SEC NEWS DIGEST Issue 2006-56 March 23, 2006 COMMISSION ANNOUNCEMENTS SEC APPROVES NYSE HYBRID MARKET PROPOSAL On March 22, the Commission approved the New York Stock Exchange's proposed Hybrid Market. The Commission's approval of the Hybrid Market proposal enables the NYSE to integrate its traditional floor-based auction market with enhanced automated trading functionality. "The Commission supports the markets' adoption of new trading systems and new technologies in order to deliver improved service to investors," said SEC Chairman Christopher Cox. "At the same time, with our major exchanges now responsible to their public shareholders for performance, the SEC is redoubling its focus on investor protection, to ensure that competition among markets is conducted on the basis of what's best for the investing public." Significant changes to NYSE's market structure under the Hybrid Market model include: Expanding NYSE's automatic execution facility, Direct+, so that it will accept more order types and allow executions to occur against liquidity that is priced outside the NYSE's best bid or offer. Automating participation by NYSE floor members so that they can electronically provide liquidity that would be available for automatic executions. Allowing specialists to create proprietary algorithms so that they can electronically quote and trade. These algorithms should enable specialists to continue to fulfill their obligations to the market in an automated fashion. The Commission recently extended a pilot program that has allowed NYSE to begin testing some of the many systems enhancements that must be made to enable NYSE to switch to the Hybrid Market. Upon approval of the Hybrid Market, NYSE will begin a phased rollout of all of the necessary systems changes. The rollout of the Hybrid Market will occur over a period of several months. NYSE will notify the public of its roll out status on its web site, at www.NYSE.com. The Commission's order approving the proposed rule changes is available on the Commission's Web site at http://www.sec.gov/rules/sro/nyse/34-53539.pdf. (Press Rel. 2006-41) INVESTMENT ADVISERS ACT RELEASES ADLER MANAGEMENT, LLC A notice has been issued giving interested persons until April 13, 2006, to request a hearing on an application filed by Adler Management, LLC for an order under Section 202(a)(11)(F) of the Investment Advisers Act. The order would declare Adler Management, LLC and its employees acting within the scope of their employment to be persons not within the intent of Section 202(a)(11), which defines the term "investment adviser." (Rel. IA-2500 - March 21) SELF-REGULATORY ORGANIZATIONS IMMEDIATE EFFECTIVENESS OF PROPOSED RULE CHANGES A proposed rule change (SR-BSE-2006-14) and Amendments No. 1 and 2 thereto filed by the Boston Stock Exchange relating to information contained in a directed order on the Boston Options Exchange has become effective under Section 19(b)(3)(A) under the Securities Exchange Act of 1934. Publication of the proposal is expected in the Federal Register during the week of March 27. (Rel. 34-53516) A proposed rule change (SR-Phlx-2006-16) filed by the Philadelphia Stock Exchange relating to its dividend spread and merger spread program has become effective immediately under Section 19(b)(3)(A) of the Securities Exchange Act of 1934. Publication of the proposal is expected in the Federal Register during the week of March 27. (Rel. 34-53529) PROPOSED RULE CHANGES The National Association of Securities Dealers filed a proposed rule change relating to proposed amendments to IM-2110-2 to codify NASD's existing position that the Manning Rule applies to all members, whether acting as a market maker or not (SR-NASD-2006-035). Publication of the proposal is expected in the Federal Register during the week of March 27. (Rel. 34-53527) The International Securities Exchange filed a proposed rule change (SR-ISE-2005-56) to establish fees for enhanced sentiment market data. Publication of the proposal is expected in the Federal Register during the week of March 27. (Rel. 34-53532) APPROVAL OF PROPOSED RULE CHANGES The Commission approved a proposed rule change (SR-NASD-2006-008) submitted by the National Association of Securities Dealers to re- establish a fee pilot for National Quotation Data Service. Publication of the proposal is expected in the Federal Register during the week of March 27. (Rel. 34-53531) The Commission approved a proposed rule change (SR-NSCC-2005-15) filed by the National Securities Clearing Corporation relating to buy-ins in its Continuous Net Settlement system. Publication of the proposal is expected in the Federal Register during the week of March 27. (Rel. 34-53528) The Commission approved a proposed rule change (SR-NYSE-2004-05) and Amendment Nos. 1, 2, 3, and 5 thereto and accelerated approval of Amendment Nos. 6, 7, and 8 to the proposed rule change filed by the New York Stock Exchange to establish the Hybrid Market. Publication of the order is expected in the Federal Register during the week of March 27. (Rel. 34-53539) SECURITIES ACT REGISTRATIONS The following registration statements have been filed with the SEC under the Securities Act of 1933. The reported information appears as follows: Form, Name, Address and Phone Number (if available) of the issuer of the security; Title and the number and/or face amount of the securities being offered; Name of the managing underwriter or depositor (if applicable); File number and date filed; Assigned Branch; and a designation if the statement is a New Issue. Registration statements may be obtained in person or by writing to the Commission's Public Reference Branch at 450 Fifth Street, N.W., Washington, D.C. 20549 or at the following e-mail box address: . In most cases, this information is also available on the Commission's website: . S-8 LITEWAVE CORP, 1220 EASTVIEW ROAD, SUITE 100, NORTH VANCOUVER BC, CANADA, A1, V7J 1L6, 6046757637 - 252,433 ($68,156.91) Equity, (File 333-132615 - Mar. 22) (BR. 04B) S-3ASR PROLOGIS, 4545 AIRPORT WAY, DENVER, CO, 80239, 3033759292 - 0 ($0.00) Unallocated (Universal) Shelf, (File 333-132616 - Mar. 22) (BR. 08C) S-4 SERVICE CORPORATION INTERNATIONAL, 1929 ALLEN PKWY, P O BOX 130548, HOUSTON, TX, 77019, 7135225141 - 0 ($300,000,000.00) Non-Convertible Debt, (File 333-132617 - Mar. 22) (BR. 11B) S-3ASR FOSTER WHEELER LTD, PERRYVILLE CORPORATE PARK, SERVICE ROAD EST 173, CLINTON, NJ, 08809, 9087304270 - 5,482,109 ($255,940,489.00) Equity, (File 333-132618 - Mar. 22) (BR. 06C) S-8 BP PLC, 1 ST JAMES'S SQUARE, LONDON, SW1Y 4PD, X0, 00000, 442074964000 - 60,000,000 ($697,956,000.00) ADRs/ADSs, (File 333-132619 - Mar. 22) (BR. 04B) S-8 MEDIA SCIENCES INTERNATIONAL INC, 8 ALLERMAN ROAD, OAKLAND, NJ, 07436, 2016779311 - 500,000 ($2,020,000.00) Equity, (File 333-132620 - Mar. 22) (BR. 06B) SB-2 EP Floors, Inc., 4 SPRINGFIELD STREET,5TH FLOOR, THREE RIVERS, MA, 01080, 413-283-5164 - 1,675,000 ($16,750.00) Equity, (File 333-132621 - Mar. 22) (BR. ) S-8 INTERNAL HYDRO INTERNATIONAL INC, 607A W MARTIN LUTHER KING BLVD, ,, TAMPA, FL, 33603, 8189811796 - 7,500,000 ($1,387,500.00) Other, (File 333-132622 - Mar. 22) (BR. 02C) S-8 FIRST SOUTH BANCORP INC /VA/, 1311 CAROLINA AVE, WASHINGTON, NC, 27889, 2529464178 - 198,744 ($7,099,158.00) Equity, (File 333-132623 - Mar. 22) (BR. 07C) S-8 TRANSACT TECHNOLOGIES INC, 7 LASER LANE, WALLINGFORD, CT, 06492, 2032691198 - 0 ($5,394,000.00) Equity, (File 333-132624 - Mar. 22) (BR. 03C) S-3ASR OMNICOM GROUP INC, 437 MADISON AVE, NEW YORK, NY, 10022, 2124153700 - 0 ($0.00) Debt, (File 333-132625 - Mar. 22) (BR. 11A) S-3ASR BOSTON SCIENTIFIC CORP, ONE BOSTON SCIENTIFIC PL, NATICK, MA, 01760-1537, 5086508000 - 0 ($0.00) Other, (File 333-132626 - Mar. 22) (BR. 10A) S-8 Valera Pharmaceuticals Inc, 8 CLARKE DR, CRANBURY, NJ, 08512, 609-409-9010 - 1,833,333 ($11,235,849.00) Equity, (File 333-132628 - Mar. 22) (BR. 01) S-3 GLOBAL SIGNAL INC, 301 N CATTLEMEN RD, STE 300, SARASOTA, FL, 34232, 941-364-8886 - 0 ($514,551,533.10) Equity, (File 333-132629 - Mar. 22) (BR. 08C) S-3ASR AMKOR TECHNOLOGY INC, 1900 SOUTH PRICE ROAD, CHANDLER, AZ, 85248, 480-821-5000 - 13,351,134 ($100,000,000.00) Debt Convertible into Equity, (File 333-132630 - Mar. 22) (BR. 10A) S-3 FAR EAST ENERGY CORP, 400 N. SAM HOUSTON PARKWAY E., SUITE 205, HOUSTON, TX, 77060, 7135861900 - 0 ($150,000,000.00) Other, (File 333-132631 - Mar. 22) (BR. 04C) S-1 MEDWAVE INC, 4382 ROUND LAKE RD WEST, STE 6, ARDEN HILLS, MN, 55112-3923, 6126391227 - 0 ($6,490,675.00) Equity, (File 333-132633 - Mar. 22) (BR. 10B) S-1 NANO PROPRIETARY INC, 3006 LONGHORN BOULEVARD, SUITE 107, AUSTIN, TX, 78758, 5123315020 - 750,000 ($1,713,750.00) Equity, (File 333-132634 - Mar. 22) (BR. 11C) S-1 EAGLE BROADBAND INC, 101 COURAGEOUS DR, LEAGUE CITY, TX, 77573, 2815386000 - 24,180,556 ($2,176,250.00) Equity, (File 333-132635 - Mar. 22) (BR. 11C) N-2 CALAMOS CONVERTIBLE & HIGH INCOME FUND, 2020 CALAMOS COURT, C/O CALAMOS ADVISORS LLC, NAPERVILLE, IL, 60563, 6305779688 - 0 ($1,000,000.00) Equity, (File 333-132636 - Mar. 22) (BR. 16) S-1 Local Matters Inc., 1221 AURARIA PARKWAY, DENVER, CO, 80204, 303.572.1122 - 0 ($57,500,000.00) Equity, (File 333-132637 - Mar. 22) (BR. ) S-8 BEACON POWER CORP, 234 BALLARDVALE ST, WILMINGTON, MA, 01887, 9786949121 - 15,100,000 ($23,556,000.00) Equity, (File 333-132638 - Mar. 22) (BR. 02B) N-2 FIRST TRUST TAX-ADVANTAGED PREFERRED INCOME FUND, 1001 WARRENVILLE ROAD, SUITE 300, LISLE, IL, 60532, 630-241-4141 - 1,000 ($20,000.00) Equity, (File 333-132639 - Mar. 22) (BR. ) S-4 INERGY L P, TWO BRUSH CREEK, SUITE 200, KANSAS CITY, MO, 64112, 8168428181 - 0 ($200,000,000.00) Non-Convertible Debt, (File 333-132640 - Mar. 22) (BR. 02C) S-4 Spheris Inc., 720 COOL SPRINGS BOULEVARD, SUITE 200, FRANKLIN, TN, 37067, 615-261-1500 - 0 ($125,000,000.00) Debt, (File 333-132641 - Mar. 22) (BR. ) RECENT 8K FILINGS Form 8-K is used by companies to file current reports on the following events: 1.01 Entry into a Material Definitive Agreement 1.02 Termination of a Material Definitive Agreement 1.03 Bankruptcy or Receivership 2.01 Completion of Acquisition or Disposition of Assets 2.02 Results of Operations and Financial Condition 2.03 Creation of a Direct Financial Obligation or an Obligation under an Off-Balance Sheet Arrangement of a Registrant 2.04 Triggering Events That Accelerate or Increase a Direct Financial Obligation under an Off-Balance Sheet Arrangement 2.05 Cost Associated with Exit or Disposal Activities 2.06 Material Impairments 3.01 Notice of Delisting or Failure to Satisfy a Continued Listing Rule or Standard; Transfer of Listing 3.02 Unregistered Sales of Equity Securities 3.03 Material Modifications to Rights of Security Holders 4.01 Changes in Registrant's Certifying Accountant 4.02 Non-Reliance on Previously Issued Financial Statements or a Related Audit Report or Completed Interim Review 5.01 Changes in Control of Registrant 5.02 Departure of Directors or Principal Officers; Election of Directors; Appointment of Principal Officers 5.03 Amendments to Articles of Incorporation or Bylaws; Change in Fiscal Year 5.04 Temporary Suspension of Trading Under Registrant's Employee Benefit Plans 5.05 Amendments to the Registrant's Code of Ethics, or Waiver of a Provision of the Code of Ethics 6.01. ABS Informational and Computational Material. 6.02. Change of Servicer or Trustee. 6.03. Change in Credit Enhancement or Other External Support. 6.04. Failure to Make a Required Distribution. 6.05. Securities Act Updating Disclosure. 7.01 Regulation FD Disclosure 8.01 Other Events 9.01 Financial Statements and Exhibits 8-K reports may be obtained in person or by writing to the Commission's Public Reference Branch at 450 Fifth Street, N.W., Washington, D.C. 20549 or at the following e-mail box address: . In most cases, this information is also available on the Commission's website: . STATE 8K ITEM NO. NAME OF ISSUER CODE DATE COMMENT ------------------------------------------------------------------------------------------------------- AAR CORP DE 2.02,9.01 03/22/06 AASTROM BIOSCIENCES INC MI 8.01,9.01 03/22/06 ABRAXAS PETROLEUM CORP NV 2.02,4.02 03/16/06 ACE LTD D0 2.02,9.01 03/22/06 AMEND ACTUANT CORP WI 2.02,9.01 03/22/06 Adams Respiratory Therapeutics, Inc. TX 7.01,9.01 03/22/06 ADOBE SYSTEMS INC DE 2.02,9.01 03/22/06 ADVANCED BIOTHERAPY INC DE 8.01 03/22/06 ADVANCED MARKETING SERVICES INC DE 8.01,9.01 03/20/06 ADVANCED MEDIA TRAINING INC DE 1.01,7.01,9.01 03/20/06 ADVANCED MICRO DEVICES INC DE 1.01 03/16/06 ADVANCED PHOTONIX INC DE 3.02,9.01 03/21/06 Aearo CO I DE 8.01,9.01 03/21/06 AIR PRODUCTS & CHEMICALS INC /DE/ DE 1.01,7.01,8.01,9.01 03/16/06 ALDILA INC DE 7.01,9.01 03/22/06 ALLIANCE IMAGING INC /DE/ DE 1.01 03/16/06 ALLIANCE LAUNDRY SYSTEMS LLC 2.06 03/20/06 ALLIANCE ONE INTERNATIONAL, INC. VA 2.01 03/22/06 ALLIANT TECHSYSTEMS INC DE 1.01 03/13/06 AMEND ALPHA PRO TECH LTD DE 2.02,9.01 03/22/06 AMERICAN BILTRITE INC DE 8.01,9.01 03/17/06 AMERICAN EAGLE OUTFITTERS INC DE 1.01 03/16/06 AMERICAN ENTERPRISE MVA ACCOUNT IN 1.01,7.01,9.01 03/17/06 AMERICAN LEISURE HOLDINGS, INC. NV 3.02,5.02 03/07/06 AMG OIL LTD NV 5.02 03/21/06 ANGELICA CORP /NEW/ MO 5.03,9.01 03/20/06 ANTHRACITE CAPITAL INC MD 1.01,2.03 03/16/06 AON CORP DE 1.01 03/16/06 APOLLO INVESTMENT CORP MD 8.01 03/22/06 APPLIANCE RECYCLING CENTERS OF AMERIC MN 2.02,9.01 03/20/06 APPLIANCE RECYCLING CENTERS OF AMERIC MN 8.01,9.01 03/16/06 APPLIED MATERIALS INC /DE DC 7.01,9.01 03/22/06 ARBINET THEXCHANGE INC DE 8.01,9.01 03/22/06 AUTOZONE INC NV 8.01 03/22/06 AUXILIO INC NV 1.01,9.01 03/14/06 AVID TECHNOLOGY INC DE 4.01,9.01 03/16/06 AVIGEN INC \DE DE 1.01,5.02,9.01 03/20/06 BAKERS FOOTWEAR GROUP INC MO 1.01,9.01 03/16/06 Bank of Commerce Holdings CA 8.01,9.01 03/22/06 BANK OF SOUTH CAROLINA CORP SC 4.01,9.01 03/06/06 AMEND BEAR STEARNS COMPANIES INC DE 8.01 03/16/06 BEARD CO /OK OK 3.02 03/21/06 BECKMAN COULTER INC DE 1.01 03/16/06 BILL BARRETT CORP 1.01,2.03,9.01 03/17/06 BIO LOK INTERNATIONAL INC DE 2.02,9.01 03/22/06 BIOMARIN PHARMACEUTICAL INC DE 8.01,9.01 03/20/06 BIOSANTE PHARMACEUTICALS INC DE 1.01 03/16/06 BLACKBAUD INC 5.02 03/16/06 BOSTON RESTAURANT ASSOCIATES INC DE 1.01,9.01 03/17/06 BRAINSTORM CELL THERAPEUTICS INC 1.01,1.02,9.01 03/20/06 Brooklyn Cheesecake & Desert Com NY 5.03,9.01 03/20/06 BRT REALTY TRUST MA 1.01,2.03,9.01 03/22/06 CALIFORNIA MICRO DEVICES CORP CA 1.01,9.01 03/16/06 CALIFORNIA NEWS TECH NV 5.02 03/20/06 CANO PETROLEUM, INC 7.01,9.01 03/22/06 CAPITAL BANK CORP NC 9.01 01/03/06 AMEND CAPITAL ONE FUNDING, LLC 6.02,9.01 03/22/06 CARDIODYNAMICS INTERNATIONAL CORP CA 8.01,9.01 03/17/06 CardioVascular BioTherapeutics, Inc. DE 1.01,2.03,3.02,3.03,9.01 03/20/06 CAREY W P & CO LLC DE 2.06 03/20/06 CATO CORP DE 1.01,5.02,9.01 03/21/06 CB RICHARD ELLIS GROUP INC DE 1.01 03/20/06 CELSION CORP MD 1.01,9.01 03/16/06 CENTRAL VIRGINIA BANKSHARES INC VA 5.02 03/17/06 CEPHALON INC DE 7.01 03/22/06 CEPHALON INC DE 7.01 03/22/06 AMEND CHESAPEAKE ENERGY CORP OK 5.03,8.01,9.01 03/21/06 CITADEL BROADCASTING CORP DE 1.01 03/16/06 CITIGROUP MORTGAGE LOAN TRUST, SERIES 2.01,9.01 12/30/05 CITIZENS COMMUNICATIONS CO DE 1.01,5.02,9.01 03/22/06 CLARIENT, INC DE 1.01 03/17/06 CLEAN WATER TECHNOLOGIES INC DE 1.01,2.01,9.01 03/16/06 CLECO CORP LA 7.01,9.01 03/22/06 CNL Hotels & Resorts, Inc. MD 1.01 03/22/06 Cole Credit Property Trust II Inc MD 9.01 01/06/06 AMEND Coleman Cable, Inc. DE 4.02 03/21/06 COLONIAL BANCGROUP INC DE 1.01,9.01 03/21/06 Colonial Bankshares Inc X1 1.01,9.01 03/16/06 COMPASS BANCSHARES INC DE 4.01,9.01 03/16/06 CONNETICS CORP DE 1.01,9.01 03/16/06 CONOLOG CORP DE 3.01 03/16/06 CONSTAR INTERNATIONAL INC DE 1.01,9.01 03/16/06 Copano Energy, L.L.C. DE 7.01,9.01 03/20/06 CORNELL COMPANIES INC DE 8.01,9.01 03/22/06 CRUZAN INTERNATIONAL, INC. DE 2.01,3.01,5.01,5.02,9.01 03/22/06 CRYOCOR INC DE 1.01,5.02,9.01 03/21/06 CTI INDUSTRIES CORP DE 1.01,9.01 03/17/06 CURON MEDICAL INC DE 1.01,2.01,8.01,9.01 03/16/06 Cybrdi, Inc. CA 4.01,9.01 02/22/06 AMEND CYTOKINETICS INC 1.01,9.01 03/16/06 DANA CORP VA 2.02,7.01,9.01 03/22/06 DARDEN RESTAURANTS INC FL 2.02,9.01 03/21/06 DEARBORN BANCORP INC /MI/ MI 8.01,9.01 03/21/06 DEL GLOBAL TECHNOLOGIES CORP NY 8.01,9.01 03/22/06 DIGITAL RIVER INC /DE DE 8.01 03/22/06 DIGITAL RIVER INC /DE DE 8.01,9.01 03/21/06 AMEND DIVERSIFIED FINANCIAL RESOURCES CORP DE 5.02 03/20/06 DOCUMENT SCIENCES CORP DE 1.01,5.02,9.01 02/24/06 EASTON-BELL SPORTS, INC. DE 1.01,2.01,2.03,5.02,9.01 03/16/06 EAUTOCLAIMS, INC NV 3.02,9.01 03/21/06 ECB BANCORP INC NC 7.01,9.01 03/22/06 ECC Capital CORP 1.01,9.01 03/16/06 Echo Healthcare Acquisition Corp. DE 5.03,9.01 03/22/06 Education Realty Trust, Inc. MD 7.01,9.01 03/22/06 EGL INC TX 1.01,5.02,9.01 03/17/06 ELECTRIC CITY CORP DE 2.02,9.01 03/21/06 ELECTRO SCIENTIFIC INDUSTRIES INC OR 2.02,9.01 03/22/06 ELITE FLIGHT SOLUTIONS INC DE 2.01,9.01 03/17/06 ELITE FLIGHT SOLUTIONS INC DE 1.01,9.01 03/01/06 ELITE FLIGHT SOLUTIONS INC DE 1.01,3.02,8.01,9.01 02/14/06 AMEND EMAK Worldwide, Inc. DE 3.01,9.01 03/16/06 ENDO PHARMACEUTICALS HOLDINGS INC DE 7.01,9.01 03/21/06 ENDO PHARMACEUTICALS HOLDINGS INC DE 8.01,9.01 03/21/06 ESB FINANCIAL CORP PA 8.01,9.01 03/22/06 ever-glory international group, inc. FL 2.01,5.01 07/29/05 AMEND EXPEDITORS INTERNATIONAL OF WASHINGTO WA 7.01 03/22/06 EXXON MOBIL CORP NJ 2.02,7.01 03/22/06 FAUQUIER BANKSHARES INC VA 5.03,9.01 03/16/06 Federal Home Loan Bank of New York X1 1.01 01/19/06 FEDEX CORP DE 2.02,9.01 03/22/06 Feldman Mall Properties, Inc. MD 1.01,2.03 03/13/06 FERRELLGAS PARTNERS L P DE 7.01 03/22/06 FIRST FEDERAL BANCSHARES INC /DE DE 2.02,9.01 03/17/06 FIRST MIDWEST BANCORP INC DE 1.01,2.03,7.01,9.01 03/21/06 FIRST MONTAUK FINANCIAL CORP NJ 2.02 03/21/06 FLIGHT SAFETY TECHNOLOGIES INC NV 8.01,9.01 03/22/06 FLOW INTERNATIONAL CORP WA 8.01,9.01 03/15/06 FLOWSERVE CORP NY 1.01 03/16/06 FORRESTER RESEARCH INC DE 1.01,9.01 03/16/06 FORTUNE ENTERTAINMENT CORP /DE/ DE 5.02 03/21/06 FUELNATION INC FL 2.02,7.01,9.01 03/21/06 GE Capital Credit Card Master Note Tr DE 8.01,9.01 03/15/06 GE Capital Credit Card Master Note Tr DE 8.01,9.01 03/15/06 GE Capital Credit Card Master Note Tr DE 8.01,9.01 03/15/06 GE Capital Credit Card Master Note Tr DE 8.01,9.01 03/15/06 GE Capital Credit Card Master Note Tr DE 8.01,9.01 03/15/06 GENAERA CORP DE 5.02,9.01 03/22/06 GENAERA CORP DE 5.02,8.01,9.01 03/16/06 GENERAL MOTORS CORP DE 8.01 03/22/06 GLADSTONE COMMERCIAL CORP MD 1.01,9.01 03/17/06 GOLDEN TELECOM INC DE 1.01,1.02,5.02,9.01 03/16/06 GOLDSPRING INC FL 8.01,9.01 09/21/05 GRANT PARK FUTURES FUND LIMITED PARTN IL 7.01 03/17/06 GREAT CHINA MINING, INC NV 3.02 03/14/06 GREIF INC DE 1.01 03/16/06 HAIGHTS CROSS COMMUNICATIONS INC DE 2.02 03/22/06 HANCOCK FABRICS INC DE 1.01,3.03,9.01 03/21/06 HARLEYSVILLE NATIONAL CORP PA 5.02 01/08/06 Harry & David Holdings, Inc. DE 1.01,1.02,2.03,9.01 03/20/06 HAWAIIAN HOLDINGS INC DE 2.02,9.01 03/22/06 HIGHWOODS PROPERTIES INC MD 5.02 03/16/06 Home Loan Trust 2006-HI1 DE 8.01,9.01 03/22/06 HORIZON OFFSHORE INC DE 7.01,9.01 03/22/06 HUGHES SUPPLY INC FL 7.01,9.01 03/17/06 ICT GROUP INC PA 1.01,8.01,9.01 03/20/06 IDS LIFE INSURANCE CO MN 1.01,7.01,9.01 03/17/06 IMAGING DIAGNOSTIC SYSTEMS INC /FL/ FL 1.01,9.01 03/21/06 IMCLONE SYSTEMS INC DE 1.01 03/20/06 IMMUNICON CORP 8.01,9.01 03/22/06 INDYMAC RESIDENTIAL MORTGAGE-BACKED T DE 8.01,9.01 03/09/06 INFORM WORLDWIDE HOLDINGS INC CO 1.02,9.01 03/15/06 INTEGRAL SYSTEMS INC /MD/ MD 5.03,9.01 03/16/06 Intelligent Security Networks, Inc. DE 1.02,5.03,7.01 03/20/06 INTELSAT LTD 1.01,5.02,9.01 03/16/05 INTERGRAPH CORP DE 7.01,9.01 03/22/06 INTERNATIONAL BUSINESS MACHINES CORP NY 7.01 03/21/06 International Coal Group, Inc. 1.01,2.03 03/21/06 INTERPUBLIC GROUP OF COMPANIES, INC. DE 1.01,9.01 03/16/06 INTERSECTIONS INC DE 1.01 03/21/06 INTERSTATE BAKERIES CORP/DE/ DE 7.01,9.01 03/21/06 J P MORGAN CHASE & CO DE 8.01,9.01 03/21/06 JABIL CIRCUIT INC DE 2.02,9.01 03/22/06 JONES APPAREL GROUP INC PA 8.01,9.01 03/21/06 AMEND KIRKLANDS INC 1.01,5.02,9.01 03/17/06 KUSHNER LOCKE CO CA 8.01,9.01 03/20/06 LAKES ENTERTAINMENT INC MN 8.01,9.01 03/21/06 LANCE INC NC 1.01,9.01 03/16/06 LEUCADIA NATIONAL CORP NY 8.01 03/20/06 LIGHTPATH TECHNOLOGIES INC DE 3.02 03/20/06 LIQUIDMETAL TECHNOLOGIES INC 1.01,3.02 03/21/06 LONG BEACH SECURITIES CORP DE 8.01,9.01 03/07/06 LUNA TECHNOLOGIES INTERNATIONAL INC 1.01,9.01 03/01/06 MACDERMID INC CT 8.01,9.01 03/22/06 MAGELLAN MIDSTREAM HOLDINGS LP 5.02,9.01 03/16/06 Magyar Bancorp, Inc. DE 1.01,9.01 03/16/06 MAJESCO ENTERTAINMENT CO DE 3.01 03/16/06 MARKWEST HYDROCARBON INC DE 2.02,9.01 03/21/06 MARTEK BIOSCIENCES CORP DE 1.01,5.03,9.01 03/16/06 MASSEY ENERGY CO DE 8.01 03/21/06 MASTR Asset Backed Securities Trust 2 DE 8.01,9.01 12/25/05 AMEND MATRIA HEALTHCARE INC DE 7.01,9.01 03/22/06 MEDIALINK WORLDWIDE INC DE 2.02,9.01 03/21/06 MERCHANTS GROUP INC DE 8.01,9.01 03/21/06 MERISTAR HOSPITALITY CORP MD 7.01,9.01 03/22/06 METHODE ELECTRONICS INC DE 1.01 03/16/06 MGM MIRAGE DE 7.01,9.01 03/22/06 MICRON ENVIRO SYSTEMS INC NV 8.01 03/22/06 MILLER HERMAN INC MI 2.02,9.01 03/22/06 MILLS CORP DE 1.01,8.01,9.01 03/16/06 MOLSON COORS BREWING CO CO 1.01 03/22/06 MORGAN STANLEY DE 2.02,9.01 03/22/06 MORRIS PUBLISHING GROUP LLC GA 2.02,9.01 03/22/06 NATIONAL BANCSHARES CORP /OH/ OH 2.02,9.01 03/22/06 NATIONAL PENN BANCSHARES INC PA 8.01,9.01 03/16/06 NAVARRE CORP /MN/ MN 1.01,3.02,9.01 03/21/06 NB&T FINANCIAL GROUP INC OH 1.01,7.01,8.01,9.01 03/21/06 NBC CAPITAL CORP MS 1.01,9.01 03/21/06 NEOMEDIA TECHNOLOGIES INC DE 1.01 03/20/06 NETSOL TECHNOLOGIES INC NV 4.02 03/24/05 AMEND NETWORTH TECHNOLOGIES, INC. DE 4.02,9.01 03/22/06 NEWFIELD EXPLORATION CO /DE/ DE 8.01,9.01 03/16/06 Newkirk Realty Trust, Inc. MD 2.01,8.01,9.01 03/20/06 NEWPARK RESOURCES INC DE 1.01,5.02,9.01 03/22/06 NEWS CORP 8.01,9.01 03/22/06 NEXEN INC A0 8.01,9.01 03/21/06 NEXITY FINANCIAL CORP DE 4.01 03/20/06 NITCHES INC CA 1.01,9.01 03/15/06 NOVADEL PHARMA INC DE 7.01,8.01,9.01 03/22/06 NTELOS HOLDINGS CORP 2.02,9.01 03/21/06 NTL INC DE 1.01,8.01 03/16/06 NTS REALTY HOLDINGS LP DE 8.01,9.01 03/20/06 OCEANEERING INTERNATIONAL INC DE 7.01 03/22/06 ODYSSEY RE HOLDINGS CORP DE 8.01 09/07/05 OLD SECOND BANCORP INC DE 8.01 03/21/06 OMNOVA SOLUTIONS INC OH 2.02,9.01 03/21/06 ONEIDA LTD NY 1.03,9.01 03/20/06 ONYX SOFTWARE CORP/WA WA 7.01,9.01 03/22/06 OPTICAL CABLE CORP VA 2.02,9.01 03/16/06 ORBIT FR INC DE 2.02,9.01 03/20/06 ORBIT INTERNATIONAL CORP DE 3.01 03/22/06 OSULLIVAN INDUSTRIES HOLDINGS INC DE 1.03,2.02,8.01,9.01 03/22/06 OSULLIVAN INDUSTRIES INC DE 1.03,3.03,8.01,9.01 03/22/06 OUTLOOK GROUP CORP WI 2.02 03/20/06 OUTLOOK GROUP CORP WI 1.01,9.01 03/20/06 AMEND OVERLAND STORAGE INC CA 1.01,1.02,9.01 03/17/06 PAINCARE HOLDINGS INC CT 8.01,9.01 03/22/06 PANAVISION INC DE 7.01 03/22/06 PAR PHARMACEUTICAL COMPANIES, INC. DE 1.01,5.02,9.01 03/16/06 PATH 1 NETWORK TECHNOLOGIES INC DE 1.01,3.02 03/16/06 PC TEL INC DE 5.02 03/16/06 PC TEL INC DE 1.01 03/16/06 PENTON MEDIA INC DE 7.01,9.01 03/21/06 PERMIAN BASIN ROYALTY TRUST TX 2.02,9.01 03/21/06 PHILLIPS VAN HEUSEN CORP /DE/ DE 1.01 03/08/06 AMEND Popular ABS Mortgage Pass-Through Tru DE 8.01,9.01 03/17/06 POWERLINX INC NV 1.01,3.02,5.02,9.01 03/06/06 PPlus Trust Series GSC-4 DE 1.01,8.01,9.01 03/21/06 PRG SCHULTZ INTERNATIONAL INC GA 1.01,9.01 03/16/06 PRINCIPAL LIFE INSURANCE CO IA 9.01 03/17/06 PRINCIPAL LIFE INSURANCE CO IA 9.01 03/17/06 PUBLICARD INC PA 1.01,9.01 03/20/06 QUEPASA CORP NV 1.01,5.02,8.01,9.01 03/22/06 R F INDUSTRIES LTD NV 2.02,9.01 03/17/06 RCM TECHNOLOGIES INC NV 2.02 12/31/05 READING INTERNATIONAL INC NV 2.02,9.01 03/15/06 Red Sky Resources Inc. NV 3.02,9.01 03/22/06 REESE CORP 5.03,9.01 03/20/06 AMEND REGIS CORP MN 7.01,9.01 03/21/06 RELIANT ENERGY INC DE 4.01,9.01 03/18/06 Rockwood Holdings, Inc. DE 7.01,9.01 03/22/06 ROGERS CORP MA 1.01,9.01 03/16/06 ROWAN COMPANIES INC DE 7.01,9.01 03/21/06 AMEND Royal Financial, Inc. DE 5.02 03/20/06 SAMSONITE CORP/FL DE 1.01 03/22/06 SAN JUAN BASIN ROYALTY TRUST TX 2.02,9.01 03/21/06 SATCON TECHNOLOGY CORP DE 7.01 03/22/06 SCHLUMBERGER LTD /NV/ P8 7.01 03/20/06 SCHNITZER STEEL INDUSTRIES INC OR 1.01,3.03,5.03,8.01,9.01 03/21/06 Securitized Asset Backed Receivables 8.01,9.01 02/28/06 AMEND SENETEK PLC /ENG/ 1.01,8.01,9.01 03/20/06 SERACARE LIFE SCIENCES INC 3.01,9.01 03/16/06 SERVICEMASTER CO DE 2.03 03/22/06 Services Acquisition Corp. Internatio DE 8.01,9.01 03/22/06 SEVERN BANCORP INC MD 7.01,9.01 03/22/06 SHUFFLE MASTER INC MN 2.01,9.01 02/01/06 AMEND SIGA TECHNOLOGIES INC DE 1.01,2.03,9.01 03/20/06 SITESTAR CORP NV 1.01,9.01 01/06/06 AMEND Smart-tek Solutions Inc NV 8.01,9.01 03/22/06 SOLECTRON CORP DE 1.01 03/16/06 SONOSITE INC 8.01,9.01 03/21/06 SOUTHERN MISSOURI BANCORP INC MO 8.01,9.01 03/21/06 STAGE STORES INC NV 5.03 03/16/06 Sun Motor International Inc 5.02 03/17/06 SUNESIS PHARMACEUTICALS INC 1.01,3.02,9.01 03/17/06 SUPER VISION INTERNATIONAL INC DE 4.02 03/20/06 SUPERIOR ENERGY SERVICES INC DE 7.01,9.01 03/21/06 SUSQUEHANNA BANCSHARES INC PA 4.02 03/21/06 SWS GROUP INC DE 4.01,9.01 03/16/06 SYMBOL TECHNOLOGIES INC DE 1.01,5.02,9.01 03/20/06 Synova Healthcare Group Inc 1.01,3.02,3.03 03/16/06 SYNOVUS FINANCIAL CORP GA 1.01 03/21/06 TAG IT PACIFIC INC DE 1.01 03/16/06 TALEO CORP DE 1.01,2.03,9.01 03/16/06 TARGET RECEIVABLES CORP MN 8.01,9.01 03/22/06 TARGET RECEIVABLES CORP MN 8.01,9.01 03/22/06 TELECOM COMMUNICATIONS INC 5.02,9.01 03/20/06 TERAYON COMMUNICATION SYSTEMS DE 1.01,2.04,9.01 03/16/06 TEXOLA ENERGY CORP NV 7.01,9.01 03/17/06 THINK PARTNERSHIP INC NV 1.01,9.01 03/20/06 THINK PARTNERSHIP INC NV 1.01,9.01 03/17/06 TIME WARNER TELECOM INC DE 8.01 03/21/06 TORCHMARK CORP DE 8.01,9.01 03/22/06 TORRENT ENERGY CORP CO 7.01,9.01 03/16/06 TORVEC INC NY 3.02 03/21/06 TOTAL SYSTEM SERVICES INC GA 1.01 03/21/06 TOUCHSTONE RESOURCES USA, INC. 7.01,9.01 03/21/06 TRANSCAT INC OH 1.01,9.01 03/16/06 TRI-CONTINENTAL CORP MD 7.01,9.01 03/22/06 TRIPOS INC UT 7.01,9.01 03/22/06 TYCO INTERNATIONAL LTD /BER/ D0 1.01,9.01 03/19/06 TYSON FOODS INC DE 8.01,9.01 03/17/06 UFP TECHNOLOGIES INC DE 2.02,9.01 03/16/06 UNIFIED WESTERN GROCERS INC CA 5.02,9.01 03/21/06 UNIGENE LABORATORIES INC DE 1.01,3.02,9.01 03/16/06 UNITED DOMINION REALTY TRUST INC MD 3.02,7.01,9.01 03/17/06 UNIVISION COMMUNICATIONS INC DE 1.01,9.01 03/17/06 UpSnap, Inc. 9.01 01/06/06 AMEND UPSTREAM BIOSCIENCES INC. NV 7.01,9.01 03/21/06 URS CORP /NEW/ DE 5.02,7.01,9.01 03/17/06 USN CORP CO 5.02 03/17/06 UWHARRIE CAPITAL CORP NC 5.02 03/16/06 VALENTIS INC DE 1.01,3.02,9.01 03/21/06 VIASPACE Inc. NV 8.01,9.01 03/21/06 VIASPACE Inc. NV 1.01,9.01 03/21/06 VIASYSTEMS INC DE 1.01,7.01,9.01 03/21/06 VIROPHARMA INC DE 8.01,9.01 03/17/06 VISTEON CORP DE 1.02 03/20/06 VOLT INFORMATION SCIENCES, INC. NY 1.01,9.01 03/22/06 WARWICK VALLEY TELEPHONE CO NY 3.01,9.01 03/22/06 WASHINGTON FEDERAL INC WA 5.02 03/21/06 WESTERN SIERRA MINING CORP UT 4.01,9.01 03/20/06 WESTERN SIZZLIN CORP DE 5.02,8.01,9.01 03/21/06 WESTLAKE CHEMICAL CORP 1.01,9.01 03/20/06 WILLIS GROUP HOLDINGS LTD D0 5.02,9.01 03/17/06 WINDSWEPT ENVIRONMENTAL GROUP INC DE 1.01,9.01 03/20/06 WINMAX TRADING GROUP INC FL 5.02,9.01 03/17/06 WORTHINGTON INDUSTRIES INC OH 2.02,7.01,9.01 03/22/06 WPCS INTERNATIONAL INC DE 2.02,4.02,9.01 03/17/06 WRIGHT MEDICAL GROUP INC DE 1.01,9.01 03/20/06 XCYTE THERAPIES INC WA 1.01,9.01 03/16/06 YAHOO INC DE 1.01,5.03,9.01 03/17/06