE LESTE
   PART SA ADR          COMMON  879246106 $      2,102.00     93,600   SH         DEFINED       9,22     93,600       --         --
TELECOMM ARGENTINA
   SA SP ADR            COMMON  879273209 $        246.00     10,000   SH         DEFINED         15         --       --         --
TELECOMM ARGENTINA
   SA SP ADR            COMMON  879273209 $         12.00        500   SH         DEFINED         24        500       --         --
TELECOMUNICACOES DE
   SAO PAULO            COMMON  87929A102 $         62.00      1,900   SH         DEFINED         24      1,900       --         --
TELEDYNE
   TECHNOLOGIES INC     COMMON  879360105 $      3,692.00     69,158   SH         DEFINED         24     69,158       --         --
TELEFLEX INC            COMMON  879369106 $         12.00        160   SH         DEFINED         23         --       --        160
TELEFLEX INC            COMMON  879369106 $      2,153.00     27,627   SH         DEFINED         24     27,627       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TELEFLEX INC            COMMON  879369106 $        407.00      5,221   SH         DEFINED          6      4,759       --        462
TELEFONICA SA ADR       COMMON  879382208 $         65.00        773   SH         DEFINED         23         --       --        773
TELEFONICA SA ADR       COMMON  879382208 $         57.00        680   SH         DEFINED          6         --       --        680
TELEFONOS DE MEXICO
   SAB ADR              COMMON  879403780 $     11,958.00    363,804   SH         DEFINED          4    363,804       --         --
TELEFONOS DE MEXICO
   SAB ADR              COMMON  879403780 $          5.00        140   SH         DEFINED          6        140       --         --
TELEFONOS DE MEXICO
   SAB ADR              COMMON  879403780 $     13,092.00    398,300   SH         DEFINED          9    398,300       --         --
TELEFONOS DE MEXICO
   SAB ADR              COMMON  879403780 $        411.00     12,500   SH         DEFINED       9,15     12,500       --         --
TELEFONOS DE MEXICO
   SAB ADR              COMMON  879403780 $        986.00     30,000   SH         DEFINED       9,22     30,000       --         --
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $      7,090.00    106,220   SH         DEFINED          1    106,220       --         --
TELEPHONE & DATA SYS
INC                     COMMON  879433100 $        794.00     11,900   SH         DEFINED      11,15     11,900       --         --
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $     49,338.00    739,140   SH         DEFINED         15    478,540       --    249,000
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $        387.00      5,800   SH         DEFINED      15,14         --       --      5,800
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $      3,605.00     54,000   SH         DEFINED       15,8         --       --     54,000
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $        284.00      4,248   SH         DEFINED       21,2      4,248       --         --
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $     11,242.00    168,424   SH         DEFINED         24    168,424       --         --
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $        714.00     10,700   SH         DEFINED       5,15     10,700       --         --
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $        566.00      8,481   SH         DEFINED          8      8,481       --         --
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $        838.00     12,556   SH         DEFINED          9     12,556       --         --
TELEPHONE & DATA SYS
   INC                  COMMON  879433100 $      3,978.00     59,600   SH         DEFINED       9,15     59,600       --         --
TELEPHONE & DATA -
   SPECIAL SHS          COMMON  879433860 $        388.00      6,251   SH         DEFINED         24      6,251       --         --
TELESTONE TECH-
   NOLOGIES CORP        COMMON  87953J102 $        439.00     72,046   SH         DEFINED         24     72,046       --         --
TELKOM SOUTH AFRICA
   ADR                  COMMON  879603108 $     11,111.00    109,527   SH         DEFINED          4    109,527       --         --
TELLABS INC             COMMON  879664100 $         72.00      7,564   SH         DEFINED       1,15      7,564       --         --
TELLABS INC             COMMON  879664100 $            --          5   SH         DEFINED         23         --       --          5
TELLABS INC             COMMON  879664100 $      2,077.00    218,171   SH         DEFINED         24    218,171       --         --
TELLABS INC             COMMON  879664100 $         25.00      2,574   SH         DEFINED          6      1,960       --        614
TELUS CORPORATION
   -NON VOTE            COMMON  87971M202 $        191.00      3,400   SH         DEFINED      11,15      3,400       --         --
TELUS CORP- NON VTG     COMMON  87971M202 $          9.00        158   SH         DEFINED         24        158       --         --
TELUS CORP- NON VTG     COMMON  87971M202 $    170,168.00  3,021,400   SH         DEFINED          3  3,021,400       --         --
TELUS CORP- NON VTG     COMMON  87971M202 $        310.00      5,507   SH         DEFINED          8      5,507       --         --
TELUS CORP- NON VTG     COMMON  87971M202 $        964.00     17,112   SH         DEFINED          9     13,419   3,693          --
TELUS CORPORATION
   -NON VOTE            COMMON  87971M202 $        416.00      7,400   SH         DEFINED       9,15      7,400       --         --
TEMPLE-INLAND INC       COMMON  879868107 $         96.00      1,828   SH         DEFINED       1,15      1,828       --         --
TEMPLE-INLAND INC       COMMON  879868107 $      1,080.00     20,526   SH         DEFINED         24     20,526       --         --
TEMPLE-INLAND INC       COMMON  879868107 $         89.00      1,700   SH         DEFINED          6      1,500       --        200
TELETECH HOLDINGS
   INC                  COMMON  879939106 $        602.00     25,194   SH         DEFINED         24     25,194       --         --
TEMPLETON DRAGON
   FUND INC CF          COMMON  88018T101 $            --          5   SH         DEFINED         23         --       --          5
TEMPLETON EMERGING
   MKTS CF              COMMON  880191101 $            --          6   SH         DEFINED         23         --       --          6
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $     11,488.00    321,329   SH         DEFINED          1    321,329       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $      2,031.00     56,800   SH         DEFINED       1,15     56,800       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $     40,086.00  1,121,300   SH         DEFINED        1,3  1,121,300       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $     71,332.00  1,995,288   SH         DEFINED         15  1,278,788       --    704,600
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $      4,201.00    117,500   SH         DEFINED       15,8         --       --    117,500
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $      8,301.00    232,183   SH         DEFINED          2    232,183       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $        919.00     25,700   SH         DEFINED       20,3     25,700       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $      2,831.00     79,200   SH         DEFINED         24     79,200       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $    221,160.00  6,186,300   SH         DEFINED          3  6,186,300       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $      1,948.00     54,500   SH         DEFINED       5,15     54,500       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $        270.00      7,552   SH         DEFINED          8      7,552       --         --
TEMPUR-PEDIC
   INTERNATIONAL        COMMON  88023U101 $        949.00     26,546   SH         DEFINED          9     26,546       --         --
TENARIS SA-ADR          COMMON  88031M109 $     70,663.00  1,342,883   SH         DEFINED          1  1,342,883       --         --
TENARIS SA-ADR          COMMON  88031M109 $      1,316.00     25,000   SH         DEFINED         15         --       --         --
TENARIS SA-ADR          COMMON  88031M109 $        254.00      4,836   SH         DEFINED          2      4,836       --         --
TENARIS SA-ADR          COMMON  88031M109 $         21.00        390   SH         DEFINED         23         --       --        390
TENARIS SA-ADR          COMMON  88031M109 $          1.00         20   SH         DEFINED          4         20       --         --
TENARIS SA-ADR          COMMON  88031M109 $      7,893.00    150,000   SH         DEFINED          9    150,000       --         --
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $     12,501.00  3,720,669   SH         DEFINED          1  3,720,669       --         --
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $         28.00      8,274   SH         DEFINED       1,15      8,274       --         --
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $         77.00     23,000   SH         DEFINED         19     23,000       --         --
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $      1,046.00    311,450   SH         DEFINED          2    311,450       --         --
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $         25.00      7,564   SH         DEFINED       20,2         --       --      7,564
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $      1,651.00    491,440   SH         DEFINED       21,2         --       --    491,440
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $        583.00    173,590   SH         DEFINED         24    173,590       --         --
TENET HEALTHCARE
   CORPORATION          COMMON  88033G100 $          2.00        694   SH         DEFINED          6         --       --        694
TENNANT COMPANY         COMMON  880345103 $        136.00      2,800   SH         DEFINED         15      2,800       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TENNANT COMPANY         COMMON  880345103 $        711.00     14,609   SH         DEFINED         24     14,609       --         --
TENNECO INC             COMMON  880349105 $     14,407.00    464,601   SH         DEFINED          1    464,601       --         --
TENNECO INC             COMMON  880349105 $     11,515.00    371,335   SH         DEFINED          2    371,335       --         --
TENNECO INC             COMMON  880349105 $          1.00         41   SH         DEFINED         23         21       --         20
TENNECO INC             COMMON  880349105 $      2,066.00     66,610   SH         DEFINED         24     66,610       --         --
TENNECO INC             COMMON  880349105 $        323.00     10,420   SH         DEFINED          6         --       --     10,420
TERADYNE INC            COMMON  880770102 $         45.00      3,278   SH         DEFINED       1,15      3,278       --         --
TERADYNE INC            COMMON  880770102 $        780.00     56,505   SH         DEFINED         10     56,505       --         --
TERADYNE INC            COMMON  880770102 $         75.00      5,400   SH         DEFINED      11,15      5,400       --         --
TERADYNE INC            COMMON  880770102 $        306.00     22,166   SH         DEFINED       11,8     22,166       --         --
TERADYNE INC            COMMON  880770102 $        178.00     12,919   SH         DEFINED         14     12,919       --         --
TERADYNE INC            COMMON  880770102 $     40,667.00  2,946,860   SH         DEFINED         15  1,446,360       --  1,486,500
TERADYNE INC            COMMON  880770102 $      1,181.00     85,600   SH         DEFINED       15,8         --       --     85,600
TERADYNE INC            COMMON  880770102 $        428.00     31,040   SH         DEFINED         21     31,040       --         --
TERADYNE INC            COMMON  880770102 $      4,783.00    346,569   SH         DEFINED         24    346,569       --         --
TERADYNE INC            COMMON  880770102 $      1,368.00     99,150   SH         DEFINED          8     99,150       --         --
TERADYNE INC            COMMON  880770102 $      4,266.00    309,150   SH         DEFINED          9    309,150       --         --
TEREX CORP              COMMON  880779103 $     64,777.00    727,665   SH         DEFINED          1    727,665       --         --
TEREX CORP              COMMON  880779103 $      4,516.00     50,731   SH         DEFINED       1,15     50,731       --         --
TEREX CORP              COMMON  880779103 $     13,804.00    155,069   SH         DEFINED         15    127,719       --     24,650
TEREX CORP              COMMON  880779103 $        240.00      2,700   SH         DEFINED      15,14         --       --      2,700
TEREX CORP              COMMON  880779103 $        240.00      2,700   SH         DEFINED       15,8         --       --      2,700
TEREX CORP              COMMON  880779103 $      5,802.00     65,178   SH         DEFINED          2     65,178       --         --
TEREX CORP              COMMON  880779103 $        483.00      5,430   SH         DEFINED         21      5,430       --         --
TEREX CORP              COMMON  880779103 $     13,307.00    149,484   SH         DEFINED         24    149,484       --         --
TEREX CORP              COMMON  880779103 $        329.00      3,700   SH         DEFINED       5,15      3,700       --         --
TEREX CORP              COMMON  880779103 $        709.00      7,959   SH         DEFINED          8      7,959       --         --
TEREX CORP              COMMON  880779103 $        242.00      2,715   SH         DEFINED          9      2,715       --         --
TEREX CORP              COMMON  880779103 $        303.00      3,399   SH         DEFINED        9,2      3,399       --         --
TERCICA INC             COMMON  88078L105 $     14,227.00  2,294,674   SH         DEFINED        1,3  2,294,674       --         --
TERCICA INC             COMMON  88078L105 $        513.00     82,700   SH         DEFINED       20,3     82,700       --         --
TERCICA INC             COMMON  88078L105 $     10,449.00  1,685,359   SH         DEFINED          3  1,685,359       --         --
TERRA INDS INC          COMMON  880915103 $     15,299.00    489,400   SH         DEFINED         15    340,600       --    148,800
TERRA INDS INC          COMMON  880915103 $      1,494.00     47,779   SH         DEFINED         24     47,779       --         --
TERRA INDS INC          COMMON  880915103 $      3,567.00    114,100   SH         DEFINED       5,15    114,100       --         --
TERREMARK WORDWIDE      COMMON  881448203 $      9,468.00  1,320,505   SH         DEFINED          9  1,320,505       --         --
TERREMARK WORDWIDE      COMMON  881448203 $      1,703.00    237,552   SH         DEFINED       9,22    237,552       --         --
TESORO CORP             COMMON  881609101 $     10,769.00    234,000   SH         DEFINED          1    234,000       --         --
TESORO CORP             COMMON  881609101 $      6,166.00    133,975   SH         DEFINED       1,15    133,975       --         --
TESORO CORP             COMMON  881609101 $        893.00     19,414   SH         DEFINED         10     19,414       --         --
TESORO CORP             COMMON  881609101 $        630.00     13,686   SH         DEFINED       11,8     13,686       --         --
TESORO CORP             COMMON  881609101 $        283.00      6,154   SH         DEFINED         14      6,154       --         --
TESORO CORP             COMMON  881609101 $      3,279.00     71,243   SH         DEFINED         15     70,893       --        350
TESORO CORP             COMMON  881609101 $        603.00     13,107   SH         DEFINED         22     13,107       --         --
TESORO CORP             COMMON  881609101 $     12,288.00    267,005   SH         DEFINED         24    267,005       --         --
TESORO CORP             COMMON  881609101 $      2,078.00     45,149   SH         DEFINED          8     45,149       --         --
TESORO CORP             COMMON  881609101 $      5,178.00    112,526   SH         DEFINED          9    112,526       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $    278,250.00  6,257,030   SH         DEFINED          1  6,257,030       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $      1,214.00     27,300   SH         DEFINED       1,12     27,300       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $     19,052.00    428,418   SH         DEFINED         12    428,418       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $         94.00      2,120   SH         DEFINED         14      2,120       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $         94.00      2,120   SH         DEFINED       14,2      2,120       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $      2,205.00     49,590   SH         DEFINED         15     49,590       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $     16,444.00    369,787   SH         DEFINED          2    369,787       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $         14.00        309   SH         DEFINED         23         51       --        258
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $     11,459.00    257,683   SH         DEFINED         24    257,683       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $      2,810.00     63,190   SH         DEFINED        3,1     63,190       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $     19,470.00    437,820   SH         DEFINED          4    437,820       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $      5,012.00    112,700   SH         DEFINED       5,12    112,700       --         --
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $      2,348.00     52,805   SH         DEFINED          6     22,995       --     29,810
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $      1,156.00     26,000   SH         DEFINED          9      2,500       --     23,500
TEVA PHARMACEUTICAL
   INDS LTD A           COMMON  881624209 $        734.00     16,500   SH         DEFINED       9,15     16,500       --         --
TEVA PHARMACEUTICAL
INDS LTD A              COMMON  881624209 $      1,685.00     37,900   SH         DEFINED       9,22     37,900       --         --
TETRA TECHNOLOGIES
   INC DEL              COMMON  88162F105 $         74.00      3,499   SH         DEFINED         24      3,499       --         --
TETRA TECH INC          COMMON  88162G103 $     15,369.00    727,694   SH         DEFINED          1    727,694       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TETRA TECH INC          COMMON  88162G103 $      8,336.00    394,700   SH         DEFINED         15    281,100       --    113,600
TETRA TECH INC          COMMON  88162G103 $     12,290.00    581,895   SH         DEFINED          2    581,895       --         --
TETRA TECH INC          COMMON  88162G103 $     82,860.00  3,923,313   SH         DEFINED         24  3,923,313       --         --
TETRA TECH INC          COMMON  88162G103 $      1,797.00     85,100   SH         DEFINED       5,15     85,100       --         --
TETRA TECH INC          COMMON  88162G103 $         12.00        550   SH         DEFINED          6        550       --         --
TESSERA TECHNOLOGIES
   INC                  COMMON  88164L100 $     17,011.00    453,622   SH         DEFINED          1    453,622       --         --
TESSERA TECHNOLOGIES
   INC                  COMMON  88164L100 $     12,011.00    320,292   SH         DEFINED          2    320,292       --         --
TESSERA TECHNOLOGIES
   INC                  COMMON  88164L100 $         29.00        760   SH         DEFINED         24        760       --         --
TESSERA TECHNOLOGIES
   INC                  COMMON  88164L100 $         15.00        405   SH         DEFINED          6        405       --         --
TEVA PHARMACEUT
   CVT(TEVA) 0.5       CONVERT  88164RAA5 $     35,507.00 29,375,000   SH         DEFINED         15         --       -- 24,875,000
TEXAS CAPITAL
   BANCSHARES INC       COMMON  88224Q107 $      7,747.00    356,364   SH         DEFINED          1    356,364       --         --
TEXAS CAPITAL
   BANCSHARES INC       COMMON  88224Q107 $      6,486.00    298,366   SH         DEFINED          2    298,366       --         --
TEXAS CAPITAL
   BANCSHARES INC       COMMON  88224Q107 $         39.00      1,816   SH         DEFINED         24      1,816       --         --
TEXAS INDUSTRIES INC    COMMON  882491103 $     20,894.00    266,170   SH         DEFINED          1    266,170       --         --
TEXAS INDUSTRIES INC    COMMON  882491103 $     10,414.00    132,658   SH         DEFINED          2    132,658       --         --
TEXAS INDUSTRIES INC    COMMON  882491103 $        237.00      3,020   SH         DEFINED         24      3,020       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $    262,557.00  7,175,643   SH         DEFINED          1  7,175,643       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $        906.00     24,774   SH         DEFINED       1,15     24,774       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $      1,917.00     52,400   SH         DEFINED         15     20,600       --     28,900
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $        783.00     21,400   SH         DEFINED       15,8         --       --     21,400
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $      1,851.00     50,600   SH         DEFINED         19     50,600       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $     16,139.00    441,083   SH         DEFINED          2    441,083       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $      3,263.00     89,179   SH         DEFINED       21,2     89,179       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $         11.00        301   SH         DEFINED         23         54       --        247
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $     53,837.00  1,471,347   SH         DEFINED         24  1,471,347       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $     10,551.00    288,349   SH         DEFINED          3    288,349       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $      5,425.00    148,266   SH         DEFINED        3,1    148,266       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $      1,675.00     45,774   SH         DEFINED          6     37,080       --      8,694
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $      1,403.00     38,347   SH         DEFINED          8     38,347       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $     12,850.00    351,200   SH         DEFINED          9    351,200       --         --
TEXAS INSTRUMENTS
   INC                  COMMON  882508104 $      3,169.00     86,605   SH         DEFINED        9,2     86,605       --         --
TEXAS ROADHOUSE
   INC-CLASS A          COMMON  882681109 $         47.00      3,988   SH         DEFINED         24      3,988       --         --
THAI FUND INC CEF       COMMON  882904105 $        591.00     41,794   SH         DEFINED         24     41,794       --         --
TEXTRON INC             COMMON  883203101 $        270.00      4,334   SH         DEFINED       1,15      4,334       --         --
TEXTRON INC             COMMON  883203101 $         17.00        279   SH         DEFINED         23        190       --         89
TEXTRON INC             COMMON  883203101 $      3,067.00     49,308   SH         DEFINED         24     49,308       --         --
TEXTRON INC             COMMON  883203101 $     12,984.00    208,706   SH         DEFINED          6    151,241       --     57,465
TEXTRON INC             COMMON  883203101 $        323.00      5,190   SH         DEFINED          8      5,190       --         --
THERAGENICS CORP        COMMON  883375107 $        480.00    106,985   SH         DEFINED         24    106,985       --         --
THE9 LTD-ADR            COMMON  88337K104 $      4,293.00    124,459   SH         DEFINED         24    124,459       --         --
THERAVANCE INC          COMMON  88338T104 $      3,446.00    132,082   SH         DEFINED          1    132,082       --         --
THERAVANCE INC          COMMON  88338T104 $         47.00      1,800   SH         DEFINED         19      1,800       --         --
THERAVANCE INC          COMMON  88338T104 $        285.00     10,917   SH         DEFINED          2     10,917       --         --
THERAVANCE INC          COMMON  88338T104 $          7.00        281   SH         DEFINED       20,2         --       --        281
THERAVANCE INC          COMMON  88338T104 $        444.00     17,027   SH         DEFINED       21,2         --       --     17,027
THERAVANCE INC          COMMON  88338T104 $      5,262.00    201,678   SH         DEFINED         24    201,678       --         --
THERAVANCE INC          COMMON  88338T104 $         26.00        980   SH         DEFINED          6         --       --        980
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $     32,302.00    559,629   SH         DEFINED          1    559,629       --         --
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $        427.00      7,405   SH         DEFINED       1,15      7,405       --         --
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $        289.00      5,000   SH         DEFINED         19      5,000       --         --
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $      2,304.00     39,924   SH         DEFINED          2     39,924       --         --
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $         57.00        980   SH         DEFINED       20,2         --       --        980
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $      3,594.00     62,267   SH         DEFINED       21,2         --       --     62,267
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $        608.00     10,530   SH         DEFINED         24     10,530       --         --
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $      8,975.00    155,500   SH         DEFINED          3    155,500       --         --
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $        971.00     16,825   SH         DEFINED          6        396       --     16,429
THERMO FISHER
   SCIENTIFIC INC       COMMON  883556102 $        451.00      7,820   SH         DEFINED          8      7,820       --         --
THINK PARTNERSHIP
   INC                  COMMON  88409N101 $        227.00    149,229   SH         DEFINED         24    149,229       --         --
THOMAS & BETTS CORP     COMMON  884315102 $     22,371.00    381,505   SH         DEFINED          1    381,505       --         --
THOMAS & BETTS CORP     COMMON  884315102 $      3,055.00     52,100   SH         DEFINED         15     23,400       --     28,700
THOMAS & BETTS CORP     COMMON  884315102 $     10,644.00    181,519   SH         DEFINED          2    181,519       --         --
THOMAS & BETTS CORP     COMMON  884315102 $      2,677.00     45,646   SH         DEFINED         24     45,646       --         --
THOMAS & BETTS CORP     COMMON  884315102 $          6.00        103   SH         DEFINED          6         --       --        103
THOMAS PROPERTIES
   GROUP                COMMON  884453101 $         55.00      4,600   SH         DEFINED         15      4,600       --         --
THOMAS PROPERTIES
   GROUP                COMMON  884453101 $         32.00      2,700   SH         DEFINED       5,15      2,700       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
THOMAS WEISEL
   PARTNERS GROUP       COMMON  884481102 $      5,447.00    375,400   SH         DEFINED          1    375,400       --         --
THOMSON CORP            COMMON  884903105 $        214.00      5,100   SH         DEFINED      11,15      5,100       --         --
THOMSON CORP            COMMON  884903105 $     11,040.00    263,286   SH         DEFINED         24    263,286       --         --
THOMSON CORP            COMMON  884903105 $    178,824.00  4,268,000   SH         DEFINED          3  4,268,000       --         --
THOMSON CORP            COMMON  884903105 $        220.00      5,243   SH         DEFINED          8      5,243       --         --
THOMSON CORP            COMMON  884903105 $        595.00     14,200   SH         DEFINED       9,15     14,200       --         --
THOMSON MULTIMEDIA
   ADR                  COMMON  885118109 $     60,820.00  3,990,793   SH         DEFINED         12  3,990,793       --         --
THOMSON MULTIMEDIA
   ADR                  COMMON  885118109 $      1,293.00     84,858   SH         DEFINED         15     84,858       --         --
THOR INDUSTRIES INC     COMMON  885160101 $        177.00      3,941   SH         DEFINED         24      3,941       --         --
THORATEC CORPORATION    COMMON  885175307 $      8,642.00    417,679   SH         DEFINED          1    417,679       --         --
THORATEC CORPORATION    COMMON  885175307 $         41.00      2,000   SH         DEFINED         19      2,000       --         --
THORATEC CORPORATION    COMMON  885175307 $        720.00     34,804   SH         DEFINED          2     34,804       --         --
THORATEC CORPORATION    COMMON  885175307 $         18.00        847   SH         DEFINED       20,2         --       --        847
THORATEC CORPORATION    COMMON  885175307 $      1,139.00     55,067   SH         DEFINED       21,2         --       --     55,067
THORATEC CORPORATION    COMMON  885175307 $         57.00      2,778   SH         DEFINED         24      2,778       --         --
THORNBURG MTG ASSET
   CORP                 COMMON  885218107 $            --          8   SH         DEFINED         23         --       --          8
THORNBURG MTG ASSET
   CORP                 COMMON  885218107 $        244.00     18,951   SH         DEFINED         24     18,951       --         --
THORNBURG MTG ASSET
   CORP                 COMMON  885218107 $          6.00        500   SH         DEFINED          6        500       --         --
THORNBURG MTG INC
   CVT PFD 10.0        CONVERT  885218701 $     42,771.00  1,533,000   SH         DEFINED          1  1,533,000       --         --
THORNBURG MTG INC
   CVT PFD 10.0        CONVERT  885218701 $        753.00     27,000   SH         DEFINED          2         --       --     27,000
3COM CORP               COMMON  885535104 $          2.00        500   SH         DEFINED         23         --       --        500
3COM CORP               COMMON  885535104 $        167.00     33,803   SH         DEFINED         24     33,803       --         --
3M CO                   COMMON  88579Y101 $    280,610.00  2,998,608   SH         DEFINED          1  2,998,608       --         --
3M CO                   COMMON  88579Y101 $      1,163.00     12,426   SH         DEFINED       1,15     12,426       --         --
3M CO                   COMMON  88579Y101 $      7,776.00     83,100   SH         DEFINED         15     53,100       --     23,700
3M CO                   COMMON  88579Y101 $      2,424.00     25,900   SH         DEFINED       15,8         --       --     25,900
3M CO                   COMMON  88579Y101 $      8,509.00     90,928   SH         DEFINED          2     90,928       --         --
3M CO                   COMMON  88579Y101 $          5.00         50   SH         DEFINED         22         50       --         --
3M CO                   COMMON  88579Y101 $         10.00        106   SH         DEFINED         23          5       --        101
3M CO                   COMMON  88579Y101 $     14,472.00    154,646   SH         DEFINED         24    154,646       --         --
3M CO                   COMMON  88579Y101 $        908.00      9,700   SH         DEFINED          3      9,700       --         --
3M CO                   COMMON  88579Y101 $        261.00      2,788   SH         DEFINED          4      2,788       --         --
3M CO                   COMMON  88579Y101 $      3,431.00     36,666   SH         DEFINED          6     28,444       --      8,222
3M CO                   COMMON  88579Y101 $        187.00      2,000   SH         DEFINED          7      2,000       --         --
3M CO                   COMMON  88579Y101 $      1,532.00     16,374   SH         DEFINED          8     16,374       --         --
3M CO                   COMMON  88579Y101 $      3,190.00     34,086   SH         DEFINED          9     34,086       --         --
TIBCO SOFTWARE INC      COMMON  88632Q103 $     11,586.00  1,567,850   SH         DEFINED         15    738,450       --    829,400
TIBCO SOFTWARE INC      COMMON  88632Q103 $         96.00     12,967   SH         DEFINED         24     12,967       --         --
TIBCO SOFTWARE INC      COMMON  88632Q103 $         81.00     10,900   SH         DEFINED       5,15     10,900       --         --
TIDEWATER INC           COMMON  886423102 $      7,598.00    120,918   SH         DEFINED          1    120,918       --         --
TIDEWATER INC           COMMON  886423102 $     47,428.00    754,740   SH         DEFINED         15    461,540       --    287,700
TIDEWATER INC           COMMON  886423102 $      2,212.00     35,200   SH         DEFINED       15,8         --       --     35,200
TIDEWATER INC           COMMON  886423102 $        356.00      5,669   SH         DEFINED         21      5,669       --         --
TIDEWATER INC           COMMON  886423102 $        305.00      4,861   SH         DEFINED       21,2      4,861       --         --
TIDEWATER INC           COMMON  886423102 $            --          3   SH         DEFINED         23         --       --          3
TIDEWATER INC           COMMON  886423102 $     12,824.00    204,079   SH         DEFINED         24    204,079       --         --
TIDEWATER INC           COMMON  886423102 $     10,339.00    164,527   SH         DEFINED        3,1    164,527       --         --
TIDEWATER INC           COMMON  886423102 $        798.00     12,700   SH         DEFINED       5,15     12,700       --         --
TIDEWATER INC           COMMON  886423102 $         54.00        855   SH         DEFINED          6        855       --         --
TIDEWATER INC           COMMON  886423102 $      4,346.00     69,166   SH         DEFINED        9,2     69,166       --         --
TIERONE CORPORATION     COMMON  88650R108 $         41.00      1,544   SH         DEFINED         24      1,544       --         --
TIENS BIOTECH GROUP
   USA INC              COMMON  88650T104 $      1,013.00    302,390   SH         DEFINED         24    302,390       --         --
TIFFANY & CO            COMMON  886547108 $        124.00      2,362   SH         DEFINED       1,15      2,362       --         --
TIFFANY & CO            COMMON  886547108 $            --          3   SH         DEFINED         23         --       --          3
TIFFANY & CO            COMMON  886547108 $        387.00      7,385   SH         DEFINED         24      7,385       --         --
TIFFANY & CO            COMMON  886547108 $        163.00      3,112   SH         DEFINED          8      3,112       --         --
TIM HORTONS INC         COMMON  88706M103 $      3,212.00     92,172   SH         DEFINED        1,3     92,172       --         --
TIM HORTONS INC         COMMON  88706M103 $        201.00      5,776   SH         DEFINED         24      5,776       --         --
TIM HORTONS INC         COMMON  88706M103 $     15,683.00    450,000   SH         DEFINED          3    450,000       --         --
TIM HORTONS INC         COMMON  88706M103 $         68.00      1,940   SH         DEFINED          6      1,556       --        384
TIM HORTONS INC         COMMON  88706M103 $        170.00      4,892   SH         DEFINED          8      4,892       --         --
TIM PARTICIPACOES SA
   ADR                  COMMON  88706P106 $        274.00      6,750   SH         DEFINED         21      6,750       --         --
TIM PARTICIPACOES SA
   ADR                  COMMON  88706P106 $      5,289.00    130,400   SH         DEFINED          9    130,400       --         --
TIMBERLAND CO           COMMON  887100105 $        195.00     10,291   SH         DEFINED         24     10,291       --         --
TIMBERLAND CO           COMMON  887100105 $        122.00      6,450   SH         DEFINED          6         --       --      6,450




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TIME WARNER INC         COMMON  887317105 $     24,426.00  1,330,410   SH         DEFINED          1  1,330,410       --         --
TIME WARNER INC         COMMON  887317105 $      1,189.00     64,745   SH         DEFINED       1,15     64,745       --         --
TIME WARNER INC         COMMON  887317105 $        395.00     21,500   SH         DEFINED         10     21,500       --         --
TIME WARNER INC         COMMON  887317105 $        196.00     10,689   SH         DEFINED       11,8     10,689       --         --
TIME WARNER INC         COMMON  887317105 $         98.00      5,336   SH         DEFINED         14      5,336       --         --
TIME WARNER INC         COMMON  887317105 $      1,993.00    108,535   SH         DEFINED       14,2         --       --    108,535
TIME WARNER INC         COMMON  887317105 $      1,365.00     74,340   SH         DEFINED         15     40,340       --     29,800
TIME WARNER INC         COMMON  887317105 $        521.00     28,400   SH         DEFINED       15,8         --       --     28,400
TIME WARNER INC         COMMON  887317105 $            --         18   SH         DEFINED         23          6       --         12
TIME WARNER INC         COMMON  887317105 $     11,644.00    634,229   SH         DEFINED         24    634,229       --         --
TIME WARNER INC         COMMON  887317105 $    152,950.00  8,330,600   SH         DEFINED          3  8,330,600       --         --
TIME WARNER INC         COMMON  887317105 $        321.00     17,510   SH         DEFINED          6     10,810       --      6,700
TIME WARNER INC         COMMON  887317105 $      1,876.00    102,184   SH         DEFINED          8    102,184       --         --
TIME WARNER INC         COMMON  887317105 $     40,965.00  2,231,235   SH         DEFINED          9  2,231,235       --         --
TIME WARNER TELECOM
   INC CL A             COMMON  887319101 $      1,916.00     87,204   SH         DEFINED       21,2     87,204       --         --
TIME WARNER TELECOM
   INC CL A             COMMON  887319101 $        156.00      7,083   SH         DEFINED         24      7,083       --         --
TIME WARNER CABLE
   INC CL A             COMMON  88732J108 $      3,929.00    119,801   SH         DEFINED          1    119,801       --         --
TIME WARNER CABLE
   INC CL A             COMMON  88732J108 $         24.00        717   SH         DEFINED       21,2        717       --         --
TIME WARNER CABLE
   INC CL A             COMMON  88732J108 $      4,268.00    130,109   SH         DEFINED          9    130,109       --         --
TIMKEN CO               COMMON  887389104 $          1.00         24   SH         DEFINED         23         --       --         24
TIMKEN CO               COMMON  887389104 $      1,460.00     39,293   SH         DEFINED         24     39,293       --         --
TITANIUM METALS CORP    COMMON  888339207 $     20,240.00    603,107   SH         DEFINED          1    603,107       --         --
TITANIUM METALS CORP    COMMON  888339207 $        454.00     13,530   SH         DEFINED          2         --       --     13,530
TITANIUM METALS CORP    COMMON  888339207 $        721.00     21,484   SH         DEFINED         24     21,484       --         --
TITANIUM METALS CORP    COMMON  888339207 $          8.00        244   SH         DEFINED          6         --       --        244
TIVO INC                COMMON  888706108 $      2,268.00    357,200   SH         DEFINED          9    357,200       --         --
TIVO INC                COMMON  888706108 $        428.00     67,400   SH         DEFINED       9,22     67,400       --         --
TOLL BROTHERS INC       COMMON  889478103 $        380.00     19,011   SH         DEFINED         24     19,011       --         --
TOLL BROTHERS INC       COMMON  889478103 $          4.00        191   SH         DEFINED          6         --       --        191
TOLLGRADE COMMUNI-
   CATIONS INC          COMMON  889542106 $        428.00     42,290   SH         DEFINED         24     42,290       --         --
TOMKINS PLC ADR         COMMON  890030208 $     23,682.00  1,271,185   SH         DEFINED         24  1,271,185       --         --
TOMPKINS FINANCIAL
   CORP                 COMMON  890110109 $         47.00      1,179   SH         DEFINED         24      1,179       --         --
TONGJITANG CHINESE
   MEDIC-ADR            COMMON  89025E103 $      1,481.00    141,683   SH         DEFINED         24    141,683       --         --
TOOTSIE ROLL INDS
   INC                  COMMON  890516107 $            --          3   SH         DEFINED         23         --       --          3
TOOTSIE ROLL INDS
   INC                  COMMON  890516107 $        137.00      5,158   SH         DEFINED         24      5,158       --         --
TOPPS COMPANY (THE)     COMMON  890786106 $          1.00        150   SH         DEFINED         23        150       --         --
TOPPS COMPANY (THE)     COMMON  890786106 $         53.00      5,452   SH         DEFINED         24      5,452       --         --
TORCHMARK CORP          COMMON  891027104 $        103.00      1,650   SH         DEFINED       1,15      1,650       --         --
TORCHMARK CORP          COMMON  891027104 $        280.00      4,500   SH         DEFINED         15      2,500       --      2,000
TORCHMARK CORP          COMMON  891027104 $        430.00      6,900   SH         DEFINED       15,8         --       --      6,900
TORCHMARK CORP          COMMON  891027104 $      7,727.00    123,982   SH         DEFINED         24    123,982       --         --
TORCHMARK CORP          COMMON  891027104 $      4,499.00     72,194   SH         DEFINED          6     72,180       --         14
TORCHMARK CORP          COMMON  891027104 $        130.00      2,093   SH         DEFINED          8      2,093       --         --
TOREADOR RESOURCES
   CORP                 COMMON  891050106 $         10.00        872   SH         DEFINED         24        872       --         --
TORO CO                 COMMON  891092108 $      7,437.00    126,410   SH         DEFINED         24    126,410       --         --
TORONTO-DOMINION
   BANK                 COMMON  891160509 $        153.00      2,000   SH         DEFINED      11,15      2,000       --         --
TORONTO-DOMINION
   BANK                 COMMON  891160509 $      4,762.00     62,050   SH         DEFINED          2     62,050       --         --
TORONTO-DOMINION
   BANK                 COMMON  891160509 $     15,823.00    206,348   SH         DEFINED         24    206,348       --         --
TORONTO-DOMINION
   BANK                 COMMON  891160509 $    787,157.00 10,257,800   SH         DEFINED          3 10,257,800       --         --
TORONTO-DOMINION
   BANK                 COMMON  891160509 $     98,307.00  1,281,086   SH         DEFINED        3,1  1,281,086       --         --
TORONTO-DOMINION
   BANK                 COMMON  891160509 $         31.00        400   SH         DEFINED          6        400       --         --
TORONTO-DOMINION
   BANK                 COMMON  891160509 $      3,458.00     45,100   SH         DEFINED       9,15     45,100       --         --
TORTOISE ENERGY
   CAPITAL CORP C       COMMON  89147U100 $         54.00      2,057   SH         DEFINED          6      2,057       --         --
TOTAL SA-SPON ADR       COMMON  89151E109 $     64,824.00    800,000   SH         DEFINED          1    800,000       --         --
TOTAL SA-SPON ADR       COMMON  89151E109 $     10,348.00    127,700   SH         DEFINED       1,12    127,700       --         --
TOTAL SA-SPON ADR       COMMON  89151E109 $    209,475.00  2,585,149   SH         DEFINED         12  2,441,574       --    143,575
TOTAL SA-SPON ADR       COMMON  89151E109 $      9,886.00    122,000   SH         DEFINED       14,2         --       --    122,000
TOTAL SA-SPON ADR       COMMON  89151E109 $     11,187.00    138,063   SH         DEFINED         15     74,163       --     63,900
TOTAL SA-SPON ADR       COMMON  89151E109 $            --          3   SH         DEFINED         23         --       --          3
TOTAL SA-SPON ADR       COMMON  89151E109 $     33,240.00    410,217   SH         DEFINED          4    410,217       --         --
TOTAL SA-SPON ADR       COMMON  89151E109 $        192.00      2,365   SH         DEFINED       5,15         --       --      2,365
TOTAL SA-SPON ADR       COMMON  89151E109 $         49.00        600   SH         DEFINED          6         --       --        600
TOWER GROUP INC         COMMON  891777104 $         16.00        600   SH         DEFINED         23         --       --        600
TOWER GROUP INC         COMMON  891777104 $         18.00        676   SH         DEFINED         24        676       --         --
TOTAL SYS SVCS INC      COMMON  891906109 $        296.00     10,660   SH         DEFINED         15      4,360       --      4,900




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TOTAL SYS SVCS INC      COMMON  891906109 $      2,468.00     88,832   SH         DEFINED         24     88,832       --         --
TOYOTA MOTOR
   CORPORATION ADR      COMMON  892331307 $     67,837.00    580,495   SH         DEFINED         12    580,495       --         --
TOYOTA MOTOR
   CORPORATION ADR      COMMON  892331307 $      1,224.00     10,477   SH         DEFINED         15     10,477       --         --
TOYOTA MOTOR
   CORPORATION ADR      COMMON  892331307 $      5,889.00     50,391   SH         DEFINED         24     50,391       --         --
TOYOTA MOTOR
   CORPORATION ADR      COMMON  892331307 $     21,429.00    183,377   SH         DEFINED          4    183,377       --         --
TRACTOR SUPPLY
   COMPANY              COMMON  892356106 $          9.00        200   SH         DEFINED         23         --       --        200
TRACTOR SUPPLY
   COMPANY              COMMON  892356106 $      1,112.00     24,118   SH         DEFINED         24     24,118       --         --
TRACTOR SUPPLY
   COMPANY              COMMON  892356106 $         42.00        922   SH         DEFINED          4        922       --         --
TRACTOR SUPPLY
   COMPANY              COMMON  892356106 $        133.00      2,875   SH         DEFINED          6        390       --      2,485
TRADESTATION GOURP
   INC                  COMMON  89267P105 $         17.00      1,437   SH         DEFINED         24      1,437       --         --
TRANSALTA CORP          COMMON  89346D107 $         79.00      2,500   SH         DEFINED      11,15      2,500       --         --
TRANSALTA CORP          COMMON  89346D107 $         13.00        402   SH         DEFINED         24        402       --         --
TRANSALTA CORP          COMMON  89346D107 $        413.00     13,100   SH         DEFINED       9,15     13,100       --         --
TRANSATLANTIC HLDGS
   INC                  COMMON  893521104 $      7,486.00    106,434   SH         DEFINED         24    106,434       --         --
TRANSCANADA CORP        COMMON  89353D107 $        267.00      7,300   SH         DEFINED      11,15      7,300       --         --
TRANSCANADA CORP        COMMON  89353D107 $        958.00     26,113   SH         DEFINED         22     26,113       --         --
TRANSCANADA CORP        COMMON  89353D107 $     17,832.00    487,088   SH         DEFINED         24    487,088       --         --
TRANSCANADA CORP        COMMON  89353D107 $     55,525.00  1,513,800   SH         DEFINED          3  1,513,800       --         --
TRANSCANADA CORP        COMMON  89353D107 $     15,763.00    430,570   SH         DEFINED          4    430,570       --         --
TRANSCANADA CORP        COMMON  89353D107 $        293.00      8,001   SH         DEFINED          8      8,001       --         --
TRANSCANADA CORP        COMMON  89353D107 $     14,588.00    397,721   SH         DEFINED          9    397,721       --         --
TRANSCANADA CORP        COMMON  89353D107 $      1,135.00     31,000   SH         DEFINED       9,15     31,000       --         --
TRANSCONTINENTAL
   RLTY INVS            COMMON  893617209 $          2.00         98   SH         DEFINED         23         --       --         98
TRANSDIGM GROUP INC     COMMON  893641100 $     17,497.00    382,778   SH         DEFINED          1    382,778       --         --
TRANSDIGM GROUP INC     COMMON  893641100 $     14,027.00    306,861   SH         DEFINED          2    306,861       --         --
TRANSDIGM GROUP INC     COMMON  893641100 $        404.00      8,835   SH         DEFINED         24      8,835       --         --
TRANSITIONAL
   HOSPITALS CORP       COMMON  893719104 $            --         35   SH         DEFINED          6         35       --         --
TRANSMONTAIGNE
   PARTNERS LP          COMMON  89376V100 $        417.00     12,625   SH         DEFINED         24     12,625       --         --
TRANSOCEAN SEDCO
   (RIG) CVT 1.5       CONVERT  893830AD1 $     15,725.00 10,000,000   SH         DEFINED         15         --       --  8,475,000
TRANSCEND SERVICES
   INC                  COMMON  893929208 $            --         20   SH         DEFINED          6         20       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $     16,849.00    334,696   SH         DEFINED          1    334,696       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $      4,059.00     80,624   SH         DEFINED       1,15     80,624       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $        262.00      5,200   SH         DEFINED      11,15      5,200       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $     20,326.00    403,777   SH         DEFINED         15    345,527       --     44,550
TRAVELERS COS
   INC-THE              COMMON  89417E109 $      2,633.00     52,300   SH         DEFINED       15,8         --       --     52,300
TRAVELERS COS
   INC-THE              COMMON  89417E109 $      5,416.00    107,589   SH         DEFINED          2    107,589       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $        173.00      3,430   SH         DEFINED         21      3,430       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $        910.00     18,075   SH         DEFINED         22     18,075       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $          5.00         94   SH         DEFINED         23         89       --          5
TRAVELERS COS
   INC-THE              COMMON  89417E109 $     27,475.00    545,783   SH         DEFINED         24    545,783       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $        323.00      6,423   SH         DEFINED          4      6,423       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $        258.00      5,125   SH         DEFINED          6      2,857       --      2,268
TRAVELERS COS
   INC-THE              COMMON  89417E109 $        874.00     17,360   SH         DEFINED          8     17,360       --         --
TRAVELERS COS
   INC-THE              COMMON  89417E109 $      1,454.00     28,874   SH         DEFINED          9     28,874       --         --
TRAVELZOO INC           COMMON  89421Q106 $         23.00      1,016   SH         DEFINED         24      1,016       --         --
TREDEGAR CORPORATION    COMMON  894650100 $        641.00     37,150   SH         DEFINED         15     27,850       --      9,300
TREDEGAR CORPORATION    COMMON  894650100 $         91.00      5,250   SH         DEFINED         24      5,250       --         --
TREDEGAR CORPORATION    COMMON  894650100 $        167.00      9,700   SH         DEFINED       5,15      9,700       --         --
TREEHOUSE FOODS         COMMON  89469A104 $      7,081.00    261,766   SH         DEFINED          1    261,766       --         --
TREEHOUSE FOODS         COMMON  89469A104 $         46.00      1,700   SH         DEFINED         15      1,700       --         --
TREEHOUSE FOODS         COMMON  89469A104 $        124.00      4,581   SH         DEFINED         24      4,581       --         --
TREEHOUSE FOODS         COMMON  89469A104 $        352.00     13,000   SH         DEFINED          6         --       --     13,000
TREND MICRO INC ADR     COMMON  89486M206 $      9,968.00    230,673   SH         DEFINED          4    230,673       --         --
TREX INC                COMMON  89531P105 $        240.00     21,557   SH         DEFINED         24     21,557       --         --
TREX INC                COMMON  89531P105 $         41.00      3,700   SH         DEFINED          6         --       --      3,700
TRI-CONTINENTAL
   CORPORATION CF       COMMON  895436103 $          5.00        223   SH         DEFINED         23         --       --        223
TRI-CONTINENTAL
   CORPORATION CF       COMMON  895436103 $        206.00      8,504   SH         DEFINED         24      8,504       --         --
TRIDENT MICROSYSTEMS
   INC                  COMMON  895919108 $         10.00        641   SH         DEFINED         24        641       --         --
TRIAD GUARANTY INC      COMMON  895925105 $         36.00      1,914   SH         DEFINED         24      1,914       --         --
TRIARC COS INC          COMMON  895927101 $         55.00      4,500   SH         DEFINED         15      4,500       --         --
TRIARC COS INC          COMMON  895927101 $         16.00      1,268   SH         DEFINED         24      1,268       --         --
TRIARC COS-B            COMMON  895927309 $      3,284.00    262,520   SH         DEFINED         15    130,520       --    129,700
TRIARC COS-B            COMMON  895927309 $         35.00      2,807   SH         DEFINED         24      2,807       --         --
TRIBUNE CO              COMMON  896047107 $         36.00      1,336   SH         DEFINED       1,15      1,336       --         --
TRIBUNE CO              COMMON  896047107 $          1.00         22   SH         DEFINED         23         --       --         22




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
TRIBUNE CO              COMMON  896047107 $        929.00     34,014   SH         DEFINED         24     34,014       --         --
TRIBUNE CO              COMMON  896047107 $        190.00      6,938   SH         DEFINED          6      6,695       --        243
TRICO MARINE
   SERVICES INC         COMMON  896106200 $        194.00      6,500   SH         DEFINED         15      6,500       --         --
TRICO MARINE
   SERVICES INC         COMMON  896106200 $        520.00     17,447   SH         DEFINED         24     17,447       --         --
TRIMBLE NAVIGATION
   LTD                  COMMON  896239100 $     52,745.00  1,345,197   SH         DEFINED          1  1,345,197       --         --
TRIMBLE NAVIGATION
   LTD                  COMMON  896239100 $     17,758.00    452,896   SH         DEFINED          2    452,896       --         --
TRIMBLE NAVIGATION
   LTD                  COMMON  896239100 $     13,773.00    351,256   SH         DEFINED         24    351,256       --         --
TRIMBLE NAVIGATION
   LTD                  COMMON  896239100 $         13.00        330   SH         DEFINED          6         --       --        330
TRIMBLE NAVIGATION
   LTD                  COMMON  896239100 $        188.00      4,793   SH         DEFINED        9,2      4,793       --         --
TRINA SOLAR
   LTD-SPON ADR         COMMON  89628E104 $     41,507.00    728,577   SH         DEFINED         24    728,577       --         --
TRINITY INDUSTRIES
   INC                  COMMON  896522109 $        242.00      6,452   SH         DEFINED         24      6,452       --         --
TRIQUINT SEMI-
   CONDUCTOR INC        COMMON  89674K103 $         77.00     15,617   SH         DEFINED         24     15,617       --         --
TRIUMPH GROUP INC       COMMON  896818101 $        446.00      5,458   SH         DEFINED         24      5,458       --         --
TRIZETTO GROUP INC      COMMON  896882107 $      4,283.00    244,586   SH         DEFINED          1    244,586       --         --
TRIZETTO GROUP INC      COMMON  896882107 $         70.00      4,000   SH         DEFINED         19      4,000       --         --
TRIZETTO GROUP INC      COMMON  896882107 $        353.00     20,145   SH         DEFINED          2     20,145       --         --
TRIZETTO GROUP INC      COMMON  896882107 $          9.00        538   SH         DEFINED       20,2         --       --        538
TRIZETTO GROUP INC      COMMON  896882107 $        550.00     31,419   SH         DEFINED       21,2         --       --     31,419
TRIZETTO GROUP INC      COMMON  896882107 $        286.00     16,356   SH         DEFINED         24     16,356       --         --
TRONOX INC-CLASS A      COMMON  897051108 $        324.00     34,867   SH         DEFINED         24     34,867       --         --
TRONOX INC-CLASS B      COMMON  897051207 $            --         40   SH         DEFINED         23         --       --         40
TRONOX INC-CLASS B      COMMON  897051207 $         43.00      4,721   SH         DEFINED         24      4,721       --         --
TRONOX INC-CLASS B      COMMON  897051207 $          1.00         60   SH         DEFINED          6         60       --         --
TRUMP ENTERTAINMENT
   RESORTS              COMMON  89816T103 $         76.00     11,762   SH         DEFINED         24     11,762       --         --
TRUSTCO BANK CORP NY    COMMON  898349105 $        326.00     29,841   SH         DEFINED         15     20,341       --      9,500
TRUSTCO BANK CORP NY    COMMON  898349105 $      2,619.00    239,615   SH         DEFINED         24    239,615       --         --
TRUSTCO BANK CORP NY    COMMON  898349105 $         93.00      8,500   SH         DEFINED       5,15      8,500       --         --
TRUSTMARK CORP          COMMON  898402102 $      4,460.00    159,050   SH         DEFINED         15    113,050       --     46,000
TRUSTMARK CORP          COMMON  898402102 $      2,732.00     97,447   SH         DEFINED         24     97,447       --         --
TRUSTMARK CORP          COMMON  898402102 $      1,186.00     42,300   SH         DEFINED       5,15     42,300       --         --
TUESDAY MORNING CORP    COMMON  899035505 $         55.00      6,130   SH         DEFINED         24      6,130       --         --
TUMBLEWEED COMMUNI-
   CATIONS CORP         COMMON  899690101 $            --         27   SH         DEFINED         23         --       --         27
TUPPERWARE BRANDS
   CORP                 COMMON  899896104 $      9,776.00    310,443   SH         DEFINED          1    310,443       --         --
TUPPERWARE BRANDS
   CORP                 COMMON  899896104 $            --          5   SH         DEFINED         23         --       --          5
TUPPERWARE BRANDS
   CORP                 COMMON  899896104 $      3,586.00    113,888   SH         DEFINED         24    113,888       --         --
TURKCELL ILETISIM HI
   ADR                  COMMON  900111204 $        904.00     42,500   SH         DEFINED       21,2     42,500       --         --
TURKCELL ILETISIM HI
   ADR                  COMMON  900111204 $        872.00     40,971   SH         DEFINED          9     40,971       --         --
TWEEN BRANDS INC        COMMON  901166108 $         96.00      2,918   SH         DEFINED         24      2,918       --         --
TWIN DISC INC           COMMON  901476101 $        362.00      6,224   SH         DEFINED         24      6,224       --         --
II VI INC               COMMON  902104108 $        507.00     14,694   SH         DEFINED         24     14,694       --         --
TYLER TECHNOLOGIES
   INC                  COMMON  902252105 $         28.00      2,117   SH         DEFINED         24      2,117       --         --
TYSON FOODS INC         COMMON  902494103 $         85.00      4,775   SH         DEFINED       1,15      4,775       --         --
TYSON FOODS INC         COMMON  902494103 $      3,058.00    171,300   SH         DEFINED         15     75,500       --     95,800
TYSON FOODS INC         COMMON  902494103 $         10.00        578   SH         DEFINED         23         --       --        578
TYSON FOODS INC         COMMON  902494103 $      2,476.00    138,733   SH         DEFINED         24    138,733       --         --
TYSON FOODS INC         COMMON  902494103 $         31.00      1,709   SH         DEFINED          6      1,370       --        339
TYSON FOODS INC         COMMON  902494103 $        283.00     15,847   SH         DEFINED          9     15,847       --         --
UAL CORP                COMMON  902549807 $     12,119.00    260,445   SH         DEFINED          1    260,445       --         --
UAL CORP                COMMON  902549807 $     10,064.00    216,300   SH         DEFINED         15    183,000       --     28,900
UAL CORP                COMMON  902549807 $        754.00     16,200   SH         DEFINED       15,8         --       --     16,200
UAL CORP                COMMON  902549807 $        245.00      5,257   SH         DEFINED       21,2      5,257       --         --
UAL CORP                COMMON  902549807 $      1,488.00     31,977   SH         DEFINED         24     31,977       --         --
UAL CORP                COMMON  902549807 $        423.00      9,100   SH         DEFINED       5,15      9,100       --         --
UAL CORP                COMMON  902549807 $      2,696.00     57,947   SH         DEFINED          6     57,791       --        156
UCBH HOLDINGS INC       COMMON  90262T308 $      8,427.00    482,114   SH         DEFINED          1    482,114       --         --
UCBH HOLDINGS INC       COMMON  90262T308 $      6,847.00    391,697   SH         DEFINED          2    391,697       --         --
UCBH HOLDINGS INC       COMMON  90262T308 $        102.00      5,817   SH         DEFINED         24      5,817       --         --
UCBH HOLDINGS INC       COMMON  90262T308 $        288.00     16,475   SH         DEFINED          6         --       --     16,475
UDR INC                 COMMON  902653104 $      5,917.00    243,298   SH         DEFINED         15    223,198       --     20,100
UDR INC                 COMMON  902653104 $        305.00     12,526   SH         DEFINED         24     12,526       --         --
UDR INC                 COMMON  902653104 $        117.00      4,805   SH         DEFINED          6      4,615       --        190
UGI CORP                COMMON  902681105 $     33,885.00  1,304,291   SH         DEFINED          1  1,304,291       --         --
UGI CORP                COMMON  902681105 $        840.00     32,348   SH         DEFINED         15     32,348       --         --
UGI CORP                COMMON  902681105 $        405.00     15,603   SH         DEFINED         24     15,603       --         --
UGI CORP                COMMON  902681105 $     22,256.00    856,643   SH         DEFINED          4    856,643       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
UGI CORP                COMMON  902681105 $          5.00        211   SH         DEFINED          6         --       --        211
UIL HOLDINGS
   CORPORATION          COMMON  902748102 $         18.00        583   SH         DEFINED         23        583       --         --
UIL HOLDINGS
   CORPORATION          COMMON  902748102 $        164.00      5,195   SH         DEFINED         24      5,195       --         --
UMB FINANCIAL CORP      COMMON  902788108 $      5,573.00    130,035   SH         DEFINED         24    130,035       --         --
USB HOLDING CO INC      COMMON  902910108 $         54.00      2,323   SH         DEFINED         24      2,323       --         --
UST INC                 COMMON  902911106 $      2,295.00     46,267   SH         DEFINED       1,15     46,267       --         --
UST INC                 COMMON  902911106 $        957.00     19,300   SH         DEFINED      11,15     19,300       --         --
UST INC                 COMMON  902911106 $     47,441.00    956,480   SH         DEFINED         15    714,080       --    211,300
UST INC                 COMMON  902911106 $      1,285.00     25,900   SH         DEFINED      15,14         --       --     25,900
UST INC                 COMMON  902911106 $      3,735.00     75,300   SH         DEFINED       15,8         --       --     75,300
UST INC                 COMMON  902911106 $            --          5   SH         DEFINED         23         --       --          5
UST INC                 COMMON  902911106 $        913.00     18,412   SH         DEFINED         24     18,412       --         --
UST INC                 COMMON  902911106 $     57,209.00  1,153,400   SH         DEFINED          3  1,153,400       --         --
UST INC                 COMMON  902911106 $      2,287.00     46,100   SH         DEFINED       5,15     46,100       --         --
UST INC                 COMMON  902911106 $        800.00     16,129   SH         DEFINED          8     16,129       --         --
UST INC                 COMMON  902911106 $      1,017.00     20,500   SH         DEFINED          9     20,500       --         --
UST INC                 COMMON  902911106 $      5,729.00    115,500   SH         DEFINED       9,15    115,500       --         --
US BANCORP              COMMON  902973304 $     37,536.00  1,153,890   SH         DEFINED          1  1,153,890       --         --
US BANCORP              COMMON  902973304 $        974.00     29,946   SH         DEFINED       1,15     29,946       --         --
US BANCORP              COMMON  902973304 $        618.00     19,000   SH         DEFINED      11,15     19,000       --         --
US BANCORP              COMMON  902973304 $     34,717.00  1,067,220   SH         DEFINED         15    879,420       --    153,500
US BANCORP              COMMON  902973304 $        478.00     14,700   SH         DEFINED      15,14         --       --     14,700
US BANCORP              COMMON  902973304 $      3,354.00    103,100   SH         DEFINED       15,8         --       --    103,100
US BANCORP              COMMON  902973304 $        491.00     15,087   SH         DEFINED         22     15,087       --         --
US BANCORP              COMMON  902973304 $          4.00        114   SH         DEFINED         23         28       --         86
US BANCORP              COMMON  902973304 $     15,201.00    467,290   SH         DEFINED         24    467,290       --         --
US BANCORP              COMMON  902973304 $    225,348.00  6,927,400   SH         DEFINED          3  6,927,400       --         --
US BANCORP              COMMON  902973304 $        664.00     20,400   SH         DEFINED       5,15     20,400       --         --
US BANCORP              COMMON  902973304 $      1,112.00     34,182   SH         DEFINED          6     10,014       --     24,168
US BANCORP              COMMON  902973304 $        420.00     12,900   SH         DEFINED          7     12,900       --         --
US BANCORP              COMMON  902973304 $      3,082.00     94,728   SH         DEFINED          8     94,728       --         --
US BANCORP              COMMON  902973304 $      3,692.00    113,480   SH         DEFINED          9    113,480       --         --
US BANCORP              COMMON  902973304 $      5,189.00    159,500   SH         DEFINED       9,15    159,500       --         --
UQM TECHNOLOGIES INC    COMMON  903213106 $      4,798.00  1,307,489   SH         DEFINED         24  1,307,489       --         --
URS CORP                COMMON  903236107 $     81,292.00  1,440,068   SH         DEFINED         24  1,440,068       --         --
URS CORP                COMMON  903236107 $        164.00      2,900   SH         DEFINED          6         --       --      2,900
USANA HEALTH
   SCIENCES INC         COMMON  90328M107 $      7,127.00    162,900   SH         DEFINED         15    105,700       --     57,200
USANA HEALTH
   SCIENCES INC         COMMON  90328M107 $      1,218.00     27,838   SH         DEFINED         24     27,838       --         --
USANA HEALTH
   SCIENCES INC         COMMON  90328M107 $      1,317.00     30,100   SH         DEFINED       5,15     30,100       --         --
USG CORP                COMMON  903293405 $        252.00      6,700   SH         DEFINED         24      6,700       --         --
USG CORP                COMMON  903293405 $          3.00         70   SH         DEFINED          6         --       --         70
USEC INC                COMMON  90333E108 $      1,533.00    149,600   SH         DEFINED          1    149,600       --         --
USEC INC                COMMON  90333E108 $     10,747.00  1,048,500   SH         DEFINED         15    743,000       --    305,500
USEC INC                COMMON  90333E108 $      1,563.00    152,512   SH         DEFINED         24    152,512       --         --
USEC INC                COMMON  90333E108 $      2,708.00    264,200   SH         DEFINED       5,15    264,200       --         --
US XPRESS
   ENTERPRISES INC      COMMON  90338N103 $         20.00      1,010   SH         DEFINED         24      1,010       --         --
US SHIPPING PARTNERS
   LP                   COMMON  903417103 $        216.00     10,935   SH         DEFINED          6         --       --     10,935
USA MOBILITY INC        COMMON  90341G103 $      2,745.00    162,731   SH         DEFINED          1    162,731       --         --
USA MOBILITY INC        COMMON  90341G103 $      9,608.00    569,550   SH         DEFINED         15    384,250       --    185,300
USA MOBILITY INC        COMMON  90341G103 $      2,448.00    145,126   SH         DEFINED         24    145,126       --         --
USA MOBILITY INC        COMMON  90341G103 $      1,950.00    115,600   SH         DEFINED       5,15    115,600       --         --
US AIRWAYS GROUP INC    COMMON  90341W108 $        692.00     26,356   SH         DEFINED          1     26,356       --         --
US AIRWAYS GROUP INC    COMMON  90341W108 $         28.00      1,065   SH         DEFINED       21,2      1,065       --         --
US AIRWAYS GROUP INC    COMMON  90341W108 $         88.00      3,367   SH         DEFINED         24      3,367       --         --
US AIRWAYS GROUP INC    COMMON  90341W108 $      2,103.00     80,112   SH         DEFINED        3,1     80,112       --         --
US AIRWAYS GROUP INC    COMMON  90341W108 $          3.00        102   SH         DEFINED          6         --       --        102
US AIRWAYS GROUP INC    COMMON  90341W108 $        901.00     34,313   SH         DEFINED        9,2     34,313       --         --
UAP HOLDING CORP        COMMON  903441103 $     10,236.00    326,415   SH         DEFINED          1    326,415       --         --
UAP HOLDING CORP        COMMON  903441103 $        217.00      6,933   SH         DEFINED         24      6,933       --         --
UAP HOLDING CORP        COMMON  903441103 $         55.00      1,740   SH         DEFINED          6         --       --      1,740
ULTIMATE SOFTWARE
   GROUP INC            COMMON  90385D107 $          7.00        210   SH         DEFINED         24        210       --         --
ULTRA CLEAN HOLDINGS    COMMON  90385V107 $        468.00     31,899   SH         DEFINED         24     31,899       --         --
ULTRALIFE BATTERIES
   INC                  COMMON  903899102 $      6,649.00    519,416   SH         DEFINED         24    519,416       --         --
ULTRA PETROLEUM CORP    COMMON  903914109 $         37.00        600   SH         DEFINED         23        600       --         --
ULTRA PETROLEUM CORP    COMMON  903914109 $        159.00      2,557   SH         DEFINED         24      2,557       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ULTRA PETROLEUM CORP    COMMON  903914109 $         25.00        400   SH         DEFINED          6        400       --         --
ULTRA PETROLEUM CORP    COMMON  903914109 $        137.00      2,208   SH         DEFINED          8      2,208       --         --
ULTRATECH INC           COMMON  904034105 $        256.00     18,464   SH         DEFINED         24     18,464       --         --
UMPQUA HOLDINGS CORP    COMMON  904214103 $         75.00      3,743   SH         DEFINED         24      3,743       --         --
UNDER ARMOUR INC.       COMMON  904311107 $         40.00        675   SH         DEFINED         24        675       --         --
UNIBANCO-UNIAO DE
   BANCOS BRASL         COMMON  90458E107 $     26,718.00    203,100   SH         DEFINED          1    203,100       --         --
UNIBANCO-UNIAO DE
   BANCOS BRASL         COMMON  90458E107 $     19,489.00    148,150   SH         DEFINED          9    148,150       --         --
UNIBANCO-UNIAO DE
   BANCOS BRASL         COMMON  90458E107 $      1,180.00      8,969   SH         DEFINED       9,15      8,969       --         --
UNIFIRST CORP/MA        COMMON  904708104 $         89.00      2,385   SH         DEFINED         24      2,385       --         --
UNILEVER PLC ADR        COMMON  904767704 $     13,496.00    426,133   SH         DEFINED         24    426,133       --         --
UNILEVER PLC ADR        COMMON  904767704 $          4.00        122   SH         DEFINED          4        122       --         --
UNILEVER NV - NY REG
   SHARES               COMMON  904784709 $     85,750.00  2,779,579   SH         DEFINED         12  2,779,579       --         --
UNILEVER NV - NY REG
   SHARES               COMMON  904784709 $      4,162.00    134,897   SH         DEFINED         15    134,897       --         --
UNILEVER NV - NY REG
   SHARES               COMMON  904784709 $     14,079.00    456,369   SH         DEFINED         24    456,369       --         --
UNILEVER NV - NY REG
   SHARES               COMMON  904784709 $     10,156.00    329,209   SH         DEFINED          4    329,209       --         --
UNILEVER NV - NY REG
   SHARES               COMMON  904784709 $         44.00      1,420   SH         DEFINED          6         --       --      1,420
UNION BANKSHARES
   CORP                 COMMON  905399101 $        831.00     36,600   SH         DEFINED         15     27,100       --      9,500
UNION BANKSHARES
   CORP                 COMMON  905399101 $        245.00     10,800   SH         DEFINED       5,15     10,800       --         --
UNION DRILLING INC      COMMON  90653P105 $        396.00     27,175   SH         DEFINED         24     27,175       --         --
UNION PACIFIC CORP      COMMON  907818108 $     87,694.00    775,638   SH         DEFINED          1    775,638       --         --
UNION PACIFIC CORP      COMMON  907818108 $        523.00      4,625   SH         DEFINED       1,15      4,625       --         --
UNION PACIFIC CORP      COMMON  907818108 $      1,685.00     14,900   SH         DEFINED         15     11,800       --      1,700
UNION PACIFIC CORP      COMMON  907818108 $        192.00      1,700   SH         DEFINED       15,8         --       --      1,700
UNION PACIFIC CORP      COMMON  907818108 $        370.00      3,271   SH         DEFINED          2      3,271       --         --
UNION PACIFIC CORP      COMMON  907818108 $            --          4   SH         DEFINED         23         --       --          4
UNION PACIFIC CORP      COMMON  907818108 $     10,668.00     94,360   SH         DEFINED         24     94,360       --         --
UNION PACIFIC CORP      COMMON  907818108 $          2.00         20   SH         DEFINED          4         20       --         --
UNION PACIFIC CORP      COMMON  907818108 $        814.00      7,196   SH         DEFINED          6      6,872       --        324
UNION PACIFIC CORP      COMMON  907818108 $        423.00      3,741   SH         DEFINED          8      3,741       --         --
UNION PACIFIC CORP      COMMON  907818108 $        326.00      2,881   SH         DEFINED          9      2,881       --         --
UNIONBANCAL CORP        COMMON  908906100 $        954.00     16,340   SH         DEFINED         15     14,340       --        400
UNIONBANCAL CORP        COMMON  908906100 $      5,405.00     92,532   SH         DEFINED         24     92,532       --         --
UNIONBANCAL CORP        COMMON  908906100 $        583.00      9,977   SH         DEFINED          6        677       --      9,300
UNISOURCE ENERGY
   CORP                 COMMON  909205106 $      4,433.00    148,300   SH         DEFINED         15    116,200       --     32,100
UNISOURCE ENERGY
   CORP                 COMMON  909205106 $        152.00      5,090   SH         DEFINED         24      5,090       --         --
UNISOURCE ENERGY
   CORP                 COMMON  909205106 $      1,542.00     51,600   SH         DEFINED       5,15     51,600       --         --
UNISYS CORPORATION      COMMON  909214108 $         40.00      6,109   SH         DEFINED       1,15      6,109       --         --
UNISYS CORPORATION      COMMON  909214108 $        378.00     57,136   SH         DEFINED         24     57,136       --         --
UNIT CORP               COMMON  909218109 $     15,445.00    319,115   SH         DEFINED          1    319,115       --         --
UNIT CORP               COMMON  909218109 $     11,825.00    244,312   SH         DEFINED          2    244,312       --         --
UNIT CORP               COMMON  909218109 $     11,957.00    247,050   SH         DEFINED         24    247,050       --         --
UNITED AMERICA
   INDEMNITY-A          COMMON  90933T109 $      3,511.00    163,221   SH         DEFINED         24    163,221       --         --
UNITED AMERICA
   INDEMNITY-A          COMMON  90933T109 $         82.00      3,790   SH         DEFINED          6         --       --      3,790
UNITED COMMUNITY
   FINANCIAL            COMMON  909839102 $        359.00     49,775   SH         DEFINED         24     49,775       --         --
UNITED COMMUNITY
   BANKS/GA             COMMON  90984P105 $        138.00      5,632   SH         DEFINED         15      5,632       --         --
UNITED COMMUNITY
   BANKS/GA             COMMON  90984P105 $         75.00      3,061   SH         DEFINED         24      3,061       --         --
UNITED COMMUNITY
   BANKS/GA             COMMON  90984P105 $         83.00      3,400   SH         DEFINED       5,15      3,400       --         --
UNITED BANKSHARES
   INC                  COMMON  909907107 $      3,219.00    105,750   SH         DEFINED         15     76,950       --     28,800
UNITED BANKSHARES
   INC                  COMMON  909907107 $      2,641.00     86,750   SH         DEFINED         24     86,750       --         --
UNITED BANKSHARES
   INC                  COMMON  909907107 $        925.00     30,400   SH         DEFINED       5,15     30,400       --         --
UNITED FIRE &
   CASUALTY CO          COMMON  910331107 $        145.00      3,700   SH         DEFINED         15      3,700       --         --
UNITED FIRE &
   CASUALTY CO          COMMON  910331107 $      2,100.00     53,714   SH         DEFINED         24     53,714       --         --
UNITED INDUSTRIAL
   CORP                 COMMON  910671106 $     13,291.00    176,601   SH         DEFINED          1    176,601       --         --
UNITED INDUSTRIAL
   CORP                 COMMON  910671106 $      2,002.00     26,600   SH         DEFINED         15     22,500       --      4,100
UNITED INDUSTRIAL
   CORP                 COMMON  910671106 $      8,560.00    113,736   SH         DEFINED          2    113,736       --         --
UNITED INDUSTRIAL
   CORP                 COMMON  910671106 $      1,918.00     25,484   SH         DEFINED         24     25,484       --         --
UNITED INDUSTRIAL
   CORP                 COMMON  910671106 $        655.00      8,700   SH         DEFINED       5,15      8,700       --         --
UNITED MICRO-
   ELECTRONICS ADR      COMMON  910873207 $         46.00     12,700   SH         DEFINED         24     12,700       --         --
UNITED MICRO-
   ELECTRONICS ADR      COMMON  910873207 $        300.00     83,644   SH         DEFINED       9,15     83,644       --         --
UNITED NAT FOODS INC    COMMON  911163103 $        131.00      4,819   SH         DEFINED         24      4,819       --         --
UNITED NAT FOODS INC    COMMON  911163103 $        112.00      4,100   SH         DEFINED          6         --       --      4,100
UNITED ONLINE INC       COMMON  911268100 $        530.00     35,341   SH         DEFINED          1     35,341       --         --
UNITED ONLINE INC       COMMON  911268100 $     11,710.00    780,150   SH         DEFINED         15    567,750       --    212,400
UNITED ONLINE INC       COMMON  911268100 $      7,246.00    482,766   SH         DEFINED         24    482,766       --         --
UNITED ONLINE INC       COMMON  911268100 $      2,649.00    176,500   SH         DEFINED       5,15    176,500       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
UNITED ONLINE INC       COMMON  911268100 $        138.00      9,220   SH         DEFINED          6         --       --      9,220
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $    140,393.00  1,869,420   SH         DEFINED          1  1,869,420       --         --
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $      1,369.00     18,224   SH         DEFINED       1,15     18,224       --         --
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $      6,819.00     90,800   SH         DEFINED         15     61,900       --     24,500
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $      2,058.00     27,400   SH         DEFINED       15,8         --       --     27,400
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $        649.00      8,645   SH         DEFINED          2      8,645       --         --
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $         13.00        172   SH         DEFINED         23         59       --        113
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $      8,223.00    109,499   SH         DEFINED         24    109,499       --         --
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $     28,324.00    377,150   SH         DEFINED          3    377,150       --         --
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $          3.00         34   SH         DEFINED          4         34       --         --
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $      2,687.00     35,785   SH         DEFINED          6     12,070       --     23,715
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $        773.00     10,297   SH         DEFINED          8     10,297       --         --
UNITED PARCEL
   SERVICE INC          COMMON  911312106 $      1,507.00     20,067   SH         DEFINED          9     20,067       --         --
UNITED RENTALS INC      COMMON  911363109 $        793.00     24,660   SH         DEFINED         24     24,660       --         --
UNITED RENTALS INC      COMMON  911363109 $         59.00      1,820   SH         DEFINED          6      1,820       --         --
US CELLULAR CORP        COMMON  911684108 $        118.00      1,200   SH         DEFINED      11,15      1,200       --         --
US CELLULAR CORP        COMMON  911684108 $      8,483.00     86,380   SH         DEFINED         15     49,380       --     35,800
US CELLULAR CORP        COMMON  911684108 $        501.00      5,100   SH         DEFINED       15,8         --       --      5,100
US CELLULAR CORP        COMMON  911684108 $     15,267.00    155,467   SH         DEFINED         24    155,467       --         --
US CELLULAR CORP        COMMON  911684108 $        953.00      9,700   SH         DEFINED       9,15      9,700       --         --
U S ENERGY CORP -
   WYOMING              COMMON  911805109 $          3.00        600   SH         DEFINED         23        600       --         --
U-STORE-IT TRUST        COMMON  91274F104 $        450.00     34,075   SH         DEFINED         15     34,075       --         --
U-STORE-IT TRUST        COMMON  91274F104 $         52.00      3,953   SH         DEFINED         24      3,953       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $      1,965.00     18,550   SH         DEFINED          1     18,550       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $      2,833.00     26,744   SH         DEFINED       1,15     26,744       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $        848.00      8,000   SH         DEFINED      11,15      8,000       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $     91,078.00    859,710   SH         DEFINED         15    612,560       --    217,050
UNITED STATES STEEL
   CORP                 COMMON  912909108 $      3,083.00     29,100   SH         DEFINED      15,14         --       --     29,100
UNITED STATES STEEL
   CORP                 COMMON  912909108 $        636.00      6,000   SH         DEFINED       15,8         --       --      6,000
UNITED STATES STEEL
   CORP                 COMMON  912909108 $        202.00      1,908   SH         DEFINED         21      1,908       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $      8,235.00     77,736   SH         DEFINED         24     77,736       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $      4,269.00     40,300   SH         DEFINED       5,15     40,300       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $         46.00        436   SH         DEFINED          6         --       --        436
UNITED STATES STEEL
   CORP                 COMMON  912909108 $      2,636.00     24,884   SH         DEFINED          8     24,884       --         --
UNITED STATES STEEL
   CORP                 COMMON  912909108 $      2,235.00     21,096   SH         DEFINED          9     21,096       --         --
UNITED STATIONERS
   INC                  COMMON  913004107 $      3,664.00     65,989   SH         DEFINED         24     65,989       --         --
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $    366,408.00  4,552,788   SH         DEFINED          1  4,552,788       --         --
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $      1,386.00     17,218   SH         DEFINED       1,15     17,218       --         --
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $      3,517.00     43,700   SH         DEFINED         15     27,500       --     12,500
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $      1,119.00     13,900   SH         DEFINED       15,8         --       --     13,900
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $     16,912.00    210,137   SH         DEFINED          2    210,137       --         --
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $         64.00        795   SH         DEFINED         23        245       --        550
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $     33,433.00    415,415   SH         DEFINED         24    415,415       --         --
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $          2.00         25   SH         DEFINED          4         25       --         --
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $     32,117.00    399,068   SH         DEFINED          6    344,763       --     54,305
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $      1,321.00     16,418   SH         DEFINED          8     16,418       --         --
UNITED TECHNOLOGIES
   CORP                 COMMON  913017109 $        948.00     11,784   SH         DEFINED        9,2     11,784       --         --
UNITED THERAPEUTICS
   CORP                 COMMON  91307C102 $     46,228.00    694,737   SH         DEFINED          1    694,737       --         --
UNITED THERAPEUTICS
   CORP                 COMMON  91307C102 $        213.00      3,200   SH         DEFINED         19      3,200       --         --
UNITED THERAPEUTICS
   CORP                 COMMON  91307C102 $     15,044.00    226,094   SH         DEFINED          2    226,094       --         --
UNITED THERAPEUTICS
   CORP                 COMMON  91307C102 $         51.00        767   SH         DEFINED       20,2         --       --        767
UNITED THERAPEUTICS
   CORP                 COMMON  91307C102 $      3,260.00     48,997   SH         DEFINED       21,2         --       --     48,997
UNITED THERAPEUTICS
   CORP                 COMMON  91307C102 $      6,197.00     93,127   SH         DEFINED         24     93,127       --         --
UNITED UTILS PLC ADR    COMMON  91311Q105 $          9.00        300   SH         DEFINED         23         --       --        300
UNITED WESTERN
   BANCORP INC          COMMON  913201109 $        374.00     17,689   SH         DEFINED         24     17,689       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $    584,817.00 12,075,505   SH         DEFINED          1 12,075,505       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      1,114.00     23,000   SH         DEFINED       1,15     23,000       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $         68.00      1,394   SH         DEFINED         14      1,394       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $         68.00      1,394   SH         DEFINED       14,2      1,394       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      4,986.00    102,946   SH         DEFINED         15     89,846       --     11,800
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $        659.00     13,600   SH         DEFINED       15,8         --       --     13,600
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $        247.00      5,100   SH         DEFINED         19      5,100       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $     28,549.00    589,487   SH         DEFINED          2    589,487       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $         75.00      1,555   SH         DEFINED       20,2         --       --      1,555
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      4,785.00     98,803   SH         DEFINED       21,2         --       --     98,803




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $         18.00        371   SH         DEFINED         23        129       --        242
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      5,377.00    111,029   SH         DEFINED         24    111,029       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      7,738.00    159,782   SH         DEFINED        3,1    159,782       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $     16,494.00    340,574   SH         DEFINED          4    340,574       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $     16,593.00    342,628   SH         DEFINED          6    247,059       --     95,569
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      1,040.00     21,464   SH         DEFINED          8     21,464       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      1,534.00     31,674   SH         DEFINED          9     31,674       --         --
UNITEDHEALTH GROUP
   INCORPORATE          COMMON  91324P102 $      3,822.00     78,910   SH         DEFINED        9,2     78,910       --         --
UNITRIN INC             COMMON  913275103 $        491.00      9,908   SH         DEFINED         24      9,908       --         --
UNITRIN INC             COMMON  913275103 $        373.00      7,519   SH         DEFINED          6         --       --      7,519
UNIVERSAL AMER
   FINANCIAL CRP        COMMON  913377107 $        144.00      6,330   SH         DEFINED         24      6,330       --         --
UNIVERSAL CORP-VA       COMMON  913456109 $     23,452.00    479,100   SH         DEFINED         15    283,100       --    193,800
UNIVERSAL CORP-VA       COMMON  913456109 $        832.00     17,000   SH         DEFINED       15,8         --       --     17,000
UNIVERSAL CORP-VA       COMMON  913456109 $            --          8   SH         DEFINED         23         --       --          8
UNIVERSAL CORP-VA       COMMON  913456109 $      4,222.00     86,242   SH         DEFINED         24     86,242       --         --
UNIVERSAL CORP-VA       COMMON  913456109 $        857.00     17,500   SH         DEFINED       5,15     17,500       --         --
UNIVERSAL CORP-VA       COMMON  913456109 $        142.00      2,900   SH         DEFINED          6         --       --      2,900
UNIVERSAL DISPLAY
   CORP                 COMMON  91347P105 $     35,713.00  2,015,381   SH         DEFINED         24  2,015,381       --         --
UNIVERSAL
   ELECTRONICS INC      COMMON  913483103 $        399.00     12,277   SH         DEFINED         24     12,277       --         --
UNIVERSAL FST
   PRODS INC            COMMON  913543104 $        103.00      3,439   SH         DEFINED         24      3,439       --         --
UNIVERSAL FST
   PRODS INC            COMMON  913543104 $         12.00        400   SH         DEFINED          6         --       --        400
UNIVERSAL HEALTH
   RLTY INCM TR         COMMON  91359E105 $      3,868.00    108,852   SH         DEFINED          1    108,852       --         --
UNIVERSAL HEALTH
   RLTY INCM TR         COMMON  91359E105 $        330.00      9,300   SH         DEFINED         15      9,300       --         --
UNIVERSAL HEALTH
   RLTY INCM TR         COMMON  91359E105 $         72.00      2,015   SH         DEFINED         24      2,015       --         --
UNIVERSAL INSURANCE
   HOLDINGS             COMMON  91359V107 $     20,706.00  2,900,000   SH         DEFINED          6  2,900,000       --         --
UNIVERSAL STAINLESS
   & ALLOY              COMMON  913837100 $        504.00     12,664   SH         DEFINED         24     12,664       --         --
UNIVERSAL HLTH SVCS
   INC                  COMMON  913903100 $        324.00      5,954   SH         DEFINED         24      5,954       --         --
UNIVERSAL TECHNICAL
   INSTITUT             COMMON  913915104 $      5,523.00    306,814   SH         DEFINED          1    306,814       --         --
UNIVERSAL TECHNICAL
   INSTITUT             COMMON  913915104 $        292.00     16,243   SH         DEFINED         24     16,243       --         --
UNIVEST CORP OF
   PENNSYLVANIA         COMMON  915271100 $        347.00     14,650   SH         DEFINED         15      8,450       --      6,200
UNIVEST CORP OF
   PENNSYLVANIA         COMMON  915271100 $         45.00      1,900   SH         DEFINED       5,15      1,900       --         --
UNUM GROUP              COMMON  91529Y106 $        153.00      6,234   SH         DEFINED       1,15      6,234       --         --
UNUM GROUP              COMMON  91529Y106 $      7,953.00    325,000   SH         DEFINED        1,3    325,000       --         --
UNUM GROUP              COMMON  91529Y106 $      3,771.00    154,100   SH         DEFINED         15     69,900       --     84,200
UNUM GROUP              COMMON  91529Y106 $      7,333.00    299,690   SH         DEFINED         24    299,690       --         --
UNUM GROUP              COMMON  91529Y106 $     25,082.00  1,025,000   SH         DEFINED          3  1,025,000       --         --
UNUM GROUP              COMMON  91529Y106 $        257.00     10,483   SH         DEFINED          6         --       --     10,483
UNUM GROUP              COMMON  91529Y106 $        150.00      6,148   SH         DEFINED          8      6,148       --         --
UPM KYMMENE CORP ADR    COMMON  915436109 $     75,791.00  3,151,393   SH         DEFINED         12  3,136,393       --     15,000
UPM KYMMENE CORP ADR    COMMON  915436109 $      1,950.00     81,074   SH         DEFINED         15     81,074       --         --
URANIUM RESOURCES INC   COMMON  916901507 $      1,309.00    139,365   SH         DEFINED         24    139,365       --         --
URBAN OUTFITTERS INC    COMMON  917047102 $        128.00      5,883   SH         DEFINED         24      5,883       --         --
URSTADT BIDDLE
   CLASS A              COMMON  917286205 $        480.00     31,039   SH         DEFINED         15     22,739       --      8,300
URSTADT BIDDLE
   CLASS A              COMMON  917286205 $        462.00     29,879   SH         DEFINED         24     29,879       --         --
URSTADT BIDDLE
   CLASS A              COMMON  917286205 $        102.00      6,600   SH         DEFINED       5,15      6,600       --         --
UTEK CORP               COMMON  91759P106 $      1,046.00     70,941   SH         DEFINED         24     70,941       --         --
UTSTARCOM INC           COMMON  918076100 $      1,958.00    534,874   SH         DEFINED         24    534,874       --         --
VCA ANTECH INC          COMMON  918194101 $    125,417.00  3,003,994   SH         DEFINED          1  3,003,994       --         --
VCA ANTECH INC          COMMON  918194101 $     23,193.00    555,530   SH         DEFINED          2    555,530       --         --
VCA ANTECH INC          COMMON  918194101 $      3,013.00     72,163   SH         DEFINED         24     72,163       --         --
VCA ANTECH INC          COMMON  918194101 $        495.00     11,851   SH         DEFINED        9,2     11,851       --         --
VF CORPORATION          COMMON  918204108 $      9,215.00    114,112   SH         DEFINED          1    114,112       --         --
VF CORPORATION          COMMON  918204108 $        124.00      1,539   SH         DEFINED       1,15      1,539       --         --
VF CORPORATION          COMMON  918204108 $          7.00         92   SH         DEFINED         23         63       --         29
VF CORPORATION          COMMON  918204108 $     23,482.00    290,801   SH         DEFINED         24    290,801       --         --
VF CORPORATION          COMMON  918204108 $      5,925.00     73,376   SH         DEFINED          6     67,956       --      5,420
VF CORPORATION          COMMON  918204108 $        133.00      1,653   SH         DEFINED          8      1,653       --         --
VSE CORP                COMMON  918284100 $        574.00     12,146   SH         DEFINED         24     12,146       --         --
VAIL RESORTS INC        COMMON  91879Q109 $      1,862.00     29,893   SH         DEFINED         24     29,893       --         --
VAIL RESORTS INC        COMMON  91879Q109 $         12.00        200   SH         DEFINED          6        200       --         --
VALASSIS COMMUNI-
   CATIONS INC          COMMON  918866104 $      5,105.00    572,300   SH         DEFINED          1    572,300       --         --
VALASSIS COMMUNI-
   CATIONS INC          COMMON  918866104 $         81.00      9,029   SH         DEFINED         24      9,029       --         --
VALHI INC               COMMON  918905100 $        261.00     10,975   SH         DEFINED         24     10,975       --         --
VALEANT PHARMA-
   CEUTICALS            COMMON  91911X104 $      2,581.00    166,758   SH         DEFINED         24    166,758       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $    196,845.00  2,930,109   SH         DEFINED          1  2,930,109       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
VALERO ENERGY CORP      COMMON  91913Y100 $        649.00      9,665   SH         DEFINED       1,15      9,665       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $         46.00        679   SH         DEFINED         14        679       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $      3,270.00     48,679   SH         DEFINED       14,2        679       --     48,000
VALERO ENERGY CORP      COMMON  91913Y100 $         17.00        250   SH         DEFINED         15         --       --        250
VALERO ENERGY CORP      COMMON  91913Y100 $     10,120.00    150,636   SH         DEFINED          2    150,636       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $        285.00      4,241   SH         DEFINED       21,2      4,241       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $     15,968.00    237,690   SH         DEFINED         24    237,690       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $        933.00     13,882   SH         DEFINED          4     13,882       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $        401.00      5,968   SH         DEFINED          6      2,873       --      3,095
VALERO ENERGY CORP      COMMON  91913Y100 $      1,351.00     20,112   SH         DEFINED          8     20,112       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $      2,040.00     30,362   SH         DEFINED          9     30,362       --         --
VALERO ENERGY CORP      COMMON  91913Y100 $        536.00      7,973   SH         DEFINED        9,2      7,973       --         --
VALLEY NATL BANCORP     COMMON  919794107 $        285.00     12,849   SH         DEFINED         24     12,849       --         --
VALLEY NATL BANCORP     COMMON  919794107 $      2,078.00     93,677   SH         DEFINED          6     93,677       --         --
VALMONT INDUSTRIES      COMMON  920253101 $      7,003.00     82,538   SH         DEFINED          1     82,538       --         --
VALMONT INDUSTRIES      COMMON  920253101 $     83,840.00    988,100   SH         DEFINED         24    988,100       --         --
VALSPAR CORP            COMMON  920355104 $          9.00        327   SH         DEFINED         23        246       --         81
VALSPAR CORP            COMMON  920355104 $        853.00     31,335   SH         DEFINED         24     31,335       --         --
VALSPAR CORP            COMMON  920355104 $      7,456.00    273,999   SH         DEFINED          6    217,746       --     56,253
VALUECLICK INC          COMMON  92046N102 $     12,344.00    549,582   SH         DEFINED          1    549,582       --         --
VALUECLICK INC          COMMON  92046N102 $     10,501.00    467,554   SH         DEFINED          2    467,554       --         --
VALUECLICK INC          COMMON  92046N102 $         69.00      3,065   SH         DEFINED         24      3,065       --         --
VALUECLICK INC          COMMON  92046N102 $         18.00        780   SH         DEFINED          6        780       --         --
VALUEVISION MEDIA
   INC                  COMMON  92047K107 $         33.00      4,418   SH         DEFINED         24      4,418       --         --
VAN KAMP TR/INV GRD
   MUNIS CF             COMMON  920929106 $         25.00      1,715   SH         DEFINED          6      1,715       --         --
VAN KAMPEN MUNI
   OPPOR TRUST CE       COMMON  920935103 $         26.00      1,728   SH         DEFINED          6      1,728       --         --
VAN KAMPEN BOND FUND
   CEF                  COMMON  920955101 $          5.00        300   SH         DEFINED         23         --       --        300
VAN KAMPEN SENIOR
   INCOME TRS C         COMMON  920961109 $            --          6   SH         DEFINED         23         --       --          6
VANDA PHARMA-
   CEUTICALS INC        COMMON  921659108 $      3,164.00    227,431   SH         DEFINED          1    227,431       --         --
VANDA PHARMA-
   CEUTICALS INC        COMMON  921659108 $        261.00     18,799   SH         DEFINED          2     18,799       --         --
VANDA PHARMA-
   CEUTICALS INC        COMMON  921659108 $          7.00        491   SH         DEFINED       20,2         --       --        491
VANDA PHARMA-
   CEUTICALS INC        COMMON  921659108 $        408.00     29,319   SH         DEFINED       21,2         --       --     29,319
VANDA PHARMA-
   CEUTICALS INC        COMMON  921659108 $        306.00     22,026   SH         DEFINED         24     22,026       --         --
VANGUARD EMERG
   MARKET ETF           COMMON  922042858 $         31.00        300   SH         DEFINED         23         --       --        300
VANGUARD EMERG
   MARKET ETF           COMMON  922042858 $        676.00      6,514   SH         DEFINED          6      6,414       --        100
VANGUARD HEALTH
   CARE ETF             COMMON  92204A504 $          6.00        100   SH         DEFINED         23         --       --        100
VARIAN INC              COMMON  922206107 $     30,850.00    484,989   SH         DEFINED          1    484,989       --         --
VARIAN INC              COMMON  922206107 $     19,084.00    300,020   SH         DEFINED         15    161,520       --    137,300
VARIAN INC              COMMON  922206107 $        114.00      1,800   SH         DEFINED         19      1,800       --         --
VARIAN INC              COMMON  922206107 $     16,260.00    255,626   SH         DEFINED          2    255,626       --         --
VARIAN INC              COMMON  922206107 $         20.00        318   SH         DEFINED       20,2         --       --        318
VARIAN INC              COMMON  922206107 $      1,286.00     20,224   SH         DEFINED       21,2         --       --     20,224
VARIAN INC              COMMON  922206107 $      1,482.00     23,300   SH         DEFINED         24     23,300       --         --
VARIAN INC              COMMON  922206107 $        801.00     12,600   SH         DEFINED       5,15     12,600       --         --
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $     27,005.00    504,579   SH         DEFINED          1    504,579       --         --
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $      2,414.00     45,100   SH         DEFINED       1,15     45,100       --         --
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $    100,852.00  1,884,374   SH         DEFINED         15  1,213,474       --    660,500
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $      4,769.00     89,100   SH         DEFINED       15,8         --       --     89,100
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $     17,292.00    323,091   SH         DEFINED          2    323,091       --         --
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $        124.00      2,315   SH         DEFINED         21      2,315       --         --
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $      9,508.00    177,660   SH         DEFINED         24    177,660       --         --
VARIAN SEMICONDUCTOR
   EQUIPMENT            COMMON  922207105 $      4,731.00     88,400   SH         DEFINED       5,15     88,400       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $     54,264.00  1,295,400   SH         DEFINED          1  1,295,400       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $         92.00      2,202   SH         DEFINED       1,15      2,202       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $        599.00     14,310   SH         DEFINED         15     14,310       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $        117.00      2,800   SH         DEFINED         19      2,800       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $      1,031.00     24,602   SH         DEFINED          2     24,602       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $         26.00        627   SH         DEFINED       20,2         --       --        627
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $      1,607.00     38,370   SH         DEFINED       21,2         --       --     38,370
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $         25.00        600   SH         DEFINED         23        600       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $        164.00      3,926   SH         DEFINED         24      3,926       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $     16,185.00    386,364   SH         DEFINED          4    386,364       --         --
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $          4.00        104   SH         DEFINED          6         --       --        104
VARIAN MEDICAL
   SYSTEMS INC          COMMON  92220P105 $        122.00      2,918   SH         DEFINED          8      2,918       --         --
VASCO DATA
   SECURITY INTL        COMMON  92230Y104 $        594.00     16,826   SH         DEFINED         24     16,826       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
VECTREN CORPORATION     COMMON  92240G101 $        243.00      8,900   SH         DEFINED         15      8,900       --         --
VECTREN CORPORATION     COMMON  92240G101 $            --          5   SH         DEFINED         23         --       --          5
VECTREN CORPORATION     COMMON  92240G101 $      7,674.00    281,187   SH         DEFINED         24    281,187       --         --
VECTREN CORPORATION     COMMON  92240G101 $        139.00      5,100   SH         DEFINED       5,15      5,100       --         --
VECTOR GROUP LTD        COMMON  92240M108 $        108.00      4,830   SH         DEFINED         15      4,830       --         --
VECTOR GROUP LTD        COMMON  92240M108 $          2.00         78   SH         DEFINED         23         --       --         78
VECTOR GROUP LTD        COMMON  92240M108 $        452.00     20,172   SH         DEFINED         24     20,172       --         --
VECTOR GROUP LTD        COMMON  92240M108 $         66.00      2,940   SH         DEFINED       5,15      2,940       --         --
VEECO INSTRS INC DEL    COMMON  922417100 $      8,883.00    458,374   SH         DEFINED         24    458,374       --         --
VENTAS INC              COMMON  92276F100 $     88,613.00  2,140,400   SH         DEFINED       1,15  2,140,400       --         --
VENTAS INC              COMMON  92276F100 $    185,481.00  4,480,226   SH         DEFINED         15  2,801,633       --  1,361,300
VENTAS INC              COMMON  92276F100 $     11,257.00    271,900   SH         DEFINED       2,15    271,900       --         --
VENTAS INC              COMMON  92276F100 $      3,420.00     82,600   SH         DEFINED      20,15     82,600       --         --
VENTAS INC              COMMON  92276F100 $         12.00        282   SH         DEFINED         23        128       --        154
VENTAS INC              COMMON  92276F100 $      3,233.00     78,087   SH         DEFINED         24     78,087       --         --
VENTAS INC              COMMON  92276F100 $     16,412.00    396,432   SH         DEFINED       5,15    396,432       --         --
VENTAS INC              COMMON  92276F100 $      7,341.00    177,323   SH         DEFINED          6    151,883       --     25,440
VENTANA MED SYS INC     COMMON  92276H106 $         67.00        784   SH         DEFINED         24        784       --         --
VANGUARD REIT ETF       COMMON  922908553 $            --          3   SH         DEFINED         23         --       --          3
VANGUARD SMALL-CAP
   GR ETF               COMMON  922908595 $         15.00        200   SH         DEFINED         23         --       --        200
VANGUARD SMALL-CAP
VA ETF                  COMMON  922908611 $         35.00        500   SH         DEFINED         23         --       --        500
VANGUARD MID-CAP ETF    COMMON  922908629 $            --          6   SH         DEFINED         23         --       --          6
VANGUARD LARGE-CAP
   ETF                  COMMON  922908637 $        307.00      4,500   SH         DEFINED          6      4,500       --         --
VANGUARD EXTD MARKET
   ETF                  COMMON  922908652 $         29.00        260   SH         DEFINED          6        260       --         --
VANGUARD TOTL STCK
   MK ETF               COMMON  922908769 $         28.00        184   SH         DEFINED         23         --       --        184
VEOLIA
   ENVIRONNEMENT-ADR    COMMON  92334N103 $     78,500.00    911,308   SH         DEFINED         24    911,308       --         --
VERASUN ENERGY CORP     COMMON  92336G106 $     22,693.00  2,063,006   SH         DEFINED         24  2,063,006       --         --
VERASUN ENERGY CORP     COMMON  92336G106 $         17.00      1,575   SH         DEFINED          6         --       --      1,575
VERENIUM CORP           COMMON  92340P100 $     23,171.00  4,388,431   SH         DEFINED         24  4,388,431       --         --
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $    224,737.00  5,069,648   SH         DEFINED          1  5,069,648       --         --
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $      1,197.00     27,000   SH         DEFINED         19     27,000       --         --
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $     11,081.00    249,969   SH         DEFINED          2    222,955       --     27,014
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $      3,965.00     89,441   SH         DEFINED       21,2     89,441       --         --
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $          9.00        195   SH         DEFINED         23        128       --         67
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $         77.00      1,745   SH         DEFINED         24      1,745       --         --
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $      3,365.00     75,909   SH         DEFINED          3     75,909       --         --
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $      4,197.00     94,684   SH         DEFINED          6     54,259       --     40,425
VERIFONE HOLDINGS
   INC                  COMMON  92342Y109 $        575.00     12,981   SH         DEFINED        9,2     12,981       --         --
VERISIGN INC            COMMON  92343E102 $        143.00      4,235   SH         DEFINED       1,15      4,235       --         --
VERISIGN INC            COMMON  92343E102 $        567.00     16,800   SH         DEFINED         15      2,200       --     13,600
VERISIGN INC            COMMON  92343E102 $         21.00        620   SH         DEFINED         23         --       --        620
VERISIGN INC            COMMON  92343E102 $      2,778.00     82,346   SH         DEFINED         24     82,346       --         --
VERISIGN INC            COMMON  92343E102 $      1,849.00     54,800   SH         DEFINED          3     54,800       --         --
VERISIGN INC            COMMON  92343E102 $          8.00        241   SH         DEFINED          6         --       --        241
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $     22,107.00    499,250   SH         DEFINED          1    499,250       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      8,187.00    184,891   SH         DEFINED       1,15    184,891       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      3,777.00     85,300   SH         DEFINED      11,15     85,300       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $    222,651.00  5,028,242   SH         DEFINED         15  3,947,192       --    960,150
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      6,580.00    148,600   SH         DEFINED      15,14         --       --    148,600
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $     15,746.00    355,600   SH         DEFINED       15,8         --       --    355,600
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      2,050.00     46,297   SH         DEFINED         21     46,297       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      6,157.00    139,049   SH         DEFINED       21,2    139,049       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $         11.00        250   SH         DEFINED         22        250       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $         18.00        399   SH         DEFINED         23        119       --        280
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $     45,878.00  1,036,088   SH         DEFINED         24  1,036,088       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      9,272.00    209,400   SH         DEFINED       5,15    209,400       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      9,842.00    222,277   SH         DEFINED          6    175,181       --     47,096
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $        407.00      9,200   SH         DEFINED          7      9,200       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $      5,493.00    124,051   SH         DEFINED          8    124,051       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $     13,510.00    305,112   SH         DEFINED          9    305,112       --         --
VERIZON
   COMMUNICATIONS       COMMON  92343V104 $     18,336.00    414,100   SH         DEFINED       9,15    414,100       --         --
VERTEX PHARMA-
   CEUTICALS INC        COMMON  92532F100 $     14,817.00    385,765   SH         DEFINED          1    385,765       --         --
VERTEX PHARMA-
   CEUTICALS INC        COMMON  92532F100 $        104.00      2,700   SH         DEFINED         19      2,700       --         --
VERTEX PHARMA-
   CEUTICALS INC        COMMON  92532F100 $      1,234.00     32,115   SH         DEFINED          2     32,115       --         --
VERTEX PHARMA-
   CEUTICALS INC        COMMON  92532F100 $         30.00        776   SH         DEFINED       20,2         --       --        776




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
VERTEX PHARMA-
   CEUTICALS INC        COMMON  92532F100 $      1,869.00     48,672   SH         DEFINED       21,2         --       --     48,672
VERTEX PHARMA-
   CEUTICALS INC        COMMON  92532F100 $     13,009.00    338,698   SH         DEFINED         24    338,698       --         --
VIAD CORP               COMMON  92552R406 $      3,092.00     85,900   SH         DEFINED         15     54,000       --     31,900
VIAD CORP               COMMON  92552R406 $      1,358.00     37,711   SH         DEFINED         24     37,711       --         --
VIAD CORP               COMMON  92552R406 $        353.00      9,800   SH         DEFINED       5,15      9,800       --         --
VIASAT INC              COMMON  92552V100 $      1,796.00     58,262   SH         DEFINED         24     58,262       --         --
VIACOM INC CL A VTG     COMMON  92553P102 $      5,387.00    138,312   SH         DEFINED          1    138,312       --         --
VIACOM INC CL A VTG     COMMON  92553P102 $        735.00     18,870   SH         DEFINED       14,2         --       --     18,870
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $      3,908.00    100,281   SH         DEFINED          1    100,281       --         --
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $        464.00     11,908   SH         DEFINED       1,15     11,908       --         --
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $        292.00      7,495   SH         DEFINED       14,2         --       --      7,495
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $      2,545.00     65,300   SH         DEFINED         15     42,100       --     19,700
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $        366.00      9,400   SH         DEFINED       15,8         --       --      9,400
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $          3.00         88   SH         DEFINED         23         13       --         75
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $      3,384.00     86,848   SH         DEFINED         24     86,848       --         --
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $         50.00      1,272   SH         DEFINED          6         42       --      1,230
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $        479.00     12,286   SH         DEFINED          8     12,286       --         --
VIACOM INC CL B
   NON-VTG              COMMON  92553P201 $     32,781.00    841,179   SH         DEFINED          9    841,179       --         --
VICOR CORP              COMMON  925815102 $        263.00     21,680   SH         DEFINED         24     21,680       --         --
VICOR CORP              COMMON  925815102 $        485.00     40,000   SH         DEFINED          6     40,000       --         --
VIDESH SANCHAR NIGAM
   SP ADR               COMMON  92659G600 $        112.00      5,100   SH         DEFINED         24      5,100       --         --
VIGNETTE CORPORATION    COMMON  926734401 $      6,745.00    336,050   SH         DEFINED         15    230,350       --    105,700
VIGNETTE CORPORATION    COMMON  926734401 $      3,353.00    167,045   SH         DEFINED         24    167,045       --         --
VIGNETTE CORPORATION    COMMON  926734401 $      1,391.00     69,300   SH         DEFINED       5,15     69,300       --         --
VIGNETTE CORPORATION    COMMON  926734401 $        123.00      6,120   SH         DEFINED          6         --       --      6,120
VIRGIN MEDIA INC        COMMON  92769L101 $      6,364.00    262,231   SH         DEFINED          1    262,231       --         --
VIRGIN MEDIA INC        COMMON  92769L101 $        419.00     17,257   SH         DEFINED       14,2         --       --     17,257
VIRGIN MEDIA INC        COMMON  92769L101 $         22.00        924   SH         DEFINED       21,2        924       --         --
VIRGIN MEDIA INC        COMMON  92769L101 $      3,145.00    129,604   SH         DEFINED         24    129,604       --         --
VIRGIN MEDIA INC        COMMON  92769L101 $        267.00     10,990   SH         DEFINED          6         --       --     10,990
VIRGINIA COMMERCE
   BANCORP              COMMON  92778Q109 $            --          -   SH         DEFINED          2         --       --         --
VIRGINIA FINANCIAL
   GROUP INC            COMMON  927810101 $         33.00      1,726   SH         DEFINED          6      1,726       --         --
VIROPHARMA INC          COMMON  928241108 $      3,920.00    440,395   SH         DEFINED          1    440,395       --         --
VIROPHARMA INC          COMMON  928241108 $         17.00      1,901   SH         DEFINED         24      1,901       --         --
VISHAY INTER-
   TECHNOLOGY INC       COMMON  928298108 $      2,679.00    205,601   SH         DEFINED         15     93,401       --    112,200
VISHAY INTER-
   TECHNOLOGY INC       COMMON  928298108 $      5,448.00    418,119   SH         DEFINED         24    418,119       --         --
VISHAY INTER-
   TECHNOLOGY INC       COMMON  928298108 $          4.00        330   SH         DEFINED          6         --       --        330
VISTEON CORP            COMMON  92839U107 $            --         54   SH         DEFINED         23         --       --         54
VISTEON CORP            COMMON  92839U107 $        465.00     90,216   SH         DEFINED         24     90,216       --         --
VITAL SIGNS INC         COMMON  928469105 $        819.00     15,700   SH         DEFINED         15      9,500       --      6,200
VITAL SIGNS INC         COMMON  928469105 $         43.00        822   SH         DEFINED         24        822       --         --
VITAL SIGNS INC         COMMON  928469105 $         99.00      1,900   SH         DEFINED       5,15      1,900       --         --
VITAL IMAGES INC        COMMON  92846N104 $     14,617.00    748,820   SH         DEFINED          1    748,820       --         --
VITAL IMAGES INC        COMMON  92846N104 $        817.00     41,862   SH         DEFINED          2     41,862       --         --
VITAL IMAGES INC        COMMON  92846N104 $         20.00      1,027   SH         DEFINED       20,2         --       --      1,027
VITAL IMAGES INC        COMMON  92846N104 $      1,274.00     65,289   SH         DEFINED       21,2         --       --     65,289
VIVO PARTICIPACOES
   SA ADR               COMMON  92855S101 $         17.00      3,500   SH         DEFINED         24      3,500       --         --
VNUS MEDICAL
   TECHNOLOGIES         COMMON  928566108 $        529.00     33,314   SH         DEFINED         24     33,314       --         --
VODAFONE GROUP PLC
   ADR                  COMMON  92857W209 $    148,069.00  4,079,038   SH         DEFINED         12  4,079,038       --         --
VODAFONE GROUP PLC
   ADR                  COMMON  92857W209 $      3,067.00     84,498   SH         DEFINED         15     84,498       --         --
VODAFONE GROUP PLC
   ADR                  COMMON  92857W209 $          2.00         67   SH         DEFINED         23          6       --         61
VODAFONE GROUP PLC
   ADR                  COMMON  92857W209 $     21,719.00    598,327   SH         DEFINED         24    598,327       --         --
VODAFONE GROUP PLC
   ADR                  COMMON  92857W209 $          4.00        118   SH         DEFINED          4        118       --         --
VODAFONE GROUP PLC
   ADR                  COMMON  92857W209 $      1,357.00     37,375   SH         DEFINED          6     20,731       --     16,644
VOCUS INC               COMMON  92858J108 $        242.00      8,268   SH         DEFINED         24      8,268       --         --
VOLCANO CORP            COMMON  928645100 $        221.00     13,441   SH         DEFINED         24     13,441       --         --
VOLCOM                  COMMON  92864N101 $         27.00        628   SH         DEFINED         24        628       --         --
VOLT INFO SCIENCES
   INC                  COMMON  928703107 $        509.00     28,828   SH         DEFINED         24     28,828       --         --
VOLTERRA SEMI-
   CONDUCTOR CORP       COMMON  928708106 $          5.00        424   SH         DEFINED         15         --       --        424
VOLTERRA SEMI-
   CONDUCTOR CORP       COMMON  928708106 $      5,211.00    424,314   SH         DEFINED         17         --       --    424,314
VOLVO AB ADR            COMMON  928856400 $     16,134.00    929,915   SH         DEFINED         24    929,915       --         --
VONAGE HOLDINGS CORP    COMMON  92886T201 $          2.00      2,378   SH         DEFINED         24      2,378       --         --
VORNADO REALTY TRUST
   REIT                 COMMON  929042109 $     92,403.00    845,021   SH         DEFINED       1,15    845,021       --         --
VORNADO REALTY TRUST
   REIT                 COMMON  929042109 $    249,532.00  2,281,959   SH         DEFINED         15  1,490,022       --    621,500
VORNADO REALTY TRUST
   REIT                 COMMON  929042109 $     12,346.00    112,900   SH         DEFINED       2,15    112,900       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
VORNADO REALTY TRUST
   REIT                 COMMON  929042109 $      4,254.00     38,900   SH         DEFINED      20,15     38,900       --         --
VORNADO REALTY TRUST
   REIT                 COMMON  929042109 $      1,177.00     10,766   SH         DEFINED         24     10,766       --         --
VORNADO REALTY TRUST
   REIT                 COMMON  929042109 $     23,275.00    212,852   SH         DEFINED       5,15    212,852       --         --
VORNADO REALTY TRUST
   REIT                 COMMON  929042109 $         64.00        586   SH         DEFINED          6        438       --        148
VORNADO REALTY TRUST
   CVT 3.625           CONVERT  929043AE7 $     28,689.00 29,500,000   SH         DEFINED         15         --       -- 25,000,000
VOTORANTIM CELULOSE
   E PAPEL SA           COMMON  92906P106 $         11.00        400   SH         DEFINED         24        400       --         --
VOTORANTIM CELULOSE
   E PAPEL SA           COMMON  92906P106 $      8,443.00    295,000   SH         DEFINED          3    295,000       --         --
VULCAN MATERIALS CO     COMMON  929160109 $        147.00      1,646   SH         DEFINED       1,15      1,646       --         --
VULCAN MATERIALS CO     COMMON  929160109 $      2,345.00     26,300   SH         DEFINED         15     14,000       --     11,100
VULCAN MATERIALS CO     COMMON  929160109 $        776.00      8,700   SH         DEFINED       15,8         --       --      8,700
VULCAN MATERIALS CO     COMMON  929160109 $          1.00         14   SH         DEFINED         23          9       --          5
VULCAN MATERIALS CO     COMMON  929160109 $      1,252.00     14,040   SH         DEFINED         24     14,040       --         --
VULCAN MATERIALS CO     COMMON  929160109 $         62.00        700   SH         DEFINED       5,15        700       --         --
VULCAN MATERIALS CO     COMMON  929160109 $        568.00      6,368   SH         DEFINED          6      1,750       --      4,618
VULCAN MATERIALS CO     COMMON  929160109 $        376.00      4,215   SH         DEFINED          8      4,215       --         --
VULCAN MATERIALS CO     COMMON  929160109 $        546.00      6,119   SH         DEFINED          9      6,119       --         --
W&T OFFSHORE            COMMON  92922P106 $      7,947.00    325,945   SH         DEFINED         24    325,945       --         --
WD-40 CO                COMMON  929236107 $         92.00      2,700   SH         DEFINED         15      2,700       --         --
WD-40 CO                COMMON  929236107 $        289.00      8,457   SH         DEFINED         24      8,457       --         --
WD-40 CO                COMMON  929236107 $         51.00      1,500   SH         DEFINED       5,15      1,500       --         --
WCI COMMUNITIES INC     COMMON  92923C104 $         84.00     14,059   SH         DEFINED         24     14,059       --         --
WGL HOLDINGS INC        COMMON  92924F106 $      8,194.00    241,794   SH         DEFINED         24    241,794       --         --
WGL HOLDINGS INC        COMMON  92924F106 $         27.00        800   SH         DEFINED          6        800       --         --
W HOLDING COMPANY
   INC                  COMMON  929251106 $        113.00     50,598   SH         DEFINED         15     50,598       --         --
W HOLDING COMPANY
   INC                  COMMON  929251106 $         67.00     29,900   SH         DEFINED       5,15     29,900       --         --
W-H ENERGY SERVICES     COMMON  92925E108 $        178.00      2,420   SH         DEFINED         24      2,420       --         --
WCA WASTE CORP          COMMON  92926K103 $        407.00     50,315   SH         DEFINED         24     50,315       --         --
WABCO HOLDINGS INC      COMMON  92927K102 $     38,117.00    815,343   SH         DEFINED          1    815,343       --         --
WABCO HOLDINGS INC      COMMON  92927K102 $          7.00        150   SH         DEFINED       1,15        150       --         --
WABCO HOLDINGS INC      COMMON  92927K102 $      9,626.00    205,912   SH         DEFINED         15    148,061       --     51,151
WABCO HOLDINGS INC      COMMON  92927K102 $        369.00      7,900   SH         DEFINED      15,14         --       --      7,900
WABCO HOLDINGS INC      COMMON  92927K102 $        220.00      4,700   SH         DEFINED       15,8         --       --      4,700
WABCO HOLDINGS INC      COMMON  92927K102 $        186.00      3,988   SH         DEFINED         24      3,988       --         --
WABCO HOLDINGS INC      COMMON  92927K102 $      2,427.00     51,911   SH         DEFINED          4     51,911       --         --
WABCO HOLDINGS INC      COMMON  92927K102 $        505.00     10,800   SH         DEFINED       5,15     10,800       --         --
WABCO HOLDINGS INC      COMMON  92927K102 $        260.00      5,561   SH         DEFINED          6         --       --      5,561
WABCO HOLDINGS INC      COMMON  92927K102 $         89.00      1,900   SH         DEFINED          8      1,900       --         --
WABCO HOLDINGS INC      COMMON  92927K102 $        327.00      7,000   SH         DEFINED          9      7,000       --         --
WMS INDUSTRIES INC      COMMON  929297109 $      1,399.00     42,253   SH         DEFINED         24     42,253       --         --
WPP GROUP
   PLC-SPONSORED ADR    COMMON  929309409 $         19.00        280   SH         DEFINED         23         --       --        280
WPP GROUP
   PLC-SPONSORED ADR    COMMON  929309409 $      6,554.00     97,099   SH         DEFINED         24     97,099       --         --
WPP GROUP
   PLC-SPONSORED ADR    COMMON  929309409 $     18,008.00    266,785   SH         DEFINED          4    266,785       --         --
WPP GROUP
   PLC-SPONSORED ADR    COMMON  929309409 $         20.00        300   SH         DEFINED          6         --       --        300
W.P. CAREY & CO. LLC    COMMON  92930Y107 $        170.00      5,409   SH         DEFINED         24      5,409       --         --
WPCS INTERNATIONAL
   INC                  COMMON  92931L203 $        355.00     34,389   SH         DEFINED         24     34,389       --         --
WSFS FINL CORP          COMMON  929328102 $      2,983.00     47,800   SH         DEFINED         15     33,400       --     14,400
WSFS FINL CORP          COMMON  929328102 $         37.00        593   SH         DEFINED         24        593       --         --
WSFS FINL CORP          COMMON  929328102 $        743.00     11,900   SH         DEFINED       5,15     11,900       --         --
WABASH NATL CORP        COMMON  929566107 $         50.00      4,411   SH         DEFINED         24      4,411       --         --
WABTEC                  COMMON  929740108 $     13,461.00    359,330   SH         DEFINED          1    359,330       --         --
WABTEC                  COMMON  929740108 $     10,143.00    270,780   SH         DEFINED          2    270,780       --         --
WABTEC                  COMMON  929740108 $      2,340.00     62,456   SH         DEFINED         24     62,456       --         --
WABTEC                  COMMON  929740108 $        341.00      9,100   SH         DEFINED          6         --       --      9,100
ARCHER-DANIELS-
   MIDLAND CVT(WB)     CONVERT  92977BDW8 $     26,534.00 20,000,000   SH         DEFINED         15         --       -- 16,925,000
OMNICOM (WB)
   CVT 12-30-12        CONVERT  92977BEA5 $     21,874.00 20,000,000   SH         DEFINED         15         --       -- 16,925,000
IBM (WB) CVT
   144A 1.0 01-30      CONVERT  92977BEF4 $     25,110.00 20,000,000   SH         DEFINED         15         --       -- 16,925,000
HALLIBURTON (WB)
   0.0 12-30-17        CONVERT  92977BGF2 $     21,060.00 20,000,000   SH         DEFINED         15         --       -- 16,950,000
WACHOVIA CORP           COMMON  929903102 $     37,582.00    749,385   SH         DEFINED          1    749,385       --         --
WACHOVIA CORP           COMMON  929903102 $      1,657.00     33,038   SH         DEFINED       1,15     33,038       --         --
WACHOVIA CORP           COMMON  929903102 $      9,038.00    180,220   SH         DEFINED         15    120,820       --     50,100
WACHOVIA CORP           COMMON  929903102 $      2,332.00     46,500   SH         DEFINED       15,8         --       --     46,500
WACHOVIA CORP           COMMON  929903102 $         15.00        296   SH         DEFINED         23        130       --        166
WACHOVIA CORP           COMMON  929903102 $      7,542.00    150,398   SH         DEFINED         24    150,398       --         --
WACHOVIA CORP           COMMON  929903102 $     21,082.00    420,379   SH         DEFINED          6    331,969       --     88,410
WACHOVIA CORP           COMMON  929903102 $      2,191.00     43,682   SH         DEFINED          8     43,682       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WACHOVIA CORP           COMMON  929903102 $     16,843.00    335,862   SH         DEFINED          9    335,862       --         --
WADDELL & REED
   FINANCIAL INC        COMMON  930059100 $      6,827.00    252,565   SH         DEFINED          1    252,565       --         --
WADDELL & REED
   FINANCIAL INC        COMMON  930059100 $     18,924.00    700,100   SH         DEFINED         15    346,300       --    350,900
WADDELL & REED
   FINANCIAL INC        COMMON  930059100 $        198.00      7,331   SH         DEFINED         24      7,331       --         --
WADDELL & REED
   FINANCIAL INC        COMMON  930059100 $        703.00     25,994   SH         DEFINED          6     19,239       --      6,755
WAINWRIGHT BANK
   TRUST CO             COMMON  930705108 $        138.00     10,757   SH         DEFINED          6         --       --     10,757
WAL-MART STORES INC     COMMON  931142103 $    226,014.00  5,177,869   SH         DEFINED          1  5,177,869       --         --
WAL-MART STORES INC     COMMON  931142103 $      1,819.00     41,671   SH         DEFINED       1,15     41,671       --         --
WAL-MART STORES INC     COMMON  931142103 $        406.00      9,300   SH         DEFINED         10      9,300       --         --
WAL-MART STORES INC     COMMON  931142103 $        725.00     16,600   SH         DEFINED      11,15     16,600       --         --
WAL-MART STORES INC     COMMON  931142103 $        199.00      4,568   SH         DEFINED       11,8      4,568       --         --
WAL-MART STORES INC     COMMON  931142103 $     35,015.00    802,171   SH         DEFINED         12    223,171       --    579,000
WAL-MART STORES INC     COMMON  931142103 $        428.00      9,800   SH         DEFINED      12,14      9,800       --         --
WAL-MART STORES INC     COMMON  931142103 $         99.00      2,264   SH         DEFINED         14      2,264       --         --
WAL-MART STORES INC     COMMON  931142103 $        747.00     17,106   SH         DEFINED       14,2         --       --     17,106
WAL-MART STORES INC     COMMON  931142103 $     39,131.00    896,471   SH         DEFINED         15    776,501       --     99,770
WAL-MART STORES INC     COMMON  931142103 $      5,827.00    133,500   SH         DEFINED       15,8         --       --    133,500
WAL-MART STORES INC     COMMON  931142103 $        740.00     16,953   SH         DEFINED          2     16,953       --         --
WAL-MART STORES INC     COMMON  931142103 $         37.00        850   SH         DEFINED      20,12        850       --         --
WAL-MART STORES INC     COMMON  931142103 $      1,043.00     23,900   SH         DEFINED      20,15         --       --     23,900
WAL-MART STORES INC     COMMON  931142103 $      2,771.00     63,490   SH         DEFINED      21,15         --       --         --
WAL-MART STORES INC     COMMON  931142103 $         23.00        538   SH         DEFINED         22        538       --         --
WAL-MART STORES INC     COMMON  931142103 $         21.00        472   SH         DEFINED         23         41       --        431
WAL-MART STORES INC     COMMON  931142103 $     21,702.00    497,179   SH         DEFINED         24    497,179       --         --
WAL-MART STORES INC     COMMON  931142103 $         54.00      1,231   SH         DEFINED        3,1      1,231       --         --
WAL-MART STORES INC     COMMON  931142103 $          3.00         58   SH         DEFINED          4         58       --         --
WAL-MART STORES INC     COMMON  931142103 $        537.00     12,300   SH         DEFINED       5,15         --       --     12,300
WAL-MART STORES INC     COMMON  931142103 $     70,901.00  1,624,307   SH         DEFINED          6  1,576,216       --     48,091
WAL-MART STORES INC     COMMON  931142103 $      2,996.00     68,632   SH         DEFINED          8     68,632       --         --
WAL-MART STORES INC     COMMON  931142103 $     81,582.00  1,868,994   SH         DEFINED          9  1,868,994       --         --
WAL-MART STORES INC     COMMON  931142103 $      7,080.00    162,200   SH         DEFINED       9,15    102,000       --     60,200
WALGREEN CO             COMMON  931422109 $     35,147.00    744,000   SH         DEFINED          1    744,000       --         --
WALGREEN CO             COMMON  931422109 $        815.00     17,250   SH         DEFINED       1,15     17,250       --         --
WALGREEN CO             COMMON  931422109 $          5.00        100   SH         DEFINED         22        100       --         --
WALGREEN CO             COMMON  931422109 $          9.00        194   SH         DEFINED         23        194       --         --
WALGREEN CO             COMMON  931422109 $     25,025.00    529,747   SH         DEFINED         24    529,747       --         --
WALGREEN CO             COMMON  931422109 $     14,634.00    309,787   SH         DEFINED          6    226,111       --     83,676
WALGREEN CO             COMMON  931422109 $        854.00     18,081   SH         DEFINED          8     18,081       --         --
WALGREEN CO             COMMON  931422109 $      6,629.00    140,336   SH         DEFINED          9    140,336       --         --
WALTER INDS INC         COMMON  93317Q105 $        202.00      7,495   SH         DEFINED         24      7,495       --         --
WARNACO GROUP
   INC-THE              COMMON  934390402 $     14,454.00    369,950   SH         DEFINED          1    369,950       --         --
WARNACO GROUP
   INC-THE              COMMON  934390402 $     10,740.00    274,899   SH         DEFINED          2    274,899       --         --
WARNACO GROUP
   INC-THE              COMMON  934390402 $      8,635.00    221,007   SH         DEFINED         24    221,007       --         --
WARNER MUSIC GROUP
   CORP                 COMMON  934550104 $        228.00     22,600   SH         DEFINED         15         --       --     22,600
WARNER MUSIC GROUP
   CORP                 COMMON  934550104 $        122.00     12,122   SH         DEFINED         24     12,122       --         --
WARNER MUSIC GROUP
   CORP                 COMMON  934550104 $          2.00        186   SH         DEFINED          6         --       --        186
WARREN RESOURCES INC    COMMON  93564A100 $         33.00      2,601   SH         DEFINED         24      2,601       --         --
WASHINGTON FEDERAL
   INC                  COMMON  938824109 $        654.00     24,900   SH         DEFINED         15     24,900       --         --
WASHINGTON FEDERAL
   INC                  COMMON  938824109 $      6,012.00    228,924   SH         DEFINED         24    228,924       --         --
WASHINGTON FEDERAL
   INC                  COMMON  938824109 $        270.00     10,300   SH         DEFINED       5,15     10,300       --         --
WASHINGTON GROUP
   INTL INC             COMMON  938862208 $        494.00      5,625   SH         DEFINED         24      5,625       --         --
WASHINGTON GROUP
   INTL INC             COMMON  938862208 $        109.00      1,245   SH         DEFINED          6         --       --      1,245
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $      6,677.00    189,100   SH         DEFINED          1    189,100       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        537.00     15,203   SH         DEFINED       1,15     15,203       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        304.00      8,600   SH         DEFINED         10      8,600       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        152.00      4,295   SH         DEFINED       11,8      4,295       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $     17,504.00    495,719   SH         DEFINED         12    165,719       --    330,000
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        238.00      6,750   SH         DEFINED      12,14      6,750       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $         73.00      2,081   SH         DEFINED         14      2,081       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $     10,267.00    290,761   SH         DEFINED         15    258,816       --     29,645
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        883.00     25,000   SH         DEFINED       15,8         --       --     25,000
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        102.00      2,891   SH         DEFINED          2      2,891       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $         17.00        490   SH         DEFINED      20,12        490       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        558.00     15,800   SH         DEFINED      20,15         --       --     15,800
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $      1,611.00     45,630   SH         DEFINED      21,15         --       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $            --          6   SH         DEFINED         23         --       --          6
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $     12,482.00    353,486   SH         DEFINED         24    353,486       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $      7,050.00    199,662   SH         DEFINED        3,1    199,662       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $        314.00      8,895   SH         DEFINED       5,15         --       --      8,895
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $      1,499.00     42,449   SH         DEFINED          6     39,012       --      3,437
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $      1,212.00     34,318   SH         DEFINED          8     34,318       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $      2,308.00     65,366   SH         DEFINED          9     65,366       --         --
WASHINGTON MUTUAL
   INC                  COMMON  939322103 $      1,459.00     41,327   SH         DEFINED       9,15         --       --     41,327
WASHINGTON POST CO      COMMON  939640108 $    124,112.00    154,599   SH         DEFINED          1    154,599       --         --
WASHINGTON POST CO      COMMON  939640108 $        706.00        879   SH         DEFINED         15        879       --         --
WASHINGTON POST CO      COMMON  939640108 $        387.00        482   SH         DEFINED          2        482       --         --
WASHINGTON POST CO      COMMON  939640108 $          3.00          4   SH         DEFINED         23         --       --          4
WASHINGTON POST CO      COMMON  939640108 $        515.00        642   SH         DEFINED         24        642       --         --
WASHINGTON POST CO      COMMON  939640108 $     17,003.00     21,179   SH         DEFINED          4     21,179       --         --
WASHINGTON REAL
   ESTATE INV           COMMON  939653101 $     11,178.00    336,900   SH         DEFINED       1,15    336,900       --         --
WASHINGTON REAL
   ESTATE INV           COMMON  939653101 $     42,572.00  1,283,074   SH         DEFINED         15    808,474       --    377,900
WASHINGTON REAL
   ESTATE INV           COMMON  939653101 $      1,380.00     41,600   SH         DEFINED       2,15     41,600       --         --
WASHINGTON REAL
   ESTATE INV           COMMON  939653101 $        184.00      5,537   SH         DEFINED         24      5,537       --         --
WASHINGTON REAL
   ESTATE INV           COMMON  939653101 $      4,011.00    120,900   SH         DEFINED       5,15    120,900       --         --
WASHINGTON TRUST
   BANCORP              COMMON  940610108 $      1,034.00     38,350   SH         DEFINED         15     27,450       --     10,900
WASHINGTON TRUST
   BANCORP              COMMON  940610108 $         46.00      1,718   SH         DEFINED         24      1,718       --         --
WASHINGTON TRUST
   BANCORP              COMMON  940610108 $        270.00     10,000   SH         DEFINED       5,15     10,000       --         --
WASHINGTON TRUST
   BANCORP              COMMON  940610108 $         22.00        810   SH         DEFINED          6         --       --        810
WASTE CONNECTIONS
   INC                  COMMON  941053100 $      5,454.00    171,741   SH         DEFINED          1    171,741       --         --
WASTE CONNECTIONS
   INC                  COMMON  941053100 $        353.00     11,100   SH         DEFINED         15     11,100       --         --
WASTE CONNECTIONS
   INC                  COMMON  941053100 $      2,600.00     81,853   SH         DEFINED         24     81,853       --         --
WASTE INDUSTRIES USA
   INC                  COMMON  941057101 $      1,968.00     68,750   SH         DEFINED         15     48,650       --     20,100
WASTE INDUSTRIES USA
   INC                  COMMON  941057101 $        837.00     29,230   SH         DEFINED         24     29,230       --         --
WASTE INDUSTRIES USA
   INC                  COMMON  941057101 $        418.00     14,600   SH         DEFINED       5,15     14,600       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $    204,032.00  5,406,263   SH         DEFINED          1  5,406,263       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $        341.00      9,041   SH         DEFINED       1,15      9,041       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $      1,185.00     31,400   SH         DEFINED      11,15     31,400       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $     44,987.00  1,192,020   SH         DEFINED         15    985,620       --    184,000
WASTE MANAGEMENT INC    COMMON  94106L109 $        506.00     13,400   SH         DEFINED      15,14         --       --     13,400
WASTE MANAGEMENT INC    COMMON  94106L109 $      5,838.00    154,700   SH         DEFINED       15,8         --       --    154,700
WASTE MANAGEMENT INC    COMMON  94106L109 $        557.00     14,759   SH         DEFINED          2     14,759       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $          3.00         86   SH         DEFINED         23         15       --         71
WASTE MANAGEMENT INC    COMMON  94106L109 $      7,979.00    211,419   SH         DEFINED         24    211,419       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $     81,632.00  2,163,000   SH         DEFINED          3  2,163,000       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $      4,446.00    117,815   SH         DEFINED          4    117,815       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $      1,510.00     40,000   SH         DEFINED       5,15     40,000       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $        698.00     18,504   SH         DEFINED          6         --       --     18,504
WASTE MANAGEMENT INC    COMMON  94106L109 $        743.00     19,694   SH         DEFINED          8     19,694       --         --
WASTE MANAGEMENT INC    COMMON  94106L109 $      3,906.00    103,500   SH         DEFINED       9,15    103,500       --         --
WASTE SERVICES INC      COMMON  941075202 $        158.00     16,300   SH         DEFINED         15     16,300       --         --
WASTE SERVICES INC      COMMON  941075202 $        356.00     36,708   SH         DEFINED         24     36,708       --         --
WATERS CORP             COMMON  941848103 $    160,008.00  2,391,036   SH         DEFINED          1  2,391,036       --         --
WATERS CORP             COMMON  941848103 $        117.00      1,743   SH         DEFINED       1,15      1,743       --         --
WATERS CORP             COMMON  941848103 $        448.00      6,700   SH         DEFINED      11,15      6,700       --         --
WATERS CORP             COMMON  941848103 $     30,616.00    457,498   SH         DEFINED         15    285,698       --    166,500
WATERS CORP             COMMON  941848103 $      2,871.00     42,900   SH         DEFINED       15,8         --       --     42,900
WATERS CORP             COMMON  941848103 $         58.00        860   SH         DEFINED         23         --       --        860
WATERS CORP             COMMON  941848103 $      5,279.00     78,891   SH         DEFINED         24     78,891       --         --
WATERS CORP             COMMON  941848103 $     12,038.00    179,884   SH         DEFINED          4    179,884       --         --
WATERS CORP             COMMON  941848103 $          3.00         41   SH         DEFINED          6         --       --         41
WATERS CORP             COMMON  941848103 $        390.00      5,825   SH         DEFINED          8      5,825       --         --
WATERS CORP             COMMON  941848103 $        403.00      6,020   SH         DEFINED          9      6,020       --         --
WATERS CORP             COMMON  941848103 $      1,037.00     15,500   SH         DEFINED       9,15     15,500       --         --
WATSCO INC              COMMON  942622200 $        141.00      3,035   SH         DEFINED         24      3,035       --         --
WATSCO INC              COMMON  942622200 $     19,440.00    418,700   SH         DEFINED          3    418,700       --         --
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $         58.00      1,804   SH         DEFINED       1,15      1,804       --         --
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $         84.00      2,600   SH         DEFINED      11,15      2,600       --         --
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $     13,951.00    430,600   SH         DEFINED         15    195,600       --    235,000
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $        126.00      3,900   SH         DEFINED       15,8         --       --      3,900
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $        155.00      4,772   SH         DEFINED         22      4,772       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $      3,386.00    104,503   SH         DEFINED         24    104,503       --         --
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $        226.00      6,961   SH         DEFINED          8      6,961       --         --
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $      1,327.00     40,957   SH         DEFINED          9     40,957       --         --
WATSON
   PHARMACEUTICALS
   INC                  COMMON  942683103 $        421.00     13,000   SH         DEFINED       9,15     13,000       --         --
WATSON WYATT
   WORLDWIDE INC        COMMON  942712100 $          1.00         12   SH         DEFINED         23         --       --         12
WATSON WYATT
   WORLDWIDE INC        COMMON  942712100 $      3,237.00     72,028   SH         DEFINED         24     72,028       --         --
WATTS WATER
   TECHNOLOGIES INC     COMMON  942749102 $     62,428.00  2,033,498   SH         DEFINED         24  2,033,498       --         --
WATTS WATER
   TECHNOLOGIES INC     COMMON  942749102 $         85.00      2,775   SH         DEFINED          6         --       --      2,775
WAUSAU PAPER CORP       COMMON  943315101 $        565.00     50,676   SH         DEFINED         24     50,676       --         --
WAUWATOSA HOLDINGS
   INC                  COMMON  94348P108 $         28.00      1,739   SH         DEFINED         24      1,739       --         --
WEBSENSE INC            COMMON  947684106 $        697.00     35,310   SH         DEFINED         24     35,310       --         --
WEBMD HEALTH
   CORP-CLASS A         COMMON  94770V102 $        264.00      5,067   SH         DEFINED         24      5,067       --         --
WEBSTER FINANCIAL
   CORP                 COMMON  947890109 $        243.00      5,766   SH         DEFINED         24      5,766       --         --
WEBSTER FINANCIAL
   CORP                 COMMON  947890109 $          3.00         70   SH         DEFINED          6         70       --         --
WEBZEN INC ADR          COMMON  94846M102 $        797.00    183,298   SH         DEFINED         24    183,298       --         --
WEIGHT WATCHERS
   INTERNATIONAL        COMMON  948626106 $        470.00      8,161   SH         DEFINED         24      8,161       --         --
WEIGHT WATCHERS
   INTERNATIONAL        COMMON  948626106 $      1,249.00     21,700   SH         DEFINED          6         --       --     21,700
WEINGARTEN REALTY
   INVESTORS RE         COMMON  948741103 $      5,693.00    137,325   SH         DEFINED         15    137,325       --         --
WEINGARTEN REALTY
   INVESTORS RE         COMMON  948741103 $        331.00      7,983   SH         DEFINED         24      7,983       --         --
WEINGARTEN REALTY
   INVESTORS RE         COMMON  948741103 $         81.00      1,942   SH         DEFINED          6      1,942       --         --
WEIS MKTS INC           COMMON  948849104 $        414.00      9,705   SH         DEFINED         24      9,705       --         --
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $      9,478.00     89,895   SH         DEFINED          1     89,895       --         --
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $      4,491.00     42,600   SH         DEFINED       1,15     42,600       --         --
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $    103,267.00    979,481   SH         DEFINED         15    667,781       --    303,600
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $      7,380.00     70,000   SH         DEFINED       15,8         --       --     70,000
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $          9.00         88   SH         DEFINED         23         83       --          5
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $      4,679.00     44,378   SH         DEFINED         24     44,378       --         --
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $      1,287.00     12,203   SH         DEFINED        3,1     12,203       --         --
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $      2,298.00     21,800   SH         DEFINED       5,15     21,800       --         --
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $      6,499.00     61,647   SH         DEFINED          6     35,400       --     26,247
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $        899.00      8,526   SH         DEFINED          9      8,526       --         --
WELLCARE HEALTH
   PLANS INC            COMMON  94946T106 $        541.00      5,130   SH         DEFINED        9,2      5,130       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $     96,498.00  1,222,728   SH         DEFINED          1  1,222,728       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $        827.00     10,483   SH         DEFINED       1,15     10,483       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $      2,249.00     28,500   SH         DEFINED        1,3     28,500       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $      5,469.00     69,300   SH         DEFINED         15     38,700       --     25,900
WELLPOINT INC COMMON    COMMON  94973V107 $      1,720.00     21,800   SH         DEFINED       15,8         --       --     21,800
WELLPOINT INC COMMON    COMMON  94973V107 $        237.00      3,000   SH         DEFINED         19      3,000       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $     16,195.00    205,213   SH         DEFINED          2    205,213       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $         31.00        396   SH         DEFINED       20,2         --       --        396
WELLPOINT INC COMMON    COMMON  94973V107 $     11,649.00    147,600   SH         DEFINED       20,3    147,600       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $      1,983.00     25,132   SH         DEFINED       21,2         --       --     25,132
WELLPOINT INC COMMON    COMMON  94973V107 $      3,851.00     48,800   SH         DEFINED       21,3     48,800       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $      1,312.00     16,629   SH         DEFINED         22     16,629       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $         11.00        140   SH         DEFINED         23         34       --        106
WELLPOINT INC COMMON    COMMON  94973V107 $      5,951.00     75,404   SH         DEFINED         24     75,404       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $    526,199.00  6,667,500   SH         DEFINED          3  6,667,500       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $        317.00      4,018   SH         DEFINED          4      4,018       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $      7,116.00     90,162   SH         DEFINED          6     75,191       --     14,971
WELLPOINT INC COMMON    COMMON  94973V107 $      1,073.00     13,591   SH         DEFINED          8     13,591       --         --
WELLPOINT INC COMMON    COMMON  94973V107 $     20,276.00    256,919   SH         DEFINED          9    256,919       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      3,079.00     86,429   SH         DEFINED       1,15     86,429       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      2,148.00     60,300   SH         DEFINED        1,3     60,300       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      1,882.00     52,844   SH         DEFINED         10     52,844       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      1,639.00     46,000   SH         DEFINED      11,15     46,000       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $        779.00     21,869   SH         DEFINED       11,8     21,869       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $        800.00     22,469   SH         DEFINED         14     22,469       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $        346.00      9,700   SH         DEFINED       14,3      9,700       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $    170,906.00  4,798,040   SH         DEFINED         15  3,676,640       --    953,200
WELLS FARGO &
   COMPANY              COMMON  949746101 $      5,404.00    151,700   SH         DEFINED      15,14         --       --    151,700
WELLS FARGO &
   COMPANY              COMMON  949746101 $     12,193.00    342,300   SH         DEFINED       15,8         --       --    342,300
WELLS FARGO &
   COMPANY              COMMON  949746101 $     11,103.00    311,700   SH         DEFINED       20,3    311,700       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $        208.00      5,834   SH         DEFINED         21      5,834       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      3,680.00    103,300   SH         DEFINED       21,3    103,300       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      2,559.00     71,838   SH         DEFINED         22     71,838       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WELLS FARGO &
   COMPANY              COMMON  949746101 $         28.00        786   SH         DEFINED         23        173       --        613
WELLS FARGO &
   COMPANY              COMMON  949746101 $     21,719.00    609,737   SH         DEFINED         24    609,737       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $    228,898.00  6,426,100   SH         DEFINED          3  6,426,100       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      7,505.00    210,700   SH         DEFINED       5,15    210,700       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $     10,438.00    293,045   SH         DEFINED          6    249,406       --     43,639
WELLS FARGO &
   COMPANY              COMMON  949746101 $        809.00     22,700   SH         DEFINED          7     22,700       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $      9,056.00    254,246   SH         DEFINED          8    254,246       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $     37,993.00  1,066,622   SH         DEFINED          9  1,066,622       --         --
WELLS FARGO &
   COMPANY              COMMON  949746101 $     11,808.00    331,500   SH         DEFINED       9,15    331,500       --         --
WENDY'S
   INTERNATIONAL INC    COMMON  950590109 $         53.00      1,508   SH         DEFINED       1,15      1,508       --         --
WENDY'S
   INTERNATIONAL INC    COMMON  950590109 $      5,401.00    154,700   SH         DEFINED         15     63,800       --     90,900
WENDY'S
   INTERNATIONAL INC    COMMON  950590109 $        129.00      3,700   SH         DEFINED       15,8         --       --      3,700
WENDY'S
   INTERNATIONAL INC    COMMON  950590109 $      2,470.00     70,763   SH         DEFINED         24     70,763       --         --
WENDY'S
   INTERNATIONAL INC    COMMON  950590109 $         45.00      1,298   SH         DEFINED          6      1,150       --        148
WENDY'S
   INTERNATIONAL INC    COMMON  950590109 $        126.00      3,613   SH         DEFINED          8      3,613       --         --
WENDY'S
   INTERNATIONAL INC    COMMON  950590109 $      1,337.00     38,292   SH         DEFINED          9     38,292       --         --
WERNER
   ENTERPRISES INC      COMMON  950755108 $      2,232.00    130,122   SH         DEFINED         24    130,122       --         --
WERNER
   ENTERPRISES INC      COMMON  950755108 $         27.00      1,560   SH         DEFINED          6      1,560       --         --
WESBANCO INC            COMMON  950810101 $        670.00     26,825   SH         DEFINED         15     21,125       --      5,700
WESBANCO INC            COMMON  950810101 $        461.00     18,448   SH         DEFINED         24     18,448       --         --
WESBANCO INC            COMMON  950810101 $        240.00      9,600   SH         DEFINED       5,15      9,600       --         --
WESCO FINL CORP         COMMON  950817106 $        186.00        467   SH         DEFINED         24        467       --         --
WESCO FINL CORP         COMMON  950817106 $          5.00         12   SH         DEFINED          6         --       --         12
WESCO INTL INC          COMMON  95082P105 $      9,095.00    211,804   SH         DEFINED          1    211,804       --         --
WESCO INTL INC          COMMON  95082P105 $      7,289.00    169,757   SH         DEFINED          2    169,757       --         --
WESCO INTL INC          COMMON  95082P105 $        203.00      4,726   SH         DEFINED         24      4,726       --         --
WESCO INTL INC          COMMON  95082P105 $        175.00      4,070   SH         DEFINED          6         --       --      4,070
WESCO INTL INC          COMMON  95082P105 $     19,808.00    461,300   SH         DEFINED          9    461,300       --         --
WESCO INTL INC          COMMON  95082P105 $        726.00     16,900   SH         DEFINED       9,22     16,900       --         --
WEST BANCORPORATION     COMMON  95123P106 $        100.00      6,468   SH         DEFINED         15      6,468       --         --
WEST BANCORPORATION     COMMON  95123P106 $         49.00      3,150   SH         DEFINED       5,15      3,150       --         --
WEST COAST
   BANCORP/OREGON       COMMON  952145100 $        807.00     28,400   SH         DEFINED         15     21,900       --      6,500
WEST COAST
   BANCORP/OREGON       COMMON  952145100 $         54.00      1,893   SH         DEFINED         24      1,893       --         --
WEST COAST
   BANCORP/OREGON       COMMON  952145100 $        267.00      9,400   SH         DEFINED       5,15      9,400       --         --
WEST COAST
   BANCORP/OREGON       COMMON  952145100 $         88.00      3,100   SH         DEFINED          6         --       --      3,100
WEST MARINE INC         COMMON  954235107 $        283.00     24,500   SH         DEFINED         15     16,500       --      8,000
WEST MARINE INC         COMMON  954235107 $        435.00     37,684   SH         DEFINED         24     37,684       --         --
WEST MARINE INC         COMMON  954235107 $         29.00      2,500   SH         DEFINED       5,15      2,500       --         --
West Pharmaceutical
   Services I           COMMON  955306105 $        113.00      2,716   SH         DEFINED         24      2,716       --         --
West Pharmaceutical
   Services I           COMMON  955306105 $        150.00      3,600   SH         DEFINED          6         --       --      3,600
WESTAIM CORPORATION     COMMON  956909105 $         51.00    111,200   SH         DEFINED          2    111,200       --         --
WESTAIM CORPORATION     COMMON  956909105 $      3,500.00  7,564,400   SH         DEFINED        3,1  7,564,400       --         --
WESTAMERICA
   BANCORPORATION       COMMON  957090103 $      1,185.00     23,800   SH         DEFINED         15     13,700       --     10,100
WESTAMERICA
   BANCORPORATION       COMMON  957090103 $        216.00      4,328   SH         DEFINED         24      4,328       --         --
WESTAMERICA
   BANCORPORATION       COMMON  957090103 $        159.00      3,200   SH         DEFINED       5,15      3,200       --         --
WESTAMERICA
   BANCORPORATION       COMMON  957090103 $         85.00      1,700   SH         DEFINED          6         --       --      1,700
WESTAR ENERGY INC       COMMON  95709T100 $        366.00     14,892   SH         DEFINED         24     14,892       --         --
WESTAR ENERGY INC       COMMON  95709T100 $        124.00      5,050   SH         DEFINED          6         --       --      5,050
WESTELL TECHNOLOGIES
   INC                  COMMON  957541105 $            --        140   SH         DEFINED         23         --       --        140
WESTERN ALLIANCE
   BANCORP              COMMON  957638109 $        125.00      5,300   SH         DEFINED         15      5,300       --         --
WESTERN ALLIANCE
   BANCORP              COMMON  957638109 $         46.00      1,952   SH         DEFINED         24      1,952       --         --
WESTERN ALLIANCE
   BANCORP              COMMON  957638109 $         73.00      3,100   SH         DEFINED       5,15      3,100       --         --
WESTERN ASSET EMG
   MKTS INC 2 C         COMMON  95766E103 $          3.00        200   SH         DEFINED         23         --       --        200
WESTERN ASSET HIGH
   INCOME OP C          COMMON  95766K109 $            --          3   SH         DEFINED         23         --       --          3
WESTERN DIGITAL CORP    COMMON  958102105 $      1,474.00     58,227   SH         DEFINED         24     58,227       --         --
WESTERN DIGITAL CORP    COMMON  958102105 $      6,109.00    241,287   SH         DEFINED          9    241,287       --         --
WESTERN DIGITAL CORP    COMMON  958102105 $      1,261.00     49,803   SH         DEFINED       9,22     49,803       --         --
WESTERN REFINING INC    COMMON  959319104 $      1,968.00     48,500   SH         DEFINED       1,15     48,500       --         --
WESTERN REFINING INC    COMMON  959319104 $     16,111.00    397,028   SH         DEFINED         15    264,028       --    131,400
WESTERN REFINING INC    COMMON  959319104 $      9,355.00    230,534   SH         DEFINED         24    230,534       --         --
WESTERN REFINING INC    COMMON  959319104 $        264.00      6,500   SH         DEFINED       5,15      6,500       --         --
WESTERN REFINING INC    COMMON  959319104 $        110.00      2,708   SH         DEFINED          9      2,708       --         --
WESTERN UNION CO        COMMON  959802109 $    221,632.00 10,569,002   SH         DEFINED          1 10,569,002       --         --
WESTERN UNION CO        COMMON  959802109 $        282.00     13,453   SH         DEFINED       1,15     13,453       --         --
WESTERN UNION CO        COMMON  959802109 $      3,300.00    157,359   SH         DEFINED         15    157,359       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WESTERN UNION CO        COMMON  959802109 $         36.00      1,700   SH         DEFINED         19      1,700       --         --
WESTERN UNION CO        COMMON  959802109 $            --         14   SH         DEFINED         23         --       --         14
WESTERN UNION CO        COMMON  959802109 $        636.00     30,339   SH         DEFINED         24     30,339       --         --
WESTERN UNION CO        COMMON  959802109 $     14,228.00    678,484   SH         DEFINED          4    678,484       --         --
WESTERN UNION CO        COMMON  959802109 $      1,016.00     48,451   SH         DEFINED          6      1,400       --     47,051
WESTERN UNION CO        COMMON  959802109 $        281.00     13,381   SH         DEFINED          8     13,381       --         --
WESTERN UNION CO        COMMON  959802109 $        331.00     15,769   SH         DEFINED          9     15,769       --         --
WESTFIELD FINANCIAL
   INC                  COMMON  96008P104 $        434.00     44,733   SH         DEFINED         24     44,733       --         --
WESTLAKE CHEMICAL
   CORP                 COMMON  960413102 $        180.00      7,125   SH         DEFINED         24      7,125       --         --
WESTPAC BANKING ADR     COMMON  961214301 $     24,696.00    196,313   SH         DEFINED         24    196,313       --         --
WESTWOOD ONE INC        COMMON  961815107 $      5,143.00  1,870,340   SH         DEFINED         15  1,058,040       --    812,300
WET SEAL INC            COMMON  961840105 $      4,725.00  1,220,837   SH         DEFINED          1  1,220,837       --         --
WET SEAL INC            COMMON  961840105 $         78.00     20,215   SH         DEFINED          6         --       --     20,215
WEYERHAEUSER CO         COMMON  962166104 $     23,849.00    329,865   SH         DEFINED          1    329,865       --         --
WEYERHAEUSER CO         COMMON  962166104 $        271.00      3,746   SH         DEFINED       1,15      3,746       --         --
WEYERHAEUSER CO         COMMON  962166104 $      2,686.00     37,156   SH         DEFINED         24     37,156       --         --
WEYERHAEUSER CO         COMMON  962166104 $         13.00        179   SH         DEFINED          6         --       --        179
WEYERHAEUSER CO         COMMON  962166104 $        434.00      6,000   SH         DEFINED          7      6,000       --         --
WEYERHAEUSER CO         COMMON  962166104 $        300.00      4,151   SH         DEFINED          8      4,151       --         --
WHEELING-PITTSBURGH
   CORP                 COMMON  963142302 $        530.00     27,472   SH         DEFINED         24     27,472       --         --
WHIRLPOOL CORP          COMMON  963320106 $      6,556.00     73,583   SH         DEFINED          1     73,583       --         --
WHIRLPOOL CORP          COMMON  963320106 $        121.00      1,363   SH         DEFINED       1,15      1,363       --         --
WHIRLPOOL CORP          COMMON  963320106 $      1,585.00     17,787   SH         DEFINED         24     17,787       --         --
WHIRLPOOL CORP          COMMON  963320106 $        145.00      1,632   SH         DEFINED          6         --       --      1,632
WHIRLPOOL CORP          COMMON  963320106 $        142.00      1,594   SH         DEFINED          8      1,594       --         --
WHITING PETROLEUM
   CORP                 COMMON  966387102 $     56,988.00  1,282,077   SH         DEFINED          1  1,282,077       --         --
WHITING PETROLEUM
   CORP                 COMMON  966387102 $      9,244.00    207,953   SH         DEFINED          2    207,953       --         --
WHITING PETROLEUM
   CORP                 COMMON  966387102 $      4,921.00    110,718   SH         DEFINED         24    110,718       --         --
WHITING PETROLEUM
   CORP                 COMMON  966387102 $         95.00      2,130   SH         DEFINED          6         --       --      2,130
WHITNEY HLDG CORP       COMMON  966612103 $        414.00     15,700   SH         DEFINED         15     15,700       --         --
WHITNEY HLDG CORP       COMMON  966612103 $      5,935.00    224,963   SH         DEFINED         24    224,963       --         --
WHITNEY HLDG CORP       COMMON  966612103 $         40.00      1,518   SH         DEFINED          6      1,518       --         --
WHOLE FOODS MKT INC     COMMON  966837106 $        118.00      2,412   SH         DEFINED       1,15      2,412       --         --
WHOLE FOODS MKT INC     COMMON  966837106 $          6.00        122   SH         DEFINED         23         16       --        106
WHOLE FOODS MKT INC     COMMON  966837106 $      2,261.00     46,179   SH         DEFINED         24     46,179       --         --
WHOLE FOODS MKT INC     COMMON  966837106 $        622.00     12,698   SH         DEFINED          6     12,461       --        237
WHOLE FOODS MKT INC     COMMON  966837106 $         72.00      1,468   SH         DEFINED          8      1,468       --         --
WILEY JOHN & SONS
   INC                  COMMON  968223206 $     13,236.00    294,600   SH         DEFINED        1,3    294,600       --         --
WILEY JOHN & SONS
   INC                  COMMON  968223206 $        571.00     12,700   SH         DEFINED       20,3     12,700       --         --
WILEY JOHN & SONS
   INC                  COMMON  968223206 $        289.00      6,425   SH         DEFINED         24      6,425       --         --
WILEY JOHN & SONS
   INC                  COMMON  968223206 $      4,601.00    102,400   SH         DEFINED          3    102,400       --         --
WILEY JOHN & SONS
   INC                  COMMON  968223206 $        129.00      2,875   SH         DEFINED          6         --       --      2,875
WILLIAMS COS INC        COMMON  969457100 $    135,538.00  3,979,400   SH         DEFINED          1  3,979,400       --         --
WILLIAMS COS INC        COMMON  969457100 $        356.00     10,450   SH         DEFINED       1,15     10,450       --         --
WILLIAMS COS INC        COMMON  969457100 $     10,559.00    310,000   SH         DEFINED       14,2         --       --    310,000
WILLIAMS COS INC        COMMON  969457100 $        886.00     26,000   SH         DEFINED          2         --       --     26,000
WILLIAMS COS INC        COMMON  969457100 $         11.00        312   SH         DEFINED         23        195       --        117
WILLIAMS COS INC        COMMON  969457100 $      5,919.00    173,770   SH         DEFINED         24    173,770       --         --
WILLIAMS COS INC        COMMON  969457100 $      1,138.00     33,400   SH         DEFINED          4     33,400       --         --
WILLIAMS COS INC        COMMON  969457100 $      7,623.00    223,815   SH         DEFINED          6    207,570       --     16,245
WILLIAMS COS INC        COMMON  969457100 $        363.00     10,650   SH         DEFINED          8     10,650       --         --
CLAYTON WILLIAMS
   ENERGY INC           COMMON  969490101 $         66.00      2,005   SH         DEFINED         24      2,005       --         --
WILLIAMS PARTNERS LP    COMMON  96950F104 $          8.00        191   SH         DEFINED         23        168       --         23
WILLIAMS PARTNERS LP    COMMON  96950F104 $      6,017.00    145,611   SH         DEFINED          6    130,854       --     14,757
WILLIAMS SCOTSMAN
   INTL INC             COMMON  96950G102 $        123.00      4,452   SH         DEFINED         24      4,452       --         --
WILLIAMS SCOTSMAN
   INTL INC             COMMON  96950G102 $         13.00        480   SH         DEFINED          6        480       --         --
WILLIAMS SONOMA INC     COMMON  969904101 $        308.00      9,450   SH         DEFINED         24      9,450       --         --
WILMINGTON TRUST
   CORP                 COMMON  971807102 $            --         10   SH         DEFINED         23         --       --         10
WILMINGTON TRUST
   CORP                 COMMON  971807102 $      2,710.00     69,661   SH         DEFINED         24     69,661       --         --
WILSHIRE BANCORP INC    COMMON  97186T108 $         13.00      1,206   SH         DEFINED         24      1,206       --         --
WIND RIVER SYSTEMS
   INC                  COMMON  973149107 $        637.00     54,115   SH         DEFINED         24     54,115       --         --
WINDSTREAM CORP         COMMON  97381W104 $        116.00      8,237   SH         DEFINED       1,15      8,237       --         --
WINDSTREAM CORP         COMMON  97381W104 $        177.00     12,501   SH         DEFINED         15      5,400       --      7,101
WINDSTREAM CORP         COMMON  97381W104 $        116.00      8,200   SH         DEFINED       15,8         --       --      8,200
WINDSTREAM CORP         COMMON  97381W104 $            --          4   SH         DEFINED         23         --       --          4




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WINDSTREAM CORP         COMMON  97381W104 $        936.00     66,321   SH         DEFINED         24     66,321       --         --
WINDSTREAM CORP         COMMON  97381W104 $         24.00      1,703   SH         DEFINED          6      1,137       --        566
WINNEBAGO INDUSTRIES    COMMON  974637100 $         72.00      3,000   SH         DEFINED         15      3,000       --         --
WINNEBAGO INDUSTRIES    COMMON  974637100 $         71.00      2,976   SH         DEFINED         24      2,976       --         --
WINTHROP REALTY
   TRUST                COMMON  976391102 $        435.00     64,571   SH         DEFINED         24     64,571       --         --
WINTHROP REALTY
   TRUST                COMMON  976391102 $         35.00      5,179   SH         DEFINED          6      5,179       --         --
WINTRUST FINANCIAL
   CORP                 COMMON  97650W108 $            --          5   SH         DEFINED         23         --       --          5
WINTRUST FINANCIAL
   CORP                 COMMON  97650W108 $         74.00      1,745   SH         DEFINED         24      1,745       --         --
WISCONSIN ENERGY
   CORP                 COMMON  976657106 $     13,113.00    291,209   SH         DEFINED          1    291,209       --         --
WISCONSIN ENERGY
   CORP                 COMMON  976657106 $        825.00     18,316   SH         DEFINED         15     18,316       --         --
WISCONSIN ENERGY
   CORP                 COMMON  976657106 $      1,496.00     33,226   SH         DEFINED         24     33,226       --         --
WISCONSIN ENERGY
   CORP                 COMMON  976657106 $     21,281.00    472,594   SH         DEFINED          4    472,594       --         --
WISCONSIN ENERGY
   CORP                 COMMON  976657106 $        727.00     16,150   SH         DEFINED          6      2,800       --     13,350
WISCONSIN ENERGY
   CORP                 COMMON  976657106 $        121.00      2,685   SH         DEFINED          8      2,685       --         --
WOLSELEY PLC-ADR        COMMON  97786P100 $         41.00      2,380   SH         DEFINED          6         --       --      2,380
WOLVERINE WORLD WIDE
    INC                 COMMON  978097103 $     14,556.00    531,250   SH         DEFINED         15    293,650       --    237,600
WOLVERINE WORLD WIDE
   INC                  COMMON  978097103 $         12.00        420   SH         DEFINED         23         --       --        420
WOLVERINE WORLD WIDE
   INC                  COMMON  978097103 $        705.00     25,742   SH         DEFINED         24     25,742       --         --
WOLVERINE WORLD WIDE
   INC                  COMMON  978097103 $      1,151.00     42,000   SH         DEFINED       5,15     42,000       --         --
WOLVERINE WORLD WIDE
   INC                  COMMON  978097103 $         91.00      3,325   SH         DEFINED          6         --       --      3,325
WOODWARD GOVERNOR CO    COMMON  980745103 $      6,577.00    105,400   SH         DEFINED         15     76,900       --     28,500
WOODWARD GOVERNOR CO    COMMON  980745103 $      3,322.00     53,240   SH         DEFINED         24     53,240       --         --
WOODWARD GOVERNOR CO    COMMON  980745103 $      1,398.00     22,400   SH         DEFINED       5,15     22,400       --         --
WORLD ACCEPTANCE
   CORP                 COMMON  981419104 $         37.00      1,107   SH         DEFINED         24      1,107       --         --
WORLD FUEL SERVICES
   CORP                 COMMON  981475106 $        699.00     17,136   SH         DEFINED         24     17,136       --         --
WORLD WRESTLING
   ENTERTAINMENT        COMMON  98156Q108 $      7,076.00    469,198   SH         DEFINED          1    469,198       --         --
WORLDSPACE
   INC-CLASS A          COMMON  981579105 $      7,371.00  1,851,900   SH         DEFINED          9  1,851,900       --         --
WORLDSPACE
   INC-CLASS A          COMMON  981579105 $        371.00     93,200   SH         DEFINED       9,22     93,200       --         --
WORTHINGTON
   INDUSTRIES           COMMON  981811102 $      8,385.00    355,900   SH         DEFINED         15    244,400       --    111,500
WORTHINGTON
   INDUSTRIES           COMMON  981811102 $        689.00     29,234   SH         DEFINED         24     29,234       --         --
WORTHINGTON
   INDUSTRIES           COMMON  981811102 $      1,930.00     81,900   SH         DEFINED       5,15     81,900       --         --
WRIGHT EXPRESS CORP     COMMON  98233Q105 $      8,845.00    242,384   SH         DEFINED          1    242,384       --         --
WRIGHT EXPRESS CORP     COMMON  98233Q105 $      4,866.00    133,364   SH         DEFINED         24    133,364       --         --
WRIGHT MEDICAL GROUP
   INC                  COMMON  98235T107 $     14,586.00    543,848   SH         DEFINED          1    543,848       --         --
WRIGHT MEDICAL GROUP
   INC                  COMMON  98235T107 $     11,649.00    434,324   SH         DEFINED          2    434,324       --         --
WRIGHT MEDICAL GROUP
   INC                  COMMON  98235T107 $        335.00     12,492   SH         DEFINED         24     12,492       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $        242.00      3,770   SH         DEFINED       1,15      3,770       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $        328.00      5,100   SH         DEFINED      11,15      5,100       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $      6,449.00    100,400   SH         DEFINED         15     80,100       --     17,100
WRIGLEY (WM) JR CO      COMMON  982526105 $      1,362.00     21,200   SH         DEFINED       15,8         --       --     21,200
WRIGLEY (WM) JR CO      COMMON  982526105 $        210.00      3,277   SH         DEFINED         22      3,277       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $          1.00         16   SH         DEFINED         23          5       --         11
WRIGLEY (WM) JR CO      COMMON  982526105 $     11,162.00    173,778   SH         DEFINED         24    173,778       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $        584.00      9,100   SH         DEFINED          3      9,100       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $         64.00      1,000   SH         DEFINED       5,15      1,000       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $        248.00      3,864   SH         DEFINED          6      2,700       --      1,164
WRIGLEY (WM) JR CO      COMMON  982526105 $        401.00      6,250   SH         DEFINED          7      6,250       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $        162.00      2,523   SH         DEFINED          8      2,523       --         --
WRIGLEY (WM) JR CO      COMMON  982526105 $      1,644.00     25,600   SH         DEFINED       9,15     25,600       --         --
WYETH                   COMMON  983024100 $    219,237.00  4,921,139   SH         DEFINED          1  4,921,139       --         --
WYETH                   COMMON  983024100 $      1,040.00     23,349   SH         DEFINED       1,15     23,349       --         --
WYETH                   COMMON  983024100 $      2,803.00     62,923   SH         DEFINED         15     58,423       --      3,700
WYETH                   COMMON  983024100 $        120.00      2,700   SH         DEFINED       15,8         --       --      2,700
WYETH                   COMMON  983024100 $        396.00      8,900   SH         DEFINED         19      8,900       --         --
WYETH                   COMMON  983024100 $      3,020.00     67,792   SH         DEFINED          2     67,792       --         --
WYETH                   COMMON  983024100 $         74.00      1,664   SH         DEFINED       20,2         --       --      1,664
WYETH                   COMMON  983024100 $      4,710.00    105,731   SH         DEFINED       21,2         --       --    105,731
WYETH                   COMMON  983024100 $          4.00        100   SH         DEFINED         23         24       --         76
WYETH                   COMMON  983024100 $     12,467.00    279,833   SH         DEFINED         24    279,833       --         --
WYETH                   COMMON  983024100 $      8,010.00    179,800   SH         DEFINED          3    179,800       --         --
WYETH                   COMMON  983024100 $     10,231.00    229,658   SH         DEFINED          4    229,658       --         --
WYETH                   COMMON  983024100 $      4,887.00    109,688   SH         DEFINED          6     85,582       --     24,106
WYETH                   COMMON  983024100 $      1,041.00     23,367   SH         DEFINED          8     23,367       --         --
WYETH                   COMMON  983024100 $     13,607.00    305,435   SH         DEFINED          9    305,435       --         --
WYETH CVT(WYE) FLT
   01-15-24            CONVERT  983024AD2 $     21,550.00 20,450,000   SH         DEFINED         15         --       -- 17,325,000




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WYNDHAM WORLDWIDE
   CORP                 COMMON  98310W108 $        102.00      3,099   SH         DEFINED       1,15      3,099       --         --
WYNDHAM WORLDWIDE
   CORP                 COMMON  98310W108 $         14.00        420   SH         DEFINED         23         --       --        420
WYNDHAM WORLDWIDE
   CORP                 COMMON  98310W108 $      1,318.00     40,235   SH         DEFINED         24     40,235       --         --
WYNDHAM WORLDWIDE
   CORP                 COMMON  98310W108 $         60.00      1,826   SH         DEFINED          6      1,000       --        826
WYNDHAM WORLDWIDE
   CORP                 COMMON  98310W108 $        117.00      3,585   SH         DEFINED          8      3,585       --         --
WYNN RESORTS LTD        COMMON  983134107 $      7,624.00     48,386   SH         DEFINED         24     48,386       --         --
WYNN RESORTS LTD        COMMON  983134107 $      3,403.00     21,600   SH         DEFINED          6      3,905       --     17,695
WYNN RESORTS LTD        COMMON  983134107 $        170.00      1,076   SH         DEFINED          8      1,076       --         --
XM SATELLITE RADIO      COMMON  983759101 $      1,321.00     93,222   SH         DEFINED         24     93,222       --         --
XM SATELLITE RADIO      COMMON  983759101 $         13.00        900   SH         DEFINED          6        900       --         --
XM SATELLITE RADIO      COMMON  983759101 $         33.00      2,320   SH         DEFINED          8      2,320       --         --
XM SATELLITE RADIO
   WT                   COMMON  98375Y130 $         11.00      3,652   SH         DEFINED          1      3,652       --         --
X-RITE INC              COMMON  983857103 $        436.00     30,222   SH         DEFINED         24     30,222       --         --
XTO ENERGY INC          COMMON  98385X106 $    161,369.00  2,609,459   SH         DEFINED          1  2,609,459       --         --
XTO ENERGY INC          COMMON  98385X106 $        414.00      6,697   SH         DEFINED       1,15      6,697       --         --
XTO ENERGY INC          COMMON  98385X106 $      7,297.00    118,000   SH         DEFINED       14,2         --       --    118,000
XTO ENERGY INC          COMMON  98385X106 $        198.00      3,200   SH         DEFINED         15      2,200       --         --
XTO ENERGY INC          COMMON  98385X106 $        511.00      8,263   SH         DEFINED          2      8,263       --         --
XTO ENERGY INC          COMMON  98385X106 $         28.00        446   SH         DEFINED         23        345       --        101
XTO ENERGY INC          COMMON  98385X106 $      3,491.00     56,451   SH         DEFINED         24     56,451       --         --
XTO ENERGY INC          COMMON  98385X106 $          2.00         37   SH         DEFINED          4         37       --         --
XTO ENERGY INC          COMMON  98385X106 $     21,510.00    347,827   SH         DEFINED          6    246,910       --    100,917
XTO ENERGY INC          COMMON  98385X106 $        286.00      4,631   SH         DEFINED          8      4,631       --         --
XTL BIOPHARMA-
   CEUTICALS-ADR        COMMON  98386D109 $        267.00    130,000   SH         DEFINED          9    130,000       --         --
XCEL ENERGY INC         COMMON  98389B100 $     12,450.00    578,000   SH         DEFINED          1    578,000       --         --
XCEL ENERGY INC         COMMON  98389B100 $      1,680.00     77,989   SH         DEFINED       1,15     77,989       --         --
XCEL ENERGY INC         COMMON  98389B100 $        745.00     34,600   SH         DEFINED      11,15     34,600       --         --
XCEL ENERGY INC         COMMON  98389B100 $     32,765.00  1,521,120   SH         DEFINED         15  1,244,420       --    230,700
XCEL ENERGY INC         COMMON  98389B100 $        659.00     30,600   SH         DEFINED      15,14         --       --     30,600
XCEL ENERGY INC         COMMON  98389B100 $      4,566.00    212,000   SH         DEFINED       15,8         --       --    212,000
XCEL ENERGY INC         COMMON  98389B100 $         13.00        623   SH         DEFINED         23        620       --          3
XCEL ENERGY INC         COMMON  98389B100 $      1,764.00     81,891   SH         DEFINED         24     81,891       --         --
XCEL ENERGY INC         COMMON  98389B100 $        911.00     42,300   SH         DEFINED       5,15     42,300       --         --
XCEL ENERGY INC         COMMON  98389B100 $         74.00      3,437   SH         DEFINED          6      2,810       --        627
XCEL ENERGY INC         COMMON  98389B100 $        551.00     25,578   SH         DEFINED          8     25,578       --         --
XCEL ENERGY INC         COMMON  98389B100 $        594.00     27,581   SH         DEFINED          9     27,581       --         --
XCEL ENERGY INC         COMMON  98389B100 $      3,907.00    181,400   SH         DEFINED       9,15    181,400       --         --
XILINX INC              COMMON  983919101 $     20,455.00    782,517   SH         DEFINED          1    782,517       --         --
XILINX INC              COMMON  983919101 $        134.00      5,139   SH         DEFINED       1,15      5,139       --         --
XILINX INC              COMMON  983919101 $      8,592.00    328,700   SH         DEFINED         15    172,900       --    152,100
XILINX INC              COMMON  983919101 $        518.00     19,800   SH         DEFINED       15,8         --       --     19,800
XILINX INC              COMMON  983919101 $      1,168.00     44,700   SH         DEFINED         19     44,700       --         --
XILINX INC              COMMON  983919101 $        247.00      9,432   SH         DEFINED         21      9,432       --         --
XILINX INC              COMMON  983919101 $      2,256.00     86,302   SH         DEFINED       21,2     86,302       --         --
XILINX INC              COMMON  983919101 $          1.00         22   SH         DEFINED         23          4       --         18
XILINX INC              COMMON  983919101 $      3,344.00    127,942   SH         DEFINED         24    127,942       --         --
XILINX INC              COMMON  983919101 $      2,366.00     90,506   SH         DEFINED          3     90,506       --         --
XILINX INC              COMMON  983919101 $         13.00        506   SH         DEFINED          6         --       --        506
XILINX INC              COMMON  983919101 $        170.00      6,485   SH         DEFINED          8      6,485       --         --
XILINX INC              COMMON  983919101 $      4,323.00    165,368   SH         DEFINED          9    165,368       --         --
XENOPORT INC            COMMON  98411C100 $      7,177.00    152,534   SH         DEFINED         24    152,534       --         --
XEROX CORP              COMMON  984121103 $    174,335.00 10,053,904   SH         DEFINED          1 10,053,904       --         --
XEROX CORP              COMMON  984121103 $      1,710.00     98,597   SH         DEFINED       1,15     98,597       --         --
XEROX CORP              COMMON  984121103 $        668.00     38,500   SH         DEFINED      11,15     38,500       --         --
XEROX CORP              COMMON  984121103 $     25,155.00  1,450,678   SH         DEFINED         15  1,103,028       --    312,250
XEROX CORP              COMMON  984121103 $        130.00      7,500   SH         DEFINED      15,14         --       --      7,500
XEROX CORP              COMMON  984121103 $      4,205.00    242,500   SH         DEFINED       15,8         --       --    242,500
XEROX CORP              COMMON  984121103 $        501.00     28,914   SH         DEFINED          2     28,914       --         --
XEROX CORP              COMMON  984121103 $        444.00     25,594   SH         DEFINED         22     25,594       --         --
XEROX CORP              COMMON  984121103 $      2,583.00    148,934   SH         DEFINED         24    148,934       --         --
XEROX CORP              COMMON  984121103 $     24,407.00  1,407,583   SH         DEFINED          4  1,407,583       --         --
XEROX CORP              COMMON  984121103 $        560.00     32,300   SH         DEFINED       5,15     32,300       --         --
XEROX CORP              COMMON  984121103 $         70.00      4,009   SH         DEFINED          6         --       --      4,009
XEROX CORP              COMMON  984121103 $        780.00     44,994   SH         DEFINED          8     44,994       --         --
XEROX CORP              COMMON  984121103 $      2,723.00    157,024   SH         DEFINED          9    157,024       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
XEROX CORP              COMMON  984121103 $      3,792.00    218,700   SH         DEFINED       9,15    218,700       --         --
XERIUM TECHNOLOGIES
   INC                  COMMON  98416J100 $         46.00      8,432   SH         DEFINED         24      8,432       --         --
YRC WORLDWIDE INC       COMMON  984249102 $        420.00     15,375   SH         DEFINED         24     15,375       --         --
YAHOO INC               COMMON  984332106 $        628.00     23,388   SH         DEFINED       1,15     23,388       --         --
YAHOO INC               COMMON  984332106 $        483.00     18,000   SH         DEFINED         19     18,000       --         --
YAHOO INC               COMMON  984332106 $         10.00        380   SH         DEFINED         23        336       --         44
YAHOO INC               COMMON  984332106 $      5,971.00    222,448   SH         DEFINED         24    222,448       --         --
YAHOO INC               COMMON  984332106 $     10,952.00    407,996   SH         DEFINED          3    407,996       --         --
YAHOO INC               COMMON  984332106 $      3,305.00    123,140   SH         DEFINED          6     57,240       --     65,900
YAHOO INC               COMMON  984332106 $        519.00     19,334   SH         DEFINED          8     19,334       --         --
YAHOO INC               COMMON  984332106 $      5,927.00    220,800   SH         DEFINED          9    220,800       --         --
YAMANA GOLD INC         COMMON  98462Y100 $     11,191.00    950,000   SH         DEFINED          1    950,000       --         --
YAMANA GOLD INC         COMMON  98462Y100 $      2,109.00    178,438   SH         DEFINED          2    178,438       --         --
YAMANA GOLD INC         COMMON  98462Y100 $    133,884.00 11,329,400   SH         DEFINED          3 11,329,400       --         --
YAMANA GOLD INC         COMMON  98462Y100 $     26,994.00  2,284,300   SH         DEFINED        3,1  2,284,300       --         --
YANZHOU COAL MNG CO
   LTD ADR              COMMON  984846105 $     39,048.00    381,999   SH         DEFINED         24    381,999       --         --
YINGLI GREEN ENERGY
   HOLD-ADR             COMMON  98584B103 $     50,498.00  1,937,028   SH         DEFINED         24  1,937,028       --         --
YOUNG INNOVATIONS
   INC                  COMMON  987520103 $         22.00        782   SH         DEFINED         24        782       --         --
YUM! BRANDS INC         COMMON  988498101 $      7,699.00    227,570   SH         DEFINED          1    227,570       --         --
YUM! BRANDS INC         COMMON  988498101 $        306.00      9,050   SH         DEFINED       1,15      9,050       --         --
YUM! BRANDS INC         COMMON  988498101 $        431.00     12,736   SH         DEFINED         14     12,736       --         --
YUM! BRANDS INC         COMMON  988498101 $        852.00     25,192   SH         DEFINED       14,2         --       --     25,192
YUM! BRANDS INC         COMMON  988498101 $      1,708.00     50,500   SH         DEFINED         15     33,200       --     13,100
YUM! BRANDS INC         COMMON  988498101 $        514.00     15,200   SH         DEFINED       15,8         --       --     15,200
YUM! BRANDS INC         COMMON  988498101 $      2,165.00     63,984   SH         DEFINED         22     63,984       --         --
YUM! BRANDS INC         COMMON  988498101 $            --          9   SH         DEFINED         23          4       --          5
YUM! BRANDS INC         COMMON  988498101 $      7,431.00    219,654   SH         DEFINED         24    219,654       --         --
YUM! BRANDS INC         COMMON  988498101 $      1,630.00     48,190   SH         DEFINED          6     45,748       --      2,442
YUM! BRANDS INC         COMMON  988498101 $      1,519.00     44,890   SH         DEFINED          8     44,890       --         --
YUM! BRANDS INC         COMMON  988498101 $     17,402.00    514,394   SH         DEFINED          9    514,394       --         --
ZALE CORP               COMMON  988858106 $        220.00      9,489   SH         DEFINED         24      9,489       --         --
ZALE CORP               COMMON  988858106 $         80.00      3,460   SH         DEFINED          6         --       --      3,460
ZEBRA TECHNOLOGIES
   CORP CL A            COMMON  989207105 $        690.00     18,908   SH         DEFINED         24     18,908       --         --
ZEBRA TECHNOLOGIES
   CORP CL A            COMMON  989207105 $          8.00        225   SH         DEFINED          6         --       --        225
ZENITH NATIONAL
   INSURANCE CP         COMMON  989390109 $     11,425.00    254,500   SH         DEFINED         15    177,800       --     76,700
ZENITH NATIONAL
   INSURANCE CP         COMMON  989390109 $      1,762.00     39,255   SH         DEFINED         24     39,255       --         --
ZENITH NATIONAL
   INSURANCE CP         COMMON  989390109 $      2,554.00     56,900   SH         DEFINED       5,15     56,900       --         --
ZENITH NATIONAL
   INSURANCE CP         COMMON  989390109 $        586.00     13,057   SH         DEFINED          6     10,707       --      2,350
ZIMMER HOLDINGS INC     COMMON  98956P102 $     93,316.00  1,152,193   SH         DEFINED          1  1,152,193       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $        331.00      4,091   SH         DEFINED       1,15      4,091       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $     10,593.00    130,800   SH         DEFINED        1,3    130,800       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $      1,393.00     17,200   SH         DEFINED      11,15     17,200       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $         52.00        647   SH         DEFINED         14        647       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $         52.00        647   SH         DEFINED       14,2        647       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $     48,495.00    598,780   SH         DEFINED         15    446,680       --    134,600
ZIMMER HOLDINGS INC     COMMON  98956P102 $        972.00     12,000   SH         DEFINED      15,14         --       --     12,000
ZIMMER HOLDINGS INC     COMMON  98956P102 $      4,001.00     49,400   SH         DEFINED       15,8         --       --     49,400
ZIMMER HOLDINGS INC     COMMON  98956P102 $      8,016.00     98,972   SH         DEFINED          2     98,972       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $      1,530.00     18,893   SH         DEFINED         22     18,893       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $         26.00        319   SH         DEFINED         23        119       --        200
ZIMMER HOLDINGS INC     COMMON  98956P102 $     10,182.00    125,719   SH         DEFINED         24    125,719       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $    442,495.00  5,463,573   SH         DEFINED          3  5,463,573       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $      2,276.00     28,100   SH         DEFINED       5,15     28,100       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $     10,043.00    124,009   SH         DEFINED          6     63,486       --     60,523
ZIMMER HOLDINGS INC     COMMON  98956P102 $      1,114.00     13,756   SH         DEFINED          8     13,756       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $     24,683.00    304,771   SH         DEFINED          9    304,771       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $      5,961.00     73,600   SH         DEFINED       9,15     73,600       --         --
ZIMMER HOLDINGS INC     COMMON  98956P102 $        452.00      5,576   SH         DEFINED        9,2      5,576       --         --
ZIONS BANCORPORATION    COMMON  989701107 $      9,553.00    139,113   SH         DEFINED          1    139,113       --         --
ZIONS BANCORPORATION    COMMON  989701107 $        128.00      1,867   SH         DEFINED       1,15      1,867       --         --
ZIONS BANCORPORATION    COMMON  989701107 $         55.00        800   SH         DEFINED         23        800       --         --
ZIONS BANCORPORATION    COMMON  989701107 $        500.00      7,278   SH         DEFINED         24      7,278       --         --
ZIONS BANCORPORATION    COMMON  989701107 $      1,991.00     29,000   SH         DEFINED          3     29,000       --         --
ZIONS BANCORPORATION    COMMON  989701107 $          2.00         30   SH         DEFINED          6         30       --         --
ZIONS BANCORPORATION    COMMON  989701107 $        113.00      1,642   SH         DEFINED          8      1,642       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ZIONS BANCORPORATION    COMMON  989701107 $        362.00      5,271   SH         DEFINED          9      5,271       --         --
ZORAN CORP              COMMON  98975F101 $      6,764.00    334,876   SH         DEFINED         24    334,876       --         --
ZORAN CORP              COMMON  98975F101 $        133.00      6,595   SH         DEFINED          6         --       --      6,595
ZOLTEK COMPANIES INC    COMMON  98975W104 $     39,237.00    899,302   SH         DEFINED         24    899,302       --         --
ZUMIEZ                  COMMON  989817101 $     18,009.00    405,892   SH         DEFINED          1    405,892       --         --
ZUMIEZ                  COMMON  989817101 $     13,629.00    307,160   SH         DEFINED          2    307,160       --         --
ZUMIEZ                  COMMON  989817101 $         28.00        620   SH         DEFINED         24        620       --         --
ZYGO CORPU              COMMON  989855101 $        407.00     31,211   SH         DEFINED         24     31,211       --         --
ZYMOGENETICS INC        COMMON  98985T109 $      9,159.00    701,804   SH         DEFINED          1    701,804       --         --
ZYMOGENETICS INC        COMMON  98985T109 $        134.00     10,300   SH         DEFINED         19     10,300       --         --
ZYMOGENETICS INC        COMMON  98985T109 $        766.00     58,716   SH         DEFINED          2     58,716       --         --
ZYMOGENETICS INC        COMMON  98985T109 $         19.00      1,418   SH         DEFINED       20,2         --       --      1,418
ZYMOGENETICS INC        COMMON  98985T109 $      1,214.00     93,043   SH         DEFINED       21,2         --       --     93,043
ZYMOGENETICS INC        COMMON  98985T109 $      6,852.00    525,028   SH         DEFINED         24    525,028       --         --
ZYMOGENETICS INC        COMMON  98985T109 $      8,635.00    661,700   SH         DEFINED          3    661,700       --         --
ZOLL MEDICAL CORP       COMMON  989922109 $      2,865.00    110,550   SH         DEFINED         15     76,050       --     34,500
ZOLL MEDICAL CORP       COMMON  989922109 $        554.00     21,388   SH         DEFINED         24     21,388       --         --
ZOLL MEDICAL CORP       COMMON  989922109 $        526.00     20,300   SH         DEFINED       5,15     20,300       --         --
ZOLL MEDICAL CORP       COMMON  989922109 $         29.00      1,134   SH         DEFINED          6         --       --      1,134
MOLSON COORS CANADA
   INC -B EXC          CONVERT    B05G4F5 $    277,834.00  5,532,748   SH         DEFINED          3  5,532,748       --         --
PENN WEST ENERGY
   TRUST                COMMON    B09WRL6 $        109.00      3,377   SH         DEFINED          8      3,377       --         --
ENOVA SYSTEMS INC       COMMON    B0DYY28 $      2,190.00    372,500   SH         DEFINED          9    372,500       --         --
PRECISION DRILLING
   TRUST                COMMON    B0P0ZR6 $     86,265.00  4,497,800   SH         DEFINED          3  4,497,800       --         --
TIM HORTONS INC         COMMON    B11Z635 $      7,423.00    213,000   SH         DEFINED        1,3    213,000       --         --
TIM HORTONS INC         COMMON    B11Z635 $    530,252.00 15,215,870   SH         DEFINED          3 15,215,870       --         --
BCE INC                 COMMON    B188TH2 $        269.00      6,696   SH         DEFINED         12      6,696       --         --
BCE INC                 COMMON    B188TH2 $        114.00      2,830   SH         DEFINED         24      2,830       --         --
BCE INC                 COMMON    B188TH2 $    301,589.00  7,515,541   SH         DEFINED          3  7,515,541       --         --
BCE INC                 COMMON    B188TH2 $        268.00      6,671   SH         DEFINED          8      6,671       --         --
NORTEL NETWORKS CORP    COMMON    B1H4Y76 $          4.00        237   SH         DEFINED         24        237       --         --
NORTEL NETWORKS CORP    COMMON    B1H4Y76 $        120.00      7,097   SH         DEFINED          8      7,097       --         --
DAIMLERCHRYSLER AG      COMMON  D1668R123 $         51.00        505   SH         DEFINED         23         --       --        505
DAIMLERCHRYSLER AG      COMMON  D1668R123 $     22,182.00    221,381   SH         DEFINED          4    221,381       --         --
TELVENT GIT SA          COMMON  E90215109 $        423.00     17,001   SH         DEFINED         24     17,001       --         --
ACE LTD                 COMMON  G0070K103 $    152,039.00  2,510,139   SH         DEFINED          1  2,510,139       --         --
ACE LTD                 COMMON  G0070K103 $        352.00      5,818   SH         DEFINED       1,15      5,818       --         --
ACE LTD                 COMMON  G0070K103 $         73.00      1,200   SH         DEFINED      11,15      1,200       --         --
ACE LTD                 COMMON  G0070K103 $      2,622.00     43,292   SH         DEFINED         15     33,392       --      9,900
ACE LTD                 COMMON  G0070K103 $        672.00     11,100   SH         DEFINED       15,8         --       --     11,100
ACE LTD                 COMMON  G0070K103 $     14,598.00    241,003   SH         DEFINED         24    241,003       --         --
ACE LTD                 COMMON  G0070K103 $      4,603.00     76,000   SH         DEFINED          3     76,000       --         --
ACE LTD                 COMMON  G0070K103 $      6,768.00    111,733   SH         DEFINED          4    111,733       --         --
ACE LTD                 COMMON  G0070K103 $          7.00        109   SH         DEFINED          6         --       --        109
ACE LTD                 COMMON  G0070K103 $        290.00      4,792   SH         DEFINED          8      4,792       --         --
ACE LTD                 COMMON  G0070K103 $      1,993.00     32,900   SH         DEFINED       9,15     32,900       --         --
ALLIED WORLD
   ASSURANCE HOLD       COMMON  G0219G203 $      3,717.00     71,600   SH         DEFINED         15     47,800       --     23,800
ALLIED WORLD
   ASSURANCE HOLD       COMMON  G0219G203 $        423.00      8,158   SH         DEFINED         24      8,158       --         --
ALLIED WORLD
   ASSURANCE HOLD       COMMON  G0219G203 $        794.00     15,300   SH         DEFINED       5,15     15,300       --         --
AMDOCS LTD              COMMON  G02602103 $    326,652.00  8,783,321   SH         DEFINED          1  8,783,321       --         --
AMDOCS LTD              COMMON  G02602103 $         41.00      1,102   SH         DEFINED         14      1,102       --         --
AMDOCS LTD              COMMON  G02602103 $         41.00      1,102   SH         DEFINED       14,2      1,102       --         --
AMDOCS LTD              COMMON  G02602103 $        426.00     11,448   SH         DEFINED         15     11,448       --         --
AMDOCS LTD              COMMON  G02602103 $        446.00     12,000   SH         DEFINED         19     12,000       --         --
AMDOCS LTD              COMMON  G02602103 $     19,409.00    521,899   SH         DEFINED          2    499,158       --     22,741
AMDOCS LTD              COMMON  G02602103 $      2,454.00     65,976   SH         DEFINED       21,2     65,976       --         --
AMDOCS LTD              COMMON  G02602103 $        390.00     10,477   SH         DEFINED         24     10,477       --         --
AMDOCS LTD              COMMON  G02602103 $      2,762.00     74,263   SH         DEFINED          3     74,263       --         --
AMDOCS LTD              COMMON  G02602103 $     11,096.00    298,347   SH         DEFINED          4    298,347       --         --
AMDOCS LTD              COMMON  G02602103 $         21.00        570   SH         DEFINED          6         --       --        570
AMDOCS LTD              COMMON  G02602103 $      1,004.00     27,009   SH         DEFINED        9,2     27,009       --         --
AMERICAN SAFETY INS
   HOLDINGS             COMMON  G02995101 $        371.00     18,717   SH         DEFINED         24     18,717       --         --
APEX SILVER MINES
   LTD                  COMMON  G04074103 $         35.00      1,803   SH         DEFINED         24      1,803       --         --
ARCH CAPITAL GROUP
   LTD                  COMMON  G0450A105 $      4,764.00     64,017   SH         DEFINED         24     64,017       --         --
ARGO GROUP
   INTERNATIONAL
   HOLDI                COMMON  G0464B107 $        419.00      9,624   SH         DEFINED         24      9,624       --         --
ARGO GROUP
   INTERNATIONAL
   HOLDI                COMMON  G0464B107 $         94.00      2,164   SH         DEFINED          6         --       --      2,164




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ASPEN INSURANCE
   HOLDINGS LTD         COMMON  G05384105 $      6,790.00    243,290   SH         DEFINED          1    243,290       --         --
ASPEN INSURANCE
   HOLDINGS LTD         COMMON  G05384105 $      5,949.00    213,150   SH         DEFINED         15    156,650       --     56,500
ASPEN INSURANCE
   HOLDINGS LTD         COMMON  G05384105 $        236.00      8,452   SH         DEFINED         24      8,452       --         --
ASPEN INSURANCE
   HOLDINGS LTD         COMMON  G05384105 $      1,320.00     47,300   SH         DEFINED       5,15     47,300       --         --
ASSURED GUARANTY LTD    COMMON  G0585R106 $      8,320.00    306,228   SH         DEFINED          1    306,228       --         --
ASSURED GUARANTY LTD    COMMON  G0585R106 $        170.00      6,249   SH         DEFINED         24      6,249       --         --
AXIS CAPITAL
   HOLDINGS LTD         COMMON  G0692U109 $     53,936.00  1,386,163   SH         DEFINED          1  1,386,163       --         --
AXIS CAPITAL
   HOLDINGS LTD         COMMON  G0692U109 $        778.00     19,990   SH         DEFINED         15     19,990       --         --
AXIS CAPITAL
   HOLDINGS LTD         COMMON  G0692U109 $        406.00     10,433   SH         DEFINED         24     10,433       --         --
AXIS CAPITAL
   HOLDINGS LTD         COMMON  G0692U109 $     20,360.00    523,262   SH         DEFINED          4    523,262       --         --
AXIS CAPITAL
   HOLDINGS LTD         COMMON  G0692U109 $          5.00        125   SH         DEFINED          6         --       --        125
ACCENTURE LTD CL A      COMMON  G1150G111 $    263,386.00  6,543,763   SH         DEFINED          1  6,543,763       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $      1,723.00     42,800   SH         DEFINED      11,15     42,800       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $     55,175.00  1,370,800   SH         DEFINED         15    878,900       --    467,600
ACCENTURE LTD CL A      COMMON  G1150G111 $      2,013.00     50,000   SH         DEFINED      15,14         --       --     50,000
ACCENTURE LTD CL A      COMMON  G1150G111 $      2,910.00     72,300   SH         DEFINED       15,8         --       --     72,300
ACCENTURE LTD CL A      COMMON  G1150G111 $      1,131.00     28,100   SH         DEFINED         19     28,100       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $     35,524.00    882,593   SH         DEFINED          2    882,593       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $      3,803.00     94,486   SH         DEFINED       21,2     94,486       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $         36.00        887   SH         DEFINED         23        207       --        680
ACCENTURE LTD CL A      COMMON  G1150G111 $      2,225.00     55,288   SH         DEFINED         24     55,288       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $    122,155.00  3,034,900   SH         DEFINED          3  3,034,900       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $      7,714.00    191,657   SH         DEFINED        3,1    191,657       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $        689.00     17,117   SH         DEFINED          4     17,117       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $      3,349.00     83,200   SH         DEFINED       5,15     83,200       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $     11,242.00    279,301   SH         DEFINED          6    252,569       --     26,732
ACCENTURE LTD CL A      COMMON  G1150G111 $        920.00     22,850   SH         DEFINED          8     22,850       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $      2,223.00     55,237   SH         DEFINED          9     55,237       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $      7,732.00    192,100   SH         DEFINED       9,15    192,100       --         --
ACCENTURE LTD CL A      COMMON  G1150G111 $      4,001.00     99,400   SH         DEFINED        9,2     99,400       --         --
BUNGE LIMITED           COMMON  G16962105 $      8,495.00     79,056   SH         DEFINED         24     79,056       --         --
BUNGE LIMITED           COMMON  G16962105 $         33.00        310   SH         DEFINED          6        310       --         --
BUNGE LIMITED           COMMON  G16962105 $        252.00      2,342   SH         DEFINED          8      2,342       --         --
CENTRAL EUROPEAN
   MEDIA                COMMON  G20045202 $        514.00      5,600   SH         DEFINED       10,9      5,600       --         --
CENTRAL EUROPEAN
   MEDIA                COMMON  G20045202 $      1,027.00     11,200   SH         DEFINED         20     11,200       --         --
CENTRAL EUROPEAN
   MEDIA                COMMON  G20045202 $        118.00      1,289   SH         DEFINED         24      1,289       --         --
CDC CORP-CL A           COMMON  G2022L106 $      3,611.00    492,692   SH         DEFINED         24    492,692       --         --
CHINA YUCHAI INTL
   LTD                  COMMON  G21082105 $      2,103.00    212,020   SH         DEFINED         24    212,020       --         --
CHIPMOS TECHNOLOGIES
   BERMUDA              COMMON  G2110R106 $        471.00     78,696   SH         DEFINED         24     78,696       --         --
CONSOLIDATED WATER
   CO-ORD SH            COMMON  G23773107 $     43,421.00  1,446,395   SH         DEFINED         24  1,446,395       --         --
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $     44,401.00    869,076   SH         DEFINED          1    869,076       --         --
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $        163.00      3,188   SH         DEFINED       1,15      3,188       --         --
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $        245.00      4,800   SH         DEFINED         15         --       --      4,800
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $        962.00     18,838   SH         DEFINED          2         --       --     18,838
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $          6.00        114   SH         DEFINED         23         69       --         45
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $      2,703.00     52,907   SH         DEFINED         24     52,907       --         --
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $      2,936.00     57,459   SH         DEFINED          6     29,760       --     27,699
COOPER INDUSTRIES
   INC                  COMMON  G24182100 $        218.00      4,270   SH         DEFINED          8      4,270       --         --
CREDICORP LTD           COMMON  G2519Y108 $     10,801.00    159,546   SH         DEFINED         24    159,546       --         --
CREDICORP LTD           COMMON  G2519Y108 $      9,701.00    143,300   SH         DEFINED          9    143,300       --         --
COVIDIEN LTD            COMMON  G2552X108 $    110,708.00  2,667,654   SH         DEFINED          1  2,667,654       --         --
COVIDIEN LTD            COMMON  G2552X108 $        958.00     23,080   SH         DEFINED       1,15     23,080       --         --
COVIDIEN LTD            COMMON  G2552X108 $        465.00     11,200   SH         DEFINED      11,15     11,200       --         --
COVIDIEN LTD            COMMON  G2552X108 $     21,474.00    517,434   SH         DEFINED         15    334,134       --    174,300
COVIDIEN LTD            COMMON  G2552X108 $        776.00     18,700   SH         DEFINED      15,14         --       --     18,700
COVIDIEN LTD            COMMON  G2552X108 $        917.00     22,100   SH         DEFINED       15,8         --       --     22,100
COVIDIEN LTD            COMMON  G2552X108 $         68.00      1,650   SH         DEFINED         19      1,650       --         --
COVIDIEN LTD            COMMON  G2552X108 $      1,415.00     34,104   SH         DEFINED          2     34,104       --         --
COVIDIEN LTD            COMMON  G2552X108 $         27.00        642   SH         DEFINED       20,2         --       --        642
COVIDIEN LTD            COMMON  G2552X108 $      1,672.00     40,282   SH         DEFINED       21,2         --       --     40,282
COVIDIEN LTD            COMMON  G2552X108 $          1.00         13   SH         DEFINED         23         --       --         13
COVIDIEN LTD            COMMON  G2552X108 $      1,949.00     46,954   SH         DEFINED         24     46,954       --         --
COVIDIEN LTD            COMMON  G2552X108 $    110,295.00  2,657,700   SH         DEFINED          3  2,657,700       --         --
COVIDIEN LTD            COMMON  G2552X108 $         25.00        591   SH         DEFINED        3,1        591       --         --
COVIDIEN LTD            COMMON  G2552X108 $          1.00         31   SH         DEFINED          4         31       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
COVIDIEN LTD            COMMON  G2552X108 $      1,075.00     25,900   SH         DEFINED       5,15     25,900       --         --
COVIDIEN LTD            COMMON  G2552X108 $         10.00        238   SH         DEFINED          6        175       --         63
COVIDIEN LTD            COMMON  G2552X108 $        100.00      2,400   SH         DEFINED          7      2,400       --         --
COVIDIEN LTD            COMMON  G2552X108 $        558.00     13,439   SH         DEFINED          8     13,439       --         --
COVIDIEN LTD            COMMON  G2552X108 $      1,624.00     39,126   SH         DEFINED          9     39,126       --         --
COVIDIEN LTD            COMMON  G2552X108 $      2,253.00     54,300   SH         DEFINED       9,15     54,300       --         --
ENDURANCE SPECIALTY
   HOLDINGS             COMMON  G30397106 $      6,419.00    154,500   SH         DEFINED         15    113,300       --     41,200
ENDURANCE SPECIALTY
   HOLDINGS             COMMON  G30397106 $        240.00      5,786   SH         DEFINED         24      5,786       --         --
ENDURANCE SPECIALTY
   HOLDINGS             COMMON  G30397106 $      1,001.00     24,100   SH         DEFINED       5,15     24,100       --         --
EVEREST RE GROUP LTD    COMMON  G3223R108 $     14,029.00    127,257   SH         DEFINED         24    127,257       --         --
EVEREST RE GROUP LTD    COMMON  G3223R108 $         73.00        660   SH         DEFINED          6        590       --         70
FOSTER WHEELER LTD      COMMON  G36535139 $    263,464.00  2,006,889   SH         DEFINED          1  2,006,889       --         --
FOSTER WHEELER LTD      COMMON  G36535139 $         42.00        318   SH         DEFINED         14        318       --         --
FOSTER WHEELER LTD      COMMON  G36535139 $         42.00        318   SH         DEFINED       14,2        318       --         --
FOSTER WHEELER LTD      COMMON  G36535139 $        328.00      2,500   SH         DEFINED         15      2,200       --         --
FOSTER WHEELER LTD      COMMON  G36535139 $     15,783.00    120,222   SH         DEFINED          2    104,804       --     15,418
FOSTER WHEELER LTD      COMMON  G36535139 $         55.00        418   SH         DEFINED         23         18       --        400
FOSTER WHEELER LTD      COMMON  G36535139 $      5,747.00     43,774   SH         DEFINED         24     43,774       --         --
FOSTER WHEELER LTD      COMMON  G36535139 $      1,579.00     12,025   SH         DEFINED          6      3,600       --      8,425
FOSTER WHEELER LTD      COMMON  G36535139 $        823.00      6,269   SH         DEFINED        9,2      6,269       --         --
FRESH DEL MONTE
   PRODUCE INC          COMMON  G36738105 $      7,523.00    261,686   SH         DEFINED         24    261,686       --         --
FUWEI FILMS HOLDINGS
   CO LTD               COMMON  G3704F102 $        472.00     55,375   SH         DEFINED         24     55,375       --         --
GARMIN LTD              COMMON  G37260109 $     14,925.00    125,000   SH         DEFINED          1    125,000       --         --
GARMIN LTD              COMMON  G37260109 $         13.00        110   SH         DEFINED         23         98       --         12
GARMIN LTD              COMMON  G37260109 $     34,786.00    291,336   SH         DEFINED         24    291,336       --         --
GARMIN LTD              COMMON  G37260109 $      9,089.00     76,121   SH         DEFINED          6     43,668       --     32,453
GARMIN LTD              COMMON  G37260109 $        232.00      1,940   SH         DEFINED          8      1,940       --         --
GARMIN LTD              COMMON  G37260109 $        230.00      1,923   SH         DEFINED          9      1,923       --         --
GLOBAL CROSSING LTD     COMMON  G3921A175 $         35.00      1,640   SH         DEFINED         24      1,640       --         --
GLOBAL CROSSING LTD     COMMON  G3921A175 $        214.00     10,170   SH         DEFINED          6         --       --     10,170
GLOBAL SOURCES
   LIMITED              COMMON  G39300101 $      3,979.00    179,474   SH         DEFINED         24    179,474       --         --
GLOBALSANTAFE CORP      COMMON  G3930E101 $     47,899.00    630,079   SH         DEFINED          1    630,079       --         --
GLOBALSANTAFE CORP      COMMON  G3930E101 $        821.00     10,804   SH         DEFINED         24     10,804       --         --
GLOBALSANTAFE CORP      COMMON  G3930E101 $        132.00      1,730   SH         DEFINED          6         --       --      1,730
GLOBALSANTAFE CORP      COMMON  G3930E101 $        308.00      4,047   SH         DEFINED          8      4,047       --         --
GLOBALSANTAFE CORP      COMMON  G3930E101 $        705.00      9,276   SH         DEFINED          9      9,276       --         --
HELEN OF TROY CORP
   LTD                  COMMON  G4388N106 $        517.00     26,781   SH         DEFINED         24     26,781       --         --
HERBALIFE LTD           COMMON  G4412G101 $     13,755.00    302,567   SH         DEFINED          1    302,567       --         --
HERBALIFE LTD           COMMON  G4412G101 $        136.00      3,000   SH         DEFINED         19      3,000       --         --
HERBALIFE LTD           COMMON  G4412G101 $      1,162.00     25,558   SH         DEFINED          2     25,558       --         --
HERBALIFE LTD           COMMON  G4412G101 $         28.00        620   SH         DEFINED       20,2         --       --        620
HERBALIFE LTD           COMMON  G4412G101 $      1,812.00     39,869   SH         DEFINED       21,2         --       --     39,869
HERBALIFE LTD           COMMON  G4412G101 $        250.00      5,496   SH         DEFINED         24      5,496       --         --
INGERSOLL-RAND CO
   LTD-CL A             COMMON  G4776G101 $        271.00      4,976   SH         DEFINED       1,15      4,976       --         --
INGERSOLL-RAND CO
   LTD-CL A             COMMON  G4776G101 $         44.00        805   SH         DEFINED         23         --       --        805
INGERSOLL-RAND CO
   LTD-CL A             COMMON  G4776G101 $      1,892.00     34,734   SH         DEFINED         24     34,734       --         --
INGERSOLL-RAND CO
   LTD-CL A             COMMON  G4776G101 $        641.00     11,776   SH         DEFINED          6     10,640       --      1,136
INGERSOLL-RAND CO
   LTD-CL A             COMMON  G4776G101 $        350.00      6,428   SH         DEFINED          8      6,428       --         --
INGERSOLL-RAND CO
   LTD-CL A             COMMON  G4776G101 $        982.00     18,033   SH         DEFINED          9     18,033       --         --
IPC HOLDINGS LTD        COMMON  G4933P101 $        170.00      5,897   SH         DEFINED         24      5,897       --         --
IPC HOLDINGS LTD        COMMON  G4933P101 $        116.00      4,010   SH         DEFINED          6         --       --      4,010
JINPAN INTERNATIONAL
   LTD                  COMMON  G5138L100 $        667.00     23,225   SH         DEFINED         24     23,225       --         --
KNIGHTSBRIDGE
   TANKERS LTD          COMMON  G5299G106 $        164.00      6,100   SH         DEFINED         15      6,100       --         --
KNIGHTSBRIDGE
   TANKERS LTD          COMMON  G5299G106 $        588.00     21,845   SH         DEFINED         24     21,845       --         --
KNIGHTSBRIDGE
   TANKERS LTD          COMMON  G5299G106 $         70.00      2,600   SH         DEFINED       5,15      2,600       --         --
LAZARD LTD CL A         COMMON  G54050102 $        396.00      9,328   SH         DEFINED         24      9,328       --         --
MARVELL TECHNOLOGY      COMMON  G5876H105 $      3,007.00    183,714   SH         DEFINED         24    183,714       --         --
MARVELL TECHNOLOGY      COMMON  G5876H105 $         58.00      3,520   SH         DEFINED          8      3,520       --         --
MAX CAPITAL GROUP
   LTD                  COMMON  G6052F103 $      6,038.00    215,341   SH         DEFINED          1    215,341       --         --
MAX CAPITAL GROUP
   LTD                  COMMON  G6052F103 $      6,072.00    216,560   SH         DEFINED         24    216,560       --         --
MAX CAPITAL GROUP
   LTD                  COMMON  G6052F103 $         29.00      1,040   SH         DEFINED          6      1,040       --         --
MF GLOBAL LTD           COMMON  G60642108 $     51,013.00  1,759,076   SH         DEFINED          1  1,759,076       --         --
MF GLOBAL LTD           COMMON  G60642108 $      1,080.00     37,245   SH         DEFINED          2         --       --     37,245
MONTPELIER RE
   HOLDING              COMMON  G62185106 $      4,862.00    274,700   SH         DEFINED         15    232,300       --     42,400
MONTPELIER RE
   HOLDING              COMMON  G62185106 $        266.00     15,032   SH         DEFINED         24     15,032       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
MONTPELIER RE
   HOLDING              COMMON  G62185106 $      1,209.00     68,300   SH         DEFINED       5,15     68,300       --         --
NABORS INDS LTD         COMMON  G6359F103 $     35,386.00  1,150,000   SH         DEFINED          1  1,150,000       --         --
NABORS INDS LTD         COMMON  G6359F103 $        150.00      4,864   SH         DEFINED       1,15      4,864       --         --
NABORS INDS LTD         COMMON  G6359F103 $      6,462.00    210,000   SH         DEFINED       14,2         --       --    210,000
NABORS INDS LTD         COMMON  G6359F103 $         11.00        342   SH         DEFINED         23         35       --        307
NABORS INDS LTD         COMMON  G6359F103 $        681.00     22,136   SH         DEFINED         24     22,136       --         --
NABORS INDS LTD         COMMON  G6359F103 $         30.00        986   SH         DEFINED          6        600       --        386
NABORS INDS LTD         COMMON  G6359F103 $        176.00      5,728   SH         DEFINED          8      5,728       --         --
NOBLE CORP              COMMON  G65422100 $     51,697.00  1,053,959   SH         DEFINED          1  1,053,959       --         --
NOBLE CORP              COMMON  G65422100 $        229.00      4,661   SH         DEFINED       1,15      4,661       --         --
NOBLE CORP              COMMON  G65422100 $        654.00     13,328   SH         DEFINED         15     13,328       --         --
NOBLE CORP              COMMON  G65422100 $          3.00         70   SH         DEFINED         23          8       --         62
NOBLE CORP              COMMON  G65422100 $     35,891.00    731,727   SH         DEFINED         24    731,727       --         --
NOBLE CORP              COMMON  G65422100 $     17,670.00    360,235   SH         DEFINED          4    360,235       --         --
NOBLE CORP              COMMON  G65422100 $         23.00        460   SH         DEFINED          6         60       --        400
NOBLE CORP              COMMON  G65422100 $        284.00      5,782   SH         DEFINED          8      5,782       --         --
NORDIC AMERICAN
   TANKER SHIPPIN       COMMON  G65773106 $        442.00     11,254   SH         DEFINED         24     11,254       --         --
ORIENT EXPRESS
   HOTEL LTD A          COMMON  G67743107 $         87.00      1,704   SH         DEFINED         24      1,704       --         --
ORIENT EXPRESS
   HOTEL LTD A          COMMON  G67743107 $        119.00      2,330   SH         DEFINED          6         --       --      2,330
ORIGIN AGRITECH LTD     COMMON  G67828106 $        795.00    104,705   SH         DEFINED         24    104,705       --         --
PARTNERRE LTD           COMMON  G6852T105 $     35,300.00    446,889   SH         DEFINED         12    125,489       --    321,400
PARTNERRE LTD           COMMON  G6852T105 $        430.00      5,450   SH         DEFINED      12,14      5,450       --         --
PARTNERRE LTD           COMMON  G6852T105 $     17,053.00    215,887   SH         DEFINED         15    196,277       --     19,610
PARTNERRE LTD           COMMON  G6852T105 $         33.00        420   SH         DEFINED      20,12        420       --         --
PARTNERRE LTD           COMMON  G6852T105 $      1,043.00     13,200   SH         DEFINED      20,15         --       --     13,200
PARTNERRE LTD           COMMON  G6852T105 $      2,641.00     33,440   SH         DEFINED      21,15         --       --         --
PARTNERRE LTD           COMMON  G6852T105 $          1.00          7   SH         DEFINED         23         --       --          7
PARTNERRE LTD           COMMON  G6852T105 $     12,864.00    162,855   SH         DEFINED         24    162,855       --         --
PARTNERRE LTD           COMMON  G6852T105 $      1,193.00     15,100   SH         DEFINED       5,15      8,600       --      6,500
PARTNERRE LTD           COMMON  G6852T105 $         39.00        500   SH         DEFINED          6        500       --         --
PARTNERRE LTD           COMMON  G6852T105 $      2,828.00     35,800   SH         DEFINED          9     35,800       --         --
PARTNERRE LTD           COMMON  G6852T105 $      2,637.00     33,389   SH         DEFINED       9,15         --       --     33,389
PARTNERRE LTD           COMMON  G6852T105 $        553.00      7,000   SH         DEFINED       9,22      7,000       --         --
PLATINUM
   UNDERWRITERS
   HLDGS                COMMON  G7127P100 $      2,019.00     56,140   SH         DEFINED          1     56,140       --         --
PLATINUM
   UNDERWRITERS
   HLDGS                COMMON  G7127P100 $      4,869.00    135,400   SH         DEFINED         15    100,100       --     35,300
PLATINUM
   UNDERWRITERS
   HLDGS                COMMON  G7127P100 $        213.00      5,931   SH         DEFINED         24      5,931       --         --
PLATINUM
   UNDERWRITERS
   HLDGS                COMMON  G7127P100 $      1,219.00     33,900   SH         DEFINED       5,15     33,900       --         --
PRIMUS GUARANTY LTD     COMMON  G72457107 $        479.00     45,542   SH         DEFINED         24     45,542       --         --
PRIMUS GUARANTY LTD     COMMON  G72457107 $      8,403.00    798,800   SH         DEFINED          9    798,800       --         --
PRIMUS GUARANTY LTD     COMMON  G72457107 $      1,255.00    119,300   SH         DEFINED       9,22    119,300       --         --
QIAO XING MOBILE
   COMMUNICATION        COMMON  G73031109 $      2,170.00    222,551   SH         DEFINED         24    222,551       --         --
QIAO XING UNIVERSAL
   TELE INC             COMMON  G7303A109 $      1,388.00    125,498   SH         DEFINED         24    125,498       --         --
SCOTTISH RE GROUP
   LTD                  COMMON  G73537410 $        150.00     47,164   SH         DEFINED         24     47,164       --         --
RAM HOLDINGS LTD        COMMON  G7368R104 $        929.00     99,900   SH         DEFINED         15     78,600       --     21,300
RAM HOLDINGS LTD        COMMON  G7368R104 $        425.00     45,717   SH         DEFINED         24     45,717       --         --
RAM HOLDINGS LTD        COMMON  G7368R104 $        295.00     31,700   SH         DEFINED       5,15     31,700       --         --
RENAISSANCERE
   HOLDINGS LTD         COMMON  G7496G103 $     13,082.00    200,000   SH         DEFINED          1    200,000       --         --
RENAISSANCERE
   HOLDINGS LTD         COMMON  G7496G103 $        331.00      5,060   SH         DEFINED         15      3,760       --        600
RENAISSANCERE
   HOLDINGS LTD         COMMON  G7496G103 $          4.00         68   SH         DEFINED         23         13       --         55
RENAISSANCERE
   HOLDINGS LTD         COMMON  G7496G103 $      7,750.00    118,491   SH         DEFINED         24    118,491       --         --
RENAISSANCERE
   HOLDINGS LTD         COMMON  G7496G103 $         46.00        700   SH         DEFINED          6         --       --        700
RENAISSANCERE
   HOLDINGS LTD         COMMON  G7496G103 $        363.00      5,551   SH         DEFINED          8      5,551       --         --
SEAGATE TECHNOLOGY      COMMON  G7945J104 $    131,450.00  5,138,763   SH         DEFINED          1  5,138,763       --         --
SEAGATE TECHNOLOGY      COMMON  G7945J104 $        588.00     23,000   SH         DEFINED         19     23,000       --         --
SEAGATE TECHNOLOGY      COMMON  G7945J104 $        486.00     19,011   SH         DEFINED          2     19,011       --         --
SEAGATE TECHNOLOGY      COMMON  G7945J104 $      1,600.00     62,531   SH         DEFINED       21,2     62,531       --         --
SEAGATE TECHNOLOGY      COMMON  G7945J104 $        761.00     29,742   SH         DEFINED         24     29,742       --         --
SEAGATE TECHNOLOGY      COMMON  G7945J104 $      1,873.00     73,240   SH         DEFINED          6      3,240       --     70,000
SEAGATE TECHNOLOGY      COMMON  G7945J104 $        203.00      7,938   SH         DEFINED          8      7,938       --         --
SECURITY CAPITAL
   ASSURANCE            COMMON  G8018D107 $     52,127.00  2,282,258   SH         DEFINED          1  2,282,258       --         --
SECURITY CAPITAL
   ASSURANCE            COMMON  G8018D107 $      9,325.00    408,282   SH         DEFINED          2    408,282       --         --
SHIP FINANCE INTL
   LTD                  COMMON  G81075106 $        284.00     10,796   SH         DEFINED         24     10,796       --         --
SINA CORPORTATION       COMMON  G81477104 $     11,159.00    233,214   SH         DEFINED         24    233,214       --         --
SINA CORPORTATION       COMMON  G81477104 $        780.00     16,300   SH         DEFINED        3,7     16,300       --         --
SINA CORPORTATION       COMMON  G81477104 $     13,388.00    279,800   SH         DEFINED          7    279,800       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
SINA CORPORTATION       COMMON  G81477104 $      6,718.00    140,400   SH         DEFINED          9    140,400       --         --
SINA CORPORTATION       COMMON  G81477104 $     20,820.00    435,100   SH         DEFINED       9,22    435,100       --         --
SINA CORPORTATION       COMMON  G81477104 $     22,729.00    475,000   SH         DEFINED        9,7    475,000       --         --
SMART MODULAR
   TECHNOLOGIES         COMMON  G82245104 $     19,334.00  2,704,100   SH         DEFINED        1,3  2,704,100       --         --
SMART MODULAR
   TECHNOLOGIES         COMMON  G82245104 $        700.00     97,900   SH         DEFINED       20,3     97,900       --         --
SMART MODULAR
   TECHNOLOGIES         COMMON  G82245104 $      6,457.00    903,100   SH         DEFINED          3    903,100       --         --
W.P. STEWART & CO
   LTD                  COMMON  G84922106 $        142.00     14,348   SH         DEFINED         24     14,348       --         --
TBS INTERNATIONAL
   LTD-A                COMMON  G86975151 $        249.00      6,034   SH         DEFINED         24      6,034       --         --
UTI WORLDWIDE INC       COMMON  G87210103 $     20,335.00    884,899   SH         DEFINED          1    884,899       --         --
UTI WORLDWIDE INC       COMMON  G87210103 $        789.00     34,328   SH         DEFINED          2         --       --     34,328
UTI WORLDWIDE INC       COMMON  G87210103 $         95.00      4,114   SH         DEFINED         24      4,114       --         --
UTI WORLDWIDE INC       COMMON  G87210103 $         16.00        695   SH         DEFINED          6        695       --         --
TRANSOCEAN INC          COMMON  G90078109 $    330,525.00  2,923,710   SH         DEFINED          1  2,923,710       --         --
TRANSOCEAN INC          COMMON  G90078109 $        568.00      5,022   SH         DEFINED       1,15      5,022       --         --
TRANSOCEAN INC          COMMON  G90078109 $        407.00      3,600   SH         DEFINED      11,15      3,600       --         --
TRANSOCEAN INC          COMMON  G90078109 $     13,463.00    119,093   SH         DEFINED         15     97,593       --     18,300
TRANSOCEAN INC          COMMON  G90078109 $      2,046.00     18,100   SH         DEFINED       15,8         --       --     18,100
TRANSOCEAN INC          COMMON  G90078109 $        392.00      3,468   SH         DEFINED          2      3,468       --         --
TRANSOCEAN INC          COMMON  G90078109 $         12.00        104   SH         DEFINED         23        100       --          4
TRANSOCEAN INC          COMMON  G90078109 $     24,022.00    212,488   SH         DEFINED         24    212,488       --         --
TRANSOCEAN INC          COMMON  G90078109 $     14,500.00    128,258   SH         DEFINED          4    128,258       --         --
TRANSOCEAN INC          COMMON  G90078109 $        407.00      3,600   SH         DEFINED       5,15      3,600       --         --
TRANSOCEAN INC          COMMON  G90078109 $         97.00        855   SH         DEFINED          6        498       --        357
TRANSOCEAN INC          COMMON  G90078109 $        640.00      5,661   SH         DEFINED          8      5,661       --         --
TRANSOCEAN INC          COMMON  G90078109 $        241.00      2,128   SH         DEFINED          9      2,128       --         --
TRANSOCEAN INC          COMMON  G90078109 $      1,911.00     16,900   SH         DEFINED       9,15     16,900       --         --
TSAKOS ENERGY
   NAVIGATION LTD       COMMON  G9108L108 $        190.00      2,693   SH         DEFINED         24      2,693       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $    155,969.00  3,517,576   SH         DEFINED          1  3,517,576       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $        383.00      8,630   SH         DEFINED       1,15      8,630       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $      1,732.00     39,054   SH         DEFINED         15     37,354       --      1,700
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $        366.00      8,244   SH         DEFINED          2      8,244       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $        316.00      7,127   SH         DEFINED         21      7,127       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $          1.00         13   SH         DEFINED         23         --       --         13
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $      2,605.00     58,745   SH         DEFINED         24     58,745       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $     16,340.00    368,521   SH         DEFINED        3,1    368,521       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $      5,709.00    128,765   SH         DEFINED          4    128,765       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $         11.00        238   SH         DEFINED          6        175       --         63
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $        516.00     11,645   SH         DEFINED          8     11,645       --         --
TYCO INTERNATIONAL
   LTD                  COMMON  G9143X208 $        894.00     20,168   SH         DEFINED          9     20,168       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $    160,475.00  4,529,347   SH         DEFINED          1  4,529,347       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        831.00     23,464   SH         DEFINED       1,15     23,464       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        411.00     11,600   SH         DEFINED      11,15     11,600       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $     19,784.00    558,394   SH         DEFINED         15    363,494       --    185,600
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        687.00     19,400   SH         DEFINED      15,14         --       --     19,400
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        719.00     20,300   SH         DEFINED       15,8         --       --     20,300
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        465.00     13,111   SH         DEFINED          2     13,111       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $            --         13   SH         DEFINED         23         --       --         13
TYCO ELECTRONICS LTD    COMMON  G9144P105 $      2,081.00     58,745   SH         DEFINED         24     58,745       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $     13,055.00    368,476   SH         DEFINED        3,1    368,476       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $      4,560.00    128,691   SH         DEFINED          4    128,691       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        935.00     26,400   SH         DEFINED       5,15     26,400       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $          8.00        238   SH         DEFINED          6        175       --         63
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        538.00     15,177   SH         DEFINED          8     15,177       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $        901.00     25,426   SH         DEFINED          9     25,426       --         --
TYCO ELECTRONICS LTD    COMMON  G9144P105 $      2,002.00     56,500   SH         DEFINED       9,15     56,500       --         --
VISTAPRINT LTD          COMMON  G93762204 $        270.00      7,236   SH         DEFINED         24      7,236       --         --
WARNER CHILCOTT
   LTD-CLASS A          COMMON  G9435N108 $     14,465.00    814,015   SH         DEFINED          1    814,015       --         --
WARNER CHILCOTT
   LTD-CLASS A          COMMON  G9435N108 $      4,773.00    268,617   SH         DEFINED         24    268,617       --         --
WEATHERFORD INTL LTD    COMMON  G95089101 $    385,666.00  5,740,792   SH         DEFINED          1  5,740,792       --         --
WEATHERFORD INTL LTD    COMMON  G95089101 $        393.00      5,850   SH         DEFINED       1,15      5,850       --         --
WEATHERFORD INTL LTD    COMMON  G95089101 $     10,211.00    152,000   SH         DEFINED       14,2         --       --    152,000
WEATHERFORD INTL LTD    COMMON  G95089101 $      3,441.00     51,228   SH         DEFINED         15     51,228       --         --
WEATHERFORD INTL LTD    COMMON  G95089101 $        599.00      8,915   SH         DEFINED          2      8,915       --         --
WEATHERFORD INTL LTD    COMMON  G95089101 $         40.00        602   SH         DEFINED         23        233       --        369
WEATHERFORD INTL LTD    COMMON  G95089101 $      6,321.00     94,087   SH         DEFINED         24     94,087       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
WEATHERFORD INTL LTD    COMMON  G95089101 $        336.00      5,000   SH         DEFINED          3      5,000       --         --
WEATHERFORD INTL LTD    COMMON  G95089101 $     16,323.00    242,973   SH         DEFINED          4    242,973       --         --
WEATHERFORD INTL LTD    COMMON  G95089101 $     19,707.00    293,349   SH         DEFINED          6    205,312       --     88,037
WEATHERFORD INTL LTD    COMMON  G95089101 $        350.00      5,208   SH         DEFINED          8      5,208       --         --
WHITE MOUNTAINS
   INSURANCE GP         COMMON  G9618E107 $        104.00        200   SH         DEFINED         23         --       --        200
WHITE MOUNTAINS
   INSURANCE GP         COMMON  G9618E107 $        394.00        759   SH         DEFINED         24        759       --         --
WHITE MOUNTAINS
   INSURANCE GP         COMMON  G9618E107 $         39.00         75   SH         DEFINED          6         75       --         --
WILLIS GROUP HLDGS
   LTD                  COMMON  G96655108 $      2,886.00     70,500   SH         DEFINED        1,3     70,500       --         --
WILLIS GROUP HLDGS
   LTD                  COMMON  G96655108 $     14,935.00    364,800   SH         DEFINED       20,3    364,800       --         --
WILLIS GROUP HLDGS
   LTD                  COMMON  G96655108 $      4,941.00    120,700   SH         DEFINED       21,3    120,700       --         --
WILLIS GROUP HLDGS
   LTD                  COMMON  G96655108 $        346.00      8,440   SH         DEFINED         24      8,440       --         --
WILLIS GROUP HLDGS
   LTD                  COMMON  G96655108 $    372,840.00  9,106,976   SH         DEFINED          3  9,106,976       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $     30,524.00    385,400   SH         DEFINED          1    385,400       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $        994.00     12,554   SH         DEFINED       1,15     12,554       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $        855.00     10,800   SH         DEFINED      11,15     10,800       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $     21,343.00    269,484   SH         DEFINED         15    206,584       --     57,700
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $        285.00      3,600   SH         DEFINED      15,14         --       --      3,600
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $      2,447.00     30,900   SH         DEFINED       15,8         --       --     30,900
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $         89.00      1,129   SH         DEFINED          2      1,129       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $     27,337.00    345,158   SH         DEFINED         24    345,158       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $     16,379.00    206,811   SH         DEFINED          4    206,811       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $        396.00      5,000   SH         DEFINED       5,15      5,000       --         --
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $         58.00        735   SH         DEFINED          6         --       --        735
XL CAPITAL LIMITED
   CL A                 COMMON  G98255105 $        504.00      6,364   SH         DEFINED          8      6,364       --         --
XL CAPITAL LIMITED
CL A                    COMMON  G98255105 $      5,362.00     67,700   SH         DEFINED       9,15     67,700       --         --
XYRATEX LTD             COMMON  G98268108 $        227.00     11,845   SH         DEFINED         24     11,845       --         --
ALCON INC               COMMON  H01301102 $        813.00      5,649   SH         DEFINED          1      5,649       --         --
ALCON INC               COMMON  H01301102 $         33.00        226   SH         DEFINED       21,2        226       --         --
ALCON INC               COMMON  H01301102 $         36.00        250   SH         DEFINED         23         --       --        250
ALCON INC               COMMON  H01301102 $      5,791.00     40,235   SH         DEFINED         24     40,235       --         --
ALCON INC               COMMON  H01301102 $      1,927.00     13,390   SH         DEFINED          6      2,285       --     11,105
LOGITECH
   INTERNATIONAL-REG    COMMON  H50430232 $      1,544.00     52,252   SH         DEFINED         24     52,252       --         --
UBS AG-REG              COMMON  H89231338 $      9,492.00    178,260   SH         DEFINED          1    178,260       --         --
UBS AG-REG              COMMON  H89231338 $     15,917.00    298,915   SH         DEFINED          4    298,915       --         --
UBS AG-REG              COMMON  H89231338 $        772.00     14,492   SH         DEFINED          6      3,667       --     10,825
MILLICOM INTL
   CELLULAR S.A.        COMMON  L6388F110 $      9,556.00    113,900   SH         DEFINED          1    113,900       --         --
MILLICOM INTL
   CELLULAR S.A.        COMMON  L6388F110 $      2,653.00     31,625   SH         DEFINED         24     31,625       --         --
ALVARION LIMITED        COMMON  M0861T100 $        329.00     22,633   SH         DEFINED         24     22,633       --         --
AUDIOCODES LTD          COMMON  M15342104 $          9.00      1,599   SH         DEFINED         24      1,599       --         --
CELLCOM ISRAEL LTD      COMMON  M2196U109 $      1,019.00     41,900   SH         DEFINED          9      7,000       --     34,900
CELLCOM ISRAEL LTD      COMMON  M2196U109 $        448.00     18,400   SH         DEFINED       9,15     18,400       --         --
CELLCOM ISRAEL LTD      COMMON  M2196U109 $      1,397.00     57,400   SH         DEFINED       9,22     57,400       --         --
CHECK POINT SOFTWARE
   TECH LTD             COMMON  M22465104 $          1.00         50   SH         DEFINED         23         --       --         50
CHECK POINT SOFTWARE
   TECH LTD             COMMON  M22465104 $      2,008.00     79,726   SH         DEFINED         24     79,726       --         --
CHECK POINT SOFTWARE
   TECH LTD             COMMON  M22465104 $         40.00      1,580   SH         DEFINED          6      1,580       --         --
FUNDTECH LTD            COMMON  M47095100 $        541.00     30,739   SH         DEFINED         24     30,739       --         --
GIVEN IMAGING LTD       COMMON  M52020100 $        227.00      8,246   SH         DEFINED         24      8,246       --         --
ORBOTECH LTD            COMMON  M75253100 $      6,969.00    331,389   SH         DEFINED          1    331,389       --         --
ORBOTECH LTD            COMMON  M75253100 $      5,454.00    259,322   SH         DEFINED          2    259,322       --         --
ORBOTECH LTD            COMMON  M75253100 $         64.00      3,059   SH         DEFINED         24      3,059       --         --
RADWARE LTD             COMMON  M81873107 $        481.00     30,654   SH         DEFINED         24     30,654       --         --
SYNERON MEDICAL LTD     COMMON  M87245102 $         27.00      1,138   SH         DEFINED         24      1,138       --         --
AERCAP HOLDINGS NV      COMMON  N00985106 $     11,141.00    447,623   SH         DEFINED          1    447,623       --         --
ASM INTERNATIONAL
   N.V.                 COMMON  N07045102 $     10,443.00    365,400   SH         DEFINED        1,3    365,400       --         --
ASM INTERNATIONAL
   N.V.                 COMMON  N07045102 $        600.00     21,000   SH         DEFINED       20,3     21,000       --         --
ASM INTERNATIONAL
   N.V.                 COMMON  N07045102 $      3,721.00    130,200   SH         DEFINED          3    130,200       --         --
ASML HOLDING NV ADR     COMMON  N07059111 $        986.00     30,000   SH         DEFINED         19     30,000       --         --
ASML HOLDING NV ADR     COMMON  N07059111 $          1.00         16   SH         DEFINED         23         --       --         16
ASML HOLDING NV ADR     COMMON  N07059111 $     11,307.00    344,100   SH         DEFINED          3    344,100       --         --
CNH GLOBAL N.V.         COMMON  N20935206 $      5,614.00     92,427   SH         DEFINED         24     92,427       --         --
CORE LABORATORIES
   N V                  COMMON  N22717107 $     20,716.00    162,616   SH         DEFINED          1    162,616       --         --
CORE LABORATORIES
   N V                  COMMON  N22717107 $     14,141.00    111,007   SH         DEFINED          2    111,007       --         --
CORE LABORATORIES
   N V                  COMMON  N22717107 $      5,386.00     42,281   SH         DEFINED         24     42,281       --         --
CORE LABORATORIES
   N V                  COMMON  N22717107 $         13.00        100   SH         DEFINED          6        100       --         --
ORTHOFIX INTL N V       COMMON  N6748L102 $         76.00      1,551   SH         DEFINED         24      1,551       --         --




INVESCO PLC - 13F FILING REPORT
QUARTER END 09/30/2007



                      TITLE OF                                        SH/ PUT/ INVESTMENT    OTHER     VOTING    VOTING     VOTING
SECURITY DESCRIPTION   CLASS      CUSIP     MARKET VALUE   PAR VALUE  PRN CALL DISCRETION  MANAGERS     SOLE     SHARED      NONE
-------------------- --------- ---------- --------------- ---------- ---- ---- ---------- ---------- ---------- -------- -----------
                                                                                        
ORTHOFIX INTL N V       COMMON  N6748L102 $        151.00      3,075   SH         DEFINED          6         --       --      3,075
BANCO
   LATINOAMERICANO
   DE CL E              COMMON  P16994132 $        193.00     10,600   SH         DEFINED         15     10,600       --         --
BANCO
   LATINOAMERICANO
   DE CL E              COMMON  P16994132 $            --          3   SH         DEFINED         23         --       --          3
BANCO
   LATINOAMERICANO
   DE CL E              COMMON  P16994132 $        658.00     36,191   SH         DEFINED         24     36,191       --         --
BANCO
   LATINOAMERICANO
   DE CL E              COMMON  P16994132 $        113.00      6,200   SH         DEFINED       5,15      6,200       --         --
COPA HOLDINGS
   SA-CLASS A           COMMON  P31076105 $        169.00      4,226   SH         DEFINED         24      4,226       --         --
SINOVAC BIOTECH LTD     COMMON  P8696W104 $        927.00    170,076   SH         DEFINED         24    170,076       --         --
STEINER LEISURE LTD     COMMON  P8744Y102 $         48.00      1,100   SH         DEFINED         24      1,100       --         --
STEINER LEISURE LTD     COMMON  P8744Y102 $         59.00      1,370   SH         DEFINED          6         --       --      1,370
ROYAL CARIBBEAN
   CRUISES LTD          COMMON  V7780T103 $      8,671.00    222,170   SH         DEFINED          1    222,170       --         --
ROYAL CARIBBEAN
   CRUISES LTD          COMMON  V7780T103 $      1,000.00     25,612   SH         DEFINED       14,2         --       --     25,612
ROYAL CARIBBEAN
   CRUISES LTD          COMMON  V7780T103 $         12.00        300   SH         DEFINED         23         --       --        300
ROYAL CARIBBEAN
    CRUISES LTD         COMMON  V7780T103 $        886.00     22,693   SH         DEFINED         24     22,693       --         --
ASE TEST LTD            COMMON  Y02516105 $        430.00     29,896   SH         DEFINED         24     29,896       --         --
CREATIVE TECHNOLOGY
   LIMITED              COMMON  Y1775U107 $         25.00      6,150   SH         DEFINED         24      6,150       --         --
DIANA SHIPPING INC      COMMON  Y2066G104 $        148.00      5,195   SH         DEFINED         24      5,195       --         --
DIANA SHIPPING INC      COMMON  Y2066G104 $      1,790.00     62,800   SH         DEFINED        3,1     62,800       --         --
DIANA SHIPPING INC      COMMON  Y2066G104 $        764.00     26,800   SH         DEFINED        9,2     26,800       --         --
DRYSHIPS INC            COMMON  Y2109Q101 $         36.00        400   SH         DEFINED         23         --       --        400
DRYSHIPS INC            COMMON  Y2109Q101 $        357.00      3,930   SH         DEFINED         24      3,930       --         --
EAGLE BULK SHIPPING
   INC                  COMMON  Y2187A101 $         59.00      2,289   SH         DEFINED         24      2,289       --         --
FLEXTRONICS INTL LTD    COMMON  Y2573F102 $            --         13   SH         DEFINED         23         --       --         13
FLEXTRONICS INTL LTD    COMMON  Y2573F102 $      3,501.00    313,162   SH         DEFINED         24    313,162       --         --
FLEXTRONICS INTL LTD    COMMON  Y2573F102 $         22.00      1,938   SH         DEFINED          6      1,558       --        380
FLEXTRONICS INTL LTD    COMMON  Y2573F102 $        120.00     10,728   SH         DEFINED          8     10,728       --         --
GENCO SHIPPING &
   TRADING LTD          COMMON  Y2685T107 $        106.00      1,618   SH         DEFINED         24      1,618       --         --
GENERAL MARITIME
   CORP                 COMMON  Y2692M103 $      6,834.00    244,850   SH         DEFINED         15    166,150       --     78,700
GENERAL MARITIME
   CORP                 COMMON  Y2692M103 $          3.00        100   SH         DEFINED         23         --       --        100
GENERAL MARITIME
   CORP                 COMMON  Y2692M103 $        139.00      4,983   SH         DEFINED         24      4,983       --         --
GENERAL MARITIME
   CORP                 COMMON  Y2692M103 $      1,479.00     53,000   SH         DEFINED       5,15     53,000       --         --
GIGAMEDIA LTD           COMMON  Y2711Y104 $         17.00      1,057   SH         DEFINED         24      1,057       --         --
QUINTANA MARITIME
   LTD                  COMMON  Y7169G109 $         50.00      2,616   SH         DEFINED         24      2,616       --         --
SEASPAN CORP            COMMON  Y75638109 $        582.00     17,700   SH         DEFINED          1     17,700       --         --
SEASPAN CORP            COMMON  Y75638109 $         26.00        800   SH         DEFINED       21,2        800       --         --
SEASPAN CORP            COMMON  Y75638109 $         16.00        500   SH         DEFINED         23         --       --        500
SEASPAN CORP            COMMON  Y75638109 $        301.00      9,149   SH         DEFINED         24      9,149       --         --
TEEKAY CORP             COMMON  Y8564W103 $        628.00     10,679   SH         DEFINED         24     10,679       --         --
TEEKAY CORP             COMMON  Y8564W103 $        657.00     11,170   SH         DEFINED          6         --       --     11,170
VERIGY LTD              COMMON  Y93691106 $      1,671.00     67,620   SH         DEFINED          1     67,620       --         --
VERIGY LTD              COMMON  Y93691106 $      2,745.00    111,100   SH         DEFINED         15     33,300       --     77,800
VERIGY LTD              COMMON  Y93691106 $      9,914.00    401,216   SH         DEFINED         24    401,216       --         --
VERIGY LTD              COMMON  Y93691106 $        125.00      5,078   SH         DEFINED          6         --       --      5,078
VERIGY LTD              COMMON  Y93691106 $         24.00        978   SH         DEFINED          7        978       --         --
                                          ---------------
GRAND TOTAL                               $129,637,567.00
TOTAL COUNT                                        12,977