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

                                    FORM 13F

                               FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: December 31, 2009

Check here if Amendment [ ]; Amendment Number:

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

Institutional Investment Manager Filing this Report:

General Electric Company
3135 Easton Turnpike
Fairfield, CT 06828

13F File Number:  028-01502

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:     Robert R. DeGennaro
Title:    Assistant Controller
Phone:    (203) 373-2535

Signature, Place, and Date of Signing:





Robert R. DeGennaro     Fairfield, CT  06828          January 29, 2010
-------------------     -------------  -----          ----------------
   (Signature)          (City, State)  (Zip)              (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: 1

Form 13F Information Table Entry Total: 436

Form 13F Information Table Value Total:  $23,633,520
                                         (thousands)

List of Other Included Managers:

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

001  028-05827             GE Asset Management



                                                                   FROM 13F INFORMATION TABLE
                                                                                              
COLUMN 1                          COLUMN 2        COLUMN 3   COLUMN 4  COLUMN 5           COLUMN 6    COLUMN 7   COLUMN 8
                                  TITLE OF                     VALUE    SHRS OR  SH/ PUT/ INVESTMENT  OTHER   ---VOTING AUTHORITY--
NAME OF ISSUER                    CLASS           CUSIP      (x$1000)    PRN AMT PRN CALL DISCRETION MANAGERS     SOLE  SHARED NONE
TELVENT GIT SA                    SHS             E90215109      6216     159459 SH         DEFINED     001     159459
ARCH CAP GROUP LTD                ORD             G0450A105       622       8700 SH         DEFINED     001       8700
AXIS CAPITAL HOLDINGS             SHS             G0692U109     33351    1173924 SH         DEFINED     001    1173924
ACCENTURE PLC IRELAND             SHS CLASS A     G1151C101      9514     229260 SH         DEFINED     001     229260
COVIDIEN PLC                      SHS             G2554F105    239231    4995433 SH         DEFINED     001    4995433
GENPACT LIMITED                   SHS             G3922B107    595216   39947364 SH          SOLE             39947364
INVESCO LTD                       SHS             G491BT108     23054     981452 SH         DEFINED     001     981452
MARVELL TECHNOLOGY GROUP LTD      ORD             G5876H105     35746    1722697 SH         DEFINED     001    1722697
NABORS INDUSTRIES LTD             SHS             G6359F103      4453     203446 SH         DEFINED     001     203446
PARTNERRE LTD                     COM             G6852T105     35867     480404 SH         DEFINED     001     480404
XL CAP LTD                        CL A            G98255105       906      49400 SH         DEFINED     001      49400
ACE LTD                           SHS             H0023R105    134324    2665164 SH         DEFINED     001    2665164
WEATHERFORD INTERNATIONAL LT      REG             H27013103       585      32681 SH         DEFINED     001      32681
NOBLE CORPORATION BAAR            NAMEN -AKT      H5833N103     18417     452501 SH         DEFINED     001     452501
TRANSOCEAN LTD                    REG SHS         H8817H100    301450    3640705 SH         DEFINED     001    3640705
MILLICOM INTL CELLULAR S A        SHS NEW         L6388F110     11295     153115 SH         DEFINED     001     153115
ABB LTD                           SPONSORED ADR   000375204     67934    3556745 SH         DEFINED     001    3556745
A D A M INC                       COM             00088U108       824     196103 SH          SOLE               196103
AFLAC INC                         COM             001055102    153588    3320820 SH         DEFINED     001    3320820
AES CORP                          COM             00130H105      1095      82252 SH         DEFINED     001      82252
AOL INC                           COM             00184X105      9467     406650 SH         DEFINED     001     406650
AT&T INC                          COM             00206R102    115468    4119455 SH         DEFINED     001    4119455
ABBOTT LABS                       COM             002824100     60349    1117772 SH         DEFINED     001    1117772
ACHILLION PHARMACEUTICALS IN      COM             00448Q201       255      82050 SH          SOLE                82050
ACTIVISION BLIZZARD INC           COM             00507V109     31135    2802415 SH         DEFINED     001    2802415
ADOBE SYS INC                     COM             00724F101      1209      32865 SH         DEFINED     001      32865
AETNA INC NEW                     COM             00817Y108     28208     889832 SH         DEFINED     001     889832
AFFILIATED COMPUTER SERVICES      CL A            008190100     33302     557916 SH         DEFINED     001     557916
AFFILIATED MANAGERS GROUP         COM             008252108     27458     407696 SH         DEFINED     001     407696
AIR PRODS & CHEMS INC             COM             009158106     11413     140801 SH         DEFINED     001     140801
ALBERTO CULVER CO NEW             COM             013078100     18804     641991 SH         DEFINED     001     641991
ALCOA INC                         COM             013817101       759      47109 SH         DEFINED     001      47109
ALEXION PHARMACEUTICALS INC       COM             015351109      6405     131201 SH         DEFINED     001     131201
ALLEGHANY CORP DEL                COM             017175100     10878      39413 SH         DEFINED     001      39413
ALLEGHENY ENERGY INC              COM             017361106       350      14902 SH         DEFINED     001      14902
ALLEGHENY TECHNOLOGIES INC        COM             01741R102     91227    2037671 SH         DEFINED     001    2037671
ALLIANCE HEALTHCARE SRVCS IN      COM NEW         018606202      6396    1120160 SH          SOLE              1120160
ALLIANT TECHSYSTEMS INC           COM             018804104     69009     781795 SH         DEFINED     001     781795
ALLSTATE CORP                     COM             020002101       925      30799 SH         DEFINED     001      30799
ALTERA CORP                       COM             021441100       564      24910 SH         DEFINED     001      24910
ALTRIA GROUP INC                  COM             02209S103     16286     829670 SH         DEFINED     001     829670
AMAZON COM INC                    COM             023135106      3577      26594 SH         DEFINED     001      26594
AMERICA MOVIL SAB DE CV           SPON ADR L SHS  02364W105     34837     741529 SH         DEFINED     001     741529
AMERICAN APPAREL INC              COM             023850100      2737     882834 SH         DEFINED     001     882834
AMERICAN ELEC PWR INC             COM             025537101      8890     255545 SH         DEFINED     001     255545
AMERICAN EXPRESS CO               COM             025816109     11145     275040 SH         DEFINED     001     275040
AMERICAN PUBLIC EDUCATION IN      COM             02913V103      4048     117800 SH         DEFINED     001     117800
AMERICAN TOWER CORP               CL A            029912201    283591    6563086 SH         DEFINED     001    6563086
AMERICAN WTR WKS CO INC NEW       COM             030420103     17589     784863 SH         DEFINED     001     784863
AMERIPRISE FINL INC               COM             03076C106     63679    1640360 SH         DEFINED     001    1640360
AMGEN INC                         COM             031162100    535809    9471611 SH         DEFINED     001    9471611
ANADARKO PETE CORP                COM             032511107      2083      33374 SH         DEFINED     001      33374
ANGLOGOLD ASHANTI LTD             SPONSORED ADR   035128206      7422     184716 SH         DEFINED     001     184716
AON CORP                          COM             037389103     34714     905426 SH         DEFINED     001     905426
A123 SYS INC                      COM             03739T108    185647    8273021 SH          SOLE              8273021
APACHE CORP                       COM             037411105     91795     889745 SH         DEFINED     001     889745
APPLE INC                         COM             037833100     46082     218678 SH         DEFINED     001     218678
ARCHER DANIELS MIDLAND CO         COM             039483102     21343     681683 SH         DEFINED     001     681683
AUTOMATIC DATA PROCESSING IN      COM             053015103     26874     627599 SH         DEFINED     001     627599
AVALONBAY CMNTYS INC              COM             053484101       677       8241 SH         DEFINED     001       8241
AVON PRODS INC                    COM             054303102     12195     387144 SH         DEFINED     001     387144
BAIDU INC                         SPON ADR REP A  056752108    104617     254399 SH         DEFINED     001     254399
BANCO SANTANDER CHILE NEW         SP ADR REP COM  05965X109     19446     300178 SH         DEFINED     001     300178
BANCO SANTANDER BRASIL S A        ADS REP 1 UNIT  05967A107      6366     456670 SH         DEFINED     001     456670
BANK OF AMERICA CORPORATION       COM             060505104    242178   16080907 SH         DEFINED     001   16080907
BANK OF AMERICA CORPORATION       UNIT 99/99/9999 060505419     70009    4692311 SH         DEFINED     001    4692311
BANK OF NEW YORK MELLON CORP      COM             064058100     89002    3182066 SH         DEFINED     001    3182066
BARRICK GOLD CORP                 COM             067901108     31530     800669 SH         DEFINED     001     800669
BAXTER INTL INC                   COM             071813109     98146    1672555 SH         DEFINED     001    1672555
BECTON DICKINSON & CO             COM             075887109     68927     874046 SH         DEFINED     001     874046
BED BATH & BEYOND INC             COM             075896100    316714    8202890 SH         DEFINED     001    8202890
BERKSHIRE HATHAWAY INC DEL        CL B            084670207     32860      10000 SH         DEFINED     001      10000
BEST BUY INC                      COM             086516101       439      11125 SH         DEFINED     001      11125
BLACK & DECKER CORP               COM             091797100       393       6066 SH         DEFINED     001       6066
BLACKBOARD INC                    COM             091935502     15227     335464 SH         DEFINED     001     335464
BLACKROCK KELSO CAPITAL CORP      COM             092533108     40896    4800000 SH         DEFINED     001    4800000
BOEING CO                         COM             097023105      1898      35063 SH         DEFINED     001      35063
BOSTON PROPERTIES INC             COM             101121101      1109      16539 SH         DEFINED     001      16539
BOSTON SCIENTIFIC CORP            COM             101137107     27903    3100355 SH         DEFINED     001    3100355
BRINKER INTL INC                  COM             109641100       410      27469 SH         DEFINED     001      27469
BRISTOL MYERS SQUIBB CO           COM             110122108    195177    7729789 SH         DEFINED     001    7729789
BROWN FORMAN CORP                 CL B            115637209     13586     253603 SH         DEFINED     001     253603
CAE INC                           COM             124765108        84      10242 SH         DEFINED     001      10242
CB RICHARD ELLIS GROUP INC        CL A            12497T101    122584    9033480 SH         DEFINED     001    9033480
CME GROUP INC                     COM             12572Q105    364842    1085969 SH         DEFINED     001    1085969
CMS ENERGY CORP                   COM             125896100       618      39458 SH         DEFINED     001      39458
CSX CORP                          COM             126408103      2458      50685 SH         DEFINED     001      50685
CVS CAREMARK CORPORATION          COM             126650100     18127     562783 SH         DEFINED     001     562783
CAMECO CORP                       COM             13321L108      9272     288226 SH         DEFINED     001     288226
CAMERON INTERNATIONAL CORP        COM             13342B105      2824      67554 SH         DEFINED     001      67554
CANADIAN NAT RES LTD              COM             136385101      1242      17260 SH         DEFINED     001      17260
CAPITAL ONE FINL CORP             COM             14040H105     35915     936743 SH         DEFINED     001     936743
CARDINAL HEALTH INC               COM             14149Y108     71884    2229665 SH         DEFINED     001    2229665
CARNIVAL CORP                     PAIRED CTF      143658300    109804    3464942 SH         DEFINED     001    3464942
CATALYST HEALTH SOLUTIONS IN      COM             14888B103     20230     554709 SH         DEFINED     001     554709
CATERPILLAR INC DEL               COM             149123101      2372      41615 SH         DEFINED     001      41615
CELGENE CORP                      COM             151020104      4668      83836 SH         DEFINED     001      83836
CEMEX SAB DE CV                   SPON ADR NEW    151290889       118      10000 SH         DEFINED     001      10000
CHEESECAKE FACTORY INC            COM             163072101     14073     651814 SH         DEFINED     001     651814
CHESAPEAKE ENERGY CORP            COM             165167107     14536     561666 SH         DEFINED     001     561666
CHEVRON CORP NEW                  COM             166764100    191332    2485154 SH         DEFINED     001    2485154
CHUBB CORP                        COM             171232101       401       8150 SH         DEFINED     001       8150
CISCO SYS INC                     COM             17275R102    458222   19140436 SH         DEFINED     001   19140436
CITIGROUP INC                     COM             172967101      3896    1177159 SH         DEFINED     001    1177159
CITRIX SYS INC                    COM             177376100     20799     499852 SH         DEFINED     001     499852
CLIFFS NATURAL RESOURCES INC      COM             18683K101       494      10711 SH         DEFINED     001      10711
CLOROX CO DEL                     COM             189054109     46471     761815 SH         DEFINED     001     761815
COACH INC                         COM             189754104     21805     596908 SH         DEFINED     001     596908
COCA COLA CO                      COM             191216100      5566      97641 SH         DEFINED     001      97641
COGENT INC                        COM             19239Y108     15535    1495168 SH         DEFINED     001    1495168
COGNIZANT TECHNOLOGY SOLUTIO      CL A            192446102     53739    1185503 SH         DEFINED     001    1185503
COMCAST CORP NEW                  CL A            20030N101      5901     350000 SH         DEFINED     001     350000
COMCAST CORP NEW                  CL A SPL        20030N200     86073    5376231 SH         DEFINED     001    5376231
CONAGRA FOODS INC                 COM             205887102      2321     100681 SH         DEFINED     001     100681
CONOCOPHILLIPS                    COM             20825C104      7390     144707 SH         DEFINED     001     144707
CORNING INC                       COM             219350105    147397    7633172 SH         DEFINED     001    7633172
CORRECTIONS CORP AMER NEW         COM NEW         22025Y407     89011    3625684 SH         DEFINED     001    3625684
COSTCO WHSL CORP NEW              COM             22160K105      4246      71764 SH         DEFINED     001      71764
COVANCE INC                       COM             222816100     23014     421742 SH         DEFINED     001     421742
CUMMINS INC                       COM             231021106      5819     126892 SH         DEFINED     001     126892
CUMULUS MEDIA INC                 CL A            231082108       607     266109 SH          SOLE               266109
CYBERSOURCE CORP                  COM             23251J106     15202     755941 SH         DEFINED     001     755941
DST SYS INC DEL                   COM             233326107      7102     163066 SH         DEFINED     001     163066
DANAHER CORP DEL                  COM             235851102       888      11809 SH         DEFINED     001      11809
DARDEN RESTAURANTS INC            COM             237194105       720      20533 SH         DEFINED     001      20533
DAVITA INC                        COM             23918K108      1416      24106 SH         DEFINED     001      24106
DEERE & CO                        COM             244199105     71858    1328490 SH         DEFINED     001    1328490
DELTA AIR LINES INC DEL           COM NEW         247361702       506      44432 SH          SOLE                44432
DENTSPLY INTL INC NEW             COM             249030107     11685     332245 SH         DEFINED     001     332245
DEVON ENERGY CORP NEW             COM             25179M103    141414    1923998 SH         DEFINED     001    1923998
DIAGEO P L C                      SPON ADR NEW    25243Q205      4418      63655 SH         DEFINED     001      63655
DISNEY WALT CO                    COM DISNEY      254687106     59509    1845232 SH         DEFINED     001    1845232
DISCOVER FINL SVCS                COM             254709108       322      21919 SH         DEFINED     001      21919
DIRECTV                           COM CL A        25490A101    255069    7648258 SH         DEFINED     001    7648258
DOLLAR GEN CORP NEW               COM             256677105     15501     691095 SH         DEFINED     001     691095
DOMINION RES INC VA NEW           COM             25746U109     85602    2199437 SH         DEFINED     001    2199437
DOUGLAS EMMETT INC                COM             25960P109      8156     572348 SH         DEFINED     001     572348
DOUGLAS EMMETT INC                COM             25960P109      1233      86506 SH          SOLE                86506
DOVER CORP                        COM             260003108    134792    3239423 SH         DEFINED     001    3239423
DOW CHEM CO                       COM             260543103      2889     104576 SH         DEFINED     001     104576
DRESSER-RAND GROUP INC            COM             261608103     16764     530326 SH         DEFINED     001     530326
DU PONT E I DE NEMOURS & CO       COM             263534109      3075      91322 SH         DEFINED     001      91322
DUKE ENERGY CORP NEW              COM             26441C105      1348      78302 SH         DEFINED     001      78302
E M C CORP MASS                   COM             268648102      1350      77290 SH         DEFINED     001      77290
EQT CORP                          COM             26884L109     11179     254533 SH         DEFINED     001     254533
EATON CORP                        COM             278058102     67113    1054906 SH         DEFINED     001    1054906
EBAY INC                          COM             278642103     80436    3418424 SH         DEFINED     001    3418424
ECOLAB INC                        COM             278865100      8994     201760 SH         DEFINED     001     201760
EDISON INTL                       COM             281020107     78525    2257766 SH         DEFINED     001    2257766
EL PASO CORP                      COM             28336L109      1189     120987 SH         DEFINED     001     120987
ELECTRONIC ARTS INC               COM             285512109      3373     190000 SH         DEFINED     001     190000
EMCORE CORP                       COM             290846104       246     230020 SH          SOLE               230020
EMERSON ELEC CO                   COM             291011104     32191     755656 SH         DEFINED     001     755656
ENTERGY CORP NEW                  COM             29364G103     37716     460853 SH         DEFINED     001     460853
EQUINIX INC                       COM NEW         29444U502     36021     339338 SH         DEFINED     001     339338
EQUITY RESIDENTIAL                SH BEN INT      29476L107       650      19228 SH         DEFINED     001      19228
EXELON CORP                       COM             30161N101      5315     108767 SH         DEFINED     001     108767
EXPRESS SCRIPTS INC               COM             302182100    231110    2674268 SH         DEFINED     001    2674268
EXXON MOBIL CORP                  COM             30231G102    296422    4346998 SH         DEFINED     001    4346998
FPL GROUP INC                     COM             302571104     34744     657788 SH         DEFINED     001     657788
FEDEX CORP                        COM             31428X106      2338      28013 SH         DEFINED     001      28013
FIDELITY NATL INFORMATION SV      COM             31620M106      1719      73339 SH         DEFINED     001      73339
FIRST SOLAR INC                   COM             336433107       577       4258 SH         DEFINED     001       4258
FIRSTENERGY CORP                  COM             337932107      1149      24730 SH         DEFINED     001      24730
FLUOR CORP NEW                    COM             343412102      1899      42164 SH         DEFINED     001      42164
FOCUS MEDIA HLDG LTD              SPONSORED ADR   34415V109      6769     427053 SH         DEFINED     001     427053
FORD MTR CO DEL                   COM PAR $0.01   345370860       659      65925 SH         DEFINED     001      65925
FORTINET INC                      COM             34959E109       439      25000 SH         DEFINED     001      25000
FORTUNE BRANDS INC                COM             349631101       463      10727 SH         DEFINED     001      10727
FRANCE TELECOM                    SPONSORED ADR   35177Q105       406      16100 SH         DEFINED     001      16100
FRANKLIN RES INC                  COM             354613101      5102      48427 SH         DEFINED     001      48427
FREEPORT-MCMORAN COPPER & GO      COM             35671D857    113444    1412933 SH         DEFINED     001    1412933
GEN-PROBE INC NEW                 COM             36866T103     12164     283422 SH         DEFINED     001     283422
GENERAL DYNAMICS CORP             COM             369550108      4108      60258 SH         DEFINED     001      60258
GENERAL ELECTRIC CO               COM             369604103   1421483   93951317 SH         DEFINED     001   93951317
GENERAL MLS INC                   COM             370334104      6901      97465 SH         DEFINED     001      97465
GENESIS LEASE LTD                 ADR             37183T107     35430    3967500 SH          SOLE              3967500
GENOPTIX INC                      COM             37243V100       394      11095 SH          SOLE                11095
GENUINE PARTS CO                  COM             372460105      1547      40743 SH         DEFINED     001      40743
GENZYME CORP                      COM             372917104      1757      35840 SH         DEFINED     001      35840
GILEAD SCIENCES INC               COM             375558103    264557    6114097 SH         DEFINED     001    6114097
GOLDMAN SACHS GROUP INC           COM             38141G104    412983    2446003 SH         DEFINED     001    2446003
GOODRICH CORP                     COM             382388106      2699      42012 SH         DEFINED     001      42012
GOOGLE INC                        CL A            38259P508    161313     260190 SH         DEFINED     001     260190
GRUPO TELEVISA SA DE CV           SP ADR REP ORD  40049J206       405      19501 SH         DEFINED     001      19501
GRUPO AEROPORTUARIO DEL SURE      SPON ADR SER B  40051E202       345       6662 SH         DEFINED     001       6662
H & E EQUIPMENT SERVICES INC      COM             404030108       995      94759 SH          SOLE                94759
HCC INS HLDGS INC                 COM             404132102     43216    1545087 SH         DEFINED     001    1545087
HCP INC                           COM             40414L109       713      23348 SH         DEFINED     001      23348
HALLIBURTON CO                    COM             406216101     81847    2720084 SH         DEFINED     001    2720084
HARMONY GOLD MNG LTD              SPONSORED ADR   413216300     30491    2998134 SH         DEFINED     001    2998134
HARSCO CORP                       COM             415864107     30780     955026 SH         DEFINED     001     955026
HARTFORD FINL SVCS GROUP INC      COM             416515104       662      28448 SH         DEFINED     001      28448
HESS CORP                         COM             42809H107      6541     108123 SH         DEFINED     001     108123
HEWLETT PACKARD CO                COM             428236103    222537    4320274 SH         DEFINED     001    4320274
HEXCEL CORP NEW                   COM             428291108     37528    2891216 SH         DEFINED     001    2891216
HITTITE MICROWAVE CORP            COM             43365Y104     29506     723728 SH         DEFINED     001     723728
HOLOGIC INC                       COM             436440101     35692    2461495 SH         DEFINED     001    2461495
HOME DEPOT INC                    COM             437076102     10561     365046 SH         DEFINED     001     365046
HONEYWELL INTL INC                COM             438516106    100687    2568542 SH         DEFINED     001    2568542
HOST HOTELS & RESORTS INC         COM             44107P104       558      47800 SH         DEFINED     001      47800
HUDSON VALLEY HOLDING CORP        COM             444172100      2713     110000 SH         DEFINED     001     110000
ICF INTL INC                      COM             44925C103       238       8897 SH          SOLE                 8897
IMS HEALTH INC                    COM             449934108       434      20598 SH         DEFINED     001      20598
ITT CORP NEW                      COM             450911102     97674    1963688 SH         DEFINED     001    1963688
ICICI BK LTD                      ADR             45104G104      3150      83532 SH         DEFINED     001      83532
IHS INC                           CL A            451734107     21853     398703 SH         DEFINED     001     398703
ILLINOIS TOOL WKS INC             COM             452308109       870      18126 SH         DEFINED     001      18126
ILLUMINA INC                      COM             452327109     21435     698676 SH         DEFINED     001     698676
INFINERA CORPORATION              COM             45667G103      2839     320105 SH         DEFINED     001     320105
INSULET CORP                      COM             45784P101      3856     270012 SH         DEFINED     001     270012
INTEL CORP                        COM             458140100    210063   10297198 SH         DEFINED     001   10297198
INTERNATIONAL BUSINESS MACHS      COM             459200101    310183    2369615 SH         DEFINED     001    2369615
INTERNATIONAL GAME TECHNOLOG      COM             459902102       912      48608 SH         DEFINED     001      48608
INTL PAPER CO                     COM             460146103       697      26031 SH         DEFINED     001      26031
INTUIT                            COM             461202103    211783    6891746 SH         DEFINED     001    6891746
INTREPID POTASH INC               COM             46121Y102     22171     760049 SH         DEFINED     001     760049
IRON MTN INC                      COM             462846106    124374    5464599 SH         DEFINED     001    5464599
ISHARES INC                       MSCI TAIWAN     464286731      9618     741535 SH         DEFINED     001     741535
ISHARES TR INDEX                  MSCI EMERG MKT  464287234      1981      47725 SH         DEFINED     001      47725
ISHARES TR INDEX                  MSCI EAFE IDX   464287465      1941      35119 SH         DEFINED     001      35119
ISIS PHARMACEUTICALS INC          COM             464330109      2895     260608 SH         DEFINED     001     260608
ITAU UNIBANCO HLDG SA             SPON ADR REP PFD465562106     12060     528000 SH         DEFINED     001     528000
ITC HLDGS CORP                    COM             465685105     58185    1117001 SH         DEFINED     001    1117001
ITRON INC                         COM             465741106       586       8678 SH         DEFINED     001       8678
JPMORGAN CHASE & CO               COM             46625H100    362969    8710566 SH         DEFINED     001    8710566
JOHNSON & JOHNSON                 COM             478160104    167117    2594583 SH         DEFINED     001    2594583
JUNIPER NETWORKS INC              COM             48203R104     25561     958411 SH         DEFINED     001     958411
KB FINANCIAL GROUP INC            SPONSORED ADR   48241A105     12311     242108 SH         DEFINED     001     242108
KLA-TENCOR CORP                   COM             482480100      9750     269622 SH         DEFINED     001     269622
KIMBERLY CLARK CORP               COM             494368103     41519     651687 SH         DEFINED     001     651687
KIMCO REALTY CORP                 COM             49446R109       316      23349 SH         DEFINED     001      23349
KIRBY CORP                        COM             497266106      2540      72931 SH         DEFINED     001      72931
KOHLS CORP                        COM             500255104     42119     780988 SH         DEFINED     001     780988
KRAFT FOODS INC                   CL A            50075N104     39248    1444014 SH         DEFINED     001    1444014
LABORATORY CORP AMER HLDGS        COM NEW         50540R409      2305      30796 SH         DEFINED     001      30796
LAS VEGAS SANDS CORP              COM             517834107      1278      85532 SH         DEFINED     001      85532
LEGGETT & PLATT INC               COM             524660107       283      13880 SH         DEFINED     001      13880
LIBERTY GLOBAL INC                COM SER C       530555309    174002    7959842 SH         DEFINED     001    7959842
LIFE TECHNOLOGIES CORP            COM             53217V109     39737     760956 SH         DEFINED     001     760956
LINCARE HLDGS INC                 COM             532791100     80121    2157553 SH         DEFINED     001    2157553
LINCOLN NATL CORP IND             COM             534187109      1985      79773 SH         DEFINED     001      79773
LOCKHEED MARTIN CORP              COM             539830109       805      10688 SH         DEFINED     001      10688
LOWES COS INC                     COM             548661107    329828   14101223 SH         DEFINED     001   14101223
M D C HLDGS INC                   COM             552676108     28316     912239 SH         DEFINED     001     912239
MSC INDL DIRECT INC               CL A            553530106      1956      41611 SH         DEFINED     001      41611
MSCI INC                          CL A            55354G100     13138     413137 SH         DEFINED     001     413137
MARATHON OIL CORP                 COM             565849106    180432    5779363 SH         DEFINED     001    5779363
MARRIOTT INTL INC NEW             CL A            571903202      5608     205805 SH         DEFINED     001     205805
MARTIN MARIETTA MATLS INC         COM             573284106      5582      62428 SH         DEFINED     001      62428
MASIMO CORP                       COM             574795100     36602    1203232 SH         DEFINED     001    1203232
MASTERCARD INC                    CL A            57636Q104      5289      20663 SH         DEFINED     001      20663
MCCORMICK & CO INC                COM NON VTG     579780206    155864    4313989 SH         DEFINED     001    4313989
MCDERMOTT INTL INC                COM             580037109     10591     441106 SH         DEFINED     001     441106
MCDONALDS CORP                    COM             580135101     13562     217200 SH         DEFINED     001     217200
MCGRAW HILL COS INC               COM             580645109       786      23451 SH         DEFINED     001      23451
MCKESSON CORP                     COM             58155Q103     25188     403006 SH         DEFINED     001     403006
MEAD JOHNSON NUTRITION CO         COM CL A        582839106     15612     357247 SH         DEFINED     001     357247
MEADWESTVACO CORP                 COM             583334107      1104      38570 SH         DEFINED     001      38570
MEDASSETS INC                     COM             584045108      3031     142887 SH          SOLE               142887
MEDCO HEALTH SOLUTIONS INC        COM             58405U102      2349      36752 SH         DEFINED     001      36752
MEDTRONIC INC                     COM             585055106    187676    4267299 SH         DEFINED     001    4267299
MERCADOLIBRE INC                  COM             58733R102     22338     430656 SH         DEFINED     001     430656
MERCK & CO INC NEW                COM             58933Y105     26160     715925 SH         DEFINED     001     715925
METLIFE INC                       COM             59156R108     82428    2331781 SH         DEFINED     001    2331781
METTLER TOLEDO INTERNATIONAL      COM             592688105     18898     179995 SH         DEFINED     001     179995
MICROSOFT CORP                    COM             594918104    591283   19399042 SH         DEFINED     001   19399042
MICROCHIP TECHNOLOGY INC          COM             595017104     26420     909481 SH         DEFINED     001     909481
MINDRAY MEDICAL INTL LTD          SPON ADR        602675100     10664     314393 SH         DEFINED     001     314393
MOBILE TELESYSTEMS OJSC           SPONSORED ADR   607409109    114023    2332244 SH         DEFINED     001    2332244
MOLEX INC                         CL A            608554200     23966    1252800 SH         DEFINED     001    1252800
MOLSON COORS BREWING CO           CL B            60871R209     31960     707715 SH         DEFINED     001     707715
MONSANTO CO NEW                   COM             61166W101    338425    4139759 SH         DEFINED     001    4139759
MORGAN STANLEY                    COM NEW         617446448     49800    1682431 SH         DEFINED     001    1682431
MOSAIC CO                         COM             61945A107     25502     426951 SH         DEFINED     001     426951
MOTOROLA INC                      COM             620076109      8139    1048893 SH         DEFINED     001    1048893
NII HLDGS INC                     CL B NEW        62913F201    203065    6047209 SH         DEFINED     001    6047209
NATIONAL CINEMEDIA INC            COM             635309107      3005     181360 SH         DEFINED     001     181360
NATIONAL OILWELL VARCO INC        COM             637071101     34733     787786 SH         DEFINED     001     787786
NAVISTAR INTL CORP NEW            COM             63934E108     25234     652872 SH         DEFINED     001     652872
NEW ORIENTAL ED & TECH GRP I      SPON ADR        647581107       219       2900 SH         DEFINED     001       2900
NEWCASTLE INVT CORP               COM             65105M108      1568     750000 SH         DEFINED     001     750000
NEWELL RUBBERMAID INC             COM             651229106       282      18780 SH         DEFINED     001      18780
NEWMONT MINING CORP               COM             651639106      3928      83037 SH         DEFINED     001      83037
NEWS CORP                         CL A            65248E104      2142     156488 SH         DEFINED     001     156488
NIKE INC                          CL B            654106103     11763     178031 SH         DEFINED     001     178031
NORFOLK SOUTHERN CORP             COM             655844108       360       6866 SH         DEFINED     001       6866
NORTHEAST UTILS                   COM             664397106     65079    2523423 SH         DEFINED     001    2523423
NORTHROP GRUMMAN CORP             COM             666807102      1868      33453 SH         DEFINED     001      33453
NOVARTIS A G                      SPONSORED ADR   66987V109      2459      45186 SH         DEFINED     001      45186
NUCOR CORP                        COM             670346105      4980     106751 SH         DEFINED     001     106751
NVIDIA CORP                       COM             67066G104     11773     630234 SH         DEFINED     001     630234
OCCIDENTAL PETE CORP DEL          COM             674599105    128662    1581590 SH         DEFINED     001    1581590
OMNICARE INC                      COM             681904108       573      23697 SH         DEFINED     001      23697
OMNICOM GROUP INC                 COM             681919106    212174    5419527 SH         DEFINED     001    5419527
OPEN JT STK CO-VIMPEL COMMUN      SPONSORED ADR   68370R109       426      22900 SH         DEFINED     001      22900
ORACLE CORP                       COM             68389X105     69687    2840895 SH         DEFINED     001    2840895
ORBCOMM INC                       COM             68555P100      4388    1625042 SH          SOLE              1625042
O REILLY AUTOMOTIVE INC           COM             686091109     24745     649141 SH         DEFINED     001     649141
ORION ENERGY SYSTEMS INC          COM             686275108      7792    1774832 SH          SOLE              1774832
OWENS ILL INC                     COM NEW         690768403       641      19503 SH         DEFINED     001      19503
PG&E CORP                         COM             69331C108     10611     237656 SH         DEFINED     001     237656
PICO HLDGS INC                    COM NEW         693366205      6075     185622 SH         DEFINED     001     185622
POSCO                             SPONSORED ADR   693483109       799       6097 SH         DEFINED     001       6097
PACKAGING CORP AMER               COM             695156109       739      32124 SH         DEFINED     001      32124
PAN AMERICAN SILVER CORP          COM             697900108       411      17260 SH         DEFINED     001      17260
PAYCHEX INC                       COM             704326107    124556    4065149 SH         DEFINED     001    4065149
PEABODY ENERGY CORP               COM             704549104     14419     318929 SH         DEFINED     001     318929
PENN NATL GAMING INC              COM             707569109     14841     545841 SH         DEFINED     001     545841
PEOPLES UNITED FINANCIAL INC      COM             712704105     16432     983943 SH         DEFINED     001     983943
PEPSICO INC                       COM             713448108    530857    8731200 SH         DEFINED     001    8731200
PETROLEO BRASILEIRO SA PETRO      SP ADR NON VTG  71654V101    251727    5938367 SH         DEFINED     001    5938367
PFIZER INC                        COM             717081103    102840    5653671 SH         DEFINED     001    5653671
PHARMERICA CORP                   COM             71714F104      2576     162233 SH         DEFINED     001     162233
PHILIP MORRIS INTL INC            COM             718172109    112386    2332139 SH         DEFINED     001    2332139
PLUM CREEK TIMBER CO INC          COM             729251108      1424      37724 SH         DEFINED     001      37724
PORTLAND GEN ELEC CO              COM NEW         736508847      1485      72780 SH          SOLE                72780
POTASH CORP SASK INC              COM             73755L107     86521     797428 SH         DEFINED     001     797428
PRAXAIR INC                       COM             74005P104    108952    1356644 SH         DEFINED     001    1356644
PRECISION CASTPARTS CORP          COM             740189105     12711     115188 SH         DEFINED     001     115188
PRICE T ROWE GROUP INC            COM             74144T108       909      17062 SH         DEFINED     001      17062
PRICELINE COM INC                 COM NEW         741503403       751       3440 SH         DEFINED     001       3440
PRINCIPAL FINANCIAL GROUP IN      COM             74251V102     41115    1710262 SH         DEFINED     001    1710262
PROCTER & GAMBLE CO               COM             742718109    249881    4121415 SH         DEFINED     001    4121415
PROGRESS ENERGY INC               COM             743263105       410      10000 SH         DEFINED     001      10000
PROGRESSIVE CORP OHIO             COM             743315103       767      42622 SH         DEFINED     001      42622
PROLOGIS                          SH BEN INT      743410102       489      35709 SH         DEFINED     001      35709
PRUDENTIAL FINL INC               COM             744320102     94856    1906280 SH         DEFINED     001    1906280
PSYCHIATRIC SOLUTIONS INC         COM             74439H108      3966     187612 SH         DEFINED     001     187612
PUBLIC SVC ENTERPRISE GROUP       COM             744573106      1629      48979 SH         DEFINED     001      48979
PUBLIC STORAGE                    COM             74460D109       840      10314 SH         DEFINED     001      10314
QUALCOMM INC                      COM             747525103    522850   11302417 SH         DEFINED     001   11302417
QUEST DIAGNOSTICS INC             COM             74834L100      2329      38570 SH         DEFINED     001      38570
RSC HOLDINGS INC                  COM             74972L102      4390     623515 SH          SOLE               623515
RADNET INC                        COM             750491102       425     208333 SH          SOLE               208333
RAYONIER INC                      COM             754907103      8192     194306 SH         DEFINED     001     194306
RAYTHEON CO                       COM NEW         755111507      3062      59442 SH         DEFINED     001      59442
REGAL ENTMT GROUP                 CL A            758766109     18426    1276041 SH         DEFINED     001    1276041
REGENT COMMUNICATIONS INC DE      COM             758865109       286    1099998 SH          SOLE              1099998
REGIONS FINANCIAL CORP NEW        COM             7591EP100     31327    5921927 SH         DEFINED     001    5921927
RESEARCH IN MOTION LTD            COM             760975102    233868    3462654 SH         DEFINED     001    3462654
RESMED INC                        COM             761152107     70278    1344512 SH         DEFINED     001    1344512
RIO TINTO PLC                     SPONSORED ADR   767204100      1034       4800 SH         DEFINED     001       4800
RITCHIE BROS AUCTIONEERS          COM             767744105      3066     136673 SH         DEFINED     001     136673
ROCKWELL COLLINS INC              COM             774341101     55230     997658 SH         DEFINED     001     997658
ROVI CORP                         COM             779376102     61751    1937602 SH         DEFINED     001    1937602
ROYAL DUTCH SHELL PLC             SPONS ADR A     780259206      2705      45000 SH         DEFINED     001      45000
SL GREEN RLTY CORP                COM             78440X101     10374     206482 SH         DEFINED     001     206482
SPDR TR                           UNIT SER 1      78462F103      4777      42867 SH         DEFINED     001      42867
SPDR GOLD TRUST                   GOLD SHS        78463V107      6821      63566 SH         DEFINED     001      63566
SPDR INDEX SHS FDS                S&P CHINA ETF   78463X400      3507      48804 SH         DEFINED     001      48804
STEC INC                          COM             784774101      2124     130000 SH         DEFINED     001     130000
ST JUDE MED INC                   COM             790849103       372      10121 SH         DEFINED     001      10121
SANOFI AVENTIS                    SPONSORED ADR   80105N105       758      19300 SH         DEFINED     001      19300
SARA LEE CORP                     COM             803111103     18165    1491389 SH         DEFINED     001    1491389
SCANA CORP NEW                    COM             80589M102     11889     315513 SH         DEFINED     001     315513
SCHLUMBERGER LTD                  COM             806857108    436564    6707090 SH         DEFINED     001    6707090
SCHWAB CHARLES CORP NEW           COM             808513105     52054    2765910 SH         DEFINED     001    2765910
SELECT SECTOR SPDR TR             SBI INT-FINL    81369Y605      6524     453050 SH         DEFINED     001     453050
SELECT SECTOR SPDR TR             SBI INT-INDS    81369Y704     26407     950231 SH         DEFINED     001     950231
SEMPRA ENERGY                     COM             816851109      1200      21434 SH         DEFINED     001      21434
SHANDA INTERACTIVE ENTMT LTD      SPONSORED ADR   81941Q203     52473     997399 SH         DEFINED     001     997399
SIEMENS A G                       SPONSORED ADR   826197501     19247     209893 SH         DEFINED     001     209893
SIMON PPTY GROUP INC NEW          COM             828806109      2125      26634 SH         DEFINED     001      26634
SOCIEDAD QUIMICA MINERA DE C      SPON ADR SER B  833635105     92640    2465784 SH         DEFINED     001    2465784
SOUTHERN CO                       COM             842587107      2209      66291 SH         DEFINED     001      66291
SOUTHWESTERN ENERGY CO            COM             845467109    141090    2927188 SH         DEFINED     001    2927188
SPECTRA ENERGY CORP               COM             847560109      1516      73900 SH         DEFINED     001      73900
SPRINT NEXTEL CORP                COM SER 1       852061100       820     223983 SH         DEFINED     001     223983
STANLEY WKS                       COM             854616109       320       6212 SH         DEFINED     001       6212
STAPLES INC                       COM             855030102     49733    2022490 SH         DEFINED     001    2022490
STARBUCKS CORP                    COM             855244109      1341      58162 SH         DEFINED     001      58162
STARWOOD HOTELS&RESORTS WRLD      COM             85590A401       356       9724 SH         DEFINED     001       9724
STATE STR CORP                    COM             857477103    374001    8589814 SH         DEFINED     001    8589814
STEEL DYNAMICS INC                COM             858119100       467      26370 SH         DEFINED     001      26370
STERICYCLE INC                    COM             858912108     16725     303152 SH         DEFINED     001     303152
STERLITE INDS INDIA LTD           ADS             859737207      8680     476400 SH         DEFINED     001     476400
SUCCESSFACTORS INC                COM             864596101      7670     462611 SH         DEFINED     001     462611
SUNCOR ENERGY INC NEW             COM             867224107     83276    2358435 SH         DEFINED     001    2358435
SUNTRUST BKS INC                  COM             867914103     16303     803507 SH         DEFINED     001     803507
SYNAPTICS INC                     COM             87157D109     29472     961559 SH         DEFINED     001     961559
SYNIVERSE HLDGS INC               COM             87163F106     12661     724340 SH         DEFINED     001     724340
TECO ENERGY INC                   COM             872375100       604      37226 SH         DEFINED     001      37226
TAIWAN SEMICONDUCTOR MFG LTD      SPONSORED ADR   874039100    150195   13128937 SH         DEFINED     001   13128937
TARGET CORP                       COM             87612E106    119952    2479879 SH         DEFINED     001    2479879
TESCO CORP                        COM             88157K101     13183    1021134 SH         DEFINED     001    1021134
TEVA PHARMACEUTICAL INDS LTD      ADR             881624209     24359     433596 SH         DEFINED     001     433596
TEXAS INSTRS INC                  COM             882508104     32379    1242478 SH         DEFINED     001    1242478
TEXTRON INC                       COM             883203101     45148    2400201 SH         DEFINED     001    2400201
THERMO FISHER SCIENTIFIC INC      COM             883556102     93306    1956505 SH         DEFINED     001    1956505
3M CO                             COM             88579Y101      6658      80536 SH         DEFINED     001      80536
THRESHOLD PHARMACEUTICAL INC      COM NEW         885807206        24      13304 SH         DEFINED     001      13304
TIME WARNER INC                   COM NEW         887317303    168467    5781284 SH         DEFINED     001    5781284
TIME WARNER CABLE INC             COM             88732J207      4275     103297 SH         DEFINED     001     103297
TOWN SPORTS INTL HLDGS INC        COM             89214A102       110      47069 SH          SOLE                47069
TRAVELERS COMPANIES INC           COM             89417E109     10282     206222 SH         DEFINED     001     206222
US BANCORP DEL                    COM NEW         902973304     48002    2132469 SH         DEFINED     001    2132469
UNION PAC CORP                    COM             907818108    125263    1960298 SH         DEFINED     001    1960298
UNITED PARCEL SERVICE INC         CL B            911312106      5104      88975 SH         DEFINED     001      88975
UNITED STATES STL CORP NEW        COM             912909108      3791      68777 SH         DEFINED     001      68777
UNITED TECHNOLOGIES CORP          COM             913017109     52192     751939 SH         DEFINED     001     751939
UNITEDHEALTH GROUP INC            COM             91324P102     95901    3146348 SH         DEFINED     001    3146348
URBAN OUTFITTERS INC              COM             917047102     13102     374457 SH         DEFINED     001     374457
VCA ANTECH INC                    COM             918194101     40060    1607557 SH         DEFINED     001    1607557
VALE S A                          ADR             91912E105      9834     338765 SH         DEFINED     001     338765
VALE S A                          ADR REPSTG PFD  91912E204    123971    4994811 SH         DEFINED     001    4994811
VALMONT INDS INC                  COM             920253101      2269      28927 SH         DEFINED     001      28927
VALUEVISION MEDIA INC             CL A            92047K107     30971    6452194 SH          SOLE              6452194
VANGUARD BD INDEX FD INC          SHORT TRM BOND  921937827       318       4000 SH         DEFINED     001       4000
VENTAS INC                        COM             92276F100       541      12361 SH         DEFINED     001      12361
VEOLIA ENVIRONNEMENT              SPONSORED ADR   92334N103       539      16400 SH         DEFINED     001      16400
VERIZON COMMUNICATIONS INC        COM             92343V104     73414    2215927 SH         DEFINED     001    2215927
VERISK ANALYTICS INC              CL A            92345Y106      3034     100205 SH         DEFINED     001     100205
VERTEX PHARMACEUTICALS INC        COM             92532F100     26691     622886 SH         DEFINED     001     622886
VIACOM INC NEW                    CL B            92553P201      3566     119946 SH         DEFINED     001     119946
VIRTUALSCOPICS INC                COM             928269109      1231    1218467 SH          SOLE              1218467
VISA INC                          COM CL A        92826C839    272176    3112003 SH         DEFINED     001    3112003
VODAFONE GROUP PLC NEW            SPONS ADR NEW   92857W209     16582     718131 SH         DEFINED     001     718131
VORNADO RLTY TR                   SH BEN INT      929042109      1248      17839 SH         DEFINED     001      17839
VULCAN MATLS CO                   COM             929160109      2464      46782 SH         DEFINED     001      46782
WUXI PHARMATECH CAYMAN INC        SPONS ADR SHS   929352102       219      13700 SH         DEFINED     001      13700
WAL MART STORES INC               COM             931142103     12633     236349 SH         DEFINED     001     236349
WELLPOINT INC                     COM             94973V107      2300      39452 SH         DEFINED     001      39452
WELLS FARGO & CO NEW              COM             949746101     26294     974195 SH         DEFINED     001     974195
WESTERN DIGITAL CORP              COM             958102105       885      20052 SH         DEFINED     001      20052
WESTERN UN CO                     COM             959802109    415942   22065876 SH         DEFINED     001   22065876
WEYERHAEUSER CO                   COM             962166104     36350     842595 SH         DEFINED     001     842595
WHIRLPOOL CORP                    COM             963320106       432       5358 SH         DEFINED     001       5358
WILLIAMS COS INC DEL              COM             969457100      1615      76599 SH         DEFINED     001      76599
WINDSTREAM CORP                   COM             97381W104       836      76056 SH         DEFINED     001      76056
WISCONSIN ENERGY CORP             COM             976657106       992      19908 SH         DEFINED     001      19908
XCEL ENERGY INC                   COM             98389B100      4147     195427 SH         DEFINED     001     195427
YAHOO INC                         COM             984332106      4500     268203 SH         DEFINED     001     268203
YUM BRANDS INC                    COM             988498101     19138     547281 SH         DEFINED     001     547281
ZIMMER HLDGS INC                  COM             98956P102      3073      51986 SH         DEFINED     001      51986
ZIONS BANCORPORATION              COM             989701107      2338     182238 SH         DEFINED     001     182238