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

Form 13F

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 2012

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

Institutional Investment Manager Filing this Report:

Name: 				Northern Trust Corporation
Address: 			50 South LaSalle Street, Chicago, IL 60603
Form 13F File Number: 		28-290

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: 		James D McDonald
Title: 		Senior Vice President
Phone: 		(312) 630-6000

Signature, Place, and Date of Signing:

					Chicago, IL		May 14, 2012
[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:	06

Form 13F Information Table Entry Total:	12,309.

Form 13F Information Table Value Total: $215,730,712.
					(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 #	Name

01	28-10495		The Northern Trust Company
02				not currently used
03				not currently used
04				now part of Manager 01
				(formerly Northern Trust, N.A.)
05				not currently used
06	28-2437			Strategic Investment Management
07	28-06281 & 28-10379	Michael B. Elefante & Kurt F. Somerville
08	28-10487		Northern Trust Investments, Inc.
09	28-10549		Northern Trust Global Investments Ltd
10				now part of Manager 01
				(formerly Northern Trust Bank, FSB)






  FORM 13F                                                                                                      PAGE      1
  ________
  DATE 03-30-12                                                     NAME OF REPORTING MANAGER - NORTHERN TRUST CORPORATION 28-290
                                                                            ITEM 6:
                                                                            INVESTMENT                      ITEM 8:
                                                                            DISCRETION              VOTING AUTHORITY (SHARES)
                                                                           __________              _________________________
                                                               ITEM 5:                      ITEM 7:
                                ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
           ITEM 1:             TITLE OF   CUSIP   FAIR MARKET PRINCIPAL                      SEE
        NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

DEUTSCHE BANK AG                  COM   D18190898       5,479     110,052  SH     DEFINED     01     106,446       3,606           0
DEUTSCHE BANK AG                  COM   D18190898         136       2,727  SH     OTHER       01       1,213       1,514           0
DEUTSCHE BANK AG                  COM   D18190898       2,458      49,374  SH     DEFINED  01,08      49,374           0           0

AIRCASTLE LTD                     COM   G0129K104       2,685     219,375  SH     DEFINED     01      16,679     202,696           0
AIRCASTLE LTD                     COM   G0129K104       8,270     675,661  SH     DEFINED  01,08     238,858     436,803           0
AIRCASTLE LTD                     COM   G0129K104       2,153     175,862  SH     DEFINED     09     175,862           0           0

ALKERMES PLC                      COM   G01767105       2,192     118,147  SH     DEFINED     01      32,407      85,740           0
ALKERMES PLC                      COM   G01767105      17,288     931,958  SH     DEFINED  01,08     149,841     782,117           0
ALKERMES PLC                      COM   G01767105       5,223     281,572  SH     DEFINED     09     281,572           0           0

ALTERRA CAPITAL HOLDINGS LIM      COM   G0229R108       9,453     411,378  SH     DEFINED     01      66,509     343,179       1,690
ALTERRA CAPITAL HOLDINGS LIM      COM   G0229R108          28       1,225  SH     OTHER       01       1,225           0           0
ALTERRA CAPITAL HOLDINGS LIM      COM   G0229R108      23,146   1,007,211  SH     DEFINED  01,08     394,774     612,437           0
ALTERRA CAPITAL HOLDINGS LIM      COM   G0229R108       5,995     260,866  SH     DEFINED     09     260,866           0           0

AMDOCS LTD                        COM   G02602103       1,603      50,749  SH     DEFINED     01      17,219      33,530           0
AMDOCS LTD                        COM   G02602103         169       5,340  SH     OTHER       01           0       5,200         140
AMDOCS LTD                        COM   G02602103      11,877     376,097  SH     DEFINED  01,08      92,441     283,656           0
AMDOCS LTD                        COM   G02602103         166       5,263  SH     DEFINED     09       5,263           0           0

ARCH CAP GROUP LTD                COM   G0450A105       1,753      47,078  SH     DEFINED     01      31,102      15,976           0
ARCH CAP GROUP LTD                COM   G0450A105      16,129     433,104  SH     DEFINED  01,08      42,517     390,587           0
ARCH CAP GROUP LTD                COM   G0450A105       6,853     184,012  SH     DEFINED     09     184,012           0           0

ARCOS DORADOS HOLDINGS INC        COM   G0457F107         386      21,348  SH     DEFINED     01       2,874      18,474           0
ARCOS DORADOS HOLDINGS INC        COM   G0457F107         159       8,777  SH     OTHER       01         410       8,367           0
ARCOS DORADOS HOLDINGS INC        COM   G0457F107         237      13,100  SH     DEFINED  01,08      13,100           0           0

ARGO GROUP INTL HLDGS LTD         COM   G0464B107       1,767      59,147  SH     DEFINED     01       7,988      51,159           0
ARGO GROUP INTL HLDGS LTD         COM   G0464B107       8,934     299,099  SH     DEFINED  01,08      65,071     234,028           0
ARGO GROUP INTL HLDGS LTD         COM   G0464B107       2,556      85,583  SH     DEFINED     09      85,583           0           0

APCO OIL & GAS INTERNATIONAL      COM   G0471F109         925      13,575  SH     DEFINED     01       2,079      11,496           0
APCO OIL & GAS INTERNATIONAL      COM   G0471F109       5,889      86,388  SH     DEFINED  01,08      12,864      73,524           0
APCO OIL & GAS INTERNATIONAL      COM   G0471F109       1,978      29,009  SH     DEFINED     09      29,009           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      2
  ________

ASPEN INSURANCE HOLDINGS LTD      COM   G05384105       1,851      66,235  SH     DEFINED     01      58,136       7,044       1,055
ASPEN INSURANCE HOLDINGS LTD      COM   G05384105         201       7,210  SH     OTHER       01       1,650       5,500          60
ASPEN INSURANCE HOLDINGS LTD      COM   G05384105      12,241     438,123  SH     DEFINED  01,08      24,625     413,498           0

ASSURED GUARANTY LTD              COM   G0585R106       4,256     257,607  SH     DEFINED     01      49,102     208,505           0
ASSURED GUARANTY LTD              COM   G0585R106          12         705  SH     OTHER       01         680           0          25
ASSURED GUARANTY LTD              COM   G0585R106      12,824     776,293  SH     DEFINED  01,08     254,096     522,197           0

AXIS CAPITAL HOLDINGS             COM   G0692U109       3,181      95,890  SH     DEFINED     01      41,374      54,516           0
AXIS CAPITAL HOLDINGS             COM   G0692U109         182       5,480  SH     OTHER       01           0       4,939         541
AXIS CAPITAL HOLDINGS             COM   G0692U109      14,239     429,272  SH     DEFINED  01,08      42,471     386,801           0
AXIS CAPITAL HOLDINGS             COM   G0692U109       6,027     181,696  SH     DEFINED     09     181,696           0           0

ENERGY XXI (BERMUDA) LTD          COM   G10082140       2,961      81,988  SH     DEFINED     01      21,321      60,667           0
ENERGY XXI (BERMUDA) LTD          COM   G10082140           5         135  SH     OTHER       01         135           0           0
ENERGY XXI (BERMUDA) LTD          COM   G10082140      21,864     605,489  SH     DEFINED  01,08      99,965     505,524           0
ENERGY XXI (BERMUDA) LTD          COM   G10082140       7,855     217,540  SH     DEFINED     09     217,540           0           0

ACCENTURE PLC IRELAND             COM   G1151C101     156,355   2,424,103  SH     DEFINED     01   1,504,805     894,070      25,228
ACCENTURE PLC IRELAND             COM   G1151C101      27,960     433,492  SH     OTHER       01     326,092      73,295      34,105
ACCENTURE PLC IRELAND             COM   G1151C101     319,720   4,956,899  SH     DEFINED  01,08   1,249,673   3,707,226           0
ACCENTURE PLC IRELAND             COM   G1151C101     103,355   1,602,402  SH     DEFINED     09   1,602,402           0           0

BROOKFIELD INFRAST PARTNERS       COM   G16252101       3,245     102,697  SH     DEFINED     01     100,447           0       2,250
BROOKFIELD INFRAST PARTNERS       COM   G16252101          93       2,950  SH     OTHER       01       2,200           0         750
BROOKFIELD INFRAST PARTNERS       COM   G16252101           2          67  SH     DEFINED     09          67           0           0

BUNGE LIMITED                     COM   G16962105       5,993      87,559  SH     DEFINED     01      67,726      19,448         385
BUNGE LIMITED                     COM   G16962105       1,058      15,458  SH     OTHER       01      11,618       1,570       2,270
BUNGE LIMITED                     COM   G16962105      37,449     547,184  SH     DEFINED  01,08     104,197     442,987           0
BUNGE LIMITED                     COM   G16962105      13,955     203,898  SH     DEFINED     09     203,898           0           0

CENTRAL EUROPEAN MEDIA ENTRP      COM   G20045202         157      22,074  SH     DEFINED     01       4,750      17,324           0
CENTRAL EUROPEAN MEDIA ENTRP      COM   G20045202       1,949     274,443  SH     DEFINED  01,08      31,917     242,526           0
CENTRAL EUROPEAN MEDIA ENTRP      COM   G20045202         709      99,845  SH     DEFINED     09      99,845           0           0

CHINA YUCHAI INTL LTD             COM   G21082105         170      10,735  SH     DEFINED     01      10,735           0           0
CHINA YUCHAI INTL LTD             COM   G21082105          25       1,600  SH     OTHER       01       1,600           0           0

COGO GROUP INC                    COM   G22538105          46      16,902  SH     DEFINED     01           0      16,902           0
COGO GROUP INC                    COM   G22538105          59      21,520  SH     DEFINED  01,08      18,722       2,798           0

CONSOLIDATED WATER CO INC         COM   G23773107         161      20,380  SH     DEFINED     01       2,631      17,749           0
CONSOLIDATED WATER CO INC         COM   G23773107       1,012     127,970  SH     DEFINED  01,08      27,923     100,047           0
CONSOLIDATED WATER CO INC         COM   G23773107         325      41,056  SH     DEFINED     09      41,056           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      3
  ________

COOPER INDUSTRIES PLC             COM   G24140108      17,053     266,662  SH     DEFINED     01     166,321     100,195         146
COOPER INDUSTRIES PLC             COM   G24140108         571       8,933  SH     OTHER       01       1,139       7,794           0
COOPER INDUSTRIES PLC             COM   G24140108      74,951   1,172,023  SH     DEFINED  01,08     265,723     906,300           0
COOPER INDUSTRIES PLC             COM   G24140108      25,112     392,685  SH     DEFINED     09     392,685           0           0

CREDICORP LTD                     COM   G2519Y108       1,280       9,712  SH     DEFINED     01       9,529         101          82
CREDICORP LTD                     COM   G2519Y108          36         272  SH     OTHER       01          71         201           0
CREDICORP LTD                     COM   G2519Y108      16,946     128,554  SH     DEFINED  01,08     128,554           0           0
CREDICORP LTD                     COM   G2519Y108      11,364      86,206  SH     DEFINED     09      86,206           0           0

COVIDIEN PLC                      COM   G2554F113     129,789   2,373,601  SH     DEFINED     01   1,994,772     347,659      31,170
COVIDIEN PLC                      COM   G2554F113      17,408     318,357  SH     OTHER       01     265,276      36,973      16,108
COVIDIEN PLC                      COM   G2554F113     197,057   3,603,831  SH     DEFINED  01,08     843,816   2,760,015           0
COVIDIEN PLC                      COM   G2554F113      82,976   1,517,480  SH     DEFINED     09   1,517,480           0           0

DELPHI AUTOMOTIVE PLC             COM   G27823106         626      19,797  SH     DEFINED  01,08      19,797           0           0

ENDURANCE SPECIALTY HLDGS LT      COM   G30397106       3,695      90,881  SH     DEFINED     01      49,687      39,999       1,195
ENDURANCE SPECIALTY HLDGS LT      COM   G30397106          93       2,280  SH     OTHER       01       1,485         760          35
ENDURANCE SPECIALTY HLDGS LT      COM   G30397106       7,269     178,777  SH     DEFINED  01,08      53,239     125,538           0

ENSTAR GROUP LIMITED              COM   G3075P101         865       8,739  SH     DEFINED     01       1,899       6,840           0
ENSTAR GROUP LIMITED              COM   G3075P101         253       2,553  SH     OTHER       01       1,913         640           0
ENSTAR GROUP LIMITED              COM   G3075P101       6,981      70,525  SH     DEFINED  01,08      10,305      60,220           0
ENSTAR GROUP LIMITED              COM   G3075P101       2,046      20,672  SH     DEFINED     09      20,672           0           0

EVEREST RE GROUP LTD              COM   G3223R108       5,825      62,958  SH     DEFINED     01      54,230       8,397         331
EVEREST RE GROUP LTD              COM   G3223R108         748       8,089  SH     OTHER       01       4,158       3,200         731
EVEREST RE GROUP LTD              COM   G3223R108      27,919     301,766  SH     DEFINED  01,08      15,103     286,663           0
EVEREST RE GROUP LTD              COM   G3223R108       7,394      79,922  SH     DEFINED     09      79,922           0           0

FABRINET                          COM   G3323L100         256      14,454  SH     DEFINED     01       5,158       9,296           0
FABRINET                          COM   G3323L100       3,220     181,805  SH     DEFINED  01,08      18,726     163,079           0
FABRINET                          COM   G3323L100       1,091      61,584  SH     DEFINED     09      61,584           0           0

FRESH DEL MONTE PRODUCE INC       COM   G36738105       5,903     258,450  SH     DEFINED     01       8,075     250,375           0
FRESH DEL MONTE PRODUCE INC       COM   G36738105      13,071     572,280  SH     DEFINED  01,08     275,515     296,765           0
FRESH DEL MONTE PRODUCE INC       COM   G36738105       2,716     118,929  SH     DEFINED     09     118,929           0           0

FRONTLINE LTD                     COM   G3682E127         285      37,072  SH     DEFINED     01      12,727      24,345           0
FRONTLINE LTD                     COM   G3682E127       3,030     394,049  SH     DEFINED  01,08      49,561     344,488           0
FRONTLINE LTD                     COM   G3682E127       1,080     140,407  SH     DEFINED     09     140,407           0           0

FREESCALE SEMICONDUCTOR HLDG      COM   G3727Q101          97       6,329  SH     DEFINED     01       6,142         187           0
FREESCALE SEMICONDUCTOR HLDG      COM   G3727Q101       1,394      90,610  SH     DEFINED  01,08      15,434      75,176           0

GENPACT LIMITED                   COM   G3922B107         623      38,204  SH     DEFINED     01      12,751      25,453           0
GENPACT LIMITED                   COM   G3922B107          98       6,010  SH     OTHER       01       6,010           0           0
GENPACT LIMITED                   COM   G3922B107       6,372     390,936  SH     DEFINED  01,08      35,311     355,625           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      4
  ________

GLOBAL SOURCES LTD                COM   G39300101         105      17,053  SH     DEFINED     01       3,187      13,866           0
GLOBAL SOURCES LTD                COM   G39300101         570      92,482  SH     DEFINED  01,08      21,221      71,261           0
GLOBAL SOURCES LTD                COM   G39300101         307      49,889  SH     DEFINED     09      49,889           0           0

GLOBAL INDEMNITY PLC              COM   G39319101         241      12,372  SH     DEFINED     01       4,434       7,938           0
GLOBAL INDEMNITY PLC              COM   G39319101       2,421     124,240  SH     DEFINED  01,08      15,099     109,141           0
GLOBAL INDEMNITY PLC              COM   G39319101         949      48,715  SH     DEFINED     09      48,715           0           0

GREENLIGHT CAPITAL RE LTD         COM   G4095J109         883      35,859  SH     DEFINED     01       8,641      27,218           0
GREENLIGHT CAPITAL RE LTD         COM   G4095J109       6,793     275,819  SH     DEFINED  01,08      41,309     234,510           0
GREENLIGHT CAPITAL RE LTD         COM   G4095J109       1,999      81,169  SH     DEFINED     09      81,169           0           0

HELEN OF TROY CORP LTD            COM   G4388N106       5,649     166,102  SH     DEFINED     01      15,840     150,262           0
HELEN OF TROY CORP LTD            COM   G4388N106         361      10,600  SH     OTHER       01           0      10,600           0
HELEN OF TROY CORP LTD            COM   G4388N106      14,292     420,241  SH     DEFINED  01,08     173,812     246,429           0
HELEN OF TROY CORP LTD            COM   G4388N106       2,983      87,708  SH     DEFINED     09      87,708           0           0

HERBALIFE LTD                     COM   G4412G101      16,071     233,516  SH     DEFINED     01     215,644      16,333       1,539
HERBALIFE LTD                     COM   G4412G101         838      12,180  SH     OTHER       01      10,683       1,268         229
HERBALIFE LTD                     COM   G4412G101      29,932     434,937  SH     DEFINED  01,08      72,524     362,413           0
HERBALIFE LTD                     COM   G4412G101      12,052     175,125  SH     DEFINED     09     175,125           0           0

INGERSOLL-RAND PLC                COM   G47791101      16,241     392,760  SH     DEFINED     01     204,800     186,022       1,938
INGERSOLL-RAND PLC                COM   G47791101       1,254      30,327  SH     OTHER       01      18,175      12,132          20
INGERSOLL-RAND PLC                COM   G47791101      91,792   2,219,872  SH     DEFINED  01,08     505,574   1,714,298           0
INGERSOLL-RAND PLC                COM   G47791101      33,317     805,742  SH     DEFINED     09     805,742           0           0

INVESCO LTD                       COM   G491BT108      27,640   1,036,382  SH     DEFINED     01     637,516     390,013       8,853
INVESCO LTD                       COM   G491BT108       3,060     114,745  SH     OTHER       01      24,210      89,740         795
INVESCO LTD                       COM   G491BT108     104,319   3,911,477  SH     DEFINED  01,08   1,356,411   2,525,316      29,750
INVESCO LTD                       COM   G491BT108      28,018   1,050,556  SH     DEFINED     09   1,050,556           0           0

JAZZ PHARMACEUTICALS PLC          COM   G50871105       1,140      23,529  SH     DEFINED     01       3,726      19,803           0
JAZZ PHARMACEUTICALS PLC          COM   G50871105      10,783     222,464  SH     DEFINED  01,08      28,031     194,433           0
JAZZ PHARMACEUTICALS PLC          COM   G50871105       3,038      62,670  SH     DEFINED     09      62,670           0           0

KOSMOS ENERGY LTD                 COM   G5315B107          25       1,924  SH     DEFINED     01       1,757         167           0
KOSMOS ENERGY LTD                 COM   G5315B107         739      55,853  SH     DEFINED  01,08       5,783      50,070           0

LAZARD LTD                        COM   G54050102         285       9,983  SH     DEFINED     01       4,980       5,003           0
LAZARD LTD                        COM   G54050102         710      24,854  SH     OTHER       01       3,100      21,696          58
LAZARD LTD                        COM   G54050102       5,887     206,143  SH     DEFINED  01,08      19,253     186,890           0

MAIDEN HOLDINGS LTD               COM   G5753U112         596      66,260  SH     DEFINED     01      15,408      50,852           0
MAIDEN HOLDINGS LTD               COM   G5753U112       4,557     506,351  SH     DEFINED  01,08      75,760     430,591           0
MAIDEN HOLDINGS LTD               COM   G5753U112       1,417     157,470  SH     DEFINED     09     157,470           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      5
  ________

MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105       3,505     222,848  SH     DEFINED     01     123,876      98,972           0
MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105          16       1,040  SH     OTHER       01           0         680         360
MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105      28,797   1,830,719  SH     DEFINED  01,08     336,247   1,494,472           0
MARVELL TECHNOLOGY GROUP LTD      COM   G5876H105      11,288     717,637  SH     DEFINED     09     717,637           0           0

MICHAEL KORS HLDGS LTD            COM   G60754101       6,839     146,793  SH     DEFINED     01     132,204      13,299       1,290
MICHAEL KORS HLDGS LTD            COM   G60754101         495      10,616  SH     OTHER       01       6,585       4,031           0
MICHAEL KORS HLDGS LTD            COM   G60754101       3,056      65,588  SH     DEFINED  01,08       9,075      56,513           0

MONTPELIER RE HOLDINGS LTD        COM   G62185106       4,141     214,336  SH     DEFINED     01      19,292     195,044           0
MONTPELIER RE HOLDINGS LTD        COM   G62185106      14,277     738,996  SH     DEFINED  01,08     229,156     509,840           0
MONTPELIER RE HOLDINGS LTD        COM   G62185106       3,413     176,638  SH     DEFINED     09     176,638           0           0

ALPHA & OMEGA SEMICONDUCTOR       COM   G6331P104          87       9,089  SH     DEFINED     01       1,659       7,430           0
ALPHA & OMEGA SEMICONDUCTOR       COM   G6331P104       1,032     107,293  SH     DEFINED  01,08      13,592      93,701           0
ALPHA & OMEGA SEMICONDUCTOR       COM   G6331P104         383      39,779  SH     DEFINED     09      39,779           0           0

NABORS INDUSTRIES LTD             COM   G6359F103      14,367     821,424  SH     DEFINED     01     588,076     226,524       6,824
NABORS INDUSTRIES LTD             COM   G6359F103       1,062      60,699  SH     OTHER       01      26,325      34,254         120
NABORS INDUSTRIES LTD             COM   G6359F103      37,324   2,134,010  SH     DEFINED  01,08     514,084   1,619,926           0
NABORS INDUSTRIES LTD             COM   G6359F103      12,996     743,033  SH     DEFINED     09     743,033           0           0

NORDIC AMERICAN TANKERS LIMI      COM   G65773106       2,415     152,055  SH     DEFINED     01      14,883     137,172           0
NORDIC AMERICAN TANKERS LIMI      COM   G65773106       8,036     506,051  SH     DEFINED  01,08     168,818     337,233           0
NORDIC AMERICAN TANKERS LIMI      COM   G65773106       2,509     158,005  SH     DEFINED     09     158,005           0           0

HOME LN SERVICING SOLUTIONS       COM   G6648D109         147      10,552  SH     DEFINED  01,08      10,552           0           0
HOME LN SERVICING SOLUTIONS       COM   G6648D109         541      38,840  SH     DEFINED     09      38,840           0           0

ONEBEACON INSURANCE GROUP LT      COM   G67742109         478      31,049  SH     DEFINED     01       6,091      24,958           0
ONEBEACON INSURANCE GROUP LT      COM   G67742109         268      17,400  SH     OTHER       01           0      17,400           0
ONEBEACON INSURANCE GROUP LT      COM   G67742109       3,518     228,281  SH     DEFINED  01,08      38,079     190,202           0
ONEBEACON INSURANCE GROUP LT      COM   G67742109       1,043      67,658  SH     DEFINED     09      67,658           0           0

ORIENT-EXPRESS HOTELS LTD         COM   G67743107       1,079     105,817  SH     DEFINED     01      23,986      81,831           0
ORIENT-EXPRESS HOTELS LTD         COM   G67743107       8,958     878,263  SH     DEFINED  01,08     118,616     759,647           0
ORIENT-EXPRESS HOTELS LTD         COM   G67743107       2,960     290,212  SH     DEFINED     09     290,212           0           0

PARTNERRE LTD                     COM   G6852T105       1,723      25,375  SH     DEFINED     01      15,609       9,766           0
PARTNERRE LTD                     COM   G6852T105         268       3,945  SH     OTHER       01           0       1,845       2,100
PARTNERRE LTD                     COM   G6852T105      15,250     224,623  SH     DEFINED  01,08      23,107     201,516           0
PARTNERRE LTD                     COM   G6852T105       6,226      91,705  SH     DEFINED     09      91,705           0           0

PLATINUM UNDERWRITER HLDGS L      COM   G7127P100       5,490     150,403  SH     DEFINED     01      11,045     139,358           0
PLATINUM UNDERWRITER HLDGS L      COM   G7127P100      16,856     461,806  SH     DEFINED  01,08     158,351     303,455           0
PLATINUM UNDERWRITER HLDGS L      COM   G7127P100       4,289     117,520  SH     DEFINED     09     117,520           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      6
  ________

RENAISSANCERE HOLDINGS LTD        COM   G7496G103       1,258      16,613  SH     DEFINED     01      11,733       4,880           0
RENAISSANCERE HOLDINGS LTD        COM   G7496G103         108       1,430  SH     OTHER       01           0       1,400          30
RENAISSANCERE HOLDINGS LTD        COM   G7496G103      12,832     169,438  SH     DEFINED  01,08      16,993     152,445           0
RENAISSANCERE HOLDINGS LTD        COM   G7496G103       5,667      74,832  SH     DEFINED     09      74,832           0           0

SEADRILL LIMITED                  COM   G7945E105         257       6,846  SH     DEFINED     01       6,846           0           0
SEADRILL LIMITED                  COM   G7945E105          31         835  SH     OTHER       01         835           0           0

SEAGATE TECHNOLOGY PLC            COM   G7945M107       3,034     112,544  SH     DEFINED     01      74,270      38,274           0
SEAGATE TECHNOLOGY PLC            COM   G7945M107          20         755  SH     OTHER       01         400         175         180
SEAGATE TECHNOLOGY PLC            COM   G7945M107      17,403     645,646  SH     DEFINED  01,08      90,264     555,382           0
SEAGATE TECHNOLOGY PLC            COM   G7945M107      15,685     581,911  SH     DEFINED     09     581,911           0           0

SEACUBE CONTAINER LEASING LT      COM   G79978105         127       7,383  SH     DEFINED     01       2,181       5,202           0
SEACUBE CONTAINER LEASING LT      COM   G79978105       1,548      89,987  SH     DEFINED  01,08      14,121      75,866           0
SEACUBE CONTAINER LEASING LT      COM   G79978105         502      29,168  SH     DEFINED     09      29,168           0           0

SHIP FINANCE INTERNATIONAL L      COM   G81075106       4,116     269,018  SH     DEFINED     01      10,074     258,944           0
SHIP FINANCE INTERNATIONAL L      COM   G81075106      10,344     676,094  SH     DEFINED  01,08     309,688     366,406           0
SHIP FINANCE INTERNATIONAL L      COM   G81075106       2,020     132,057  SH     DEFINED     09     132,057           0           0

SIGNET JEWELERS LIMITED           COM   G81276100       1,744      36,885  SH     DEFINED     01      25,572      11,264          49
SIGNET JEWELERS LIMITED           COM   G81276100          69       1,460  SH     OTHER       01         436         969          55
SIGNET JEWELERS LIMITED           COM   G81276100      25,549     540,377  SH     DEFINED  01,08      38,370     502,007           0

UTI WORLDWIDE INC                 COM   G87210103       1,146      66,527  SH     DEFINED     01      53,285      13,057         185
UTI WORLDWIDE INC                 COM   G87210103           9         550  SH     OTHER       01         390         110          50
UTI WORLDWIDE INC                 COM   G87210103      10,937     634,756  SH     DEFINED  01,08      32,458     602,298           0

TEXTAINER GROUP HOLDINGS LTD      COM   G8766E109         833      24,582  SH     DEFINED     01       2,626      21,956           0
TEXTAINER GROUP HOLDINGS LTD      COM   G8766E109       4,432     130,749  SH     DEFINED  01,08      27,622     103,127           0
TEXTAINER GROUP HOLDINGS LTD      COM   G8766E109       1,107      32,668  SH     DEFINED     09      32,668           0           0

UTSTARCOM HOLDINGS CORP           COM   G9310A106          78      53,873  SH     DEFINED     01           0      53,873           0
UTSTARCOM HOLDINGS CORP           COM   G9310A106         345     237,702  SH     DEFINED  01,08      47,265     190,437           0

VALIDUS HOLDINGS LTD              COM   G9319H102       4,816     155,596  SH     DEFINED     01      20,058     135,538           0
VALIDUS HOLDINGS LTD              COM   G9319H102         346      11,177  SH     OTHER       01           0      11,177           0
VALIDUS HOLDINGS LTD              COM   G9319H102      11,922     385,211  SH     DEFINED  01,08     155,044     230,167           0

VANTAGE DRILLING COMPANY          COM   G93205113         205     128,106  SH     DEFINED     01      44,646      83,460           0
VANTAGE DRILLING COMPANY          COM   G93205113       2,201   1,375,527  SH     DEFINED  01,08     181,421   1,194,106           0
VANTAGE DRILLING COMPANY          COM   G93205113         862     538,805  SH     DEFINED     09     538,805           0           0

WARNER CHILCOTT PLC IRELAND       COM   G94368100         744      44,283  SH     DEFINED     01      29,212      15,071           0
WARNER CHILCOTT PLC IRELAND       COM   G94368100           1          85  SH     OTHER       01           0           0          85
WARNER CHILCOTT PLC IRELAND       COM   G94368100       7,210     428,913  SH     DEFINED  01,08      73,360     355,553           0
WARNER CHILCOTT PLC IRELAND       COM   G94368100       3,025     179,960  SH     DEFINED     09     179,960           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      7
  ________

GOLAR LNG LTD BERMUDA             COM   G9456A100       2,023      53,167  SH     DEFINED     01       9,620      43,547           0
GOLAR LNG LTD BERMUDA             COM   G9456A100      12,654     332,569  SH     DEFINED  01,08      62,669     269,900           0
GOLAR LNG LTD BERMUDA             COM   G9456A100       4,587     120,544  SH     DEFINED     09     120,544           0           0

WHITE MTNS INS GROUP LTD          COM   G9618E107       2,847       5,675  SH     DEFINED     01       4,834         662         179
WHITE MTNS INS GROUP LTD          COM   G9618E107         343         684  SH     OTHER       01           0         620          64
WHITE MTNS INS GROUP LTD          COM   G9618E107      11,055      22,034  SH     DEFINED  01,08       2,054      19,980           0
WHITE MTNS INS GROUP LTD          COM   G9618E107         109         217  SH     DEFINED     09         217           0           0

WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105       8,470     242,143  SH     DEFINED     01     237,408       2,915       1,820
WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105         906      25,905  SH     OTHER       01      17,230       7,590       1,085
WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105         698      19,942  SH     DEFINED  01,08      15,835       4,107           0
WILLIS GROUP HOLDINGS PUBLIC      COM   G96666105       8,196     234,299  SH     DEFINED     09     234,299           0           0

XYRATEX LTD                       COM   G98268108       3,952     248,415  SH     DEFINED     01      25,930     221,940         545
XYRATEX LTD                       COM   G98268108           9         590  SH     OTHER       01         590           0           0
XYRATEX LTD                       COM   G98268108       6,877     432,239  SH     DEFINED  01,08     239,516     192,723           0
XYRATEX LTD                       COM   G98268108       1,359      85,391  SH     DEFINED     09      85,391           0           0

XL GROUP PLC                      COM   G98290102       8,178     377,023  SH     DEFINED     01     208,697     165,884       2,442
XL GROUP PLC                      COM   G98290102         157       7,236  SH     OTHER       01       5,624       1,367         245
XL GROUP PLC                      COM   G98290102      50,045   2,307,263  SH     DEFINED  01,08     538,424   1,768,839           0
XL GROUP PLC                      COM   G98290102      16,092     741,925  SH     DEFINED     09     741,925           0           0

ACE LTD                           COM   H0023R105      30,796     420,712  SH     DEFINED     01     230,555     187,629       2,528
ACE LTD                           COM   H0023R105         611       8,342  SH     OTHER       01       6,161       2,181           0
ACE LTD                           COM   H0023R105     179,669   2,454,491  SH     DEFINED  01,08     551,935   1,902,556           0
ACE LTD                           COM   H0023R105      59,015     806,218  SH     DEFINED     09     806,218           0           0

ALLIED WRLD ASSUR COM HLDG A      COM   H01531104         846      12,318  SH     DEFINED     01       8,929       3,389           0
ALLIED WRLD ASSUR COM HLDG A      COM   H01531104           2          30  SH     OTHER       01           0           0          30
ALLIED WRLD ASSUR COM HLDG A      COM   H01531104       8,874     129,222  SH     DEFINED  01,08      13,887     115,335           0

WEATHERFORD INTERNATIONAL LT      COM   H27013103       3,167     209,875  SH     DEFINED     01      63,913     145,962           0
WEATHERFORD INTERNATIONAL LT      COM   H27013103       1,044      69,205  SH     OTHER       01       5,000      42,879      21,326
WEATHERFORD INTERNATIONAL LT      COM   H27013103       5,675     376,049  SH     DEFINED  01,08      81,136     294,913           0
WEATHERFORD INTERNATIONAL LT      COM   H27013103      18,101   1,199,540  SH     DEFINED     09   1,199,540           0           0

FOSTER WHEELER AG                 COM   H27178104         464      20,379  SH     DEFINED     01       5,752      14,627           0
FOSTER WHEELER AG                 COM   H27178104          30       1,299  SH     OTHER       01           0       1,145         154
FOSTER WHEELER AG                 COM   H27178104       1,351      59,349  SH     DEFINED  01,08      12,790      46,559           0
FOSTER WHEELER AG                 COM   H27178104          57       2,510  SH     DEFINED     09       2,510           0           0

GARMIN LTD                        COM   H2906T109       1,953      41,574  SH     DEFINED     01      30,866      10,708           0
GARMIN LTD                        COM   H2906T109          88       1,875  SH     OTHER       01       1,590         200          85
GARMIN LTD                        COM   H2906T109      19,761     420,626  SH     DEFINED  01,08      85,806     334,820           0
GARMIN LTD                        COM   H2906T109       7,285     155,056  SH     DEFINED     09     155,056           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      8
  ________

NOBLE CORPORATION BAAR            COM   H5833N103      20,357     543,296  SH     DEFINED     01     356,920     182,262       4,114
NOBLE CORPORATION BAAR            COM   H5833N103       5,253     140,182  SH     OTHER       01     104,139      27,868       8,175
NOBLE CORPORATION BAAR            COM   H5833N103      52,995   1,414,320  SH     DEFINED  01,08     395,075   1,019,245           0
NOBLE CORPORATION BAAR            COM   H5833N103      23,283     621,364  SH     DEFINED     09     621,364           0           0

TE CONNECTIVITY LTD               COM   H84989104      15,857     431,471  SH     DEFINED     01     142,510     288,601         360
TE CONNECTIVITY LTD               COM   H84989104         423      11,516  SH     OTHER       01       1,418       8,741       1,357
TE CONNECTIVITY LTD               COM   H84989104      86,758   2,360,772  SH     DEFINED  01,08     644,249   1,716,523           0
TE CONNECTIVITY LTD               COM   H84989104      38,682   1,052,573  SH     DEFINED     09   1,052,573           0           0

TRANSOCEAN LTD                    COM   H8817H100      11,075     202,462  SH     DEFINED     01     155,439      41,532       5,491
TRANSOCEAN LTD                    COM   H8817H100       3,699      67,626  SH     OTHER       01      43,517      19,874       4,235
TRANSOCEAN LTD                    COM   H8817H100         395       7,226  SH     DEFINED     09       7,226           0           0

TYCO INTERNATIONAL LTD            COM   H89128104      32,383     576,408  SH     DEFINED     01     323,803     245,998       6,607
TYCO INTERNATIONAL LTD            COM   H89128104       2,570      45,738  SH     OTHER       01      22,365      23,070         303
TYCO INTERNATIONAL LTD            COM   H89128104     189,570   3,374,333  SH     DEFINED  01,08     762,772   2,611,561           0
TYCO INTERNATIONAL LTD            COM   H89128104      63,820   1,135,993  SH     DEFINED     09   1,135,993           0           0

UBS AG                            COM   H89231338      14,254   1,016,655  SH     DEFINED     01     848,238     164,084       4,333
UBS AG                            COM   H89231338       1,282      91,424  SH     OTHER       01      48,873      38,876       3,675
UBS AG                            COM   H89231338       2,345     167,261  SH     DEFINED  01,08     167,261           0           0

ALTISOURCE PORTFOLIO SOLNS S      COM   L0175J104         566       9,330  SH     DEFINED     01       3,874       5,456           0
ALTISOURCE PORTFOLIO SOLNS S      COM   L0175J104           7         115  SH     OTHER       01         115           0           0
ALTISOURCE PORTFOLIO SOLNS S      COM   L0175J104         495       8,162  SH     DEFINED  01,08       7,426         736           0

FLAGSTONE REINSURANCE HOLDIN      COM   L3466T104         486      61,799  SH     DEFINED     01       9,952      51,847           0
FLAGSTONE REINSURANCE HOLDIN      COM   L3466T104       3,965     503,869  SH     DEFINED  01,08      80,862     423,007           0
FLAGSTONE REINSURANCE HOLDIN      COM   L3466T104       1,339     170,189  SH     DEFINED     09     170,189           0           0

CHECK POINT SOFTWARE TECH LT      COM   M22465104       8,814     138,069  SH     DEFINED     01      72,733      65,231         105
CHECK POINT SOFTWARE TECH LT      COM   M22465104         584       9,150  SH     OTHER       01       3,436       5,714           0
CHECK POINT SOFTWARE TECH LT      COM   M22465104       4,718      73,907  SH     DEFINED  01,08      73,907           0           0
CHECK POINT SOFTWARE TECH LT      COM   M22465104         488       7,641  SH     DEFINED     09       7,641           0           0

CLICKSOFTWARE TECHNOLOGIES L      COM   M25082104       1,170      92,300  SH     OTHER       01           0      92,300           0

ASML HOLDING N V                  COM   N07059186       5,523     110,157  SH     DEFINED     01      83,999      26,063          95
ASML HOLDING N V                  COM   N07059186         330       6,588  SH     OTHER       01       3,316       1,367       1,905
ASML HOLDING N V                  COM   N07059186       2,237      44,625  SH     DEFINED  01,08      44,625           0           0

AVG TECHNOLOGIES N V              COM   N07831105         812      54,325  SH     DEFINED     01           0      54,325           0
AVG TECHNOLOGIES N V              COM   N07831105         896      59,929  SH     DEFINED  01,08      59,929           0           0
AVG TECHNOLOGIES N V              COM   N07831105         371      24,838  SH     DEFINED     09      24,838           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE      9
  ________

CNH GLOBAL N V                    COM   N20935206          87       2,203  SH     DEFINED     01       2,110          93           0
CNH GLOBAL N V                    COM   N20935206           1          20  SH     OTHER       01           0           0          20
CNH GLOBAL N V                    COM   N20935206       2,059      51,860  SH     DEFINED  01,08       5,971      45,889           0
CNH GLOBAL N V                    COM   N20935206          56       1,400  SH     DEFINED     09       1,400           0           0

CORE LABORATORIES N V             COM   N22717107      12,177      92,552  SH     DEFINED     01      79,766      12,645         141
CORE LABORATORIES N V             COM   N22717107       1,719      13,067  SH     OTHER       01       5,228       7,839           0
CORE LABORATORIES N V             COM   N22717107      12,106      92,010  SH     DEFINED  01,08      13,350      78,660           0

LYONDELLBASELL INDUSTRIES N       COM   N53745100       8,134     186,336  SH     DEFINED     01     141,272      43,572       1,492
LYONDELLBASELL INDUSTRIES N       COM   N53745100         390       8,933  SH     OTHER       01       4,257       4,631          45
LYONDELLBASELL INDUSTRIES N       COM   N53745100      49,239   1,128,041  SH     DEFINED  01,08     141,564     986,477           0
LYONDELLBASELL INDUSTRIES N       COM   N53745100      18,346     420,305  SH     DEFINED     09     420,305           0           0

NIELSEN HOLDINGS N V              COM   N63218106         718      23,829  SH     DEFINED     01       9,201      14,628           0
NIELSEN HOLDINGS N V              COM   N63218106         314      10,413  SH     OTHER       01           0      10,300         113
NIELSEN HOLDINGS N V              COM   N63218106       7,762     257,525  SH     DEFINED  01,08      24,279     233,246           0
NIELSEN HOLDINGS N V              COM   N63218106       4,817     159,837  SH     DEFINED     09     159,837           0           0

ORTHOFIX INTL N V                 COM   N6748L102         869      23,125  SH     DEFINED     01       4,870      18,255           0
ORTHOFIX INTL N V                 COM   N6748L102       6,695     178,147  SH     DEFINED  01,08      30,130     148,017           0
ORTHOFIX INTL N V                 COM   N6748L102       1,858      49,453  SH     DEFINED     09      49,453           0           0

QIAGEN NV                         COM   N72482107       3,887     249,629  SH     DEFINED     01     240,945       5,744       2,940
QIAGEN NV                         COM   N72482107         223      14,315  SH     OTHER       01      12,500         995         820
QIAGEN NV                         COM   N72482107       6,732     432,380  SH     DEFINED  01,08      54,956     377,424           0

SENSATA TECHNOLOGIES HLDG BV      COM   N7902X106         459      13,704  SH     DEFINED     01      13,704           0           0
SENSATA TECHNOLOGIES HLDG BV      COM   N7902X106          39       1,171  SH     OTHER       01         387         784           0
SENSATA TECHNOLOGIES HLDG BV      COM   N7902X106         357      10,649  SH     DEFINED  01,08       8,275       2,374           0

TORNIER N V                       COM   N87237108         154       6,004  SH     DEFINED     01       1,003       5,001           0
TORNIER N V                       COM   N87237108       2,076      80,763  SH     DEFINED  01,08       9,699      71,064           0
TORNIER N V                       COM   N87237108         688      26,773  SH     DEFINED     09      26,773           0           0

VISTAPRINT N V                    COM   N93540107       1,713      44,311  SH     DEFINED     01      10,537      33,774           0
VISTAPRINT N V                    COM   N93540107       6,094     157,665  SH     DEFINED  01,08      41,311     116,354           0

YANDEX N V                        COM   N97284108       3,575     133,038  SH     DEFINED     01     115,096      17,942           0
YANDEX N V                        COM   N97284108         174       6,477  SH     OTHER       01       5,774         703           0

COPA HOLDINGS SA                  COM   P31076105      15,061     190,165  SH     DEFINED     01     181,520       7,410       1,235
COPA HOLDINGS SA                  COM   P31076105         901      11,381  SH     OTHER       01      10,828         523          30
COPA HOLDINGS SA                  COM   P31076105       5,352      67,578  SH     DEFINED  01,08      15,209      52,369           0

STEINER LEISURE LTD               COM   P8744Y102         796      16,301  SH     DEFINED     01       3,968      12,333           0
STEINER LEISURE LTD               COM   P8744Y102       7,133     146,088  SH     DEFINED  01,08      23,109     122,979           0
STEINER LEISURE LTD               COM   P8744Y102       2,041      41,799  SH     DEFINED     09      41,799           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     10
  ________

ULTRAPETROL BAHAMAS LTD           COM   P94398107          36      18,146  SH     DEFINED     01       2,341      15,805           0
ULTRAPETROL BAHAMAS LTD           COM   P94398107         349     174,429  SH     DEFINED  01,08      27,465     146,964           0
ULTRAPETROL BAHAMAS LTD           COM   P94398107         124      61,864  SH     DEFINED     09      61,864           0           0

EXCEL MARITIME CARRIERS LTD       COM   V3267N107          52      25,771  SH     DEFINED     01       5,004      20,767           0
EXCEL MARITIME CARRIERS LTD       COM   V3267N107         682     341,002  SH     DEFINED  01,08      43,174     297,828           0
EXCEL MARITIME CARRIERS LTD       COM   V3267N107         216     107,868  SH     DEFINED     09     107,868           0           0

ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103      22,719     771,970  SH     DEFINED     01     199,727     572,243           0
ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103      13,812     469,301  SH     DEFINED  01,08      61,172     408,129           0
ROYAL CARIBBEAN CRUISES LTD       COM   V7780T103       5,924     201,306  SH     DEFINED     09     201,306           0           0

AVAGO TECHNOLOGIES LTD            COM   Y0486S104      10,060     258,157  SH     DEFINED     01     231,233      24,912       2,012
AVAGO TECHNOLOGIES LTD            COM   Y0486S104         574      14,737  SH     OTHER       01       8,074       6,648          15
AVAGO TECHNOLOGIES LTD            COM   Y0486S104      17,086     438,438  SH     DEFINED  01,08     108,913     329,525           0
AVAGO TECHNOLOGIES LTD            COM   Y0486S104      12,093     310,328  SH     DEFINED     09     310,328           0           0

BALTIC TRADING LIMITED            COM   Y0553W103          37       9,019  SH     DEFINED     01       2,679       6,340           0
BALTIC TRADING LIMITED            COM   Y0553W103         602     145,015  SH     DEFINED  01,08      17,284     127,731           0
BALTIC TRADING LIMITED            COM   Y0553W103         164      39,421  SH     DEFINED     09      39,421           0           0

DHT HOLDINGS INC                  COM   Y2065G105          47      48,455  SH     DEFINED     01      12,300      36,155           0
DHT HOLDINGS INC                  COM   Y2065G105         574     598,166  SH     DEFINED  01,08      67,359     530,807           0
DHT HOLDINGS INC                  COM   Y2065G105         150     156,131  SH     DEFINED     09     156,131           0           0

EAGLE BULK SHIPPING INC           COM   Y2187A101         123      63,461  SH     DEFINED     01      12,838      50,623           0
EAGLE BULK SHIPPING INC           COM   Y2187A101       1,182     609,532  SH     DEFINED  01,08      80,793     528,739           0
EAGLE BULK SHIPPING INC           COM   Y2187A101         405     208,525  SH     DEFINED     09     208,525           0           0

FLEXTRONICS INTL LTD              COM   Y2573F102         430      59,534  SH     DEFINED     01      46,634      12,900           0
FLEXTRONICS INTL LTD              COM   Y2573F102       1,230     170,346  SH     DEFINED  01,08     152,065      18,281           0
FLEXTRONICS INTL LTD              COM   Y2573F102       7,547   1,045,343  SH     DEFINED     09   1,045,343           0           0

GENCO SHIPPING & TRADING LTD      COM   Y2685T107       1,078     169,552  SH     DEFINED     01       5,735     163,817           0
GENCO SHIPPING & TRADING LTD      COM   Y2685T107       2,880     452,790  SH     DEFINED  01,08     203,789     249,001           0
GENCO SHIPPING & TRADING LTD      COM   Y2685T107         541      85,095  SH     DEFINED     09      85,095           0           0

NAVIOS MARITIME PARTNERS L P      COM   Y62267102         227      13,622  SH     DEFINED     01      13,622           0           0
NAVIOS MARITIME PARTNERS L P      COM   Y62267102         163       9,800  SH     OTHER       01       9,000         800           0
NAVIOS MARITIME PARTNERS L P      COM   Y62267102         325      19,471  SH     DEFINED  01,08      19,471           0           0

SCORPIO TANKERS INC               COM   Y7542C106         206      29,117  SH     DEFINED     01       7,450      21,667           0
SCORPIO TANKERS INC               COM   Y7542C106       1,617     228,976  SH     DEFINED  01,08      28,613     200,363           0
SCORPIO TANKERS INC               COM   Y7542C106         640      90,602  SH     DEFINED     09      90,602           0           0

TEEKAY LNG PARTNERS L P           COM   Y8564M105         374       9,550  SH     DEFINED     01       9,550           0           0
TEEKAY LNG PARTNERS L P           COM   Y8564M105         235       6,000  SH     OTHER       01       5,500         500           0
TEEKAY LNG PARTNERS L P           COM   Y8564M105         633      16,152  SH     DEFINED  01,08      16,152           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     11
  ________

TEEKAY CORPORATION                COM   Y8564W103         399      11,468  SH     DEFINED     01       7,756       3,712           0
TEEKAY CORPORATION                COM   Y8564W103           1          35  SH     OTHER       01           0           0          35
TEEKAY CORPORATION                COM   Y8564W103       4,834     139,104  SH     DEFINED  01,08      15,546     123,558           0

TEEKAY OFFSHORE PARTNERS L P      COM   Y8565J101          29       1,000  SH     DEFINED     01       1,000           0           0
TEEKAY OFFSHORE PARTNERS L P      COM   Y8565J101         565      19,531  SH     DEFINED  01,08      19,531           0           0

TEEKAY TANKERS LTD                COM   Y8565N102         489      80,501  SH     DEFINED     01      45,303      33,833       1,365
TEEKAY TANKERS LTD                COM   Y8565N102           6         995  SH     OTHER       01         995           0           0
TEEKAY TANKERS LTD                COM   Y8565N102       2,241     369,224  SH     DEFINED  01,08      53,963     315,261           0
TEEKAY TANKERS LTD                COM   Y8565N102         761     125,412  SH     DEFINED     09     125,412           0           0

AAON INC                          COM   000360206       2,376     117,668  SH     DEFINED     01      85,817      31,364         487
AAON INC                          COM   000360206          57       2,813  SH     OTHER       01       1,429       1,384           0
AAON INC                          COM   000360206       4,006     198,437  SH     DEFINED  01,08      42,058     156,379           0
AAON INC                          COM   000360206       1,204      59,610  SH     DEFINED     09      59,610           0           0

AAR CORP                          COM   000361105       4,003     219,321  SH     DEFINED     01      19,877     199,444           0
AAR CORP                          COM   000361105         151       8,300  SH     OTHER       01           0       8,300           0
AAR CORP                          COM   000361105      10,233     560,727  SH     DEFINED  01,08     234,215     326,512           0
AAR CORP                          COM   000361105       2,142     117,347  SH     DEFINED     09     117,347           0           0

ABB LTD                           COM   000375204      14,502     710,544  SH     DEFINED     01     658,543      38,734      13,267
ABB LTD                           COM   000375204       4,565     223,681  SH     OTHER       01     118,749      47,802      57,130
ABB LTD                           COM   000375204       2,440     119,564  SH     DEFINED  01,08     119,564           0           0

ACCO BRANDS CORP                  COM   00081T108       1,178      94,905  SH     DEFINED     01      39,445      54,720         740
ACCO BRANDS CORP                  COM   00081T108          12         988  SH     OTHER       01         800         188           0
ACCO BRANDS CORP                  COM   00081T108       6,634     534,552  SH     DEFINED  01,08      87,398     447,154           0
ACCO BRANDS CORP                  COM   00081T108       2,049     165,148  SH     DEFINED     09     165,148           0           0

ABM INDS INC                      COM   000957100       6,540     269,144  SH     DEFINED     01      30,804     238,240         100
ABM INDS INC                      COM   000957100      17,185     707,204  SH     DEFINED  01,08     288,290     418,914           0
ABM INDS INC                      COM   000957100       3,686     151,667  SH     DEFINED     09     151,667           0           0

AEP INDS INC                      COM   001031103         408      11,719  SH     DEFINED     01       1,572      10,147           0
AEP INDS INC                      COM   001031103       1,802      51,763  SH     DEFINED  01,08      12,205      39,558           0
AEP INDS INC                      COM   001031103         596      17,115  SH     DEFINED     09      17,115           0           0

AFC ENTERPRISES INC               COM   00104Q107         438      25,829  SH     DEFINED     01       6,944      18,885           0
AFC ENTERPRISES INC               COM   00104Q107       4,012     236,550  SH     DEFINED  01,08      33,912     202,638           0
AFC ENTERPRISES INC               COM   00104Q107       1,152      67,902  SH     DEFINED     09      67,902           0           0

AFLAC INC                         COM   001055102      36,918     802,730  SH     DEFINED     01     531,027     263,948       7,755
AFLAC INC                         COM   001055102       8,722     189,649  SH     OTHER       01     134,985      36,324      18,340
AFLAC INC                         COM   001055102     157,964   3,434,751  SH     DEFINED  01,08     793,109   2,641,642           0
AFLAC INC                         COM   001055102      51,680   1,123,721  SH     DEFINED     09   1,123,721           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     12
  ________

AGCO CORP                         COM   001084102       2,269      48,055  SH     DEFINED     01      30,204      17,851           0
AGCO CORP                         COM   001084102         681      14,432  SH     OTHER       01       7,410       7,022           0
AGCO CORP                         COM   001084102      28,469     603,034  SH     DEFINED  01,08      38,048     564,986           0
AGCO CORP                         COM   001084102       6,658     141,033  SH     DEFINED     09     141,033           0           0

AGL RES INC                       COM   001204106       8,111     206,807  SH     DEFINED     01      77,115     128,535       1,157
AGL RES INC                       COM   001204106         228       5,817  SH     OTHER       01       5,641         176           0
AGL RES INC                       COM   001204106      36,751     937,059  SH     DEFINED  01,08     271,535     665,524           0
AGL RES INC                       COM   001204106       4,624     117,892  SH     DEFINED     09     117,892           0           0

AG MTG INVT TR INC                COM   001228105         121       6,120  SH     DEFINED     01       1,858       4,262           0
AG MTG INVT TR INC                COM   001228105       1,730      87,658  SH     DEFINED  01,08       9,504      78,154           0
AG MTG INVT TR INC                COM   001228105         442      22,402  SH     DEFINED     09      22,402           0           0

A H BELO CORP                     COM   001282102         101      20,611  SH     DEFINED     01       6,583      14,028           0
A H BELO CORP                     COM   001282102       1,763     360,432  SH     DEFINED  01,08     220,809     139,623           0
A H BELO CORP                     COM   001282102         216      44,102  SH     DEFINED     09      44,102           0           0

AES CORP                          COM   00130H105      10,256     784,689  SH     DEFINED     01     428,628     353,355       2,706
AES CORP                          COM   00130H105         149      11,414  SH     OTHER       01       9,185       1,438         791
AES CORP                          COM   00130H105      63,401   4,850,916  SH     DEFINED  01,08   1,226,987   3,623,929           0
AES CORP                          COM   00130H105      21,955   1,679,835  SH     DEFINED     09   1,679,835           0           0

AK STL HLDG CORP                  COM   001547108         579      76,535  SH     DEFINED     01      51,744      24,591         200
AK STL HLDG CORP                  COM   001547108           0          20  SH     OTHER       01          20           0           0
AK STL HLDG CORP                  COM   001547108       3,370     445,814  SH     DEFINED  01,08     103,570     342,244           0

ALPS ETF TR                       COM   00162Q866      36,453   2,190,696  SH     DEFINED     01   2,160,121      16,275      14,300
ALPS ETF TR                       COM   00162Q866       3,768     226,460  SH     OTHER       01     175,595      50,865           0

AMAG PHARMACEUTICALS INC          COM   00163U106         467      29,305  SH     DEFINED     01       5,948      23,357           0
AMAG PHARMACEUTICALS INC          COM   00163U106       3,257     204,486  SH     DEFINED  01,08      30,727     173,759           0
AMAG PHARMACEUTICALS INC          COM   00163U106         954      59,865  SH     DEFINED     09      59,865           0           0

AMC NETWORKS INC                  COM   00164V103         966      21,655  SH     DEFINED     01      15,685       5,970           0
AMC NETWORKS INC                  COM   00164V103           2          45  SH     OTHER       01           0           0          45
AMC NETWORKS INC                  COM   00164V103      16,041     359,420  SH     DEFINED  01,08      24,289     335,131           0

AMN HEALTHCARE SERVICES INC       COM   001744101         319      52,608  SH     DEFINED     01      18,683      33,925           0
AMN HEALTHCARE SERVICES INC       COM   001744101       2,276     375,534  SH     DEFINED  01,08      61,957     313,577           0
AMN HEALTHCARE SERVICES INC       COM   001744101         645     106,499  SH     DEFINED     09     106,499           0           0

AOL INC                           COM   00184X105         792      41,763  SH     DEFINED     01      32,953       8,683         127
AOL INC                           COM   00184X105         103       5,415  SH     OTHER       01          78       5,108         229
AOL INC                           COM   00184X105      11,727     618,184  SH     DEFINED  01,08      60,594     557,590           0
AOL INC                           COM   00184X105           1          48  SH     DEFINED     09          48           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     13
  ________

AT&T INC                          COM   00206R102     323,723  10,365,762  SH     DEFINED     01   6,534,061   3,590,071     241,630
AT&T INC                          COM   00206R102      59,553   1,906,901  SH     OTHER       01   1,204,905     526,625     175,371
AT&T INC                          COM   00206R102   1,404,580  44,975,336  SH     DEFINED  01,08  11,537,385  33,413,226      24,725
AT&T INC                          COM   00206R102     470,083  15,052,287  SH     DEFINED     09  15,052,287           0           0

ATMI INC                          COM   00207R101       4,036     173,232  SH     DEFINED     01      18,667     154,565           0
ATMI INC                          COM   00207R101      10,195     437,535  SH     DEFINED  01,08     177,729     259,806           0
ATMI INC                          COM   00207R101       2,028      87,031  SH     DEFINED     09      87,031           0           0

ATP OIL & GAS CORP                COM   00208J108         466      63,374  SH     DEFINED     01      25,799      37,575           0
ATP OIL & GAS CORP                COM   00208J108       3,087     420,037  SH     DEFINED  01,08      61,974     358,063           0
ATP OIL & GAS CORP                COM   00208J108         963     131,059  SH     DEFINED     09     131,059           0           0

AV HOMES INC                      COM   00234P102         228      18,741  SH     DEFINED     01       1,362      17,379           0
AV HOMES INC                      COM   00234P102       1,155      94,811  SH     DEFINED  01,08      22,812      71,999           0
AV HOMES INC                      COM   00234P102         310      25,445  SH     DEFINED     09      25,445           0           0

AVI BIOPHARMA INC                 COM   002346104         182     118,218  SH     DEFINED     01      31,783      86,435           0
AVI BIOPHARMA INC                 COM   002346104       1,901   1,234,356  SH     DEFINED  01,08     146,461   1,087,895           0
AVI BIOPHARMA INC                 COM   002346104         586     380,475  SH     DEFINED     09     380,475           0           0

AVX CORP NEW                      COM   002444107         255      19,266  SH     DEFINED     01      16,665       2,601           0
AVX CORP NEW                      COM   002444107       2,358     177,809  SH     DEFINED  01,08      24,922     152,887           0

AXT INC                           COM   00246W103         247      38,821  SH     DEFINED     01       6,800      32,021           0
AXT INC                           COM   00246W103       1,977     311,293  SH     DEFINED  01,08      42,152     269,141           0
AXT INC                           COM   00246W103         531      83,657  SH     DEFINED     09      83,657           0           0

AZZ INC                           COM   002474104       1,461      28,290  SH     DEFINED     01      13,070      15,010         210
AZZ INC                           COM   002474104          12         225  SH     OTHER       01         225           0           0
AZZ INC                           COM   002474104       6,417     124,256  SH     DEFINED  01,08      21,756     102,500           0
AZZ INC                           COM   002474104       1,839      35,610  SH     DEFINED     09      35,610           0           0

AASTROM BIOSCIENCES INC           COM   00253U305          19       9,622  SH     DEFINED     01           0       9,622           0
AASTROM BIOSCIENCES INC           COM   00253U305         112      55,565  SH     DEFINED  01,08       6,584      48,981           0

AARONS INC                        COM   002535300       3,093     119,433  SH     DEFINED     01     102,893      15,935         605
AARONS INC                        COM   002535300         396      15,285  SH     OTHER       01       1,460      13,825           0
AARONS INC                        COM   002535300      11,975     462,368  SH     DEFINED  01,08      30,362     432,006           0

ABAXIS INC                        COM   002567105       2,839      97,455  SH     DEFINED     01      64,272      30,633       2,550
ABAXIS INC                        COM   002567105         242       8,297  SH     OTHER       01       3,165       4,267         865
ABAXIS INC                        COM   002567105       6,452     221,501  SH     DEFINED  01,08      38,145     183,356           0
ABAXIS INC                        COM   002567105       1,822      62,544  SH     DEFINED     09      62,544           0           0

ABBOTT LABS                       COM   002824100     419,073   6,837,545  SH     DEFINED     01   5,177,806   1,412,893     246,846
ABBOTT LABS                       COM   002824100     131,994   2,153,591  SH     OTHER       01   1,353,435     497,787     302,369
ABBOTT LABS                       COM   002824100     722,544  11,788,930  SH     DEFINED  01,08   2,867,066   8,921,864           0
ABBOTT LABS                       COM   002824100     233,667   3,812,486  SH     DEFINED     09   3,812,486           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     14
  ________

ABERCROMBIE & FITCH CO            COM   002896207       5,034     101,480  SH     DEFINED     01      56,186      44,966         328
ABERCROMBIE & FITCH CO            COM   002896207          55       1,117  SH     OTHER       01       1,034          47          36
ABERCROMBIE & FITCH CO            COM   002896207      31,896     642,929  SH     DEFINED  01,08     155,451     487,478           0
ABERCROMBIE & FITCH CO            COM   002896207      10,171     205,014  SH     DEFINED     09     205,014           0           0

ABERDEEN ASIA PACIFIC INCOM    UNDEFIND 003009107           6      85,318         DEFINED     01      85,318           0           0
ABERDEEN ASIA PACIFIC INCOM    UNDEFIND 003009107           9     117,325         OTHER       01     117,325           0           0

ABERDEEN AUSTRALIA EQTY FD I      COM   003011103         105       9,737  SH     DEFINED     01       9,737           0           0
ABERDEEN AUSTRALIA EQTY FD I      COM   003011103          54       5,017  SH     OTHER       01           0       5,017           0

ABIOMED INC                       COM   003654100       1,159      52,214  SH     DEFINED     01       9,111      43,103           0
ABIOMED INC                       COM   003654100         104       4,690  SH     OTHER       01       4,690           0           0
ABIOMED INC                       COM   003654100       7,068     318,528  SH     DEFINED  01,08      58,093     260,435           0
ABIOMED INC                       COM   003654100       2,073      93,428  SH     DEFINED     09      93,428           0           0

ABITIBIBOWATER INC                COM   003687209         191      13,390  SH     DEFINED     01       3,560       9,830           0
ABITIBIBOWATER INC                COM   003687209       1,833     128,382  SH     DEFINED  01,08      21,128     107,254           0

ABOVENET INC                      COM   00374N107       2,035      24,583  SH     DEFINED     01       5,173      19,410           0
ABOVENET INC                      COM   00374N107      18,181     219,579  SH     DEFINED  01,08      30,995     188,584           0
ABOVENET INC                      COM   00374N107       5,456      65,890  SH     DEFINED     09      65,890           0           0

ABRAXAS PETE CORP                 COM   003830106         362     116,171  SH     DEFINED     01      65,628      50,543           0
ABRAXAS PETE CORP                 COM   003830106       2,388     765,309  SH     DEFINED  01,08     100,590     664,719           0
ABRAXAS PETE CORP                 COM   003830106         733     234,912  SH     DEFINED     09     234,912           0           0

ACACIA RESH CORP                  COM   003881307       2,184      52,326  SH     DEFINED     01      19,719      32,297         310
ACACIA RESH CORP                  COM   003881307          14         335  SH     OTHER       01         335           0           0
ACACIA RESH CORP                  COM   003881307      16,382     392,468  SH     DEFINED  01,08      48,161     344,307           0
ACACIA RESH CORP                  COM   003881307       5,204     124,685  SH     DEFINED     09     124,685           0           0

ACADIA HEALTHCARE COMPANY IN      COM   00404A109          93       5,680  SH     DEFINED     01       4,300       1,380           0
ACADIA HEALTHCARE COMPANY IN      COM   00404A109         190      11,642  SH     DEFINED  01,08       3,022       8,620           0

ACADIA PHARMACEUTICALS INC        COM   004225108          44      20,457  SH     DEFINED     01         895      19,562           0
ACADIA PHARMACEUTICALS INC        COM   004225108         176      81,982  SH     DEFINED  01,08      11,305      70,677           0

ACADIA RLTY TR                    COM   004239109       3,687     163,597  SH     DEFINED     01      21,563     142,034           0
ACADIA RLTY TR                    COM   004239109      13,209     586,042  SH     DEFINED  01,08     231,896     354,146           0
ACADIA RLTY TR                    COM   004239109       3,257     144,491  SH     DEFINED     09     144,491           0           0

ACCELRYS INC                      COM   00430U103         536      67,192  SH     DEFINED     01      18,050      49,142           0
ACCELRYS INC                      COM   00430U103       4,231     530,248  SH     DEFINED  01,08      82,329     447,919           0
ACCELRYS INC                      COM   00430U103       1,398     175,186  SH     DEFINED     09     175,186           0           0

ACCELR8 TECHNOLOGY CORP           COM   004304200          13      11,949  SH     DEFINED  01,08         225      11,724           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     15
  ________

ACCRETIVE HEALTH INC              COM   00438V103         773      38,695  SH     DEFINED     01       7,719      30,976           0
ACCRETIVE HEALTH INC              COM   00438V103       7,573     379,235  SH     DEFINED  01,08      47,816     331,419           0
ACCRETIVE HEALTH INC              COM   00438V103       2,355     117,926  SH     DEFINED     09     117,926           0           0

ACCURIDE CORP NEW                 COM   00439T206         337      38,825  SH     DEFINED     01      15,434      23,391           0
ACCURIDE CORP NEW                 COM   00439T206       3,241     372,946  SH     DEFINED  01,08      41,495     331,451           0
ACCURIDE CORP NEW                 COM   00439T206         926     106,530  SH     DEFINED     09     106,530           0           0

ACCURAY INC                       COM   004397105         743     105,252  SH     DEFINED     01      41,907      63,345           0
ACCURAY INC                       COM   004397105       4,500     637,356  SH     DEFINED  01,08      97,199     540,157           0
ACCURAY INC                       COM   004397105       1,321     187,067  SH     DEFINED     09     187,067           0           0

ACETO CORP                        COM   004446100       2,806     295,716  SH     DEFINED     01       7,617     288,099           0
ACETO CORP                        COM   004446100       5,040     531,037  SH     DEFINED  01,08     309,613     221,424           0
ACETO CORP                        COM   004446100         720      75,824  SH     DEFINED     09      75,824           0           0

ACHILLION PHARMACEUTICALS IN      COM   00448Q201         361      37,703  SH     DEFINED     01      10,315      27,388           0
ACHILLION PHARMACEUTICALS IN      COM   00448Q201       4,130     431,143  SH     DEFINED  01,08      47,320     383,823           0
ACHILLION PHARMACEUTICALS IN      COM   00448Q201       1,495     156,075  SH     DEFINED     09     156,075           0           0

ACI WORLDWIDE INC                 COM   004498101       1,947      48,346  SH     DEFINED     01      11,732      36,614           0
ACI WORLDWIDE INC                 COM   004498101      18,872     468,639  SH     DEFINED  01,08      57,617     411,022           0
ACI WORLDWIDE INC                 COM   004498101       4,557     113,157  SH     DEFINED     09     113,157           0           0

ACME PACKET INC                   COM   004764106         670      24,364  SH     DEFINED     01       9,627      14,737           0
ACME PACKET INC                   COM   004764106          30       1,082  SH     OTHER       01           0       1,000          82
ACME PACKET INC                   COM   004764106       5,213     189,435  SH     DEFINED  01,08      23,884     165,551           0

ACORDA THERAPEUTICS INC           COM   00484M106       1,370      51,593  SH     DEFINED     01      10,605      40,988           0
ACORDA THERAPEUTICS INC           COM   00484M106      10,045     378,326  SH     DEFINED  01,08      58,990     319,336           0
ACORDA THERAPEUTICS INC           COM   00484M106       3,032     114,194  SH     DEFINED     09     114,194           0           0

ACORN ENERGY INC                  COM   004848107          45       4,180  SH     DEFINED     01           0       4,180           0
ACORN ENERGY INC                  COM   004848107         315      28,939  SH     DEFINED  01,08       4,180      24,759           0

ACTIVE POWER INC                  COM   00504W100          49      62,880  SH     DEFINED     01       9,376      53,504           0
ACTIVE POWER INC                  COM   00504W100         548     703,178  SH     DEFINED  01,08      77,152     626,026           0
ACTIVE POWER INC                  COM   00504W100         167     214,576  SH     DEFINED     09     214,576           0           0

ACTIVE NETWORK INC                COM   00506D100         165       9,831  SH     DEFINED     01       1,169       8,662           0
ACTIVE NETWORK INC                COM   00506D100       2,087     124,001  SH     DEFINED  01,08      12,094     111,907           0
ACTIVE NETWORK INC                COM   00506D100         522      31,034  SH     DEFINED     09      31,034           0           0

ACTIVISION BLIZZARD INC           COM   00507V109      10,424     813,083  SH     DEFINED     01     204,810     608,273           0
ACTIVISION BLIZZARD INC           COM   00507V109         201      15,660  SH     OTHER       01      10,260       5,400           0
ACTIVISION BLIZZARD INC           COM   00507V109      28,937   2,257,176  SH     DEFINED  01,08     981,700   1,275,476           0
ACTIVISION BLIZZARD INC           COM   00507V109       9,505     741,442  SH     DEFINED     09     741,442           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     16
  ________

ACTUATE CORP                      COM   00508B102         258      41,034  SH     DEFINED     01      13,112      27,922           0
ACTUATE CORP                      COM   00508B102       2,436     387,826  SH     DEFINED  01,08      50,870     336,956           0
ACTUATE CORP                      COM   00508B102         908     144,568  SH     DEFINED     09     144,568           0           0

ACTUANT CORP                      COM   00508X203       5,931     204,572  SH     DEFINED     01     130,412      73,340         820
ACTUANT CORP                      COM   00508X203         108       3,717  SH     OTHER       01       2,257       1,460           0
ACTUANT CORP                      COM   00508X203      19,759     681,568  SH     DEFINED  01,08     129,395     552,173           0
ACTUANT CORP                      COM   00508X203       5,740     198,011  SH     DEFINED     09     198,011           0           0

ACUITY BRANDS INC                 COM   00508Y102       8,438     134,306  SH     DEFINED     01      82,517      51,074         715
ACUITY BRANDS INC                 COM   00508Y102         201       3,206  SH     OTHER       01       1,771       1,435           0
ACUITY BRANDS INC                 COM   00508Y102      33,805     538,040  SH     DEFINED  01,08      69,175     468,865           0
ACUITY BRANDS INC                 COM   00508Y102       7,861     125,108  SH     DEFINED     09     125,108           0           0

ACURA PHARMACEUTICALS INC         COM   00509L703         161      46,576  SH     DEFINED     01       1,295      45,281           0
ACURA PHARMACEUTICALS INC         COM   00509L703         474     136,868  SH     DEFINED  01,08      49,853      87,015           0
ACURA PHARMACEUTICALS INC         COM   00509L703          85      24,627  SH     DEFINED     09      24,627           0           0

ACXIOM CORP                       COM   005125109       1,493     101,685  SH     DEFINED     01      22,555      79,130           0
ACXIOM CORP                       COM   005125109      14,545     990,789  SH     DEFINED  01,08     118,884     871,905           0
ACXIOM CORP                       COM   005125109       3,483     237,240  SH     DEFINED     09     237,240           0           0

ADA ES INC                        COM   005208103         321      13,200  SH     DEFINED  01,08         297      12,903           0

ADAMS EXPRESS CO                  COM   006212104         178      16,235  SH     DEFINED     01      16,235           0           0

ADAMS RES & ENERGY INC            COM   006351308         370       6,478  SH     DEFINED     01           0       6,478           0
ADAMS RES & ENERGY INC            COM   006351308         610      10,667  SH     DEFINED  01,08       6,476       4,191           0

ADOBE SYS INC                     COM   00724F101      33,186     967,250  SH     DEFINED     01     633,917     281,472      51,861
ADOBE SYS INC                     COM   00724F101       4,870     141,938  SH     OTHER       01     111,979      19,131      10,828
ADOBE SYS INC                     COM   00724F101     127,421   3,713,815  SH     DEFINED  01,08     887,062   2,826,753           0
ADOBE SYS INC                     COM   00724F101      41,505   1,209,703  SH     DEFINED     09   1,209,703           0           0

ADTRAN INC                        COM   00738A106       3,616     115,938  SH     DEFINED     01      20,342      95,596           0
ADTRAN INC                        COM   00738A106          22         700  SH     OTHER       01           0         700           0
ADTRAN INC                        COM   00738A106      26,069     835,810  SH     DEFINED  01,08     129,052     706,758           0
ADTRAN INC                        COM   00738A106       6,244     200,196  SH     DEFINED     09     200,196           0           0

ADVANCE AMER CASH ADVANCE CT      COM   00739W107         633      60,374  SH     DEFINED     01      13,445      46,929           0
ADVANCE AMER CASH ADVANCE CT      COM   00739W107       5,094     485,561  SH     DEFINED  01,08      49,040     436,521           0

ADVANCE AUTO PARTS INC            COM   00751Y106       4,392      49,593  SH     DEFINED     01      42,259       7,334           0
ADVANCE AUTO PARTS INC            COM   00751Y106         782       8,830  SH     OTHER       01       5,650       3,180           0
ADVANCE AUTO PARTS INC            COM   00751Y106      41,206     465,239  SH     DEFINED  01,08      35,414     429,825           0
ADVANCE AUTO PARTS INC            COM   00751Y106       9,709     109,622  SH     DEFINED     09     109,622           0           0

ADVANCED PHOTONIX INC             COM   00754E107          10      15,550  SH     DEFINED     01      10,000       5,550           0
ADVANCED PHOTONIX INC             COM   00754E107          23      34,129  SH     DEFINED  01,08       4,342      29,787           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     17
  ________

ADVANCED SEMICONDUCTOR ENGR       COM   00756M404         144      28,092  SH     DEFINED     01      24,614       3,478           0
ADVANCED SEMICONDUCTOR ENGR       COM   00756M404          17       3,308  SH     OTHER       01           0       3,308           0

ADVOCAT INC                       COM   007586100          21       4,041  SH     DEFINED     01           0       4,041           0
ADVOCAT INC                       COM   007586100          36       6,918  SH     DEFINED  01,08       4,328       2,590           0

AEHR TEST SYSTEMS                 COM   00760J108           5       4,999  SH     DEFINED     01           0       4,999           0
AEHR TEST SYSTEMS                 COM   00760J108           5       5,396  SH     DEFINED  01,08       4,409         987           0

ADVANTEST CORP                    COM   00762U200         300      18,753  SH     DEFINED     01      17,722         738         293
ADVANTEST CORP                    COM   00762U200           7         447  SH     OTHER       01         447           0           0
ADVANTEST CORP                    COM   00762U200         106       6,641  SH     DEFINED  01,08       6,641           0           0

ADVISORY BRD CO                   COM   00762W107       4,330      48,862  SH     DEFINED     01      29,283      19,347         232
ADVISORY BRD CO                   COM   00762W107         127       1,432  SH     OTHER       01         932         420          80
ADVISORY BRD CO                   COM   00762W107      14,324     161,636  SH     DEFINED  01,08      29,080     132,556           0
ADVISORY BRD CO                   COM   00762W107       4,386      49,488  SH     DEFINED     09      49,488           0           0

ADVENTRX PHARMACEUTICALS INC      COM   00764X202          22      31,989  SH     DEFINED  01,08           0      31,989           0

AECOM TECHNOLOGY CORP DELAWA      COM   00766T100         825      36,896  SH     DEFINED     01      25,385      11,511           0
AECOM TECHNOLOGY CORP DELAWA      COM   00766T100         112       5,000  SH     OTHER       01       5,000           0           0
AECOM TECHNOLOGY CORP DELAWA      COM   00766T100      15,674     700,681  SH     DEFINED  01,08      34,256     666,425           0

AEGERION PHARMACEUTICALS INC      COM   00767E102          80       5,770  SH     DEFINED     01       1,764       4,006           0
AEGERION PHARMACEUTICALS INC      COM   00767E102       1,175      84,948  SH     DEFINED  01,08       9,975      74,973           0
AEGERION PHARMACEUTICALS INC      COM   00767E102         261      18,867  SH     DEFINED     09      18,867           0           0

AEGION CORP                       COM   00770F104       1,276      71,561  SH     DEFINED     01      18,461      53,100           0
AEGION CORP                       COM   00770F104       7,246     406,366  SH     DEFINED  01,08      85,658     320,708           0
AEGION CORP                       COM   00770F104       2,105     118,087  SH     DEFINED     09     118,087           0           0

AEROFLEX HLDG CORP                COM   007767106         225      20,161  SH     DEFINED     01       2,369      17,792           0
AEROFLEX HLDG CORP                COM   007767106       2,093     187,892  SH     DEFINED  01,08      27,364     160,528           0
AEROFLEX HLDG CORP                COM   007767106         590      53,001  SH     DEFINED     09      53,001           0           0

AEROPOSTALE                       COM   007865108       2,683     124,117  SH     DEFINED     01      21,924     101,968         225
AEROPOSTALE                       COM   007865108         117       5,400  SH     OTHER       01           0       5,400           0
AEROPOSTALE                       COM   007865108      22,032   1,019,041  SH     DEFINED  01,08     145,033     874,008           0
AEROPOSTALE                       COM   007865108       5,272     243,869  SH     DEFINED     09     243,869           0           0

ADVANCED MICRO DEVICES INC        COM   007903107       5,620     700,738  SH     DEFINED     01     391,208     307,986       1,544
ADVANCED MICRO DEVICES INC        COM   007903107          78       9,696  SH     OTHER       01       8,976         410         310
ADVANCED MICRO DEVICES INC        COM   007903107      35,879   4,473,649  SH     DEFINED  01,08   1,088,777   3,384,872           0
ADVANCED MICRO DEVICES INC        COM   007903107      11,015   1,373,396  SH     DEFINED     09   1,373,396           0           0

AEGON N V                         COM   007924103       1,081     194,438  SH     DEFINED     01     188,601       5,548         289
AEGON N V                         COM   007924103         139      25,061  SH     OTHER       01       3,116      21,945           0
AEGON N V                         COM   007924103         684     123,041  SH     DEFINED  01,08     123,041           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     18
  ________

ADVANCED ENERGY INDS              COM   007973100       1,368     104,305  SH     DEFINED     01      19,399      84,906           0
ADVANCED ENERGY INDS              COM   007973100       6,088     464,056  SH     DEFINED  01,08     115,987     348,069           0
ADVANCED ENERGY INDS              COM   007973100       1,688     128,695  SH     DEFINED     09     128,695           0           0

ADVENT SOFTWARE INC               COM   007974108       1,976      77,168  SH     DEFINED     01      18,886      58,282           0
ADVENT SOFTWARE INC               COM   007974108          34       1,330  SH     OTHER       01       1,330           0           0
ADVENT SOFTWARE INC               COM   007974108      11,289     440,990  SH     DEFINED  01,08      80,354     360,636           0
ADVENT SOFTWARE INC               COM   007974108       2,766     108,061  SH     DEFINED     09     108,061           0           0

AEROVIRONMENT INC                 COM   008073108         661      24,655  SH     DEFINED     01       9,274      15,381           0
AEROVIRONMENT INC                 COM   008073108       4,280     159,637  SH     DEFINED  01,08      21,389     138,248           0
AEROVIRONMENT INC                 COM   008073108       1,385      51,647  SH     DEFINED     09      51,647           0           0

AETRIUM INC                       COM   00817R103           4       5,486  SH     DEFINED     01           0       5,486           0
AETRIUM INC                       COM   00817R103           7       9,310  SH     DEFINED  01,08       5,587       3,723           0

AETNA INC NEW                     COM   00817Y108      27,200     542,262  SH     DEFINED     01     340,287     198,610       3,365
AETNA INC NEW                     COM   00817Y108         794      15,830  SH     OTHER       01       6,787       8,898         145
AETNA INC NEW                     COM   00817Y108     136,559   2,722,473  SH     DEFINED  01,08     685,716   2,036,757           0
AETNA INC NEW                     COM   00817Y108      44,570     888,551  SH     DEFINED     09     888,551           0           0

AFFILIATED MANAGERS GROUP         COM   008252108       6,537      58,467  SH     DEFINED     01      45,862      12,243         362
AFFILIATED MANAGERS GROUP         COM   008252108       1,330      11,892  SH     OTHER       01       3,937       7,772         183
AFFILIATED MANAGERS GROUP         COM   008252108      36,957     330,530  SH     DEFINED  01,08      23,103     307,427           0

AFFYMAX INC                       COM   00826A109         363      30,946  SH     DEFINED     01       9,909      21,037           0
AFFYMAX INC                       COM   00826A109       3,915     333,510  SH     DEFINED  01,08      41,589     291,921           0
AFFYMAX INC                       COM   00826A109       1,187     101,149  SH     DEFINED     09     101,149           0           0

AFFYMETRIX INC                    COM   00826T108         453     106,181  SH     DEFINED     01      28,605      77,576           0
AFFYMETRIX INC                    COM   00826T108          66      15,457  SH     OTHER       01           0      15,457           0
AFFYMETRIX INC                    COM   00826T108       3,032     709,992  SH     DEFINED  01,08     141,266     568,726           0
AFFYMETRIX INC                    COM   00826T108         866     202,867  SH     DEFINED     09     202,867           0           0

AGILENT TECHNOLOGIES INC          COM   00846U101      25,525     573,470  SH     DEFINED     01     382,210     187,718       3,543
AGILENT TECHNOLOGIES INC          COM   00846U101         880      19,766  SH     OTHER       01      12,290       5,999       1,477
AGILENT TECHNOLOGIES INC          COM   00846U101     115,647   2,598,229  SH     DEFINED  01,08     616,293   1,981,936           0
AGILENT TECHNOLOGIES INC          COM   00846U101      36,950     830,159  SH     DEFINED     09     830,159           0           0

AGENUS INC                        COM   00847G705          67      10,180  SH     DEFINED     01       3,681       6,499           0
AGENUS INC                        COM   00847G705         217      32,942  SH     DEFINED  01,08       2,676      30,266           0

AGILYSYS INC                      COM   00847J105         370      41,110  SH     DEFINED     01       9,276      31,834           0
AGILYSYS INC                      COM   00847J105       1,716     190,883  SH     DEFINED  01,08      46,305     144,578           0
AGILYSYS INC                      COM   00847J105         404      44,978  SH     DEFINED     09      44,978           0           0

AGNICO EAGLE MINES LTD            COM   008474108         615      18,419  SH     DEFINED     01      17,736         660          23
AGNICO EAGLE MINES LTD            COM   008474108          21         640  SH     OTHER       01         640           0           0
AGNICO EAGLE MINES LTD            COM   008474108         249       7,457  SH     DEFINED  01,08       7,457           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     19
  ________

AGREE REALTY CORP                 COM   008492100       2,465     109,156  SH     DEFINED     01       3,476     105,680           0
AGREE REALTY CORP                 COM   008492100       5,041     223,247  SH     DEFINED  01,08     129,100      94,147           0
AGREE REALTY CORP                 COM   008492100         734      32,491  SH     DEFINED     09      32,491           0           0

AGRIUM INC                        COM   008916108       5,778      66,903  SH     DEFINED     01      57,677       8,310         916
AGRIUM INC                        COM   008916108         770       8,914  SH     OTHER       01       2,740       6,174           0
AGRIUM INC                        COM   008916108         645       7,469  SH     DEFINED  01,08       7,469           0           0

AIR LEASE CORP                    COM   00912X302         419      17,388  SH     DEFINED     01      10,729       6,659           0
AIR LEASE CORP                    COM   00912X302         468      19,430  SH     OTHER       01           0      19,430           0
AIR LEASE CORP                    COM   00912X302       4,082     169,605  SH     DEFINED  01,08      15,713     153,892           0

AIR METHODS CORP                  COM   009128307       1,674      19,186  SH     DEFINED     01       6,043      13,143           0
AIR METHODS CORP                  COM   009128307       9,996     114,570  SH     DEFINED  01,08      21,775      92,795           0
AIR METHODS CORP                  COM   009128307       2,976      34,111  SH     DEFINED     09      34,111           0           0

AIR PRODS & CHEMS INC             COM   009158106      55,789     607,720  SH     DEFINED     01     429,699     168,101       9,920
AIR PRODS & CHEMS INC             COM   009158106      14,825     161,495  SH     OTHER       01      90,791      41,935      28,769
AIR PRODS & CHEMS INC             COM   009158106     145,380   1,583,662  SH     DEFINED  01,08     387,452   1,196,210           0
AIR PRODS & CHEMS INC             COM   009158106      46,410     505,551  SH     DEFINED     09     505,551           0           0

AIR TRANSPORT SERVICES GRP I      COM   00922R105         372      64,249  SH     DEFINED     01      18,835      45,414           0
AIR TRANSPORT SERVICES GRP I      COM   00922R105       2,900     500,806  SH     DEFINED  01,08      58,938     441,868           0
AIR TRANSPORT SERVICES GRP I      COM   00922R105         836     144,348  SH     DEFINED     09     144,348           0           0

AIRGAS INC                        COM   009363102       9,161     102,965  SH     DEFINED     01      58,126      40,629       4,210
AIRGAS INC                        COM   009363102         238       2,679  SH     OTHER       01       2,642           2          35
AIRGAS INC                        COM   009363102      47,370     532,422  SH     DEFINED  01,08     123,376     409,046           0
AIRGAS INC                        COM   009363102      15,672     176,150  SH     DEFINED     09     176,150           0           0

AKAMAI TECHNOLOGIES INC           COM   00971T101      14,410     392,650  SH     DEFINED     01     289,416      95,886       7,348
AKAMAI TECHNOLOGIES INC           COM   00971T101         492      13,417  SH     OTHER       01       8,414       4,783         220
AKAMAI TECHNOLOGIES INC           COM   00971T101      49,701   1,354,264  SH     DEFINED  01,08     332,597   1,021,667           0
AKAMAI TECHNOLOGIES INC           COM   00971T101      16,150     440,050  SH     DEFINED     09     440,050           0           0

AKORN INC                         COM   009728106       1,129      96,520  SH     DEFINED     01      32,018      64,502           0
AKORN INC                         COM   009728106       6,829     583,684  SH     DEFINED  01,08     108,891     474,793           0
AKORN INC                         COM   009728106       2,100     179,488  SH     DEFINED     09     179,488           0           0

ALAMO GROUP INC                   COM   011311107         315      10,467  SH     DEFINED     01       1,822       8,645           0
ALAMO GROUP INC                   COM   011311107       2,120      70,536  SH     DEFINED  01,08      12,565      57,971           0
ALAMO GROUP INC                   COM   011311107         604      20,105  SH     DEFINED     09      20,105           0           0

ALASKA AIR GROUP INC              COM   011659109      10,846     302,793  SH     DEFINED     01      32,553     270,154          86
ALASKA AIR GROUP INC              COM   011659109           8         231  SH     OTHER       01         182          49           0
ALASKA AIR GROUP INC              COM   011659109      39,079   1,090,975  SH     DEFINED  01,08     312,115     778,860           0
ALASKA AIR GROUP INC              COM   011659109       7,517     209,844  SH     DEFINED     09     209,844           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     20
  ________

ALASKA COMMUNICATIONS SYS GR      COM   01167P101         169      54,884  SH     DEFINED     01      12,693      42,191           0
ALASKA COMMUNICATIONS SYS GR      COM   01167P101       1,328     431,213  SH     DEFINED  01,08      65,901     365,312           0
ALASKA COMMUNICATIONS SYS GR      COM   01167P101         409     132,631  SH     DEFINED     09     132,631           0           0

ALBANY INTL CORP                  COM   012348108       4,143     180,515  SH     DEFINED     01      15,327     165,188           0
ALBANY INTL CORP                  COM   012348108       9,713     423,232  SH     DEFINED  01,08     195,070     228,162           0
ALBANY INTL CORP                  COM   012348108       1,730      75,378  SH     DEFINED     09      75,378           0           0

ALBANY MOLECULAR RESH INC         COM   012423109          68      25,302  SH     DEFINED     01       2,302      23,000           0
ALBANY MOLECULAR RESH INC         COM   012423109         583     216,043  SH     DEFINED  01,08      42,095     173,948           0
ALBANY MOLECULAR RESH INC         COM   012423109         171      63,378  SH     DEFINED     09      63,378           0           0

ALBEMARLE CORP                    COM   012653101       2,428      37,983  SH     DEFINED     01      27,768      10,015         200
ALBEMARLE CORP                    COM   012653101          43         670  SH     OTHER       01         185         480           5
ALBEMARLE CORP                    COM   012653101      36,240     566,958  SH     DEFINED  01,08      40,486     526,472           0

ALCOA INC                         COM   013817101      13,003   1,297,661  SH     DEFINED     01     721,641     569,771       6,249
ALCOA INC                         COM   013817101       1,759     175,569  SH     OTHER       01     102,924      66,651       5,994
ALCOA INC                         COM   013817101      81,588   8,142,500  SH     DEFINED  01,08   2,136,754   6,005,746           0
ALCOA INC                         COM   013817101      25,972   2,591,989  SH     DEFINED     09   2,591,989           0           0

ALCATEL-LUCENT                    COM   013904305       6,495   2,861,408  SH     DEFINED     01   2,808,385      29,010      24,013
ALCATEL-LUCENT                    COM   013904305         627     276,236  SH     OTHER       01     219,641      42,415      14,180
ALCATEL-LUCENT                    COM   013904305         408     179,898  SH     DEFINED  01,08     179,898           0           0

ALEXANDER & BALDWIN INC           COM   014482103       1,565      32,310  SH     DEFINED     01      12,524      19,686         100
ALEXANDER & BALDWIN INC           COM   014482103           2          35  SH     OTHER       01           0           0          35
ALEXANDER & BALDWIN INC           COM   014482103      13,762     284,053  SH     DEFINED  01,08      37,065     246,988           0

ALERE INC                         COM   01449J105         666      25,619  SH     DEFINED     01      16,307       9,312           0
ALERE INC                         COM   01449J105           1          40  SH     OTHER       01           0           0          40
ALERE INC                         COM   01449J105       7,649     294,088  SH     DEFINED  01,08      34,638     259,450           0

ALERE INC                      CONV PFD 01449J204         851       3,529         DEFINED     01           0       3,529           0
ALERE INC                      CONV PFD 01449J204       1,013       4,201         DEFINED  01,08       3,865         336           0

ALEXANDERS INC                    COM   014752109       1,773       4,501  SH     DEFINED     01         653       3,848           0
ALEXANDERS INC                    COM   014752109          79         200  SH     OTHER       01         200           0           0
ALEXANDERS INC                    COM   014752109      10,361      26,304  SH     DEFINED  01,08       8,397      17,907           0
ALEXANDERS INC                    COM   014752109       2,774       7,042  SH     DEFINED     09       7,042           0           0

ALEXANDRIA REAL ESTATE EQ IN      COM   015271109       5,791      79,190  SH     DEFINED     01      48,116      28,679       2,395
ALEXANDRIA REAL ESTATE EQ IN      COM   015271109          77       1,056  SH     OTHER       01         718         308          30
ALEXANDRIA REAL ESTATE EQ IN      COM   015271109      36,152     494,346  SH     DEFINED  01,08     135,139     359,207           0
ALEXANDRIA REAL ESTATE EQ IN      COM   015271109       1,998      27,326  SH     DEFINED     09      27,326           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     21
  ________

ALEXION PHARMACEUTICALS INC       COM   015351109      31,012     333,960  SH     DEFINED     01     271,821      58,148       3,991
ALEXION PHARMACEUTICALS INC       COM   015351109       1,409      15,173  SH     OTHER       01       9,060       5,968         145
ALEXION PHARMACEUTICALS INC       COM   015351109      59,491     640,648  SH     DEFINED  01,08      74,103     566,545           0
ALEXION PHARMACEUTICALS INC       COM   015351109      23,843     256,762  SH     DEFINED     09     256,762           0           0

ALEXZA PHARMACEUTICALS INC        COM   015384100           5       7,923  SH     DEFINED     01           0       7,923           0
ALEXZA PHARMACEUTICALS INC        COM   015384100          48      77,970  SH     DEFINED  01,08       8,294      69,676           0

ALICO INC                         COM   016230104         224       9,708  SH     DEFINED     01       2,889       6,819           0
ALICO INC                         COM   016230104           5         200  SH     OTHER       01         200           0           0
ALICO INC                         COM   016230104         850      36,765  SH     DEFINED  01,08       8,340      28,425           0
ALICO INC                         COM   016230104         243      10,516  SH     DEFINED     09      10,516           0           0

ALIGN TECHNOLOGY INC              COM   016255101       2,842     103,168  SH     DEFINED     01      33,231      69,937           0
ALIGN TECHNOLOGY INC              COM   016255101      16,832     610,974  SH     DEFINED  01,08     110,256     500,718           0
ALIGN TECHNOLOGY INC              COM   016255101       4,858     176,331  SH     DEFINED     09     176,331           0           0

ALIMERA SCIENCES INC              COM   016259103          33       9,809  SH     DEFINED     01       1,042       8,767           0
ALIMERA SCIENCES INC              COM   016259103         344     101,172  SH     DEFINED  01,08      13,060      88,112           0
ALIMERA SCIENCES INC              COM   016259103          69      20,247  SH     DEFINED     09      20,247           0           0

ALLEGHANY CORP DEL                COM   017175100       1,888       5,738  SH     DEFINED     01       4,177       1,561           0
ALLEGHANY CORP DEL                COM   017175100         597       1,813  SH     OTHER       01          81       1,732           0
ALLEGHANY CORP DEL                COM   017175100      30,970      94,106  SH     DEFINED  01,08       5,204      88,902           0
ALLEGHANY CORP DEL                COM   017175100       5,885      17,881  SH     DEFINED     09      17,881           0           0

ALLEGHENY TECHNOLOGIES INC        COM   01741R102       6,200     150,602  SH     DEFINED     01      74,984      74,358       1,260
ALLEGHENY TECHNOLOGIES INC        COM   01741R102         375       9,117  SH     OTHER       01       1,513       7,604           0
ALLEGHENY TECHNOLOGIES INC        COM   01741R102      32,464     788,524  SH     DEFINED  01,08     184,959     603,565           0
ALLEGHENY TECHNOLOGIES INC        COM   01741R102      10,082     244,896  SH     DEFINED     09     244,896           0           0

ALLEGIANT TRAVEL CO               COM   01748X102       1,337      24,531  SH     DEFINED     01       8,121      16,410           0
ALLEGIANT TRAVEL CO               COM   01748X102         104       1,910  SH     OTHER       01       1,910           0           0
ALLEGIANT TRAVEL CO               COM   01748X102       7,882     144,619  SH     DEFINED  01,08      23,789     120,830           0
ALLEGIANT TRAVEL CO               COM   01748X102       2,400      44,045  SH     DEFINED     09      44,045           0           0

ALLERGAN INC                      COM   018490102      61,184     641,145  SH     DEFINED     01     416,663     219,805       4,677
ALLERGAN INC                      COM   018490102       3,421      35,844  SH     OTHER       01      21,513      14,158         173
ALLERGAN INC                      COM   018490102     217,936   2,283,722  SH     DEFINED  01,08     551,086   1,732,636           0
ALLERGAN INC                      COM   018490102      72,333     757,964  SH     DEFINED     09     757,964           0           0

ALLETE INC                        COM   018522300       9,672     233,106  SH     DEFINED     01      30,475     202,321         310
ALLETE INC                        COM   018522300          58       1,396  SH     OTHER       01         906         490           0
ALLETE INC                        COM   018522300      20,432     492,451  SH     DEFINED  01,08     227,520     264,931           0
ALLETE INC                        COM   018522300       4,154     100,131  SH     DEFINED     09     100,131           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     22
  ________

ALLIANCE DATA SYSTEMS CORP        COM   018581108       6,527      51,822  SH     DEFINED     01      45,897       5,645         280
ALLIANCE DATA SYSTEMS CORP        COM   018581108         422       3,349  SH     OTHER       01       3,136         213           0
ALLIANCE DATA SYSTEMS CORP        COM   018581108      40,219     319,299  SH     DEFINED  01,08      24,180     295,119           0
ALLIANCE DATA SYSTEMS CORP        COM   018581108       9,408      74,693  SH     DEFINED     09      74,693           0           0

ALLIANCE HEALTHCARE SRVCS IN      COM   018606202          63      41,775  SH     DEFINED     01       2,235      39,540           0
ALLIANCE HEALTHCARE SRVCS IN      COM   018606202         360     240,062  SH     DEFINED  01,08      52,540     187,522           0
ALLIANCE HEALTHCARE SRVCS IN      COM   018606202         136      90,830  SH     DEFINED     09      90,830           0           0

ALLIANCE HOLDINGS GP LP           COM   01861G100         321       7,364  SH     DEFINED  01,08       7,364           0           0

ALLIANCE FIBER OPTIC PRODS I      COM   018680306          13       1,361  SH     DEFINED     01           0       1,361           0
ALLIANCE FIBER OPTIC PRODS I      COM   018680306          90       9,381  SH     DEFINED  01,08       1,404       7,977           0

ALLIANCE RES PARTNER L P          COM   01877R108         787      13,100  SH     DEFINED     01      13,100           0           0
ALLIANCE RES PARTNER L P          COM   01877R108         598       9,958  SH     DEFINED  01,08       9,958           0           0

ALLIANCE ONE INTL INC             COM   018772103         515     136,696  SH     DEFINED     01      47,805      88,891           0
ALLIANCE ONE INTL INC             COM   018772103       3,241     859,669  SH     DEFINED  01,08     144,264     715,405           0
ALLIANCE ONE INTL INC             COM   018772103         945     250,792  SH     DEFINED     09     250,792           0           0

ALLIANT ENERGY CORP               COM   018802108       2,992      69,073  SH     DEFINED     01      55,621      13,252         200
ALLIANT ENERGY CORP               COM   018802108         199       4,600  SH     OTHER       01           0       4,500         100
ALLIANT ENERGY CORP               COM   018802108      30,421     702,236  SH     DEFINED  01,08      61,409     640,827           0
ALLIANT ENERGY CORP               COM   018802108       7,325     169,080  SH     DEFINED     09     169,080           0           0

ALLIANT TECHSYSTEMS INC        CONV DEB 018804AK0       3,499   3,430,000  PRN    DEFINED     01     430,000   3,000,000           0
ALLIANT TECHSYSTEMS INC        CONV DEB 018804AK0       3,060   3,000,000  PRN    DEFINED  01,08   3,000,000           0           0

ALLIANT TECHSYSTEMS INC           COM   018804104         822      16,401  SH     DEFINED     01      13,002       3,009         390
ALLIANT TECHSYSTEMS INC           COM   018804104          37         732  SH     OTHER       01         280         432          20
ALLIANT TECHSYSTEMS INC           COM   018804104      10,242     204,348  SH     DEFINED  01,08       9,606     194,742           0

ALLIANCE BANCORP INC PA NEW       COM   01890A108          53       4,643  SH     DEFINED     01           0       4,643           0
ALLIANCE BANCORP INC PA NEW       COM   01890A108          76       6,674  SH     DEFINED  01,08       5,168       1,506           0

ALLIANCE FINANCIAL CORP NY        COM   019205103         167       5,497  SH     DEFINED     01       1,054       4,443           0
ALLIANCE FINANCIAL CORP NY        COM   019205103       1,398      46,111  SH     DEFINED  01,08       7,058      39,053           0
ALLIANCE FINANCIAL CORP NY        COM   019205103         366      12,066  SH     DEFINED     09      12,066           0           0

ALLIED HEALTHCARE PRODS INC       COM   019222108          11       3,203  SH     DEFINED     01           0       3,203           0
ALLIED HEALTHCARE PRODS INC       COM   019222108          33       9,538  SH     DEFINED  01,08       3,454       6,084           0

ALLIED MOTION TECHNOLOGIES I      COM   019330109          63       8,682  SH     DEFINED     01       3,061       5,621           0
ALLIED MOTION TECHNOLOGIES I      COM   019330109          79      10,834  SH     DEFINED  01,08       5,729       5,105           0

ALLIED NEVADA GOLD CORP           COM   019344100       1,021      31,380  SH     DEFINED     01      14,338      17,042           0
ALLIED NEVADA GOLD CORP           COM   019344100       9,903     304,430  SH     DEFINED  01,08      40,699     263,731           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     23
  ________

ALLOS THERAPEUTICS INC            COM   019777101         127      85,996  SH     DEFINED     01      20,058      65,938           0
ALLOS THERAPEUTICS INC            COM   019777101       1,049     708,747  SH     DEFINED  01,08     109,291     599,456           0
ALLOS THERAPEUTICS INC            COM   019777101         346     233,622  SH     DEFINED     09     233,622           0           0

ALLSCRIPTS HEALTHCARE SOLUTN      COM   01988P108       2,811     169,354  SH     DEFINED     01     127,294      37,635       4,425
ALLSCRIPTS HEALTHCARE SOLUTN      COM   01988P108         502      30,213  SH     OTHER       01       6,265       7,453      16,495
ALLSCRIPTS HEALTHCARE SOLUTN      COM   01988P108      19,679   1,185,480  SH     DEFINED  01,08      75,648   1,109,832           0

ALLSTATE CORP                     COM   020002101      45,799   1,391,213  SH     DEFINED     01     949,975     391,583      49,655
ALLSTATE CORP                     COM   020002101       5,989     181,913  SH     OTHER       01      68,051      96,284      17,578
ALLSTATE CORP                     COM   020002101     121,508   3,691,017  SH     DEFINED  01,08     850,348   2,840,669           0
ALLSTATE CORP                     COM   020002101      56,933   1,729,448  SH     DEFINED     09   1,729,448           0           0

ALMOST FAMILY INC                 COM   020409108         579      22,246  SH     DEFINED     01       3,431      18,815           0
ALMOST FAMILY INC                 COM   020409108       2,544      97,795  SH     DEFINED  01,08      27,248      70,547           0
ALMOST FAMILY INC                 COM   020409108         634      24,384  SH     DEFINED     09      24,384           0           0

ALNYLAM PHARMACEUTICALS INC       COM   02043Q107         512      46,236  SH     DEFINED     01      11,818      34,418           0
ALNYLAM PHARMACEUTICALS INC       COM   02043Q107       4,670     421,868  SH     DEFINED  01,08      58,996     362,872           0
ALNYLAM PHARMACEUTICALS INC       COM   02043Q107       1,567     141,509  SH     DEFINED     09     141,509           0           0

ALON USA ENERGY INC               COM   020520102         256      28,309  SH     DEFINED     01       8,393      19,916           0
ALON USA ENERGY INC               COM   020520102       1,168     129,017  SH     DEFINED  01,08      33,153      95,864           0
ALON USA ENERGY INC               COM   020520102         307      33,957  SH     DEFINED     09      33,957           0           0

ALPHA NATURAL RESOURCES INC       COM   02076X102       3,217     211,537  SH     DEFINED     01      94,778     116,697          62
ALPHA NATURAL RESOURCES INC       COM   02076X102          17       1,133  SH     OTHER       01       1,019          12         102
ALPHA NATURAL RESOURCES INC       COM   02076X102      24,602   1,617,484  SH     DEFINED  01,08     364,455   1,253,029           0
ALPHA NATURAL RESOURCES INC       COM   02076X102       8,198     538,981  SH     DEFINED     09     538,981           0           0

ALPHA PRO TECH LTD                COM   020772109         399     261,100  SH     DEFINED     01     261,100           0           0

ALPHATEC HOLDINGS INC             COM   02081G102         107      45,042  SH     DEFINED     01      11,885      33,157           0
ALPHATEC HOLDINGS INC             COM   02081G102       1,154     487,036  SH     DEFINED  01,08      67,979     419,057           0
ALPHATEC HOLDINGS INC             COM   02081G102         332     139,997  SH     DEFINED     09     139,997           0           0

ALTAIR NANOTECHNOLOGIES INC       COM   021373204           1       2,350  SH     DEFINED     01           0       2,350           0
ALTAIR NANOTECHNOLOGIES INC       COM   021373204          18      30,469  SH     DEFINED  01,08         375      30,094           0

ALTERA CORP                       COM   021441100      90,766   2,279,402  SH     DEFINED     01   1,983,840     253,803      41,759
ALTERA CORP                       COM   021441100      15,696     394,162  SH     OTHER       01     281,179      56,005      56,978
ALTERA CORP                       COM   021441100      98,486   2,473,292  SH     DEFINED  01,08     639,930   1,833,362           0
ALTERA CORP                       COM   021441100      32,023     804,204  SH     DEFINED     09     804,204           0           0

ALTRA HOLDINGS INC                COM   02208R106         621      32,347  SH     DEFINED     01       8,571      23,776           0
ALTRA HOLDINGS INC                COM   02208R106       5,043     262,674  SH     DEFINED  01,08      43,779     218,895           0
ALTRA HOLDINGS INC                COM   02208R106       1,662      86,565  SH     DEFINED     09      86,565           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     24
  ________

ALTRIA GROUP INC                  COM   02209S103     131,018   4,244,184  SH     DEFINED     01   2,939,829   1,143,530     160,825
ALTRIA GROUP INC                  COM   02209S103      19,967     646,803  SH     OTHER       01     459,623     105,553      81,627
ALTRIA GROUP INC                  COM   02209S103     456,588  14,790,655  SH     DEFINED  01,08   3,160,908  11,629,747           0
ALTRIA GROUP INC                  COM   02209S103     154,254   4,996,901  SH     DEFINED     09   4,996,901           0           0

ALUMINA LTD                       COM   022205108       1,627     316,510  SH     DEFINED     01     180,338     135,482         690
ALUMINA LTD                       COM   022205108         199      38,768  SH     OTHER       01       6,337      24,541       7,890
ALUMINA LTD                       COM   022205108         146      28,475  SH     DEFINED  01,08      28,475           0           0

AMAZON COM INC                    COM   023135106     160,582     792,960  SH     DEFINED     01     559,049     220,749      13,162
AMAZON COM INC                    COM   023135106      22,628     111,736  SH     OTHER       01      86,680      19,487       5,569
AMAZON COM INC                    COM   023135106     555,772   2,744,418  SH     DEFINED  01,08     677,460   2,066,958           0
AMAZON COM INC                    COM   023135106     180,603     891,824  SH     DEFINED     09     891,824           0           0

AMBASSADORS GROUP INC             COM   023177108         142      26,477  SH     DEFINED     01       3,690      22,787           0
AMBASSADORS GROUP INC             COM   023177108       1,184     221,339  SH     DEFINED  01,08      80,037     141,302           0
AMBASSADORS GROUP INC             COM   023177108         329      61,448  SH     DEFINED     09      61,448           0           0

AMCOL INTL CORP                   COM   02341W103       1,120      37,988  SH     DEFINED     01      12,854      25,134           0
AMCOL INTL CORP                   COM   02341W103         321      10,900  SH     OTHER       01           0      10,900           0
AMCOL INTL CORP                   COM   02341W103       7,335     248,742  SH     DEFINED  01,08      46,387     202,355           0
AMCOL INTL CORP                   COM   02341W103       2,380      80,697  SH     DEFINED     09      80,697           0           0

AMEDISYS INC                      COM   023436108       1,712     118,386  SH     DEFINED     01      14,936     103,450           0
AMEDISYS INC                      COM   023436108         124       8,600  SH     OTHER       01           0       8,600           0
AMEDISYS INC                      COM   023436108       5,574     385,495  SH     DEFINED  01,08     142,620     242,875           0
AMEDISYS INC                      COM   023436108       1,256      86,858  SH     DEFINED     09      86,858           0           0

AMERCO                            COM   023586100       9,854      93,396  SH     DEFINED     01       9,239      83,767         390
AMERCO                            COM   023586100          90         850  SH     OTHER       01           0         810          40
AMERCO                            COM   023586100      16,848     159,686  SH     DEFINED  01,08      90,984      68,702           0
AMERCO                            COM   023586100       2,975      28,197  SH     DEFINED     09      28,197           0           0

AMEREN CORP                       COM   023608102       9,422     289,193  SH     DEFINED     01     160,337     128,243         613
AMEREN CORP                       COM   023608102         254       7,807  SH     OTHER       01       5,229       2,308         270
AMEREN CORP                       COM   023608102      60,572   1,859,166  SH     DEFINED  01,08     494,618   1,364,548           0
AMEREN CORP                       COM   023608102      18,862     578,931  SH     DEFINED     09     578,931           0           0

AMERESCO INC                      COM   02361E108         176      12,958  SH     DEFINED     01       4,647       8,311           0
AMERESCO INC                      COM   02361E108       2,208     162,943  SH     DEFINED  01,08      16,968     145,975           0
AMERESCO INC                      COM   02361E108         631      46,571  SH     DEFINED     09      46,571           0           0

AMERICA MOVIL SAB DE CV           COM   02364W105      13,712     552,227  SH     DEFINED     01     533,891      16,146       2,190
AMERICA MOVIL SAB DE CV           COM   02364W105       1,279      51,520  SH     OTHER       01      40,592      10,018         910
AMERICA MOVIL SAB DE CV           COM   02364W105       4,539     182,823  SH     DEFINED  01,08     182,823           0           0

AMERICAN APPAREL INC              COM   023850100          15      18,299  SH     DEFINED     01           0      18,299           0
AMERICAN APPAREL INC              COM   023850100          48      59,640  SH     DEFINED  01,08      10,551      49,089           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     25
  ________

AMERICAN ASSETS TR INC            COM   024013104         647      28,398  SH     DEFINED     01       8,221      20,177           0
AMERICAN ASSETS TR INC            COM   024013104       8,345     366,000  SH     DEFINED  01,08      92,253     273,747           0
AMERICAN ASSETS TR INC            COM   024013104       2,475     108,546  SH     DEFINED     09     108,546           0           0

AMERICAN AXLE & MFG HLDGS IN      COM   024061103         815      69,582  SH     DEFINED     01      17,442      52,140           0
AMERICAN AXLE & MFG HLDGS IN      COM   024061103       7,263     620,275  SH     DEFINED  01,08      85,593     534,682           0
AMERICAN AXLE & MFG HLDGS IN      COM   024061103       2,330     198,979  SH     DEFINED     09     198,979           0           0

AMERICAN CAMPUS CMNTYS INC        COM   024835100      12,286     274,739  SH     DEFINED     01      23,783     250,956           0
AMERICAN CAMPUS CMNTYS INC        COM   024835100      51,902   1,160,600  SH     DEFINED  01,08     402,221     758,379           0
AMERICAN CAMPUS CMNTYS INC        COM   024835100      11,069     247,525  SH     DEFINED     09     247,525           0           0

AMERICAN CAPITAL AGENCY CORP      COM   02503X105       9,472     320,665  SH     DEFINED     01     293,166      27,499           0
AMERICAN CAPITAL AGENCY CORP      COM   02503X105         386      13,073  SH     OTHER       01      13,073           0           0
AMERICAN CAPITAL AGENCY CORP      COM   02503X105      22,756     770,333  SH     DEFINED  01,08     104,010     666,323           0

AMERICAN CAP LTD                  COM   02503Y103       8,011     922,974  SH     DEFINED     01      55,355     867,619           0
AMERICAN CAP LTD                  COM   02503Y103      14,060   1,619,869  SH     DEFINED  01,08   1,029,675     590,194           0

AMERICAN CAP MTG INVT CORP        COM   02504A104         136       6,260  SH     DEFINED     01       2,912       3,348           0
AMERICAN CAP MTG INVT CORP        COM   02504A104       1,841      84,571  SH     DEFINED  01,08      16,132      68,439           0
AMERICAN CAP MTG INVT CORP        COM   02504A104       1,048      48,148  SH     DEFINED     09      48,148           0           0

AMERICAN CARESOURCE HLDGS IN      COM   02505A103           1       1,709  SH     DEFINED     01           0       1,709           0
AMERICAN CARESOURCE HLDGS IN      COM   02505A103           9      16,075  SH     DEFINED  01,08       4,397      11,678           0

AMERICAN DG ENERGY INC            COM   025398108          35      16,453  SH     DEFINED  01,08           0      16,453           0

AMERICAN EAGLE OUTFITTERS NE      COM   02553E106       1,469      85,428  SH     DEFINED     01      64,354      20,654         420
AMERICAN EAGLE OUTFITTERS NE      COM   02553E106          13         755  SH     OTHER       01         700           0          55
AMERICAN EAGLE OUTFITTERS NE      COM   02553E106      21,985   1,278,913  SH     DEFINED  01,08     146,367   1,132,546           0
AMERICAN EAGLE OUTFITTERS NE      COM   02553E106         125       7,243  SH     DEFINED     09       7,243           0           0

AMERICAN ELEC PWR INC             COM   025537101      20,004     518,512  SH     DEFINED     01     261,447     253,986       3,079
AMERICAN ELEC PWR INC             COM   025537101       1,081      28,020  SH     OTHER       01      23,884       1,933       2,203
AMERICAN ELEC PWR INC             COM   025537101     141,581   3,669,814  SH     DEFINED  01,08     949,867   2,719,947           0
AMERICAN ELEC PWR INC             COM   025537101      44,762   1,160,243  SH     DEFINED     09   1,160,243           0           0

AMERICAN EQTY INVT LIFE HLD       COM   025676206       5,663     443,487  SH     DEFINED     01      87,073     353,524       2,890
AMERICAN EQTY INVT LIFE HLD       COM   025676206          27       2,090  SH     OTHER       01       2,090           0           0
AMERICAN EQTY INVT LIFE HLD       COM   025676206      11,025     863,340  SH     DEFINED  01,08     380,803     482,537           0
AMERICAN EQTY INVT LIFE HLD       COM   025676206       2,177     170,506  SH     DEFINED     09     170,506           0           0

AMERICAN EXPRESS CO               COM   025816109     320,277   5,535,383  SH     DEFINED     01   4,592,262     822,928     120,193
AMERICAN EXPRESS CO               COM   025816109      66,712   1,152,992  SH     OTHER       01     783,583     290,944      78,465
AMERICAN EXPRESS CO               COM   025816109     453,740   7,842,038  SH     DEFINED  01,08   2,018,408   5,823,630           0
AMERICAN EXPRESS CO               COM   025816109     141,884   2,452,189  SH     DEFINED     09   2,452,189           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     26
  ________

AMERICAN FINL GROUP INC OHIO      COM   025932104       1,163      30,149  SH     DEFINED     01      21,093       8,906         150
AMERICAN FINL GROUP INC OHIO      COM   025932104           2          60  SH     OTHER       01           0           0          60
AMERICAN FINL GROUP INC OHIO      COM   025932104      19,089     494,778  SH     DEFINED  01,08      25,842     468,936           0

AMERICAN GREETINGS CORP           COM   026375105       5,300     345,485  SH     DEFINED     01      29,199     316,286           0
AMERICAN GREETINGS CORP           COM   026375105      12,442     811,095  SH     DEFINED  01,08     374,820     436,275           0
AMERICAN GREETINGS CORP           COM   026375105       1,736     113,182  SH     DEFINED     09     113,182           0           0

AMERICAN INTL GROUP INC           COM   026874784      16,448     533,493  SH     DEFINED     01     252,343     270,362      10,788
AMERICAN INTL GROUP INC           COM   026874784         258       8,363  SH     OTHER       01       6,353       1,778         232
AMERICAN INTL GROUP INC           COM   026874784     114,130   3,701,927  SH     DEFINED  01,08     860,578   2,841,349           0
AMERICAN INTL GROUP INC           COM   026874784      39,378   1,277,249  SH     DEFINED     09   1,277,249           0           0

AMERICAN NATL BANKSHARES INC      COM   027745108         126       5,898  SH     DEFINED     01           0       5,898           0
AMERICAN NATL BANKSHARES INC      COM   027745108         314      14,724  SH     DEFINED  01,08       5,700       9,024           0

AMERICAN NATL INS CO              COM   028591105         298       4,114  SH     DEFINED     01       2,710       1,404           0
AMERICAN NATL INS CO              COM   028591105           1          15  SH     OTHER       01           0           0          15
AMERICAN NATL INS CO              COM   028591105       2,399      33,079  SH     DEFINED  01,08       2,339      30,740           0

AMERICAN ORIENTAL BIOENGR IN      COM   028731404         160     124,837  SH     DEFINED     01       3,450     121,387           0
AMERICAN ORIENTAL BIOENGR IN      COM   028731404         170     132,987  SH     DEFINED  01,08     128,912       4,075           0

AMERICAN PAC CORP                 COM   028740108          47       6,276  SH     DEFINED     01           0       6,276           0
AMERICAN PAC CORP                 COM   028740108          85      11,273  SH     DEFINED  01,08       5,057       6,216           0

AMERICAN PUBLIC EDUCATION IN      COM   02913V103       1,067      28,074  SH     DEFINED     01       8,537      19,537           0
AMERICAN PUBLIC EDUCATION IN      COM   02913V103         133       3,500  SH     OTHER       01       3,500           0           0
AMERICAN PUBLIC EDUCATION IN      COM   02913V103       6,543     172,180  SH     DEFINED  01,08      27,412     144,768           0
AMERICAN PUBLIC EDUCATION IN      COM   02913V103       1,968      51,784  SH     DEFINED     09      51,784           0           0

AMERICAN RAILCAR INDS INC         COM   02916P103         284      12,084  SH     DEFINED     01       2,477       9,607           0
AMERICAN RAILCAR INDS INC         COM   02916P103         302      12,840  SH     OTHER       01           0      12,840           0
AMERICAN RAILCAR INDS INC         COM   02916P103       2,334      99,272  SH     DEFINED  01,08      20,085      79,187           0
AMERICAN RAILCAR INDS INC         COM   02916P103         652      27,735  SH     DEFINED     09      27,735           0           0

AMERICAN RLTY INVS INC            COM   029174109           8       4,826  SH     DEFINED     01           0       4,826           0
AMERICAN RLTY INVS INC            COM   029174109          21      12,420  SH     DEFINED  01,08       4,099       8,321           0

AMERICAN REPROGRAPHICS CO         COM   029263100         298      55,322  SH     DEFINED     01      10,373      44,949           0
AMERICAN REPROGRAPHICS CO         COM   029263100       1,905     353,406  SH     DEFINED  01,08      55,877     297,529           0
AMERICAN REPROGRAPHICS CO         COM   029263100         552     102,440  SH     DEFINED     09     102,440           0           0

AMERICAN SCIENCE & ENGR INC       COM   029429107         952      14,202  SH     DEFINED     01       5,119       9,053          30
AMERICAN SCIENCE & ENGR INC       COM   029429107           2          30  SH     OTHER       01          30           0           0
AMERICAN SCIENCE & ENGR INC       COM   029429107       5,992      89,372  SH     DEFINED  01,08      15,126      74,246           0
AMERICAN SCIENCE & ENGR INC       COM   029429107       1,735      25,874  SH     DEFINED     09      25,874           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     27
  ________

AMERICAN SOFTWARE INC             COM   029683109         504      58,764  SH     DEFINED     01       7,303      51,461           0
AMERICAN SOFTWARE INC             COM   029683109       2,227     259,759  SH     DEFINED  01,08      74,279     185,480           0
AMERICAN SOFTWARE INC             COM   029683109         432      50,419  SH     DEFINED     09      50,419           0           0

AMERICAN STS WTR CO               COM   029899101         905      25,041  SH     DEFINED     01       9,474      15,567           0
AMERICAN STS WTR CO               COM   029899101       6,845     189,390  SH     DEFINED  01,08      33,519     155,871           0
AMERICAN STS WTR CO               COM   029899101       1,988      55,022  SH     DEFINED     09      55,022           0           0

AMERICAN SUPERCONDUCTOR CORP      COM   030111108         391      94,860  SH     DEFINED     01      14,390      80,470           0
AMERICAN SUPERCONDUCTOR CORP      COM   030111108       2,023     490,940  SH     DEFINED  01,08     121,184     369,756           0
AMERICAN SUPERCONDUCTOR CORP      COM   030111108         569     138,181  SH     DEFINED     09     138,181           0           0

AMERICAN TOWER CORP NEW           COM   03027X100      50,915     807,918  SH     DEFINED     01     537,724     265,843       4,351
AMERICAN TOWER CORP NEW           COM   03027X100       1,876      29,773  SH     OTHER       01      15,319      14,259         195
AMERICAN TOWER CORP NEW           COM   03027X100     187,873   2,981,172  SH     DEFINED  01,08     733,634   2,247,538           0
AMERICAN TOWER CORP NEW           COM   03027X100      58,704     931,509  SH     DEFINED     09     931,509           0           0

AMERICAN VANGUARD CORP            COM   030371108         738      34,030  SH     DEFINED     01      10,883      23,147           0
AMERICAN VANGUARD CORP            COM   030371108       5,016     231,269  SH     DEFINED  01,08      41,265     190,004           0
AMERICAN VANGUARD CORP            COM   030371108       1,553      71,604  SH     DEFINED     09      71,604           0           0

AMERICAN WTR WKS CO INC NEW       COM   030420103      49,755   1,462,102  SH     DEFINED     01   1,392,812      54,339      14,951
AMERICAN WTR WKS CO INC NEW       COM   030420103       6,462     189,905  SH     OTHER       01     142,419      39,146       8,340
AMERICAN WTR WKS CO INC NEW       COM   030420103      21,825     641,358  SH     DEFINED  01,08     116,398     524,960           0
AMERICAN WTR WKS CO INC NEW       COM   030420103       7,973     234,284  SH     DEFINED     09     234,284           0           0

AMERICAN WOODMARK CORP            COM   030506109         331      18,398  SH     DEFINED     01       1,874      16,524           0
AMERICAN WOODMARK CORP            COM   030506109       1,731      96,156  SH     DEFINED  01,08      20,998      75,158           0
AMERICAN WOODMARK CORP            COM   030506109         625      34,717  SH     DEFINED     09      34,717           0           0

AMERICAS CAR MART INC             COM   03062T105         679      15,430  SH     DEFINED     01       3,750      11,680           0
AMERICAS CAR MART INC             COM   03062T105       3,980      90,487  SH     DEFINED  01,08      17,740      72,747           0
AMERICAS CAR MART INC             COM   03062T105       1,356      30,840  SH     DEFINED     09      30,840           0           0

AMERIGON INC                      COM   03070L300         660      40,778  SH     DEFINED     01      24,748      16,030           0
AMERIGON INC                      COM   03070L300          38       2,360  SH     OTHER       01       2,360           0           0
AMERIGON INC                      COM   03070L300       3,624     223,961  SH     DEFINED  01,08      40,072     183,889           0
AMERIGON INC                      COM   03070L300       1,155      71,409  SH     DEFINED     09      71,409           0           0

AMERISTAR CASINOS INC             COM   03070Q101         764      40,985  SH     DEFINED     01       6,154      34,831           0
AMERISTAR CASINOS INC             COM   03070Q101       6,015     322,882  SH     DEFINED  01,08      57,317     265,565           0
AMERISTAR CASINOS INC             COM   03070Q101       1,638      87,921  SH     DEFINED     09      87,921           0           0

AMERISAFE INC                     COM   03071H100       2,287      92,426  SH     DEFINED     01      16,329      75,872         225
AMERISAFE INC                     COM   03071H100           6         245  SH     OTHER       01         245           0           0
AMERISAFE INC                     COM   03071H100       6,101     246,594  SH     DEFINED  01,08      91,655     154,939           0
AMERISAFE INC                     COM   03071H100       1,405      56,772  SH     DEFINED     09      56,772           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     28
  ________

AMERISOURCEBERGEN CORP            COM   03073E105      33,873     854,073  SH     DEFINED     01     670,106     178,658       5,309
AMERISOURCEBERGEN CORP            COM   03073E105       2,407      60,680  SH     OTHER       01      24,576      33,055       3,049
AMERISOURCEBERGEN CORP            COM   03073E105      77,221   1,947,073  SH     DEFINED  01,08     479,329   1,467,744           0
AMERISOURCEBERGEN CORP            COM   03073E105      25,136     633,792  SH     DEFINED     09     633,792           0           0

AMERIGROUP CORP                   COM   03073T102       1,057      15,713  SH     DEFINED     01      10,599       5,114           0
AMERIGROUP CORP                   COM   03073T102         538       8,000  SH     OTHER       01           0       8,000           0
AMERIGROUP CORP                   COM   03073T102      19,679     292,501  SH     DEFINED  01,08      20,542     271,959           0

AMERISERV FINL INC                COM   03074A102          29      10,738  SH     DEFINED     01           0      10,738           0
AMERISERV FINL INC                COM   03074A102          77      28,123  SH     DEFINED  01,08       9,803      18,320           0

AMERIPRISE FINL INC               COM   03076C106      20,734     362,932  SH     DEFINED     01     238,643     120,320       3,969
AMERIPRISE FINL INC               COM   03076C106       3,316      58,049  SH     OTHER       01      39,845       9,306       8,898
AMERIPRISE FINL INC               COM   03076C106      95,199   1,666,356  SH     DEFINED  01,08     416,398   1,249,958           0
AMERIPRISE FINL INC               COM   03076C106      31,746     555,676  SH     DEFINED     09     555,676           0           0

AMERIS BANCORP                    COM   03076K108         328      24,926  SH     DEFINED     01       6,090      18,616         220
AMERIS BANCORP                    COM   03076K108       2,883     219,398  SH     DEFINED  01,08      30,163     189,235           0
AMERIS BANCORP                    COM   03076K108       1,054      80,209  SH     DEFINED     09      80,209           0           0

AMERIGAS PARTNERS L P             COM   030975106           8         200  SH     DEFINED     01         200           0           0
AMERIGAS PARTNERS L P             COM   030975106         632      15,605  SH     DEFINED  01,08      15,605           0           0

AMES NATL CORP                    COM   031001100         222       9,348  SH     DEFINED     01       1,128       8,220           0
AMES NATL CORP                    COM   031001100       1,870      78,551  SH     DEFINED  01,08      12,173      66,378           0
AMES NATL CORP                    COM   031001100         665      27,939  SH     DEFINED     09      27,939           0           0

AMETEK INC NEW                    COM   031100100       5,707     117,638  SH     DEFINED     01      88,238      28,655         745
AMETEK INC NEW                    COM   031100100         658      13,572  SH     OTHER       01       5,615       7,700         257
AMETEK INC NEW                    COM   031100100      48,819   1,006,370  SH     DEFINED  01,08      59,086     947,284           0
AMETEK INC NEW                    COM   031100100      10,581     218,111  SH     DEFINED     09     218,111           0           0

AMGEN INC                         COM   031162100     174,001   2,559,969  SH     DEFINED     01   2,064,072     470,091      25,806
AMGEN INC                         COM   031162100      20,997     308,909  SH     OTHER       01     230,259      39,933      38,717
AMGEN INC                         COM   031162100     408,213   6,005,783  SH     DEFINED  01,08   1,491,414   4,514,369           0
AMGEN INC                         COM   031162100     132,532   1,949,861  SH     DEFINED     09   1,949,861           0           0

AMICUS THERAPEUTICS INC           COM   03152W109          81      15,426  SH     DEFINED     01       1,816      13,610           0
AMICUS THERAPEUTICS INC           COM   03152W109         881     166,783  SH     DEFINED  01,08      26,670     140,113           0
AMICUS THERAPEUTICS INC           COM   03152W109         295      55,903  SH     DEFINED     09      55,903           0           0

AMKOR TECHNOLOGY INC              COM   031652100       1,552     252,556  SH     DEFINED     01      24,977     227,579           0
AMKOR TECHNOLOGY INC              COM   031652100       6,731   1,095,298  SH     DEFINED  01,08     295,309     799,989           0
AMKOR TECHNOLOGY INC              COM   031652100       1,908     310,418  SH     DEFINED     09     310,418           0           0

AMPAL AMERN ISRAEL CORP           COM   032015109           2       9,005  SH     DEFINED     01           0       9,005           0
AMPAL AMERN ISRAEL CORP           COM   032015109           8      33,424  SH     DEFINED  01,08       9,948      23,476           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     29
  ________

AMPCO-PITTSBURGH CORP             COM   032037103         607      30,133  SH     DEFINED     01       2,509      27,624           0
AMPCO-PITTSBURGH CORP             COM   032037103       2,065     102,580  SH     DEFINED  01,08      33,201      69,379           0
AMPCO-PITTSBURGH CORP             COM   032037103         446      22,167  SH     DEFINED     09      22,167           0           0

AMPIO PHARMACEUTICALS INC         COM   03209T109          50      14,675  SH     DEFINED     01       2,417      12,258           0
AMPIO PHARMACEUTICALS INC         COM   03209T109         608     178,364  SH     DEFINED  01,08      17,062     161,302           0
AMPIO PHARMACEUTICALS INC         COM   03209T109         233      68,332  SH     DEFINED     09      68,332           0           0

AMPHENOL CORP NEW                 COM   032095101      13,833     231,436  SH     DEFINED     01     128,917     101,709         810
AMPHENOL CORP NEW                 COM   032095101         459       7,685  SH     OTHER       01       3,435       4,149         101
AMPHENOL CORP NEW                 COM   032095101      72,612   1,214,852  SH     DEFINED  01,08     282,340     932,512           0
AMPHENOL CORP NEW                 COM   032095101      25,133     420,501  SH     DEFINED     09     420,501           0           0

AMREP CORP NEW                    COM   032159105          79       9,046  SH     DEFINED     01           0       9,046           0
AMREP CORP NEW                    COM   032159105         119      13,607  SH     DEFINED  01,08       9,512       4,095           0

AMSURG CORP                       COM   03232P405       4,512     161,242  SH     DEFINED     01      15,792     145,450           0
AMSURG CORP                       COM   03232P405      11,831     422,831  SH     DEFINED  01,08     166,343     256,488           0
AMSURG CORP                       COM   03232P405       2,483      88,731  SH     DEFINED     09      88,731           0           0

AMTECH SYS INC                    COM   032332504          68       8,203  SH     DEFINED     01       1,095       7,108           0
AMTECH SYS INC                    COM   032332504         800      96,011  SH     DEFINED  01,08      12,364      83,647           0
AMTECH SYS INC                    COM   032332504         227      27,304  SH     DEFINED     09      27,304           0           0

AMYLIN PHARMACEUTICALS INC        COM   032346108       1,981      79,364  SH     DEFINED     01      38,926      40,438           0
AMYLIN PHARMACEUTICALS INC        COM   032346108         153       6,110  SH     OTHER       01       1,000       5,000         110
AMYLIN PHARMACEUTICALS INC        COM   032346108      12,135     486,171  SH     DEFINED  01,08      82,582     403,589           0

AMTRUST FINANCIAL SERVICES I      COM   032359309       1,015      37,777  SH     DEFINED     01       5,529      32,248           0
AMTRUST FINANCIAL SERVICES I      COM   032359309       6,642     247,082  SH     DEFINED  01,08      46,631     200,451           0
AMTRUST FINANCIAL SERVICES I      COM   032359309       2,013      74,898  SH     DEFINED     09      74,898           0           0

AMYRIS INC                        COM   03236M101          68      13,060  SH     DEFINED     01       4,555       8,505           0
AMYRIS INC                        COM   03236M101         849     163,951  SH     DEFINED  01,08      17,712     146,239           0
AMYRIS INC                        COM   03236M101         251      48,473  SH     DEFINED     09      48,473           0           0

ANACOR PHARMACEUTICALS INC        COM   032420101          47       8,037  SH     DEFINED     01       1,107       6,930           0
ANACOR PHARMACEUTICALS INC        COM   032420101         622     105,646  SH     DEFINED  01,08       9,754      95,892           0
ANACOR PHARMACEUTICALS INC        COM   032420101         269      45,688  SH     DEFINED     09      45,688           0           0

ANADARKO PETE CORP                COM   032511107      51,025     651,329  SH     DEFINED     01     382,166     265,964       3,199
ANADARKO PETE CORP                COM   032511107       1,894      24,179  SH     OTHER       01      17,587       3,882       2,710
ANADARKO PETE CORP                COM   032511107     289,504   3,695,476  SH     DEFINED  01,08     883,982   2,811,494           0
ANADARKO PETE CORP                COM   032511107     100,221   1,279,313  SH     DEFINED     09   1,279,313           0           0

ANADIGICS INC                     COM   032515108         187      78,774  SH     DEFINED     01      19,927      58,847           0
ANADIGICS INC                     COM   032515108       1,521     641,846  SH     DEFINED  01,08      93,372     548,474           0
ANADIGICS INC                     COM   032515108         444     187,549  SH     DEFINED     09     187,549           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     30
  ________

ANALOG DEVICES INC                COM   032654105      38,692     957,711  SH     DEFINED     01     749,010     192,779      15,922
ANALOG DEVICES INC                COM   032654105       3,355      83,055  SH     OTHER       01      61,324      10,284      11,447
ANALOG DEVICES INC                COM   032654105      91,504   2,264,944  SH     DEFINED  01,08     569,511   1,695,433           0
ANALOG DEVICES INC                COM   032654105      49,542   1,226,288  SH     DEFINED     09   1,226,288           0           0

ANALOGIC CORP                     COM   032657207       7,568     112,047  SH     DEFINED     01       6,452     105,595           0
ANALOGIC CORP                     COM   032657207         272       4,025  SH     OTHER       01           0       4,025           0
ANALOGIC CORP                     COM   032657207      15,040     222,682  SH     DEFINED  01,08     115,768     106,914           0
ANALOGIC CORP                     COM   032657207       2,701      39,985  SH     DEFINED     09      39,985           0           0

ANAREN INC                        COM   032744104         483      26,316  SH     DEFINED     01       4,615      21,701           0
ANAREN INC                        COM   032744104       2,901     158,067  SH     DEFINED  01,08      32,003     126,064           0
ANAREN INC                        COM   032744104         818      44,590  SH     DEFINED     09      44,590           0           0

ANCESTRY COM INC                  COM   032803108         790      34,753  SH     DEFINED     01       6,498      28,255           0
ANCESTRY COM INC                  COM   032803108       6,652     292,517  SH     DEFINED  01,08      41,462     251,055           0
ANCESTRY COM INC                  COM   032803108       2,123      93,378  SH     DEFINED     09      93,378           0           0

ANDERSONS INC                     COM   034164103       4,372      89,797  SH     DEFINED     01       8,862      80,935           0
ANDERSONS INC                     COM   034164103      12,162     249,779  SH     DEFINED  01,08      98,538     151,241           0
ANDERSONS INC                     COM   034164103       2,621      53,829  SH     DEFINED     09      53,829           0           0

ANGIODYNAMICS INC                 COM   03475V101       3,866     315,560  SH     DEFINED     01     106,995     203,665       4,900
ANGIODYNAMICS INC                 COM   03475V101         208      16,970  SH     OTHER       01       6,110       8,875       1,985
ANGIODYNAMICS INC                 COM   03475V101       4,896     399,684  SH     DEFINED  01,08     189,530     210,154           0
ANGIODYNAMICS INC                 COM   03475V101         889      72,541  SH     DEFINED     09      72,541           0           0

ANGIES LIST INC                   COM   034754101         117       6,195  SH     DEFINED     01       1,002       5,193           0
ANGIES LIST INC                   COM   034754101       1,657      87,712  SH     DEFINED  01,08       9,113      78,599           0
ANGIES LIST INC                   COM   034754101         636      33,694  SH     DEFINED     09      33,694           0           0

ANGLOGOLD ASHANTI LTD             COM   035128206       4,091     110,810  SH     DEFINED     01      22,110      79,855       8,845
ANGLOGOLD ASHANTI LTD             COM   035128206         620      16,800  SH     OTHER       01       1,900      14,260         640

ANHEUSER BUSCH INBEV SA/NV        COM   03524A108      17,580     241,751  SH     DEFINED     01     207,586      33,359         806
ANHEUSER BUSCH INBEV SA/NV        COM   03524A108       1,662      22,854  SH     OTHER       01      15,382       5,962       1,510
ANHEUSER BUSCH INBEV SA/NV        COM   03524A108       5,012      68,916  SH     DEFINED  01,08      68,916           0           0

ANIKA THERAPEUTICS INC            COM   035255108          97       7,717  SH     DEFINED     01           0       7,717           0
ANIKA THERAPEUTICS INC            COM   035255108         332      26,506  SH     DEFINED  01,08       7,520      18,986           0

ANIXTER INTL INC                  COM   035290105       3,348      46,156  SH     DEFINED     01      14,090      32,066           0
ANIXTER INTL INC                  COM   035290105         196       2,705  SH     OTHER       01         300         315       2,090
ANIXTER INTL INC                  COM   035290105      20,813     286,953  SH     DEFINED  01,08      51,466     235,487           0
ANIXTER INTL INC                  COM   035290105       6,027      83,094  SH     DEFINED     09      83,094           0           0

ANN INC                           COM   035623107       2,275      79,422  SH     DEFINED     01      17,396      62,026           0
ANN INC                           COM   035623107      18,651     651,232  SH     DEFINED  01,08      92,185     559,047           0
ANN INC                           COM   035623107       4,418     154,245  SH     DEFINED     09     154,245           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     31
  ________

ANNALY CAP MGMT INC               COM   035710409      10,843     685,379  SH     DEFINED     01     572,460     110,053       2,866
ANNALY CAP MGMT INC               COM   035710409         295      18,674  SH     OTHER       01      18,584           0          90
ANNALY CAP MGMT INC               COM   035710409      52,431   3,314,219  SH     DEFINED  01,08     429,435   2,884,784           0
ANNALY CAP MGMT INC               COM   035710409      21,334   1,348,568  SH     DEFINED     09   1,348,568           0           0

ANSYS INC                         COM   03662Q105       8,160     125,502  SH     DEFINED     01     100,458      23,437       1,607
ANSYS INC                         COM   03662Q105       1,471      22,626  SH     OTHER       01       8,210      14,281         135
ANSYS INC                         COM   03662Q105      37,947     583,626  SH     DEFINED  01,08      40,225     543,401           0

ANTARES PHARMA INC                COM   036642106         207      64,137  SH     DEFINED     01      21,472      42,665           0
ANTARES PHARMA INC                COM   036642106       2,543     787,433  SH     DEFINED  01,08      85,491     701,942           0
ANTARES PHARMA INC                COM   036642106         842     260,786  SH     DEFINED     09     260,786           0           0

ANTHERA PHARMACEUTICALS INC       COM   03674U102          25      11,219  SH     DEFINED     01       2,049       9,170           0
ANTHERA PHARMACEUTICALS INC       COM   03674U102         341     154,487  SH     DEFINED  01,08      17,664     136,823           0
ANTHERA PHARMACEUTICALS INC       COM   03674U102         150      68,084  SH     DEFINED     09      68,084           0           0

ANWORTH MORTGAGE ASSET CP         COM   037347101       3,397     516,328  SH     DEFINED     01      31,934     484,394           0
ANWORTH MORTGAGE ASSET CP         COM   037347101      11,010   1,673,182  SH     DEFINED  01,08     574,919   1,098,263           0
ANWORTH MORTGAGE ASSET CP         COM   037347101       2,715     412,603  SH     DEFINED     09     412,603           0           0

AON CORP                          COM   037389103      21,537     438,999  SH     DEFINED     01     229,189     190,715      19,095
AON CORP                          COM   037389103       1,507      30,723  SH     OTHER       01      13,107      17,616           0
AON CORP                          COM   037389103     114,785   2,339,689  SH     DEFINED  01,08     514,082   1,825,607           0

A123 SYS INC                      COM   03739T108          77      68,766  SH     DEFINED     01      15,428      53,338           0
A123 SYS INC                      COM   03739T108         888     792,747  SH     DEFINED  01,08      80,612     712,135           0
A123 SYS INC                      COM   03739T108         288     257,411  SH     DEFINED     09     257,411           0           0

APACHE CORP                       COM   037411105     126,875   1,263,195  SH     DEFINED     01     886,543     326,114      50,538
APACHE CORP                       COM   037411105      22,989     228,883  SH     OTHER       01     146,762      54,758      27,363
APACHE CORP                       COM   037411105     287,170   2,859,122  SH     DEFINED  01,08     687,807   2,171,315           0
APACHE CORP                       COM   037411105      94,017     936,050  SH     DEFINED     09     936,050           0           0

APACHE CORP                    CONV PFD 037411808       4,260      76,640         DEFINED     01       8,640      68,000           0
APACHE CORP                    CONV PFD 037411808          32         575         OTHER       01           0         575           0
APACHE CORP                    CONV PFD 037411808       3,779      68,000         DEFINED  01,08      68,000           0           0

APARTMENT INVT & MGMT CO          COM   03748R101      10,517     398,216  SH     DEFINED     01     327,459      70,487         270
APARTMENT INVT & MGMT CO          COM   03748R101         382      14,462  SH     OTHER       01      14,367          15          80
APARTMENT INVT & MGMT CO          COM   03748R101      28,300   1,071,566  SH     DEFINED  01,08     388,809     682,757           0
APARTMENT INVT & MGMT CO          COM   03748R101       4,646     175,921  SH     DEFINED     09     175,921           0           0

APOGEE ENTERPRISES INC            COM   037598109       2,929     226,209  SH     DEFINED     01      26,701     199,508           0
APOGEE ENTERPRISES INC            COM   037598109       5,979     461,670  SH     DEFINED  01,08     227,086     234,584           0
APOGEE ENTERPRISES INC            COM   037598109       1,100      84,927  SH     DEFINED     09      84,927           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     32
  ________

APOLLO GROUP INC                  COM   037604105       5,731     148,314  SH     DEFINED     01      85,440      62,655         219
APOLLO GROUP INC                  COM   037604105          63       1,639  SH     OTHER       01       1,371         151         117
APOLLO GROUP INC                  COM   037604105      32,938     852,421  SH     DEFINED  01,08     212,598     639,823           0
APOLLO GROUP INC                  COM   037604105      11,275     291,788  SH     DEFINED     09     291,788           0           0

APOLLO INVT CORP                  COM   03761U106       5,203     725,658  SH     DEFINED     01      60,139     665,519           0
APOLLO INVT CORP                  COM   03761U106      19,578   2,730,604  SH     DEFINED  01,08     853,310   1,877,294           0
APOLLO INVT CORP                  COM   03761U106       4,328     603,629  SH     DEFINED     09     603,629           0           0

APOLLO COML REAL EST FIN INC      COM   03762U105         478      30,520  SH     DEFINED     01      13,942      16,578           0
APOLLO COML REAL EST FIN INC      COM   03762U105       3,345     213,740  SH     DEFINED  01,08      34,665     179,075           0
APOLLO COML REAL EST FIN INC      COM   03762U105         903      57,727  SH     DEFINED     09      57,727           0           0

APOLLO RESIDENTIAL MTG INC        COM   03763V102         128       6,938  SH     DEFINED     01       2,245       4,693           0
APOLLO RESIDENTIAL MTG INC        COM   03763V102       1,824      99,225  SH     DEFINED  01,08       9,628      89,597           0
APOLLO RESIDENTIAL MTG INC        COM   03763V102         603      32,823  SH     DEFINED     09      32,823           0           0

APPLE INC                         COM   037833100   1,421,393   2,370,766  SH     DEFINED     01   1,728,420     589,547      52,799
APPLE INC                         COM   037833100     192,731     321,460  SH     OTHER       01     246,058      43,093      32,309
APPLE INC                         COM   037833100   4,211,604   7,024,608  SH     DEFINED  01,08   1,727,563   5,297,045           0
APPLE INC                         COM   037833100   1,410,910   2,353,281  SH     DEFINED     09   2,353,281           0           0

APPLIED INDL TECHNOLOGIES IN      COM   03820C105       2,789      67,811  SH     DEFINED     01      21,959      45,852           0
APPLIED INDL TECHNOLOGIES IN      COM   03820C105          28         670  SH     OTHER       01         670           0           0
APPLIED INDL TECHNOLOGIES IN      COM   03820C105      17,330     421,335  SH     DEFINED  01,08      81,808     339,527           0
APPLIED INDL TECHNOLOGIES IN      COM   03820C105       4,943     120,183  SH     DEFINED     09     120,183           0           0

APPLIED MICRO CIRCUITS CORP       COM   03822W406         475      68,413  SH     DEFINED     01      18,881      49,532           0
APPLIED MICRO CIRCUITS CORP       COM   03822W406       4,206     606,079  SH     DEFINED  01,08      88,833     517,246           0
APPLIED MICRO CIRCUITS CORP       COM   03822W406       1,298     187,037  SH     DEFINED     09     187,037           0           0

APPLIED MATLS INC                 COM   038222105      24,898   2,000,671  SH     DEFINED     01   1,169,443     815,286      15,942
APPLIED MATLS INC                 COM   038222105       3,394     272,708  SH     OTHER       01     108,196     158,199       6,313
APPLIED MATLS INC                 COM   038222105     122,393   9,834,717  SH     DEFINED  01,08   2,479,287   7,355,430           0
APPLIED MATLS INC                 COM   038222105      40,098   3,222,055  SH     DEFINED     09   3,222,055           0           0

APRICUS BIOSCIENCES INC           COM   03832V109          62      21,824  SH     DEFINED  01,08           0      21,824           0

APTARGROUP INC                    COM   038336103       5,163      94,259  SH     DEFINED     01      85,152       8,137         970
APTARGROUP INC                    COM   038336103         949      17,323  SH     OTHER       01         978       1,380      14,965
APTARGROUP INC                    COM   038336103      22,030     402,219  SH     DEFINED  01,08      22,920     379,299           0

APPROACH RESOURCES INC            COM   03834A103       1,981      53,618  SH     DEFINED     01      14,716      38,902           0
APPROACH RESOURCES INC            COM   03834A103       9,468     256,242  SH     DEFINED  01,08      53,565     202,677           0
APPROACH RESOURCES INC            COM   03834A103       2,948      79,774  SH     DEFINED     09      79,774           0           0

AQUA AMERICA INC                  COM   03836W103       1,112      49,876  SH     DEFINED     01      33,382      16,231         263
AQUA AMERICA INC                  COM   03836W103         238      10,667  SH     OTHER       01      10,667           0           0
AQUA AMERICA INC                  COM   03836W103      20,136     903,358  SH     DEFINED  01,08      89,959     813,399           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     33
  ________

ARABIAN AMERN DEV CO              COM   038465100          59       6,387  SH     DEFINED     01           0       6,387           0
ARABIAN AMERN DEV CO              COM   038465100         180      19,356  SH     DEFINED  01,08       6,823      12,533           0

ARBITRON INC                      COM   03875Q108       1,949      52,710  SH     DEFINED     01      12,833      39,877           0
ARBITRON INC                      COM   03875Q108      10,394     281,066  SH     DEFINED  01,08      58,878     222,188           0
ARBITRON INC                      COM   03875Q108       2,877      77,794  SH     DEFINED     09      77,794           0           0

ARBOR RLTY TR INC                 COM   038923108          46       8,197  SH     DEFINED     01          27       8,170           0
ARBOR RLTY TR INC                 COM   038923108         318      56,973  SH     DEFINED  01,08      14,994      41,979           0

ARCELORMITTAL SA LUXEMBOURG    CONV DEB 03938LAK0       3,721   3,465,000  PRN    DEFINED     01     500,000   2,965,000           0
ARCELORMITTAL SA LUXEMBOURG    CONV DEB 03938LAK0     318,367   2,965,000  PRN    DEFINED  01,08   2,965,000           0           0

ARCELORMITTAL SA LUXEMBOURG       COM   03938L104       3,692     192,983  SH     DEFINED     01     188,481       3,654         848
ARCELORMITTAL SA LUXEMBOURG       COM   03938L104         414      21,637  SH     OTHER       01      14,066       4,354       3,217
ARCELORMITTAL SA LUXEMBOURG       COM   03938L104         827      43,250  SH     DEFINED  01,08      43,250           0           0

ARCH COAL INC                     COM   039380100         816      76,226  SH     DEFINED     01      52,427      23,799           0
ARCH COAL INC                     COM   039380100          55       5,121  SH     OTHER       01           0       5,121           0
ARCH COAL INC                     COM   039380100      13,914   1,299,114  SH     DEFINED  01,08      64,148   1,234,966           0
ARCH COAL INC                     COM   039380100       2,753     257,018  SH     DEFINED     09     257,018           0           0

ARCHER DANIELS MIDLAND CO         COM   039483102      27,608     872,013  SH     DEFINED     01     505,690     360,129       6,194
ARCHER DANIELS MIDLAND CO         COM   039483102         937      29,592  SH     OTHER       01      12,965      15,407       1,220
ARCHER DANIELS MIDLAND CO         COM   039483102     159,869   5,049,551  SH     DEFINED  01,08   1,321,142   3,728,409           0
ARCHER DANIELS MIDLAND CO         COM   039483102      53,226   1,681,168  SH     DEFINED     09   1,681,168           0           0

ARCHIPELAGO LEARNING INC          COM   03956P102          99       8,879  SH     DEFINED     01       2,604       6,275           0
ARCHIPELAGO LEARNING INC          COM   03956P102       1,208     108,644  SH     DEFINED  01,08      10,569      98,075           0
ARCHIPELAGO LEARNING INC          COM   03956P102         257      23,070  SH     DEFINED     09      23,070           0           0

ARCTIC CAT INC                    COM   039670104       2,185      51,003  SH     DEFINED     01       4,458      46,545           0
ARCTIC CAT INC                    COM   039670104       6,719     156,829  SH     DEFINED  01,08      58,094      98,735           0
ARCTIC CAT INC                    COM   039670104       1,521      35,512  SH     DEFINED     09      35,512           0           0

ARDEA BIOSCIENCES INC             COM   03969P107         696      31,987  SH     DEFINED     01       5,511      26,476           0
ARDEA BIOSCIENCES INC             COM   03969P107       4,836     222,235  SH     DEFINED  01,08      37,863     184,372           0
ARDEA BIOSCIENCES INC             COM   03969P107       1,481      68,072  SH     DEFINED     09      68,072           0           0

ARDEN GROUP INC                   COM   039762109         351       3,865  SH     DEFINED     01         223       3,642           0
ARDEN GROUP INC                   COM   039762109       1,271      13,980  SH     DEFINED  01,08       3,888      10,092           0
ARDEN GROUP INC                   COM   039762109         300       3,300  SH     DEFINED     09       3,300           0           0

ARENA PHARMACEUTICALS INC         COM   040047102         542     176,121  SH     DEFINED     01      39,208     136,913           0
ARENA PHARMACEUTICALS INC         COM   040047102       4,311   1,402,005  SH     DEFINED  01,08     197,352   1,204,653           0
ARENA PHARMACEUTICALS INC         COM   040047102       1,642     533,956  SH     DEFINED     09     533,956           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     34
  ________

ARGAN INC                         COM   04010E109         182      11,316  SH     DEFINED     01         704      10,612           0
ARGAN INC                         COM   04010E109       1,155      71,988  SH     DEFINED  01,08      13,432      58,556           0
ARGAN INC                         COM   04010E109         394      24,547  SH     DEFINED     09      24,547           0           0

ARES CAP CORP                     COM   04010L103       3,537     216,302  SH     DEFINED     01      94,477     121,205         620
ARES CAP CORP                     COM   04010L103          26       1,590  SH     OTHER       01         670           0         920
ARES CAP CORP                     COM   04010L103       9,467     579,028  SH     DEFINED  01,08     235,475     343,553           0

ARIAD PHARMACEUTICALS INC         COM   04033A100       2,848     178,209  SH     DEFINED     01      34,731     143,478           0
ARIAD PHARMACEUTICALS INC         COM   04033A100      23,470   1,468,726  SH     DEFINED  01,08     201,843   1,266,883           0
ARIAD PHARMACEUTICALS INC         COM   04033A100       7,328     458,554  SH     DEFINED     09     458,554           0           0

ARIBA INC                         COM   04033V203       1,537      47,001  SH     DEFINED     01      34,715      12,166         120
ARIBA INC                         COM   04033V203          10         315  SH     OTHER       01         245          70           0
ARIBA INC                         COM   04033V203      11,050     337,819  SH     DEFINED  01,08      40,024     297,795           0

ARKANSAS BEST CORP DEL            COM   040790107         651      34,586  SH     DEFINED     01      10,669      23,917           0
ARKANSAS BEST CORP DEL            COM   040790107       4,713     250,543  SH     DEFINED  01,08      45,197     205,346           0
ARKANSAS BEST CORP DEL            COM   040790107       1,318      70,091  SH     DEFINED     09      70,091           0           0

ARLINGTON ASSET INVT CORP         COM   041356205         469      21,117  SH     DEFINED     01       1,477      19,640           0
ARLINGTON ASSET INVT CORP         COM   041356205       1,777      80,063  SH     DEFINED  01,08      22,752      57,311           0
ARLINGTON ASSET INVT CORP         COM   041356205         299      13,474  SH     DEFINED     09      13,474           0           0

ARM HLDGS PLC                     COM   042068106      24,959     882,259  SH     DEFINED     01     707,869     164,414       9,976
ARM HLDGS PLC                     COM   042068106       1,172      41,433  SH     OTHER       01      27,316      12,852       1,265
ARM HLDGS PLC                     COM   042068106       2,912     102,941  SH     DEFINED  01,08     102,941           0           0

ARMOUR RESIDENTIAL REIT INC       COM   042315101       2,093     310,110  SH     DEFINED     01      31,020     279,090           0
ARMOUR RESIDENTIAL REIT INC       COM   042315101      10,064   1,491,037  SH     DEFINED  01,08     390,759   1,100,278           0
ARMOUR RESIDENTIAL REIT INC       COM   042315101       3,402     504,038  SH     DEFINED     09     504,038           0           0

ARMSTRONG WORLD INDS INC NEW      COM   04247X102         274       5,627  SH     DEFINED     01       3,757       1,870           0
ARMSTRONG WORLD INDS INC NEW      COM   04247X102       3,415      70,029  SH     DEFINED  01,08       5,818      64,211           0

AROTECH CORP                      COM   042682203          19      15,709  SH     DEFINED     01      15,009         700           0
AROTECH CORP                      COM   042682203          27      21,708  SH     DEFINED  01,08         593      21,115           0

ARQULE INC                        COM   04269E107         471      67,134  SH     DEFINED     01      26,884      40,250           0
ARQULE INC                        COM   04269E107       3,645     519,929  SH     DEFINED  01,08      76,422     443,507           0
ARQULE INC                        COM   04269E107       1,006     143,477  SH     DEFINED     09     143,477           0           0

ARRIS GROUP INC                   COM   04269Q100       2,232     197,515  SH     DEFINED     01      58,468     138,785         262
ARRIS GROUP INC                   COM   04269Q100         334      29,600  SH     OTHER       01           0      29,600           0
ARRIS GROUP INC                   COM   04269Q100      13,820   1,222,990  SH     DEFINED  01,08     227,874     995,116           0
ARRIS GROUP INC                   COM   04269Q100       4,285     379,193  SH     DEFINED     09     379,193           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     35
  ________

ARRAY BIOPHARMA INC               COM   04269X105         266      78,266  SH     DEFINED     01      20,042      58,224           0
ARRAY BIOPHARMA INC               COM   04269X105       2,321     681,712  SH     DEFINED  01,08      90,508     591,204           0
ARRAY BIOPHARMA INC               COM   04269X105         880     258,482  SH     DEFINED     09     258,482           0           0

ARRHYTHMIA RESH TECHNOLOGY I      COM   042698308          15       4,117  SH     DEFINED     01           0       4,117           0
ARRHYTHMIA RESH TECHNOLOGY I      COM   042698308          24       6,786  SH     DEFINED  01,08       4,638       2,148           0

ARROW ELECTRS INC                 COM   042735100       1,790      42,653  SH     DEFINED     01      30,561      12,092           0
ARROW ELECTRS INC                 COM   042735100         143       3,407  SH     OTHER       01          55       3,352           0
ARROW ELECTRS INC                 COM   042735100      29,344     699,169  SH     DEFINED  01,08      42,174     656,995           0
ARROW ELECTRS INC                 COM   042735100       7,186     171,224  SH     DEFINED     09     171,224           0           0

ARROW FINL CORP                   COM   042744102         469      19,202  SH     DEFINED     01       3,118      16,084           0
ARROW FINL CORP                   COM   042744102       2,658     108,948  SH     DEFINED  01,08      20,787      88,161           0
ARROW FINL CORP                   COM   042744102         823      33,737  SH     DEFINED     09      33,737           0           0

ARTESIAN RESOURCES CORP           COM   043113208         205      10,903  SH     DEFINED     01       1,591       9,312           0
ARTESIAN RESOURCES CORP           COM   043113208       1,247      66,374  SH     DEFINED  01,08      11,477      54,897           0
ARTESIAN RESOURCES CORP           COM   043113208         243      12,944  SH     DEFINED     09      12,944           0           0

ARTHROCARE CORP                   COM   043136100         828      30,850  SH     DEFINED     01       4,134      26,716           0
ARTHROCARE CORP                   COM   043136100       7,021     261,508  SH     DEFINED  01,08      39,469     222,039           0
ARTHROCARE CORP                   COM   043136100       2,013      74,980  SH     DEFINED     09      74,980           0           0

ARTIO GLOBAL INVS INC             COM   04315B107         140      29,287  SH     DEFINED     01       8,255      21,032           0
ARTIO GLOBAL INVS INC             COM   04315B107       1,422     298,153  SH     DEFINED  01,08      39,845     258,308           0
ARTIO GLOBAL INVS INC             COM   04315B107         394      82,552  SH     DEFINED     09      82,552           0           0

ARUBA NETWORKS INC                COM   043176106       3,722     167,068  SH     DEFINED     01      28,725     138,343           0
ARUBA NETWORKS INC                COM   043176106          98       4,390  SH     OTHER       01       4,390           0           0
ARUBA NETWORKS INC                COM   043176106      20,543     922,060  SH     DEFINED  01,08     169,725     752,335           0
ARUBA NETWORKS INC                COM   043176106       5,889     264,325  SH     DEFINED     09     264,325           0           0

ASBURY AUTOMOTIVE GROUP INC       COM   043436104       1,284      47,563  SH     DEFINED     01      10,517      37,046           0
ASBURY AUTOMOTIVE GROUP INC       COM   043436104       8,000     296,284  SH     DEFINED  01,08      54,726     241,558           0
ASBURY AUTOMOTIVE GROUP INC       COM   043436104       2,108      78,079  SH     DEFINED     09      78,079           0           0

ASCENA RETAIL GROUP INC           COM   04351G101       5,063     114,232  SH     DEFINED     01      23,670      90,397         165
ASCENA RETAIL GROUP INC           COM   04351G101          79       1,775  SH     OTHER       01         175       1,600           0
ASCENA RETAIL GROUP INC           COM   04351G101      40,318     909,706  SH     DEFINED  01,08     202,048     707,658           0
ASCENA RETAIL GROUP INC           COM   04351G101      16,796     378,970  SH     DEFINED     09     378,970           0           0

ASCENT CAP GROUP INC              COM   043632108         797      16,845  SH     DEFINED     01       4,281      12,564           0
ASCENT CAP GROUP INC              COM   043632108           3          62  SH     OTHER       01           0          62           0
ASCENT CAP GROUP INC              COM   043632108       6,427     135,911  SH     DEFINED  01,08      19,046     116,865           0
ASCENT CAP GROUP INC              COM   043632108       2,039      43,126  SH     DEFINED     09      43,126           0           0

ASCENT SOLAR TECHNOLOGIES IN      COM   043635101           3       4,429  SH     DEFINED     01       4,000         429           0
ASCENT SOLAR TECHNOLOGIES IN      COM   043635101          22      35,495  SH     DEFINED  01,08       1,334      34,161           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     36
  ________

ASHFORD HOSPITALITY TR INC        COM   044103109         864      95,866  SH     DEFINED     01      16,810      79,056           0
ASHFORD HOSPITALITY TR INC        COM   044103109       5,932     658,386  SH     DEFINED  01,08     205,449     452,937           0
ASHFORD HOSPITALITY TR INC        COM   044103109       1,641     182,076  SH     DEFINED     09     182,076           0           0

ASHLAND INC NEW                   COM   044209104       2,507      41,053  SH     DEFINED     01      32,628       8,425           0
ASHLAND INC NEW                   COM   044209104         122       1,991  SH     OTHER       01       1,760          70         161
ASHLAND INC NEW                   COM   044209104      29,355     480,754  SH     DEFINED  01,08      35,869     444,885           0
ASHLAND INC NEW                   COM   044209104         380       6,218  SH     DEFINED     09       6,218           0           0

ASIAINFO-LINKAGE INC              COM   04518A104         523      41,513  SH     DEFINED     01         205      41,308           0
ASIAINFO-LINKAGE INC              COM   04518A104         623      49,474  SH     DEFINED  01,08      45,073       4,401           0

ASPEN TECHNOLOGY INC              COM   045327103       2,007      97,737  SH     DEFINED     01      26,033      71,389         315
ASPEN TECHNOLOGY INC              COM   045327103           7         345  SH     OTHER       01         345           0           0
ASPEN TECHNOLOGY INC              COM   045327103      16,771     816,892  SH     DEFINED  01,08     114,641     702,251           0
ASPEN TECHNOLOGY INC              COM   045327103       5,034     245,181  SH     DEFINED     09     245,181           0           0

ASSET ACCEP CAP CORP              COM   04543P100          44       9,357  SH     DEFINED     01       1,000       8,357           0
ASSET ACCEP CAP CORP              COM   04543P100         176      37,151  SH     DEFINED  01,08      10,563      26,588           0

ASSISTED LIVING CONCPT NEV N      COM   04544X300       1,597      96,158  SH     DEFINED     01      58,867      34,356       2,935
ASSISTED LIVING CONCPT NEV N      COM   04544X300         103       6,175  SH     OTHER       01           0       5,870         305
ASSISTED LIVING CONCPT NEV N      COM   04544X300       3,452     207,851  SH     DEFINED  01,08      47,116     160,735           0
ASSISTED LIVING CONCPT NEV N      COM   04544X300         925      55,676  SH     DEFINED     09      55,676           0           0

ASSOCIATED BANC CORP              COM   045487105         892      63,896  SH     DEFINED     01      42,447      21,449           0
ASSOCIATED BANC CORP              COM   045487105          15       1,075  SH     OTHER       01           0         985          90
ASSOCIATED BANC CORP              COM   045487105      14,710   1,053,698  SH     DEFINED  01,08      53,526   1,000,173           0

ASSOCIATED ESTATES RLTY CORP      COM   045604105         774      47,370  SH     DEFINED     01      10,984      36,386           0
ASSOCIATED ESTATES RLTY CORP      COM   045604105       7,611     465,819  SH     DEFINED  01,08     123,272     342,547           0
ASSOCIATED ESTATES RLTY CORP      COM   045604105       2,318     141,874  SH     DEFINED     09     141,874           0           0

ASSURANT INC                      COM   04621X108       5,404     133,437  SH     DEFINED     01      82,378      50,646         413
ASSURANT INC                      COM   04621X108          77       1,899  SH     OTHER       01       1,741          68          90
ASSURANT INC                      COM   04621X108      27,532     679,812  SH     DEFINED  01,08     172,214     507,598           0
ASSURANT INC                      COM   04621X108       9,030     222,968  SH     DEFINED     09     222,968           0           0

ASTA FDG INC                      COM   046220109         133      16,249  SH     DEFINED     01      10,171       5,753         325
ASTA FDG INC                      COM   046220109           3         350  SH     OTHER       01         350           0           0
ASTA FDG INC                      COM   046220109         240      29,362  SH     DEFINED  01,08       4,345      25,017           0

ASTEC INDS INC                    COM   046224101       1,244      34,091  SH     DEFINED     01       9,630      24,461           0
ASTEC INDS INC                    COM   046224101       7,272     199,346  SH     DEFINED  01,08      38,825     160,521           0
ASTEC INDS INC                    COM   046224101       2,071      56,761  SH     DEFINED     09      56,761           0           0

ASTEX PHARMACEUTICALS INC         COM   04624B103          94      50,611  SH     DEFINED     01       6,515      44,096           0
ASTEX PHARMACEUTICALS INC         COM   04624B103       1,123     603,897  SH     DEFINED  01,08      70,907     532,990           0
ASTEX PHARMACEUTICALS INC         COM   04624B103         392     210,753  SH     DEFINED     09     210,753           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     37
  ________

ASTORIA FINL CORP                 COM   046265104       3,985     404,119  SH     DEFINED     01      55,710     348,409           0
ASTORIA FINL CORP                 COM   046265104         209      21,245  SH     OTHER       01           0      21,245           0
ASTORIA FINL CORP                 COM   046265104      13,429   1,361,943  SH     DEFINED  01,08     413,130     948,813           0
ASTORIA FINL CORP                 COM   046265104       2,385     241,886  SH     DEFINED     09     241,886           0           0

ASTRAZENECA PLC                   COM   046353108      13,567     304,940  SH     DEFINED     01     255,322      48,639         979
ASTRAZENECA PLC                   COM   046353108       1,666      37,438  SH     OTHER       01      20,345      15,743       1,350
ASTRAZENECA PLC                   COM   046353108       4,488     100,866  SH     DEFINED  01,08     100,866           0           0

ASTRO-MED INC NEW                 COM   04638F108          46       5,426  SH     DEFINED     01           0       5,426           0
ASTRO-MED INC NEW                 COM   04638F108         111      13,165  SH     DEFINED  01,08       5,895       7,270           0

ASTRONICS CORP                    COM   046433108         712      20,376  SH     DEFINED     01       8,134      12,127         115
ASTRONICS CORP                    COM   046433108           4         125  SH     OTHER       01         125           0           0
ASTRONICS CORP                    COM   046433108       3,643     104,207  SH     DEFINED  01,08      19,800      84,407           0
ASTRONICS CORP                    COM   046433108       1,062      30,364  SH     DEFINED     09      30,364           0           0

ASTROTECH CORP                    COM   046484101           1         777  SH     DEFINED     01           0         777           0
ASTROTECH CORP                    COM   046484101          11      12,797  SH     DEFINED  01,08         537      12,260           0

ATHENAHEALTH INC                  COM   04685W103       6,720      90,668  SH     DEFINED     01      41,735      47,518       1,415
ATHENAHEALTH INC                  COM   04685W103         545       7,358  SH     OTHER       01       4,785       2,473         100
ATHENAHEALTH INC                  COM   04685W103      25,317     341,573  SH     DEFINED  01,08      57,565     284,008           0
ATHENAHEALTH INC                  COM   04685W103       7,616     102,750  SH     DEFINED     09     102,750           0           0

ATHERSYS INC                      COM   04744L106          33      21,228  SH     DEFINED  01,08           0      21,228           0

ATLANTIC AMERN CORP               COM   048209100          53      18,422  SH     DEFINED     01           0      18,422           0
ATLANTIC AMERN CORP               COM   048209100         132      45,664  SH     DEFINED  01,08      22,430      23,234           0

ATLANTIC PWR CORP                 COM   04878Q863       1,048      75,733  SH     DEFINED     01      20,641      53,092       2,000
ATLANTIC PWR CORP                 COM   04878Q863      11,871     857,754  SH     DEFINED  01,08     108,707     749,047           0
ATLANTIC PWR CORP                 COM   04878Q863       4,560     329,490  SH     DEFINED     09     329,490           0           0

ATLANTIC TELE NETWORK INC         COM   049079205         532      14,621  SH     DEFINED     01       4,442      10,179           0
ATLANTIC TELE NETWORK INC         COM   049079205       3,425      94,193  SH     DEFINED  01,08      17,337      76,856           0
ATLANTIC TELE NETWORK INC         COM   049079205         948      26,072  SH     DEFINED     09      26,072           0           0

ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205       6,330     128,625  SH     DEFINED     01      35,814      91,851         960
ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205         397       8,070  SH     OTHER       01       3,925       4,000         145
ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205      15,658     318,190  SH     DEFINED  01,08     106,977     211,213           0
ATLAS AIR WORLDWIDE HLDGS IN      COM   049164205       3,767      76,548  SH     DEFINED     09      76,548           0           0

ATLAS ENERGY LP                   COM   04930A104         207       6,261  SH     DEFINED     01       1,269       4,992           0
ATLAS ENERGY LP                   COM   04930A104          66       2,000  SH     OTHER       01           0       2,000           0
ATLAS ENERGY LP                   COM   04930A104         175       5,292  SH     DEFINED  01,08       5,292           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     38
  ________

ATMEL CORP                        COM   049513104       1,686     170,899  SH     DEFINED     01     121,751      49,148           0
ATMEL CORP                        COM   049513104         357      36,215  SH     OTHER       01           0      36,165          50
ATMEL CORP                        COM   049513104      27,461   2,783,703  SH     DEFINED  01,08     139,792   2,643,911           0

ATMOS ENERGY CORP                 COM   049560105       1,300      41,319  SH     DEFINED     01      26,936      14,193         190
ATMOS ENERGY CORP                 COM   049560105         135       4,300  SH     OTHER       01       4,300           0           0
ATMOS ENERGY CORP                 COM   049560105      17,798     565,749  SH     DEFINED  01,08      36,890     528,859           0

ATRICURE INC                      COM   04963C209         136      13,649  SH     DEFINED     01       2,692      10,957           0
ATRICURE INC                      COM   04963C209       1,246     125,197  SH     DEFINED  01,08      15,990     109,207           0
ATRICURE INC                      COM   04963C209         366      36,826  SH     DEFINED     09      36,826           0           0

ATRION CORP                       COM   049904105         643       3,061  SH     DEFINED     01         388       2,673           0
ATRION CORP                       COM   049904105       3,445      16,388  SH     DEFINED  01,08       3,538      12,850           0
ATRION CORP                       COM   049904105         975       4,640  SH     DEFINED     09       4,640           0           0

ATWOOD OCEANICS INC               COM   050095108       1,091      24,306  SH     DEFINED     01      14,352       9,954           0
ATWOOD OCEANICS INC               COM   050095108           2          45  SH     OTHER       01           0           0          45
ATWOOD OCEANICS INC               COM   050095108      16,048     357,507  SH     DEFINED  01,08      25,024     332,483           0

AUTHENTEC INC                     COM   052660107           6       2,053  SH     DEFINED     01         680       1,373           0
AUTHENTEC INC                     COM   052660107         166      52,446  SH     DEFINED  01,08       1,469      50,977           0

AUTHENTIDATE HLDG CORP            COM   052666104          10      13,031  SH     DEFINED     01           0      13,031           0
AUTHENTIDATE HLDG CORP            COM   052666104          59      80,164  SH     DEFINED  01,08       6,244      73,920           0

AUTOBYTEL INC                     COM   05275N106          18      18,586  SH     DEFINED     01           0      18,586           0
AUTOBYTEL INC                     COM   05275N106          62      63,585  SH     DEFINED  01,08      12,448      51,137           0

AUTODESK INC                      COM   052769106      82,471   1,948,750  SH     DEFINED     01   1,706,454     213,367      28,929
AUTODESK INC                      COM   052769106       9,939     234,849  SH     OTHER       01     200,875      26,082       7,892
AUTODESK INC                      COM   052769106      71,779   1,696,101  SH     DEFINED  01,08     405,716   1,290,385           0
AUTODESK INC                      COM   052769106      23,243     549,227  SH     DEFINED     09     549,227           0           0

AUTOLIV INC                       COM   052800109       1,423      21,223  SH     DEFINED     01      20,584         639           0
AUTOLIV INC                       COM   052800109          95       1,423  SH     OTHER       01         758         665           0
AUTOLIV INC                       COM   052800109      12,444     185,588  SH     DEFINED  01,08      39,714     145,874           0
AUTOLIV INC                       COM   052800109       8,149     121,535  SH     DEFINED     09     121,535           0           0

AUTOMATIC DATA PROCESSING IN      COM   053015103     140,406   2,544,055  SH     DEFINED     01   1,985,173     420,295     138,587
AUTOMATIC DATA PROCESSING IN      COM   053015103      34,045     616,866  SH     OTHER       01     443,714     123,003      50,149
AUTOMATIC DATA PROCESSING IN      COM   053015103     202,904   3,676,471  SH     DEFINED  01,08     868,857   2,807,614           0
AUTOMATIC DATA PROCESSING IN      COM   053015103      67,925   1,230,749  SH     DEFINED     09   1,230,749           0           0

AUTONATION INC                    COM   05329W102       2,394      69,766  SH     DEFINED     01      43,972      25,474         320
AUTONATION INC                    COM   05329W102          82       2,400  SH     OTHER       01       1,606         789           5
AUTONATION INC                    COM   05329W102      10,801     314,805  SH     DEFINED  01,08      81,239     233,566           0
AUTONATION INC                    COM   05329W102       2,113      61,582  SH     DEFINED     09      61,582           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     39
  ________

AUTOZONE INC                      COM   053332102      14,618      39,316  SH     DEFINED     01      24,195      14,884         237
AUTOZONE INC                      COM   053332102         266         715  SH     OTHER       01         515         154          46
AUTOZONE INC                      COM   053332102      73,662     198,122  SH     DEFINED  01,08      45,703     152,419           0
AUTOZONE INC                      COM   053332102      24,447      65,753  SH     DEFINED     09      65,753           0           0

AUXILIUM PHARMACEUTICALS INC      COM   05334D107       1,068      57,529  SH     DEFINED     01      15,176      42,353           0
AUXILIUM PHARMACEUTICALS INC      COM   05334D107       8,404     452,576  SH     DEFINED  01,08      64,118     388,458           0
AUXILIUM PHARMACEUTICALS INC      COM   05334D107       2,610     140,539  SH     DEFINED     09     140,539           0           0

AVANIR PHARMACEUTICALS INC        COM   05348P401         468     136,915  SH     DEFINED     01      21,436     115,479           0
AVANIR PHARMACEUTICALS INC        COM   05348P401       4,237   1,238,771  SH     DEFINED  01,08     166,323   1,072,448           0
AVANIR PHARMACEUTICALS INC        COM   05348P401       1,226     358,391  SH     DEFINED     09     358,391           0           0

AVALONBAY CMNTYS INC              COM   053484101      17,118     121,106  SH     DEFINED     01      70,493      50,143         470
AVALONBAY CMNTYS INC              COM   053484101       3,174      22,457  SH     OTHER       01      19,432         995       2,030
AVALONBAY CMNTYS INC              COM   053484101     117,669     832,462  SH     DEFINED  01,08     301,937     530,525           0
AVALONBAY CMNTYS INC              COM   053484101      38,358     271,369  SH     DEFINED     09     271,369           0           0

AVEO PHARMACEUTICALS INC          COM   053588109         353      28,426  SH     DEFINED     01       3,801      24,625           0
AVEO PHARMACEUTICALS INC          COM   053588109       3,817     307,552  SH     DEFINED  01,08      36,434     271,118           0
AVEO PHARMACEUTICALS INC          COM   053588109       1,147      92,455  SH     DEFINED     09      92,455           0           0

AVERY DENNISON CORP               COM   053611109       5,549     184,167  SH     DEFINED     01      80,157     103,683         327
AVERY DENNISON CORP               COM   053611109         481      15,968  SH     OTHER       01       4,031      11,807         130
AVERY DENNISON CORP               COM   053611109      25,322     840,411  SH     DEFINED  01,08     244,784     595,627           0
AVERY DENNISON CORP               COM   053611109       6,854     227,477  SH     DEFINED     09     227,477           0           0

AVIAT NETWORKS INC                COM   05366Y102         298     105,629  SH     DEFINED     01      17,047      88,582           0
AVIAT NETWORKS INC                COM   05366Y102       1,732     614,153  SH     DEFINED  01,08     124,585     489,568           0
AVIAT NETWORKS INC                COM   05366Y102         513     181,770  SH     DEFINED     09     181,770           0           0

AVID TECHNOLOGY INC               COM   05367P100         557      50,644  SH     DEFINED     01      16,293      34,351           0
AVID TECHNOLOGY INC               COM   05367P100       3,342     303,812  SH     DEFINED  01,08      59,252     244,560           0
AVID TECHNOLOGY INC               COM   05367P100         923      83,896  SH     DEFINED     09      83,896           0           0

AVIS BUDGET GROUP                 COM   053774105       2,578     182,163  SH     DEFINED     01      96,291      85,872           0
AVIS BUDGET GROUP                 COM   053774105          81       5,692  SH     OTHER       01       3,682       2,010           0
AVIS BUDGET GROUP                 COM   053774105      13,724     969,922  SH     DEFINED  01,08     120,293     849,629           0
AVIS BUDGET GROUP                 COM   053774105       4,472     316,058  SH     DEFINED     09     316,058           0           0

AVISTA CORP                       COM   05379B107      10,522     411,318  SH     DEFINED     01      41,271     369,947         100
AVISTA CORP                       COM   05379B107      23,066     901,718  SH     DEFINED  01,08     432,655     469,063           0
AVISTA CORP                       COM   05379B107       4,263     166,653  SH     DEFINED     09     166,653           0           0

AVNET INC                         COM   053807103       3,448      94,765  SH     DEFINED     01      76,706      15,894       2,165
AVNET INC                         COM   053807103         980      26,930  SH     OTHER       01          60      26,645         225
AVNET INC                         COM   053807103      32,889     903,782  SH     DEFINED  01,08      62,350     841,432           0
AVNET INC                         COM   053807103       9,289     255,264  SH     DEFINED     09     255,264           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     40
  ________

AVIVA PLC                         COM   05382A104       8,017     754,877  SH     DEFINED     01     739,838      10,515       4,524
AVIVA PLC                         COM   05382A104         500      47,074  SH     OTHER       01      32,538      12,946       1,590
AVIVA PLC                         COM   05382A104       1,046      98,462  SH     DEFINED  01,08      98,462           0           0

AVON PRODS INC                    COM   054303102      17,531     905,515  SH     DEFINED     01     493,928     397,282      14,305
AVON PRODS INC                    COM   054303102       1,343      69,385  SH     OTHER       01      45,044      20,086       4,255
AVON PRODS INC                    COM   054303102      67,632   3,493,365  SH     DEFINED  01,08   1,038,603   2,454,762           0
AVON PRODS INC                    COM   054303102      20,135   1,040,026  SH     DEFINED     09   1,040,026           0           0

AWARE INC MASS                    COM   05453N100          62      15,957  SH     DEFINED     01           0      15,957           0
AWARE INC MASS                    COM   05453N100         116      29,867  SH     DEFINED  01,08      13,860      16,007           0

AXCELIS TECHNOLOGIES INC          COM   054540109         192     111,452  SH     DEFINED     01      25,038      86,414           0
AXCELIS TECHNOLOGIES INC          COM   054540109       1,718     999,091  SH     DEFINED  01,08     130,750     868,341           0
AXCELIS TECHNOLOGIES INC          COM   054540109         483     280,961  SH     DEFINED     09     280,961           0           0

BB&T CORP                         COM   054937107      27,341     871,003  SH     DEFINED     01     471,833     395,977       3,193
BB&T CORP                         COM   054937107       1,930      61,486  SH     OTHER       01      25,857      23,639      11,990
BB&T CORP                         COM   054937107     161,243   5,136,773  SH     DEFINED  01,08   1,203,859   3,932,914           0
BB&T CORP                         COM   054937107      53,200   1,694,815  SH     DEFINED     09   1,694,815           0           0

B & G FOODS INC NEW               COM   05508R106       7,942     352,802  SH     DEFINED     01      59,443     288,859       4,500
B & G FOODS INC NEW               COM   05508R106      14,612     649,145  SH     DEFINED  01,08     261,537     387,608           0
B & G FOODS INC NEW               COM   05508R106       2,996     133,100  SH     DEFINED     09     133,100           0           0

BCB BANCORP INC                   COM   055298103          44       4,427  SH     DEFINED     01           0       4,427           0
BCB BANCORP INC                   COM   055298103         125      12,529  SH     DEFINED  01,08       4,832       7,697           0

BCE INC                           COM   05534B760      33,751     842,499  SH     DEFINED     01     806,993      11,383      24,123
BCE INC                           COM   05534B760       3,809      95,086  SH     OTHER       01      87,794       5,292       2,000
BCE INC                           COM   05534B760       1,438      35,898  SH     DEFINED  01,08      35,898           0           0

BGC PARTNERS INC                  COM   05541T101         706      95,386  SH     DEFINED     01      42,382      53,004           0
BGC PARTNERS INC                  COM   05541T101       5,731     774,001  SH     DEFINED  01,08     149,190     624,811           0
BGC PARTNERS INC                  COM   05541T101       1,687     227,861  SH     DEFINED     09     227,861           0           0

BHP BILLITON PLC                  COM   05545E209      16,554     269,700  SH     DEFINED     01     258,970      10,165         565
BHP BILLITON PLC                  COM   05545E209       1,365      22,242  SH     OTHER       01      18,417       3,705         120
BHP BILLITON PLC                  COM   05545E209       5,522      89,959  SH     DEFINED  01,08      89,959           0           0

BOK FINL CORP                     COM   05561Q201         457       8,118  SH     DEFINED     01       4,971       3,147           0
BOK FINL CORP                     COM   05561Q201           1          15  SH     OTHER       01           0           0          15
BOK FINL CORP                     COM   05561Q201       5,028      89,340  SH     DEFINED  01,08      11,124      78,216           0

BP PLC                            COM   055622104      28,580     635,117  SH     DEFINED     01     580,251      39,949      14,917
BP PLC                            COM   055622104       9,536     211,903  SH     OTHER       01     105,166      86,727      20,010
BP PLC                            COM   055622104      12,044     267,654  SH     DEFINED  01,08     267,654           0           0

BP PRUDHOE BAY RTY TR             COM   055630107         450       3,600  SH     DEFINED     01       3,600           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     41
  ________

BPZ RESOURCES INC                 COM   055639108         402      99,875  SH     DEFINED     01      26,709      73,166           0
BPZ RESOURCES INC                 COM   055639108       3,912     970,648  SH     DEFINED  01,08     123,422     847,226           0
BPZ RESOURCES INC                 COM   055639108       1,210     300,256  SH     DEFINED     09     300,256           0           0

BRE PROPERTIES INC                COM   05564E106       1,020      20,172  SH     DEFINED     01      11,976       8,096         100
BRE PROPERTIES INC                COM   05564E106           2          40  SH     OTHER       01           0           0          40
BRE PROPERTIES INC                COM   05564E106      28,964     572,974  SH     DEFINED  01,08     136,706     436,268           0
BRE PROPERTIES INC                COM   05564E106       1,693      33,489  SH     DEFINED     09      33,489           0           0

BRT RLTY TR                       COM   055645303          54       7,699  SH     DEFINED     01           0       7,699           0
BRT RLTY TR                       COM   055645303         151      21,589  SH     DEFINED  01,08       7,081      14,508           0

BOFI HLDG INC                     COM   05566U108         117       6,859  SH     DEFINED     01       2,004       4,855           0
BOFI HLDG INC                     COM   05566U108       1,322      77,415  SH     DEFINED  01,08       8,747      68,668           0
BOFI HLDG INC                     COM   05566U108         566      33,154  SH     DEFINED     09      33,154           0           0

BSD MED CORP DEL                  COM   055662100          30      14,744  SH     DEFINED     01           0      14,744           0
BSD MED CORP DEL                  COM   055662100          91      44,291  SH     DEFINED  01,08      15,253      29,038           0

BT GROUP PLC                      COM   05577E101      10,899     301,399  SH     DEFINED     01     281,499      19,650         250
BT GROUP PLC                      COM   05577E101       1,253      34,653  SH     OTHER       01      29,603       5,050           0
BT GROUP PLC                      COM   05577E101       1,333      36,859  SH     DEFINED  01,08      36,859           0           0

BMC SOFTWARE INC                  COM   055921100       8,082     201,236  SH     DEFINED     01     110,444      90,259         533
BMC SOFTWARE INC                  COM   055921100         326       8,112  SH     OTHER       01       3,119       4,918          75
BMC SOFTWARE INC                  COM   055921100      49,540   1,233,559  SH     DEFINED  01,08     296,882     936,677           0
BMC SOFTWARE INC                  COM   055921100      16,012     398,698  SH     DEFINED     09     398,698           0           0

BTU INTL INC                      COM   056032105          28       8,995  SH     DEFINED     01           0       8,995           0
BTU INTL INC                      COM   056032105          49      15,970  SH     DEFINED  01,08       8,734       7,236           0

BABCOCK & WILCOX CO NEW           COM   05615F102       1,811      70,328  SH     DEFINED     01      48,590      21,738           0
BABCOCK & WILCOX CO NEW           COM   05615F102          54       2,097  SH     OTHER       01       1,367         730           0
BABCOCK & WILCOX CO NEW           COM   05615F102      10,478     406,911  SH     DEFINED  01,08      47,045     359,866           0
BABCOCK & WILCOX CO NEW           COM   05615F102         125       4,862  SH     DEFINED     09       4,862           0           0

BACTERIN INTL HLDGS INC           COM   05644R101          29      12,121  SH     DEFINED     01       2,610       9,511           0
BACTERIN INTL HLDGS INC           COM   05644R101         467     192,802  SH     DEFINED  01,08      21,401     171,401           0
BACTERIN INTL HLDGS INC           COM   05644R101         271     112,010  SH     DEFINED     09     112,010           0           0

BADGER METER INC                  COM   056525108       2,199      64,709  SH     DEFINED     01      46,073      18,636           0
BADGER METER INC                  COM   056525108          34       1,000  SH     OTHER       01       1,000           0           0
BADGER METER INC                  COM   056525108       5,217     153,497  SH     DEFINED  01,08      29,016     124,481           0
BADGER METER INC                  COM   056525108       1,564      46,009  SH     DEFINED     09      46,009           0           0

BAIDU INC                         COM   056752108      18,622     127,749  SH     DEFINED     01     117,057      10,468         224
BAIDU INC                         COM   056752108       1,736      11,907  SH     OTHER       01      10,215       1,692           0
BAIDU INC                         COM   056752108       3,742      25,671  SH     DEFINED  01,08      25,671           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     42
  ________

BAKER MICHAEL CORP                COM   057149106         346      14,527  SH     DEFINED     01       2,231      12,296           0
BAKER MICHAEL CORP                COM   057149106       2,018      84,628  SH     DEFINED  01,08      15,613      69,015           0
BAKER MICHAEL CORP                COM   057149106         539      22,580  SH     DEFINED     09      22,580           0           0

BAKER HUGHES INC                  COM   057224107      36,760     876,479  SH     DEFINED     01     532,153     331,883      12,443
BAKER HUGHES INC                  COM   057224107       6,897     164,456  SH     OTHER       01      67,795      83,654      13,007
BAKER HUGHES INC                  COM   057224107     135,886   3,240,008  SH     DEFINED  01,08     760,428   2,479,580           0
BAKER HUGHES INC                  COM   057224107      46,074   1,098,569  SH     DEFINED     09   1,098,569           0           0

BALCHEM CORP                      COM   057665200       2,900      95,883  SH     DEFINED     01      67,319      28,144         420
BALCHEM CORP                      COM   057665200          74       2,435  SH     OTHER       01       1,233         985         217
BALCHEM CORP                      COM   057665200       8,527     281,887  SH     DEFINED  01,08      46,454     235,433           0
BALCHEM CORP                      COM   057665200       2,487      82,230  SH     DEFINED     09      82,230           0           0

BALDWIN & LYONS INC               COM   057755209         442      19,755  SH     DEFINED     01       1,898      17,857           0
BALDWIN & LYONS INC               COM   057755209       2,057      91,926  SH     DEFINED  01,08      21,477      70,449           0
BALDWIN & LYONS INC               COM   057755209         514      22,987  SH     DEFINED     09      22,987           0           0

BALL CORP                         COM   058498106       9,308     217,076  SH     DEFINED     01     132,970      82,534       1,572
BALL CORP                         COM   058498106         264       6,147  SH     OTHER       01       5,506         571          70
BALL CORP                         COM   058498106      50,142   1,169,355  SH     DEFINED  01,08     270,229     899,126           0
BALL CORP                         COM   058498106      16,199     377,780  SH     DEFINED     09     377,780           0           0

BALLANTYNE STRONG INC             COM   058516105          22       4,221  SH     DEFINED     01           0       4,221           0
BALLANTYNE STRONG INC             COM   058516105         135      25,437  SH     DEFINED  01,08       3,198      22,239           0

BALLY TECHNOLOGIES INC            COM   05874B107         778      16,644  SH     DEFINED     01      12,520       4,124           0
BALLY TECHNOLOGIES INC            COM   05874B107           3          58  SH     OTHER       01           0           0          58
BALLY TECHNOLOGIES INC            COM   05874B107      12,732     272,334  SH     DEFINED  01,08      16,174     256,160           0

BANCFIRST CORP                    COM   05945F103       1,565      35,932  SH     DEFINED     01       1,757      34,175           0
BANCFIRST CORP                    COM   05945F103       4,072      93,491  SH     DEFINED  01,08      38,222      55,269           0
BANCFIRST CORP                    COM   05945F103         889      20,415  SH     DEFINED     09      20,415           0           0

BANCO BILBAO VIZCAYA ARGENTA      COM   05946K101       3,813     477,248  SH     DEFINED     01     462,265      14,983           0
BANCO BILBAO VIZCAYA ARGENTA      COM   05946K101         262      32,775  SH     OTHER       01      26,833       5,942           0
BANCO BILBAO VIZCAYA ARGENTA      COM   05946K101       2,818     352,655  SH     DEFINED  01,08     352,655           0           0

BANCO BRADESCO S A                COM   059460303       4,339     247,963  SH     DEFINED     01     239,277       8,514         172
BANCO BRADESCO S A                COM   059460303         113       6,438  SH     OTHER       01       2,098       4,340           0
BANCO BRADESCO S A                COM   059460303       3,170     181,130  SH     DEFINED  01,08     181,130           0           0

BANCO DE CHILE                    COM   059520106         739       7,782  SH     DEFINED     01       7,562         212           8
BANCO DE CHILE                    COM   059520106          23         242  SH     OTHER       01          55         187           0
BANCO DE CHILE                    COM   059520106         243       2,557  SH     DEFINED  01,08       2,557           0           0
BANCO DE CHILE                    COM   059520106         754       7,946  SH     DEFINED     09       7,946           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     43
  ________

BANCO MACRO SA                    COM   05961W105         110       5,630  SH     DEFINED     01       5,410         220           0
BANCO MACRO SA                    COM   05961W105          59       3,025  SH     OTHER       01           0       3,025           0
BANCO MACRO SA                    COM   05961W105          68       3,476  SH     DEFINED  01,08       3,476           0           0

BANCO SANTANDER SA                COM   05964H105      14,116   1,840,394  SH     DEFINED     01   1,536,797     298,439       5,158
BANCO SANTANDER SA                COM   05964H105       1,239     161,533  SH     OTHER       01     105,744      35,192      20,597
BANCO SANTANDER SA                COM   05964H105       5,057     659,261  SH     DEFINED  01,08     659,261           0           0

BANCO SANTANDER CHILE NEW         COM   05965X109         446       5,182  SH     DEFINED     01       4,968         214           0
BANCO SANTANDER CHILE NEW         COM   05965X109          15         179  SH     OTHER       01          50         129           0
BANCO SANTANDER CHILE NEW         COM   05965X109       1,221      14,185  SH     DEFINED  01,08      14,185           0           0
BANCO SANTANDER CHILE NEW         COM   05965X109       2,239      26,012  SH     DEFINED     09      26,012           0           0

BANCO SANTANDER BRASIL S A        COM   05967A107         103      11,272  SH     DEFINED     01       1,932       9,340           0
BANCO SANTANDER BRASIL S A        COM   05967A107           5         502  SH     OTHER       01           0         502           0
BANCO SANTANDER BRASIL S A        COM   05967A107       3,034     330,849  SH     DEFINED  01,08     330,849           0           0

BANCOLOMBIA S A                   COM   05968L102         677      10,463  SH     DEFINED     01      10,170         222          71
BANCOLOMBIA S A                   COM   05968L102          28         428  SH     OTHER       01         165         263           0
BANCOLOMBIA S A                   COM   05968L102       1,479      22,877  SH     DEFINED  01,08      22,877           0           0
BANCOLOMBIA S A                   COM   05968L102       1,084      16,760  SH     DEFINED     09      16,760           0           0

BANCORP INC DEL                   COM   05969A105         364      36,210  SH     DEFINED     01      14,805      21,405           0
BANCORP INC DEL                   COM   05969A105       2,874     286,216  SH     DEFINED  01,08      44,910     241,306           0
BANCORP INC DEL                   COM   05969A105         852      84,898  SH     DEFINED     09      84,898           0           0

BANCORPSOUTH INC                  COM   059692103       4,210     312,537  SH     DEFINED     01      27,061     285,476           0
BANCORPSOUTH INC                  COM   059692103      17,588   1,305,726  SH     DEFINED  01,08     331,928     973,798           0
BANCORPSOUTH INC                  COM   059692103       3,770     279,918  SH     DEFINED     09     279,918           0           0

BANCTRUST FINANCIAL GP            COM   05978R107           7       4,851  SH     DEFINED     01           0       4,851           0
BANCTRUST FINANCIAL GP            COM   05978R107          39      26,645  SH     DEFINED  01,08       4,128      22,517           0

BANK OF AMERICA CORPORATION       COM   060505104     118,058  12,336,260  SH     DEFINED     01   6,666,583   5,565,870     103,807
BANK OF AMERICA CORPORATION       COM   060505104       5,871     613,476  SH     OTHER       01     402,653     113,941      96,882
BANK OF AMERICA CORPORATION       COM   060505104     750,748  78,448,104  SH     DEFINED  01,08  19,203,909  59,244,195           0
BANK OF AMERICA CORPORATION       COM   060505104     251,460  26,275,884  SH     DEFINED     09  26,275,884           0           0

BANK OF AMERICA CORPORATION    CONV PFD 060505682       3,512       3,588         DEFINED     01         488       3,100           0
BANK OF AMERICA CORPORATION    CONV PFD 060505682       3,035       3,100         DEFINED  01,08       3,100           0           0
BANK OF AMERICA CORPORATION    CONV PFD 060505682       5,572       5,692         DEFINED     09       5,692           0           0

BANK HAWAII CORP                  COM   062540109       1,099      22,737  SH     DEFINED     01      15,234       7,403         100
BANK HAWAII CORP                  COM   062540109         143       2,953  SH     OTHER       01       2,953           0           0
BANK HAWAII CORP                  COM   062540109      15,633     323,340  SH     DEFINED  01,08      57,083     266,257           0

BANK KY FINL CORP                 COM   062896105          89       3,466  SH     DEFINED     01       1,118       2,348           0
BANK KY FINL CORP                 COM   062896105       1,274      49,531  SH     DEFINED  01,08       5,878      43,653           0
BANK KY FINL CORP                 COM   062896105         416      16,184  SH     DEFINED     09      16,184           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     44
  ________

BANK OF MARIN BANCORP             COM   063425102         210       5,532  SH     DEFINED     01       1,269       4,263           0
BANK OF MARIN BANCORP             COM   063425102       1,899      49,954  SH     DEFINED  01,08       7,975      41,979           0
BANK OF MARIN BANCORP             COM   063425102         759      19,980  SH     DEFINED     09      19,980           0           0

BANK MONTREAL QUE                 COM   063671101       5,279      88,836  SH     DEFINED     01      87,124       1,645          67
BANK MONTREAL QUE                 COM   063671101         204       3,434  SH     OTHER       01       2,595         812          27
BANK MONTREAL QUE                 COM   063671101       2,197      36,974  SH     DEFINED  01,08      36,974           0           0

BANK MUTUAL CORP NEW              COM   063750103         419     103,668  SH     DEFINED     01      43,215      60,453           0
BANK MUTUAL CORP NEW              COM   063750103       1,879     465,023  SH     DEFINED  01,08      96,634     368,389           0
BANK MUTUAL CORP NEW              COM   063750103         660     163,272  SH     DEFINED     09     163,272           0           0

BANK OF THE OZARKS INC            COM   063904106       3,844     122,962  SH     DEFINED     01      35,130      87,092         740
BANK OF THE OZARKS INC            COM   063904106          17         540  SH     OTHER       01         540           0           0
BANK OF THE OZARKS INC            COM   063904106      10,730     343,262  SH     DEFINED  01,08     111,355     231,907           0
BANK OF THE OZARKS INC            COM   063904106       2,571      82,260  SH     DEFINED     09      82,260           0           0

BANK OF NEW YORK MELLON CORP      COM   064058100      59,290   2,457,097  SH     DEFINED     01   1,683,300     753,674      20,123
BANK OF NEW YORK MELLON CORP      COM   064058100       4,934     204,459  SH     OTHER       01      97,127     105,902       1,430
BANK OF NEW YORK MELLON CORP      COM   064058100     218,437   9,052,492  SH     DEFINED  01,08   2,199,373   6,853,119           0
BANK OF NEW YORK MELLON CORP      COM   064058100      69,944   2,898,646  SH     DEFINED     09   2,898,646           0           0

BANK NOVA SCOTIA HALIFAX          COM   064149107      43,770     781,057  SH     DEFINED     01     750,269       9,640      21,148
BANK NOVA SCOTIA HALIFAX          COM   064149107       4,027      71,853  SH     OTHER       01      63,679       6,574       1,600
BANK NOVA SCOTIA HALIFAX          COM   064149107       2,828      50,458  SH     DEFINED  01,08      50,458           0           0

BANK SOUTH CAROLINA CORP          COM   065066102          35       3,160  SH     DEFINED     01           0       3,160           0
BANK SOUTH CAROLINA CORP          COM   065066102         119      10,703  SH     DEFINED  01,08       4,148       6,555           0

BANKATLANTIC BANCORP              COM   065908808          15       3,616  SH     DEFINED     01         100       3,516           0
BANKATLANTIC BANCORP              COM   065908808          83      20,262  SH     DEFINED  01,08         666      19,596           0

BANKFINANCIAL CORP                COM   06643P104         559      84,416  SH     DEFINED     01       9,408      75,008           0
BANKFINANCIAL CORP                COM   06643P104       1,655     249,995  SH     DEFINED  01,08      95,467     154,528           0
BANKFINANCIAL CORP                COM   06643P104         474      71,667  SH     DEFINED     09      71,667           0           0

BANKRATE INC DEL                  COM   06647F102         522      21,108  SH     DEFINED     01       3,091      17,062         955
BANKRATE INC DEL                  COM   06647F102       5,797     234,228  SH     DEFINED  01,08      19,820     214,408           0
BANKRATE INC DEL                  COM   06647F102       1,630      65,844  SH     DEFINED     09      65,844           0           0

BANKUNITED INC                    COM   06652K103         146       5,843  SH     DEFINED     01       2,435       3,408           0
BANKUNITED INC                    COM   06652K103       2,917     116,696  SH     DEFINED  01,08       9,417     107,279           0

BANNER CORP                       COM   06652V208         295      13,385  SH     DEFINED     01       3,895       9,490           0
BANNER CORP                       COM   06652V208       3,457     156,918  SH     DEFINED  01,08      18,997     137,921           0
BANNER CORP                       COM   06652V208       1,027      46,626  SH     DEFINED     09      46,626           0           0

BAR HBR BANKSHARES                COM   066849100         150       4,515  SH     DEFINED     01          65       4,450           0
BAR HBR BANKSHARES                COM   066849100         379      11,400  SH     DEFINED  01,08       4,908       6,492           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     45
  ________

BARCLAYS BK PLC                   COM   06738C778         293       6,925  SH     DEFINED     01       6,875           0          50
BARCLAYS BK PLC                   COM   06738C778         121       2,870  SH     OTHER       01       2,870           0           0

BARCLAYS PLC                      COM   06738E204      15,592   1,029,178  SH     DEFINED     01     993,445      32,903       2,830
BARCLAYS PLC                      COM   06738E204       1,187      78,340  SH     OTHER       01      33,166      38,659       6,515
BARCLAYS PLC                      COM   06738E204       2,543     167,884  SH     DEFINED  01,08     167,884           0           0

BARD C R INC                      COM   067383109      15,738     159,425  SH     DEFINED     01      94,758      63,689         978
BARD C R INC                      COM   067383109       1,204      12,199  SH     OTHER       01       5,871       1,318       5,010
BARD C R INC                      COM   067383109      63,027     638,445  SH     DEFINED  01,08     156,510     481,935           0
BARD C R INC                      COM   067383109      20,193     204,545  SH     DEFINED     09     204,545           0           0

BARCLAYS BK PLC                   COM   06739F291         125       2,220  SH     DEFINED     01       2,220           0           0
BARCLAYS BK PLC                   COM   06739F291         177       3,130  SH     OTHER       01       3,130           0           0

BARCLAYS BANK PLC                 COM   06739H305         287       6,050  SH     DEFINED     01       6,050           0           0

BARNES & NOBLE INC                COM   067774109         453      34,153  SH     DEFINED     01       8,310      25,843           0
BARNES & NOBLE INC                COM   067774109         146      11,000  SH     OTHER       01       2,000       9,000           0
BARNES & NOBLE INC                COM   067774109       5,279     398,437  SH     DEFINED  01,08      35,675     362,762           0
BARNES & NOBLE INC                COM   067774109       1,259      94,999  SH     DEFINED     09      94,999           0           0

BARNES GROUP INC                  COM   067806109       7,937     301,687  SH     DEFINED     01      24,885     276,802           0
BARNES GROUP INC                  COM   067806109           5         200  SH     OTHER       01         200           0           0
BARNES GROUP INC                  COM   067806109      19,724     749,685  SH     DEFINED  01,08     317,369     432,316           0
BARNES GROUP INC                  COM   067806109       4,099     155,785  SH     DEFINED     09     155,785           0           0

BARRICK GOLD CORP                 COM   067901108      10,856     249,672  SH     DEFINED     01     130,791     117,938         943
BARRICK GOLD CORP                 COM   067901108       3,485      80,142  SH     OTHER       01      27,211      40,458      12,473
BARRICK GOLD CORP                 COM   067901108       3,179      73,118  SH     DEFINED  01,08      73,118           0           0

BARNWELL INDS INC                 COM   068221100          22       6,618  SH     DEFINED     01           0       6,618           0
BARNWELL INDS INC                 COM   068221100          54      16,225  SH     DEFINED  01,08       6,533       9,692           0

BARRETT BILL CORP                 COM   06846N104       5,963     229,239  SH     DEFINED     01      17,751     211,488           0
BARRETT BILL CORP                 COM   06846N104          24         925  SH     OTHER       01           0         925           0
BARRETT BILL CORP                 COM   06846N104      19,314     742,579  SH     DEFINED  01,08     232,652     509,927           0
BARRETT BILL CORP                 COM   06846N104       3,500     134,551  SH     DEFINED     09     134,551           0           0

BARRETT BUSINESS SERVICES IN      COM   068463108         833      41,993  SH     DEFINED     01       1,637      40,356           0
BARRETT BUSINESS SERVICES IN      COM   068463108       2,022     101,970  SH     DEFINED  01,08      42,152      59,818           0
BARRETT BUSINESS SERVICES IN      COM   068463108         490      24,714  SH     DEFINED     09      24,714           0           0

BARRY R G CORP OHIO               COM   068798107         304      24,954  SH     DEFINED     01      16,804       7,674         476
BARRY R G CORP OHIO               COM   068798107           6         515  SH     OTHER       01         515           0           0
BARRY R G CORP OHIO               COM   068798107         972      79,675  SH     DEFINED  01,08      10,851      68,824           0
BARRY R G CORP OHIO               COM   068798107         243      19,915  SH     DEFINED     09      19,915           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     46
  ________

BASIC ENERGY SVCS INC NEW         COM   06985P100         769      44,349  SH     DEFINED     01      12,802      31,547           0
BASIC ENERGY SVCS INC NEW         COM   06985P100       4,384     252,680  SH     DEFINED  01,08      49,086     203,594           0
BASIC ENERGY SVCS INC NEW         COM   06985P100       1,338      77,091  SH     DEFINED     09      77,091           0           0

BASSETT FURNITURE INDS INC        COM   070203104          61       6,604  SH     DEFINED     01           0       6,604           0
BASSETT FURNITURE INDS INC        COM   070203104         159      17,333  SH     DEFINED  01,08       4,772      12,561           0

BAXTER INTL INC                   COM   071813109      90,676   1,516,832  SH     DEFINED     01   1,099,833     379,270      37,729
BAXTER INTL INC                   COM   071813109      19,055     318,752  SH     OTHER       01     182,059     116,797      19,896
BAXTER INTL INC                   COM   071813109     254,096   4,250,524  SH     DEFINED  01,08   1,037,418   3,213,106           0
BAXTER INTL INC                   COM   071813109      82,292   1,376,577  SH     DEFINED     09   1,376,577           0           0

BAYTEX ENERGY CORP                COM   07317Q105       4,450      85,815  SH     DEFINED     01      84,980         190         645
BAYTEX ENERGY CORP                COM   07317Q105         526      10,134  SH     OTHER       01       8,789         985         360

BAZAARVOICE INC                   COM   073271108         432      21,731  SH     DEFINED  01,08       8,337      13,394           0
BAZAARVOICE INC                   COM   073271108         641      32,253  SH     DEFINED     09      32,253           0           0

BBCN BANCORP INC                  COM   073295107       1,084      97,387  SH     DEFINED     01      38,798      58,589           0
BBCN BANCORP INC                  COM   073295107       7,879     707,940  SH     DEFINED  01,08     115,868     592,072           0
BBCN BANCORP INC                  COM   073295107       2,401     215,765  SH     DEFINED     09     215,765           0           0

BE AEROSPACE INC                  COM   073302101       4,728     101,745  SH     DEFINED     01      91,337       9,437         971
BE AEROSPACE INC                  COM   073302101         365       7,850  SH     OTHER       01       7,391         384          75
BE AEROSPACE INC                  COM   073302101      29,442     633,567  SH     DEFINED  01,08      46,135     587,432           0

BEACON FED BANCORP INC            COM   073582108          80       5,600  SH     DEFINED     01           0       5,600           0
BEACON FED BANCORP INC            COM   073582108         128       8,999  SH     DEFINED  01,08       5,221       3,778           0

BEACON ROOFING SUPPLY INC         COM   073685109       4,324     167,841  SH     DEFINED     01      99,578      64,113       4,150
BEACON ROOFING SUPPLY INC         COM   073685109         356      13,819  SH     OTHER       01       5,705       7,824         290
BEACON ROOFING SUPPLY INC         COM   073685109      11,392     442,240  SH     DEFINED  01,08      65,596     376,644           0
BEACON ROOFING SUPPLY INC         COM   073685109       3,433     133,283  SH     DEFINED     09     133,283           0           0

BEAM INC                          COM   073730103      22,336     381,362  SH     DEFINED     01     287,169      91,798       2,395
BEAM INC                          COM   073730103       3,187      54,415  SH     OTHER       01      32,936      19,754       1,725
BEAM INC                          COM   073730103      64,969   1,109,258  SH     DEFINED  01,08     246,094     863,164           0
BEAM INC                          COM   073730103      21,644     369,546  SH     DEFINED     09     369,546           0           0

BEASLEY BROADCAST GROUP INC       COM   074014101          13       2,980  SH     DEFINED     01           0       2,980           0
BEASLEY BROADCAST GROUP INC       COM   074014101          49      11,313  SH     DEFINED  01,08       2,987       8,326           0

BEAZER HOMES USA INC              COM   07556Q105         360     110,916  SH     DEFINED     01      21,351      89,565           0
BEAZER HOMES USA INC              COM   07556Q105       2,443     751,778  SH     DEFINED  01,08     130,769     621,009           0
BEAZER HOMES USA INC              COM   07556Q105         739     227,405  SH     DEFINED     09     227,405           0           0

BEBE STORES INC                   COM   075571109         339      36,775  SH     DEFINED     01       9,104      27,671           0
BEBE STORES INC                   COM   075571109       3,413     369,759  SH     DEFINED  01,08      48,383     321,376           0
BEBE STORES INC                   COM   075571109         829      89,844  SH     DEFINED     09      89,844           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     47
  ________

BECTON DICKINSON & CO             COM   075887109      36,146     465,495  SH     DEFINED     01     340,841     112,161      12,493
BECTON DICKINSON & CO             COM   075887109       6,127      78,899  SH     OTHER       01      48,481      19,732      10,686
BECTON DICKINSON & CO             COM   075887109     121,576   1,565,697  SH     DEFINED  01,08     356,504   1,209,193           0
BECTON DICKINSON & CO             COM   075887109      40,359     519,757  SH     DEFINED     09     519,757           0           0

BED BATH & BEYOND INC             COM   075896100      29,100     442,452  SH     DEFINED     01     299,067     140,104       3,281
BED BATH & BEYOND INC             COM   075896100       2,028      30,835  SH     OTHER       01      12,893      15,702       2,240
BED BATH & BEYOND INC             COM   075896100     120,021   1,824,861  SH     DEFINED  01,08     452,029   1,372,832           0
BED BATH & BEYOND INC             COM   075896100      39,041     593,594  SH     DEFINED     09     593,594           0           0

BEL FUSE INC                      COM   077347300       1,619      91,620  SH     DEFINED     01       4,166      87,454           0
BEL FUSE INC                      COM   077347300       3,338     188,900  SH     DEFINED  01,08     102,222      86,678           0
BEL FUSE INC                      COM   077347300         490      27,710  SH     DEFINED     09      27,710           0           0

BELDEN INC                        COM   077454106       3,461      91,301  SH     DEFINED     01      41,496      49,110         695
BELDEN INC                        COM   077454106          19         500  SH     OTHER       01         500           0           0
BELDEN INC                        COM   077454106      17,912     472,488  SH     DEFINED  01,08      88,156     384,332           0
BELDEN INC                        COM   077454106       5,166     136,259  SH     DEFINED     09     136,259           0           0

BELO CORP                         COM   080555105         713      99,471  SH     DEFINED     01      27,844      69,222       2,405
BELO CORP                         COM   080555105       6,342     884,479  SH     DEFINED  01,08     129,177     755,302           0
BELO CORP                         COM   080555105       1,865     260,135  SH     DEFINED     09     260,135           0           0

BEMIS INC                         COM   081437105       4,020     124,490  SH     DEFINED     01      66,154      53,401       4,935
BEMIS INC                         COM   081437105         281       8,707  SH     OTHER       01       6,616       2,061          30
BEMIS INC                         COM   081437105      24,519     759,324  SH     DEFINED  01,08     183,196     576,128           0
BEMIS INC                         COM   081437105       3,432     106,274  SH     DEFINED     09     106,274           0           0

BENCHMARK ELECTRS INC             COM   08160H101       5,466     331,454  SH     DEFINED     01      29,498     301,956           0
BENCHMARK ELECTRS INC             COM   08160H101      13,890     842,300  SH     DEFINED  01,08     351,409     490,891           0
BENCHMARK ELECTRS INC             COM   08160H101       3,054     185,214  SH     DEFINED     09     185,214           0           0

BENEFICIAL MUTUAL BANCORP IN      COM   08173R104       1,017     116,391  SH     DEFINED     01      48,092      67,314         985
BENEFICIAL MUTUAL BANCORP IN      COM   08173R104          38       4,395  SH     OTHER       01       2,885       1,510           0
BENEFICIAL MUTUAL BANCORP IN      COM   08173R104       2,927     334,861  SH     DEFINED  01,08      66,046     268,815           0
BENEFICIAL MUTUAL BANCORP IN      COM   08173R104         943     107,886  SH     DEFINED     09     107,886           0           0

BENIHANA INC                      COM   082047101         532      40,744  SH     DEFINED     01      22,360      17,764         620
BENIHANA INC                      COM   082047101           9         665  SH     OTHER       01         665           0           0
BENIHANA INC                      COM   082047101       1,660     127,182  SH     DEFINED  01,08      22,792     104,390           0
BENIHANA INC                      COM   082047101         456      34,918  SH     DEFINED     09      34,918           0           0

BERKLEY W R CORP                  COM   084423102       2,462      68,153  SH     DEFINED     01      53,491      13,082       1,580
BERKLEY W R CORP                  COM   084423102         168       4,647  SH     OTHER       01          97       4,415         135
BERKLEY W R CORP                  COM   084423102      24,853     688,081  SH     DEFINED  01,08      39,564     648,517           0
BERKLEY W R CORP                  COM   084423102       5,381     148,978  SH     DEFINED     09     148,978           0           0

BERKSHIRE BANCORP INC DEL         COM   084597202          33       4,807  SH     DEFINED     01           0       4,807           0
BERKSHIRE BANCORP INC DEL         COM   084597202          54       7,814  SH     DEFINED  01,08       5,812       2,002           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     48
  ________

BERKSHIRE HATHAWAY INC DEL        COM   084670108      31,085         255  SH     DEFINED     01         204          16          35
BERKSHIRE HATHAWAY INC DEL        COM   084670108      16,578         136  SH     OTHER       01          95          39           2
BERKSHIRE HATHAWAY INC DEL        COM   084670108       3,169          26  SH     DEFINED     09          26           0           0

BERKSHIRE HATHAWAY INC DEL        COM   084670702     178,777   2,203,041  SH     DEFINED     01   1,214,647     942,617      45,777
BERKSHIRE HATHAWAY INC DEL        COM   084670702      18,722     230,707  SH     OTHER       01     154,935      52,885      22,887
BERKSHIRE HATHAWAY INC DEL        COM   084670702   1,033,587  12,736,744  SH     DEFINED  01,08   2,811,658   9,925,086           0
BERKSHIRE HATHAWAY INC DEL        COM   084670702     241,144   2,971,580  SH     DEFINED     09   2,971,580           0           0

BERKSHIRE HILLS BANCORP INC       COM   084680107       1,522      66,391  SH     DEFINED     01       5,886      60,505           0
BERKSHIRE HILLS BANCORP INC       COM   084680107       5,633     245,787  SH     DEFINED  01,08      73,225     172,562           0
BERKSHIRE HILLS BANCORP INC       COM   084680107       1,445      63,057  SH     DEFINED     09      63,057           0           0

BERRY PETE CO                     COM   085789105       3,813      80,897  SH     DEFINED     01      27,609      52,718         570
BERRY PETE CO                     COM   085789105          19         405  SH     OTHER       01         405           0           0
BERRY PETE CO                     COM   085789105      23,701     502,890  SH     DEFINED  01,08      80,677     422,213           0
BERRY PETE CO                     COM   085789105       7,269     154,238  SH     DEFINED     09     154,238           0           0

BEST BUY INC                      COM   086516101       9,175     387,448  SH     DEFINED     01     227,542     154,613       5,293
BEST BUY INC                      COM   086516101         844      35,660  SH     OTHER       01      28,220       7,315         125
BEST BUY INC                      COM   086516101      50,797   2,145,140  SH     DEFINED  01,08     536,303   1,608,837           0
BEST BUY INC                      COM   086516101      17,448     736,806  SH     DEFINED     09     736,806           0           0

BHP BILLITON LTD                  COM   088606108     118,139   1,631,755  SH     DEFINED     01   1,529,343      73,876      28,536
BHP BILLITON LTD                  COM   088606108      23,968     331,048  SH     OTHER       01     253,410      46,149      31,489
BHP BILLITON LTD                  COM   088606108      10,260     141,707  SH     DEFINED  01,08     141,707           0           0

BG MEDICINE INC                   COM   08861T107          10       1,437  SH     DEFINED     01       1,041         396           0
BG MEDICINE INC                   COM   08861T107         100      14,184  SH     DEFINED  01,08       6,086       8,098           0

BIDZ COM INC                      COM   08883T200           0         322  SH     DEFINED     01           0         322           0
BIDZ COM INC                      COM   08883T200          14      26,608  SH     DEFINED  01,08         322      26,286           0

BIG 5 SPORTING GOODS CORP         COM   08915P101         252      32,172  SH     DEFINED     01      11,082      21,090           0
BIG 5 SPORTING GOODS CORP         COM   08915P101       1,603     204,454  SH     DEFINED  01,08      36,156     168,298           0
BIG 5 SPORTING GOODS CORP         COM   08915P101         540      68,894  SH     DEFINED     09      68,894           0           0

BIG LOTS INC                      COM   089302103       4,414     102,602  SH     DEFINED     01      66,961      35,369         272
BIG LOTS INC                      COM   089302103          63       1,469  SH     OTHER       01       1,229         120         120
BIG LOTS INC                      COM   089302103      20,906     485,949  SH     DEFINED  01,08     120,265     365,684           0
BIG LOTS INC                      COM   089302103       3,128      72,715  SH     DEFINED     09      72,715           0           0

BIGLARI HLDGS INC                 COM   08986R101         765       1,900  SH     DEFINED     01         725       1,175           0
BIGLARI HLDGS INC                 COM   08986R101          12          30  SH     OTHER       01           0          30           0
BIGLARI HLDGS INC                 COM   08986R101       5,042      12,516  SH     DEFINED  01,08       2,110      10,406           0
BIGLARI HLDGS INC                 COM   08986R101       1,510       3,748  SH     DEFINED     09       3,748           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     49
  ________

BIO-REFERENCE LABS INC            COM   09057G602       3,632     154,508  SH     DEFINED     01     103,906      46,527       4,075
BIO-REFERENCE LABS INC            COM   09057G602         337      14,327  SH     OTHER       01       7,345       6,692         290
BIO-REFERENCE LABS INC            COM   09057G602       5,901     251,002  SH     DEFINED  01,08      48,607     202,395           0
BIO-REFERENCE LABS INC            COM   09057G602       1,578      67,128  SH     DEFINED     09      67,128           0           0

BIO RAD LABS INC                  COM   090572207       7,909      76,274  SH     DEFINED     01      70,148       5,154         972
BIO RAD LABS INC                  COM   090572207         525       5,059  SH     OTHER       01       1,427       3,457         175
BIO RAD LABS INC                  COM   090572207      12,811     123,551  SH     DEFINED  01,08       9,360     114,191           0

BIOCRYST PHARMACEUTICALS          COM   09058V103         157      32,461  SH     DEFINED     01       5,871      26,590           0
BIOCRYST PHARMACEUTICALS          COM   09058V103       1,411     292,070  SH     DEFINED  01,08      40,793     251,277           0
BIOCRYST PHARMACEUTICALS          COM   09058V103         444      91,944  SH     DEFINED     09      91,944           0           0

BIODELIVERY SCIENCES INTL IN      COM   09060J106          10       4,159  SH     DEFINED     01           0       4,159           0
BIODELIVERY SCIENCES INTL IN      COM   09060J106          91      37,590  SH     DEFINED  01,08       4,130      33,460           0

BIOMARIN PHARMACEUTICAL INC       COM   09061G101       2,201      64,252  SH     DEFINED     01      24,481      39,771           0
BIOMARIN PHARMACEUTICAL INC       COM   09061G101          93       2,725  SH     OTHER       01       2,650           0          75
BIOMARIN PHARMACEUTICAL INC       COM   09061G101      14,371     419,580  SH     DEFINED  01,08      74,884     344,696           0

BIOGEN IDEC INC                   COM   09062X103      56,954     452,016  SH     DEFINED     01     278,489     168,302       5,225
BIOGEN IDEC INC                   COM   09062X103       4,047      32,118  SH     OTHER       01      19,382      11,684       1,052
BIOGEN IDEC INC                   COM   09062X103     228,519   1,813,645  SH     DEFINED  01,08     449,856   1,363,789           0
BIOGEN IDEC INC                   COM   09062X103      71,733     569,309  SH     DEFINED     09     569,309           0           0

BIOMED REALTY TRUST INC           COM   09063H107      15,905     837,964  SH     DEFINED     01     112,464     724,967         533
BIOMED REALTY TRUST INC           COM   09063H107          17         873  SH     OTHER       01         610         263           0
BIOMED REALTY TRUST INC           COM   09063H107      44,206   2,329,084  SH     DEFINED  01,08   1,087,231   1,241,853           0
BIOMED REALTY TRUST INC           COM   09063H107       9,773     514,903  SH     DEFINED     09     514,903           0           0

BIODEL INC                        COM   09064M105           3       5,893  SH     DEFINED     01           0       5,893           0
BIODEL INC                        COM   09064M105          29      49,161  SH     DEFINED  01,08       7,731      41,430           0

BIOMIMETIC THERAPEUTICS INC       COM   09064X101          48      19,302  SH     DEFINED     01       1,652      17,650           0
BIOMIMETIC THERAPEUTICS INC       COM   09064X101         447     180,883  SH     DEFINED  01,08      26,455     154,428           0
BIOMIMETIC THERAPEUTICS INC       COM   09064X101         105      42,609  SH     DEFINED     09      42,609           0           0

BIOFUEL ENERGY CORP               COM   09064Y109          10      15,341  SH     DEFINED     01         500      14,841           0
BIOFUEL ENERGY CORP               COM   09064Y109          38      58,072  SH     DEFINED  01,08      15,341      42,731           0

BIOSANTE PHARMACEUTICALS INC      COM   09065V203         137     200,743  SH     DEFINED     01     146,890      53,853           0
BIOSANTE PHARMACEUTICALS INC      COM   09065V203         753   1,107,708  SH     DEFINED  01,08     239,389     868,319           0
BIOSANTE PHARMACEUTICALS INC      COM   09065V203         204     299,731  SH     DEFINED     09     299,731           0           0

BIOTIME INC                       COM   09066L105         107      24,257  SH     DEFINED     01       5,953      18,304           0
BIOTIME INC                       COM   09066L105       1,016     230,430  SH     DEFINED  01,08      28,925     201,505           0
BIOTIME INC                       COM   09066L105         265      60,203  SH     DEFINED     09      60,203           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     50
  ________

BIOSCRIP INC                      COM   09069N108         507      74,673  SH     DEFINED     01      27,643      46,325         705
BIOSCRIP INC                      COM   09069N108           5         760  SH     OTHER       01         760           0           0
BIOSCRIP INC                      COM   09069N108       2,894     426,217  SH     DEFINED  01,08      67,821     358,396           0
BIOSCRIP INC                      COM   09069N108         860     126,714  SH     DEFINED     09     126,714           0           0

BIOLASE TECHNOLOGY INC            COM   090911108          71      26,173  SH     DEFINED     01       2,576      23,597           0
BIOLASE TECHNOLOGY INC            COM   090911108         756     278,845  SH     DEFINED  01,08      36,428     242,417           0
BIOLASE TECHNOLOGY INC            COM   090911108         213      78,700  SH     DEFINED     09      78,700           0           0

BIOSPECIFICS TECHNOLOGIES CO      COM   090931106         146       9,230  SH     DEFINED     01         579       8,651           0
BIOSPECIFICS TECHNOLOGIES CO      COM   090931106         703      44,460  SH     DEFINED  01,08      11,435      33,025           0
BIOSPECIFICS TECHNOLOGIES CO      COM   090931106         233      14,697  SH     DEFINED     09      14,697           0           0

BJS RESTAURANTS INC               COM   09180C106       2,114      41,984  SH     DEFINED     01      15,714      26,270           0
BJS RESTAURANTS INC               COM   09180C106          27         545  SH     OTHER       01         545           0           0
BJS RESTAURANTS INC               COM   09180C106      11,869     235,735  SH     DEFINED  01,08      40,623     195,112           0
BJS RESTAURANTS INC               COM   09180C106       3,621      71,924  SH     DEFINED     09      71,924           0           0

BLACK BOX CORP DEL                COM   091826107       3,915     153,455  SH     DEFINED     01       8,897     144,558           0
BLACK BOX CORP DEL                COM   091826107       7,879     308,854  SH     DEFINED  01,08     159,958     148,896           0
BLACK BOX CORP DEL                COM   091826107       1,393      54,619  SH     DEFINED     09      54,619           0           0

BLACK DIAMOND INC                 COM   09202G101         184      19,884  SH     DEFINED     01       3,559      16,325           0
BLACK DIAMOND INC                 COM   09202G101       1,370     147,914  SH     DEFINED  01,08      20,979     126,935           0
BLACK DIAMOND INC                 COM   09202G101         438      47,324  SH     DEFINED     09      47,324           0           0

BLACK HILLS CORP                  COM   092113109       5,574     166,238  SH     DEFINED     01      15,601     150,637           0
BLACK HILLS CORP                  COM   092113109          30         900  SH     OTHER       01           0         900           0
BLACK HILLS CORP                  COM   092113109      21,029     627,162  SH     DEFINED  01,08     182,196     444,966           0
BLACK HILLS CORP                  COM   092113109       4,278     127,589  SH     DEFINED     09     127,589           0           0

BLACKBAUD INC                     COM   09227Q100       8,808     265,061  SH     DEFINED     01     192,845      69,901       2,315
BLACKBAUD INC                     COM   09227Q100         281       8,466  SH     OTHER       01       5,516       2,445         505
BLACKBAUD INC                     COM   09227Q100      15,243     458,705  SH     DEFINED  01,08      96,628     362,077           0
BLACKBAUD INC                     COM   09227Q100       4,186     125,971  SH     DEFINED     09     125,971           0           0

BLACKROCK INC                     COM   09247X101      68,442     334,024  SH     DEFINED     01     257,902      70,237       5,885
BLACKROCK INC                     COM   09247X101       9,785      47,756  SH     OTHER       01      31,336      12,455       3,965
BLACKROCK INC                     COM   09247X101     159,913     780,444  SH     DEFINED  01,08     230,015     547,204       3,225
BLACKROCK INC                     COM   09247X101      49,942     243,736  SH     DEFINED     09     243,736           0           0

BLACKROCK MUN INCOME TR        UNDEFIND 09248F109           1      10,221         DEFINED     01      10,221           0           0

BLACKSTONE GROUP L P              COM   09253U108          40       2,500  SH     DEFINED     01       2,500           0           0
BLACKSTONE GROUP L P              COM   09253U108         771      48,400  SH     OTHER       01      14,000      19,400      15,000

BLACKROCK KELSO CAPITAL CORP      COM   092533108       2,802     285,376  SH     DEFINED     01      37,422     247,954           0
BLACKROCK KELSO CAPITAL CORP      COM   092533108       7,796     793,935  SH     DEFINED  01,08     296,624     497,311           0
BLACKROCK KELSO CAPITAL CORP      COM   092533108       1,942     197,791  SH     DEFINED     09     197,791           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     51
  ________

BLACKROCK MUNIYIELD INVST FD   UNDEFIND 09254R104           2      13,060         DEFINED     01      13,060           0           0

BLACKROCK MUNIYLD MICH QLTY    UNDEFIND 09254V105         200      12,399         DEFINED     01      12,399           0           0

BLACKROCK CORPOR HI YLD FD V   UNDEFIND 09255P107           1       5,733         DEFINED     01       5,733           0           0
BLACKROCK CORPOR HI YLD FD V   UNDEFIND 09255P107           1       4,600         OTHER       01       4,600           0           0

BLACKROCK DIVERS OME STRATE       COM   09255W102         117      11,393  SH     DEFINED     01           0           0      11,393

BLOCK H & R INC                   COM   093671105       6,251     379,536  SH     DEFINED     01     224,982     153,818         736
BLOCK H & R INC                   COM   093671105         380      23,072  SH     OTHER       01       5,083      17,989           0
BLOCK H & R INC                   COM   093671105      37,663   2,286,774  SH     DEFINED  01,08     628,338   1,658,436           0
BLOCK H & R INC                   COM   093671105      12,425     754,403  SH     DEFINED     09     754,403           0           0

BLONDER TONGUE LABS INC           COM   093698108           6       4,751  SH     DEFINED     01           0       4,751           0
BLONDER TONGUE LABS INC           COM   093698108          10       7,974  SH     DEFINED  01,08       4,491       3,483           0

BLOUNT INTL INC NEW               COM   095180105       1,150      68,942  SH     DEFINED     01      12,140      56,802           0
BLOUNT INTL INC NEW               COM   095180105       7,916     474,608  SH     DEFINED  01,08      77,899     396,709           0
BLOUNT INTL INC NEW               COM   095180105       2,160     129,499  SH     DEFINED     09     129,499           0           0

BLUE NILE INC                     COM   09578R103         560      16,984  SH     DEFINED     01       6,162      10,822           0
BLUE NILE INC                     COM   09578R103       4,013     121,668  SH     DEFINED  01,08      22,284      99,384           0
BLUE NILE INC                     COM   09578R103       1,173      35,578  SH     DEFINED     09      35,578           0           0

BLUEGREEN CORP                    COM   096231105          52      12,042  SH     DEFINED     01         277      11,765           0
BLUEGREEN CORP                    COM   096231105         183      42,482  SH     DEFINED  01,08      13,213      29,269           0

BLUELINX HLDGS INC                COM   09624H109          11       4,130  SH     DEFINED     01           0       4,130           0
BLUELINX HLDGS INC                COM   09624H109          83      31,566  SH     DEFINED  01,08       5,537      26,029           0

BLYTH INC                         COM   09643P207       5,240      70,023  SH     DEFINED     01       2,978      67,045           0
BLYTH INC                         COM   09643P207       8,754     116,990  SH     DEFINED  01,08      73,093      43,897           0
BLYTH INC                         COM   09643P207       1,442      19,264  SH     DEFINED     09      19,264           0           0

BOARDWALK PIPELINE PARTNERS       COM   096627104         390      14,734  SH     DEFINED     01      11,234       3,500           0
BOARDWALK PIPELINE PARTNERS       COM   096627104         923      34,879  SH     DEFINED  01,08      34,879           0           0

BOB EVANS FARMS INC               COM   096761101       7,990     211,837  SH     DEFINED     01      37,465     173,337       1,035
BOB EVANS FARMS INC               COM   096761101          29         780  SH     OTHER       01         780           0           0
BOB EVANS FARMS INC               COM   096761101      19,808     525,144  SH     DEFINED  01,08     195,466     329,678           0
BOB EVANS FARMS INC               COM   096761101       3,353      88,898  SH     DEFINED     09      88,898           0           0

BODY CENT CORP                    COM   09689U102         386      13,305  SH     DEFINED     01       7,886       5,419           0
BODY CENT CORP                    COM   09689U102          25         865  SH     OTHER       01         865           0           0
BODY CENT CORP                    COM   09689U102       3,108     107,098  SH     DEFINED  01,08      10,899      96,199           0
BODY CENT CORP                    COM   09689U102         921      31,724  SH     DEFINED     09      31,724           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     52
  ________

BOEING CO                         COM   097023105     104,260   1,401,916  SH     DEFINED     01     883,105     494,580      24,231
BOEING CO                         COM   097023105      14,487     194,792  SH     OTHER       01     108,293      64,940      21,559
BOEING CO                         COM   097023105     420,890   5,659,405  SH     DEFINED  01,08   1,462,717   4,196,688           0
BOEING CO                         COM   097023105     117,725   1,582,963  SH     DEFINED     09   1,582,963           0           0

BOINGO WIRELESS INC               COM   09739C102          70       5,777  SH     DEFINED     01       1,126       4,651           0
BOINGO WIRELESS INC               COM   09739C102         792      65,464  SH     DEFINED  01,08       4,651      60,813           0
BOINGO WIRELESS INC               COM   09739C102         612      50,609  SH     DEFINED     09      50,609           0           0

BOISE INC                         COM   09746Y105       2,800     341,069  SH     DEFINED     01      25,611     315,458           0
BOISE INC                         COM   09746Y105       9,358   1,139,806  SH     DEFINED  01,08     388,575     751,231           0
BOISE INC                         COM   09746Y105       2,518     306,735  SH     DEFINED     09     306,735           0           0

BOLT TECHNOLOGY CORP              COM   097698104         198      12,793  SH     DEFINED     01         235      12,558           0
BOLT TECHNOLOGY CORP              COM   097698104         517      33,331  SH     DEFINED  01,08      13,811      19,520           0

BON-TON STORES INC                COM   09776J101         106      11,482  SH     DEFINED     01       1,131      10,351           0
BON-TON STORES INC                COM   09776J101       1,541     166,628  SH     DEFINED  01,08      63,172     103,456           0
BON-TON STORES INC                COM   09776J101         261      28,205  SH     DEFINED     09      28,205           0           0

BONANZA CREEK ENERGY INC          COM   097793103          81       3,700  SH     DEFINED     01       3,000         700           0
BONANZA CREEK ENERGY INC          COM   097793103         437      20,002  SH     DEFINED  01,08       7,649      12,353           0
BONANZA CREEK ENERGY INC          COM   097793103         649      29,705  SH     DEFINED     09      29,705           0           0

BOOKS-A-MILLION INC               COM   098570104          36      11,116  SH     DEFINED     01           0      11,116           0
BOOKS-A-MILLION INC               COM   098570104          69      21,451  SH     DEFINED  01,08      12,142       9,309           0

BOOZ ALLEN HAMILTON HLDG COR      COM   099502106          25       1,446  SH     DEFINED     01         988         458           0
BOOZ ALLEN HAMILTON HLDG COR      COM   099502106         105       6,143  SH     OTHER       01       6,143           0           0
BOOZ ALLEN HAMILTON HLDG COR      COM   099502106       1,157      67,942  SH     DEFINED  01,08       5,120      62,822           0

BORGWARNER INC                    COM   099724106      34,357     407,363  SH     DEFINED     01     329,035      75,420       2,908
BORGWARNER INC                    COM   099724106       8,895     105,466  SH     OTHER       01      15,838      89,353         275
BORGWARNER INC                    COM   099724106      69,162     820,038  SH     DEFINED  01,08     196,513     623,525           0
BORGWARNER INC                    COM   099724106      22,859     271,032  SH     DEFINED     09     271,032           0           0

BOSTON BEER INC                   COM   100557107       1,697      15,890  SH     DEFINED     01       4,398      11,492           0
BOSTON BEER INC                   COM   100557107       9,070      84,931  SH     DEFINED  01,08      16,595      68,336           0
BOSTON BEER INC                   COM   100557107       2,635      24,671  SH     DEFINED     09      24,671           0           0

BOSTON PRIVATE FINL HLDGS IN      COM   101119105         938      94,648  SH     DEFINED     01      40,672      53,976           0
BOSTON PRIVATE FINL HLDGS IN      COM   101119105       7,436     750,320  SH     DEFINED  01,08     122,621     627,699           0
BOSTON PRIVATE FINL HLDGS IN      COM   101119105       2,642     266,594  SH     DEFINED     09     266,594           0           0

BOSTON PROPERTIES INC             COM   101121101      20,974     199,773  SH     DEFINED     01     119,666      78,431       1,676
BOSTON PROPERTIES INC             COM   101121101         605       5,765  SH     OTHER       01       4,603         969         193
BOSTON PROPERTIES INC             COM   101121101     136,551   1,300,610  SH     DEFINED  01,08     462,870     837,740           0
BOSTON PROPERTIES INC             COM   101121101      44,966     428,289  SH     DEFINED     09     428,289           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     53
  ________

BOSTON SCIENTIFIC CORP            COM   101137107       9,266   1,549,524  SH     DEFINED     01     790,116     757,937       1,471
BOSTON SCIENTIFIC CORP            COM   101137107         236      39,383  SH     OTHER       01      20,283      19,100           0
BOSTON SCIENTIFIC CORP            COM   101137107      63,170  10,563,605  SH     DEFINED  01,08   2,448,371   8,115,234           0
BOSTON SCIENTIFIC CORP            COM   101137107      23,655   3,955,682  SH     DEFINED     09   3,955,682           0           0

BOTTOMLINE TECH DEL INC           COM   101388106       1,516      54,244  SH     DEFINED     01      24,364      29,880           0
BOTTOMLINE TECH DEL INC           COM   101388106          29       1,045  SH     OTHER       01       1,045           0           0
BOTTOMLINE TECH DEL INC           COM   101388106       9,653     345,498  SH     DEFINED  01,08      53,863     291,635           0
BOTTOMLINE TECH DEL INC           COM   101388106       2,910     104,166  SH     DEFINED     09     104,166           0           0

BOVIE MEDICAL CORP                COM   10211F100          27      10,160  SH     DEFINED     01           0      10,160           0
BOVIE MEDICAL CORP                COM   10211F100          74      27,358  SH     DEFINED  01,08      12,486      14,872           0

BOWL AMER INC                     COM   102565108          85       6,323  SH     DEFINED     01           0       6,323           0
BOWL AMER INC                     COM   102565108         112       8,324  SH     DEFINED  01,08       7,310       1,014           0

BOYD GAMING CORP                  COM   103304101         464      59,168  SH     DEFINED     01      26,229      32,939           0
BOYD GAMING CORP                  COM   103304101       4,229     539,359  SH     DEFINED  01,08      91,300     448,059           0
BOYD GAMING CORP                  COM   103304101       1,260     160,730  SH     DEFINED     09     160,730           0           0

BRADY CORP                        COM   104674106      13,460     416,078  SH     DEFINED     01      99,802     315,432         844
BRADY CORP                        COM   104674106          94       2,896  SH     OTHER       01       1,066       1,535         295
BRADY CORP                        COM   104674106      24,304     751,270  SH     DEFINED  01,08     363,309     387,961           0
BRADY CORP                        COM   104674106       4,430     136,948  SH     DEFINED     09     136,948           0           0

BRANDYWINE RLTY TR                COM   105368203       3,278     285,564  SH     DEFINED     01     198,133      84,926       2,505
BRANDYWINE RLTY TR                COM   105368203          83       7,220  SH     OTHER       01       6,690         430         100
BRANDYWINE RLTY TR                COM   105368203      11,044     961,999  SH     DEFINED  01,08     539,392     422,607           0
BRANDYWINE RLTY TR                COM   105368203         725      63,157  SH     DEFINED     09      63,157           0           0

BRF-BRASIL FOODS S A              COM   10552T107       1,744      87,144  SH     DEFINED     01      83,476       2,607       1,061
BRF-BRASIL FOODS S A              COM   10552T107         109       5,462  SH     OTHER       01       1,740       3,722           0
BRF-BRASIL FOODS S A              COM   10552T107         582      29,101  SH     DEFINED  01,08      29,101           0           0

BRAVO BRIO RESTAURANT GROUP       COM   10567B109         309      15,471  SH     DEFINED     01       5,859       9,612           0
BRAVO BRIO RESTAURANT GROUP       COM   10567B109       3,439     172,275  SH     DEFINED  01,08      17,400     154,875           0
BRAVO BRIO RESTAURANT GROUP       COM   10567B109       1,104      55,297  SH     DEFINED     09      55,297           0           0

BREEZE EASTERN CORP               COM   106764103          83       9,855  SH     DEFINED     01           0       9,855           0
BREEZE EASTERN CORP               COM   106764103         136      16,184  SH     DEFINED  01,08      11,166       5,018           0

BREITBURN ENERGY PARTNERS LP      COM   106776107          20       1,047  SH     DEFINED     01       1,047           0           0
BREITBURN ENERGY PARTNERS LP      COM   106776107         254      13,300  SH     OTHER       01      12,300       1,000           0
BREITBURN ENERGY PARTNERS LP      COM   106776107         536      28,030  SH     DEFINED  01,08      28,030           0           0

BRIDGE CAP HLDGS                  COM   108030107          84       6,262  SH     DEFINED     01       1,735       4,527           0
BRIDGE CAP HLDGS                  COM   108030107       1,036      76,937  SH     DEFINED  01,08       8,769      68,168           0
BRIDGE CAP HLDGS                  COM   108030107         423      31,391  SH     DEFINED     09      31,391           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     54
  ________

BRIDGE BANCORP INC                COM   108035106         101       4,816  SH     DEFINED     01       1,493       3,323           0
BRIDGE BANCORP INC                COM   108035106       1,217      58,028  SH     DEFINED  01,08       6,465      51,563           0
BRIDGE BANCORP INC                COM   108035106         327      15,575  SH     DEFINED     09      15,575           0           0

BRIDGEPOINT ED INC                COM   10807M105         394      15,920  SH     DEFINED     01       4,623      11,297           0
BRIDGEPOINT ED INC                COM   10807M105       4,068     164,355  SH     DEFINED  01,08      20,346     144,009           0
BRIDGEPOINT ED INC                COM   10807M105       1,349      54,508  SH     DEFINED     09      54,508           0           0

BRIDGELINE DIGITAL INC            COM   10807Q205          20      18,000  SH     DEFINED     01      18,000           0           0

BRIDGFORD FOODS CORP              COM   108763103          74       8,511  SH     DEFINED     01           0       8,511           0
BRIDGFORD FOODS CORP              COM   108763103         180      20,560  SH     DEFINED  01,08       7,777      12,783           0

BRIGGS & STRATTON CORP            COM   109043109       7,207     401,946  SH     DEFINED     01      25,935     376,011           0
BRIGGS & STRATTON CORP            COM   109043109         269      15,000  SH     OTHER       01      15,000           0           0
BRIGGS & STRATTON CORP            COM   109043109      15,553     867,441  SH     DEFINED  01,08     455,622     411,819           0
BRIGGS & STRATTON CORP            COM   109043109       2,619     146,090  SH     DEFINED     09     146,090           0           0

BRIGHTCOVE INC                    COM   10921T101         309      12,469  SH     DEFINED  01,08       4,331       8,138           0
BRIGHTCOVE INC                    COM   10921T101         424      17,107  SH     DEFINED     09      17,107           0           0

BRIGHTPOINT INC                   COM   109473405         875     108,644  SH     DEFINED     01      37,455      71,189           0
BRIGHTPOINT INC                   COM   109473405       5,532     687,261  SH     DEFINED  01,08     134,395     552,866           0
BRIGHTPOINT INC                   COM   109473405       1,547     192,236  SH     DEFINED     09     192,236           0           0

BRINKER INTL INC                  COM   109641100       1,518      55,108  SH     DEFINED     01      45,376       9,732           0
BRINKER INTL INC                  COM   109641100          72       2,605  SH     OTHER       01       2,500         105           0
BRINKER INTL INC                  COM   109641100      16,045     582,383  SH     DEFINED  01,08     108,183     474,200           0
BRINKER INTL INC                  COM   109641100          64       2,336  SH     DEFINED     09       2,336           0           0

BRINKS CO                         COM   109696104       2,747     115,100  SH     DEFINED     01      45,473      68,292       1,335
BRINKS CO                         COM   109696104         338      14,160  SH     OTHER       01         885      13,275           0
BRINKS CO                         COM   109696104      14,203     594,999  SH     DEFINED  01,08      87,993     507,006           0
BRINKS CO                         COM   109696104       3,274     137,165  SH     DEFINED     09     137,165           0           0

BRISTOL MYERS SQUIBB CO           COM   110122108     248,943   7,376,093  SH     DEFINED     01   6,046,426   1,194,754     134,913
BRISTOL MYERS SQUIBB CO           COM   110122108      85,587   2,535,912  SH     OTHER       01   1,871,230     202,027     462,655
BRISTOL MYERS SQUIBB CO           COM   110122108     433,658  12,849,121  SH     DEFINED  01,08   3,271,220   9,577,901           0
BRISTOL MYERS SQUIBB CO           COM   110122108     138,992   4,118,292  SH     DEFINED     09   4,118,292           0           0

BRISTOW GROUP INC                 COM   110394103      11,277     236,265  SH     DEFINED     01      36,662     198,838         765
BRISTOW GROUP INC                 COM   110394103         394       8,250  SH     OTHER       01         550       7,700           0
BRISTOW GROUP INC                 COM   110394103      24,677     517,014  SH     DEFINED  01,08     224,510     292,504           0
BRISTOW GROUP INC                 COM   110394103       4,912     102,921  SH     DEFINED     09     102,921           0           0

BRITISH AMERN TOB PLC             COM   110448107      39,588     391,104  SH     DEFINED     01     360,056      25,062       5,986
BRITISH AMERN TOB PLC             COM   110448107       4,889      48,305  SH     OTHER       01      17,876      29,386       1,043
BRITISH AMERN TOB PLC             COM   110448107       6,483      64,046  SH     DEFINED  01,08      64,046           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     55
  ________

BROADCOM CORP                     COM   111320107      24,445     622,018  SH     DEFINED     01     301,753     318,236       2,029
BROADCOM CORP                     COM   111320107         858      21,820  SH     OTHER       01      10,072      11,327         421
BROADCOM CORP                     COM   111320107     150,605   3,832,189  SH     DEFINED  01,08     966,804   2,865,385           0
BROADCOM CORP                     COM   111320107      46,787   1,190,498  SH     DEFINED     09   1,190,498           0           0

BROADSOFT INC                     COM   11133B409         772      20,188  SH     DEFINED     01       3,007      17,181           0
BROADSOFT INC                     COM   11133B409       7,831     204,733  SH     DEFINED  01,08      22,850     181,883           0
BROADSOFT INC                     COM   11133B409       2,429      63,514  SH     DEFINED     09      63,514           0           0

BROADRIDGE FINL SOLUTIONS IN      COM   11133T103       2,712     113,417  SH     DEFINED     01      75,254      37,403         760
BROADRIDGE FINL SOLUTIONS IN      COM   11133T103         176       7,356  SH     OTHER       01       3,866       3,385         105
BROADRIDGE FINL SOLUTIONS IN      COM   11133T103      18,837     787,812  SH     DEFINED  01,08      55,281     732,531           0
BROADRIDGE FINL SOLUTIONS IN      COM   11133T103         126       5,263  SH     DEFINED     09       5,263           0           0

BROADWIND ENERGY INC              COM   11161T108          44      93,895  SH     DEFINED     01      31,525      62,370           0
BROADWIND ENERGY INC              COM   11161T108         503   1,069,255  SH     DEFINED  01,08     107,633     961,622           0
BROADWIND ENERGY INC              COM   11161T108         122     258,627  SH     DEFINED     09     258,627           0           0

BROCADE COMMUNICATIONS SYS I      COM   111621306       3,832     666,482  SH     DEFINED     01     104,035     562,447           0
BROCADE COMMUNICATIONS SYS I      COM   111621306           5         875  SH     OTHER       01         875           0           0
BROCADE COMMUNICATIONS SYS I      COM   111621306      11,170   1,942,671  SH     DEFINED  01,08     606,458   1,336,213           0

BROOKDALE SR LIVING INC           COM   112463104         406      21,682  SH     DEFINED     01      10,554      11,128           0
BROOKDALE SR LIVING INC           COM   112463104          89       4,733  SH     OTHER       01       4,733           0           0
BROOKDALE SR LIVING INC           COM   112463104       6,307     336,887  SH     DEFINED  01,08      34,079     302,808           0

BROOKFIELD ASSET MGMT INC         COM   112585104       5,802     183,777  SH     DEFINED     01     163,642      18,335       1,800
BROOKFIELD ASSET MGMT INC         COM   112585104         525      16,621  SH     OTHER       01      10,076       6,545           0
BROOKFIELD ASSET MGMT INC         COM   112585104         810      25,648  SH     DEFINED  01,08      25,648           0           0

BROOKFIELD RESIDENTIAL PPTYS      COM   11283W104          94       8,926  SH     DEFINED     01           0       8,926           0
BROOKFIELD RESIDENTIAL PPTYS      COM   11283W104         639      60,357  SH     DEFINED  01,08       8,459      51,898           0

BROOKFIELD OFFICE PPTYS INC       COM   112900105         420      24,078  SH     DEFINED     01           0      24,078           0
BROOKFIELD OFFICE PPTYS INC       COM   112900105       6,116     350,473  SH     DEFINED  01,08           0     350,473           0

BROOKLINE BANCORP INC DEL         COM   11373M107       1,068     114,033  SH     DEFINED     01      36,151      77,882           0
BROOKLINE BANCORP INC DEL         COM   11373M107       6,562     700,300  SH     DEFINED  01,08     136,102     564,198           0
BROOKLINE BANCORP INC DEL         COM   11373M107       1,796     191,647  SH     DEFINED     09     191,647           0           0

BROOKS AUTOMATION INC             COM   114340102       6,494     526,668  SH     DEFINED     01      29,842     496,826           0
BROOKS AUTOMATION INC             COM   114340102      13,558   1,099,560  SH     DEFINED  01,08     558,380     541,180           0
BROOKS AUTOMATION INC             COM   114340102       2,374     192,546  SH     DEFINED     09     192,546           0           0

BROWN & BROWN INC                 COM   115236101         797      33,532  SH     DEFINED     01      22,601      10,931           0
BROWN & BROWN INC                 COM   115236101          77       3,255  SH     OTHER       01         130       3,125           0
BROWN & BROWN INC                 COM   115236101      17,042     716,650  SH     DEFINED  01,08      38,056     678,594           0
BROWN & BROWN INC                 COM   115236101         133       5,613  SH     DEFINED     09       5,613           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     56
  ________

BROWN FORMAN CORP                 COM   115637209       8,967     107,529  SH     DEFINED     01      54,197      52,983         349
BROWN FORMAN CORP                 COM   115637209       1,357      16,267  SH     OTHER       01         892      15,373           2
BROWN FORMAN CORP                 COM   115637209      60,573     726,387  SH     DEFINED  01,08     155,931     570,456           0
BROWN FORMAN CORP                 COM   115637209      18,027     216,181  SH     DEFINED     09     216,181           0           0

BROWN SHOE INC NEW                COM   115736100         798      86,430  SH     DEFINED     01      37,362      49,068           0
BROWN SHOE INC NEW                COM   115736100       3,992     432,489  SH     DEFINED  01,08      87,703     344,786           0
BROWN SHOE INC NEW                COM   115736100       1,160     125,667  SH     DEFINED     09     125,667           0           0

BRUKER CORP                       COM   116794108       1,149      75,020  SH     DEFINED     01      15,840      59,180           0
BRUKER CORP                       COM   116794108          55       3,600  SH     OTHER       01       3,600           0           0
BRUKER CORP                       COM   116794108       5,935     387,636  SH     DEFINED  01,08      95,364     292,272           0

BRUNSWICK CORP                    COM   117043109       3,435     133,404  SH     DEFINED     01      43,935      89,469           0
BRUNSWICK CORP                    COM   117043109      23,011     893,628  SH     DEFINED  01,08     169,137     724,491           0
BRUNSWICK CORP                    COM   117043109       6,593     256,030  SH     DEFINED     09     256,030           0           0

BRYN MAWR BK CORP                 COM   117665109         365      16,268  SH     DEFINED     01       3,173      13,095           0
BRYN MAWR BK CORP                 COM   117665109       2,356     104,999  SH     DEFINED  01,08      18,013      86,986           0
BRYN MAWR BK CORP                 COM   117665109         816      36,346  SH     DEFINED     09      36,346           0           0

BSQUARE CORP                      COM   11776U300          17       4,989  SH     DEFINED     01           0       4,989           0
BSQUARE CORP                      COM   11776U300          73      21,827  SH     DEFINED  01,08       3,657      18,170           0

BUCKEYE PARTNERS L P              COM   118230101         727      11,882  SH     DEFINED     01       8,597       1,285       2,000
BUCKEYE PARTNERS L P              COM   118230101         712      11,633  SH     OTHER       01       5,833       5,800           0
BUCKEYE PARTNERS L P              COM   118230101       2,471      40,381  SH     DEFINED  01,08      40,381           0           0

BUCKEYE TECHNOLOGIES INC          COM   118255108       4,186     123,214  SH     DEFINED     01      48,392      73,667       1,155
BUCKEYE TECHNOLOGIES INC          COM   118255108          29         840  SH     OTHER       01         840           0           0
BUCKEYE TECHNOLOGIES INC          COM   118255108      14,457     425,576  SH     DEFINED  01,08     101,028     324,548           0
BUCKEYE TECHNOLOGIES INC          COM   118255108       4,018     118,273  SH     DEFINED     09     118,273           0           0

BUCKLE INC                        COM   118440106       2,083      43,488  SH     DEFINED     01      13,079      30,409           0
BUCKLE INC                        COM   118440106      12,889     269,072  SH     DEFINED  01,08      47,975     221,097           0
BUCKLE INC                        COM   118440106       3,773      78,765  SH     DEFINED     09      78,765           0           0

BUFFALO WILD WINGS INC            COM   119848109       2,664      29,373  SH     DEFINED     01      12,119      17,254           0
BUFFALO WILD WINGS INC            COM   119848109          40         445  SH     OTHER       01         445           0           0
BUFFALO WILD WINGS INC            COM   119848109      16,295     179,682  SH     DEFINED  01,08      30,435     149,247           0
BUFFALO WILD WINGS INC            COM   119848109       5,157      56,862  SH     DEFINED     09      56,862           0           0

BUILD A BEAR WORKSHOP             COM   120076104          75      14,320  SH     DEFINED     01       4,282      10,038           0
BUILD A BEAR WORKSHOP             COM   120076104         754     143,564  SH     DEFINED  01,08      17,087     126,477           0
BUILD A BEAR WORKSHOP             COM   120076104         256      48,723  SH     DEFINED     09      48,723           0           0

BUILDERS FIRSTSOURCE INC          COM   12008R107         275      64,923  SH     DEFINED     01      32,883      32,040           0
BUILDERS FIRSTSOURCE INC          COM   12008R107       1,914     452,561  SH     DEFINED  01,08      85,182     367,379           0
BUILDERS FIRSTSOURCE INC          COM   12008R107         483     114,279  SH     DEFINED     09     114,279           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     57
  ________

C&J ENERGY SVCS INC               COM   12467B304         270      15,177  SH     DEFINED     01       1,093      14,084           0
C&J ENERGY SVCS INC               COM   12467B304       2,481     139,460  SH     DEFINED  01,08      12,930     126,530           0
C&J ENERGY SVCS INC               COM   12467B304         700      39,355  SH     DEFINED     09      39,355           0           0

CAI INTERNATIONAL INC             COM   12477X106         304      16,712  SH     DEFINED     01       3,988      12,724           0
CAI INTERNATIONAL INC             COM   12477X106       2,240     123,199  SH     DEFINED  01,08      20,766     102,433           0
CAI INTERNATIONAL INC             COM   12477X106         577      31,756  SH     DEFINED     09      31,756           0           0

CBIZ INC                          COM   124805102         605      95,725  SH     DEFINED     01      16,386      79,239         100
CBIZ INC                          COM   124805102       2,749     435,036  SH     DEFINED  01,08      99,383     335,653           0
CBIZ INC                          COM   124805102         825     130,576  SH     DEFINED     09     130,576           0           0

CBL & ASSOC PPTYS INC             COM   124830100       9,215     487,049  SH     DEFINED     01      87,644     398,945         460
CBL & ASSOC PPTYS INC             COM   124830100          19         980  SH     OTHER       01         685         295           0
CBL & ASSOC PPTYS INC             COM   124830100      36,080   1,906,978  SH     DEFINED  01,08     715,108   1,191,870           0
CBL & ASSOC PPTYS INC             COM   124830100       9,475     500,792  SH     DEFINED     09     500,792           0           0

CBS CORP NEW                      COM   124857202      28,996     855,084  SH     DEFINED     01     515,521     335,778       3,785
CBS CORP NEW                      COM   124857202       1,362      40,171  SH     OTHER       01      20,276      18,335       1,560
CBS CORP NEW                      COM   124857202     164,829   4,860,773  SH     DEFINED  01,08   1,190,027   3,670,746           0
CBS CORP NEW                      COM   124857202      53,073   1,565,108  SH     DEFINED     09   1,565,108           0           0

CBOE HLDGS INC                    COM   12503M108       7,137     251,127  SH     DEFINED     01     237,143      13,984           0
CBOE HLDGS INC                    COM   12503M108         214       7,538  SH     OTHER       01       6,998         540           0
CBOE HLDGS INC                    COM   12503M108      13,699     482,015  SH     DEFINED  01,08      19,347     462,668           0

CBRE GROUP INC                    COM   12504L109      12,387     620,615  SH     DEFINED     01     442,646     172,276       5,693
CBRE GROUP INC                    COM   12504L109         689      34,508  SH     OTHER       01      13,579      20,731         198
CBRE GROUP INC                    COM   12504L109      47,202   2,364,846  SH     DEFINED  01,08     573,416   1,791,430           0
CBRE GROUP INC                    COM   12504L109      14,497     726,321  SH     DEFINED     09     726,321           0           0

C D I CORP                        COM   125071100       2,433     135,670  SH     DEFINED     01       6,656     129,014           0
C D I CORP                        COM   125071100       4,436     247,417  SH     DEFINED  01,08     143,904     103,513           0
C D I CORP                        COM   125071100         623      34,744  SH     DEFINED     09      34,744           0           0

CEC ENTMT INC                     COM   125137109       1,773      46,780  SH     DEFINED     01      16,014      30,511         255
CEC ENTMT INC                     COM   125137109           7         180  SH     OTHER       01         180           0           0
CEC ENTMT INC                     COM   125137109       7,799     205,731  SH     DEFINED  01,08      43,705     162,026           0
CEC ENTMT INC                     COM   125137109       2,269      59,840  SH     DEFINED     09      59,840           0           0

CECO ENVIRONMENTAL CORP           COM   125141101          92      11,831  SH     DEFINED  01,08          96      11,735           0

CFS BANCORP INC                   COM   12525D102          69      12,108  SH     DEFINED     01           0      12,108           0
CFS BANCORP INC                   COM   12525D102         154      27,092  SH     DEFINED  01,08      10,231      16,861           0

CF INDS HLDGS INC                 COM   125269100      22,349     122,359  SH     DEFINED     01      82,780      39,172         407
CF INDS HLDGS INC                 COM   125269100         904       4,949  SH     OTHER       01       2,692       2,183          74
CF INDS HLDGS INC                 COM   125269100      95,669     523,783  SH     DEFINED  01,08     148,267     375,516           0
CF INDS HLDGS INC                 COM   125269100      29,432     161,140  SH     DEFINED     09     161,140           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     58
  ________

CH ENERGY GROUP INC               COM   12541M102       1,722      25,812  SH     DEFINED     01       8,753      17,059           0
CH ENERGY GROUP INC               COM   12541M102      10,559     158,238  SH     DEFINED  01,08      28,713     129,525           0
CH ENERGY GROUP INC               COM   12541M102       3,194      47,859  SH     DEFINED     09      47,859           0           0

C H ROBINSON WORLDWIDE INC        COM   12541W209      13,461     205,546  SH     DEFINED     01     109,184      95,332       1,030
C H ROBINSON WORLDWIDE INC        COM   12541W209         744      11,353  SH     OTHER       01      11,174         114          65
C H ROBINSON WORLDWIDE INC        COM   12541W209      80,379   1,227,350  SH     DEFINED  01,08     291,489     935,861           0
C H ROBINSON WORLDWIDE INC        COM   12541W209      26,550     405,402  SH     DEFINED     09     405,402           0           0

CIFC CORP                         COM   12547R105          54       8,741  SH     DEFINED     01       2,298       6,443           0
CIFC CORP                         COM   12547R105         617      99,467  SH     DEFINED  01,08      12,195      87,272           0
CIFC CORP                         COM   12547R105         419      67,562  SH     DEFINED     09      67,562           0           0

CIGNA CORPORATION                 COM   125509109      15,676     318,296  SH     DEFINED     01     164,327     152,081       1,888
CIGNA CORPORATION                 COM   125509109         492       9,981  SH     OTHER       01       3,254       6,617         110
CIGNA CORPORATION                 COM   125509109     104,644   2,124,758  SH     DEFINED  01,08     524,714   1,600,044           0
CIGNA CORPORATION                 COM   125509109      35,132     713,333  SH     DEFINED     09     713,333           0           0

CIT GROUP INC                     COM   125581801       6,190     150,091  SH     DEFINED     01     124,045      21,053       4,993
CIT GROUP INC                     COM   125581801         254       6,150  SH     OTHER       01       1,042       4,823         285
CIT GROUP INC                     COM   125581801      27,396     664,304  SH     DEFINED  01,08      67,874     596,430           0
CIT GROUP INC                     COM   125581801      10,879     263,803  SH     DEFINED     09     263,803           0           0

CLECO CORP NEW                    COM   12561W105      12,712     320,616  SH     DEFINED     01      47,711     272,805         100
CLECO CORP NEW                    COM   12561W105         135       3,399  SH     OTHER       01         139          60       3,200
CLECO CORP NEW                    COM   12561W105      38,790     978,306  SH     DEFINED  01,08     313,947     664,359           0
CLECO CORP NEW                    COM   12561W105       7,219     182,064  SH     DEFINED     09     182,064           0           0

CME GROUP INC                     COM   12572Q105      34,492     119,215  SH     DEFINED     01      74,376      43,691       1,148
CME GROUP INC                     COM   12572Q105       3,670      12,686  SH     OTHER       01       4,610       7,946         130
CME GROUP INC                     COM   12572Q105     155,172     536,314  SH     DEFINED  01,08     158,564     375,644       2,106
CME GROUP INC                     COM   12572Q105      44,985     155,481  SH     DEFINED     09     155,481           0           0

CMS ENERGY CORP                   COM   125896100       8,821     400,968  SH     DEFINED     01     261,948     137,146       1,874
CMS ENERGY CORP                   COM   125896100         291      13,230  SH     OTHER       01       3,232       9,808         190
CMS ENERGY CORP                   COM   125896100      43,572   1,980,529  SH     DEFINED  01,08     552,228   1,428,301           0
CMS ENERGY CORP                   COM   125896100       6,076     276,202  SH     DEFINED     09     276,202           0           0

CSS INDS INC                      COM   125906107       1,378      70,798  SH     DEFINED     01       2,430      68,368           0
CSS INDS INC                      COM   125906107       2,728     140,175  SH     DEFINED  01,08      73,049      67,126           0
CSS INDS INC                      COM   125906107         397      20,386  SH     DEFINED     09      20,386           0           0

CPI AEROSTRUCTURES INC            COM   125919308          37       2,519  SH     DEFINED     01           0       2,519           0
CPI AEROSTRUCTURES INC            COM   125919308         165      11,065  SH     DEFINED  01,08       3,269       7,796           0

CTI INDUSTRIES CORP               COM   125961300          80      15,853  SH     DEFINED     01           0      15,853           0
CTI INDUSTRIES CORP               COM   125961300          42       8,448  SH     DEFINED  01,08       1,066       7,382           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     59
  ________

CNA FINL CORP                     COM   126117100         794      27,088  SH     DEFINED     01      22,958       3,380         750
CNA FINL CORP                     COM   126117100          95       3,228  SH     OTHER       01       3,228           0           0
CNA FINL CORP                     COM   126117100       2,744      93,544  SH     DEFINED  01,08       4,804      88,740           0

CNB FINL CORP PA                  COM   126128107         140       8,375  SH     DEFINED     01       3,005       5,370           0
CNB FINL CORP PA                  COM   126128107       1,847     110,545  SH     DEFINED  01,08      12,137      98,408           0
CNB FINL CORP PA                  COM   126128107         519      31,068  SH     DEFINED     09      31,068           0           0

CNOOC LTD                         COM   126132109       9,773      47,838  SH     DEFINED     01      43,373       4,136         329
CNOOC LTD                         COM   126132109         379       1,857  SH     OTHER       01       1,451         406           0
CNOOC LTD                         COM   126132109       1,438       7,039  SH     DEFINED  01,08       7,039           0           0

CPFL ENERGIA S A                  COM   126153105         427      14,101  SH     DEFINED     01       8,424         127       5,550
CPFL ENERGIA S A                  COM   126153105           0           1  SH     OTHER       01           1           0           0
CPFL ENERGIA S A                  COM   126153105         139       4,590  SH     DEFINED  01,08       4,590           0           0

CRA INTL INC                      COM   12618T105       1,465      58,092  SH     DEFINED     01       3,177      54,915           0
CRA INTL INC                      COM   12618T105       3,884     153,995  SH     DEFINED  01,08      61,594      92,401           0
CRA INTL INC                      COM   12618T105         801      31,742  SH     DEFINED     09      31,742           0           0

CNO FINL GROUP INC                COM   12621E103      13,007   1,671,827  SH     DEFINED     01      80,051   1,591,776           0
CNO FINL GROUP INC                COM   12621E103      29,533   3,795,979  SH     DEFINED  01,08   1,986,909   1,809,070           0
CNO FINL GROUP INC                COM   12621E103       5,464     702,344  SH     DEFINED     09     702,344           0           0

CRH PLC                           COM   12626K203       1,467      71,519  SH     DEFINED     01      67,878       2,851         790
CRH PLC                           COM   12626K203          73       3,577  SH     OTHER       01       2,290       1,287           0
CRH PLC                           COM   12626K203         660      32,171  SH     DEFINED  01,08      32,171           0           0

CSG SYS INTL INC                  COM   126349109         835      55,178  SH     DEFINED     01      18,631      36,547           0
CSG SYS INTL INC                  COM   126349109         117       7,708  SH     OTHER       01           0       2,000       5,708
CSG SYS INTL INC                  COM   126349109       5,290     349,404  SH     DEFINED  01,08      59,960     289,444           0
CSG SYS INTL INC                  COM   126349109       1,538     101,598  SH     DEFINED     09     101,598           0           0

CSR PLC                           COM   12640Y205          29       1,983  SH     DEFINED     01       1,065         918           0
CSR PLC                           COM   12640Y205         101       6,852  SH     DEFINED  01,08       5,992         860           0
CSR PLC                           COM   12640Y205         308      20,996  SH     DEFINED     09      20,996           0           0

CSX CORP                          COM   126408103      30,375   1,411,486  SH     DEFINED     01     828,647     563,081      19,758
CSX CORP                          COM   126408103       2,330     108,283  SH     OTHER       01      48,349      56,940       2,994
CSX CORP                          COM   126408103     170,685   7,931,457  SH     DEFINED  01,08   1,857,243   6,074,214           0
CSX CORP                          COM   126408103      55,795   2,592,683  SH     DEFINED     09   2,592,683           0           0

CTS CORP                          COM   126501105       3,847     365,642  SH     DEFINED     01      59,307     304,680       1,655
CTS CORP                          COM   126501105          12       1,185  SH     OTHER       01       1,185           0           0
CTS CORP                          COM   126501105       6,455     613,564  SH     DEFINED  01,08     332,907     280,657           0
CTS CORP                          COM   126501105         932      88,633  SH     DEFINED     09      88,633           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     60
  ________

CVB FINL CORP                     COM   126600105       4,534     386,180  SH     DEFINED     01      44,260     341,920           0
CVB FINL CORP                     COM   126600105      13,445   1,145,208  SH     DEFINED  01,08     407,683     737,525           0
CVB FINL CORP                     COM   126600105       3,027     257,796  SH     DEFINED     09     257,796           0           0

CVR ENERGY INC                    COM   12662P108       2,638      98,601  SH     DEFINED     01      15,479      83,122           0
CVR ENERGY INC                    COM   12662P108          64       2,400  SH     OTHER       01           0       2,400           0
CVR ENERGY INC                    COM   12662P108      22,359     835,850  SH     DEFINED  01,08     124,444     711,406           0
CVR ENERGY INC                    COM   12662P108       6,880     257,182  SH     DEFINED     09     257,182           0           0

CVS CAREMARK CORPORATION          COM   126650100      85,128   1,900,178  SH     DEFINED     01   1,101,903     782,280      15,995
CVS CAREMARK CORPORATION          COM   126650100       6,143     137,123  SH     OTHER       01      96,837      30,094      10,192
CVS CAREMARK CORPORATION          COM   126650100     439,027   9,799,719  SH     DEFINED  01,08   2,370,303   7,429,416           0
CVS CAREMARK CORPORATION          COM   126650100     143,555   3,204,358  SH     DEFINED     09   3,204,358           0           0

CYS INVTS INC                     COM   12673A108       1,398     106,785  SH     DEFINED     01      27,374      79,411           0
CYS INVTS INC                     COM   12673A108          92       7,000  SH     OTHER       01       7,000           0           0
CYS INVTS INC                     COM   12673A108      13,228   1,010,551  SH     DEFINED  01,08     129,264     881,287           0
CYS INVTS INC                     COM   12673A108       4,313     329,473  SH     DEFINED     09     329,473           0           0

CA INC                            COM   12673P105      13,971     506,923  SH     DEFINED     01     247,251     258,532       1,140
CA INC                            COM   12673P105       1,651      59,907  SH     OTHER       01       6,329      53,578           0
CA INC                            COM   12673P105      76,045   2,759,256  SH     DEFINED  01,08     696,371   2,062,598         287
CA INC                            COM   12673P105      26,425     958,831  SH     DEFINED     09     958,831           0           0

CABELAS INC                       COM   126804301      11,477     300,836  SH     DEFINED     01      22,858     277,978           0
CABELAS INC                       COM   126804301      26,049     682,803  SH     DEFINED  01,08     321,464     361,339           0
CABELAS INC                       COM   126804301       4,744     124,355  SH     DEFINED     09     124,355           0           0

CABLEVISION SYS CORP              COM   12686C109       3,678     250,536  SH     DEFINED     01     134,736     115,739          61
CABLEVISION SYS CORP              COM   12686C109          47       3,173  SH     OTHER       01       3,173           0           0
CABLEVISION SYS CORP              COM   12686C109      25,212   1,717,421  SH     DEFINED  01,08     478,535   1,238,886           0
CABLEVISION SYS CORP              COM   12686C109       7,668     522,352  SH     DEFINED     09     522,352           0           0

CABOT CORP                        COM   127055101       5,907     138,408  SH     DEFINED     01      56,966      80,157       1,285
CABOT CORP                        COM   127055101         220       5,154  SH     OTHER       01       1,989       3,025         140
CABOT CORP                        COM   127055101      20,405     478,092  SH     DEFINED  01,08     107,521     370,571           0

CABOT MICROELECTRONICS CORP       COM   12709P103       5,825     149,816  SH     DEFINED     01      54,875      92,891       2,050
CABOT MICROELECTRONICS CORP       COM   12709P103         483      12,424  SH     OTHER       01       3,080       9,199         145
CABOT MICROELECTRONICS CORP       COM   12709P103      11,105     285,631  SH     DEFINED  01,08      94,326     191,305           0
CABOT MICROELECTRONICS CORP       COM   12709P103       2,909      74,822  SH     DEFINED     09      74,822           0           0

CABOT OIL & GAS CORP              COM   127097103      12,738     408,665  SH     DEFINED     01     278,576     126,959       3,130
CABOT OIL & GAS CORP              COM   127097103         659      21,153  SH     OTHER       01      12,701       8,402          50
CABOT OIL & GAS CORP              COM   127097103      48,173   1,545,484  SH     DEFINED  01,08     346,545   1,198,939           0
CABOT OIL & GAS CORP              COM   127097103      15,272     489,967  SH     DEFINED     09     489,967           0           0

CACHE INC                         COM   127150308          44       6,270  SH     DEFINED     01         100       6,170           0
CACHE INC                         COM   127150308         111      15,807  SH     DEFINED  01,08       4,578      11,229           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     61
  ________

CACI INTL INC                  CONV DEB 127190AD8       8,680   7,000,000  PRN    DEFINED     01   1,000,000   6,000,000           0
CACI INTL INC                  CONV DEB 127190AD8       7,440   6,000,000  PRN    DEFINED  01,08   6,000,000           0           0

CACI INTL INC                     COM   127190304       8,838     141,878  SH     DEFINED     01      14,775     127,103           0
CACI INTL INC                     COM   127190304         137       2,200  SH     OTHER       01           0       2,200           0
CACI INTL INC                     COM   127190304      22,159     355,732  SH     DEFINED  01,08     146,600     209,132           0
CACI INTL INC                     COM   127190304       4,741      76,117  SH     DEFINED     09      76,117           0           0

CADENCE PHARMACEUTICALS INC       COM   12738T100         160      43,212  SH     DEFINED     01       8,416      34,796           0
CADENCE PHARMACEUTICALS INC       COM   12738T100       1,742     470,876  SH     DEFINED  01,08      58,181     412,695           0
CADENCE PHARMACEUTICALS INC       COM   12738T100         603     162,938  SH     DEFINED     09     162,938           0           0

CADENCE DESIGN SYSTEM INC         COM   127387108       2,214     186,979  SH     DEFINED     01     128,748      58,231           0
CADENCE DESIGN SYSTEM INC         COM   127387108         677      57,191  SH     OTHER       01         902      56,089         200
CADENCE DESIGN SYSTEM INC         COM   127387108      20,291   1,713,747  SH     DEFINED  01,08     117,140   1,596,607           0
CADENCE DESIGN SYSTEM INC         COM   127387108          16       1,323  SH     DEFINED     09       1,323           0           0

CADIZ INC                         COM   127537207         113      12,304  SH     DEFINED     01       2,474       9,830           0
CADIZ INC                         COM   127537207         999     108,597  SH     DEFINED  01,08      17,289      91,308           0
CADIZ INC                         COM   127537207         515      55,942  SH     DEFINED     09      55,942           0           0

CAESARS ENTMT CORP                COM   127686103         418      28,339  SH     DEFINED  01,08      28,339           0           0
CAESARS ENTMT CORP                COM   127686103       1,580     107,185  SH     DEFINED     09     107,185           0           0

CAL DIVE INTL INC DEL             COM   12802T101       2,955     895,450  SH     DEFINED     01      27,263     868,187           0
CAL DIVE INTL INC DEL             COM   12802T101       5,998   1,817,547  SH     DEFINED  01,08   1,008,002     809,545           0
CAL DIVE INTL INC DEL             COM   12802T101         843     255,454  SH     DEFINED     09     255,454           0           0

CAL MAINE FOODS INC               COM   128030202         696      18,184  SH     DEFINED     01       7,278      10,906           0
CAL MAINE FOODS INC               COM   128030202       5,395     141,006  SH     DEFINED  01,08      24,709     116,297           0
CAL MAINE FOODS INC               COM   128030202       1,503      39,288  SH     DEFINED     09      39,288           0           0

CALAMOS ASSET MGMT INC            COM   12811R104         983      74,995  SH     DEFINED     01      11,635      63,360           0
CALAMOS ASSET MGMT INC            COM   12811R104       3,334     254,280  SH     DEFINED  01,08      91,007     163,273           0
CALAMOS ASSET MGMT INC            COM   12811R104         792      60,424  SH     DEFINED     09      60,424           0           0

CALAMP CORP                       COM   128126109          42       8,639  SH     DEFINED     01           0       8,639           0
CALAMP CORP                       COM   128126109         203      41,817  SH     DEFINED  01,08       5,918      35,899           0

CALAVO GROWERS INC                COM   128246105         441      16,452  SH     DEFINED     01       6,258      10,194           0
CALAVO GROWERS INC                COM   128246105       3,157     117,877  SH     DEFINED  01,08      18,945      98,932           0
CALAVO GROWERS INC                COM   128246105         856      31,970  SH     DEFINED     09      31,970           0           0

CALGON CARBON CORP                COM   129603106       1,281      82,073  SH     DEFINED     01      24,456      57,617           0
CALGON CARBON CORP                COM   129603106       8,693     556,864  SH     DEFINED  01,08      97,778     459,086           0
CALGON CARBON CORP                COM   129603106       2,457     157,370  SH     DEFINED     09     157,370           0           0

CALIFORNIA FIRST NTNL BANCOR      COM   130222102         132       8,579  SH     DEFINED     01         716       7,863           0
CALIFORNIA FIRST NTNL BANCOR      COM   130222102         409      26,687  SH     DEFINED  01,08      11,748      14,939           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     62
  ________

CALIFORNIA WTR SVC GROUP          COM   130788102         846      46,448  SH     DEFINED     01       9,092      37,356           0
CALIFORNIA WTR SVC GROUP          COM   130788102       7,422     407,589  SH     DEFINED  01,08      69,322     338,267           0
CALIFORNIA WTR SVC GROUP          COM   130788102       2,165     118,872  SH     DEFINED     09     118,872           0           0

CALIX INC                         COM   13100M509         272      31,856  SH     DEFINED     01       9,942      21,914           0
CALIX INC                         COM   13100M509       2,879     337,532  SH     DEFINED  01,08      40,187     297,345           0
CALIX INC                         COM   13100M509         889     104,237  SH     DEFINED     09     104,237           0           0

CALLAWAY GOLF CO                  COM   131193104         738     109,231  SH     DEFINED     01      33,222      76,009           0
CALLAWAY GOLF CO                  COM   131193104       4,471     661,372  SH     DEFINED  01,08     127,793     533,579           0
CALLAWAY GOLF CO                  COM   131193104       1,264     187,032  SH     DEFINED     09     187,032           0           0

CALLIDUS SOFTWARE INC             COM   13123E500         191      24,446  SH     DEFINED     01       7,140      17,306           0
CALLIDUS SOFTWARE INC             COM   13123E500       2,192     280,612  SH     DEFINED  01,08      30,103     250,509           0
CALLIDUS SOFTWARE INC             COM   13123E500         642      82,215  SH     DEFINED     09      82,215           0           0

CALLON PETE CO DEL                COM   13123X102         304      48,361  SH     DEFINED     01       9,809      38,552           0
CALLON PETE CO DEL                COM   13123X102       2,255     358,548  SH     DEFINED  01,08      45,979     312,569           0
CALLON PETE CO DEL                COM   13123X102         752     119,627  SH     DEFINED     09     119,627           0           0

CALPINE CORP                      COM   131347304       2,310     134,238  SH     DEFINED     01      83,263      50,975           0
CALPINE CORP                      COM   131347304           5         270  SH     OTHER       01           0           0         270
CALPINE CORP                      COM   131347304      23,027   1,338,005  SH     DEFINED  01,08     186,847   1,151,158           0
CALPINE CORP                      COM   131347304       8,620     500,863  SH     DEFINED     09     500,863           0           0

CALUMET SPECIALTY PRODS PTNR      COM   131476103         201       7,600  SH     DEFINED     01       7,600           0           0
CALUMET SPECIALTY PRODS PTNR      COM   131476103         419      15,847  SH     DEFINED  01,08      15,847           0           0

CAMAC ENERGY INC                  COM   131745101          35      34,500  SH     DEFINED     01      10,950      23,550           0
CAMAC ENERGY INC                  COM   131745101         421     420,927  SH     DEFINED  01,08      46,941     373,986           0
CAMAC ENERGY INC                  COM   131745101         137     137,268  SH     DEFINED     09     137,268           0           0

CAMBIUM LEARNING GRP INC          COM   13201A107          32      11,921  SH     DEFINED     01       1,533      10,388           0
CAMBIUM LEARNING GRP INC          COM   13201A107         350     132,257  SH     DEFINED  01,08      19,215     113,042           0
CAMBIUM LEARNING GRP INC          COM   13201A107         113      42,603  SH     DEFINED     09      42,603           0           0

CAMBREX CORP                      COM   132011107         555      79,355  SH     DEFINED     01      15,450      63,905           0
CAMBREX CORP                      COM   132011107       2,401     343,481  SH     DEFINED  01,08      92,719     250,762           0
CAMBREX CORP                      COM   132011107         563      80,577  SH     DEFINED     09      80,577           0           0

CAMCO FINL CORP                   COM   132618109          15       5,509  SH     DEFINED     01           0       5,509           0
CAMCO FINL CORP                   COM   132618109          43      15,189  SH     DEFINED  01,08       5,713       9,476           0

CAMDEN NATL CORP                  COM   133034108         380      10,801  SH     DEFINED     01       2,464       8,337           0
CAMDEN NATL CORP                  COM   133034108       2,658      75,621  SH     DEFINED  01,08      13,748      61,873           0
CAMDEN NATL CORP                  COM   133034108         890      25,322  SH     DEFINED     09      25,322           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     63
  ________

CAMDEN PPTY TR                    COM   133131102       1,890      28,751  SH     DEFINED     01      19,293       9,458           0
CAMDEN PPTY TR                    COM   133131102          39         590  SH     OTHER       01           0         545          45
CAMDEN PPTY TR                    COM   133131102      39,363     598,671  SH     DEFINED  01,08     141,147     457,524           0
CAMDEN PPTY TR                    COM   133131102       2,315      35,215  SH     DEFINED     09      35,215           0           0

CAMECO CORP                       COM   13321L108       3,498     162,776  SH     DEFINED     01      63,535      99,189          52
CAMECO CORP                       COM   13321L108         353      16,443  SH     OTHER       01       1,168      14,110       1,165
CAMECO CORP                       COM   13321L108         378      17,607  SH     DEFINED  01,08      17,607           0           0

CAMERON INTERNATIONAL CORP        COM   13342B105      15,383     291,176  SH     DEFINED     01     146,615     143,079       1,482
CAMERON INTERNATIONAL CORP        COM   13342B105         312       5,902  SH     OTHER       01       5,578         324           0
CAMERON INTERNATIONAL CORP        COM   13342B105      96,411   1,824,927  SH     DEFINED  01,08     433,622   1,391,305           0
CAMERON INTERNATIONAL CORP        COM   13342B105      31,037     587,487  SH     DEFINED     09     587,487           0           0

CAMPBELL SOUP CO                  COM   134429109       8,645     255,394  SH     DEFINED     01     150,158     100,620       4,616
CAMPBELL SOUP CO                  COM   134429109         889      26,249  SH     OTHER       01      16,947         530       8,772
CAMPBELL SOUP CO                  COM   134429109      45,810   1,353,323  SH     DEFINED  01,08     326,506   1,026,817           0
CAMPBELL SOUP CO                  COM   134429109      15,332     452,925  SH     DEFINED     09     452,925           0           0

CAMPUS CREST CMNTYS INC           COM   13466Y105         285      24,470  SH     DEFINED     01       8,032      16,438           0
CAMPUS CREST CMNTYS INC           COM   13466Y105       3,926     336,731  SH     DEFINED  01,08      78,304     258,427           0
CAMPUS CREST CMNTYS INC           COM   13466Y105       1,192     102,255  SH     DEFINED     09     102,255           0           0

CDN IMPERIAL BK OF COMMERCE       COM   136069101      20,431     267,102  SH     DEFINED     01     256,066       3,744       7,292
CDN IMPERIAL BK OF COMMERCE       COM   136069101       1,703      22,264  SH     OTHER       01      20,581       1,683           0
CDN IMPERIAL BK OF COMMERCE       COM   136069101       1,836      24,009  SH     DEFINED  01,08      24,009           0           0

CANADIAN NATL RY CO               COM   136375102      17,532     220,722  SH     DEFINED     01     194,088      24,850       1,784
CANADIAN NATL RY CO               COM   136375102       1,917      24,137  SH     OTHER       01       8,377      10,550       5,210
CANADIAN NATL RY CO               COM   136375102       2,389      30,075  SH     DEFINED  01,08      30,075           0           0

CANADIAN NAT RES LTD              COM   136385101       8,220     247,749  SH     DEFINED     01     194,801      51,918       1,030
CANADIAN NAT RES LTD              COM   136385101         965      29,094  SH     OTHER       01       6,016      23,078           0
CANADIAN NAT RES LTD              COM   136385101       1,599      48,183  SH     DEFINED  01,08      48,183           0           0

CANADIAN PAC RY LTD               COM   13645T100       4,925      64,851  SH     DEFINED     01      46,304      18,540           7
CANADIAN PAC RY LTD               COM   13645T100         661       8,704  SH     OTHER       01         219       8,485           0
CANADIAN PAC RY LTD               COM   13645T100         572       7,535  SH     DEFINED  01,08       7,535           0           0

CANON INC                         COM   138006309      29,425     617,394  SH     DEFINED     01     579,896      33,200       4,298
CANON INC                         COM   138006309       2,254      47,289  SH     OTHER       01      36,592       6,142       4,555
CANON INC                         COM   138006309       2,823      59,228  SH     DEFINED  01,08      59,228           0           0

CANTEL MEDICAL CORP               COM   138098108       4,598     183,280  SH     DEFINED     01      10,589     172,691           0
CANTEL MEDICAL CORP               COM   138098108         192       7,650  SH     OTHER       01           0       7,650           0
CANTEL MEDICAL CORP               COM   138098108       9,061     361,151  SH     DEFINED  01,08     192,299     168,852           0
CANTEL MEDICAL CORP               COM   138098108       1,269      50,574  SH     DEFINED     09      50,574           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     64
  ________

CAPE BANCORP INC                  COM   139209100          65       8,168  SH     DEFINED     01       2,422       5,746           0
CAPE BANCORP INC                  COM   139209100         793      99,365  SH     DEFINED  01,08      11,826      87,539           0
CAPE BANCORP INC                  COM   139209100         269      33,691  SH     DEFINED     09      33,691           0           0

CAPELLA EDUCATION COMPANY         COM   139594105       1,537      42,758  SH     DEFINED     01      25,505      16,368         885
CAPELLA EDUCATION COMPANY         COM   139594105         101       2,803  SH     OTHER       01       1,335       1,408          60
CAPELLA EDUCATION COMPANY         COM   139594105       4,866     135,352  SH     DEFINED  01,08      20,313     115,039           0
CAPELLA EDUCATION COMPANY         COM   139594105       1,763      49,032  SH     DEFINED     09      49,032           0           0

CAPITAL CITY BK GROUP INC         COM   139674105         441      59,202  SH     DEFINED     01       3,203      55,999           0
CAPITAL CITY BK GROUP INC         COM   139674105       1,165     156,376  SH     DEFINED  01,08      61,795      94,581           0
CAPITAL CITY BK GROUP INC         COM   139674105         242      32,504  SH     DEFINED     09      32,504           0           0

CAPITAL BK CORP                   COM   139793103          26      11,392  SH     DEFINED     01       2,695       8,697           0
CAPITAL BK CORP                   COM   139793103         264     118,003  SH     DEFINED  01,08      14,062     103,941           0

CAPLEASE INC                      COM   140288101         343      85,047  SH     DEFINED     01      19,372      65,675           0
CAPLEASE INC                      COM   140288101       3,102     769,826  SH     DEFINED  01,08     204,157     565,669           0
CAPLEASE INC                      COM   140288101         830     205,902  SH     DEFINED     09     205,902           0           0

CAPITAL ONE FINL CORP             COM   14040H105      44,848     804,596  SH     DEFINED     01     449,791     350,013       4,792
CAPITAL ONE FINL CORP             COM   14040H105       1,847      33,140  SH     OTHER       01      15,195      17,786         159
CAPITAL ONE FINL CORP             COM   14040H105     225,936   4,053,384  SH     DEFINED  01,08   1,036,582   3,016,802           0
CAPITAL ONE FINL CORP             COM   14040H105      70,382   1,262,683  SH     DEFINED     09   1,262,683           0           0

CAPITAL SR LIVING CORP            COM   140475104         880      95,218  SH     DEFINED     01       6,820      88,398           0
CAPITAL SR LIVING CORP            COM   140475104       3,062     331,421  SH     DEFINED  01,08     102,128     229,293           0
CAPITAL SR LIVING CORP            COM   140475104         588      63,616  SH     DEFINED     09      63,616           0           0

CAPITAL SOUTHWEST CORP            COM   140501107         482       5,099  SH     DEFINED     01       1,021       4,078           0
CAPITAL SOUTHWEST CORP            COM   140501107       2,407      25,453  SH     DEFINED  01,08       6,491      18,962           0
CAPITAL SOUTHWEST CORP            COM   140501107         848       8,970  SH     DEFINED     09       8,970           0           0

CAPITAL TRUST INC MD              COM   14052H506          44      11,748  SH     DEFINED     01       1,100      10,648           0
CAPITAL TRUST INC MD              COM   14052H506         145      38,563  SH     DEFINED  01,08      13,613      24,950           0

CAPITALSOURCE INC                 COM   14055X102         673     102,022  SH     DEFINED     01      64,673      37,349           0
CAPITALSOURCE INC                 COM   14055X102         144      21,876  SH     OTHER       01      16,727       4,814         335
CAPITALSOURCE INC                 COM   14055X102       5,821     881,944  SH     DEFINED  01,08     110,159     771,785           0

CAPITOL FED FINL INC              COM   14057J101       1,771     149,103  SH     DEFINED     01      87,473      61,630           0
CAPITOL FED FINL INC              COM   14057J101          61       5,152  SH     OTHER       01       3,317       1,780          55
CAPITOL FED FINL INC              COM   14057J101       7,082     596,126  SH     DEFINED  01,08      73,272     522,854           0

CAPSTONE TURBINE CORP             COM   14067D102         236     231,685  SH     DEFINED     01      47,499     184,186           0
CAPSTONE TURBINE CORP             COM   14067D102       2,359   2,312,658  SH     DEFINED  01,08     285,774   2,026,884           0
CAPSTONE TURBINE CORP             COM   14067D102         688     674,409  SH     DEFINED     09     674,409           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     65
  ________

CAPSTEAD MTG CORP                 COM   14067E506       5,206     397,095  SH     DEFINED     01      24,238     372,857           0
CAPSTEAD MTG CORP                 COM   14067E506      14,715   1,122,446  SH     DEFINED  01,08     434,282     688,164           0
CAPSTEAD MTG CORP                 COM   14067E506       3,320     253,255  SH     DEFINED     09     253,255           0           0

CARBO CERAMICS INC                COM   140781105       1,036       9,820  SH     DEFINED     01       7,263       2,512          45
CARBO CERAMICS INC                COM   140781105           5          49  SH     OTHER       01          49           0           0
CARBO CERAMICS INC                COM   140781105      13,184     125,022  SH     DEFINED  01,08       8,948     116,074           0

CARBONITE INC                     COM   141337105          44       4,013  SH     DEFINED     01         717       3,296           0
CARBONITE INC                     COM   141337105         629      57,116  SH     DEFINED  01,08       6,023      51,093           0
CARBONITE INC                     COM   141337105         250      22,751  SH     DEFINED     09      22,751           0           0

CARDICA INC                       COM   14141R101          19       8,848  SH     DEFINED     01           0       8,848           0
CARDICA INC                       COM   14141R101          59      27,696  SH     DEFINED  01,08       2,448      25,248           0

CARDINAL FINL CORP                COM   14149F109       1,234     109,185  SH     DEFINED     01       9,233      99,952           0
CARDINAL FINL CORP                COM   14149F109       4,082     361,217  SH     DEFINED  01,08     119,725     241,492           0
CARDINAL FINL CORP                COM   14149F109       1,031      91,270  SH     DEFINED     09      91,270           0           0

CARDINAL HEALTH INC               COM   14149Y108      26,100     605,427  SH     DEFINED     01     368,374     227,317       9,736
CARDINAL HEALTH INC               COM   14149Y108       2,927      67,886  SH     OTHER       01      49,943      15,521       2,422
CARDINAL HEALTH INC               COM   14149Y108     113,994   2,644,267  SH     DEFINED  01,08     683,579   1,960,688           0
CARDINAL HEALTH INC               COM   14149Y108      35,846     831,499  SH     DEFINED     09     831,499           0           0

CARDIONET INC                     COM   14159L103          89      28,735  SH     DEFINED     01       4,613      24,122           0
CARDIONET INC                     COM   14159L103         719     233,532  SH     DEFINED  01,08      30,837     202,695           0
CARDIONET INC                     COM   14159L103         253      81,984  SH     DEFINED     09      81,984           0           0

CARDTRONICS INC                   COM   14161H108       1,421      54,127  SH     DEFINED     01      20,807      33,320           0
CARDTRONICS INC                   COM   14161H108          14         518  SH     OTHER       01         145         373           0
CARDTRONICS INC                   COM   14161H108      10,689     407,183  SH     DEFINED  01,08      57,585     349,598           0
CARDTRONICS INC                   COM   14161H108       3,230     123,046  SH     DEFINED     09     123,046           0           0

CARDIOVASCULAR SYS INC DEL        COM   141619106         144      15,567  SH     DEFINED     01       1,562      14,005           0
CARDIOVASCULAR SYS INC DEL        COM   141619106       1,224     132,352  SH     DEFINED  01,08      19,549     112,803           0
CARDIOVASCULAR SYS INC DEL        COM   141619106         344      37,202  SH     DEFINED     09      37,202           0           0

CAREER EDUCATION CORP             COM   141665109         396      49,148  SH     DEFINED     01      25,963      23,185           0
CAREER EDUCATION CORP             COM   141665109       1,970     244,433  SH     DEFINED  01,08      64,069     180,364           0
CAREER EDUCATION CORP             COM   141665109          11       1,354  SH     DEFINED     09       1,354           0           0

CAREFUSION CORP                   COM   14170T101       7,428     286,456  SH     DEFINED     01     150,579     119,763      16,114
CAREFUSION CORP                   COM   14170T101         569      21,945  SH     OTHER       01      20,184       1,761           0
CAREFUSION CORP                   COM   14170T101      43,042   1,659,933  SH     DEFINED  01,08     391,051   1,268,882           0
CAREFUSION CORP                   COM   14170T101      13,326     513,909  SH     DEFINED     09     513,909           0           0

CARDIUM THERAPEUTICS INC          COM   141916106           0       1,312  SH     DEFINED     01         100       1,212           0
CARDIUM THERAPEUTICS INC          COM   141916106           1       5,000  SH     OTHER       01           0       5,000           0
CARDIUM THERAPEUTICS INC          COM   141916106          17      62,024  SH     DEFINED  01,08       1,312      60,712           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     66
  ________

CARIBOU COFFEE INC                COM   142042209         243      13,041  SH     DEFINED     01       6,869       6,172           0
CARIBOU COFFEE INC                COM   142042209       2,439     130,822  SH     DEFINED  01,08      16,470     114,352           0
CARIBOU COFFEE INC                COM   142042209         879      47,169  SH     DEFINED     09      47,169           0           0

CARLISLE COS INC                  COM   142339100       3,679      73,695  SH     DEFINED     01      64,631       8,617         447
CARLISLE COS INC                  COM   142339100          92       1,845  SH     OTHER       01         640       1,155          50
CARLISLE COS INC                  COM   142339100      19,450     389,631  SH     DEFINED  01,08      28,709     360,922           0

CARMAX INC                        COM   143130102       9,072     261,830  SH     DEFINED     01     133,967     127,589         274
CARMAX INC                        COM   143130102         274       7,895  SH     OTHER       01       3,325       4,570           0
CARMAX INC                        COM   143130102      58,082   1,676,238  SH     DEFINED  01,08     406,467   1,269,771           0
CARMAX INC                        COM   143130102      18,862     544,352  SH     DEFINED     09     544,352           0           0

CARMIKE CINEMAS INC               COM   143436400          80       5,719  SH     DEFINED     01         110       5,609           0
CARMIKE CINEMAS INC               COM   143436400         342      24,488  SH     DEFINED  01,08       5,940      18,548           0

CARNIVAL PLC                      COM   14365C103       2,251      70,266  SH     DEFINED     01      66,895       3,315          56
CARNIVAL PLC                      COM   14365C103         255       7,976  SH     OTHER       01       6,844       1,132           0
CARNIVAL PLC                      COM   14365C103         301       9,412  SH     DEFINED  01,08       9,412           0           0

CARNIVAL CORP                     COM   143658300      23,349     727,834  SH     DEFINED     01     462,727     259,430       5,677
CARNIVAL CORP                     COM   143658300       2,090      65,142  SH     OTHER       01      35,067      29,550         525
CARNIVAL CORP                     COM   143658300     104,374   3,253,543  SH     DEFINED  01,08     759,771   2,493,772           0
CARNIVAL CORP                     COM   143658300      35,777   1,115,245  SH     DEFINED     09   1,115,245           0           0

CARRIAGE SVCS INC                 COM   143905107          76      10,021  SH     DEFINED     01           0      10,021           0
CARRIAGE SVCS INC                 COM   143905107         237      31,438  SH     DEFINED  01,08       8,948      22,490           0

CARPENTER TECHNOLOGY CORP         COM   144285103       1,164      22,286  SH     DEFINED     01      13,001       9,285           0
CARPENTER TECHNOLOGY CORP         COM   144285103          70       1,345  SH     OTHER       01       1,310           0          35
CARPENTER TECHNOLOGY CORP         COM   144285103      14,474     277,130  SH     DEFINED  01,08      18,797     258,333           0

CARRIZO OIL & CO INC              COM   144577103       2,266      80,201  SH     DEFINED     01      29,102      51,099           0
CARRIZO OIL & CO INC              COM   144577103         288      10,186  SH     OTHER       01       7,716       2,470           0
CARRIZO OIL & CO INC              COM   144577103      10,552     373,387  SH     DEFINED  01,08      62,699     310,688           0
CARRIZO OIL & CO INC              COM   144577103       3,048     107,866  SH     DEFINED     09     107,866           0           0

CARROLS RESTAURANT GROUP INC      COM   14574X104         159      10,433  SH     DEFINED     01       2,422       8,011           0
CARROLS RESTAURANT GROUP INC      COM   14574X104       1,679     110,094  SH     DEFINED  01,08      13,484      96,610           0
CARROLS RESTAURANT GROUP INC      COM   14574X104         513      33,612  SH     DEFINED     09      33,612           0           0

CARTER INC                        COM   146229109       3,375      67,806  SH     DEFINED     01      16,252      51,554           0
CARTER INC                        COM   146229109          20         400  SH     OTHER       01         400           0           0
CARTER INC                        COM   146229109      30,827     619,398  SH     DEFINED  01,08      74,695     544,703           0
CARTER INC                        COM   146229109       7,407     148,829  SH     DEFINED     09     148,829           0           0

CASCADE BANCORP                   COM   147154207          23       4,049  SH     DEFINED     01         523       3,526           0
CASCADE BANCORP                   COM   147154207         335      58,984  SH     DEFINED  01,08       5,573      53,411           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     67
  ________

CASCADE CORP                      COM   147195101       4,571      91,199  SH     DEFINED     01       4,694      86,505           0
CASCADE CORP                      COM   147195101         118       2,350  SH     OTHER       01           0       2,350           0
CASCADE CORP                      COM   147195101       9,036     180,286  SH     DEFINED  01,08     102,773      77,513           0
CASCADE CORP                      COM   147195101       1,262      25,182  SH     DEFINED     09      25,182           0           0

CASELLA WASTE SYS INC             COM   147448104         216      34,675  SH     DEFINED     01       9,267      25,408           0
CASELLA WASTE SYS INC             COM   147448104       1,507     241,956  SH     DEFINED  01,08      33,388     208,568           0
CASELLA WASTE SYS INC             COM   147448104         374      59,957  SH     DEFINED     09      59,957           0           0

CASEYS GEN STORES INC             COM   147528103      12,760     230,074  SH     DEFINED     01      86,184     141,953       1,937
CASEYS GEN STORES INC             COM   147528103         574      10,341  SH     OTHER       01         921       9,190         230
CASEYS GEN STORES INC             COM   147528103      26,868     484,460  SH     DEFINED  01,08     171,197     313,263           0
CASEYS GEN STORES INC             COM   147528103       6,409     115,569  SH     DEFINED     09     115,569           0           0

CASH AMER INTL INC                COM   14754D100      12,433     259,403  SH     DEFINED     01      32,038     226,730         635
CASH AMER INTL INC                COM   14754D100         403       8,411  SH     OTHER       01         450       7,961           0
CASH AMER INTL INC                COM   14754D100      23,382     487,842  SH     DEFINED  01,08     247,690     240,152           0
CASH AMER INTL INC                COM   14754D100       4,079      85,101  SH     DEFINED     09      85,101           0           0

CASS INFORMATION SYS INC          COM   14808P109       2,458      61,527  SH     DEFINED     01      44,272      15,244       2,011
CASS INFORMATION SYS INC          COM   14808P109         241       6,032  SH     OTHER       01       2,712       3,180         140
CASS INFORMATION SYS INC          COM   14808P109       3,563      89,179  SH     DEFINED  01,08      14,292      74,887           0
CASS INFORMATION SYS INC          COM   14808P109       1,122      28,089  SH     DEFINED     09      28,089           0           0

CASTLE A M & CO                   COM   148411101       2,831     223,791  SH     DEFINED     01     102,987     120,804           0
CASTLE A M & CO                   COM   148411101       3,993     315,622  SH     OTHER       01     315,622           0           0
CASTLE A M & CO                   COM   148411101       3,611     285,480  SH     DEFINED  01,08     144,685     140,795           0
CASTLE A M & CO                   COM   148411101         565      44,645  SH     DEFINED     09      44,645           0           0

CASUAL MALE RETAIL GRP INC        COM   148711302         416     123,930  SH     DEFINED     01      87,610      33,930       2,390
CASUAL MALE RETAIL GRP INC        COM   148711302           9       2,580  SH     OTHER       01       2,580           0           0
CASUAL MALE RETAIL GRP INC        COM   148711302       1,277     380,054  SH     DEFINED  01,08      46,397     333,657           0
CASUAL MALE RETAIL GRP INC        COM   148711302         376     111,775  SH     DEFINED     09     111,775           0           0

CATALYST HEALTH SOLUTIONS IN      COM   14888B103       2,916      45,749  SH     DEFINED     01      27,575      18,059         115
CATALYST HEALTH SOLUTIONS IN      COM   14888B103          53         826  SH     OTHER       01         760          66           0
CATALYST HEALTH SOLUTIONS IN      COM   14888B103      19,628     307,994  SH     DEFINED  01,08      30,720     277,274           0

CATALYST PHARM PARTNERS INC       COM   14888U101           1         655  SH     DEFINED     01           0         655           0
CATALYST PHARM PARTNERS INC       COM   14888U101          23      20,685  SH     DEFINED  01,08         944      19,741           0

CATERPILLAR INC DEL               COM   149123101     166,390   1,562,057  SH     DEFINED     01   1,203,068     338,507      20,482
CATERPILLAR INC DEL               COM   149123101      34,205     321,110  SH     OTHER       01     253,016      55,261      12,833
CATERPILLAR INC DEL               COM   149123101     529,157   4,967,678  SH     DEFINED  01,08   1,315,971   3,651,707           0
CATERPILLAR INC DEL               COM   149123101     172,172   1,616,334  SH     DEFINED     09   1,616,334           0           0

CATHAY GENERAL BANCORP            COM   149150104       1,551      87,605  SH     DEFINED     01      21,016      66,589           0
CATHAY GENERAL BANCORP            COM   149150104      17,153     969,099  SH     DEFINED  01,08     108,361     860,738           0
CATHAY GENERAL BANCORP            COM   149150104       4,132     233,421  SH     DEFINED     09     233,421           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     68
  ________

CATO CORP NEW                     COM   149205106       1,291      46,722  SH     DEFINED     01      14,600      32,122           0
CATO CORP NEW                     COM   149205106       7,707     278,827  SH     DEFINED  01,08      50,688     228,139           0
CATO CORP NEW                     COM   149205106       2,268      82,044  SH     DEFINED     09      82,044           0           0

CAVCO INDS INC DEL                COM   149568107         806      17,308  SH     DEFINED     01       1,930      15,378           0
CAVCO INDS INC DEL                COM   149568107       3,374      72,432  SH     DEFINED  01,08      18,708      53,724           0
CAVCO INDS INC DEL                COM   149568107       1,106      23,734  SH     DEFINED     09      23,734           0           0

CAVIUM INC                        COM   14964U108       2,408      77,816  SH     DEFINED     01      25,961      51,855           0
CAVIUM INC                        COM   14964U108         175       5,666  SH     OTHER       01       5,666           0           0
CAVIUM INC                        COM   14964U108      14,238     460,191  SH     DEFINED  01,08      66,657     393,534           0
CAVIUM INC                        COM   14964U108       4,358     140,852  SH     DEFINED     09     140,852           0           0

CBEYOND INC                       COM   149847105         311      38,835  SH     DEFINED     01      15,357      23,478           0
CBEYOND INC                       COM   149847105       2,269     283,636  SH     DEFINED  01,08      51,234     232,402           0
CBEYOND INC                       COM   149847105         681      85,130  SH     DEFINED     09      85,130           0           0

CEDAR REALTY TRUST INC            COM   150602209       2,306     450,437  SH     DEFINED     01      31,404     419,033           0
CEDAR REALTY TRUST INC            COM   150602209       5,464   1,067,228  SH     DEFINED  01,08     608,505     458,723           0
CEDAR REALTY TRUST INC            COM   150602209         929     181,404  SH     DEFINED     09     181,404           0           0

CEL-SCI CORP                      COM   150837409           7      13,568  SH     DEFINED     01       2,400      11,168           0
CEL-SCI CORP                      COM   150837409         120     249,190  SH     DEFINED  01,08       9,261     239,929           0

CELADON GROUP INC                 COM   150838100         467      30,062  SH     DEFINED     01       7,881      22,181           0
CELADON GROUP INC                 COM   150838100       3,174     204,100  SH     DEFINED  01,08      30,143     173,957           0
CELADON GROUP INC                 COM   150838100       1,085      69,803  SH     DEFINED     09      69,803           0           0

CELANESE CORP DEL                 COM   150870103       2,415      52,291  SH     DEFINED     01      35,868      16,423           0
CELANESE CORP DEL                 COM   150870103         181       3,910  SH     OTHER       01       3,560          65         285
CELANESE CORP DEL                 COM   150870103      24,481     530,128  SH     DEFINED  01,08      50,471     479,657           0
CELANESE CORP DEL                 COM   150870103      10,572     228,929  SH     DEFINED     09     228,929           0           0

CELL THERAPEUTICS INC             COM   150934602         215     163,671  SH     DEFINED     01      55,536     108,135           0
CELL THERAPEUTICS INC             COM   150934602       2,362   1,796,057  SH     DEFINED  01,08     224,679   1,571,378           0
CELL THERAPEUTICS INC             COM   150934602         629     478,133  SH     DEFINED     09     478,133           0           0

CELGENE CORP                      COM   151020104      69,474     896,213  SH     DEFINED     01     549,447     324,263      22,503
CELGENE CORP                      COM   151020104       3,501      45,161  SH     OTHER       01      31,767      10,044       3,350
CELGENE CORP                      COM   151020104     261,768   3,376,774  SH     DEFINED  01,08     877,215   2,499,559           0
CELGENE CORP                      COM   151020104      85,468   1,102,534  SH     DEFINED     09   1,102,534           0           0

CELLDEX THERAPEUTICS INC NEW      COM   15117B103         245      48,115  SH     DEFINED     01       9,863      38,252           0
CELLDEX THERAPEUTICS INC NEW      COM   15117B103       2,340     459,802  SH     DEFINED  01,08      75,565     384,237           0
CELLDEX THERAPEUTICS INC NEW      COM   15117B103         804     157,892  SH     DEFINED     09     157,892           0           0

CELSION CORPORATION               COM   15117N305          74      38,728  SH     DEFINED  01,08           0      38,728           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     69
  ________

CEMEX SAB DE CV                   COM   151290889       1,203     155,066  SH     DEFINED     01     152,440       1,003       1,623
CEMEX SAB DE CV                   COM   151290889          35       4,468  SH     OTHER       01       2,574       1,894           0
CEMEX SAB DE CV                   COM   151290889         531      68,393  SH     DEFINED  01,08      68,393           0           0

CEMPRA INC                        COM   15130J109         115      15,285  SH     DEFINED  01,08       2,746      12,539           0
CEMPRA INC                        COM   15130J109         385      50,933  SH     DEFINED     09      50,933           0           0

CENTENE CORP DEL                  COM   15135B101       6,249     127,601  SH     DEFINED     01      24,146     103,455           0
CENTENE CORP DEL                  COM   15135B101         282       5,765  SH     OTHER       01           0       5,765           0
CENTENE CORP DEL                  COM   15135B101      26,621     543,610  SH     DEFINED  01,08     137,098     406,512           0
CENTENE CORP DEL                  COM   15135B101       7,074     144,463  SH     DEFINED     09     144,463           0           0

CENOVUS ENERGY INC                COM   15135U109      15,762     438,559  SH     DEFINED     01     314,953     122,590       1,016
CENOVUS ENERGY INC                COM   15135U109       2,346      65,289  SH     OTHER       01      56,109       5,180       4,000
CENOVUS ENERGY INC                COM   15135U109       5,154     143,416  SH     DEFINED  01,08     143,416           0           0

CENTER BANCORP INC                COM   151408101         174      17,312  SH     DEFINED     01       2,627      14,685           0
CENTER BANCORP INC                COM   151408101       1,165     116,154  SH     DEFINED  01,08      20,200      95,954           0
CENTER BANCORP INC                COM   151408101         334      33,333  SH     DEFINED     09      33,333           0           0

CENTERPOINT ENERGY INC            COM   15189T107      11,139     564,852  SH     DEFINED     01     317,620     216,488      30,744
CENTERPOINT ENERGY INC            COM   15189T107         801      40,615  SH     OTHER       01       9,275       9,400      21,940
CENTERPOINT ENERGY INC            COM   15189T107      63,175   3,203,607  SH     DEFINED  01,08     828,158   2,375,449           0
CENTERPOINT ENERGY INC            COM   15189T107      19,362     981,854  SH     DEFINED     09     981,854           0           0

CENTERSTATE BANKS INC             COM   15201P109         198      24,267  SH     DEFINED     01       7,279      16,988           0
CENTERSTATE BANKS INC             COM   15201P109       1,978     242,352  SH     DEFINED  01,08      35,931     206,421           0
CENTERSTATE BANKS INC             COM   15201P109         607      74,331  SH     DEFINED     09      74,331           0           0

CENTRAIS ELETRICAS BRASILEIR      COM   15234Q108         664      51,643  SH     DEFINED     01       6,833      44,810           0
CENTRAIS ELETRICAS BRASILEIR      COM   15234Q108         110       8,541  SH     OTHER       01           0       8,541           0

CENTRAIS ELETRICAS BRASILEIR      COM   15234Q207       1,039     110,982  SH     DEFINED     01      46,898      63,984         100
CENTRAIS ELETRICAS BRASILEIR      COM   15234Q207          74       7,950  SH     OTHER       01         694       5,728       1,528
CENTRAIS ELETRICAS BRASILEIR      COM   15234Q207         236      25,249  SH     DEFINED  01,08      25,249           0           0

CENTRAL EUROPEAN DIST CORP        COM   153435102         330      64,538  SH     DEFINED     01      12,281      52,257           0
CENTRAL EUROPEAN DIST CORP        COM   153435102       3,312     648,132  SH     DEFINED  01,08      77,428     570,704           0
CENTRAL EUROPEAN DIST CORP        COM   153435102       1,018     199,165  SH     DEFINED     09     199,165           0           0

CENTRAL FD CDA LTD                COM   153501101         244      11,100  SH     DEFINED     01      11,100           0           0

CENTRAL GARDEN & PET CO           COM   153527106          53       5,640  SH     DEFINED     01           0       5,640           0
CENTRAL GARDEN & PET CO           COM   153527106          67       7,093  SH     DEFINED  01,08       6,496         597           0

CENTRAL GARDEN & PET CO           COM   153527205         561      58,266  SH     DEFINED     01      25,304      32,962           0
CENTRAL GARDEN & PET CO           COM   153527205       4,256     441,931  SH     DEFINED  01,08      78,367     363,564           0
CENTRAL GARDEN & PET CO           COM   153527205       1,626     168,872  SH     DEFINED     09     168,872           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     70
  ________

CENTRAL PAC FINL CORP             COM   154760409         214      16,523  SH     DEFINED     01       7,957       8,566           0
CENTRAL PAC FINL CORP             COM   154760409       1,684     130,021  SH     DEFINED  01,08      22,576     107,445           0
CENTRAL PAC FINL CORP             COM   154760409         642      49,581  SH     DEFINED     09      49,581           0           0

CENTRAL VT PUB SVC CORP           COM   155771108         880      24,990  SH     DEFINED     01       5,946      19,044           0
CENTRAL VT PUB SVC CORP           COM   155771108       4,940     140,349  SH     DEFINED  01,08      31,695     108,654           0
CENTRAL VT PUB SVC CORP           COM   155771108       1,228      34,897  SH     DEFINED     09      34,897           0           0

CENTURY ALUM CO                   COM   156431108         640      72,117  SH     DEFINED     01      26,657      45,460           0
CENTURY ALUM CO                   COM   156431108       4,511     507,988  SH     DEFINED  01,08      83,841     424,147           0
CENTURY ALUM CO                   COM   156431108       1,368     154,065  SH     DEFINED     09     154,065           0           0

CENTURY BANCORP INC MASS          COM   156432106         207       7,588  SH     DEFINED     01         733       6,855           0
CENTURY BANCORP INC MASS          COM   156432106         986      36,122  SH     DEFINED  01,08       7,801      28,321           0
CENTURY BANCORP INC MASS          COM   156432106          56       2,052  SH     DEFINED     09       2,052           0           0

CENTURY CASINOS INC               COM   156492100           6       2,191  SH     DEFINED     01           0       2,191           0
CENTURY CASINOS INC               COM   156492100          46      15,886  SH     DEFINED  01,08       2,726      13,160           0

CEPHEID                           COM   15670R107       7,796     186,367  SH     DEFINED     01     102,498      79,729       4,140
CEPHEID                           COM   15670R107         577      13,785  SH     OTHER       01       5,180       7,210       1,395
CEPHEID                           COM   15670R107      26,060     623,001  SH     DEFINED  01,08      95,626     527,375           0
CEPHEID                           COM   15670R107       8,042     192,255  SH     DEFINED     09     192,255           0           0

CENVEO INC                        COM   15670S105         224      66,325  SH     DEFINED     01      13,835      52,490           0
CENVEO INC                        COM   15670S105       1,811     535,807  SH     DEFINED  01,08      79,840     455,967           0
CENVEO INC                        COM   15670S105         491     145,364  SH     DEFINED     09     145,364           0           0

CENTURYLINK INC                   COM   156700106      29,767     770,161  SH     DEFINED     01     385,579     382,485       2,097
CENTURYLINK INC                   COM   156700106       1,429      36,976  SH     OTHER       01      22,899       3,691      10,386
CENTURYLINK INC                   COM   156700106     179,709   4,649,658  SH     DEFINED  01,08   1,174,101   3,475,557           0
CENTURYLINK INC                   COM   156700106      57,464   1,486,787  SH     DEFINED     09   1,486,787           0           0

CERADYNE INC                      COM   156710105       8,800     270,258  SH     DEFINED     01      11,561     258,697           0
CERADYNE INC                      COM   156710105      15,776     484,532  SH     DEFINED  01,08     282,598     201,934           0
CERADYNE INC                      COM   156710105       2,434      74,753  SH     DEFINED     09      74,753           0           0

CEREPLAST INC                     COM   156732307          10      16,773  SH     DEFINED  01,08           0      16,773           0

CERES INC                         COM   156773103         222      13,867  SH     DEFINED  01,08       4,161       9,706           0
CERES INC                         COM   156773103         374      23,409  SH     DEFINED     09      23,409           0           0

CERNER CORP                       COM   156782104      29,840     391,811  SH     DEFINED     01     264,565     122,951       4,295
CERNER CORP                       COM   156782104       1,816      23,847  SH     OTHER       01       7,995      11,142       4,710
CERNER CORP                       COM   156782104      83,172   1,092,069  SH     DEFINED  01,08     266,341     825,728           0
CERNER CORP                       COM   156782104      26,758     351,340  SH     DEFINED     09     351,340           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     71
  ________

CERUS CORP                        COM   157085101         205      50,886  SH     DEFINED     01      10,186      40,700           0
CERUS CORP                        COM   157085101       1,813     450,953  SH     DEFINED  01,08      61,875     389,078           0
CERUS CORP                        COM   157085101         774     192,602  SH     DEFINED     09     192,602           0           0

CEVA INC                          COM   157210105         670      29,517  SH     DEFINED     01      11,004      18,513           0
CEVA INC                          COM   157210105       5,018     220,948  SH     DEFINED  01,08      34,600     186,348           0
CEVA INC                          COM   157210105       1,536      67,655  SH     DEFINED     09      67,655           0           0

CHAMPION INDS INC W VA            COM   158520106           4       5,800  SH     DEFINED     01           0       5,800           0
CHAMPION INDS INC W VA            COM   158520106           5       7,054  SH     DEFINED  01,08       5,206       1,848           0

CHARLES & COLVARD LTD             COM   159765106          18       3,984  SH     DEFINED     01           0       3,984           0
CHARLES & COLVARD LTD             COM   159765106          92      19,904  SH     DEFINED  01,08       3,980      15,924           0

CHARLES RIV LABS INTL INC      CONV DEB 159864AB3       2,771   2,750,000  PRN    DEFINED     01     750,000   2,000,000           0

CHARLES RIV LABS INTL INC         COM   159864107       1,294      35,853  SH     DEFINED     01      17,728      18,125           0
CHARLES RIV LABS INTL INC         COM   159864107      11,898     329,662  SH     DEFINED  01,08      33,559     296,103           0

CHARMING SHOPPES INC              COM   161133103         656     111,140  SH     DEFINED     01      23,266      87,874           0
CHARMING SHOPPES INC              COM   161133103       6,351   1,076,418  SH     DEFINED  01,08     146,822     929,596           0
CHARMING SHOPPES INC              COM   161133103       2,056     348,414  SH     DEFINED     09     348,414           0           0

CHART INDS INC                    COM   16115Q308       3,136      42,764  SH     DEFINED     01      10,151      32,533          80
CHART INDS INC                    COM   16115Q308           6          85  SH     OTHER       01          85           0           0
CHART INDS INC                    COM   16115Q308      20,780     283,370  SH     DEFINED  01,08      45,133     238,237           0
CHART INDS INC                    COM   16115Q308       6,256      85,313  SH     DEFINED     09      85,313           0           0

CHARTER COMMUNICATIONS INC D      COM   16117M305         579       9,131  SH     DEFINED     01       5,355       3,776           0
CHARTER COMMUNICATIONS INC D      COM   16117M305           2          30  SH     OTHER       01           0           0          30
CHARTER COMMUNICATIONS INC D      COM   16117M305       9,833     154,967  SH     DEFINED  01,08      11,098     143,869           0
CHARTER COMMUNICATIONS INC D      COM   16117M305         254       4,000  SH     DEFINED     09       4,000           0           0

CHARTER FINL CORP WEST PT GA      COM   16122M100          89       9,907  SH     DEFINED     01       1,544       8,363           0
CHARTER FINL CORP WEST PT GA      COM   16122M100         573      63,898  SH     DEFINED  01,08      12,780      51,118           0

CHASE CORP                        COM   16150R104         163      10,377  SH     DEFINED     01       1,240       9,137           0
CHASE CORP                        COM   16150R104       1,008      63,997  SH     DEFINED  01,08      12,514      51,483           0
CHASE CORP                        COM   16150R104         355      22,519  SH     DEFINED     09      22,519           0           0

CHATHAM LODGING TR                COM   16208T102         303      23,910  SH     DEFINED     01       5,720      18,190           0
CHATHAM LODGING TR                COM   16208T102       1,776     139,979  SH     DEFINED  01,08      25,781     114,198           0
CHATHAM LODGING TR                COM   16208T102         486      38,261  SH     DEFINED     09      38,261           0           0

CHECKPOINT SYS INC                COM   162825103         830      73,566  SH     DEFINED     01      27,032      46,324         210
CHECKPOINT SYS INC                COM   162825103         177      15,725  SH     OTHER       01         225      15,500           0
CHECKPOINT SYS INC                COM   162825103       4,624     409,955  SH     DEFINED  01,08      77,577     332,378           0
CHECKPOINT SYS INC                COM   162825103       1,269     112,488  SH     DEFINED     09     112,488           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     72
  ________

CHEESECAKE FACTORY INC            COM   163072101       4,645     158,061  SH     DEFINED     01      84,940      69,966       3,155
CHEESECAKE FACTORY INC            COM   163072101         312      10,605  SH     OTHER       01       3,930       5,605       1,070
CHEESECAKE FACTORY INC            COM   163072101      20,846     709,301  SH     DEFINED  01,08      91,758     617,543           0
CHEESECAKE FACTORY INC            COM   163072101       4,985     169,608  SH     DEFINED     09     169,608           0           0

CHEFS WHSE INC                    COM   163086101         171       7,397  SH     DEFINED     01       2,210       5,187           0
CHEFS WHSE INC                    COM   163086101       1,773      76,628  SH     DEFINED  01,08       9,094      67,534           0
CHEFS WHSE INC                    COM   163086101         590      25,476  SH     DEFINED     09      25,476           0           0

CHELSEA THERAPEUTICS INTL LT      COM   163428105         105      41,210  SH     DEFINED     01      10,989      30,221           0
CHELSEA THERAPEUTICS INTL LT      COM   163428105       1,351     527,722  SH     DEFINED  01,08      60,775     466,947           0
CHELSEA THERAPEUTICS INTL LT      COM   163428105         443     172,940  SH     DEFINED     09     172,940           0           0

CHEMED CORP NEW                   COM   16359R103       6,266      99,970  SH     DEFINED     01      64,422      33,293       2,255
CHEMED CORP NEW                   COM   16359R103       1,564      24,958  SH     OTHER       01      20,220       3,978         760
CHEMED CORP NEW                   COM   16359R103      12,654     201,883  SH     DEFINED  01,08      39,337     162,546           0
CHEMED CORP NEW                   COM   16359R103       4,074      64,996  SH     DEFINED     09      64,996           0           0

CHEMICAL FINL CORP                COM   163731102       6,104     260,421  SH     DEFINED     01       7,731     252,690           0
CHEMICAL FINL CORP                COM   163731102      11,576     493,850  SH     DEFINED  01,08     271,203     222,647           0
CHEMICAL FINL CORP                COM   163731102       1,876      80,030  SH     DEFINED     09      80,030           0           0

CHEMOCENTRYX INC                  COM   16383L106         120      11,260  SH     DEFINED  01,08       3,506       7,754           0

CHEMTURA CORP                     COM   163893209       2,993     176,246  SH     DEFINED     01      79,340      96,906           0
CHEMTURA CORP                     COM   163893209          82       4,801  SH     OTHER       01       3,141       1,660           0
CHEMTURA CORP                     COM   163893209      15,032     885,301  SH     DEFINED  01,08     113,118     772,183           0
CHEMTURA CORP                     COM   163893209       4,925     290,059  SH     DEFINED     09     290,059           0           0

CHENIERE ENERGY INC               COM   16411R208       1,909     127,456  SH     DEFINED     01      27,275     100,181           0
CHENIERE ENERGY INC               COM   16411R208      18,283   1,220,496  SH     DEFINED  01,08     171,129   1,049,367           0
CHENIERE ENERGY INC               COM   16411R208       6,778     452,462  SH     DEFINED     09     452,462           0           0

CHEROKEE INC DEL NEW              COM   16444H102         166      14,608  SH     DEFINED     01       1,592      13,016           0
CHEROKEE INC DEL NEW              COM   16444H102       1,317     115,616  SH     DEFINED  01,08      46,958      68,658           0
CHEROKEE INC DEL NEW              COM   16444H102         328      28,765  SH     DEFINED     09      28,765           0           0

CHESAPEAKE ENERGY CORP            COM   165167107      18,579     801,875  SH     DEFINED     01     447,651     347,431       6,793
CHESAPEAKE ENERGY CORP            COM   165167107         930      40,159  SH     OTHER       01      14,476      25,111         572
CHESAPEAKE ENERGY CORP            COM   165167107     114,086   4,923,867  SH     DEFINED  01,08   1,200,770   3,723,097           0
CHESAPEAKE ENERGY CORP            COM   165167107      36,854   1,590,607  SH     DEFINED     09   1,590,607           0           0

CHESAPEAKE GRANITE WASH TR        COM   165185109         255       9,750  SH     DEFINED     01       9,750           0           0
CHESAPEAKE GRANITE WASH TR        COM   165185109          52       2,000  SH     OTHER       01           0       2,000           0

CHESAPEAKE MIDSTREAM PARTNER      COM   16524K108       1,233      41,500  SH     DEFINED     01      41,500           0           0
CHESAPEAKE MIDSTREAM PARTNER      COM   16524K108          89       3,000  SH     OTHER       01           0       3,000           0
CHESAPEAKE MIDSTREAM PARTNER      COM   16524K108         609      20,487  SH     DEFINED  01,08      20,487           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     73
  ________

CHESAPEAKE LODGING TR             COM   165240102         615      34,247  SH     DEFINED     01       9,814      24,433           0
CHESAPEAKE LODGING TR             COM   165240102       6,386     355,351  SH     DEFINED  01,08      93,873     261,478           0
CHESAPEAKE LODGING TR             COM   165240102       2,040     113,527  SH     DEFINED     09     113,527           0           0

CHESAPEAKE UTILS CORP             COM   165303108         683      16,612  SH     DEFINED     01       3,772      12,840           0
CHESAPEAKE UTILS CORP             COM   165303108       4,268     103,805  SH     DEFINED  01,08      20,015      83,790           0
CHESAPEAKE UTILS CORP             COM   165303108       1,140      27,731  SH     DEFINED     09      27,731           0           0

CHEVRON CORP NEW                  COM   166764100     619,590   5,779,223  SH     DEFINED     01   4,179,214   1,315,534     284,475
CHEVRON CORP NEW                  COM   166764100     129,087   1,204,056  SH     OTHER       01     764,176     316,176     123,704
CHEVRON CORP NEW                  COM   166764100   1,640,730  15,303,890  SH     DEFINED  01,08   4,067,854  11,227,819       8,217
CHEVRON CORP NEW                  COM   166764100     541,944   5,054,978  SH     DEFINED     09   5,054,978           0           0

CHICAGO BRIDGE & IRON CO N V      COM   167250109       3,294      76,274  SH     DEFINED     01      60,799      14,823         652
CHICAGO BRIDGE & IRON CO N V      COM   167250109         515      11,921  SH     OTHER       01       2,930       8,126         865
CHICAGO BRIDGE & IRON CO N V      COM   167250109       8,594     198,977  SH     DEFINED  01,08      35,112     163,865           0

CHICOS FAS INC                    COM   168615102       1,838     121,729  SH     DEFINED     01      99,343      22,131         255
CHICOS FAS INC                    COM   168615102         357      23,645  SH     OTHER       01       2,020      21,625           0
CHICOS FAS INC                    COM   168615102      16,295   1,079,172  SH     DEFINED  01,08      89,366     989,806           0

CHILDRENS PL RETAIL STORES I      COM   168905107       2,107      40,770  SH     DEFINED     01      12,203      28,567           0
CHILDRENS PL RETAIL STORES I      COM   168905107      13,166     254,816  SH     DEFINED  01,08      45,478     209,338           0
CHILDRENS PL RETAIL STORES I      COM   168905107       3,877      75,039  SH     DEFINED     09      75,039           0           0

CHIMERA INVT CORP                 COM   16934Q109       8,940   3,158,867  SH     DEFINED     01   2,991,543     167,324           0
CHIMERA INVT CORP                 COM   16934Q109         369     130,286  SH     OTHER       01     129,751           0         535
CHIMERA INVT CORP                 COM   16934Q109       9,873   3,488,683  SH     DEFINED  01,08     425,193   3,063,490           0

CHINA LIFE INS CO LTD             COM   16939P106       2,207      56,784  SH     DEFINED     01      54,834       1,859          91
CHINA LIFE INS CO LTD             COM   16939P106          55       1,405  SH     OTHER       01         486         919           0
CHINA LIFE INS CO LTD             COM   16939P106         836      21,519  SH     DEFINED  01,08      21,519           0           0

CHINA MOBILE LIMITED              COM   16941M109      14,142     256,760  SH     DEFINED     01     247,085       8,785         890
CHINA MOBILE LIMITED              COM   16941M109       1,105      20,065  SH     OTHER       01      13,395       5,925         745
CHINA MOBILE LIMITED              COM   16941M109       2,566      46,589  SH     DEFINED  01,08      46,589           0           0

CHINA PETE & CHEM CORP            COM   16941R108       2,301      21,162  SH     DEFINED     01      20,203         665         294
CHINA PETE & CHEM CORP            COM   16941R108          66         609  SH     OTHER       01         502         107           0
CHINA PETE & CHEM CORP            COM   16941R108       1,355      12,466  SH     DEFINED  01,08      12,466           0           0

CHINA UNICOM (HONG KONG) LTD      COM   16945R104         422      25,145  SH     DEFINED     01      24,939         206           0
CHINA UNICOM (HONG KONG) LTD      COM   16945R104           3         169  SH     OTHER       01           0         169           0

CHINDEX INTERNATIONAL INC         COM   169467107         254      26,698  SH     DEFINED     01       9,876      16,822           0
CHINDEX INTERNATIONAL INC         COM   169467107       1,184     124,647  SH     DEFINED  01,08      29,109      95,538           0
CHINDEX INTERNATIONAL INC         COM   169467107         340      35,778  SH     DEFINED     09      35,778           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     74
  ________

CHIPOTLE MEXICAN GRILL INC        COM   169656105      26,049      62,318  SH     DEFINED     01      44,129      17,937         252
CHIPOTLE MEXICAN GRILL INC        COM   169656105       2,343       5,605  SH     OTHER       01       4,754         502         349
CHIPOTLE MEXICAN GRILL INC        COM   169656105      96,614     231,134  SH     DEFINED  01,08      53,124     178,010           0
CHIPOTLE MEXICAN GRILL INC        COM   169656105      31,861      76,222  SH     DEFINED     09      76,222           0           0

CHOICE HOTELS INTL INC            COM   169905106       3,212      86,023  SH     DEFINED     01      78,392       6,965         666
CHOICE HOTELS INTL INC            COM   169905106         104       2,775  SH     OTHER       01       1,015       1,455         305
CHOICE HOTELS INTL INC            COM   169905106       3,769     100,930  SH     DEFINED  01,08      10,189      90,741           0

CHIQUITA BRANDS INTL INC          COM   170032809       3,705     421,447  SH     DEFINED     01      10,792     410,655           0
CHIQUITA BRANDS INTL INC          COM   170032809       7,573     861,570  SH     DEFINED  01,08     482,649     378,921           0
CHIQUITA BRANDS INTL INC          COM   170032809       1,126     128,092  SH     DEFINED     09     128,092           0           0

CHRISTOPHER & BANKS CORP          COM   171046105          84      44,933  SH     DEFINED     01      10,472      34,461           0
CHRISTOPHER & BANKS CORP          COM   171046105         635     341,236  SH     DEFINED  01,08      58,212     283,024           0
CHRISTOPHER & BANKS CORP          COM   171046105         197     106,148  SH     DEFINED     09     106,148           0           0

CHUBB CORP                        COM   171232101      32,415     469,038  SH     DEFINED     01     233,299     233,317       2,422
CHUBB CORP                        COM   171232101       3,724      53,886  SH     OTHER       01      31,091      21,630       1,165
CHUBB CORP                        COM   171232101     144,192   2,086,409  SH     DEFINED  01,08     554,467   1,531,942           0
CHUBB CORP                        COM   171232101      45,937     664,692  SH     DEFINED     09     664,692           0           0

CHUNGHWA TELECOM CO LTD           COM   17133Q502       2,047      66,559  SH     DEFINED     01      65,161       1,004         394
CHUNGHWA TELECOM CO LTD           COM   17133Q502         264       8,575  SH     OTHER       01       7,815         760           0
CHUNGHWA TELECOM CO LTD           COM   17133Q502       1,064      34,584  SH     DEFINED  01,08      34,584           0           0

CHURCH & DWIGHT INC               COM   171340102       3,534      71,853  SH     DEFINED     01      51,659      19,644         550
CHURCH & DWIGHT INC               COM   171340102         560      11,377  SH     OTHER       01       6,544       4,833           0
CHURCH & DWIGHT INC               COM   171340102      43,366     881,612  SH     DEFINED  01,08      44,129     837,483           0
CHURCH & DWIGHT INC               COM   171340102       9,248     188,014  SH     DEFINED     09     188,014           0           0

CHURCHILL DOWNS INC               COM   171484108       8,342     149,223  SH     DEFINED     01       3,254     145,969           0
CHURCHILL DOWNS INC               COM   171484108      14,567     260,596  SH     DEFINED  01,08     153,068     107,528           0
CHURCHILL DOWNS INC               COM   171484108       1,992      35,640  SH     DEFINED     09      35,640           0           0

CHYRON CORP                       COM   171605306           8       4,971  SH     DEFINED     01           0       4,971           0
CHYRON CORP                       COM   171605306           9       5,511  SH     DEFINED  01,08       2,825       2,686           0

CIBER INC                         COM   17163B102         395      93,137  SH     DEFINED     01      34,577      58,560           0
CIBER INC                         COM   17163B102       2,722     642,003  SH     DEFINED  01,08     119,683     522,320           0
CIBER INC                         COM   17163B102         770     181,544  SH     DEFINED     09     181,544           0           0

CIENA CORP                        COM   171779309         889      54,929  SH     DEFINED     01      35,900      19,029           0
CIENA CORP                        COM   171779309           1          45  SH     OTHER       01           0           0          45
CIENA CORP                        COM   171779309      10,134     625,927  SH     DEFINED  01,08      55,128     570,799           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     75
  ________

CIMAREX ENERGY CO                 COM   171798101       2,313      30,650  SH     DEFINED     01      21,554       8,924         172
CIMAREX ENERGY CO                 COM   171798101          58         775  SH     OTHER       01           0         715          60
CIMAREX ENERGY CO                 COM   171798101      40,753     539,995  SH     DEFINED  01,08      40,486     499,509           0
CIMAREX ENERGY CO                 COM   171798101       9,661     128,010  SH     DEFINED     09     128,010           0           0

CINCINNATI BELL INC NEW           COM   171871106       1,319     328,016  SH     DEFINED     01     111,351     216,665           0
CINCINNATI BELL INC NEW           COM   171871106       8,139   2,024,745  SH     DEFINED  01,08     409,014   1,615,731           0
CINCINNATI BELL INC NEW           COM   171871106       2,366     588,679  SH     DEFINED     09     588,679           0           0

CINCINNATI FINL CORP              COM   172062101       7,595     220,087  SH     DEFINED     01     133,468      86,174         445
CINCINNATI FINL CORP              COM   172062101       2,635      76,365  SH     OTHER       01      66,063      10,207          95
CINCINNATI FINL CORP              COM   172062101      39,855   1,154,896  SH     DEFINED  01,08     279,054     875,842           0
CINCINNATI FINL CORP              COM   172062101      12,911     374,120  SH     DEFINED     09     374,120           0           0

CINEDIGM DIGITAL CINEMA CORP      COM   172407108          42      24,805  SH     DEFINED  01,08           0      24,805           0

CINEMARK HOLDINGS INC             COM   17243V102       2,303     104,930  SH     DEFINED     01      21,636      83,294           0
CINEMARK HOLDINGS INC             COM   17243V102         614      27,970  SH     OTHER       01           0      27,970           0
CINEMARK HOLDINGS INC             COM   17243V102      19,489     887,872  SH     DEFINED  01,08     126,483     761,389           0
CINEMARK HOLDINGS INC             COM   17243V102       6,095     277,683  SH     DEFINED     09     277,683           0           0

CIRCOR INTL INC                   COM   17273K109       3,308      99,429  SH     DEFINED     01      23,485      75,619         325
CIRCOR INTL INC                   COM   17273K109          50       1,493  SH     OTHER       01         953         540           0
CIRCOR INTL INC                   COM   17273K109       7,537     226,526  SH     DEFINED  01,08      86,344     140,182           0
CIRCOR INTL INC                   COM   17273K109       1,944      58,424  SH     DEFINED     09      58,424           0           0

CISCO SYS INC                     COM   17275R102     227,628  10,762,553  SH     DEFINED     01   6,428,932   4,034,607     299,014
CISCO SYS INC                     COM   17275R102      49,807   2,354,927  SH     OTHER       01   1,353,483     691,832     309,612
CISCO SYS INC                     COM   17275R102     883,758  41,785,247  SH     DEFINED  01,08  11,094,245  30,546,882     144,120
CISCO SYS INC                     COM   17275R102     295,838  13,987,606  SH     DEFINED     09  13,987,606           0           0

CIRRUS LOGIC INC                  COM   172755100       3,088     129,740  SH     DEFINED     01      59,369      70,371           0
CIRRUS LOGIC INC                  COM   172755100          11         445  SH     OTHER       01         310         135           0
CIRRUS LOGIC INC                  COM   172755100      15,557     653,662  SH     DEFINED  01,08     117,068     536,594           0
CIRRUS LOGIC INC                  COM   172755100       4,512     189,600  SH     DEFINED     09     189,600           0           0

CINTAS CORP                       COM   172908105       5,764     147,345  SH     DEFINED     01      78,634      68,509         202
CINTAS CORP                       COM   172908105         401      10,260  SH     OTHER       01       5,227       5,033           0
CINTAS CORP                       COM   172908105      31,954     816,823  SH     DEFINED  01,08     188,822     628,001           0
CINTAS CORP                       COM   172908105       9,845     251,662  SH     DEFINED     09     251,662           0           0

CITIZENS & NORTHN CORP            COM   172922106         219      10,936  SH     DEFINED     01       3,182       7,754           0
CITIZENS & NORTHN CORP            COM   172922106       2,213     110,639  SH     DEFINED  01,08      14,931      95,708           0
CITIZENS & NORTHN CORP            COM   172922106         695      34,740  SH     DEFINED     09      34,740           0           0

CITIGROUP INC                     COM   172967424     114,779   3,140,319  SH     DEFINED     01   1,506,500   1,619,415      14,404
CITIGROUP INC                     COM   172967424       2,260      61,831  SH     OTHER       01      40,512      17,973       3,346
CITIGROUP INC                     COM   172967424     785,407  21,488,558  SH     DEFINED  01,08   5,028,229  16,460,329           0
CITIGROUP INC                     COM   172967424     271,620   7,431,452  SH     DEFINED     09   7,431,452           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     76
  ________

CITI TRENDS INC                   COM   17306X102         244      21,250  SH     DEFINED     01       4,430      16,820           0
CITI TRENDS INC                   COM   17306X102       1,699     148,241  SH     DEFINED  01,08      23,479     124,762           0
CITI TRENDS INC                   COM   17306X102         523      45,677  SH     DEFINED     09      45,677           0           0

CITIZENS REPUBLIC BANCORP IN      COM   174420307         173      11,054  SH     DEFINED     01       4,735       5,819         500
CITIZENS REPUBLIC BANCORP IN      COM   174420307       1,017      65,119  SH     DEFINED  01,08       8,949      56,170           0

CITIZENS INC                      COM   174740100         572      57,903  SH     DEFINED     01       9,965      47,938           0
CITIZENS INC                      COM   174740100       3,604     364,744  SH     DEFINED  01,08      60,720     304,024           0
CITIZENS INC                      COM   174740100       1,174     118,777  SH     DEFINED     09     118,777           0           0

CITIZENS SOUTH BKG CP DEL         COM   176682102          25       5,487  SH     DEFINED     01           0       5,487           0
CITIZENS SOUTH BKG CP DEL         COM   176682102          57      12,449  SH     DEFINED  01,08       4,695       7,754           0

CITRIX SYS INC                    COM   177376100     165,485   2,097,132  SH     DEFINED     01   1,813,798     251,293      32,041
CITRIX SYS INC                    COM   177376100      23,388     296,389  SH     OTHER       01     245,376      41,693       9,320
CITRIX SYS INC                    COM   177376100     115,891   1,468,653  SH     DEFINED  01,08     404,351   1,064,302           0
CITRIX SYS INC                    COM   177376100      36,161     458,258  SH     DEFINED     09     458,258           0           0

CITY HLDG CO                      COM   177835105       3,816     109,845  SH     DEFINED     01       7,884     101,961           0
CITY HLDG CO                      COM   177835105       8,582     247,023  SH     DEFINED  01,08     114,952     132,071           0
CITY HLDG CO                      COM   177835105       1,483      42,698  SH     DEFINED     09      42,698           0           0

CITY NATL CORP                    COM   178566105       3,193      60,854  SH     DEFINED     01      54,087       6,470         297
CITY NATL CORP                    COM   178566105         379       7,218  SH     OTHER       01       1,532       5,546         140
CITY NATL CORP                    COM   178566105      15,318     291,940  SH     DEFINED  01,08      15,478     276,462           0
CITY NATL CORP                    COM   178566105         104       1,991  SH     DEFINED     09       1,991           0           0

CLARCOR INC                       COM   179895107       6,412     130,624  SH     DEFINED     01      75,711      54,518         395
CLARCOR INC                       COM   179895107         177       3,610  SH     OTHER       01       2,494       1,050          66
CLARCOR INC                       COM   179895107      30,638     624,126  SH     DEFINED  01,08      73,252     550,874           0
CLARCOR INC                       COM   179895107       7,604     154,897  SH     DEFINED     09     154,897           0           0

CLAYMORE EXCHANGE TRD FD TR       COM   18383M100         804      20,375  SH     OTHER       01       2,375           0      18,000

CLAYMORE EXCHANGE TRD FD TR       COM   18383Q507       1,648      78,100  SH     DEFINED     01           0      78,100           0

CLAYMORE EXCHANGE TRD FD TR       COM   18383Q853         188       8,697  SH     DEFINED     01       8,697           0           0
CLAYMORE EXCHANGE TRD FD TR       COM   18383Q853         187       8,690  SH     OTHER       01       8,690           0           0

CLEAN HARBORS INC                 COM   184496107       3,825      56,804  SH     DEFINED     01      13,611      43,193           0
CLEAN HARBORS INC                 COM   184496107      39,356     584,519  SH     DEFINED  01,08      70,862     513,657           0
CLEAN HARBORS INC                 COM   184496107       9,163     136,086  SH     DEFINED     09     136,086           0           0

CLEAN ENERGY FUELS CORP           COM   184499101       1,518      71,329  SH     DEFINED     01      11,175      51,292       8,862
CLEAN ENERGY FUELS CORP           COM   184499101           4         200  SH     OTHER       01         200           0           0
CLEAN ENERGY FUELS CORP           COM   184499101      10,576     496,991  SH     DEFINED  01,08      91,367     405,624           0
CLEAN ENERGY FUELS CORP           COM   184499101       3,460     162,573  SH     DEFINED     09     162,573           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     77
  ________

CLEAR CHANNEL OUTDOOR HLDGS       COM   18451C109         134      16,828  SH     DEFINED     01      11,965       4,863           0
CLEAR CHANNEL OUTDOOR HLDGS       COM   18451C109           0          15  SH     OTHER       01           0           0          15
CLEAR CHANNEL OUTDOOR HLDGS       COM   18451C109       1,139     142,676  SH     DEFINED  01,08      22,326     120,350           0

CLEARFIELD INC                    COM   18482P103          18       3,353  SH     DEFINED     01           0       3,353           0
CLEARFIELD INC                    COM   18482P103          82      15,149  SH     DEFINED  01,08       1,350      13,799           0

CLEARWIRE CORP NEW                COM   18538Q105         217      95,206  SH     DEFINED     01      70,788      24,418           0
CLEARWIRE CORP NEW                COM   18538Q105       2,138     937,542  SH     DEFINED  01,08      70,115     867,427           0

CLEARWATER PAPER CORP             COM   18538R103       1,158      34,882  SH     DEFINED     01      11,795      23,087           0
CLEARWATER PAPER CORP             COM   18538R103         110       3,300  SH     OTHER       01           0       3,300           0
CLEARWATER PAPER CORP             COM   18538R103       7,606     229,015  SH     DEFINED  01,08      41,770     187,245           0
CLEARWATER PAPER CORP             COM   18538R103       2,215      66,710  SH     DEFINED     09      66,710           0           0

CLEVELAND BIOLABS INC             COM   185860103          59      23,974  SH     DEFINED     01       6,394      17,580           0
CLEVELAND BIOLABS INC             COM   185860103         595     241,725  SH     DEFINED  01,08      28,467     213,258           0
CLEVELAND BIOLABS INC             COM   185860103         260     105,502  SH     DEFINED     09     105,502           0           0

CLIFFS NATURAL RESOURCES INC      COM   18683K101      20,778     299,993  SH     DEFINED     01     208,953      80,077      10,963
CLIFFS NATURAL RESOURCES INC      COM   18683K101         620       8,958  SH     OTHER       01       8,732          86         140
CLIFFS NATURAL RESOURCES INC      COM   18683K101      74,964   1,082,358  SH     DEFINED  01,08     262,963     819,395           0
CLIFFS NATURAL RESOURCES INC      COM   18683K101      23,608     340,865  SH     DEFINED     09     340,865           0           0

CLIFTON SVGS BANCORP INC          COM   18712Q103         180      17,280  SH     DEFINED     01       3,001      14,279           0
CLIFTON SVGS BANCORP INC          COM   18712Q103       1,002      96,052  SH     DEFINED  01,08      21,136      74,916           0
CLIFTON SVGS BANCORP INC          COM   18712Q103         280      26,808  SH     DEFINED     09      26,808           0           0

CLOROX CO DEL                     COM   189054109      16,042     233,340  SH     DEFINED     01     158,013      69,983       5,344
CLOROX CO DEL                     COM   189054109       3,456      50,273  SH     OTHER       01      20,147      24,158       5,968
CLOROX CO DEL                     COM   189054109      67,541     982,408  SH     DEFINED  01,08     247,332     735,076           0
CLOROX CO DEL                     COM   189054109      22,094     321,360  SH     DEFINED     09     321,360           0           0

CLOUD PEAK ENERGY INC             COM   18911Q102       1,497      93,982  SH     DEFINED     01      27,836      66,146           0
CLOUD PEAK ENERGY INC             COM   18911Q102       9,687     608,107  SH     DEFINED  01,08     117,120     490,987           0
CLOUD PEAK ENERGY INC             COM   18911Q102       2,936     184,303  SH     DEFINED     09     184,303           0           0

CLOVIS ONCOLOGY INC               COM   189464100         159       6,230  SH     DEFINED     01         992       5,238           0
CLOVIS ONCOLOGY INC               COM   189464100       2,394      94,071  SH     DEFINED  01,08      11,318      82,753           0
CLOVIS ONCOLOGY INC               COM   189464100         968      38,022  SH     DEFINED     09      38,022           0           0

COACH INC                         COM   189754104      54,909     710,518  SH     DEFINED     01     509,758     194,350       6,410
COACH INC                         COM   189754104       3,005      38,884  SH     OTHER       01      27,360      10,640         884
COACH INC                         COM   189754104     170,294   2,203,595  SH     DEFINED  01,08     552,801   1,650,794           0
COACH INC                         COM   189754104      55,334     716,024  SH     DEFINED     09     716,024           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     78
  ________

COBALT INTL ENERGY INC            COM   19075F106       1,478      49,210  SH     DEFINED     01      28,654      20,556           0
COBALT INTL ENERGY INC            COM   19075F106          93       3,100  SH     OTHER       01           0       3,000         100
COBALT INTL ENERGY INC            COM   19075F106      14,908     496,423  SH     DEFINED  01,08      41,494     454,929           0
COBALT INTL ENERGY INC            COM   19075F106       8,881     295,725  SH     DEFINED     09     295,725           0           0

COBIZ FINANCIAL INC               COM   190897108         231      32,648  SH     DEFINED     01       7,777      24,871           0
COBIZ FINANCIAL INC               COM   190897108       2,193     310,196  SH     DEFINED  01,08      45,126     265,070           0
COBIZ FINANCIAL INC               COM   190897108         765     108,241  SH     DEFINED     09     108,241           0           0

COBRA ELECTRS CORP                COM   191042100          18       4,478  SH     DEFINED     01           0       4,478           0
COBRA ELECTRS CORP                COM   191042100          23       5,632  SH     DEFINED  01,08       3,480       2,152           0

COCA COLA BOTTLING CO CONS        COM   191098102         572       9,122  SH     DEFINED     01       1,791       7,331           0
COCA COLA BOTTLING CO CONS        COM   191098102          63       1,000  SH     OTHER       01       1,000           0           0
COCA COLA BOTTLING CO CONS        COM   191098102       3,157      50,321  SH     DEFINED  01,08      10,691      39,630           0
COCA COLA BOTTLING CO CONS        COM   191098102         791      12,607  SH     DEFINED     09      12,607           0           0

COCA COLA CO                      COM   191216100     463,557   6,263,433  SH     DEFINED     01   4,650,114   1,506,599     106,720
COCA COLA CO                      COM   191216100      83,961   1,134,461  SH     OTHER       01     742,422     289,562     102,477
COCA COLA CO                      COM   191216100   1,216,431  16,436,037  SH     DEFINED  01,08   4,092,020  12,339,156       4,861
COCA COLA CO                      COM   191216100     386,676   5,224,639  SH     DEFINED     09   5,224,639           0           0

COCA COLA ENTERPRISES INC NE      COM   19122T109       9,987     349,185  SH     DEFINED     01     181,321     167,374         490
COCA COLA ENTERPRISES INC NE      COM   19122T109         578      20,205  SH     OTHER       01       3,640      16,279         286
COCA COLA ENTERPRISES INC NE      COM   19122T109      64,914   2,269,709  SH     DEFINED  01,08     558,227   1,711,482           0
COCA COLA ENTERPRISES INC NE      COM   19122T109      21,885     765,201  SH     DEFINED     09     765,201           0           0

COCA COLA FEMSA S A B DE C V      COM   191241108         114       1,072  SH     DEFINED     01         351         721           0
COCA COLA FEMSA S A B DE C V      COM   191241108         121       1,138  SH     OTHER       01         100       1,038           0

CODEXIS INC                       COM   192005106          66      17,999  SH     DEFINED     01       3,782      14,217           0
CODEXIS INC                       COM   192005106         784     214,827  SH     DEFINED  01,08      27,386     187,441           0
CODEXIS INC                       COM   192005106         250      68,588  SH     DEFINED     09      68,588           0           0

COEUR D ALENE MINES CORP IDA      COM   192108504       7,509     316,313  SH     DEFINED     01      22,386     293,927           0
COEUR D ALENE MINES CORP IDA      COM   192108504      25,400   1,069,918  SH     DEFINED  01,08     344,643     725,275           0
COEUR D ALENE MINES CORP IDA      COM   192108504       6,566     276,585  SH     DEFINED     09     276,585           0           0

COGDELL SPENCER INC               COM   19238U107         219      51,636  SH     DEFINED     01      13,171      38,465           0
COGDELL SPENCER INC               COM   19238U107       1,822     429,743  SH     DEFINED  01,08      38,664     391,079           0

COGENT COMM GROUP INC             COM   19239V302       1,310      68,667  SH     DEFINED     01      14,828      53,839           0
COGENT COMM GROUP INC             COM   19239V302       8,691     455,491  SH     DEFINED  01,08      81,820     373,671           0
COGENT COMM GROUP INC             COM   19239V302       2,434     127,554  SH     DEFINED     09     127,554           0           0

COGNEX CORP                       COM   192422103       7,330     173,044  SH     DEFINED     01      21,054     151,990           0
COGNEX CORP                       COM   192422103          42       1,000  SH     OTHER       01           0       1,000           0
COGNEX CORP                       COM   192422103      21,928     517,665  SH     DEFINED  01,08     183,044     334,621           0
COGNEX CORP                       COM   192422103       5,539     130,762  SH     DEFINED     09     130,762           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     79
  ________

COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102      67,614     878,669  SH     DEFINED     01     559,854     305,692      13,123
COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102       6,413      83,344  SH     OTHER       01      51,126      20,782      11,436
COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102     179,304   2,330,130  SH     DEFINED  01,08     600,732   1,729,398           0
COGNIZANT TECHNOLOGY SOLUTIO      COM   192446102      57,150     742,696  SH     DEFINED     09     742,696           0           0

COHEN & STEERS INC                COM   19247A100         885      27,747  SH     DEFINED     01       4,954      22,793           0
COHEN & STEERS INC                COM   19247A100          32       1,000  SH     OTHER       01       1,000           0           0
COHEN & STEERS INC                COM   19247A100       5,879     184,301  SH     DEFINED  01,08      34,564     149,737           0
COHEN & STEERS INC                COM   19247A100       1,586      49,727  SH     DEFINED     09      49,727           0           0

COHEN & STEERS REIT & PFD IN      COM   19247X100         513      31,448  SH     OTHER       01      31,287           0         161

COHERENT INC                      COM   192479103       8,219     140,910  SH     DEFINED     01       6,366     134,544           0
COHERENT INC                      COM   192479103      20,273     347,554  SH     DEFINED  01,08     151,501     196,053           0
COHERENT INC                      COM   192479103       3,989      68,386  SH     DEFINED     09      68,386           0           0

COHU INC                          COM   192576106       2,188     192,417  SH     DEFINED     01      12,153     180,264           0
COHU INC                          COM   192576106       4,547     399,891  SH     DEFINED  01,08     206,299     193,592           0
COHU INC                          COM   192576106         767      67,498  SH     DEFINED     09      67,498           0           0

COINSTAR INC                      COM   19259P300       3,427      53,925  SH     DEFINED     01      15,568      38,357           0
COINSTAR INC                      COM   19259P300          67       1,052  SH     OTHER       01         293         759           0
COINSTAR INC                      COM   19259P300      19,710     310,143  SH     DEFINED  01,08      55,723     254,420           0
COINSTAR INC                      COM   19259P300       5,858      92,174  SH     DEFINED     09      92,174           0           0

COLDWATER CREEK INC               COM   193068103          99      85,260  SH     DEFINED     01      27,418      57,842           0
COLDWATER CREEK INC               COM   193068103         759     653,976  SH     DEFINED  01,08     112,204     541,772           0
COLDWATER CREEK INC               COM   193068103         199     171,689  SH     DEFINED     09     171,689           0           0

COLE KENNETH PRODTNS INC          COM   193294105       1,192      74,043  SH     DEFINED     01       1,688      72,355           0
COLE KENNETH PRODTNS INC          COM   193294105       2,354     146,193  SH     DEFINED  01,08      77,187      69,006           0
COLE KENNETH PRODTNS INC          COM   193294105         481      29,885  SH     DEFINED     09      29,885           0           0

COLEMAN CABLE INC                 COM   193459302          64       6,550  SH     DEFINED     01       1,874       4,676           0
COLEMAN CABLE INC                 COM   193459302         815      83,850  SH     DEFINED  01,08       7,569      76,281           0
COLEMAN CABLE INC                 COM   193459302         319      32,782  SH     DEFINED     09      32,782           0           0

COLFAX CORP                       COM   194014106       2,258      64,072  SH     DEFINED     01       9,454      54,618           0
COLFAX CORP                       COM   194014106      15,652     444,152  SH     DEFINED  01,08      77,507     366,645           0
COLFAX CORP                       COM   194014106       5,317     150,872  SH     DEFINED     09     150,872           0           0

COLGATE PALMOLIVE CO              COM   194162103      92,053     941,432  SH     DEFINED     01     606,745     269,437      65,250
COLGATE PALMOLIVE CO              COM   194162103      21,600     220,904  SH     OTHER       01     146,816      51,413      22,675
COLGATE PALMOLIVE CO              COM   194162103     348,419   3,563,297  SH     DEFINED  01,08     833,805   2,729,492           0
COLGATE PALMOLIVE CO              COM   194162103     114,814   1,174,206  SH     DEFINED     09   1,174,206           0           0

COLLECTORS UNIVERSE INC           COM   19421R200          99       5,727  SH     DEFINED     01           0       5,727           0
COLLECTORS UNIVERSE INC           COM   19421R200         221      12,810  SH     DEFINED  01,08       4,594       8,216           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     80
  ________

COLLECTIVE BRANDS INC             COM   19421W100       8,116     412,817  SH     DEFINED     01      21,561     391,256           0
COLLECTIVE BRANDS INC             COM   19421W100      22,327   1,135,642  SH     DEFINED  01,08     462,636     673,006           0
COLLECTIVE BRANDS INC             COM   19421W100       3,621     184,172  SH     DEFINED     09     184,172           0           0

COLONIAL PPTYS TR                 COM   195872106       7,302     336,030  SH     DEFINED     01      38,174     297,856           0
COLONIAL PPTYS TR                 COM   195872106      25,675   1,181,556  SH     DEFINED  01,08     498,548     683,008           0
COLONIAL PPTYS TR                 COM   195872106       6,359     292,622  SH     DEFINED     09     292,622           0           0

COLONY FINL INC                   COM   19624R106         739      45,114  SH     DEFINED     01      14,364      30,750           0
COLONY FINL INC                   COM   19624R106       5,406     330,019  SH     DEFINED  01,08      56,877     273,142           0
COLONY FINL INC                   COM   19624R106       1,635      99,793  SH     DEFINED     09      99,793           0           0

COLUMBIA BKG SYS INC              COM   197236102       2,256      99,053  SH     DEFINED     01      20,903      78,150           0
COLUMBIA BKG SYS INC              COM   197236102       9,836     431,765  SH     DEFINED  01,08     110,799     320,966           0
COLUMBIA BKG SYS INC              COM   197236102       2,607     114,432  SH     DEFINED     09     114,432           0           0

COLUMBIA LABS INC                 COM   197779101          56      79,347  SH     DEFINED     01      29,665      49,682           0
COLUMBIA LABS INC                 COM   197779101         471     662,934  SH     DEFINED  01,08      93,727     569,207           0
COLUMBIA LABS INC                 COM   197779101         153     215,336  SH     DEFINED     09     215,336           0           0

COLUMBIA SPORTSWEAR CO            COM   198516106       8,305     175,016  SH     DEFINED     01      37,316     137,365         335
COLUMBIA SPORTSWEAR CO            COM   198516106         416       8,773  SH     OTHER       01       2,693       6,080           0
COLUMBIA SPORTSWEAR CO            COM   198516106      11,924     251,300  SH     DEFINED  01,08     145,542     105,758           0
COLUMBIA SPORTSWEAR CO            COM   198516106       1,507      31,756  SH     DEFINED     09      31,756           0           0

COLUMBUS MCKINNON CORP N Y        COM   199333105         651      39,957  SH     DEFINED     01      18,741      20,796         420
COLUMBUS MCKINNON CORP N Y        COM   199333105           7         455  SH     OTHER       01         455           0           0
COLUMBUS MCKINNON CORP N Y        COM   199333105       3,064     188,065  SH     DEFINED  01,08      27,980     160,085           0
COLUMBUS MCKINNON CORP N Y        COM   199333105         920      56,505  SH     DEFINED     09      56,505           0           0

COMFORT SYS USA INC               COM   199908104       3,064     280,801  SH     DEFINED     01      18,779     262,022           0
COMFORT SYS USA INC               COM   199908104       6,655     609,960  SH     DEFINED  01,08     295,195     314,765           0
COMFORT SYS USA INC               COM   199908104       1,261     115,612  SH     DEFINED     09     115,612           0           0

COMCAST CORP NEW                  COM   20030N101     106,812   3,559,211  SH     DEFINED     01   1,813,294   1,720,578      25,339
COMCAST CORP NEW                  COM   20030N101       6,969     232,238  SH     OTHER       01     115,545      90,264      26,429
COMCAST CORP NEW                  COM   20030N101     614,770  20,485,514  SH     DEFINED  01,08   5,132,917  15,352,597           0
COMCAST CORP NEW                  COM   20030N101     175,252   5,839,791  SH     DEFINED     09   5,839,791           0           0

COMCAST CORP NEW                  COM   20030N200       6,141     208,095  SH     DEFINED     01     207,745         350           0
COMCAST CORP NEW                  COM   20030N200         799      27,064  SH     OTHER       01       6,700      12,260       8,104
COMCAST CORP NEW                  COM   20030N200       2,404      81,477  SH     DEFINED  01,08      64,998      16,479           0
COMCAST CORP NEW                  COM   20030N200      42,070   1,425,629  SH     DEFINED     09   1,425,629           0           0

COMERICA INC                      COM   200340107       9,742     301,061  SH     DEFINED     01     193,715     106,266       1,080
COMERICA INC                      COM   200340107         754      23,287  SH     OTHER       01       4,316       9,226       9,745
COMERICA INC                      COM   200340107      47,497   1,467,783  SH     DEFINED  01,08     363,205   1,104,578           0
COMERICA INC                      COM   200340107      14,915     460,910  SH     DEFINED     09     460,910           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     81
  ________

COMMERCE BANCSHARES INC           COM   200525103       2,453      60,531  SH     DEFINED     01      51,156       9,375           0
COMMERCE BANCSHARES INC           COM   200525103           2          49  SH     OTHER       01          49           0           0
COMMERCE BANCSHARES INC           COM   200525103      19,958     492,551  SH     DEFINED  01,08      33,640     458,911           0
COMMERCE BANCSHARES INC           COM   200525103         156       3,847  SH     DEFINED     09       3,847           0           0

COMMERCIAL METALS CO              COM   201723103       2,577     173,882  SH     DEFINED     01     138,876      35,006           0
COMMERCIAL METALS CO              COM   201723103          17       1,135  SH     OTHER       01       1,135           0           0
COMMERCIAL METALS CO              COM   201723103      12,865     868,117  SH     DEFINED  01,08     208,428     659,689           0

COMMERCIAL VEH GROUP INC          COM   202608105         319      26,118  SH     DEFINED     01       8,684      17,434           0
COMMERCIAL VEH GROUP INC          COM   202608105       3,120     255,507  SH     DEFINED  01,08      29,876     225,631           0
COMMERCIAL VEH GROUP INC          COM   202608105       1,374     112,553  SH     DEFINED     09     112,553           0           0

COMMONWEALTH REIT                 COM   203233101       1,702      91,399  SH     DEFINED     01      50,314      39,440       1,645
COMMONWEALTH REIT                 COM   203233101         152       8,162  SH     OTHER       01       3,150       4,680         332
COMMONWEALTH REIT                 COM   203233101       8,272     444,251  SH     DEFINED  01,08     188,942     255,309           0
COMMONWEALTH REIT                 COM   203233101         689      37,012  SH     DEFINED     09      37,012           0           0

COMMUNITY BK SYS INC              COM   203607106      10,415     361,867  SH     DEFINED     01      42,396     318,567         904
COMMUNITY BK SYS INC              COM   203607106          20         679  SH     OTHER       01         679           0           0
COMMUNITY BK SYS INC              COM   203607106      19,283     670,000  SH     DEFINED  01,08     353,765     316,235           0
COMMUNITY BK SYS INC              COM   203607106       3,072     106,758  SH     DEFINED     09     106,758           0           0

COMMUNITY HEALTH SYS INC NEW      COM   203668108       5,887     264,704  SH     DEFINED     01      21,019     243,485         200
COMMUNITY HEALTH SYS INC NEW      COM   203668108           1          25  SH     OTHER       01           0           0          25
COMMUNITY HEALTH SYS INC NEW      COM   203668108      18,351     825,134  SH     DEFINED  01,08     301,525     523,609           0

COMMUNICATIONS SYS INC            COM   203900105         192      14,634  SH     DEFINED     01       1,780      12,854           0
COMMUNICATIONS SYS INC            COM   203900105       1,095      83,416  SH     DEFINED  01,08      32,809      50,607           0
COMMUNICATIONS SYS INC            COM   203900105         260      19,770  SH     DEFINED     09      19,770           0           0

COMMUNITY TR BANCORP INC          COM   204149108       4,032     125,729  SH     DEFINED     01       4,378     121,351           0
COMMUNITY TR BANCORP INC          COM   204149108       8,227     256,528  SH     DEFINED  01,08     133,600     122,928           0
COMMUNITY TR BANCORP INC          COM   204149108       1,595      49,738  SH     DEFINED     09      49,738           0           0

COMMUNITY WEST BANCSHARES         COM   204157101           9       3,538  SH     DEFINED     01           0       3,538           0
COMMUNITY WEST BANCSHARES         COM   204157101          18       7,157  SH     DEFINED  01,08       3,828       3,329           0

COMMVAULT SYSTEMS INC             COM   204166102       4,225      85,111  SH     DEFINED     01      23,027      62,084           0
COMMVAULT SYSTEMS INC             COM   204166102      21,270     428,478  SH     DEFINED  01,08      73,696     354,782           0
COMMVAULT SYSTEMS INC             COM   204166102       6,287     126,643  SH     DEFINED     09     126,643           0           0

COMPANHIA SIDERURGICA NACION      COM   20440W105       1,978     209,066  SH     DEFINED     01     207,882       1,067         117
COMPANHIA SIDERURGICA NACION      COM   20440W105         509      53,824  SH     OTHER       01      42,580      11,244           0
COMPANHIA SIDERURGICA NACION      COM   20440W105         626      66,138  SH     DEFINED  01,08      66,138           0           0

COMPANHIA ENERGETICA DE MINA      PFD   204409601       2,242      94,280         DEFINED     01      84,162       1,146       8,972
COMPANHIA ENERGETICA DE MINA      PFD   204409601         493      20,727         OTHER       01      13,541       7,186           0
COMPANHIA ENERGETICA DE MINA      PFD   204409601         824      34,669         DEFINED  01,08      34,669           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     82
  ________

COMPANHIA DE SANEAMENTO BASI      COM   20441A102         119       1,558  SH     DEFINED     01       1,476          82           0
COMPANHIA DE SANEAMENTO BASI      COM   20441A102           6          76  SH     OTHER       01           0          76           0
COMPANHIA DE SANEAMENTO BASI      COM   20441A102       1,390      18,135  SH     DEFINED  01,08      18,135           0           0

COMPANHIA PARANAENSE ENERG C      COM   20441B407         339      14,432  SH     DEFINED     01      14,042         390           0
COMPANHIA PARANAENSE ENERG C      COM   20441B407           7         278  SH     OTHER       01          84         194           0
COMPANHIA PARANAENSE ENERG C      COM   20441B407         114       4,837  SH     DEFINED  01,08       4,837           0           0

COMPANHIA DE BEBIDAS DAS AME      PFD   20441W203       4,419     106,956         DEFINED     01     104,076       2,880           0
COMPANHIA DE BEBIDAS DAS AME      PFD   20441W203         226       5,461         OTHER       01       1,404       4,057           0
COMPANHIA DE BEBIDAS DAS AME      PFD   20441W203       2,820      68,238         DEFINED  01,08      68,238           0           0

COMPANIA CERVECERIAS UNIDAS       COM   204429104          17         221  SH     DEFINED     01         221           0           0
COMPANIA CERVECERIAS UNIDAS       COM   204429104         481       6,112  SH     DEFINED  01,08       6,112           0           0
COMPANIA CERVECERIAS UNIDAS       COM   204429104       1,658      21,065  SH     DEFINED     09      21,065           0           0

COMPANIA DE MINAS BUENAVENTU      COM   204448104       1,326      32,907  SH     DEFINED     01      28,788       4,090          29
COMPANIA DE MINAS BUENAVENTU      COM   204448104          26         651  SH     OTHER       01         156         495           0
COMPANIA DE MINAS BUENAVENTU      COM   204448104      16,756     415,668  SH     DEFINED  01,08     415,668           0           0
COMPANIA DE MINAS BUENAVENTU      COM   204448104       9,987     247,752  SH     DEFINED     09     247,752           0           0

COMPASS MINERALS INTL INC         COM   20451N101       1,556      21,690  SH     DEFINED     01      14,673       6,872         145
COMPASS MINERALS INTL INC         COM   20451N101         153       2,134  SH     OTHER       01       1,884         250           0
COMPASS MINERALS INTL INC         COM   20451N101      15,569     217,014  SH     DEFINED  01,08      22,312     194,702           0

COMPASS DIVERSIFIED HOLDINGS      COM   20451Q104       3,195     216,012  SH     DEFINED     01       3,934     212,078           0
COMPASS DIVERSIFIED HOLDINGS      COM   20451Q104       7,518     508,332  SH     DEFINED  01,08     229,765     278,567           0

COMPLETE GENOMICS INC             COM   20454K104          15       5,277  SH     DEFINED     01       1,167       4,110           0
COMPLETE GENOMICS INC             COM   20454K104         274      97,267  SH     DEFINED  01,08       8,607      88,660           0
COMPLETE GENOMICS INC             COM   20454K104          63      22,410  SH     DEFINED     09      22,410           0           0

COMPUCREDIT HLDGS CORP            COM   20478T107          71      12,188  SH     DEFINED     01           0      12,188           0
COMPUCREDIT HLDGS CORP            COM   20478T107         180      31,025  SH     DEFINED  01,08      11,082      19,943           0

COMPUTER PROGRAMS & SYS INC       COM   205306103       1,186      20,989  SH     DEFINED     01       5,748      15,241           0
COMPUTER PROGRAMS & SYS INC       COM   205306103       6,473     114,534  SH     DEFINED  01,08      23,861      90,673           0
COMPUTER PROGRAMS & SYS INC       COM   205306103       2,034      35,982  SH     DEFINED     09      35,982           0           0

COMPUTER SCIENCES CORP            COM   205363104       6,097     203,641  SH     DEFINED     01     120,044      83,223         374
COMPUTER SCIENCES CORP            COM   205363104         270       9,008  SH     OTHER       01       3,435       4,888         685
COMPUTER SCIENCES CORP            COM   205363104      33,406   1,115,764  SH     DEFINED  01,08     258,159     857,605           0
COMPUTER SCIENCES CORP            COM   205363104      11,469     383,063  SH     DEFINED     09     383,063           0           0

COMPUTER TASK GROUP INC           COM   205477102         621      40,559  SH     DEFINED     01      11,741      28,538         280
COMPUTER TASK GROUP INC           COM   205477102           5         305  SH     OTHER       01         305           0           0
COMPUTER TASK GROUP INC           COM   205477102       2,416     157,735  SH     DEFINED  01,08      33,590     124,145           0
COMPUTER TASK GROUP INC           COM   205477102         687      44,867  SH     DEFINED     09      44,867           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     83
  ________

COMPX INTERNATIONAL INC           COM   20563P101          68       4,892  SH     DEFINED     01         199       4,693           0
COMPX INTERNATIONAL INC           COM   20563P101         224      16,095  SH     DEFINED  01,08       5,425      10,670           0

COMPUWARE CORP                    COM   205638109         928     100,931  SH     DEFINED     01      77,385      22,801         745
COMPUWARE CORP                    COM   205638109         739      80,370  SH     OTHER       01         475      79,895           0
COMPUWARE CORP                    COM   205638109      12,691   1,380,906  SH     DEFINED  01,08      95,623   1,285,283           0

COMSCORE INC                      COM   20564W105       1,524      71,249  SH     DEFINED     01      29,763      41,176         310
COMSCORE INC                      COM   20564W105          34       1,570  SH     OTHER       01       1,570           0           0
COMSCORE INC                      COM   20564W105       6,839     319,712  SH     DEFINED  01,08      57,381     262,331           0
COMSCORE INC                      COM   20564W105       1,924      89,940  SH     DEFINED     09      89,940           0           0

COMSTOCK MNG INC                  COM   205750102          52      26,489  SH     DEFINED  01,08           0      26,489           0

COMSTOCK RES INC                  COM   205768203       1,212      76,594  SH     DEFINED     01      24,262      52,332           0
COMSTOCK RES INC                  COM   205768203       7,345     463,984  SH     DEFINED  01,08      80,938     383,046           0
COMSTOCK RES INC                  COM   205768203       2,218     140,088  SH     DEFINED     09     140,088           0           0

COMTECH TELECOMMUNICATIONS C   CONV DEB 205826AF7       5,079   4,500,000  PRN    DEFINED     01     625,000   3,875,000           0
COMTECH TELECOMMUNICATIONS C   CONV DEB 205826AF7       4,374   3,875,000  PRN    DEFINED  01,08   3,875,000           0           0

COMTECH TELECOMMUNICATIONS C      COM   205826209       1,216      37,316  SH     DEFINED     01      16,262      21,054           0
COMTECH TELECOMMUNICATIONS C      COM   205826209       8,354     256,402  SH     DEFINED  01,08      92,388     164,014           0
COMTECH TELECOMMUNICATIONS C      COM   205826209       1,660      50,958  SH     DEFINED     09      50,958           0           0

COMVERGE INC                      COM   205859101          12       6,772  SH     DEFINED     01           0       6,772           0
COMVERGE INC                      COM   205859101          79      42,927  SH     DEFINED  01,08       8,725      34,202           0

COMVERSE TECHNOLOGY INC           COM   205862402         414      60,305  SH     DEFINED     01       5,538      54,762           5
COMVERSE TECHNOLOGY INC           COM   205862402           1         146  SH     OTHER       01          19         127           0
COMVERSE TECHNOLOGY INC           COM   205862402       2,216     322,614  SH     DEFINED  01,08      40,421     282,193           0
COMVERSE TECHNOLOGY INC           COM   205862402           0          69  SH     DEFINED     09          69           0           0

CONAGRA FOODS INC                 COM   205887102      13,603     518,001  SH     DEFINED     01     282,546     222,100      13,355
CONAGRA FOODS INC                 COM   205887102         207       7,873  SH     OTHER       01       6,667       1,086         120
CONAGRA FOODS INC                 COM   205887102      81,685   3,110,611  SH     DEFINED  01,08     793,151   2,317,460           0
CONAGRA FOODS INC                 COM   205887102      43,245   1,646,802  SH     DEFINED     09   1,646,802           0           0

CON-WAY INC                       COM   205944101         941      28,871  SH     DEFINED     01      15,432      13,439           0
CON-WAY INC                       COM   205944101      11,354     348,170  SH     DEFINED  01,08      29,297     318,873           0

CONCEPTUS INC                     COM   206016107         593      41,232  SH     DEFINED     01       8,891      32,341           0
CONCEPTUS INC                     COM   206016107       4,276     297,368  SH     DEFINED  01,08      47,415     249,953           0
CONCEPTUS INC                     COM   206016107       1,225      85,173  SH     DEFINED     09      85,173           0           0

CONCHO RES INC                    COM   20605P101      10,577     103,612  SH     DEFINED     01      89,622      13,449         541
CONCHO RES INC                    COM   20605P101         452       4,429  SH     OTHER       01       4,046         383           0
CONCHO RES INC                    COM   20605P101      35,837     351,066  SH     DEFINED  01,08      32,348     318,718           0
CONCHO RES INC                    COM   20605P101      14,055     137,690  SH     DEFINED     09     137,690           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     84
  ________

CONCUR TECHNOLOGIES INC           COM   206708109       5,482      95,534  SH     DEFINED     01      44,071      50,023       1,440
CONCUR TECHNOLOGIES INC           COM   206708109         375       6,540  SH     OTHER       01       3,480       2,960         100
CONCUR TECHNOLOGIES INC           COM   206708109      32,472     565,919  SH     DEFINED  01,08      68,609     497,310           0
CONCUR TECHNOLOGIES INC           COM   206708109       7,354     128,159  SH     DEFINED     09     128,159           0           0

CONCURRENT COMPUTER CORP NEW      COM   206710402          14       3,756  SH     DEFINED     01           0       3,756           0
CONCURRENT COMPUTER CORP NEW      COM   206710402          35       9,612  SH     DEFINED  01,08       2,726       6,886           0

CONMED HEALTHCARE MGMT INC        COM   20741M103          52      15,281  SH     DEFINED  01,08           0      15,281           0

CONMED CORP                       COM   207410101       8,326     278,756  SH     DEFINED     01      14,471     264,285           0
CONMED CORP                       COM   207410101      15,857     530,853  SH     DEFINED  01,08     295,647     235,206           0
CONMED CORP                       COM   207410101       2,524      84,484  SH     DEFINED     09      84,484           0           0

CONNECTICUT WTR SVC INC           COM   207797101         459      16,212  SH     DEFINED     01       5,027      11,185           0
CONNECTICUT WTR SVC INC           COM   207797101       2,449      86,559  SH     DEFINED  01,08      15,731      70,828           0
CONNECTICUT WTR SVC INC           COM   207797101         790      27,940  SH     DEFINED     09      27,940           0           0

CONNS INC                         COM   208242107         338      22,030  SH     DEFINED     01       7,545      14,485           0
CONNS INC                         COM   208242107       2,341     152,519  SH     DEFINED  01,08      30,209     122,310           0
CONNS INC                         COM   208242107         599      39,005  SH     DEFINED     09      39,005           0           0

CONOCOPHILLIPS                    COM   20825C104     273,064   3,592,471  SH     DEFINED     01   2,726,058     806,456      59,957
CONOCOPHILLIPS                    COM   20825C104      34,612     455,364  SH     OTHER       01     323,898      78,237      53,229
CONOCOPHILLIPS                    COM   20825C104     755,400   9,938,162  SH     DEFINED  01,08   2,661,892   7,276,270           0
CONOCOPHILLIPS                    COM   20825C104     236,948   3,117,323  SH     DEFINED     09   3,117,323           0           0

CONSOL ENERGY INC                 COM   20854P109       7,968     233,660  SH     DEFINED     01     115,519     117,713         428
CONSOL ENERGY INC                 COM   20854P109         126       3,692  SH     OTHER       01       2,357       1,265          70
CONSOL ENERGY INC                 COM   20854P109      56,395   1,653,810  SH     DEFINED  01,08     367,361   1,286,449           0
CONSOL ENERGY INC                 COM   20854P109      18,498     542,456  SH     DEFINED     09     542,456           0           0

CONSOLIDATED COMM HLDGS INC       COM   209034107         720      36,701  SH     DEFINED     01       7,607      28,094       1,000
CONSOLIDATED COMM HLDGS INC       COM   209034107          79       4,000  SH     OTHER       01       4,000           0           0
CONSOLIDATED COMM HLDGS INC       COM   209034107       6,704     341,523  SH     DEFINED  01,08     120,828     220,695           0
CONSOLIDATED COMM HLDGS INC       COM   209034107       1,776      90,474  SH     DEFINED     09      90,474           0           0

CONSOLIDATED EDISON INC           COM   209115104      22,967     393,132  SH     DEFINED     01     236,308     152,570       4,254
CONSOLIDATED EDISON INC           COM   209115104       1,053      18,029  SH     OTHER       01      15,376         648       2,005
CONSOLIDATED EDISON INC           COM   209115104     127,157   2,176,602  SH     DEFINED  01,08     541,623   1,634,979           0
CONSOLIDATED EDISON INC           COM   209115104      41,277     706,558  SH     DEFINED     09     706,558           0           0

CONSOLIDATED GRAPHICS INC         COM   209341106         736      16,257  SH     DEFINED     01       4,050      12,207           0
CONSOLIDATED GRAPHICS INC         COM   209341106       4,061      89,746  SH     DEFINED  01,08      19,548      70,198           0
CONSOLIDATED GRAPHICS INC         COM   209341106       1,360      30,052  SH     DEFINED     09      30,052           0           0

CONSOLIDATED TOMOKA LD CO         COM   210226106         362      12,183  SH     DEFINED     01         823      11,360           0
CONSOLIDATED TOMOKA LD CO         COM   210226106       1,467      49,327  SH     DEFINED  01,08      13,192      36,135           0
CONSOLIDATED TOMOKA LD CO         COM   210226106         430      14,442  SH     DEFINED     09      14,442           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     85
  ________

CONSTANT CONTACT INC              COM   210313102       2,263      75,963  SH     DEFINED     01      42,027      32,381       1,555
CONSTANT CONTACT INC              COM   210313102         182       6,111  SH     OTHER       01       3,352       2,649         110
CONSTANT CONTACT INC              COM   210313102       8,320     279,299  SH     DEFINED  01,08      39,735     239,564           0
CONSTANT CONTACT INC              COM   210313102       2,532      85,008  SH     DEFINED     09      85,008           0           0

CONSTELLATION BRANDS INC          COM   21036P108       6,995     296,539  SH     DEFINED     01     190,391     105,381         767
CONSTELLATION BRANDS INC          COM   21036P108         484      20,526  SH     OTHER       01       3,080      17,446           0
CONSTELLATION BRANDS INC          COM   21036P108      30,537   1,294,508  SH     DEFINED  01,08     314,837     979,671           0
CONSTELLATION BRANDS INC          COM   21036P108      10,832     459,163  SH     DEFINED     09     459,163           0           0

CONSUMER PORTFOLIO SVCS INC       COM   210502100          15      12,247  SH     DEFINED     01         400      11,847           0
CONSUMER PORTFOLIO SVCS INC       COM   210502100          48      38,641  SH     DEFINED  01,08      11,404      27,237           0

CONTANGO OIL & GAS COMPANY        COM   21075N204       1,252      21,256  SH     DEFINED     01       6,632      14,624           0
CONTANGO OIL & GAS COMPANY        COM   21075N204       7,272     123,450  SH     DEFINED  01,08      21,855     101,595           0
CONTANGO OIL & GAS COMPANY        COM   21075N204       2,071      35,159  SH     DEFINED     09      35,159           0           0

CONTINENTAL RESOURCES INC         COM   212015101       6,702      78,099  SH     DEFINED     01      70,364       7,020         715
CONTINENTAL RESOURCES INC         COM   212015101         566       6,595  SH     OTHER       01       6,237         355           3
CONTINENTAL RESOURCES INC         COM   212015101      14,026     163,430  SH     DEFINED  01,08      13,438     149,992           0
CONTINENTAL RESOURCES INC         COM   212015101       5,460      63,620  SH     DEFINED     09      63,620           0           0

CONVERGYS CORP                    COM   212485106       2,319     173,686  SH     DEFINED     01      37,720     135,966           0
CONVERGYS CORP                    COM   212485106           1         100  SH     OTHER       01           0           0         100
CONVERGYS CORP                    COM   212485106      18,423   1,380,017  SH     DEFINED  01,08     200,875   1,179,142           0
CONVERGYS CORP                    COM   212485106       3,999     299,534  SH     DEFINED     09     299,534           0           0

CONVIO INC                        COM   21257W105         133       8,618  SH     DEFINED     01       2,638       5,980           0
CONVIO INC                        COM   21257W105       1,650     106,638  SH     DEFINED  01,08      10,419      96,219           0
CONVIO INC                        COM   21257W105         488      31,570  SH     DEFINED     09      31,570           0           0

COOPER COS INC                    COM   216648402       7,360      90,075  SH     DEFINED     01      25,430      64,550          95
COOPER COS INC                    COM   216648402         400       4,900  SH     OTHER       01         205       4,655          40
COOPER COS INC                    COM   216648402      28,723     351,523  SH     DEFINED  01,08      75,799     275,724           0

COOPER TIRE & RUBR CO             COM   216831107       2,978     195,642  SH     DEFINED     01      59,439     134,508       1,695
COOPER TIRE & RUBR CO             COM   216831107          18       1,190  SH     OTHER       01       1,190           0           0
COOPER TIRE & RUBR CO             COM   216831107      10,481     688,620  SH     DEFINED  01,08     180,730     507,890           0
COOPER TIRE & RUBR CO             COM   216831107       2,730     179,400  SH     DEFINED     09     179,400           0           0

COPANO ENERGY L L C               COM   217202100         146       4,100  SH     DEFINED     01       4,100           0           0
COPANO ENERGY L L C               COM   217202100       1,117      31,294  SH     DEFINED  01,08      31,294           0           0

COPART INC                        COM   217204106         872      33,448  SH     DEFINED     01      23,766       9,532         150
COPART INC                        COM   217204106          70       2,686  SH     OTHER       01         495       2,191           0
COPART INC                        COM   217204106       9,373     359,542  SH     DEFINED  01,08      33,676     325,866           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     86
  ________

CORCEPT THERAPEUTICS INC          COM   218352102         185      47,177  SH     DEFINED     01      25,283      21,894           0
CORCEPT THERAPEUTICS INC          COM   218352102       1,642     417,925  SH     DEFINED  01,08      53,577     364,348           0
CORCEPT THERAPEUTICS INC          COM   218352102         564     143,527  SH     DEFINED     09     143,527           0           0

CORE MARK HOLDING CO INC          COM   218681104       3,013      73,601  SH     DEFINED     01       2,991      70,610           0
CORE MARK HOLDING CO INC          COM   218681104         252       6,150  SH     OTHER       01       4,780       1,370           0
CORE MARK HOLDING CO INC          COM   218681104       7,003     171,057  SH     DEFINED  01,08      77,682      93,375           0
CORE MARK HOLDING CO INC          COM   218681104       1,500      36,634  SH     DEFINED     09      36,634           0           0

CORESITE RLTY CORP                COM   21870Q105         372      15,759  SH     DEFINED     01       5,005      10,754           0
CORESITE RLTY CORP                COM   21870Q105       4,285     181,648  SH     DEFINED  01,08      23,456     158,192           0
CORESITE RLTY CORP                COM   21870Q105       1,193      50,580  SH     DEFINED     09      50,580           0           0

CORELOGIC INC                     COM   21871D103         972      59,573  SH     DEFINED     01      27,324      32,249           0
CORELOGIC INC                     COM   21871D103           1          75  SH     OTHER       01          75           0           0
CORELOGIC INC                     COM   21871D103      11,063     677,865  SH     DEFINED  01,08      72,507     605,358           0

CORINTHIAN COLLEGES INC           COM   218868107         475     114,777  SH     DEFINED     01      45,140      69,637           0
CORINTHIAN COLLEGES INC           COM   218868107       3,183     768,835  SH     DEFINED  01,08     140,721     628,114           0
CORINTHIAN COLLEGES INC           COM   218868107         927     223,946  SH     DEFINED     09     223,946           0           0

CORN PRODS INTL INC               COM   219023108       2,342      40,618  SH     DEFINED     01      25,699      14,919           0
CORN PRODS INTL INC               COM   219023108         405       7,020  SH     OTHER       01           0       7,000          20
CORN PRODS INTL INC               COM   219023108      27,663     479,844  SH     DEFINED  01,08      34,591     445,253           0

CORNERSTONE THERAPEUTICS INC      COM   21924P103          23       3,776  SH     DEFINED     01         850       2,926           0
CORNERSTONE THERAPEUTICS INC      COM   21924P103         438      73,520  SH     DEFINED  01,08       6,422      67,098           0
CORNERSTONE THERAPEUTICS INC      COM   21924P103         114      19,086  SH     DEFINED     09      19,086           0           0

CORNERSTONE ONDEMAND INC          COM   21925Y103         179       8,192  SH     DEFINED     01       1,073       7,119           0
CORNERSTONE ONDEMAND INC          COM   21925Y103       2,730     124,982  SH     DEFINED  01,08      12,211     112,771           0
CORNERSTONE ONDEMAND INC          COM   21925Y103         715      32,732  SH     DEFINED     09      32,732           0           0

CORNING INC                       COM   219350105      23,345   1,658,039  SH     DEFINED     01     843,464     804,291      10,284
CORNING INC                       COM   219350105       1,274      90,516  SH     OTHER       01      65,165      22,446       2,905
CORNING INC                       COM   219350105     160,462  11,396,471  SH     DEFINED  01,08   2,724,985   8,671,486           0
CORNING INC                       COM   219350105      53,226   3,780,224  SH     DEFINED     09   3,780,224           0           0

CORONADO BIOSCIENCES INC          COM   21976U109         135      15,963  SH     DEFINED  01,08           0      15,963           0

CORPORATE EXECUTIVE BRD CO        COM   21988R102       2,610      60,685  SH     DEFINED     01      11,777      48,908           0
CORPORATE EXECUTIVE BRD CO        COM   21988R102         200       4,657  SH     OTHER       01       4,657           0           0
CORPORATE EXECUTIVE BRD CO        COM   21988R102      18,999     441,737  SH     DEFINED  01,08      69,490     372,247           0
CORPORATE EXECUTIVE BRD CO        COM   21988R102       4,260      99,038  SH     DEFINED     09      99,038           0           0

CORPORATE OFFICE PPTYS TR         COM   22002T108       1,474      63,527  SH     DEFINED     01      20,439      43,088           0
CORPORATE OFFICE PPTYS TR         COM   22002T108          31       1,340  SH     OTHER       01       1,300           0          40
CORPORATE OFFICE PPTYS TR         COM   22002T108      13,572     584,741  SH     DEFINED  01,08     167,507     417,234           0
CORPORATE OFFICE PPTYS TR         COM   22002T108         736      31,719  SH     DEFINED     09      31,719           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     87
  ________

CORRECTIONS CORP AMER NEW         COM   22025Y407       2,080      76,165  SH     DEFINED     01      61,860      14,305           0
CORRECTIONS CORP AMER NEW         COM   22025Y407         122       4,460  SH     OTHER       01       4,430           0          30
CORRECTIONS CORP AMER NEW         COM   22025Y407      16,914     619,343  SH     DEFINED  01,08      37,971     581,372           0

CORVEL CORP                       COM   221006109         722      18,104  SH     DEFINED     01       3,404      14,700           0
CORVEL CORP                       COM   221006109       2,814      70,554  SH     DEFINED  01,08      18,247      52,307           0
CORVEL CORP                       COM   221006109         796      19,951  SH     DEFINED     09      19,951           0           0

COSI INC                          COM   22122P101           0         429  SH     DEFINED     01           0         429           0
COSI INC                          COM   22122P101          38      35,586  SH     DEFINED  01,08       1,632      33,954           0

COST PLUS INC CALIF               COM   221485105         332      18,567  SH     DEFINED     01       1,698      16,869           0
COST PLUS INC CALIF               COM   221485105       3,263     182,304  SH     DEFINED  01,08      25,344     156,960           0
COST PLUS INC CALIF               COM   221485105         903      50,428  SH     DEFINED     09      50,428           0           0

COSTCO WHSL CORP NEW              COM   22160K105     224,520   2,472,688  SH     DEFINED     01   2,119,035     300,172      53,481
COSTCO WHSL CORP NEW              COM   22160K105      40,548     446,567  SH     OTHER       01     338,894      65,708      41,965
COSTCO WHSL CORP NEW              COM   22160K105     298,205   3,284,196  SH     DEFINED  01,08     805,213   2,478,983           0
COSTCO WHSL CORP NEW              COM   22160K105      96,820   1,066,300  SH     DEFINED     09   1,066,300           0           0

COSTAR GROUP INC                  COM   22160N109       3,975      57,563  SH     DEFINED     01      29,461      27,132         970
COSTAR GROUP INC                  COM   22160N109       1,148      16,623  SH     OTHER       01       1,735      14,818          70
COSTAR GROUP INC                  COM   22160N109      16,737     242,393  SH     DEFINED  01,08      37,153     205,240           0
COSTAR GROUP INC                  COM   22160N109       5,309      76,891  SH     DEFINED     09      76,891           0           0

COURIER CORP                      COM   222660102         281      24,222  SH     DEFINED     01       2,640      21,582           0
COURIER CORP                      COM   222660102       1,281     110,432  SH     DEFINED  01,08      28,044      82,388           0
COURIER CORP                      COM   222660102         326      28,097  SH     DEFINED     09      28,097           0           0

COUSINS PPTYS INC                 COM   222795106       1,166     153,843  SH     DEFINED     01      53,467     100,376           0
COUSINS PPTYS INC                 COM   222795106       8,024   1,058,534  SH     DEFINED  01,08     316,887     741,647           0
COUSINS PPTYS INC                 COM   222795106       2,275     300,188  SH     DEFINED     09     300,188           0           0

COVANCE INC                       COM   222816100      12,696     266,556  SH     DEFINED     01     236,602      24,214       5,740
COVANCE INC                       COM   222816100       1,871      39,274  SH     OTHER       01      23,899      14,993         382
COVANCE INC                       COM   222816100      17,598     369,469  SH     DEFINED  01,08      19,131     350,338           0
COVANCE INC                       COM   222816100       3,386      71,080  SH     DEFINED     09      71,080           0           0

COVANTA HLDG CORP                 COM   22282E102       2,043     125,891  SH     DEFINED     01      38,432      10,659      76,800
COVANTA HLDG CORP                 COM   22282E102           1          60  SH     OTHER       01           0           0          60
COVANTA HLDG CORP                 COM   22282E102       6,292     387,665  SH     DEFINED  01,08      38,985     348,680           0

COVENANT TRANSN GROUP INC         COM   22284P105          46      14,331  SH     DEFINED     01       1,809      12,522           0
COVENANT TRANSN GROUP INC         COM   22284P105         257      80,339  SH     DEFINED  01,08      15,284      65,055           0

COVENTRY HEALTH CARE INC          COM   222862104       5,508     154,846  SH     DEFINED     01      78,877      75,424         545
COVENTRY HEALTH CARE INC          COM   222862104          92       2,598  SH     OTHER       01       2,505          93           0
COVENTRY HEALTH CARE INC          COM   222862104      38,249   1,075,322  SH     DEFINED  01,08     262,061     813,261           0
COVENTRY HEALTH CARE INC          COM   222862104      12,025     338,068  SH     DEFINED     09     338,068           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     88
  ________

COVER-ALL TECHNOLOGIES INC        COM   222892101          12       5,058  SH     DEFINED     01           0       5,058           0
COVER-ALL TECHNOLOGIES INC        COM   222892101          27      11,457  SH     DEFINED  01,08       6,724       4,733           0

COWEN GROUP INC NEW               COM   223622101         176      64,948  SH     DEFINED     01      16,903      48,045           0
COWEN GROUP INC NEW               COM   223622101       1,729     637,863  SH     DEFINED  01,08      74,338     563,525           0
COWEN GROUP INC NEW               COM   223622101         733     270,478  SH     DEFINED     09     270,478           0           0

CRACKER BARREL OLD CTRY STOR      COM   22410J106       6,823     122,283  SH     DEFINED     01      12,106     110,177           0
CRACKER BARREL OLD CTRY STOR      COM   22410J106      17,605     315,499  SH     DEFINED  01,08     128,977     186,522           0
CRACKER BARREL OLD CTRY STOR      COM   22410J106       3,666      65,698  SH     DEFINED     09      65,698           0           0

CRAFT BREW ALLIANCE INC           COM   224122101         139      18,112  SH     DEFINED     01         930      17,182           0
CRAFT BREW ALLIANCE INC           COM   224122101         761      99,378  SH     DEFINED  01,08      20,194      79,184           0
CRAFT BREW ALLIANCE INC           COM   224122101         299      38,982  SH     DEFINED     09      38,982           0           0

CRANE CO                          COM   224399105       1,072      22,107  SH     DEFINED     01      14,220       7,887           0
CRANE CO                          COM   224399105          75       1,540  SH     OTHER       01           0       1,500          40
CRANE CO                          COM   224399105      14,954     308,323  SH     DEFINED  01,08      23,726     284,597           0

CRAWFORD & CO                     COM   224633107         320      65,247  SH     DEFINED     01      15,568      49,679           0
CRAWFORD & CO                     COM   224633107       1,361     277,716  SH     DEFINED  01,08      66,940     210,776           0
CRAWFORD & CO                     COM   224633107         285      58,254  SH     DEFINED     09      58,254           0           0

CRAY INC                          COM   225223304       2,285     312,141  SH     DEFINED     01       9,740     302,401           0
CRAY INC                          COM   225223304       4,585     626,375  SH     DEFINED  01,08     327,432     298,943           0
CRAY INC                          COM   225223304         904     123,453  SH     DEFINED     09     123,453           0           0

CREDIT ACCEP CORP MICH            COM   225310101       1,683      16,665  SH     DEFINED     01       1,659      15,006           0
CREDIT ACCEP CORP MICH            COM   225310101       7,692      76,150  SH     DEFINED  01,08      19,519      56,631           0
CREDIT ACCEP CORP MICH            COM   225310101       2,087      20,662  SH     DEFINED     09      20,662           0           0

CREDIT SUISSE GROUP               COM   225401108      12,708     445,754  SH     DEFINED     01     412,858      29,752       3,144
CREDIT SUISSE GROUP               COM   225401108         950      33,328  SH     OTHER       01      20,268       9,835       3,225
CREDIT SUISSE GROUP               COM   225401108       1,753      61,488  SH     DEFINED  01,08      61,488           0           0

CREDO PETE CORP                   COM   225439207         150      14,703  SH     DEFINED     01           0      14,703           0
CREDO PETE CORP                   COM   225439207         271      26,506  SH     DEFINED  01,08      14,040      12,466           0

CREE INC                          COM   225447101       1,339      42,349  SH     DEFINED     01      25,410      16,939           0
CREE INC                          COM   225447101           2          70  SH     OTHER       01           0           0          70
CREE INC                          COM   225447101      22,788     720,466  SH     DEFINED  01,08      57,016     663,450           0
CREE INC                          COM   225447101       5,302     167,629  SH     DEFINED     09     167,629           0           0

CRESTWOOD MIDSTREAM PRTNERS       COM   226372100         105       3,700  SH     DEFINED     01       3,700           0           0
CRESTWOOD MIDSTREAM PRTNERS       COM   226372100         183       6,413  SH     DEFINED  01,08       6,413           0           0

CREXENDO INC                      COM   226552107          23       6,669  SH     DEFINED     01           0       6,669           0
CREXENDO INC                      COM   226552107          77      22,090  SH     DEFINED  01,08       5,528      16,562           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     89
  ________

CREXUS INVT CORP                  COM   226553105         731      70,692  SH     DEFINED     01      35,937      34,755           0
CREXUS INVT CORP                  COM   226553105       5,475     529,456  SH     DEFINED  01,08      58,306     471,150           0
CREXUS INVT CORP                  COM   226553105       1,777     171,837  SH     DEFINED     09     171,837           0           0

CRIMSON EXPLORATION INC           COM   22662K207          57      13,638  SH     DEFINED     01       4,090       9,548           0
CRIMSON EXPLORATION INC           COM   22662K207         825     198,765  SH     DEFINED  01,08      18,213     180,552           0
CRIMSON EXPLORATION INC           COM   22662K207         396      95,302  SH     DEFINED     09      95,302           0           0

CROCS INC                         COM   227046109       2,392     114,362  SH     DEFINED     01      46,157      68,205           0
CROCS INC                         COM   227046109      18,369     878,074  SH     DEFINED  01,08     145,964     732,110           0
CROCS INC                         COM   227046109       5,467     261,321  SH     DEFINED     09     261,321           0           0

CROSS A T CO                      COM   227478104         171      14,172  SH     DEFINED     01         867      13,305           0
CROSS A T CO                      COM   227478104       1,074      89,172  SH     DEFINED  01,08      14,310      74,862           0
CROSS A T CO                      COM   227478104         339      28,159  SH     DEFINED     09      28,159           0           0

CROSS CTRY HEALTHCARE INC         COM   227483104         192      38,419  SH     DEFINED     01      10,797      27,622           0
CROSS CTRY HEALTHCARE INC         COM   227483104       1,383     276,014  SH     DEFINED  01,08      51,491     224,523           0
CROSS CTRY HEALTHCARE INC         COM   227483104         448      89,411  SH     DEFINED     09      89,411           0           0

CROSSTEX ENERGY L P               COM   22765U102          34       2,000  SH     DEFINED     01       2,000           0           0
CROSSTEX ENERGY L P               COM   22765U102          51       3,000  SH     OTHER       01       1,000       2,000           0
CROSSTEX ENERGY L P               COM   22765U102         272      15,905  SH     DEFINED  01,08      15,905           0           0

CROSSTEX ENERGY INC               COM   22765Y104       3,742     264,652  SH     DEFINED     01      13,652     251,000           0
CROSSTEX ENERGY INC               COM   22765Y104          42       3,000  SH     OTHER       01           0       3,000           0
CROSSTEX ENERGY INC               COM   22765Y104       8,846     625,607  SH     DEFINED  01,08     280,242     345,365           0
CROSSTEX ENERGY INC               COM   22765Y104       1,691     119,565  SH     DEFINED     09     119,565           0           0

CROWN CASTLE INTL CORP            COM   228227104      16,376     307,010  SH     DEFINED     01     170,889     135,433         688
CROWN CASTLE INTL CORP            COM   228227104         137       2,573  SH     OTHER       01       2,434         139           0
CROWN CASTLE INTL CORP            COM   228227104     103,313   1,936,873  SH     DEFINED  01,08     449,202   1,487,671           0
CROWN CASTLE INTL CORP            COM   228227104      35,596     667,333  SH     DEFINED     09     667,333           0           0

CROWN CRAFTS INC                  COM   228309100          49       9,198  SH     DEFINED     01           0       9,198           0
CROWN CRAFTS INC                  COM   228309100          92      17,152  SH     DEFINED  01,08       7,998       9,154           0

CROWN HOLDINGS INC                COM   228368106       2,687      72,952  SH     DEFINED     01      56,388      16,049         515
CROWN HOLDINGS INC                COM   228368106         896      24,335  SH     OTHER       01         260      24,075           0
CROWN HOLDINGS INC                COM   228368106      19,109     518,853  SH     DEFINED  01,08      47,295     471,558           0
CROWN HOLDINGS INC                COM   228368106       7,412     201,239  SH     DEFINED     09     201,239           0           0

CROWN MEDIA HLDGS INC             COM   228411104          60      37,447  SH     DEFINED     01       3,088      34,359           0
CROWN MEDIA HLDGS INC             COM   228411104         368     231,389  SH     DEFINED  01,08      53,843     177,546           0
CROWN MEDIA HLDGS INC             COM   228411104          72      45,354  SH     DEFINED     09      45,354           0           0

CRYOLIFE INC                      COM   228903100       1,257     238,560  SH     DEFINED     01      14,328     224,232           0
CRYOLIFE INC                      COM   228903100       2,518     477,751  SH     DEFINED  01,08     250,255     227,496           0
CRYOLIFE INC                      COM   228903100         489      92,851  SH     DEFINED     09      92,851           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     90
  ________

CRYSTAL ROCK HLDGS INC            COM   22940F103           2       2,087  SH     DEFINED     01           0       2,087           0
CRYSTAL ROCK HLDGS INC            COM   22940F103           8       7,959  SH     DEFINED  01,08         882       7,077           0

CTRIP COM INTL LTD                COM   22943F100         332      15,326  SH     DEFINED     01       4,936      10,390           0
CTRIP COM INTL LTD                COM   22943F100          87       4,000  SH     OTHER       01       4,000           0           0
CTRIP COM INTL LTD                COM   22943F100         302      13,973  SH     DEFINED  01,08      13,973           0           0

CUBESMART                         COM   229663109       1,820     152,979  SH     DEFINED     01      30,559     122,420           0
CUBESMART                         COM   229663109      15,960   1,341,148  SH     DEFINED  01,08     365,488     975,660           0
CUBESMART                         COM   229663109       4,981     418,588  SH     DEFINED     09     418,588           0           0

CUBIC CORP                        COM   229669106       4,237      89,619  SH     DEFINED     01      17,186      72,048         385
CUBIC CORP                        COM   229669106          79       1,675  SH     OTHER       01         275           0       1,400
CUBIC CORP                        COM   229669106      10,154     214,773  SH     DEFINED  01,08      82,827     131,946           0
CUBIC CORP                        COM   229669106       2,054      43,447  SH     DEFINED     09      43,447           0           0

CUBIC ENERGY INC                  COM   229675103          17      31,531  SH     DEFINED  01,08           0      31,531           0

CUBIST PHARMACEUTICALS INC        COM   229678107       3,775      87,275  SH     DEFINED     01      30,363      56,812         100
CUBIST PHARMACEUTICALS INC        COM   229678107      25,430     587,972  SH     DEFINED  01,08     102,277     485,695           0
CUBIST PHARMACEUTICALS INC        COM   229678107       7,742     178,997  SH     DEFINED     09     178,997           0           0

CULLEN FROST BANKERS INC          COM   229899109       1,192      20,485  SH     DEFINED     01      13,102       7,283         100
CULLEN FROST BANKERS INC          COM   229899109         197       3,385  SH     OTHER       01         291       2,545         549
CULLEN FROST BANKERS INC          COM   229899109      20,731     356,261  SH     DEFINED  01,08      16,757     339,504           0

CULP INC                          COM   230215105          89       8,127  SH     DEFINED     01           0       8,127           0
CULP INC                          COM   230215105         224      20,437  SH     DEFINED  01,08       6,019      14,418           0

CUMBERLAND PHARMACEUTICALS I      COM   230770109         154      20,561  SH     DEFINED  01,08         100      20,461           0

CUMMINS INC                       COM   231021106     124,938   1,040,806  SH     DEFINED     01     861,674     155,537      23,595
CUMMINS INC                       COM   231021106      20,940     174,446  SH     OTHER       01     133,153      34,402       6,891
CUMMINS INC                       COM   231021106     175,207   1,459,570  SH     DEFINED  01,08     366,678   1,092,892           0
CUMMINS INC                       COM   231021106      55,693     463,952  SH     DEFINED     09     463,952           0           0

CUMULUS MEDIA INC                 COM   231082108         206      58,937  SH     DEFINED     01      22,945      35,992           0
CUMULUS MEDIA INC                 COM   231082108       1,351     386,977  SH     DEFINED  01,08      63,877     323,100           0
CUMULUS MEDIA INC                 COM   231082108         377     107,900  SH     DEFINED     09     107,900           0           0

CURIS INC                         COM   231269101         448      92,936  SH     DEFINED     01      29,232      63,704           0
CURIS INC                         COM   231269101       3,652     757,719  SH     DEFINED  01,08     122,117     635,602           0
CURIS INC                         COM   231269101       1,144     237,401  SH     DEFINED     09     237,401           0           0

CURRENCYSHARES CDN DLR TR         COM   23129X105         677       6,794  SH     DEFINED     01       6,794           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     91
  ________

CURTISS WRIGHT CORP               COM   231561101       3,217      86,909  SH     DEFINED     01      34,266      52,138         505
CURTISS WRIGHT CORP               COM   231561101          13         355  SH     OTHER       01         355           0           0
CURTISS WRIGHT CORP               COM   231561101      17,222     465,344  SH     DEFINED  01,08      89,872     375,472           0
CURTISS WRIGHT CORP               COM   231561101       4,906     132,554  SH     DEFINED     09     132,554           0           0

CUTERA INC                        COM   232109108         111      13,001  SH     DEFINED     01         300      12,701           0
CUTERA INC                        COM   232109108         292      34,130  SH     DEFINED  01,08      12,475      21,655           0

CYANOTECH CORP                    COM   232437301          31       3,018  SH     DEFINED     01           0       3,018           0
CYANOTECH CORP                    COM   232437301          79       7,804  SH     DEFINED  01,08       2,293       5,511           0

CYBERONICS INC                    COM   23251P102       1,826      47,900  SH     DEFINED     01      14,072      33,828           0
CYBERONICS INC                    COM   23251P102      10,820     283,774  SH     DEFINED  01,08      52,397     231,377           0
CYBERONICS INC                    COM   23251P102       3,084      80,884  SH     DEFINED     09      80,884           0           0

CYBEROPTICS CORP                  COM   232517102          98      10,126  SH     DEFINED     01           0      10,126           0
CYBEROPTICS CORP                  COM   232517102         197      20,435  SH     DEFINED  01,08       9,662      10,773           0

CYCLACEL PHARMACEUTICALS INC      COM   23254L108          46      64,024  SH     DEFINED  01,08         456      63,568           0

CYMER INC                         COM   232572107      11,700     234,000  SH     DEFINED     01      15,573     218,427           0
CYMER INC                         COM   232572107          33         650  SH     OTHER       01         650           0           0
CYMER INC                         COM   232572107      24,459     489,175  SH     DEFINED  01,08     242,796     246,379           0
CYMER INC                         COM   232572107       4,359      87,172  SH     DEFINED     09      87,172           0           0

CYNOSURE INC                      COM   232577205         373      20,899  SH     DEFINED     01       2,566      18,333           0
CYNOSURE INC                      COM   232577205       1,816     101,679  SH     DEFINED  01,08      22,932      78,747           0
CYNOSURE INC                      COM   232577205         517      28,973  SH     DEFINED     09      28,973           0           0

CYPRESS SEMICONDUCTOR CORP        COM   232806109         833      53,302  SH     DEFINED     01      37,068      16,234           0
CYPRESS SEMICONDUCTOR CORP        COM   232806109         117       7,484  SH     OTHER       01       1,487       5,698         299
CYPRESS SEMICONDUCTOR CORP        COM   232806109      15,221     973,816  SH     DEFINED  01,08      64,858     908,958           0

CYTOKINETICS INC                  COM   23282W100          10       8,307  SH     DEFINED     01           0       8,307           0
CYTOKINETICS INC                  COM   23282W100         114      99,048  SH     DEFINED  01,08      10,591      88,457           0

CYTEC INDS INC                    COM   232820100       2,830      46,561  SH     DEFINED     01      18,821      27,740           0
CYTEC INDS INC                    COM   232820100           7         115  SH     OTHER       01          80          35           0
CYTEC INDS INC                    COM   232820100      19,501     320,792  SH     DEFINED  01,08      46,441     274,351           0

CYTRX CORP                        COM   232828301           1       2,727  SH     DEFINED     01           0       2,727           0
CYTRX CORP                        COM   232828301          64     159,095  SH     DEFINED  01,08       4,141     154,954           0

CYTORI THERAPEUTICS INC           COM   23283K105         119      47,804  SH     DEFINED     01      10,250      37,554           0
CYTORI THERAPEUTICS INC           COM   23283K105       1,183     474,936  SH     DEFINED  01,08      57,638     417,298           0
CYTORI THERAPEUTICS INC           COM   23283K105         318     127,532  SH     DEFINED     09     127,532           0           0

DCP MIDSTREAM PARTNERS LP         COM   23311P100          28         600  SH     DEFINED     01         600           0           0
DCP MIDSTREAM PARTNERS LP         COM   23311P100         714      15,573  SH     DEFINED  01,08      15,573           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     92
  ________

DCT INDUSTRIAL TRUST INC          COM   233153105       1,877     318,096  SH     DEFINED     01      71,402     246,694           0
DCT INDUSTRIAL TRUST INC          COM   233153105      15,866   2,689,140  SH     DEFINED  01,08     720,557   1,968,583           0
DCT INDUSTRIAL TRUST INC          COM   233153105       4,933     836,091  SH     DEFINED     09     836,091           0           0

DDI CORP                          COM   233162502         183      15,038  SH     DEFINED     01       6,205       8,833           0
DDI CORP                          COM   233162502       3,674     301,139  SH     DEFINED  01,08     181,746     119,393           0
DDI CORP                          COM   233162502         718      58,834  SH     DEFINED     09      58,834           0           0

DDR CORP                          COM   23317H102         909      62,280  SH     DEFINED     01      37,664      24,616           0
DDR CORP                          COM   23317H102      16,929   1,159,545  SH     DEFINED  01,08     473,538     686,007           0
DDR CORP                          COM   23317H102       1,787     122,394  SH     DEFINED     09     122,394           0           0

DFC GLOBAL CORP                   COM   23324T107       1,212      64,207  SH     DEFINED     01      10,920      53,287           0
DFC GLOBAL CORP                   COM   23324T107       8,135     431,094  SH     DEFINED  01,08      76,979     354,115           0
DFC GLOBAL CORP                   COM   23324T107       2,464     130,563  SH     DEFINED     09     130,563           0           0

DNP SELECT INCOME FD              COM   23325P104         198      19,566  SH     DEFINED     01       8,566      11,000           0
DNP SELECT INCOME FD              COM   23325P104          91       9,000  SH     OTHER       01       9,000           0           0

D R HORTON INC                 CONV DEB 23331ABB4       5,099   4,850,000  PRN    DEFINED     01     725,000   4,125,000           0
D R HORTON INC                 CONV DEB 23331ABB4     433,703   4,125,000  PRN    DEFINED  01,08   4,125,000           0           0

D R HORTON INC                    COM   23331A109      10,108     666,330  SH     DEFINED     01     505,039     150,628      10,663
D R HORTON INC                    COM   23331A109         372      24,508  SH     OTHER       01      15,118       8,963         427
D R HORTON INC                    COM   23331A109      31,355   2,066,925  SH     DEFINED  01,08     512,678   1,554,247           0
D R HORTON INC                    COM   23331A109      10,542     694,894  SH     DEFINED     09     694,894           0           0

DSP GROUP INC                     COM   23332B106         261      39,197  SH     DEFINED     01      12,394      26,803           0
DSP GROUP INC                     COM   23332B106       1,582     237,563  SH     DEFINED  01,08      43,000     194,563           0
DSP GROUP INC                     COM   23332B106         564      84,746  SH     DEFINED     09      84,746           0           0

DST SYS INC DEL                   COM   233326107         886      16,342  SH     DEFINED     01      12,837       3,505           0
DST SYS INC DEL                   COM   233326107          27         501  SH     OTHER       01         501           0           0
DST SYS INC DEL                   COM   233326107      11,516     212,346  SH     DEFINED  01,08      16,799     195,547           0
DST SYS INC DEL                   COM   233326107          66       1,216  SH     DEFINED     09       1,216           0           0

DTE ENERGY CO                     COM   233331107      10,790     196,068  SH     DEFINED     01     104,670      88,391       3,007
DTE ENERGY CO                     COM   233331107         305       5,549  SH     OTHER       01       3,328       2,006         215
DTE ENERGY CO                     COM   233331107      71,903   1,306,620  SH     DEFINED  01,08     359,092     947,528           0
DTE ENERGY CO                     COM   233331107      22,898     416,105  SH     DEFINED     09     416,105           0           0

DSW INC                           COM   23334L102       6,933     126,578  SH     DEFINED     01       5,689     120,889           0
DSW INC                           COM   23334L102      11,567     211,187  SH     DEFINED  01,08     132,206      78,981           0

DTS INC                           COM   23335C101         781      25,853  SH     DEFINED     01       8,699      17,154           0
DTS INC                           COM   23335C101       5,132     169,832  SH     DEFINED  01,08      29,200     140,632           0
DTS INC                           COM   23335C101       1,547      51,179  SH     DEFINED     09      51,179           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     93
  ________

DXP ENTERPRISES INC NEW           COM   233377407         460      10,571  SH     DEFINED     01       2,376       8,195           0
DXP ENTERPRISES INC NEW           COM   233377407       3,717      85,460  SH     DEFINED  01,08      13,617      71,843           0
DXP ENTERPRISES INC NEW           COM   233377407         969      22,271  SH     DEFINED     09      22,271           0           0

DAKTRONICS INC                    COM   234264109       2,115     237,920  SH     DEFINED     01     188,113      48,364       1,443
DAKTRONICS INC                    COM   234264109          56       6,305  SH     OTHER       01       2,241       4,064           0
DAKTRONICS INC                    COM   234264109       3,270     367,821  SH     DEFINED  01,08      78,284     289,537           0
DAKTRONICS INC                    COM   234264109         779      87,639  SH     DEFINED     09      87,639           0           0

DANA HLDG CORP                    COM   235825205       3,805     245,495  SH     DEFINED     01      97,424     148,071           0
DANA HLDG CORP                    COM   235825205          60       3,901  SH     OTHER       01       2,571       1,330           0
DANA HLDG CORP                    COM   235825205      21,502   1,387,204  SH     DEFINED  01,08     211,434   1,175,770           0
DANA HLDG CORP                    COM   235825205       6,685     431,273  SH     DEFINED     09     431,273           0           0

DANAHER CORP DEL                  COM   235851102     320,294   5,719,527  SH     DEFINED     01   4,757,774     721,955     239,798
DANAHER CORP DEL                  COM   235851102      66,303   1,183,986  SH     OTHER       01     820,730     227,755     135,501
DANAHER CORP DEL                  COM   235851102     236,672   4,226,294  SH     DEFINED  01,08   1,006,285   3,220,009           0
DANAHER CORP DEL                  COM   235851102      79,265   1,415,439  SH     DEFINED     09   1,415,439           0           0

DARDEN RESTAURANTS INC            COM   237194105      47,594     930,306  SH     DEFINED     01     762,804     132,783      34,719
DARDEN RESTAURANTS INC            COM   237194105       7,371     144,081  SH     OTHER       01     118,174      13,585      12,322
DARDEN RESTAURANTS INC            COM   237194105      51,575   1,008,107  SH     DEFINED  01,08     274,486     733,621           0
DARDEN RESTAURANTS INC            COM   237194105      16,311     318,817  SH     DEFINED     09     318,817           0           0

DARLING INTL INC                  COM   237266101       3,045     174,806  SH     DEFINED     01      62,571     112,135         100
DARLING INTL INC                  COM   237266101         360      20,650  SH     OTHER       01      20,650           0           0
DARLING INTL INC                  COM   237266101      20,021   1,149,294  SH     DEFINED  01,08     204,371     944,923           0
DARLING INTL INC                  COM   237266101       5,883     337,722  SH     DEFINED     09     337,722           0           0

DATA I O CORP                     COM   237690102          31       7,869  SH     DEFINED     01           0       7,869           0
DATA I O CORP                     COM   237690102          87      22,181  SH     DEFINED  01,08       8,814      13,367           0

DATAWATCH CORP                    COM   237917208          50       3,795  SH     DEFINED     01           0       3,795           0
DATAWATCH CORP                    COM   237917208         107       8,060  SH     DEFINED  01,08       3,891       4,169           0

DATALINK CORP                     COM   237934104          67       7,009  SH     DEFINED     01           0       7,009           0
DATALINK CORP                     COM   237934104         286      30,062  SH     DEFINED  01,08       6,965      23,097           0

DATARAM CORP                      COM   238108203           6       7,906  SH     DEFINED     01           0       7,906           0
DATARAM CORP                      COM   238108203           7       9,446  SH     DEFINED  01,08       6,285       3,161           0

DAVITA INC                        COM   23918K108      10,841     120,230  SH     DEFINED     01      70,422      49,166         642
DAVITA INC                        COM   23918K108         283       3,134  SH     OTHER       01       1,915       1,219           0
DAVITA INC                        COM   23918K108      62,562     693,827  SH     DEFINED  01,08     157,668     536,159           0
DAVITA INC                        COM   23918K108      20,417     226,425  SH     DEFINED     09     226,425           0           0

DAWSON GEOPHYSICAL CO             COM   239359102         599      17,431  SH     DEFINED     01       2,175      15,256           0
DAWSON GEOPHYSICAL CO             COM   239359102       2,919      84,971  SH     DEFINED  01,08      17,668      67,303           0
DAWSON GEOPHYSICAL CO             COM   239359102         956      27,830  SH     DEFINED     09      27,830           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     94
  ________

DAXOR CORP                        COM   239467103          49       5,363  SH     DEFINED     01           0       5,363           0
DAXOR CORP                        COM   239467103          80       8,888  SH     DEFINED  01,08       5,363       3,525           0

DAYSTAR TECHNOLOGIES INC          COM   23962Q308           3      13,542  SH     DEFINED  01,08           0      13,542           0

DEALERTRACK HLDGS INC             COM   242309102       5,166     170,705  SH     DEFINED     01      94,326      73,529       2,850
DEALERTRACK HLDGS INC             COM   242309102         350      11,556  SH     OTHER       01       6,315       5,041         200
DEALERTRACK HLDGS INC             COM   242309102      13,056     431,449  SH     DEFINED  01,08      94,078     337,371           0
DEALERTRACK HLDGS INC             COM   242309102       3,607     119,200  SH     DEFINED     09     119,200           0           0

DEAN FOODS CO NEW                 COM   242370104       2,676     220,971  SH     DEFINED     01     124,287      96,318         366
DEAN FOODS CO NEW                 COM   242370104          59       4,886  SH     OTHER       01       2,630       2,256           0
DEAN FOODS CO NEW                 COM   242370104      16,114   1,330,596  SH     DEFINED  01,08     314,063   1,016,533           0
DEAN FOODS CO NEW                 COM   242370104       2,245     185,397  SH     DEFINED     09     185,397           0           0

DECKERS OUTDOOR CORP              COM   243537107       2,097      33,253  SH     DEFINED     01      26,189       7,010          54
DECKERS OUTDOOR CORP              COM   243537107          25         404  SH     OTHER       01         364           0          40
DECKERS OUTDOOR CORP              COM   243537107      15,410     244,417  SH     DEFINED  01,08      17,250     227,167           0

DEERE & CO                        COM   244199105      82,505   1,019,841  SH     DEFINED     01     726,930     276,659      16,252
DEERE & CO                        COM   244199105      15,324     189,425  SH     OTHER       01     119,038      60,668       9,719
DEERE & CO                        COM   244199105     245,752   3,037,728  SH     DEFINED  01,08     719,015   2,318,713           0
DEERE & CO                        COM   244199105      80,755     998,209  SH     DEFINED     09     998,209           0           0

DELCATH SYS INC                   COM   24661P104         139      44,218  SH     DEFINED     01       7,771      36,447           0
DELCATH SYS INC                   COM   24661P104       1,399     445,459  SH     DEFINED  01,08      48,032     397,427           0
DELCATH SYS INC                   COM   24661P104         390     124,354  SH     DEFINED     09     124,354           0           0

DELEK US HLDGS INC                COM   246647101         503      32,401  SH     DEFINED     01       3,777      28,624           0
DELEK US HLDGS INC                COM   246647101       2,495     160,884  SH     DEFINED  01,08      38,623     122,261           0
DELEK US HLDGS INC                COM   246647101         755      48,693  SH     DEFINED     09      48,693           0           0

DELIA'S INC NEW                   COM   246911101          14      10,287  SH     DEFINED     01           0      10,287           0
DELIA'S INC NEW                   COM   246911101          63      44,986  SH     DEFINED  01,08       6,807      38,179           0

DELL INC                          COM   24702R101      31,405   1,892,434  SH     DEFINED     01   1,049,376     833,130       9,928
DELL INC                          COM   24702R101       1,615      97,296  SH     OTHER       01      51,853      41,987       3,456
DELL INC                          COM   24702R101     196,671  11,851,214  SH     DEFINED  01,08   2,949,010   8,902,204           0
DELL INC                          COM   24702R101      65,422   3,942,276  SH     DEFINED     09   3,942,276           0           0

DELPHI FINL GROUP INC             COM   247131105       8,797     196,488  SH     DEFINED     01      22,238     174,250           0
DELPHI FINL GROUP INC             COM   247131105         428       9,550  SH     OTHER       01           0       9,550           0
DELPHI FINL GROUP INC             COM   247131105      27,117     605,705  SH     DEFINED  01,08     216,739     388,966           0
DELPHI FINL GROUP INC             COM   247131105       6,299     140,700  SH     DEFINED     09     140,700           0           0

DELTA AIR LINES INC DEL           COM   247361702       2,698     272,082  SH     DEFINED     01     179,445      92,576          61
DELTA AIR LINES INC DEL           COM   247361702           7         737  SH     OTHER       01         300           0         437
DELTA AIR LINES INC DEL           COM   247361702      28,655   2,890,092  SH     DEFINED  01,08     304,094   2,585,998           0
DELTA AIR LINES INC DEL           COM   247361702       3,216     324,398  SH     DEFINED     09     324,398           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     95
  ________

DELTA APPAREL INC                 COM   247368103         230      13,987  SH     DEFINED     01         835      13,152           0
DELTA APPAREL INC                 COM   247368103       1,050      63,919  SH     DEFINED  01,08      14,451      49,468           0
DELTA APPAREL INC                 COM   247368103         211      12,812  SH     DEFINED     09      12,812           0           0

DELTA NAT GAS INC                 COM   247748106          90       2,368  SH     DEFINED     01           0       2,368           0
DELTA NAT GAS INC                 COM   247748106         273       7,195  SH     DEFINED  01,08       2,257       4,938           0

DELTEK INC                        COM   24784L105         366      34,340  SH     DEFINED     01       4,933      29,407           0
DELTEK INC                        COM   24784L105       2,297     215,444  SH     DEFINED  01,08      43,137     172,307           0
DELTEK INC                        COM   24784L105         773      72,509  SH     DEFINED     09      72,509           0           0

DELTIC TIMBER CORP                COM   247850100       2,196      34,690  SH     DEFINED     01      17,907      16,523         260
DELTIC TIMBER CORP                COM   247850100         424       6,697  SH     OTHER       01         767       5,930           0
DELTIC TIMBER CORP                COM   247850100       6,832     107,947  SH     DEFINED  01,08      16,395      91,552           0
DELTIC TIMBER CORP                COM   247850100       2,081      32,874  SH     DEFINED     09      32,874           0           0

DENBURY RES INC                   COM   247916208       9,310     510,715  SH     DEFINED     01     300,385     206,183       4,147
DENBURY RES INC                   COM   247916208         480      26,331  SH     OTHER       01       4,730      21,115         486
DENBURY RES INC                   COM   247916208      53,012   2,907,975  SH     DEFINED  01,08     679,908   2,228,067           0
DENBURY RES INC                   COM   247916208      17,920     983,006  SH     DEFINED     09     983,006           0           0

DELUXE CORP                       COM   248019101       2,486     106,169  SH     DEFINED     01      51,526      54,243         400
DELUXE CORP                       COM   248019101          84       3,600  SH     OTHER       01       3,600           0           0
DELUXE CORP                       COM   248019101      16,641     710,552  SH     DEFINED  01,08     148,871     561,681           0
DELUXE CORP                       COM   248019101       3,365     143,687  SH     DEFINED     09     143,687           0           0

DEMAND MEDIA INC                  COM   24802N109          27       3,745  SH     DEFINED     01         713       3,032           0
DEMAND MEDIA INC                  COM   24802N109         804     110,959  SH     DEFINED  01,08       9,169     101,790           0
DEMAND MEDIA INC                  COM   24802N109         175      24,096  SH     DEFINED     09      24,096           0           0

DENDREON CORP                     COM   24823Q107         675      63,327  SH     DEFINED     01      38,509      24,818           0
DENDREON CORP                     COM   24823Q107           1          95  SH     OTHER       01           0           0          95
DENDREON CORP                     COM   24823Q107       5,434     509,958  SH     DEFINED  01,08      53,078     456,880           0

DENNYS CORP                       COM   24869P104         794     196,504  SH     DEFINED     01      86,879     106,820       2,805
DENNYS CORP                       COM   24869P104          26       6,383  SH     OTHER       01       3,633       2,750           0
DENNYS CORP                       COM   24869P104       3,807     942,314  SH     DEFINED  01,08     131,521     810,793           0
DENNYS CORP                       COM   24869P104       1,081     267,671  SH     DEFINED     09     267,671           0           0

DENTSPLY INTL INC NEW             COM   249030107      15,690     390,976  SH     DEFINED     01     251,492     131,215       8,269
DENTSPLY INTL INC NEW             COM   249030107       4,050     100,915  SH     OTHER       01      65,377      21,703      13,835
DENTSPLY INTL INC NEW             COM   249030107      42,365   1,055,689  SH     DEFINED  01,08     253,472     802,217           0
DENTSPLY INTL INC NEW             COM   249030107      13,713     341,716  SH     DEFINED     09     341,716           0           0

DEPOMED INC                       COM   249908104         453      72,384  SH     DEFINED     01      28,823      43,561           0
DEPOMED INC                       COM   249908104       3,234     516,613  SH     DEFINED  01,08      76,160     440,453           0
DEPOMED INC                       COM   249908104         991     158,278  SH     DEFINED     09     158,278           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     96
  ________

DESTINATION MATERNITY CORP        COM   25065D100         336      18,102  SH     DEFINED     01       4,100      14,002           0
DESTINATION MATERNITY CORP        COM   25065D100       2,108     113,528  SH     DEFINED  01,08      20,696      92,832           0
DESTINATION MATERNITY CORP        COM   25065D100         685      36,893  SH     DEFINED     09      36,893           0           0

DEVON ENERGY CORP NEW             COM   25179M103      41,844     588,356  SH     DEFINED     01     291,905     286,526       9,925
DEVON ENERGY CORP NEW             COM   25179M103         920      12,930  SH     OTHER       01       8,476       4,094         360
DEVON ENERGY CORP NEW             COM   25179M103     220,194   3,096,089  SH     DEFINED  01,08     797,173   2,298,916           0
DEVON ENERGY CORP NEW             COM   25179M103      70,097     985,619  SH     DEFINED     09     985,619           0           0

DEVRY INC DEL                     COM   251893103       2,844      83,968  SH     DEFINED     01      52,505      31,463           0
DEVRY INC DEL                     COM   251893103         550      16,238  SH     OTHER       01         804      15,397          37
DEVRY INC DEL                     COM   251893103      15,472     456,797  SH     DEFINED  01,08      98,248     358,549           0
DEVRY INC DEL                     COM   251893103       2,021      59,666  SH     DEFINED     09      59,666           0           0

DEX ONE CORP                      COM   25212W100          13       9,226  SH     DEFINED     01           0       9,226           0
DEX ONE CORP                      COM   25212W100          98      69,187  SH     DEFINED  01,08       2,804      66,383           0

DEXCOM INC                        COM   252131107         694      66,554  SH     DEFINED     01      22,706      43,848           0
DEXCOM INC                        COM   252131107       6,469     620,232  SH     DEFINED  01,08      78,389     541,843           0
DEXCOM INC                        COM   252131107       2,006     192,375  SH     DEFINED     09     192,375           0           0

DIAGEO P L C                      COM   25243Q205      13,484     139,726  SH     DEFINED     01     127,410      11,851         465
DIAGEO P L C                      COM   25243Q205       4,711      48,818  SH     OTHER       01      27,694      20,594         530
DIAGEO P L C                      COM   25243Q205       3,621      37,526  SH     DEFINED  01,08      37,526           0           0

DIAL GLOBAL INC                   COM   25247X107           6       2,404  SH     DEFINED     01         472       1,932           0
DIAL GLOBAL INC                   COM   25247X107          85      36,636  SH     DEFINED  01,08       4,395      32,241           0
DIAL GLOBAL INC                   COM   25247X107          39      16,560  SH     DEFINED     09      16,560           0           0

DIALOGIC INC                      COM   25250T100           7       8,072  SH     DEFINED     01       1,402       6,670           0
DIALOGIC INC                      COM   25250T100         102     116,849  SH     DEFINED  01,08      12,688     104,161           0
DIALOGIC INC                      COM   25250T100          69      79,127  SH     DEFINED     09      79,127           0           0

DIAMOND FOODS INC                 COM   252603105         797      34,943  SH     DEFINED     01      11,051      23,892           0
DIAMOND FOODS INC                 COM   252603105       4,893     214,436  SH     DEFINED  01,08      36,661     177,775           0
DIAMOND FOODS INC                 COM   252603105       1,417      62,090  SH     DEFINED     09      62,090           0           0

DIAMOND HILL INVESTMENT GROU      COM   25264R207         312       4,236  SH     DEFINED     01         582       3,654           0
DIAMOND HILL INVESTMENT GROU      COM   25264R207       1,941      26,360  SH     DEFINED  01,08       4,715      21,645           0
DIAMOND HILL INVESTMENT GROU      COM   25264R207         494       6,702  SH     DEFINED     09       6,702           0           0

DIAMOND OFFSHORE DRILLING IN      COM   25271C102      11,471     171,843  SH     DEFINED     01     129,883      41,770         190
DIAMOND OFFSHORE DRILLING IN      COM   25271C102         448       6,707  SH     OTHER       01       6,148          25         534
DIAMOND OFFSHORE DRILLING IN      COM   25271C102      33,870     507,414  SH     DEFINED  01,08     116,739     390,675           0
DIAMOND OFFSHORE DRILLING IN      COM   25271C102      10,413     156,002  SH     DEFINED     09     156,002           0           0

DIAMONDROCK HOSPITALITY CO        COM   252784301       7,441     723,104  SH     DEFINED     01      82,270     640,834           0
DIAMONDROCK HOSPITALITY CO        COM   252784301      25,116   2,440,838  SH     DEFINED  01,08   1,084,251   1,356,587           0
DIAMONDROCK HOSPITALITY CO        COM   252784301       5,822     565,752  SH     DEFINED     09     565,752           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     97
  ________

DICE HLDGS INC                    COM   253017107         632      67,686  SH     DEFINED     01       9,362      58,324           0
DICE HLDGS INC                    COM   253017107          16       1,760  SH     OTHER       01         491       1,269           0
DICE HLDGS INC                    COM   253017107       4,415     473,197  SH     DEFINED  01,08      76,871     396,326           0
DICE HLDGS INC                    COM   253017107       1,227     131,541  SH     DEFINED     09     131,541           0           0

DICKS SPORTING GOODS INC          COM   253393102      17,036     354,326  SH     DEFINED     01     244,421     104,740       5,165
DICKS SPORTING GOODS INC          COM   253393102         805      16,735  SH     OTHER       01       3,205      13,465          65
DICKS SPORTING GOODS INC          COM   253393102      30,148     627,034  SH     DEFINED  01,08      71,919     555,115           0

DIEBOLD INC                       COM   253651103       1,305      33,881  SH     DEFINED     01      28,325       5,556           0
DIEBOLD INC                       COM   253651103           5         135  SH     OTHER       01          94          41           0
DIEBOLD INC                       COM   253651103      15,123     392,603  SH     DEFINED  01,08      22,304     370,299           0

DIGI INTL INC                     COM   253798102       5,031     457,782  SH     DEFINED     01     146,053     305,214       6,515
DIGI INTL INC                     COM   253798102         233      21,161  SH     OTHER       01       8,125      10,891       2,145
DIGI INTL INC                     COM   253798102       5,593     508,884  SH     DEFINED  01,08     299,955     208,929           0
DIGI INTL INC                     COM   253798102         866      78,758  SH     DEFINED     09      78,758           0           0

DIGIMARC CORP NEW                 COM   25381B101         279       9,980  SH     DEFINED     01       1,511       8,469           0
DIGIMARC CORP NEW                 COM   25381B101       1,719      61,534  SH     DEFINED  01,08      10,664      50,870           0
DIGIMARC CORP NEW                 COM   25381B101         466      16,668  SH     DEFINED     09      16,668           0           0

DIGITAL ALLY INC                  COM   25382P109           0         483  SH     DEFINED     01           0         483           0
DIGITAL ALLY INC                  COM   25382P109           8      10,780  SH     DEFINED  01,08         483      10,297           0

DIGIRAD CORP                      COM   253827109          38      18,027  SH     DEFINED     01      15,727       2,300           0
DIGIRAD CORP                      COM   253827109          19       8,836  SH     DEFINED  01,08       2,144       6,692           0

DIGITAL DOMAIN MEDIA GROUP I      COM   25386U104          18       3,208  SH     DEFINED     01         450       2,758           0
DIGITAL DOMAIN MEDIA GROUP I      COM   25386U104         172      30,284  SH     DEFINED  01,08       3,268      27,016           0

DIGITAL RLTY TR INC               COM   253868103      30,942     418,311  SH     DEFINED     01     393,119      13,618      11,574
DIGITAL RLTY TR INC               COM   253868103       2,723      36,817  SH     OTHER       01      34,808       1,989          20
DIGITAL RLTY TR INC               COM   253868103      37,611     508,466  SH     DEFINED  01,08     194,143     314,323           0
DIGITAL RLTY TR INC               COM   253868103      15,646     211,521  SH     DEFINED     09     211,521           0           0

DIGITAL RIV INC                   COM   25388B104       2,390     127,724  SH     DEFINED     01      18,626     109,098           0
DIGITAL RIV INC                   COM   25388B104         223      11,900  SH     OTHER       01           0      11,900           0
DIGITAL RIV INC                   COM   25388B104       8,511     454,907  SH     DEFINED  01,08     148,356     306,551           0
DIGITAL RIV INC                   COM   25388B104       2,220     118,662  SH     DEFINED     09     118,662           0           0

DIGITALGLOBE INC                  COM   25389M877         429      32,174  SH     DEFINED     01       7,653      24,521           0
DIGITALGLOBE INC                  COM   25389M877         268      20,110  SH     OTHER       01           0      20,110           0
DIGITALGLOBE INC                  COM   25389M877       4,320     323,869  SH     DEFINED  01,08      37,440     286,429           0
DIGITALGLOBE INC                  COM   25389M877       1,634     122,478  SH     DEFINED     09     122,478           0           0

DIME CMNTY BANCSHARES             COM   253922108       4,517     309,146  SH     DEFINED     01      16,528     292,618           0
DIME CMNTY BANCSHARES             COM   253922108       8,733     597,734  SH     DEFINED  01,08     323,988     273,746           0
DIME CMNTY BANCSHARES             COM   253922108       1,313      89,888  SH     DEFINED     09      89,888           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     98
  ________

DIGITAL GENERATION INC            COM   25400B108         862      84,405  SH     DEFINED     01      15,463      68,942           0
DIGITAL GENERATION INC            COM   25400B108           3         300  SH     OTHER       01           0         300           0
DIGITAL GENERATION INC            COM   25400B108       3,176     311,070  SH     DEFINED  01,08      95,428     215,642           0
DIGITAL GENERATION INC            COM   25400B108         811      79,460  SH     DEFINED     09      79,460           0           0

DILLARDS INC                      COM   254067101       2,735      43,398  SH     DEFINED     01      19,372      23,656         370
DILLARDS INC                      COM   254067101          80       1,265  SH     OTHER       01       1,265           0           0
DILLARDS INC                      COM   254067101       9,242     146,658  SH     DEFINED  01,08      41,403     105,255           0

DINEEQUITY INC                    COM   254423106       2,243      45,226  SH     DEFINED     01      19,522      25,429         275
DINEEQUITY INC                    COM   254423106          63       1,272  SH     OTHER       01         832         440           0
DINEEQUITY INC                    COM   254423106       7,610     153,432  SH     DEFINED  01,08      27,234     126,198           0
DINEEQUITY INC                    COM   254423106       2,500      50,410  SH     DEFINED     09      50,410           0           0

DIODES INC                        COM   254543101       1,305      56,298  SH     DEFINED     01      19,722      36,576           0
DIODES INC                        COM   254543101       8,168     352,365  SH     DEFINED  01,08      64,904     287,461           0
DIODES INC                        COM   254543101       2,341     100,973  SH     DEFINED     09     100,973           0           0

DISCOVERY LABORATORIES INC N      COM   254668403           4       1,399  SH     DEFINED     01           0       1,399           0
DISCOVERY LABORATORIES INC N      COM   254668403          86      31,961  SH     DEFINED  01,08         972      30,989           0

DISNEY WALT CO                    COM   254687106     269,239   6,149,814  SH     DEFINED     01   4,589,253   1,350,176     210,385
DISNEY WALT CO                    COM   254687106      50,680   1,157,611  SH     OTHER       01     819,845     243,184      94,582
DISNEY WALT CO                    COM   254687106     596,351  13,621,531  SH     DEFINED  01,08   3,575,213  10,046,318           0
DISNEY WALT CO                    COM   254687106     186,688   4,264,240  SH     DEFINED     09   4,264,240           0           0

DISCOVERY COMMUNICATNS NEW        COM   25470F104      13,234     261,545  SH     DEFINED     01     117,728     143,352         465
DISCOVERY COMMUNICATNS NEW        COM   25470F104         210       4,150  SH     OTHER       01       2,185       1,672         293
DISCOVERY COMMUNICATNS NEW        COM   25470F104      95,290   1,883,208  SH     DEFINED  01,08     401,519   1,481,689           0
DISCOVERY COMMUNICATNS NEW        COM   25470F104      23,481     464,047  SH     DEFINED     09     464,047           0           0

DISCOVERY COMMUNICATNS NEW        COM   25470F302         592      12,634  SH     DEFINED     01      12,304         330           0
DISCOVERY COMMUNICATNS NEW        COM   25470F302          43         918  SH     OTHER       01           0         625         293
DISCOVERY COMMUNICATNS NEW        COM   25470F302         761      16,227  SH     DEFINED  01,08      13,310       2,917           0
DISCOVERY COMMUNICATNS NEW        COM   25470F302       9,719     207,317  SH     DEFINED     09     207,317           0           0

DISH NETWORK CORP                 COM   25470M109       2,041      61,976  SH     DEFINED     01      40,828      21,148           0
DISH NETWORK CORP                 COM   25470M109           3         105  SH     OTHER       01           0           0         105
DISH NETWORK CORP                 COM   25470M109      22,839     693,561  SH     DEFINED  01,08      74,974     618,587           0
DISH NETWORK CORP                 COM   25470M109       9,624     292,265  SH     DEFINED     09     292,265           0           0

DISCOVER FINL SVCS                COM   254709108      34,929   1,047,660  SH     DEFINED     01     677,970     357,231      12,459
DISCOVER FINL SVCS                COM   254709108       2,077      62,284  SH     OTHER       01      25,083      28,971       8,230
DISCOVER FINL SVCS                COM   254709108     134,788   4,042,819  SH     DEFINED  01,08   1,036,263   3,006,556           0
DISCOVER FINL SVCS                COM   254709108      43,041   1,290,978  SH     DEFINED     09   1,290,978           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE     99
  ________

DIRECTV                           COM   25490A101      49,556   1,004,373  SH     DEFINED     01     605,106     392,195       7,072
DIRECTV                           COM   25490A101       1,766      35,801  SH     OTHER       01      24,954       9,122       1,725
DIRECTV                           COM   25490A101     255,015   5,168,519  SH     DEFINED  01,08   1,265,767   3,902,752           0
DIRECTV                           COM   25490A101      87,536   1,774,133  SH     DEFINED     09   1,774,133           0           0

DITECH NETWORKS INC               COM   25500T108          19      18,957  SH     DEFINED     01           0      18,957           0
DITECH NETWORKS INC               COM   25500T108          42      42,663  SH     DEFINED  01,08      15,927      26,736           0

DIXIE GROUP INC                   COM   255519100          24       5,909  SH     DEFINED     01           0       5,909           0
DIXIE GROUP INC                   COM   255519100          78      19,618  SH     DEFINED  01,08       5,450      14,168           0

DR REDDYS LABS LTD                COM   256135203          69       1,996  SH     DEFINED     01       1,795         201           0
DR REDDYS LABS LTD                COM   256135203          19         546  SH     OTHER       01         370         176           0
DR REDDYS LABS LTD                COM   256135203       4,024     116,423  SH     DEFINED  01,08     116,423           0           0
DR REDDYS LABS LTD                COM   256135203          27         786  SH     DEFINED     09         786           0           0

DOCUMENT SEC SYS INC              COM   25614T101          48      15,872  SH     DEFINED  01,08          96      15,776           0

DOLAN CO                          COM   25659P402         510      55,985  SH     DEFINED     01      18,155      37,830           0
DOLAN CO                          COM   25659P402       2,685     294,707  SH     DEFINED  01,08      49,672     245,035           0
DOLAN CO                          COM   25659P402         854      93,747  SH     DEFINED     09      93,747           0           0

DOLBY LABORATORIES INC            COM   25659T107         680      17,874  SH     DEFINED     01      12,244       5,630           0
DOLBY LABORATORIES INC            COM   25659T107          32         846  SH     OTHER       01         236         610           0
DOLBY LABORATORIES INC            COM   25659T107       6,565     172,501  SH     DEFINED  01,08      16,288     156,213           0
DOLBY LABORATORIES INC            COM   25659T107       2,477      65,085  SH     DEFINED     09      65,085           0           0

DOLE FOOD CO INC NEW              COM   256603101       1,072     107,437  SH     DEFINED     01      34,677      72,760           0
DOLE FOOD CO INC NEW              COM   256603101       3,872     387,930  SH     DEFINED  01,08      93,530     294,400           0
DOLE FOOD CO INC NEW              COM   256603101       1,106     110,799  SH     DEFINED     09     110,799           0           0

DOLLAR GEN CORP NEW               COM   256677105       1,601      34,656  SH     DEFINED     01      14,366      20,290           0
DOLLAR GEN CORP NEW               COM   256677105      17,036     368,745  SH     DEFINED  01,08      30,522     338,223           0
DOLLAR GEN CORP NEW               COM   256677105      10,165     220,022  SH     DEFINED     09     220,022           0           0

DOLLAR THRIFTY AUTOMOTIVE GP      COM   256743105       2,800      34,601  SH     DEFINED     01       7,119      27,482           0
DOLLAR THRIFTY AUTOMOTIVE GP      COM   256743105      22,278     275,346  SH     DEFINED  01,08      41,665     233,681           0
DOLLAR THRIFTY AUTOMOTIVE GP      COM   256743105       6,863      84,824  SH     DEFINED     09      84,824           0           0

DOLLAR TREE INC                   COM   256746108      21,422     226,716  SH     DEFINED     01     140,429      82,151       4,136
DOLLAR TREE INC                   COM   256746108       1,715      18,150  SH     OTHER       01      15,498       2,652           0
DOLLAR TREE INC                   COM   256746108      84,297     892,130  SH     DEFINED  01,08     209,728     682,402           0
DOLLAR TREE INC                   COM   256746108      27,190     287,755  SH     DEFINED     09     287,755           0           0

DOMINION RES INC VA NEW           COM   25746U109     164,893   3,219,932  SH     DEFINED     01   2,714,374     451,235      54,323
DOMINION RES INC VA NEW           COM   25746U109      40,237     785,725  SH     OTHER       01     573,332     155,886      56,507
DOMINION RES INC VA NEW           COM   25746U109     221,248   4,320,409  SH     DEFINED  01,08   1,091,897   3,228,512           0
DOMINION RES INC VA NEW           COM   25746U109      71,313   1,392,560  SH     DEFINED     09   1,392,560           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    100
  ________

DOMINOS PIZZA INC                 COM   25754A201       3,477      95,775  SH     DEFINED     01      12,488      83,287           0
DOMINOS PIZZA INC                 COM   25754A201      21,080     580,718  SH     DEFINED  01,08     115,159     465,559           0
DOMINOS PIZZA INC                 COM   25754A201       6,153     169,497  SH     DEFINED     09     169,497           0           0

DOMTAR CORP                       COM   257559203       5,332      55,906  SH     DEFINED     01      10,154      45,752           0
DOMTAR CORP                       COM   257559203          87         910  SH     OTHER       01           0         900          10
DOMTAR CORP                       COM   257559203      26,935     282,401  SH     DEFINED  01,08      68,570     213,831           0

DONALDSON INC                     COM   257651109       2,320      64,932  SH     DEFINED     01      42,046      22,566         320
DONALDSON INC                     COM   257651109       2,430      68,016  SH     OTHER       01      45,770       5,776      16,470
DONALDSON INC                     COM   257651109      33,361     933,696  SH     DEFINED  01,08      65,650     868,046           0

DONEGAL GROUP INC                 COM   257701201       2,432     177,914  SH     DEFINED     01       5,838     172,076           0
DONEGAL GROUP INC                 COM   257701201       3,368     246,397  SH     DEFINED  01,08     181,387      65,010           0
DONEGAL GROUP INC                 COM   257701201         441      32,272  SH     DEFINED     09      32,272           0           0

DONEGAL GROUP INC                 COM   257701300          99       5,910  SH     DEFINED     01         100       5,810           0
DONEGAL GROUP INC                 COM   257701300         141       8,476  SH     DEFINED  01,08       7,193       1,283           0

DONNELLEY R R & SONS CO           COM   257867101      16,807   1,356,469  SH     DEFINED     01     480,811     875,178         480
DONNELLEY R R & SONS CO           COM   257867101       7,466     602,565  SH     OTHER       01     116,185     479,073       7,307
DONNELLEY R R & SONS CO           COM   257867101      19,079   1,539,909  SH     DEFINED  01,08     500,698   1,039,211           0
DONNELLEY R R & SONS CO           COM   257867101       2,331     188,108  SH     DEFINED     09     188,108           0           0

DORAL FINL CORP                   COM   25811P886         162     104,942  SH     DEFINED     01      29,467      75,475           0
DORAL FINL CORP                   COM   25811P886       1,782   1,157,085  SH     DEFINED  01,08     138,946   1,018,139           0
DORAL FINL CORP                   COM   25811P886         520     337,361  SH     DEFINED     09     337,361           0           0

DORMAN PRODUCTS INC               COM   258278100       3,331      65,830  SH     DEFINED     01      47,173      18,557         100
DORMAN PRODUCTS INC               COM   258278100          93       1,847  SH     OTHER       01         811       1,036           0
DORMAN PRODUCTS INC               COM   258278100       5,836     115,342  SH     DEFINED  01,08      23,979      91,363           0
DORMAN PRODUCTS INC               COM   258278100       1,549      30,621  SH     DEFINED     09      30,621           0           0

DOT HILL SYS CORP                 COM   25848T109         192     127,306  SH     DEFINED     01      80,921      46,385           0
DOT HILL SYS CORP                 COM   25848T109         768     508,644  SH     DEFINED  01,08      67,771     440,873           0
DOT HILL SYS CORP                 COM   25848T109         222     147,269  SH     DEFINED     09     147,269           0           0

DOUBLE EAGLE PETE CO              COM   258570209         122      20,405  SH     DEFINED     01           0      20,405           0
DOUBLE EAGLE PETE CO              COM   258570209         201      33,501  SH     DEFINED  01,08      18,511      14,990           0

DOUGLAS EMMETT INC                COM   25960P109         835      36,609  SH     DEFINED     01      22,991      13,618           0
DOUGLAS EMMETT INC                COM   25960P109           2          95  SH     OTHER       01           0           0          95
DOUGLAS EMMETT INC                COM   25960P109      13,311     583,561  SH     DEFINED  01,08     202,132     381,429           0
DOUGLAS EMMETT INC                COM   25960P109       1,056      46,286  SH     DEFINED     09      46,286           0           0

DOUGLAS DYNAMICS INC              COM   25960R105         263      19,145  SH     DEFINED     01       6,163      12,982           0
DOUGLAS DYNAMICS INC              COM   25960R105       2,537     184,489  SH     DEFINED  01,08      20,923     163,566           0
DOUGLAS DYNAMICS INC              COM   25960R105         988      71,883  SH     DEFINED     09      71,883           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    101
  ________

DOVER CORP                        COM   260003108      44,527     707,451  SH     DEFINED     01     534,733     166,598       6,120
DOVER CORP                        COM   260003108       5,572      88,530  SH     OTHER       01      50,384      35,252       2,894
DOVER CORP                        COM   260003108      90,641   1,440,122  SH     DEFINED  01,08     381,500   1,058,622           0
DOVER CORP                        COM   260003108      28,315     449,869  SH     DEFINED     09     449,869           0           0

DOVER DOWNS GAMING & ENTMT I      COM   260095104          41      16,273  SH     DEFINED     01           0      16,273           0
DOVER DOWNS GAMING & ENTMT I      COM   260095104         107      42,038  SH     DEFINED  01,08      12,223      29,815           0

DOVER MOTORSPORTS INC             COM   260174107          28      19,188  SH     DEFINED     01           0      19,188           0
DOVER MOTORSPORTS INC             COM   260174107          38      25,637  SH     DEFINED  01,08      12,203      13,434           0

DOW CHEM CO                       COM   260543103      75,121   2,168,606  SH     DEFINED     01   1,242,535     906,040      20,031
DOW CHEM CO                       COM   260543103       8,998     259,750  SH     OTHER       01     126,681     108,984      24,085
DOW CHEM CO                       COM   260543103     321,049   9,268,155  SH     DEFINED  01,08   2,598,596   6,653,863      15,696
DOW CHEM CO                       COM   260543103     100,571   2,903,332  SH     DEFINED     09   2,903,332           0           0

DR PEPPER SNAPPLE GROUP INC       COM   26138E109       9,859     245,198  SH     DEFINED     01     134,288     110,361         549
DR PEPPER SNAPPLE GROUP INC       COM   26138E109         145       3,616  SH     OTHER       01       3,303         123         190
DR PEPPER SNAPPLE GROUP INC       COM   26138E109      66,098   1,643,817  SH     DEFINED  01,08     417,253   1,226,564           0
DR PEPPER SNAPPLE GROUP INC       COM   26138E109      21,416     532,599  SH     DEFINED     09     532,599           0           0

DREAMWORKS ANIMATION SKG INC      COM   26153C103         673      36,460  SH     DEFINED     01      10,997      25,463           0
DREAMWORKS ANIMATION SKG INC      COM   26153C103       8,269     448,165  SH     DEFINED  01,08      46,460     401,705           0

DRESSER-RAND GROUP INC            COM   261608103       2,253      48,568  SH     DEFINED     01      32,649      15,919           0
DRESSER-RAND GROUP INC            COM   261608103         225       4,840  SH     OTHER       01       4,480         360           0
DRESSER-RAND GROUP INC            COM   261608103      22,052     475,361  SH     DEFINED  01,08      32,675     442,686           0

DREW INDS INC                     COM   26168L205       5,059     185,227  SH     DEFINED     01      14,575     170,497         155
DREW INDS INC                     COM   26168L205           5         165  SH     OTHER       01         165           0           0
DREW INDS INC                     COM   26168L205       9,648     353,281  SH     DEFINED  01,08     191,150     162,131           0
DREW INDS INC                     COM   26168L205       1,493      54,686  SH     DEFINED     09      54,686           0           0

DREYFUS STRATEGIC MUNS INC     UNDEFIND 261932107           1      14,388         DEFINED     01      13,388           0       1,000

DREAMS INC                        COM   261983209          81      27,954  SH     DEFINED  01,08       1,189      26,765           0

DRIL-QUIP INC                     COM   262037104       8,935     137,412  SH     DEFINED     01      74,138      62,713         561
DRIL-QUIP INC                     COM   262037104         270       4,151  SH     OTHER       01       1,261       2,650         240
DRIL-QUIP INC                     COM   262037104      29,572     454,816  SH     DEFINED  01,08      74,862     379,954           0
DRIL-QUIP INC                     COM   262037104       6,450      99,200  SH     DEFINED     09      99,200           0           0

DU PONT E I DE NEMOURS & CO       COM   263534109     221,660   4,190,165  SH     DEFINED     01   3,470,860     645,604      73,701
DU PONT E I DE NEMOURS & CO       COM   263534109      54,901   1,037,818  SH     OTHER       01     717,138     221,102      99,578
DU PONT E I DE NEMOURS & CO       COM   263534109     376,629   7,119,641  SH     DEFINED  01,08   1,823,389   5,296,252           0
DU PONT E I DE NEMOURS & CO       COM   263534109     119,084   2,251,115  SH     DEFINED     09   2,251,115           0           0

DUCKWALL-ALCO STORES INC NEW      COM   264142100          31       3,488  SH     DEFINED     01           0       3,488           0
DUCKWALL-ALCO STORES INC NEW      COM   264142100          66       7,403  SH     DEFINED  01,08       3,093       4,310           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    102
  ________

DUCOMMUN INC DEL                  COM   264147109       1,399     117,579  SH     DEFINED     01       9,020     108,354         205
DUCOMMUN INC DEL                  COM   264147109           3         225  SH     OTHER       01         225           0           0
DUCOMMUN INC DEL                  COM   264147109       2,431     204,325  SH     DEFINED  01,08     114,860      89,465           0
DUCOMMUN INC DEL                  COM   264147109         445      37,427  SH     DEFINED     09      37,427           0           0

DUFF & PHELPS CORP NEW            COM   26433B107         635      40,853  SH     DEFINED     01       9,026      31,827           0
DUFF & PHELPS CORP NEW            COM   26433B107       4,593     295,532  SH     DEFINED  01,08      46,724     248,808           0
DUFF & PHELPS CORP NEW            COM   26433B107       1,462      94,072  SH     DEFINED     09      94,072           0           0

DUKE ENERGY CORP NEW              COM   26441C105      36,604   1,742,232  SH     DEFINED     01     995,202     725,684      21,346
DUKE ENERGY CORP NEW              COM   26441C105       6,510     309,846  SH     OTHER       01     240,293      40,901      28,652
DUKE ENERGY CORP NEW              COM   26441C105     209,247   9,959,380  SH     DEFINED  01,08   2,446,228   7,513,152           0
DUKE ENERGY CORP NEW              COM   26441C105      60,875   2,897,430  SH     DEFINED     09   2,897,430           0           0

DUKE REALTY CORP                  COM   264411505       4,393     306,324  SH     DEFINED     01      73,440     232,884           0
DUKE REALTY CORP                  COM   264411505          92       6,449  SH     OTHER       01           0       6,284         165
DUKE REALTY CORP                  COM   264411505      30,874   2,153,027  SH     DEFINED  01,08     671,891   1,481,136           0
DUKE REALTY CORP                  COM   264411505       6,177     430,757  SH     DEFINED     09     430,757           0           0

DUN & BRADSTREET CORP DEL NE      COM   26483E100       5,741      67,752  SH     DEFINED     01      42,080      25,477         195
DUN & BRADSTREET CORP DEL NE      COM   26483E100       1,033      12,197  SH     OTHER       01       4,649       7,510          38
DUN & BRADSTREET CORP DEL NE      COM   26483E100      30,125     355,538  SH     DEFINED  01,08      80,653     274,885           0
DUN & BRADSTREET CORP DEL NE      COM   26483E100      10,716     126,470  SH     DEFINED     09     126,470           0           0

DUNKIN BRANDS GROUP INC           COM   265504100       1,941      64,516  SH     DEFINED     01      51,131      13,385           0
DUNKIN BRANDS GROUP INC           COM   265504100          63       2,095  SH     OTHER       01       2,065          30           0
DUNKIN BRANDS GROUP INC           COM   265504100       3,757     124,898  SH     DEFINED  01,08      10,176     114,722           0

DUPONT FABROS TECHNOLOGY INC      COM   26613Q106       5,022     205,401  SH     DEFINED     01      50,865     153,446       1,090
DUPONT FABROS TECHNOLOGY INC      COM   26613Q106          22         900  SH     OTHER       01         835          65           0
DUPONT FABROS TECHNOLOGY INC      COM   26613Q106      18,350     750,506  SH     DEFINED  01,08     270,200     480,306           0
DUPONT FABROS TECHNOLOGY INC      COM   26613Q106       4,933     201,768  SH     DEFINED     09     201,768           0           0

DURECT CORP                       COM   266605104          59      73,126  SH     DEFINED     01      10,646      62,480           0
DURECT CORP                       COM   266605104         593     740,731  SH     DEFINED  01,08      95,212     645,519           0
DURECT CORP                       COM   266605104         238     297,093  SH     DEFINED     09     297,093           0           0

DUSA PHARMACEUTICALS INC          COM   266898105         159      25,476  SH     DEFINED     01       3,274      22,202           0
DUSA PHARMACEUTICALS INC          COM   266898105       1,383     220,994  SH     DEFINED  01,08      28,876     192,118           0
DUSA PHARMACEUTICALS INC          COM   266898105         471      75,167  SH     DEFINED     09      75,167           0           0

DYAX CORP                         COM   26746E103         120      77,223  SH     DEFINED     01      20,064      57,159           0
DYAX CORP                         COM   26746E103       1,419     909,331  SH     DEFINED  01,08     107,524     801,807           0
DYAX CORP                         COM   26746E103         382     244,645  SH     DEFINED     09     244,645           0           0

DYCOM INDS INC                    COM   267475101       6,925     296,433  SH     DEFINED     01      16,204     280,229           0
DYCOM INDS INC                    COM   267475101      14,091     603,205  SH     DEFINED  01,08     316,302     286,903           0
DYCOM INDS INC                    COM   267475101       2,673     114,447  SH     DEFINED     09     114,447           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    103
  ________

DYNACQ HEALTHCARE INC             COM   26779V105           7       7,851  SH     DEFINED     01           0       7,851           0
DYNACQ HEALTHCARE INC             COM   26779V105          14      15,812  SH     DEFINED  01,08      11,281       4,531           0

DYNAMIC MATLS CORP                COM   267888105         485      22,963  SH     DEFINED     01       4,461      18,502           0
DYNAMIC MATLS CORP                COM   267888105       2,766     131,019  SH     DEFINED  01,08      22,425     108,594           0
DYNAMIC MATLS CORP                COM   267888105         924      43,789  SH     DEFINED     09      43,789           0           0

DYNAMICS RESH CORP                COM   268057106         268      27,790  SH     DEFINED     01       1,837      25,953           0
DYNAMICS RESH CORP                COM   268057106       1,004     104,124  SH     DEFINED  01,08      31,554      72,570           0
DYNAMICS RESH CORP                COM   268057106         266      27,599  SH     DEFINED     09      27,599           0           0

DYNAVAX TECHNOLOGIES CORP         COM   268158102       1,187     236,013  SH     DEFINED     01      39,511     195,502       1,000
DYNAVAX TECHNOLOGIES CORP         COM   268158102       7,291   1,449,433  SH     DEFINED  01,08     269,729   1,179,704           0
DYNAVAX TECHNOLOGIES CORP         COM   268158102       2,259     449,045  SH     DEFINED     09     449,045           0           0

DYNAVOX INC                       COM   26817F104          13       4,256  SH     DEFINED     01       1,077       3,179           0
DYNAVOX INC                       COM   26817F104         248      80,612  SH     DEFINED  01,08       7,712      72,900           0
DYNAVOX INC                       COM   26817F104          68      22,226  SH     DEFINED     09      22,226           0           0

DYNEGY INC DEL                    COM   26817G300          41      72,746  SH     DEFINED     01      12,765      59,981           0
DYNEGY INC DEL                    COM   26817G300         514     918,328  SH     DEFINED  01,08     100,379     817,949           0
DYNEGY INC DEL                    COM   26817G300         157     280,404  SH     DEFINED     09     280,404           0           0

DYNEX CAP INC                     COM   26817Q506       1,704     178,425  SH     DEFINED     01      17,754     160,671           0
DYNEX CAP INC                     COM   26817Q506       5,445     570,150  SH     DEFINED  01,08     206,050     364,100           0
DYNEX CAP INC                     COM   26817Q506       1,293     135,367  SH     DEFINED     09     135,367           0           0

E M C CORP MASS                   COM   268648102     311,805  10,435,239  SH     DEFINED     01   8,690,790   1,573,337     171,112
E M C CORP MASS                   COM   268648102      43,890   1,468,884  SH     OTHER       01   1,069,199     273,111     126,574
E M C CORP MASS                   COM   268648102     462,202  15,468,608  SH     DEFINED  01,08   3,790,653  11,677,955           0
E M C CORP MASS                   COM   268648102     149,911   5,017,106  SH     DEFINED     09   5,017,106           0           0

EMC INS GROUP INC                 COM   268664109       1,424      70,892  SH     DEFINED     01       1,092      69,800           0
EMC INS GROUP INC                 COM   268664109       2,287     113,857  SH     DEFINED  01,08      71,392      42,465           0
EMC INS GROUP INC                 COM   268664109         298      14,847  SH     DEFINED     09      14,847           0           0

ENI S P A                         COM   26874R108       7,192     153,613  SH     DEFINED     01     147,797       5,816           0
ENI S P A                         COM   26874R108         180       3,851  SH     OTHER       01       1,733       2,118           0
ENI S P A                         COM   26874R108       3,352      71,590  SH     DEFINED  01,08      71,590           0           0

EOG RES INC                       COM   26875P101      34,303     308,757  SH     DEFINED     01     153,151     153,357       2,249
EOG RES INC                       COM   26875P101       1,599      14,388  SH     OTHER       01       4,957       2,218       7,213
EOG RES INC                       COM   26875P101     221,138   1,990,443  SH     DEFINED  01,08     458,936   1,531,507           0
EOG RES INC                       COM   26875P101      73,080     657,787  SH     DEFINED     09     657,787           0           0

EPIQ SYS INC                      COM   26882D109         596      49,264  SH     DEFINED     01      13,358      35,906           0
EPIQ SYS INC                      COM   26882D109       3,782     312,582  SH     DEFINED  01,08      50,229     262,353           0
EPIQ SYS INC                      COM   26882D109       1,188      98,191  SH     DEFINED     09      98,191           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    104
  ________

ESB FINL CORP                     COM   26884F102         235      16,328  SH     DEFINED     01       2,815      13,513           0
ESB FINL CORP                     COM   26884F102       1,492     103,476  SH     DEFINED  01,08      18,626      84,850           0
ESB FINL CORP                     COM   26884F102         723      50,117  SH     DEFINED     09      50,117           0           0

EQT CORP                          COM   26884L109       7,406     153,611  SH     DEFINED     01      72,049      80,962         600
EQT CORP                          COM   26884L109         373       7,730  SH     OTHER       01       5,438       2,292           0
EQT CORP                          COM   26884L109      51,573   1,069,758  SH     DEFINED  01,08     248,083     821,675           0
EQT CORP                          COM   26884L109      16,743     347,302  SH     DEFINED     09     347,302           0           0

EAGLE BANCORP INC MD              COM   268948106         293      17,509  SH     DEFINED     01       4,215      13,294           0
EAGLE BANCORP INC MD              COM   268948106       2,640     157,726  SH     DEFINED  01,08      21,883     135,843           0
EAGLE BANCORP INC MD              COM   268948106         845      50,501  SH     DEFINED     09      50,501           0           0

ETFS GOLD TR                      COM   26922Y105         247       1,496  SH     DEFINED     01       1,496           0           0

E TRADE FINANCIAL CORP            COM   269246401       3,530     322,346  SH     DEFINED     01     188,935     133,029         382
E TRADE FINANCIAL CORP            COM   269246401          55       5,055  SH     OTHER       01       4,742         178         135
E TRADE FINANCIAL CORP            COM   269246401      20,050   1,831,035  SH     DEFINED  01,08     443,881   1,387,154           0
E TRADE FINANCIAL CORP            COM   269246401       2,590     236,499  SH     DEFINED     09     236,499           0           0

EV ENERGY PARTNERS LP             COM   26926V107         257       3,697  SH     DEFINED     01       3,697           0           0
EV ENERGY PARTNERS LP             COM   26926V107         542       7,790  SH     OTHER       01       6,600       1,190           0
EV ENERGY PARTNERS LP             COM   26926V107       1,082      15,543  SH     DEFINED  01,08      15,543           0           0

EXCO RESOURCES INC                COM   269279402         381      57,431  SH     DEFINED     01      42,653      14,778           0
EXCO RESOURCES INC                COM   269279402           7       1,070  SH     OTHER       01         990           0          80
EXCO RESOURCES INC                COM   269279402       3,426     516,783  SH     DEFINED  01,08      61,217     455,566           0

EAGLE MATERIALS INC               COM   26969P108       2,637      75,877  SH     DEFINED     01      22,973      52,904           0
EAGLE MATERIALS INC               COM   26969P108      15,424     443,870  SH     DEFINED  01,08      83,059     360,811           0
EAGLE MATERIALS INC               COM   26969P108       4,951     142,489  SH     DEFINED     09     142,489           0           0

EARTHLINK INC                     COM   270321102       5,218     653,062  SH     DEFINED     01      47,505     605,557           0
EARTHLINK INC                     COM   270321102          10       1,280  SH     OTHER       01       1,280           0           0
EARTHLINK INC                     COM   270321102      12,588   1,575,421  SH     DEFINED  01,08     669,937     905,484           0
EARTHLINK INC                     COM   270321102       2,481     310,569  SH     DEFINED     09     310,569           0           0

EAST WEST BANCORP INC             COM   27579R104       5,745     248,801  SH     DEFINED     01      50,324     198,172         305
EAST WEST BANCORP INC             COM   27579R104         422      18,280  SH     OTHER       01       1,020      17,200          60
EAST WEST BANCORP INC             COM   27579R104      25,114   1,087,678  SH     DEFINED  01,08     219,410     868,268           0

EASTERN CO                        COM   276317104         155       7,727  SH     DEFINED     01           0       7,727           0
EASTERN CO                        COM   276317104         311      15,528  SH     DEFINED  01,08       7,010       8,518           0

EASTERN INS HLDGS INC             COM   276534104          31       2,114  SH     DEFINED     01         235       1,879           0
EASTERN INS HLDGS INC             COM   276534104         135       9,264  SH     DEFINED  01,08       2,792       6,472           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    105
  ________

EASTGROUP PPTY INC                COM   277276101       2,148      42,766  SH     DEFINED     01      14,641      28,125           0
EASTGROUP PPTY INC                COM   277276101          25         500  SH     OTHER       01           0           0         500
EASTGROUP PPTY INC                COM   277276101      15,101     300,703  SH     DEFINED  01,08      82,790     217,913           0
EASTGROUP PPTY INC                COM   277276101       4,394      87,490  SH     DEFINED     09      87,490           0           0

EASTMAN CHEM CO                   COM   277432100      12,909     249,746  SH     DEFINED     01     173,976      72,974       2,796
EASTMAN CHEM CO                   COM   277432100         373       7,221  SH     OTHER       01       4,561       2,287         373
EASTMAN CHEM CO                   COM   277432100      55,294   1,069,714  SH     DEFINED  01,08     285,436     784,278           0
EASTMAN CHEM CO                   COM   277432100      17,681     342,050  SH     DEFINED     09     342,050           0           0

EASYLINK SERVICES INTL CORP       COM   277858106          44       8,671  SH     DEFINED     01           0       8,671           0
EASYLINK SERVICES INTL CORP       COM   277858106         252      49,639  SH     DEFINED  01,08       7,745      41,894           0

EATON CORP                        COM   278058102     124,053   2,489,529  SH     DEFINED     01   2,118,235     338,448      32,846
EATON CORP                        COM   278058102      16,750     336,147  SH     OTHER       01     277,064      44,441      14,642
EATON CORP                        COM   278058102     131,523   2,639,427  SH     DEFINED  01,08     738,602   1,900,825           0
EATON CORP                        COM   278058102      41,277     828,351  SH     DEFINED     09     828,351           0           0

EATON VANCE CORP                  COM   278265103      15,586     545,340  SH     DEFINED     01     483,551      55,648       6,141
EATON VANCE CORP                  COM   278265103       2,829      99,001  SH     OTHER       01      57,935      40,370         696
EATON VANCE CORP                  COM   278265103      21,042     736,233  SH     DEFINED  01,08      54,270     681,963           0
EATON VANCE CORP                  COM   278265103       5,334     186,650  SH     DEFINED     09     186,650           0           0

EATON VANCE TAX MNGD GBL DV       COM   27829F108          62       7,000  SH     DEFINED     01       7,000           0           0
EATON VANCE TAX MNGD GBL DV       COM   27829F108          27       3,000  SH     OTHER       01       3,000           0           0

EBAY INC                          COM   278642103      66,694   1,807,419  SH     DEFINED     01   1,093,571     698,681      15,167
EBAY INC                          COM   278642103       5,800     157,186  SH     OTHER       01      94,065      61,833       1,288
EBAY INC                          COM   278642103     318,897   8,642,206  SH     DEFINED  01,08   2,156,083   6,486,123           0
EBAY INC                          COM   278642103     104,057   2,819,978  SH     DEFINED     09   2,819,978           0           0

EBIX INC                          COM   278715206       4,959     214,113  SH     DEFINED     01     110,994      98,884       4,235
EBIX INC                          COM   278715206         304      13,123  SH     OTHER       01       6,845       6,018         260
EBIX INC                          COM   278715206       8,071     348,484  SH     DEFINED  01,08     106,271     242,213           0
EBIX INC                          COM   278715206       2,114      91,295  SH     DEFINED     09      91,295           0           0

ECHELON CORP                      COM   27874N105         833     188,007  SH     DEFINED     01     131,141      51,016       5,850
ECHELON CORP                      COM   27874N105          65      14,618  SH     OTHER       01       7,330       5,288       2,000
ECHELON CORP                      COM   27874N105       1,490     336,287  SH     DEFINED  01,08      52,528     283,759           0
ECHELON CORP                      COM   27874N105         428      96,572  SH     DEFINED     09      96,572           0           0

ECHO GLOBAL LOGISTICS INC         COM   27875T101       1,871     116,212  SH     DEFINED     01      92,222      20,300       3,690
ECHO GLOBAL LOGISTICS INC         COM   27875T101         227      14,126  SH     OTHER       01       7,790       6,076         260
ECHO GLOBAL LOGISTICS INC         COM   27875T101       1,752     108,834  SH     DEFINED  01,08      12,659      96,175           0
ECHO GLOBAL LOGISTICS INC         COM   27875T101         580      36,034  SH     DEFINED     09      36,034           0           0

ECHO THERAPEUTICS INC             COM   27876L107          65      31,929  SH     DEFINED  01,08           0      31,929           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    106
  ________

ECHOSTAR CORP                     COM   278768106         356      12,637  SH     DEFINED     01       8,259       4,378           0
ECHOSTAR CORP                     COM   278768106         102       3,615  SH     OTHER       01           0       3,600          15
ECHOSTAR CORP                     COM   278768106       3,801     135,091  SH     DEFINED  01,08      17,204     117,887           0
ECHOSTAR CORP                     COM   278768106          86       3,071  SH     DEFINED     09       3,071           0           0

ECOLAB INC                        COM   278865100      36,770     595,748  SH     DEFINED     01     407,431     168,730      19,587
ECOLAB INC                        COM   278865100       8,033     130,157  SH     OTHER       01      65,214      47,607      17,336
ECOLAB INC                        COM   278865100     133,153   2,157,373  SH     DEFINED  01,08     490,117   1,667,256           0
ECOLAB INC                        COM   278865100      45,003     729,154  SH     DEFINED     09     729,154           0           0

ECOPETROL S A                     COM   279158109       1,611      26,366  SH     DEFINED     01      25,906         213         247
ECOPETROL S A                     COM   279158109          44         727  SH     OTHER       01         448         279           0
ECOPETROL S A                     COM   279158109       1,007      16,476  SH     DEFINED  01,08      16,476           0           0
ECOPETROL S A                     COM   279158109         786      12,873  SH     DEFINED     09      12,873           0           0

ECOTALITY INC                     COM   27922Y202          23      23,674  SH     DEFINED  01,08           0      23,674           0

EDELMAN FINL GROUP INC            COM   27943Q105         163      24,587  SH     DEFINED     01       4,192      20,395           0
EDELMAN FINL GROUP INC            COM   27943Q105       1,280     193,607  SH     DEFINED  01,08      29,374     164,233           0
EDELMAN FINL GROUP INC            COM   27943Q105         356      53,925  SH     DEFINED     09      53,925           0           0

EDGAR ONLINE INC                  COM   279765101           8       8,879  SH     DEFINED     01           0       8,879           0
EDGAR ONLINE INC                  COM   279765101          12      13,343  SH     DEFINED  01,08       5,879       7,464           0

EDGEWATER TECHNOLOGY INC          COM   280358102          54      13,746  SH     DEFINED     01           0      13,746           0
EDGEWATER TECHNOLOGY INC          COM   280358102         112      28,609  SH     DEFINED  01,08      16,026      12,583           0

EDISON INTL                       COM   281020107      17,302     407,009  SH     DEFINED     01     226,494     176,352       4,163
EDISON INTL                       COM   281020107         570      13,417  SH     OTHER       01       4,735       2,502       6,180
EDISON INTL                       COM   281020107     102,356   2,407,803  SH     DEFINED  01,08     596,217   1,811,586           0
EDISON INTL                       COM   281020107      32,673     768,595  SH     DEFINED     09     768,595           0           0

EDUCATION RLTY TR INC             COM   28140H104       1,088     100,408  SH     DEFINED     01      22,138      78,270           0
EDUCATION RLTY TR INC             COM   28140H104      10,899   1,005,435  SH     DEFINED  01,08     257,530     747,905           0
EDUCATION RLTY TR INC             COM   28140H104       3,388     312,589  SH     DEFINED     09     312,589           0           0

EDUCATION MGMT CORP NEW           COM   28140M103         128       9,317  SH     DEFINED     01       7,214       2,103           0
EDUCATION MGMT CORP NEW           COM   28140M103           0          20  SH     OTHER       01           0           0          20
EDUCATION MGMT CORP NEW           COM   28140M103       1,497     109,345  SH     DEFINED  01,08      11,282      98,063           0

EDWARDS LIFESCIENCES CORP         COM   28176E108       9,459     130,062  SH     DEFINED     01      66,904      62,717         441
EDWARDS LIFESCIENCES CORP         COM   28176E108         305       4,188  SH     OTHER       01       1,105       2,608         475
EDWARDS LIFESCIENCES CORP         COM   28176E108      61,855     850,481  SH     DEFINED  01,08     198,321     652,160           0
EDWARDS LIFESCIENCES CORP         COM   28176E108      20,033     275,443  SH     DEFINED     09     275,443           0           0

EHEALTH INC                       COM   28238P109         593      36,344  SH     DEFINED     01      11,034      25,310           0
EHEALTH INC                       COM   28238P109       3,280     201,100  SH     DEFINED  01,08      38,885     162,215           0
EHEALTH INC                       COM   28238P109       1,155      70,791  SH     DEFINED     09      70,791           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    107
  ________

EINSTEIN NOAH REST GROUP INC      COM   28257U104         718      48,126  SH     DEFINED     01       1,148      46,978           0
EINSTEIN NOAH REST GROUP INC      COM   28257U104       1,557     104,327  SH     DEFINED  01,08      53,244      51,083           0
EINSTEIN NOAH REST GROUP INC      COM   28257U104         228      15,259  SH     DEFINED     09      15,259           0           0

8X8 INC NEW                       COM   282914100         375      89,311  SH     DEFINED     01      27,830      61,481           0
8X8 INC NEW                       COM   282914100       2,591     616,994  SH     DEFINED  01,08      99,017     517,977           0
8X8 INC NEW                       COM   282914100         719     171,219  SH     DEFINED     09     171,219           0           0

EL PASO CORP                      COM   28336L109      25,434     860,704  SH     DEFINED     01     452,830     404,704       3,170
EL PASO CORP                      COM   28336L109         294       9,956  SH     OTHER       01       8,247       1,539         170
EL PASO CORP                      COM   28336L109     167,399   5,664,946  SH     DEFINED  01,08   1,285,703   4,379,243           0
EL PASO CORP                      COM   28336L109      55,097   1,864,520  SH     DEFINED     09   1,864,520           0           0

EL PASO ELEC CO                   COM   283677854      11,663     358,981  SH     DEFINED     01      17,437     341,444         100
EL PASO ELEC CO                   COM   283677854      23,667     728,436  SH     DEFINED  01,08     382,168     346,268           0
EL PASO ELEC CO                   COM   283677854       4,286     131,906  SH     DEFINED     09     131,906           0           0

EL PASO PIPELINE PARTNERS L       COM   283702108         254       7,289  SH     DEFINED     01       5,525       1,764           0
EL PASO PIPELINE PARTNERS L       COM   283702108         192       5,500  SH     OTHER       01       5,500           0           0
EL PASO PIPELINE PARTNERS L       COM   283702108       1,955      56,031  SH     DEFINED  01,08      56,031           0           0

ELAN PLC                          COM   284131208         917      61,108  SH     DEFINED     01      53,556       1,362       6,190
ELAN PLC                          COM   284131208          97       6,482  SH     OTHER       01       1,482       5,000           0
ELAN PLC                          COM   284131208         314      20,894  SH     DEFINED  01,08      20,894           0           0

ELDORADO GOLD CORP NEW            COM   284902103         993      72,286  SH     DEFINED     01      71,095           0       1,191
ELDORADO GOLD CORP NEW            COM   284902103           9         635  SH     OTHER       01         635           0           0
ELDORADO GOLD CORP NEW            COM   284902103         418      30,389  SH     DEFINED  01,08      30,389           0           0

ELECTRO RENT CORP                 COM   285218103       3,380     183,604  SH     DEFINED     01       5,933     177,671           0
ELECTRO RENT CORP                 COM   285218103       6,362     345,588  SH     DEFINED  01,08     192,632     152,956           0
ELECTRO RENT CORP                 COM   285218103         915      49,697  SH     DEFINED     09      49,697           0           0

ELECTRO SCIENTIFIC INDS           COM   285229100         555      36,988  SH     DEFINED     01      11,446      25,542           0
ELECTRO SCIENTIFIC INDS           COM   285229100       3,604     240,129  SH     DEFINED  01,08      48,829     191,300           0
ELECTRO SCIENTIFIC INDS           COM   285229100       1,175      78,264  SH     DEFINED     09      78,264           0           0

ELECTRONIC ARTS INC               COM   285512109       6,030     365,770  SH     DEFINED     01     195,871     169,899           0
ELECTRONIC ARTS INC               COM   285512109         626      37,982  SH     OTHER       01       4,634      33,348           0
ELECTRONIC ARTS INC               COM   285512109      40,561   2,460,470  SH     DEFINED  01,08     582,493   1,877,977           0
ELECTRONIC ARTS INC               COM   285512109      12,957     786,014  SH     DEFINED     09     786,014           0           0

ELECTRONICS FOR IMAGING INC       COM   286082102       3,900     234,678  SH     DEFINED     01      10,012     224,666           0
ELECTRONICS FOR IMAGING INC       COM   286082102      10,755     647,135  SH     DEFINED  01,08     258,789     388,346           0
ELECTRONICS FOR IMAGING INC       COM   286082102       2,139     128,730  SH     DEFINED     09     128,730           0           0

ELEPHANT TALK COMM CORP           COM   286202205         222      98,698  SH     DEFINED  01,08           0      98,698           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    108
  ________

ELIZABETH ARDEN INC               COM   28660G106       3,294      94,175  SH     DEFINED     01       7,419      86,756           0
ELIZABETH ARDEN INC               COM   28660G106      10,724     306,568  SH     DEFINED  01,08     100,958     205,610           0
ELIZABETH ARDEN INC               COM   28660G106       2,488      71,128  SH     DEFINED     09      71,128           0           0

ELLIE MAE INC                     COM   28849P100         146      13,106  SH     DEFINED     01       9,562       3,544           0
ELLIE MAE INC                     COM   28849P100          17       1,485  SH     OTHER       01       1,485           0           0
ELLIE MAE INC                     COM   28849P100         858      76,838  SH     DEFINED  01,08       7,013      69,825           0
ELLIE MAE INC                     COM   28849P100         392      35,159  SH     DEFINED     09      35,159           0           0

ELLIS PERRY INTL INC              COM   288853104       1,037      55,530  SH     DEFINED     01       7,042      48,488           0
ELLIS PERRY INTL INC              COM   288853104       3,079     164,893  SH     DEFINED  01,08      64,477     100,416           0
ELLIS PERRY INTL INC              COM   288853104         762      40,805  SH     DEFINED     09      40,805           0           0

EMAGIN CORP                       COM   29076N206          36      11,160  SH     DEFINED     01       2,994       8,166           0
EMAGIN CORP                       COM   29076N206         499     153,477  SH     DEFINED  01,08      15,267     138,210           0
EMAGIN CORP                       COM   29076N206         242      74,512  SH     DEFINED     09      74,512           0           0

EMBRAER S A                       COM   29082A107       6,499     203,235  SH     DEFINED     01     175,744      24,592       2,899
EMBRAER S A                       COM   29082A107         306       9,568  SH     OTHER       01       8,425       1,143           0
EMBRAER S A                       COM   29082A107         193       6,028  SH     DEFINED  01,08       6,028           0           0

EMCOR GROUP INC                   COM   29084Q100       8,475     305,724  SH     DEFINED     01      30,598     275,126           0
EMCOR GROUP INC                   COM   29084Q100         105       3,800  SH     OTHER       01           0       3,800           0
EMCOR GROUP INC                   COM   29084Q100      24,068     868,241  SH     DEFINED  01,08     330,267     537,974           0
EMCOR GROUP INC                   COM   29084Q100       5,376     193,942  SH     DEFINED     09     193,942           0           0

EMCORE CORP                       COM   290846203          91      19,166  SH     DEFINED     01       3,180      15,986           0
EMCORE CORP                       COM   290846203          72      15,000  SH     OTHER       01      15,000           0           0
EMCORE CORP                       COM   290846203         972     203,757  SH     DEFINED  01,08      24,755     179,002           0
EMCORE CORP                       COM   290846203         297      62,328  SH     DEFINED     09      62,328           0           0

EMERGENT BIOSOLUTIONS INC         COM   29089Q105         779      48,689  SH     DEFINED     01      10,828      37,861           0
EMERGENT BIOSOLUTIONS INC         COM   29089Q105       4,018     251,109  SH     DEFINED  01,08      49,620     201,489           0
EMERGENT BIOSOLUTIONS INC         COM   29089Q105       1,100      68,723  SH     DEFINED     09      68,723           0           0

EMERITUS CORP                     COM   291005106         793      44,927  SH     DEFINED     01       8,150      36,777           0
EMERITUS CORP                     COM   291005106       5,312     300,774  SH     DEFINED  01,08      50,695     250,079           0
EMERITUS CORP                     COM   291005106       1,454      82,361  SH     DEFINED     09      82,361           0           0

EMERSON ELEC CO                   COM   291011104     172,974   3,314,957  SH     DEFINED     01   2,603,287     639,278      72,392
EMERSON ELEC CO                   COM   291011104      51,421     985,453  SH     OTHER       01     650,836     229,789     104,828
EMERSON ELEC CO                   COM   291011104     296,635   5,684,835  SH     DEFINED  01,08   1,472,090   4,212,745           0
EMERSON ELEC CO                   COM   291011104      93,903   1,799,602  SH     DEFINED     09   1,799,602           0           0

EMERSON RADIO CORP                COM   291087203          48      23,646  SH     DEFINED     01       4,209      19,437           0
EMERSON RADIO CORP                COM   291087203          79      39,138  SH     DEFINED  01,08      18,996      20,142           0

EMMIS COMMUNICATIONS CORP         COM   291525103           6       6,865  SH     DEFINED     01           0       6,865           0
EMMIS COMMUNICATIONS CORP         COM   291525103          28      33,962  SH     DEFINED  01,08       1,617      32,345           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    109
  ________

EMPIRE DIST ELEC CO               COM   291641108       1,458      71,663  SH     DEFINED     01      31,010      40,653           0
EMPIRE DIST ELEC CO               COM   291641108       8,318     408,730  SH     DEFINED  01,08      61,973     346,757           0
EMPIRE DIST ELEC CO               COM   291641108       2,381     117,018  SH     DEFINED     09     117,018           0           0

EMPIRE RESORTS INC                COM   292052206          10       4,274  SH     DEFINED     01          33       4,241           0
EMPIRE RESORTS INC                COM   292052206          27      11,770  SH     DEFINED  01,08         449      11,321           0

EMPLOYERS HOLDINGS INC            COM   292218104       3,133     176,930  SH     DEFINED     01      17,376     159,554           0
EMPLOYERS HOLDINGS INC            COM   292218104       8,530     481,632  SH     DEFINED  01,08     191,428     290,204           0
EMPLOYERS HOLDINGS INC            COM   292218104       2,092     118,140  SH     DEFINED     09     118,140           0           0

EMPRESA NACIONAL DE ELCTRCID      COM   29244T101         735      13,624  SH     DEFINED     01      13,199         390          35
EMPRESA NACIONAL DE ELCTRCID      COM   29244T101          18         334  SH     OTHER       01         135         199           0
EMPRESA NACIONAL DE ELCTRCID      COM   29244T101       1,897      35,137  SH     DEFINED  01,08      35,137           0           0
EMPRESA NACIONAL DE ELCTRCID      COM   29244T101       2,205      40,848  SH     DEFINED     09      40,848           0           0

EMULEX CORP                       COM   292475209       3,730     359,352  SH     DEFINED     01      22,936     336,416           0
EMULEX CORP                       COM   292475209          79       7,600  SH     OTHER       01           0       7,600           0
EMULEX CORP                       COM   292475209      11,386   1,096,893  SH     DEFINED  01,08     381,308     715,585           0
EMULEX CORP                       COM   292475209       2,596     250,068  SH     DEFINED     09     250,068           0           0

ENBRIDGE INC                      COM   29250N105      20,847     536,591  SH     DEFINED     01     513,978       7,556      15,057
ENBRIDGE INC                      COM   29250N105       1,758      45,254  SH     OTHER       01      41,954       3,300           0
ENBRIDGE INC                      COM   29250N105       1,473      37,917  SH     DEFINED  01,08      37,917           0           0

ENBRIDGE ENERGY PARTNERS L P      COM   29250R106         922      29,775  SH     DEFINED     01      25,270       4,505           0
ENBRIDGE ENERGY PARTNERS L P      COM   29250R106         297       9,600  SH     OTHER       01       9,600           0           0
ENBRIDGE ENERGY PARTNERS L P      COM   29250R106       2,780      89,766  SH     DEFINED  01,08      89,766           0           0

ENBRIDGE ENERGY MANAGEMENT L      COM   29250X103       1,485      46,648  SH     DEFINED     01       1,066      45,582           0
ENBRIDGE ENERGY MANAGEMENT L      COM   29250X103       1,627      51,093  SH     DEFINED  01,08      49,451       1,642           0

ENCANA CORP                       COM   292505104       9,580     487,556  SH     DEFINED     01     261,621     222,320       3,615
ENCANA CORP                       COM   292505104       1,412      71,843  SH     OTHER       01      43,943      25,295       2,605
ENCANA CORP                       COM   292505104       4,627     235,483  SH     DEFINED  01,08     235,483           0           0

ENCORE BANCSHARES INC             COM   29255V201         125       6,155  SH     DEFINED     01       1,804       4,351           0
ENCORE BANCSHARES INC             COM   29255V201       1,522      74,715  SH     DEFINED  01,08       8,342      66,373           0
ENCORE BANCSHARES INC             COM   29255V201         369      18,138  SH     DEFINED     09      18,138           0           0

ENCORE CAP GROUP INC              COM   292554102       3,105     137,674  SH     DEFINED     01      10,735     126,939           0
ENCORE CAP GROUP INC              COM   292554102       6,279     278,468  SH     DEFINED  01,08     136,288     142,180           0
ENCORE CAP GROUP INC              COM   292554102         983      43,608  SH     DEFINED     09      43,608           0           0

ENCORE WIRE CORP                  COM   292562105       5,751     193,427  SH     DEFINED     01      43,907     147,665       1,855
ENCORE WIRE CORP                  COM   292562105         384      12,900  SH     OTHER       01           0      12,705         195
ENCORE WIRE CORP                  COM   292562105       9,517     320,104  SH     DEFINED  01,08     165,525     154,579           0
ENCORE WIRE CORP                  COM   292562105       1,688      56,764  SH     DEFINED     09      56,764           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    110
  ________

ENDEAVOUR INTL CORP               COM   29259G200         464      39,142  SH     DEFINED     01      19,331      19,811           0
ENDEAVOUR INTL CORP               COM   29259G200       4,120     347,717  SH     DEFINED  01,08      48,223     299,494           0
ENDEAVOUR INTL CORP               COM   29259G200       1,318     111,209  SH     DEFINED     09     111,209           0           0

ENDO PHARMACEUTICALS HLDGS I      COM   29264F205      10,457     270,001  SH     DEFINED     01     242,227      26,064       1,710
ENDO PHARMACEUTICALS HLDGS I      COM   29264F205         881      22,744  SH     OTHER       01      10,054      12,600          90
ENDO PHARMACEUTICALS HLDGS I      COM   29264F205      28,561     737,439  SH     DEFINED  01,08      52,571     684,868           0

ENERGEN CORP                      COM   29265N108       2,474      50,332  SH     DEFINED     01      42,675       7,262         395
ENERGEN CORP                      COM   29265N108          21         420  SH     OTHER       01         295         125           0
ENERGEN CORP                      COM   29265N108      22,041     448,437  SH     DEFINED  01,08      29,157     419,280           0
ENERGEN CORP                      COM   29265N108       4,837      98,407  SH     DEFINED     09      98,407           0           0

ENERGIZER HLDGS INC               COM   29266R108       2,014      27,148  SH     DEFINED     01      20,648       6,470          30
ENERGIZER HLDGS INC               COM   29266R108         356       4,794  SH     OTHER       01          44       4,750           0
ENERGIZER HLDGS INC               COM   29266R108      29,887     402,898  SH     DEFINED  01,08      23,571     379,327           0
ENERGIZER HLDGS INC               COM   29266R108       6,878      92,726  SH     DEFINED     09      92,726           0           0

ENDOLOGIX INC                     COM   29266S106         924      63,098  SH     DEFINED     01      15,100      47,998           0
ENDOLOGIX INC                     COM   29266S106       7,060     481,900  SH     DEFINED  01,08      75,208     406,692           0
ENDOLOGIX INC                     COM   29266S106       2,476     168,988  SH     DEFINED     09     168,988           0           0

ENDOCYTE INC                      COM   29269A102          56      11,156  SH     DEFINED     01       3,904       7,252           0
ENDOCYTE INC                      COM   29269A102         884     177,574  SH     DEFINED  01,08      14,967     162,607           0
ENDOCYTE INC                      COM   29269A102         273      54,901  SH     DEFINED     09      54,901           0           0

ENERGY RECOVERY INC               COM   29270J100          79      34,547  SH     DEFINED     01       4,263      30,284           0
ENERGY RECOVERY INC               COM   29270J100         951     413,310  SH     DEFINED  01,08      52,200     361,110           0
ENERGY RECOVERY INC               COM   29270J100         324     140,988  SH     DEFINED     09     140,988           0           0

ENERGY PARTNERS LTD               COM   29270U303         515      30,985  SH     DEFINED     01       8,846      22,139           0
ENERGY PARTNERS LTD               COM   29270U303       4,350     261,900  SH     DEFINED  01,08      32,261     229,639           0
ENERGY PARTNERS LTD               COM   29270U303       1,289      77,612  SH     DEFINED     09      77,612           0           0

ENERGY TRANSFER PRTNRS L P        COM   29273R109         915      19,503  SH     DEFINED     01      17,107       2,396           0
ENERGY TRANSFER PRTNRS L P        COM   29273R109       1,272      27,121  SH     OTHER       01      23,971           0       3,150
ENERGY TRANSFER PRTNRS L P        COM   29273R109       3,816      81,343  SH     DEFINED  01,08      81,343           0           0

ENERGY TRANSFER EQUITY L P        COM   29273V100         358       8,885  SH     DEFINED     01       8,885           0           0
ENERGY TRANSFER EQUITY L P        COM   29273V100         136       3,380  SH     OTHER       01       3,280           0         100
ENERGY TRANSFER EQUITY L P        COM   29273V100       2,792      69,278  SH     DEFINED  01,08      68,969         309           0

ENERSIS S A                       COM   29274F104         680      33,667  SH     DEFINED     01      33,445         190          32
ENERSIS S A                       COM   29274F104          10         520  SH     OTHER       01         322         198           0
ENERSIS S A                       COM   29274F104       1,793      88,813  SH     DEFINED  01,08      88,813           0           0
ENERSIS S A                       COM   29274F104       1,970      97,580  SH     DEFINED     09      97,580           0           0

ENERSYS                        CONV DEB 29275YAA0       4,487   3,860,000  PRN    DEFINED     01     510,000   3,350,000           0
ENERSYS                        CONV DEB 29275YAA0     389,438   3,350,000  PRN    DEFINED  01,08   3,350,000           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    111
  ________

ENERSYS                           COM   29275Y102       3,888     112,209  SH     DEFINED     01      31,293      80,741         175
ENERSYS                           COM   29275Y102         409      11,790  SH     OTHER       01         190      11,600           0
ENERSYS                           COM   29275Y102      17,504     505,166  SH     DEFINED  01,08     116,818     388,348           0
ENERSYS                           COM   29275Y102       4,912     141,764  SH     DEFINED     09     141,764           0           0

ENERGYSOLUTIONS INC               COM   292756202         425      86,685  SH     DEFINED     01      22,965      63,720           0
ENERGYSOLUTIONS INC               COM   292756202       3,800     775,421  SH     DEFINED  01,08     106,626     668,795           0
ENERGYSOLUTIONS INC               COM   292756202       1,208     246,476  SH     DEFINED     09     246,476           0           0

ENERNOC INC                       COM   292764107         141      19,562  SH     DEFINED     01       3,158      16,404           0
ENERNOC INC                       COM   292764107       1,574     218,554  SH     DEFINED  01,08      29,029     189,525           0
ENERNOC INC                       COM   292764107         545      75,693  SH     DEFINED     09      75,693           0           0

ENERPLUS CORP                     COM   292766102         735      32,804  SH     DEFINED     01      32,355         430          19
ENERPLUS CORP                     COM   292766102         270      12,044  SH     OTHER       01      11,044       1,000           0
ENERPLUS CORP                     COM   292766102         333      14,862  SH     DEFINED  01,08      14,862           0           0

ENGLOBAL CORP                     COM   293306106          32      13,381  SH     DEFINED     01           0      13,381           0
ENGLOBAL CORP                     COM   293306106         136      56,512  SH     DEFINED  01,08      17,356      39,156           0

ENNIS INC                         COM   293389102       4,328     273,603  SH     DEFINED     01      26,974     245,844         785
ENNIS INC                         COM   293389102           9         565  SH     OTHER       01         565           0           0
ENNIS INC                         COM   293389102       7,551     477,309  SH     DEFINED  01,08     263,474     213,835           0
ENNIS INC                         COM   293389102       1,186      74,958  SH     DEFINED     09      74,958           0           0

ENOVA SYSTEMS INC                 COM   29355M200          17      51,245  SH     DEFINED     01           0      51,245           0
ENOVA SYSTEMS INC                 COM   29355M200           6      16,949  SH     DEFINED  01,08           0      16,949           0

ENPRO INDS INC                    COM   29355X107       7,927     192,880  SH     DEFINED     01      29,877     162,558         445
ENPRO INDS INC                    COM   29355X107          83       2,023  SH     OTHER       01       1,323         700           0
ENPRO INDS INC                    COM   29355X107      13,964     339,749  SH     DEFINED  01,08     170,296     169,453           0
ENPRO INDS INC                    COM   29355X107       2,397      58,326  SH     DEFINED     09      58,326           0           0

ENSIGN GROUP INC                  COM   29358P101         546      20,118  SH     DEFINED     01       7,255      12,863           0
ENSIGN GROUP INC                  COM   29358P101       4,413     162,484  SH     DEFINED  01,08      25,435     137,049           0
ENSIGN GROUP INC                  COM   29358P101       1,270      46,775  SH     DEFINED     09      46,775           0           0

ENSCO PLC                         COM   29358Q109      15,044     284,221  SH     DEFINED     01     212,406      67,848       3,967
ENSCO PLC                         COM   29358Q109       2,659      50,232  SH     OTHER       01       9,410      39,222       1,600
ENSCO PLC                         COM   29358Q109      13,895     262,515  SH     DEFINED  01,08     249,675           0      12,840
ENSCO PLC                         COM   29358Q109         599      11,309  SH     DEFINED     09      11,309           0           0

ENTEGRIS INC                      COM   29362U104       5,063     542,113  SH     DEFINED     01      34,121     507,992           0
ENTEGRIS INC                      COM   29362U104          34       3,612  SH     OTHER       01       1,008       2,604           0
ENTEGRIS INC                      COM   29362U104      15,795   1,691,157  SH     DEFINED  01,08     593,297   1,097,860           0
ENTEGRIS INC                      COM   29362U104       3,850     412,214  SH     DEFINED     09     412,214           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    112
  ________

ENTERCOM COMMUNICATIONS CORP      COM   293639100         235      36,252  SH     DEFINED     01       3,836      32,416           0
ENTERCOM COMMUNICATIONS CORP      COM   293639100       1,517     233,671  SH     DEFINED  01,08      38,052     195,619           0
ENTERCOM COMMUNICATIONS CORP      COM   293639100         428      65,925  SH     DEFINED     09      65,925           0           0

ENTERGY CORP NEW                  COM   29364G103      15,955     237,430  SH     DEFINED     01     138,634      97,451       1,345
ENTERGY CORP NEW                  COM   29364G103       1,169      17,396  SH     OTHER       01       9,732       5,168       2,496
ENTERGY CORP NEW                  COM   29364G103      88,943   1,323,553  SH     DEFINED  01,08     331,461     992,092           0
ENTERGY CORP NEW                  COM   29364G103      28,569     425,129  SH     DEFINED     09     425,129           0           0

ENTEROMEDICS INC                  COM   29365M208           0         182  SH     DEFINED     01           0         182           0
ENTEROMEDICS INC                  COM   29365M208          26      11,295  SH     DEFINED  01,08         182      11,113           0

ENTERPRISE BANCORP INC MASS       COM   293668109         105       6,372  SH     DEFINED     01       1,133       5,239           0
ENTERPRISE BANCORP INC MASS       COM   293668109         908      55,249  SH     DEFINED  01,08       8,641      46,608           0
ENTERPRISE BANCORP INC MASS       COM   293668109         327      19,907  SH     DEFINED     09      19,907           0           0

ENTERPRISE FINL SVCS CORP         COM   293712105         205      17,491  SH     DEFINED     01       7,182      10,309           0
ENTERPRISE FINL SVCS CORP         COM   293712105       1,773     151,025  SH     DEFINED  01,08      23,336     127,689           0
ENTERPRISE FINL SVCS CORP         COM   293712105         545      46,393  SH     DEFINED     09      46,393           0           0

ENTERPRISE PRODS PARTNERS L       COM   293792107       3,992      79,088  SH     DEFINED     01      63,310       3,778      12,000
ENTERPRISE PRODS PARTNERS L       COM   293792107       2,915      57,761  SH     OTHER       01      45,199       9,490       3,072
ENTERPRISE PRODS PARTNERS L       COM   293792107      12,851     254,636  SH     DEFINED  01,08     254,636           0           0

ENTERTAINMENT PPTYS TR            COM   29380T105      10,070     217,116  SH     DEFINED     01      21,827     195,289           0
ENTERTAINMENT PPTYS TR            COM   29380T105          23         500  SH     OTHER       01         500           0           0
ENTERTAINMENT PPTYS TR            COM   29380T105      31,296     674,766  SH     DEFINED  01,08     295,717     379,049           0
ENTERTAINMENT PPTYS TR            COM   29380T105       7,261     156,552  SH     DEFINED     09     156,552           0           0

ENTREMED INC                      COM   29382F202           2       1,108  SH     DEFINED     01           0       1,108           0
ENTREMED INC                      COM   29382F202          37      17,080  SH     DEFINED  01,08       1,000      16,080           0

ENTRAVISION COMMUNICATIONS C      COM   29382R107         101      58,971  SH     DEFINED     01       7,977      50,994           0
ENTRAVISION COMMUNICATIONS C      COM   29382R107         777     454,329  SH     DEFINED  01,08      72,782     381,547           0
ENTRAVISION COMMUNICATIONS C      COM   29382R107         242     141,258  SH     DEFINED     09     141,258           0           0

ENTERTAINMENT GAMING ASIA IN      COM   29383V107           0         580  SH     DEFINED     01         580           0           0
ENTERTAINMENT GAMING ASIA IN      COM   29383V107           9      20,155  SH     DEFINED  01,08       8,292      11,863           0

ENTROPIC COMMUNICATIONS INC       COM   29384R105         646     110,846  SH     DEFINED     01      49,634      61,212           0
ENTROPIC COMMUNICATIONS INC       COM   29384R105          54       9,300  SH     OTHER       01           0       9,300           0
ENTROPIC COMMUNICATIONS INC       COM   29384R105       4,624     793,197  SH     DEFINED  01,08     105,910     687,287           0
ENTROPIC COMMUNICATIONS INC       COM   29384R105       1,417     243,054  SH     DEFINED     09     243,054           0           0

ENZON PHARMACEUTICALS INC         COM   293904108         449      65,682  SH     DEFINED     01      12,366      53,316           0
ENZON PHARMACEUTICALS INC         COM   293904108       2,749     401,959  SH     DEFINED  01,08      79,708     322,251           0
ENZON PHARMACEUTICALS INC         COM   293904108         971     141,957  SH     DEFINED     09     141,957           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    113
  ________

ENVESTNET INC                     COM   29404K106         188      14,994  SH     DEFINED     01       5,979       9,015           0
ENVESTNET INC                     COM   29404K106       2,184     174,478  SH     DEFINED  01,08      17,223     157,255           0
ENVESTNET INC                     COM   29404K106         644      51,429  SH     DEFINED     09      51,429           0           0

ENZO BIOCHEM INC                  COM   294100102         133      49,585  SH     DEFINED     01      16,210      33,375           0
ENZO BIOCHEM INC                  COM   294100102       1,000     371,768  SH     DEFINED  01,08      66,453     305,315           0
ENZO BIOCHEM INC                  COM   294100102         244      90,593  SH     DEFINED     09      90,593           0           0

EPAM SYS INC                      COM   29414B104         271      13,192  SH     DEFINED  01,08       2,607      10,585           0
EPAM SYS INC                      COM   29414B104         370      18,017  SH     DEFINED     09      18,017           0           0

EPLUS INC                         COM   294268107         419      13,092  SH     DEFINED     01         876      12,216           0
EPLUS INC                         COM   294268107       1,522      47,600  SH     DEFINED  01,08      15,464      32,136           0
EPLUS INC                         COM   294268107         164       5,131  SH     DEFINED     09       5,131           0           0

EPOCH HOLDING CORP                COM   29428R103         498      20,838  SH     DEFINED     01       5,822      15,016           0
EPOCH HOLDING CORP                COM   29428R103       3,547     148,547  SH     DEFINED  01,08      24,748     123,799           0
EPOCH HOLDING CORP                COM   29428R103       1,055      44,175  SH     DEFINED     09      44,175           0           0

EPOCRATES INC                     COM   29429D103          30       3,481  SH     DEFINED     01         576       2,905           0
EPOCRATES INC                     COM   29429D103         591      68,829  SH     DEFINED  01,08       5,446      63,383           0
EPOCRATES INC                     COM   29429D103         137      15,935  SH     DEFINED     09      15,935           0           0

EQUIFAX INC                       COM   294429105       6,979     157,682  SH     DEFINED     01      93,813      63,211         658
EQUIFAX INC                       COM   294429105       1,664      37,593  SH     OTHER       01      27,789       8,539       1,265
EQUIFAX INC                       COM   294429105      39,868     900,769  SH     DEFINED  01,08     220,343     680,426           0
EQUIFAX INC                       COM   294429105      12,815     289,536  SH     DEFINED     09     289,536           0           0

EQUINIX INC                       COM   29444U502       2,839      18,034  SH     DEFINED     01      13,203       4,831           0
EQUINIX INC                       COM   29444U502          43         275  SH     OTHER       01         250           0          25
EQUINIX INC                       COM   29444U502      46,216     293,526  SH     DEFINED  01,08      19,119     274,407           0

EQUITY LIFESTYLE PPTYS INC        COM   29472R108       3,218      46,145  SH     DEFINED     01      14,256      31,597         292
EQUITY LIFESTYLE PPTYS INC        COM   29472R108          14         207  SH     OTHER       01         207           0           0
EQUITY LIFESTYLE PPTYS INC        COM   29472R108      25,971     372,399  SH     DEFINED  01,08     104,477     267,922           0
EQUITY LIFESTYLE PPTYS INC        COM   29472R108       7,926     113,653  SH     DEFINED     09     113,653           0           0

EQUITY ONE                        COM   294752100       7,111     351,672  SH     DEFINED     01      17,016     334,556         100
EQUITY ONE                        COM   294752100      21,458   1,061,245  SH     DEFINED  01,08     447,211     614,034           0
EQUITY ONE                        COM   294752100       3,661     181,080  SH     DEFINED     09     181,080           0           0

EQUITY RESIDENTIAL                COM   29476L107      25,440     406,264  SH     DEFINED     01     235,955     167,267       3,042
EQUITY RESIDENTIAL                COM   29476L107       2,009      32,077  SH     OTHER       01      21,545       6,478       4,054
EQUITY RESIDENTIAL                COM   29476L107     164,834   2,632,298  SH     DEFINED  01,08     958,523   1,673,775           0
EQUITY RESIDENTIAL                COM   29476L107      52,819     843,491  SH     DEFINED     09     843,491           0           0

ERESEARCHTECHNOLOGY INC           COM   29481V108         541      69,127  SH     DEFINED     01      24,493      44,634           0
ERESEARCHTECHNOLOGY INC           COM   29481V108       3,687     471,447  SH     DEFINED  01,08      73,367     398,080           0
ERESEARCHTECHNOLOGY INC           COM   29481V108       1,045     133,630  SH     DEFINED     09     133,630           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    114
  ________

ERICSSON L M TEL CO               COM   294821608      10,212     990,456  SH     DEFINED     01     883,341     103,750       3,365
ERICSSON L M TEL CO               COM   294821608         991      96,078  SH     OTHER       01      46,327      41,971       7,780
ERICSSON L M TEL CO               COM   294821608       1,374     133,236  SH     DEFINED  01,08     133,236           0           0

ERIE INDTY CO                     COM   29530P102         851      10,916  SH     DEFINED     01       7,750       3,166           0
ERIE INDTY CO                     COM   29530P102           2          30  SH     OTHER       01           0           0          30
ERIE INDTY CO                     COM   29530P102       7,394      94,867  SH     DEFINED  01,08       9,321      85,546           0
ERIE INDTY CO                     COM   29530P102         125       1,600  SH     DEFINED     09       1,600           0           0

ESCALADE INC                      COM   296056104          57       9,583  SH     DEFINED     01           0       9,583           0
ESCALADE INC                      COM   296056104         113      19,138  SH     DEFINED  01,08      10,229       8,909           0

ESCO TECHNOLOGIES INC             COM   296315104       1,724      46,894  SH     DEFINED     01      14,141      32,753           0
ESCO TECHNOLOGIES INC             COM   296315104          15         400  SH     OTHER       01           0         400           0
ESCO TECHNOLOGIES INC             COM   296315104      10,072     273,922  SH     DEFINED  01,08      57,581     216,341           0
ESCO TECHNOLOGIES INC             COM   296315104       2,701      73,470  SH     DEFINED     09      73,470           0           0

ESSA BANCORP INC                  COM   29667D104          99      10,143  SH     DEFINED     01       2,783       7,360           0
ESSA BANCORP INC                  COM   29667D104       1,023     104,435  SH     DEFINED  01,08      13,553      90,882           0
ESSA BANCORP INC                  COM   29667D104         573      58,502  SH     DEFINED     09      58,502           0           0

ESSEX PPTY TR INC                 COM   297178105       1,715      11,322  SH     DEFINED     01       7,877       3,445           0
ESSEX PPTY TR INC                 COM   297178105      39,785     262,591  SH     DEFINED  01,08      62,918     199,673           0
ESSEX PPTY TR INC                 COM   297178105       2,327      15,356  SH     DEFINED     09      15,356           0           0

ESSEX RENT CORP                   COM   297187106          34       8,870  SH     DEFINED     01       1,862       7,008           0
ESSEX RENT CORP                   COM   297187106         529     138,428  SH     DEFINED  01,08      16,353     122,075           0
ESSEX RENT CORP                   COM   297187106         196      51,262  SH     DEFINED     09      51,262           0           0

ESTERLINE TECHNOLOGIES CORP       COM   297425100      17,159     240,126  SH     DEFINED     01       9,678     230,448           0
ESTERLINE TECHNOLOGIES CORP       COM   297425100      41,954     587,102  SH     DEFINED  01,08     252,168     334,934           0
ESTERLINE TECHNOLOGIES CORP       COM   297425100       6,330      88,575  SH     DEFINED     09      88,575           0           0

ETABLISSEMENTS DELHAIZE FRER      COM   29759W101         535      10,162  SH     DEFINED     01       9,783         379           0
ETABLISSEMENTS DELHAIZE FRER      COM   29759W101          62       1,170  SH     OTHER       01         237         933           0
ETABLISSEMENTS DELHAIZE FRER      COM   29759W101         218       4,135  SH     DEFINED  01,08       4,135           0           0

ETHAN ALLEN INTERIORS INC         COM   297602104       2,980     117,704  SH     DEFINED     01      11,032     106,672           0
ETHAN ALLEN INTERIORS INC         COM   297602104       8,354     329,954  SH     DEFINED  01,08     129,369     200,585           0
ETHAN ALLEN INTERIORS INC         COM   297602104       1,741      68,779  SH     DEFINED     09      68,779           0           0

EURONET WORLDWIDE INC             COM   298736109       1,248      59,729  SH     DEFINED     01      10,805      48,924           0
EURONET WORLDWIDE INC             COM   298736109      10,306     493,362  SH     DEFINED  01,08      78,676     414,686           0
EURONET WORLDWIDE INC             COM   298736109       3,313     158,612  SH     DEFINED     09     158,612           0           0

EVERCORE PARTNERS INC             COM   29977A105         711      24,444  SH     DEFINED     01       6,264      18,180           0
EVERCORE PARTNERS INC             COM   29977A105       5,969     205,319  SH     DEFINED  01,08      27,960     177,359           0
EVERCORE PARTNERS INC             COM   29977A105       1,802      61,990  SH     DEFINED     09      61,990           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    115
  ________

EVOLUTION PETROLEUM CORP          COM   30049A107         216      23,242  SH     DEFINED     01       3,605      19,637           0
EVOLUTION PETROLEUM CORP          COM   30049A107       1,506     161,897  SH     DEFINED  01,08      25,914     135,983           0
EVOLUTION PETROLEUM CORP          COM   30049A107         325      34,919  SH     DEFINED     09      34,919           0           0

EVOLVING SYS INC                  COM   30049R209          29       5,140  SH     DEFINED     01           0       5,140           0
EVOLVING SYS INC                  COM   30049R209         114      20,367  SH     DEFINED  01,08       3,730      16,637           0

EXACT SCIENCES CORP               COM   30063P105         640      57,341  SH     DEFINED     01      20,346      36,995           0
EXACT SCIENCES CORP               COM   30063P105       5,859     525,017  SH     DEFINED  01,08      68,449     456,568           0
EXACT SCIENCES CORP               COM   30063P105       2,003     179,525  SH     DEFINED     09     179,525           0           0

EXACTECH INC                      COM   30064E109         277      17,502  SH     DEFINED     01       2,051      15,451           0
EXACTECH INC                      COM   30064E109       1,431      90,273  SH     DEFINED  01,08      20,159      70,114           0
EXACTECH INC                      COM   30064E109         361      22,786  SH     DEFINED     09      22,786           0           0

EXAR CORP                         COM   300645108         706      84,053  SH     DEFINED     01      20,996      63,057           0
EXAR CORP                         COM   300645108       3,342     397,852  SH     DEFINED  01,08      88,502     309,350           0
EXAR CORP                         COM   300645108         791      94,123  SH     DEFINED     09      94,123           0           0

EXAMWORKS GROUP INC               COM   30066A105         243      19,605  SH     DEFINED     01       6,824      12,781           0
EXAMWORKS GROUP INC               COM   30066A105       3,192     257,035  SH     DEFINED  01,08      27,573     229,462           0
EXAMWORKS GROUP INC               COM   30066A105         887      71,424  SH     DEFINED     09      71,424           0           0

EXCEL TR INC                      COM   30068C109         303      25,054  SH     DEFINED     01       7,332      17,722           0
EXCEL TR INC                      COM   30068C109       3,731     308,820  SH     DEFINED  01,08      41,596     267,224           0
EXCEL TR INC                      COM   30068C109       1,066      88,209  SH     DEFINED     09      88,209           0           0

EXELON CORP                       COM   30161N101      47,482   1,210,979  SH     DEFINED     01     725,620     470,451      14,908
EXELON CORP                       COM   30161N101       8,819     224,910  SH     OTHER       01     140,257      59,867      24,786
EXELON CORP                       COM   30161N101     250,879   6,398,341  SH     DEFINED  01,08   1,636,657   4,761,684           0
EXELON CORP                       COM   30161N101      81,590   2,080,845  SH     DEFINED     09   2,080,845           0           0

EXELIXIS INC                      COM   30161Q104         856     165,346  SH     DEFINED     01      37,001     128,345           0
EXELIXIS INC                      COM   30161Q104       7,336   1,416,153  SH     DEFINED  01,08     212,527   1,203,626           0
EXELIXIS INC                      COM   30161Q104       2,268     437,827  SH     DEFINED     09     437,827           0           0

EXELIS INC                        COM   30162A108       3,020     241,189  SH     DEFINED     01     192,015      25,109      24,065
EXELIS INC                        COM   30162A108         510      40,711  SH     OTHER       01      34,332       5,345       1,034
EXELIS INC                        COM   30162A108      14,195   1,133,808  SH     DEFINED  01,08      59,779   1,074,029           0
EXELIS INC                        COM   30162A108          63       5,040  SH     DEFINED     09       5,040           0           0

EXIDE TECHNOLOGIES                COM   302051206         640     204,532  SH     DEFINED     01      20,437     184,095           0
EXIDE TECHNOLOGIES                COM   302051206       2,712     866,439  SH     DEFINED  01,08     232,553     633,886           0
EXIDE TECHNOLOGIES                COM   302051206         657     209,909  SH     DEFINED     09     209,909           0           0

EXLSERVICE HOLDINGS INC           COM   302081104         869      31,656  SH     DEFINED     01      14,655      17,001           0
EXLSERVICE HOLDINGS INC           COM   302081104          49       1,790  SH     OTHER       01       1,790           0           0
EXLSERVICE HOLDINGS INC           COM   302081104       4,809     175,241  SH     DEFINED  01,08      29,548     145,693           0
EXLSERVICE HOLDINGS INC           COM   302081104       1,499      54,634  SH     DEFINED     09      54,634           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    116
  ________

EXPEDIA INC DEL                   COM   30212P303       3,878     115,975  SH     DEFINED     01      67,047      48,668         260
EXPEDIA INC DEL                   COM   30212P303         102       3,054  SH     OTHER       01       2,200         774          80
EXPEDIA INC DEL                   COM   30212P303      24,147     722,110  SH     DEFINED  01,08     187,032     535,078           0
EXPEDIA INC DEL                   COM   30212P303       7,935     237,280  SH     DEFINED     09     237,280           0           0

EXPEDITORS INTL WASH INC          COM   302130109      19,270     414,311  SH     DEFINED     01     223,504     185,035       5,772
EXPEDITORS INTL WASH INC          COM   302130109       3,738      80,374  SH     OTHER       01      43,115      34,399       2,860
EXPEDITORS INTL WASH INC          COM   302130109      74,503   1,601,881  SH     DEFINED  01,08     391,583   1,210,298           0
EXPEDITORS INTL WASH INC          COM   302130109      25,573     549,834  SH     DEFINED     09     549,834           0           0

EXPONENT INC                      COM   30214U102       4,650      95,828  SH     DEFINED     01      73,491      21,565         772
EXPONENT INC                      COM   30214U102         120       2,464  SH     OTHER       01         914       1,310         240
EXPONENT INC                      COM   30214U102       6,768     139,497  SH     DEFINED  01,08      26,944     112,553           0
EXPONENT INC                      COM   30214U102       1,910      39,361  SH     DEFINED     09      39,361           0           0

EXPRESS SCRIPTS INC               COM   302182100     114,661   2,116,291  SH     DEFINED     01   1,752,834     344,424      19,033
EXPRESS SCRIPTS INC               COM   302182100      12,922     238,504  SH     OTHER       01     184,567      46,636       7,301
EXPRESS SCRIPTS INC               COM   302182100     194,538   3,590,588  SH     DEFINED  01,08     838,307   2,752,281           0

EXPRESS INC                       COM   30219E103       1,692      67,728  SH     DEFINED     01      27,927      39,801           0
EXPRESS INC                       COM   30219E103          74       2,954  SH     OTHER       01       2,752         109          93
EXPRESS INC                       COM   30219E103      13,228     529,553  SH     DEFINED  01,08      60,673     468,880           0
EXPRESS INC                       COM   30219E103       4,021     160,955  SH     DEFINED     09     160,955           0           0

EXTERRAN PARTNERS LP              COM   30225N105          11         500  SH     DEFINED     01         500           0           0
EXTERRAN PARTNERS LP              COM   30225N105         254      11,772  SH     DEFINED  01,08      11,772           0           0

EXTRA SPACE STORAGE INC           COM   30225T102      13,296     461,819  SH     DEFINED     01      46,819     415,000           0
EXTRA SPACE STORAGE INC           COM   30225T102      40,012   1,389,791  SH     DEFINED  01,08     628,327     761,464           0
EXTRA SPACE STORAGE INC           COM   30225T102       9,237     320,838  SH     DEFINED     09     320,838           0           0

EXTERRAN HLDGS INC                COM   30225X103       1,289      97,688  SH     DEFINED     01      32,347      65,341           0
EXTERRAN HLDGS INC                COM   30225X103       8,378     635,212  SH     DEFINED  01,08     120,202     515,010           0
EXTERRAN HLDGS INC                COM   30225X103       2,457     186,283  SH     DEFINED     09     186,283           0           0

EXTREME NETWORKS INC              COM   30226D106       1,604     418,725  SH     DEFINED     01      22,923     395,802           0
EXTREME NETWORKS INC              COM   30226D106       4,665   1,218,098  SH     DEFINED  01,08     455,269     762,829           0
EXTREME NETWORKS INC              COM   30226D106         900     234,960  SH     DEFINED     09     234,960           0           0

EZCORP INC                        COM   302301106       2,510      77,330  SH     DEFINED     01      33,432      43,898           0
EZCORP INC                        COM   302301106         106       3,255  SH     OTHER       01       3,255           0           0
EZCORP INC                        COM   302301106      14,718     453,482  SH     DEFINED  01,08      73,368     380,114           0
EZCORP INC                        COM   302301106       4,395     135,408  SH     DEFINED     09     135,408           0           0

EXXON MOBIL CORP                  COM   30231G102   1,053,070  12,141,929  SH     DEFINED     01   8,386,641   3,315,208     440,080
EXXON MOBIL CORP                  COM   30231G102     284,675   3,282,315  SH     OTHER       01   1,966,758     785,338     530,219
EXXON MOBIL CORP                  COM   30231G102   3,152,378  36,347,036  SH     DEFINED  01,08   9,184,293  27,152,601      10,142
EXXON MOBIL CORP                  COM   30231G102   1,059,304  12,213,816  SH     DEFINED     09  12,213,816           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    117
  ________

FBL FINL GROUP INC                COM   30239F106       7,627     226,335  SH     DEFINED     01       3,265     223,070           0
FBL FINL GROUP INC                COM   30239F106      11,577     343,531  SH     DEFINED  01,08     232,242     111,289           0
FBL FINL GROUP INC                COM   30239F106       1,362      40,425  SH     DEFINED     09      40,425           0           0

FEI CO                            COM   30241L109       8,284     168,684  SH     DEFINED     01      19,728     148,956           0
FEI CO                            COM   30241L109         101       2,063  SH     OTHER       01       1,599         464           0
FEI CO                            COM   30241L109      23,940     487,468  SH     DEFINED  01,08     174,560     312,908           0
FEI CO                            COM   30241L109       5,527     112,539  SH     DEFINED     09     112,539           0           0

FLIR SYS INC                      COM   302445101       4,384     173,222  SH     DEFINED     01      90,991      81,861         370
FLIR SYS INC                      COM   302445101         427      16,879  SH     OTHER       01       1,502      15,377           0
FLIR SYS INC                      COM   302445101      28,799   1,137,839  SH     DEFINED  01,08     246,642     891,197           0
FLIR SYS INC                      COM   302445101       9,089     359,096  SH     DEFINED     09     359,096           0           0

FBR & CO                          COM   30247C301         125      48,587  SH     DEFINED     01       7,477      41,110           0
FBR & CO                          COM   30247C301       1,206     469,350  SH     DEFINED  01,08      67,805     401,545           0
FBR & CO                          COM   30247C301         325     126,439  SH     DEFINED     09     126,439           0           0

FMC TECHNOLOGIES INC              COM   30249U101      16,999     337,154  SH     DEFINED     01     187,402     148,152       1,600
FMC TECHNOLOGIES INC              COM   30249U101         426       8,441  SH     OTHER       01       6,483       1,788         170
FMC TECHNOLOGIES INC              COM   30249U101      89,547   1,776,014  SH     DEFINED  01,08     412,897   1,363,117           0
FMC TECHNOLOGIES INC              COM   30249U101      28,604     567,308  SH     DEFINED     09     567,308           0           0

F M C CORP                        COM   302491303       9,618      90,859  SH     DEFINED     01      54,788      35,857         214
F M C CORP                        COM   302491303         126       1,187  SH     OTHER       01         804         253         130
F M C CORP                        COM   302491303      54,385     513,749  SH     DEFINED  01,08     112,787     400,962           0
F M C CORP                        COM   302491303      17,600     166,262  SH     DEFINED     09     166,262           0           0

FNB CORP PA                       COM   302520101      10,217     845,752  SH     DEFINED     01      72,224     773,528           0
FNB CORP PA                       COM   302520101      24,427   2,022,101  SH     DEFINED  01,08     903,739   1,118,362           0
FNB CORP PA                       COM   302520101       4,763     394,286  SH     DEFINED     09     394,286           0           0

FSI INTL INC                      COM   302633102         200      40,810  SH     DEFINED     01       8,380      32,430           0
FSI INTL INC                      COM   302633102       1,789     365,838  SH     DEFINED  01,08      44,431     321,407           0
FSI INTL INC                      COM   302633102         436      89,217  SH     DEFINED     09      89,217           0           0

FXCM INC                          COM   302693106         182      13,978  SH     DEFINED     01       4,533       9,445           0
FXCM INC                          COM   302693106       1,994     153,530  SH     DEFINED  01,08      15,537     137,993           0
FXCM INC                          COM   302693106         907      69,802  SH     DEFINED     09      69,802           0           0

FX ENERGY INC                     COM   302695101         387      71,091  SH     DEFINED     01      25,395      45,696           0
FX ENERGY INC                     COM   302695101       2,811     516,801  SH     DEFINED  01,08      86,108     430,693           0
FX ENERGY INC                     COM   302695101         840     154,373  SH     DEFINED     09     154,373           0           0

FTI CONSULTING INC                COM   302941109       1,666      44,407  SH     DEFINED     01      12,325      31,982         100
FTI CONSULTING INC                COM   302941109         165       4,400  SH     OTHER       01           0       4,400           0
FTI CONSULTING INC                COM   302941109      18,769     500,239  SH     DEFINED  01,08      49,061     451,178           0
FTI CONSULTING INC                COM   302941109       4,659     124,187  SH     DEFINED     09     124,187           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    118
  ________

FACTSET RESH SYS INC              COM   303075105       2,568      25,929  SH     DEFINED     01      18,924       6,916          89
FACTSET RESH SYS INC              COM   303075105         150       1,513  SH     OTHER       01       1,281         197          35
FACTSET RESH SYS INC              COM   303075105      27,843     281,126  SH     DEFINED  01,08      19,173     261,953           0

FAIR ISAAC CORP                   COM   303250104       8,228     187,428  SH     DEFINED     01     120,787      65,533       1,108
FAIR ISAAC CORP                   COM   303250104         251       5,713  SH     OTHER       01       1,828       3,505         380
FAIR ISAAC CORP                   COM   303250104      21,090     480,401  SH     DEFINED  01,08      87,307     393,094           0
FAIR ISAAC CORP                   COM   303250104       5,406     123,152  SH     DEFINED     09     123,152           0           0

FAIRCHILD SEMICONDUCTOR INTL      COM   303726103       4,474     304,353  SH     DEFINED     01      58,586     245,767           0
FAIRCHILD SEMICONDUCTOR INTL      COM   303726103          10         710  SH     OTHER       01         560         150           0
FAIRCHILD SEMICONDUCTOR INTL      COM   303726103      15,483   1,053,245  SH     DEFINED  01,08     298,795     754,450           0

FAIRPOINT COMMUNICATIONS INC      COM   305560302          40      10,692  SH     DEFINED     01       1,899       8,793           0
FAIRPOINT COMMUNICATIONS INC      COM   305560302         764     203,165  SH     DEFINED  01,08      19,856     183,309           0
FAIRPOINT COMMUNICATIONS INC      COM   305560302         221      58,756  SH     DEFINED     09      58,756           0           0

FALCONSTOR SOFTWARE INC           COM   306137100         156      41,665  SH     DEFINED     01       8,009      33,656           0
FALCONSTOR SOFTWARE INC           COM   306137100       1,092     291,922  SH     DEFINED  01,08      45,654     246,268           0
FALCONSTOR SOFTWARE INC           COM   306137100         348      92,941  SH     DEFINED     09      92,941           0           0

FAMILY DLR STORES INC             COM   307000109      10,441     164,990  SH     DEFINED     01     101,914      61,102       1,974
FAMILY DLR STORES INC             COM   307000109         331       5,238  SH     OTHER       01       2,138       2,840         260
FAMILY DLR STORES INC             COM   307000109      55,243     872,987  SH     DEFINED  01,08     199,976     673,011           0
FAMILY DLR STORES INC             COM   307000109      17,637     278,707  SH     DEFINED     09     278,707           0           0

FAMOUS DAVES AMER INC             COM   307068106          93       7,980  SH     DEFINED     01           0       7,980           0
FAMOUS DAVES AMER INC             COM   307068106         189      16,275  SH     DEFINED  01,08       7,106       9,169           0

FARMER BROS CO                    COM   307675108         227      20,834  SH     DEFINED     01         764      20,070           0
FARMER BROS CO                    COM   307675108         840      77,168  SH     DEFINED  01,08      21,155      56,013           0
FARMER BROS CO                    COM   307675108         202      18,559  SH     DEFINED     09      18,559           0           0

FARMERS CAP BK CORP               COM   309562106          38       6,326  SH     DEFINED     01           0       6,326           0
FARMERS CAP BK CORP               COM   309562106          94      15,676  SH     DEFINED  01,08       5,980       9,696           0

FARO TECHNOLOGIES INC             COM   311642102       3,839      65,819  SH     DEFINED     01      42,923      21,266       1,630
FARO TECHNOLOGIES INC             COM   311642102         303       5,203  SH     OTHER       01       2,025       2,628         550
FARO TECHNOLOGIES INC             COM   311642102       9,232     158,274  SH     DEFINED  01,08      25,943     132,331           0
FARO TECHNOLOGIES INC             COM   311642102       2,906      49,828  SH     DEFINED     09      49,828           0           0

FASTENAL CO                       COM   311900104      27,571     509,631  SH     DEFINED     01     310,475     188,551      10,605
FASTENAL CO                       COM   311900104       2,070      38,265  SH     OTHER       01      24,752      10,063       3,450
FASTENAL CO                       COM   311900104     119,017   2,199,938  SH     DEFINED  01,08     519,977   1,679,961           0
FASTENAL CO                       COM   311900104      38,068     703,667  SH     DEFINED     09     703,667           0           0

FEDERAL AGRIC MTG CORP            COM   313148306         191       8,420  SH     DEFINED     01       2,191       6,229           0
FEDERAL AGRIC MTG CORP            COM   313148306       2,015      88,771  SH     DEFINED  01,08       9,969      78,802           0
FEDERAL AGRIC MTG CORP            COM   313148306         592      26,060  SH     DEFINED     09      26,060           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    119
  ________

FEDERAL MOGUL CORP                COM   313549404         117       6,817  SH     DEFINED     01       3,375       3,442           0
FEDERAL MOGUL CORP                COM   313549404       1,479      85,926  SH     DEFINED  01,08      10,605      75,321           0

FEDERAL REALTY INVT TR            COM   313747206       2,235      23,096  SH     DEFINED     01      15,651       7,121         324
FEDERAL REALTY INVT TR            COM   313747206      47,115     486,775  SH     DEFINED  01,08     118,252     368,523           0
FEDERAL REALTY INVT TR            COM   313747206      11,071     114,381  SH     DEFINED     09     114,381           0           0

FEDERAL SIGNAL CORP               COM   313855108       1,983     356,602  SH     DEFINED     01      32,532     324,070           0
FEDERAL SIGNAL CORP               COM   313855108       5,118     920,423  SH     DEFINED  01,08     402,448     517,975           0
FEDERAL SIGNAL CORP               COM   313855108         991     178,266  SH     DEFINED     09     178,266           0           0

FEDERATED INVS INC PA             COM   314211103      13,228     590,285  SH     DEFINED     01     525,465      61,131       3,689
FEDERATED INVS INC PA             COM   314211103         663      29,595  SH     OTHER       01      29,505          40          50
FEDERATED INVS INC PA             COM   314211103      15,177     677,241  SH     DEFINED  01,08     162,434     514,807           0
FEDERATED INVS INC PA             COM   314211103       1,798      80,225  SH     DEFINED     09      80,225           0           0

FEDEX CORP                        COM   31428X106      49,912     542,753  SH     DEFINED     01     355,112     175,068      12,573
FEDEX CORP                        COM   31428X106       6,832      74,297  SH     OTHER       01      45,360      23,096       5,841
FEDEX CORP                        COM   31428X106     212,307   2,308,690  SH     DEFINED  01,08     541,887   1,766,803           0
FEDEX CORP                        COM   31428X106      85,584     930,666  SH     DEFINED     09     930,666           0           0

FELCOR LODGING TR INC             COM   31430F101         507     140,784  SH     DEFINED     01      32,293     108,491           0
FELCOR LODGING TR INC             COM   31430F101       4,986   1,385,049  SH     DEFINED  01,08     357,194   1,027,855           0
FELCOR LODGING TR INC             COM   31430F101       1,547     429,586  SH     DEFINED     09     429,586           0           0

FEMALE HEALTH CO                  COM   314462102          72      13,232  SH     DEFINED     01       3,730       9,502           0
FEMALE HEALTH CO                  COM   314462102         921     169,939  SH     DEFINED  01,08      28,331     141,608           0
FEMALE HEALTH CO                  COM   314462102         324      59,858  SH     DEFINED     09      59,858           0           0

FERRELLGAS PARTNERS L.P.          COM   315293100          66       4,400  SH     OTHER       01           0       3,400       1,000
FERRELLGAS PARTNERS L.P.          COM   315293100         369      24,491  SH     DEFINED  01,08      24,491           0           0

FERRO CORP                        COM   315405100         702     118,224  SH     DEFINED     01      24,209      94,015           0
FERRO CORP                        COM   315405100       4,984     839,021  SH     DEFINED  01,08     135,046     703,975           0
FERRO CORP                        COM   315405100       1,418     238,790  SH     DEFINED     09     238,790           0           0

F5 NETWORKS INC                   COM   315616102      29,374     217,651  SH     DEFINED     01     127,518      88,283       1,850
F5 NETWORKS INC                   COM   315616102       1,111       8,232  SH     OTHER       01       5,476       2,711          45
F5 NETWORKS INC                   COM   315616102      84,196     623,861  SH     DEFINED  01,08     169,518     454,343           0
F5 NETWORKS INC                   COM   315616102      25,360     187,907  SH     DEFINED     09     187,907           0           0

FIDELITY NATL INFORMATION SV      COM   31620M106      10,635     321,093  SH     DEFINED     01     196,434     123,875         784
FIDELITY NATL INFORMATION SV      COM   31620M106         417      12,602  SH     OTHER       01       4,616       7,896          90
FIDELITY NATL INFORMATION SV      COM   31620M106      59,861   1,807,398  SH     DEFINED  01,08     443,099   1,364,299           0
FIDELITY NATL INFORMATION SV      COM   31620M106      19,763     596,713  SH     DEFINED     09     596,713           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    120
  ________

FIDELITY NATIONAL FINANCIAL       COM   31620R105       2,136     118,460  SH     DEFINED     01      90,918      27,542           0
FIDELITY NATIONAL FINANCIAL       COM   31620R105         128       7,120  SH     OTHER       01         290       6,830           0
FIDELITY NATIONAL FINANCIAL       COM   31620R105      24,636   1,366,380  SH     DEFINED  01,08      75,730   1,290,650           0
FIDELITY NATIONAL FINANCIAL       COM   31620R105       5,435     301,423  SH     DEFINED     09     301,423           0           0

FIDELITY SOUTHERN CORP NEW        COM   316394105          48       7,193  SH     DEFINED     01           0       7,193           0
FIDELITY SOUTHERN CORP NEW        COM   316394105         118      17,497  SH     DEFINED  01,08       7,729       9,768           0

FIDUS INVT CORP                   COM   316500107          54       3,870  SH     DEFINED     01       1,211       2,659           0
FIDUS INVT CORP                   COM   316500107         101       7,198  SH     DEFINED  01,08       4,538       2,660           0
FIDUS INVT CORP                   COM   316500107         354      25,286  SH     DEFINED     09      25,286           0           0

FIELDPOINT PETROLEUM CORP         COM   316570100           5       1,020  SH     DEFINED     01           0       1,020           0
FIELDPOINT PETROLEUM CORP         COM   316570100         104      22,973  SH     DEFINED  01,08       1,020      21,953           0

FIFTH THIRD BANCORP               COM   316773100      17,805   1,267,705  SH     DEFINED     01     773,913     486,767       7,025
FIFTH THIRD BANCORP               COM   316773100       1,058      75,318  SH     OTHER       01      35,570      38,968         780
FIFTH THIRD BANCORP               COM   316773100      95,677   6,812,152  SH     DEFINED  01,08   1,648,036   5,164,116           0
FIFTH THIRD BANCORP               COM   316773100      31,396   2,235,391  SH     DEFINED     09   2,235,391           0           0

FIFTH STREET FINANCE CORP         COM   31678A103         638      65,386  SH     DEFINED     01      27,839      37,547           0
FIFTH STREET FINANCE CORP         COM   31678A103       6,135     628,565  SH     DEFINED  01,08      86,049     542,516           0
FIFTH STREET FINANCE CORP         COM   31678A103       2,460     252,099  SH     DEFINED     09     252,099           0           0

FINANCIAL ENGINES INC             COM   317485100       2,767     123,768  SH     DEFINED     01      82,279      38,759       2,730
FINANCIAL ENGINES INC             COM   317485100         202       9,029  SH     OTHER       01       4,135       4,694         200
FINANCIAL ENGINES INC             COM   317485100       7,940     355,117  SH     DEFINED  01,08      41,830     313,287           0
FINANCIAL ENGINES INC             COM   317485100       2,427     108,530  SH     DEFINED     09     108,530           0           0

FINANCIAL INSTNS INC              COM   317585404         455      28,162  SH     DEFINED     01       2,482      25,680           0
FINANCIAL INSTNS INC              COM   317585404       2,232     138,045  SH     DEFINED  01,08      31,587     106,458           0
FINANCIAL INSTNS INC              COM   317585404         664      41,054  SH     DEFINED     09      41,054           0           0

FINISAR CORP                      COM   31787A507       2,752     136,581  SH     DEFINED     01      17,724     118,857           0
FINISAR CORP                      COM   31787A507      17,618     874,342  SH     DEFINED  01,08     153,670     720,672           0
FINISAR CORP                      COM   31787A507       5,259     260,990  SH     DEFINED     09     260,990           0           0

FINISH LINE INC                   COM   317923100       2,537     119,544  SH     DEFINED     01      66,003      51,876       1,665
FINISH LINE INC                   COM   317923100          26       1,225  SH     OTHER       01       1,225           0           0
FINISH LINE INC                   COM   317923100      10,814     509,630  SH     DEFINED  01,08      93,569     416,061           0
FINISH LINE INC                   COM   317923100       3,371     158,838  SH     DEFINED     09     158,838           0           0

FIRST ACCEPTANCE CORP             COM   318457108          29      20,555  SH     DEFINED     01           0      20,555           0
FIRST ACCEPTANCE CORP             COM   318457108          57      40,690  SH     DEFINED  01,08      19,768      20,922           0

FIRST AMERN FINL CORP             COM   31847R102       2,895     174,095  SH     DEFINED     01      79,718      94,377           0
FIRST AMERN FINL CORP             COM   31847R102         545      32,761  SH     OTHER       01       2,581      30,180           0
FIRST AMERN FINL CORP             COM   31847R102      21,235   1,276,935  SH     DEFINED  01,08     126,731   1,150,204           0
FIRST AMERN FINL CORP             COM   31847R102       4,975     299,188  SH     DEFINED     09     299,188           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    121
  ________

FIRST BANCORP INC ME              COM   31866P102         206      13,899  SH     DEFINED     01       2,089      11,810           0
FIRST BANCORP INC ME              COM   31866P102       1,231      82,990  SH     DEFINED  01,08      17,125      65,865           0
FIRST BANCORP INC ME              COM   31866P102         173      11,698  SH     DEFINED     09      11,698           0           0

FIRST BANCORP P R                 COM   318672706          27       6,191  SH     DEFINED     01       3,978       2,213           0
FIRST BANCORP P R                 COM   318672706         334      75,816  SH     DEFINED  01,08       8,379      67,437           0

FIRST BANCORP N C                 COM   318910106       1,580     144,524  SH     DEFINED     01       4,232     140,292           0
FIRST BANCORP N C                 COM   318910106       3,001     274,522  SH     DEFINED  01,08     150,249     124,273           0
FIRST BANCORP N C                 COM   318910106         522      47,747  SH     DEFINED     09      47,747           0           0

FIRST BUSEY CORP                  COM   319383105         447      90,705  SH     DEFINED     01      23,065      67,640           0
FIRST BUSEY CORP                  COM   319383105       3,642     738,775  SH     DEFINED  01,08     106,129     632,646           0
FIRST BUSEY CORP                  COM   319383105       1,050     213,058  SH     DEFINED     09     213,058           0           0

FIRST CALIFORNIA FINANCIAL G      COM   319395109           8       1,374  SH     DEFINED     01           0       1,374           0
FIRST CALIFORNIA FINANCIAL G      COM   319395109         244      41,821  SH     DEFINED  01,08       1,731      40,090           0

FIRST CASH FINL SVCS INC          COM   31942D107       1,977      46,091  SH     DEFINED     01      15,064      31,027           0
FIRST CASH FINL SVCS INC          COM   31942D107           4          91  SH     OTHER       01           0           0          91
FIRST CASH FINL SVCS INC          COM   31942D107      12,736     296,956  SH     DEFINED  01,08      47,722     249,234           0
FIRST CASH FINL SVCS INC          COM   31942D107       3,619      84,375  SH     DEFINED     09      84,375           0           0

FIRST CTZNS BANCSHARES INC N      COM   31946M103         938       5,135  SH     DEFINED     01       1,202       3,933           0
FIRST CTZNS BANCSHARES INC N      COM   31946M103           1           5  SH     OTHER       01           0           0           5
FIRST CTZNS BANCSHARES INC N      COM   31946M103       4,398      24,076  SH     DEFINED  01,08       6,205      17,871           0

FIRST COMWLTH FINL CORP PA        COM   319829107       4,077     666,216  SH     DEFINED     01      58,808     607,408           0
FIRST COMWLTH FINL CORP PA        COM   319829107       9,624   1,572,612  SH     DEFINED  01,08     706,596     866,016           0
FIRST COMWLTH FINL CORP PA        COM   319829107       1,837     300,100  SH     DEFINED     09     300,100           0           0

FIRST CMNTY BANCSHARES INC N      COM   31983A103       1,932     144,595  SH     DEFINED     01       4,829     139,766           0
FIRST CMNTY BANCSHARES INC N      COM   31983A103       3,737     279,718  SH     DEFINED  01,08     151,518     128,200           0
FIRST CMNTY BANCSHARES INC N      COM   31983A103         579      43,309  SH     DEFINED     09      43,309           0           0

FIRST CONN BANCORP INC MD         COM   319850103         172      13,042  SH     DEFINED     01       4,423       8,619           0
FIRST CONN BANCORP INC MD         COM   319850103       2,117     160,518  SH     DEFINED  01,08      15,378     145,140           0
FIRST CONN BANCORP INC MD         COM   319850103         814      61,748  SH     DEFINED     09      61,748           0           0

FIRST DEFIANCE FINL CORP          COM   32006W106         426      25,249  SH     DEFINED     01       2,055      23,194           0
FIRST DEFIANCE FINL CORP          COM   32006W106       1,716     101,775  SH     DEFINED  01,08      25,925      75,850           0
FIRST DEFIANCE FINL CORP          COM   32006W106         398      23,613  SH     DEFINED     09      23,613           0           0

FIRST FED BANCSHARES ARK          COM   32020F303          34       5,026  SH     DEFINED     01         200       4,826           0
FIRST FED BANCSHARES ARK          COM   32020F303          59       8,688  SH     DEFINED  01,08       4,443       4,245           0

FIRST FINL BANKSHARES             COM   32020R109       1,690      47,985  SH     DEFINED     01      15,598      32,387           0
FIRST FINL BANKSHARES             COM   32020R109      11,111     315,560  SH     DEFINED  01,08      52,574     262,986           0
FIRST FINL BANKSHARES             COM   32020R109       3,177      90,219  SH     DEFINED     09      90,219           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    122
  ________

FIRST FINL BANCORP OH             COM   320209109       5,975     345,368  SH     DEFINED     01      39,492     305,876           0
FIRST FINL BANCORP OH             COM   320209109      14,489     837,506  SH     DEFINED  01,08     360,268     477,238           0
FIRST FINL BANCORP OH             COM   320209109       3,001     173,478  SH     DEFINED     09     173,478           0           0

FIRST FINL CORP IND               COM   320218100       3,460     108,990  SH     DEFINED     01       7,211     101,779           0
FIRST FINL CORP IND               COM   320218100       6,342     199,751  SH     DEFINED  01,08     107,797      91,954           0
FIRST FINL CORP IND               COM   320218100       1,169      36,810  SH     DEFINED     09      36,810           0           0

FIRST FINANCIAL NORTHWEST IN      COM   32022K102          11       1,438  SH     DEFINED     01           0       1,438           0
FIRST FINANCIAL NORTHWEST IN      COM   32022K102         153      19,879  SH     DEFINED  01,08       2,282      17,597           0

FIRST FINL HLDGS INC              COM   320239106         701      63,772  SH     DEFINED     01       4,087      59,685           0
FIRST FINL HLDGS INC              COM   320239106       2,226     202,402  SH     DEFINED  01,08      69,760     132,642           0
FIRST FINL HLDGS INC              COM   320239106         487      44,285  SH     DEFINED     09      44,285           0           0

FIRST HORIZON NATL CORP           COM   320517105       3,220     310,171  SH     DEFINED     01     172,335     136,700       1,136
FIRST HORIZON NATL CORP           COM   320517105          43       4,131  SH     OTHER       01       3,886         171          74
FIRST HORIZON NATL CORP           COM   320517105      19,681   1,896,076  SH     DEFINED  01,08     432,526   1,463,550           0
FIRST HORIZON NATL CORP           COM   320517105       2,611     251,583  SH     DEFINED     09     251,583           0           0

FIRST INDUSTRIAL REALTY TRUS      COM   32054K103       3,339     270,349  SH     DEFINED     01      41,477     228,872           0
FIRST INDUSTRIAL REALTY TRUS      COM   32054K103      13,728   1,111,619  SH     DEFINED  01,08     418,010     693,609           0
FIRST INDUSTRIAL REALTY TRUS      COM   32054K103       3,865     312,993  SH     DEFINED     09     312,993           0           0

FIRST INTST BANCSYSTEM INC        COM   32055Y201         243      16,619  SH     DEFINED     01       4,489      12,130           0
FIRST INTST BANCSYSTEM INC        COM   32055Y201       2,036     139,234  SH     DEFINED  01,08      16,280     122,954           0
FIRST INTST BANCSYSTEM INC        COM   32055Y201         559      38,254  SH     DEFINED     09      38,254           0           0

FIRST LONG IS CORP                COM   320734106         419      15,803  SH     DEFINED     01       1,775      14,028           0
FIRST LONG IS CORP                COM   320734106       1,854      69,977  SH     DEFINED  01,08      16,858      53,119           0
FIRST LONG IS CORP                COM   320734106         514      19,397  SH     DEFINED     09      19,397           0           0

FIRST M & F CORP                  COM   320744105          12       2,502  SH     DEFINED     01           0       2,502           0
FIRST M & F CORP                  COM   320744105          55      11,399  SH     DEFINED  01,08       2,636       8,763           0

FIRST MARBLEHEAD CORP             COM   320771108          52      42,348  SH     DEFINED     01       5,774      36,574           0
FIRST MARBLEHEAD CORP             COM   320771108         628     514,611  SH     DEFINED  01,08      64,191     450,420           0
FIRST MARBLEHEAD CORP             COM   320771108         209     171,052  SH     DEFINED     09     171,052           0           0

FIRST MERCHANTS CORP              COM   320817109       1,727     139,955  SH     DEFINED     01       8,173     131,782           0
FIRST MERCHANTS CORP              COM   320817109       4,469     362,160  SH     DEFINED  01,08     149,056     213,104           0
FIRST MERCHANTS CORP              COM   320817109       1,015      82,229  SH     DEFINED     09      82,229           0           0

FIRST MIDWEST BANCORP DEL         COM   320867104       6,482     541,048  SH     DEFINED     01     135,057     405,991           0
FIRST MIDWEST BANCORP DEL         COM   320867104      13,105   1,093,915  SH     DEFINED  01,08     479,185     614,730           0
FIRST MIDWEST BANCORP DEL         COM   320867104       2,526     210,844  SH     DEFINED     09     210,844           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    123
  ________

FIRST NIAGARA FINL GP INC         COM   33582V108       7,012     712,614  SH     DEFINED     01     148,347     562,832       1,435
FIRST NIAGARA FINL GP INC         COM   33582V108          66       6,678  SH     OTHER       01       4,233       2,260         185
FIRST NIAGARA FINL GP INC         COM   33582V108      25,893   2,631,447  SH     DEFINED  01,08     650,179   1,981,268           0

FIRST PACTRUST BANCORP INC        COM   33589V101          96       8,078  SH     DEFINED     01       2,211       5,867           0
FIRST PACTRUST BANCORP INC        COM   33589V101         962      80,717  SH     DEFINED  01,08       9,438      71,279           0
FIRST PACTRUST BANCORP INC        COM   33589V101         285      23,912  SH     DEFINED     09      23,912           0           0

FIRST POTOMAC RLTY TR             COM   33610F109       3,762     311,145  SH     DEFINED     01      29,495     280,995         655
FIRST POTOMAC RLTY TR             COM   33610F109         174      14,370  SH     OTHER       01         470      13,900           0
FIRST POTOMAC RLTY TR             COM   33610F109       9,528     788,057  SH     DEFINED  01,08     381,597     406,460           0
FIRST POTOMAC RLTY TR             COM   33610F109       1,997     165,219  SH     DEFINED     09     165,219           0           0

FIRST REP BK SAN FRANCISCO C      COM   33616C100         471      14,284  SH     DEFINED     01       6,641       7,643           0
FIRST REP BK SAN FRANCISCO C      COM   33616C100         697      21,160  SH     OTHER       01       2,990      18,170           0
FIRST REP BK SAN FRANCISCO C      COM   33616C100       7,692     233,501  SH     DEFINED  01,08      15,365     218,136           0

FIRST SOLAR INC                   COM   336433107       1,621      64,713  SH     DEFINED     01      28,517      35,587         609
FIRST SOLAR INC                   COM   336433107          82       3,286  SH     OTHER       01       2,534         737          15
FIRST SOLAR INC                   COM   336433107      10,934     436,474  SH     DEFINED  01,08     104,420     332,054           0
FIRST SOLAR INC                   COM   336433107       3,343     133,473  SH     DEFINED     09     133,473           0           0

FIRST SOUTH BANCORP INC VA        COM   33646W100          11       2,809  SH     DEFINED     01           0       2,809           0
FIRST SOUTH BANCORP INC VA        COM   33646W100          69      17,239  SH     DEFINED  01,08       3,560      13,679           0

1ST SOURCE CORP                   COM   336901103         695      28,410  SH     DEFINED     01       4,452      23,958           0
1ST SOURCE CORP                   COM   336901103       3,929     160,548  SH     DEFINED  01,08      33,665     126,883           0
1ST SOURCE CORP                   COM   336901103       1,296      52,958  SH     DEFINED     09      52,958           0           0

1ST UNITED BANCORP INC FLA        COM   33740N105         110      18,215  SH     DEFINED     01       6,034      12,181           0
1ST UNITED BANCORP INC FLA        COM   33740N105       1,488     245,905  SH     DEFINED  01,08      25,190     220,715           0
1ST UNITED BANCORP INC FLA        COM   33740N105         464      76,745  SH     DEFINED     09      76,745           0           0

FIRST UTD CORP                    COM   33741H107         291      48,426  SH     DEFINED     01      45,000       3,426           0
FIRST UTD CORP                    COM   33741H107          72      11,917  SH     DEFINED  01,08       3,835       8,082           0

FIRSTCITY FINL CORP               COM   33761X107          79       9,001  SH     DEFINED     01           0       9,001           0
FIRSTCITY FINL CORP               COM   33761X107         150      17,143  SH     DEFINED  01,08       8,793       8,350           0

FISERV INC                        COM   337738108      19,738     284,449  SH     DEFINED     01     147,605     134,090       2,754
FISERV INC                        COM   337738108       5,215      75,161  SH     OTHER       01      47,848       8,940      18,373
FISERV INC                        COM   337738108      73,208   1,055,026  SH     DEFINED  01,08     255,523     799,503           0
FISERV INC                        COM   337738108      24,297     350,154  SH     DEFINED     09     350,154           0           0

FISHER COMMUNICATIONS INC         COM   337756209         440      14,334  SH     DEFINED     01       2,745      11,589           0
FISHER COMMUNICATIONS INC         COM   337756209       2,502      81,430  SH     DEFINED  01,08      16,603      64,827           0
FISHER COMMUNICATIONS INC         COM   337756209         918      29,879  SH     DEFINED     09      29,879           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    124
  ________

FIRSTMERIT CORP                   COM   337915102       8,682     514,931  SH     DEFINED     01      73,348     440,883         700
FIRSTMERIT CORP                   COM   337915102         109       6,471  SH     OTHER       01       3,806       2,665           0
FIRSTMERIT CORP                   COM   337915102      28,382   1,683,422  SH     DEFINED  01,08     484,340   1,199,082           0
FIRSTMERIT CORP                   COM   337915102       5,489     325,543  SH     DEFINED     09     325,543           0           0

FLAGSTAR BANCORP INC              COM   337930507         169     184,092  SH     DEFINED     01      50,398     133,694           0
FLAGSTAR BANCORP INC              COM   337930507       1,599   1,737,890  SH     DEFINED  01,08     188,180   1,549,710           0
FLAGSTAR BANCORP INC              COM   337930507         442     480,884  SH     DEFINED     09     480,884           0           0

FIRSTENERGY CORP                  COM   337932107      19,527     428,326  SH     DEFINED     01     209,195     217,161       1,970
FIRSTENERGY CORP                  COM   337932107         536      11,758  SH     OTHER       01      10,202         980         576
FIRSTENERGY CORP                  COM   337932107     140,289   3,077,182  SH     DEFINED  01,08     722,943   2,354,239           0
FIRSTENERGY CORP                  COM   337932107      46,318   1,015,967  SH     DEFINED     09   1,015,967           0           0

FIVE STAR QUALITY CARE INC        COM   33832D106       1,144     335,597  SH     DEFINED     01      19,060     316,537           0
FIVE STAR QUALITY CARE INC        COM   33832D106       2,452     719,136  SH     DEFINED  01,08     368,127     351,009           0
FIVE STAR QUALITY CARE INC        COM   33832D106         524     153,690  SH     DEFINED     09     153,690           0           0

FLEETCOR TECHNOLOGIES INC         COM   339041105         119       3,072  SH     DEFINED     01         809       2,263           0
FLEETCOR TECHNOLOGIES INC         COM   339041105         128       3,300  SH     OTHER       01           0       3,300           0
FLEETCOR TECHNOLOGIES INC         COM   339041105       2,974      76,717  SH     DEFINED  01,08       4,888      71,829           0

FLEXSTEEL INDS INC                COM   339382103          91       5,032  SH     DEFINED     01         300       4,732           0
FLEXSTEEL INDS INC                COM   339382103         197      10,903  SH     DEFINED  01,08       4,425       6,478           0

FLEXSHARES TR                     COM   33939L100      56,007     953,467  SH     DEFINED     01     936,032      12,570       4,865
FLEXSHARES TR                     COM   33939L100       4,128      70,275  SH     OTHER       01      57,725      12,550           0

FLEXSHARES TR                     COM   33939L407     216,947   6,104,300  SH     DEFINED     01   5,940,786      96,496      67,018
FLEXSHARES TR                     COM   33939L407      27,534     774,735  SH     OTHER       01     637,199     119,738      17,798

FLEXSHARES TR                     COM   33939L506       1,734   6,830,867  SH     DEFINED     01   6,704,485      78,957      47,425
FLEXSHARES TR                     COM   33939L506         105     414,669  SH     OTHER       01     321,729      79,690      13,250

FLEXSHARES TR                     COM   33939L605       1,729   6,750,232  SH     DEFINED     01   6,575,910      80,808      93,514
FLEXSHARES TR                     COM   33939L605         115     449,634  SH     OTHER       01     366,882      69,989      12,763

FLOTEK INDS INC DEL               COM   343389102         605      50,325  SH     DEFINED     01      17,490      32,835           0
FLOTEK INDS INC DEL               COM   343389102          12       1,000  SH     OTHER       01           0       1,000           0
FLOTEK INDS INC DEL               COM   343389102       5,590     465,043  SH     DEFINED  01,08      58,847     406,196           0
FLOTEK INDS INC DEL               COM   343389102       1,811     150,692  SH     DEFINED     09     150,692           0           0

FLUOR CORP NEW                    COM   343412102      11,635     193,789  SH     DEFINED     01     102,759      90,140         890
FLUOR CORP NEW                    COM   343412102         271       4,507  SH     OTHER       01       3,928         504          75
FLUOR CORP NEW                    COM   343412102      75,613   1,259,370  SH     DEFINED  01,08     285,965     973,405           0
FLUOR CORP NEW                    COM   343412102      25,681     427,734  SH     DEFINED     09     427,734           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    125
  ________

FLOW INTL CORP                    COM   343468104         221      54,987  SH     DEFINED     01      14,372      40,615           0
FLOW INTL CORP                    COM   343468104       1,818     452,323  SH     DEFINED  01,08      71,078     381,245           0
FLOW INTL CORP                    COM   343468104         559     139,038  SH     DEFINED     09     139,038           0           0

FLOWERS FOODS INC                 COM   343498101       2,341     114,933  SH     DEFINED     01      74,042      39,587       1,304
FLOWERS FOODS INC                 COM   343498101         267      13,130  SH     OTHER       01      11,503       1,627           0
FLOWERS FOODS INC                 COM   343498101      14,985     735,617  SH     DEFINED  01,08      36,903     698,714           0

FLOWSERVE CORP                    COM   34354P105       7,600      65,791  SH     DEFINED     01      39,103      26,436         252
FLOWSERVE CORP                    COM   34354P105         173       1,495  SH     OTHER       01       1,179         286          30
FLOWSERVE CORP                    COM   34354P105      47,405     410,400  SH     DEFINED  01,08      99,175     311,225           0
FLOWSERVE CORP                    COM   34354P105      18,141     157,050  SH     DEFINED     09     157,050           0           0

FLUIDIGM CORP DEL                 COM   34385P108          67       4,291  SH     DEFINED     01       1,588       2,703           0
FLUIDIGM CORP DEL                 COM   34385P108       1,192      75,748  SH     DEFINED  01,08       6,079      69,669           0
FLUIDIGM CORP DEL                 COM   34385P108         281      17,858  SH     DEFINED     09      17,858           0           0

FLUSHING FINL CORP                COM   343873105       4,762     353,794  SH     DEFINED     01       9,533     344,261           0
FLUSHING FINL CORP                COM   343873105       8,461     628,625  SH     DEFINED  01,08     363,398     265,227           0
FLUSHING FINL CORP                COM   343873105       1,112      82,585  SH     DEFINED     09      82,585           0           0

FOMENTO ECONOMICO MEXICANO S      COM   344419106       5,839      70,974  SH     DEFINED     01      65,951       4,068         955
FOMENTO ECONOMICO MEXICANO S      COM   344419106         607       7,376  SH     OTHER       01       2,037       5,339           0
FOMENTO ECONOMICO MEXICANO S      COM   344419106         672       8,173  SH     DEFINED  01,08       8,173           0           0

FONAR CORP                        COM   344437405           6       2,283  SH     DEFINED     01           0       2,283           0
FONAR CORP                        COM   344437405          43      15,905  SH     DEFINED  01,08       2,252      13,653           0

FOOT LOCKER INC                   COM   344849104       5,627     181,232  SH     DEFINED     01     159,970      17,007       4,255
FOOT LOCKER INC                   COM   344849104         889      28,630  SH     OTHER       01      10,185      17,880         565
FOOT LOCKER INC                   COM   344849104      30,827     992,833  SH     DEFINED  01,08     106,720     886,113           0
FOOT LOCKER INC                   COM   344849104         191       6,147  SH     DEFINED     09       6,147           0           0

FORD MTR CO DEL                   COM   345370860      58,167   4,662,717  SH     DEFINED     01   2,571,497   2,065,705      25,515
FORD MTR CO DEL                   COM   345370860       1,539     123,354  SH     OTHER       01      83,856      32,367       7,131
FORD MTR CO DEL                   COM   345370860     349,862  28,045,061  SH     DEFINED  01,08   6,640,498  21,404,563           0
FORD MTR CO DEL                   COM   345370860     114,300   9,162,351  SH     DEFINED     09   9,162,351           0           0

FOREST CITY ENTERPRISES INC       COM   345550107       3,284     209,715  SH     DEFINED     01     188,037      20,321       1,357
FOREST CITY ENTERPRISES INC       COM   345550107          94       6,000  SH     OTHER       01       2,330       3,045         625
FOREST CITY ENTERPRISES INC       COM   345550107      10,518     671,671  SH     DEFINED  01,08     252,509     419,162           0
FOREST CITY ENTERPRISES INC       COM   345550107       1,039      66,378  SH     DEFINED     09      66,378           0           0

FOREST LABS INC                   COM   345838106      11,099     319,961  SH     DEFINED     01     179,795     135,892       4,274
FOREST LABS INC                   COM   345838106         551      15,885  SH     OTHER       01      12,071       3,654         160
FOREST LABS INC                   COM   345838106      67,253   1,938,698  SH     DEFINED  01,08     454,376   1,484,322           0
FOREST LABS INC                   COM   345838106      23,499     677,399  SH     DEFINED     09     677,399           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    126
  ________

FOREST OIL CORP                   COM   346091705         572      47,173  SH     DEFINED     01      36,707      10,260         206
FOREST OIL CORP                   COM   346091705         224      18,510  SH     OTHER       01         510           0      18,000
FOREST OIL CORP                   COM   346091705       8,421     694,819  SH     DEFINED  01,08      36,681     658,138           0

FORESTAR GROUP INC                COM   346233109       1,461      94,941  SH     DEFINED     01      43,321      50,655         965
FORESTAR GROUP INC                COM   346233109          60       3,909  SH     OTHER       01       2,989         920           0
FORESTAR GROUP INC                COM   346233109       5,573     362,108  SH     DEFINED  01,08      72,633     289,475           0
FORESTAR GROUP INC                COM   346233109       1,674     108,769  SH     DEFINED     09     108,769           0           0

FORMFACTOR INC                    COM   346375108         360      64,434  SH     DEFINED     01      13,847      50,587           0
FORMFACTOR INC                    COM   346375108       2,783     498,751  SH     DEFINED  01,08      80,173     418,578           0
FORMFACTOR INC                    COM   346375108         767     137,418  SH     DEFINED     09     137,418           0           0

FORRESTER RESH INC                COM   346563109       1,814      55,980  SH     DEFINED     01      30,969      23,990       1,021
FORRESTER RESH INC                COM   346563109         140       4,319  SH     OTHER       01       2,181       1,793         345
FORRESTER RESH INC                COM   346563109       5,092     157,149  SH     DEFINED  01,08      32,464     124,685           0
FORRESTER RESH INC                COM   346563109       1,539      47,491  SH     DEFINED     09      47,491           0           0

FORTEGRA FINL CORP                COM   34954W104          17       2,085  SH     DEFINED     01         513       1,572           0
FORTEGRA FINL CORP                COM   34954W104         406      48,542  SH     DEFINED  01,08       4,703      43,839           0

FORTINET INC                      COM   34959E109       3,847     139,124  SH     DEFINED     01      67,792      70,806         526
FORTINET INC                      COM   34959E109         171       6,176  SH     OTHER       01       5,455         618         103
FORTINET INC                      COM   34959E109      12,692     459,038  SH     DEFINED  01,08      90,269     368,769           0

FORTUNE BRANDS HOME & SEC IN      COM   34964C106       2,440     110,578  SH     DEFINED     01      85,339      23,407       1,832
FORTUNE BRANDS HOME & SEC IN      COM   34964C106         406      18,410  SH     OTHER       01       9,721       6,414       2,275
FORTUNE BRANDS HOME & SEC IN      COM   34964C106      21,609     979,129  SH     DEFINED  01,08      78,781     900,348           0
FORTUNE BRANDS HOME & SEC IN      COM   34964C106         100       4,526  SH     DEFINED     09       4,526           0           0

FORWARD AIR CORP                  COM   349853101       6,948     189,469  SH     DEFINED     01     145,531      41,199       2,739
FORWARD AIR CORP                  COM   349853101         330       8,999  SH     OTHER       01       3,765       4,314         920
FORWARD AIR CORP                  COM   349853101      10,658     290,653  SH     DEFINED  01,08      51,306     239,347           0
FORWARD AIR CORP                  COM   349853101       3,224      87,909  SH     DEFINED     09      87,909           0           0

FORWARD INDS INC N Y              COM   349862300          11       4,800  SH     DEFINED     01           0       4,800           0
FORWARD INDS INC N Y              COM   349862300          30      12,735  SH     DEFINED  01,08         747      11,988           0

FOSSIL INC                        COM   349882100       5,074      38,444  SH     DEFINED     01      30,782       7,662           0
FOSSIL INC                        COM   349882100         222       1,679  SH     OTHER       01       1,637          10          32
FOSSIL INC                        COM   349882100      43,401     328,842  SH     DEFINED  01,08      21,876     306,966           0
FOSSIL INC                        COM   349882100      16,709     126,602  SH     DEFINED     09     126,602           0           0

FOSTER L B CO                     COM   350060109       1,038      36,422  SH     DEFINED     01      14,001      22,146         275
FOSTER L B CO                     COM   350060109          32       1,107  SH     OTHER       01         727         380           0
FOSTER L B CO                     COM   350060109       2,743      96,196  SH     DEFINED  01,08      20,853      75,343           0
FOSTER L B CO                     COM   350060109         884      31,002  SH     DEFINED     09      31,002           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    127
  ________

FOX CHASE BANCORP INC NEW         COM   35137T108         207      15,905  SH     DEFINED     01       2,202      13,703           0
FOX CHASE BANCORP INC NEW         COM   35137T108       1,751     134,657  SH     DEFINED  01,08      18,537     116,120           0
FOX CHASE BANCORP INC NEW         COM   35137T108         451      34,714  SH     DEFINED     09      34,714           0           0

FRANCE TELECOM                    COM   35177Q105       3,378     227,497  SH     DEFINED     01     221,207       6,290           0
FRANCE TELECOM                    COM   35177Q105         233      15,717  SH     OTHER       01      11,622       4,095           0
FRANCE TELECOM                    COM   35177Q105       1,233      83,035  SH     DEFINED  01,08      83,035           0           0

FRANCESCAS HLDGS CORP             COM   351793104         182       5,743  SH     DEFINED     01         904       4,839           0
FRANCESCAS HLDGS CORP             COM   351793104       3,147      99,560  SH     DEFINED  01,08       9,601      89,959           0
FRANCESCAS HLDGS CORP             COM   351793104         906      28,663  SH     DEFINED     09      28,663           0           0

FRANKLIN COVEY CO                 COM   353469109         244      25,883  SH     DEFINED     01       2,538      23,345           0
FRANKLIN COVEY CO                 COM   353469109       1,295     137,571  SH     DEFINED  01,08      29,123     108,448           0
FRANKLIN COVEY CO                 COM   353469109         344      36,539  SH     DEFINED     09      36,539           0           0

FRANKLIN ELEC INC                 COM   353514102       2,462      50,168  SH     DEFINED     01      25,902      23,816         450
FRANKLIN ELEC INC                 COM   353514102         364       7,415  SH     OTHER       01         315       7,100           0
FRANKLIN ELEC INC                 COM   353514102      11,015     224,480  SH     DEFINED  01,08      39,848     184,632           0
FRANKLIN ELEC INC                 COM   353514102       3,288      67,008  SH     DEFINED     09      67,008           0           0

FRANKLIN FINL CORP VA             COM   35353C102         135      10,015  SH     DEFINED     01       3,234       6,781           0
FRANKLIN FINL CORP VA             COM   35353C102       1,688     125,658  SH     DEFINED  01,08      12,180     113,478           0
FRANKLIN FINL CORP VA             COM   35353C102         421      31,330  SH     DEFINED     09      31,330           0           0

FRANKLIN RES INC                  COM   354613101     153,751   1,239,627  SH     DEFINED     01   1,082,743     109,164      47,720
FRANKLIN RES INC                  COM   354613101      27,168     219,045  SH     OTHER       01     172,212      32,122      14,711
FRANKLIN RES INC                  COM   354613101     131,990   1,064,182  SH     DEFINED  01,08     246,140     818,042           0
FRANKLIN RES INC                  COM   354613101      44,924     362,201  SH     DEFINED     09     362,201           0           0

FRANKLIN STREET PPTYS CORP        COM   35471R106       3,267     308,207  SH     DEFINED     01      35,394     272,813           0
FRANKLIN STREET PPTYS CORP        COM   35471R106      12,264   1,157,021  SH     DEFINED  01,08     564,309     592,712           0
FRANKLIN STREET PPTYS CORP        COM   35471R106       2,696     254,316  SH     DEFINED     09     254,316           0           0

FREDERICKS HOLLYWOOD GROUP I      COM   35582T108           1       4,521  SH     DEFINED     01         100       4,421           0
FREDERICKS HOLLYWOOD GROUP I      COM   35582T108           4      14,763  SH     DEFINED  01,08       4,143      10,620           0

FREDS INC                         COM   356108100       5,145     352,146  SH     DEFINED     01      18,328     333,818           0
FREDS INC                         COM   356108100       9,874     675,847  SH     DEFINED  01,08     370,032     305,815           0
FREDS INC                         COM   356108100       1,760     120,435  SH     DEFINED     09     120,435           0           0

FREEPORT-MCMORAN COPPER & GO      COM   35671D857      74,400   1,955,826  SH     DEFINED     01   1,361,375     571,426      23,025
FREEPORT-MCMORAN COPPER & GO      COM   35671D857       6,781     178,267  SH     OTHER       01      93,770      65,829      18,668
FREEPORT-MCMORAN COPPER & GO      COM   35671D857     283,103   7,442,256  SH     DEFINED  01,08   2,048,761   5,386,310       7,185
FREEPORT-MCMORAN COPPER & GO      COM   35671D857      88,529   2,327,257  SH     DEFINED     09   2,327,257           0           0

FREIGHTCAR AMER INC               COM   357023100         312      13,893  SH     DEFINED     01       3,343      10,550           0
FREIGHTCAR AMER INC               COM   357023100       2,586     115,001  SH     DEFINED  01,08      18,904      96,097           0
FREIGHTCAR AMER INC               COM   357023100         843      37,487  SH     DEFINED     09      37,487           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    128
  ________

FREQUENCY ELECTRS INC             COM   358010106          51       6,130  SH     DEFINED     01           0       6,130           0
FREQUENCY ELECTRS INC             COM   358010106         121      14,686  SH     DEFINED  01,08       4,788       9,898           0

FRESENIUS MED CARE AG&CO KGA      COM   358029106      22,503     318,510  SH     DEFINED     01     298,697      15,177       4,636
FRESENIUS MED CARE AG&CO KGA      COM   358029106       1,610      22,784  SH     OTHER       01      18,772       3,012       1,000
FRESENIUS MED CARE AG&CO KGA      COM   358029106         610       8,635  SH     DEFINED  01,08       8,635           0           0

FRESH MKT INC                     COM   35804H106       3,201      66,757  SH     DEFINED     01      38,441      27,221       1,095
FRESH MKT INC                     COM   35804H106         266       5,555  SH     OTHER       01       2,490       2,945         120
FRESH MKT INC                     COM   35804H106      12,542     261,560  SH     DEFINED  01,08      31,265     230,295           0
FRESH MKT INC                     COM   35804H106       3,849      80,263  SH     DEFINED     09      80,263           0           0

FRIEDMAN INDS INC                 COM   358435105          75       6,879  SH     DEFINED     01           0       6,879           0
FRIEDMAN INDS INC                 COM   358435105         177      16,134  SH     DEFINED  01,08       6,146       9,988           0

FRIENDFINDER NETWORKS INC         COM   358453306           1       1,046  SH     DEFINED     01         590         456           0
FRIENDFINDER NETWORKS INC         COM   358453306          88      64,505  SH     DEFINED  01,08       4,420      60,085           0
FRIENDFINDER NETWORKS INC         COM   358453306         127      93,544  SH     DEFINED     09      93,544           0           0

FRISCHS RESTAURANTS INC           COM   358748101         337      12,494  SH     DEFINED     01           0      12,494           0
FRISCHS RESTAURANTS INC           COM   358748101         449      16,669  SH     DEFINED  01,08      11,946       4,723           0

FRONTIER COMMUNICATIONS CORP      COM   35906A108       4,684   1,123,227  SH     DEFINED     01     577,552     543,518       2,157
FRONTIER COMMUNICATIONS CORP      COM   35906A108         227      54,540  SH     OTHER       01      30,409      19,924       4,207
FRONTIER COMMUNICATIONS CORP      COM   35906A108      30,668   7,354,339  SH     DEFINED  01,08   1,751,053   5,603,286           0
FRONTIER COMMUNICATIONS CORP      COM   35906A108      10,439   2,503,357  SH     DEFINED     09   2,503,357           0           0

FROZEN FOOD EXPRESS INDS INC      COM   359360104          28      22,511  SH     DEFINED     01           0      22,511           0
FROZEN FOOD EXPRESS INDS INC      COM   359360104          48      38,464  SH     DEFINED  01,08      21,603      16,861           0

FUELCELL ENERGY INC               COM   35952H106         209     133,625  SH     DEFINED     01      36,289      97,336           0
FUELCELL ENERGY INC               COM   35952H106          17      11,000  SH     OTHER       01      11,000           0           0
FUELCELL ENERGY INC               COM   35952H106       1,931   1,233,919  SH     DEFINED  01,08     179,933   1,053,986           0
FUELCELL ENERGY INC               COM   35952H106         468     299,141  SH     DEFINED     09     299,141           0           0

FUEL SYS SOLUTIONS INC            COM   35952W103       1,111      42,453  SH     DEFINED     01       4,781      37,672           0
FUEL SYS SOLUTIONS INC            COM   35952W103       4,872     186,237  SH     DEFINED  01,08      51,946     134,291           0
FUEL SYS SOLUTIONS INC            COM   35952W103       1,367      52,241  SH     DEFINED     09      52,241           0           0

FUEL TECH INC                     COM   359523107         103      18,811  SH     DEFINED     01       4,978      13,833           0
FUEL TECH INC                     COM   359523107         998     182,872  SH     DEFINED  01,08      24,599     158,273           0
FUEL TECH INC                     COM   359523107         358      65,656  SH     DEFINED     09      65,656           0           0

FULL HOUSE RESORTS INC            COM   359678109           7       2,501  SH     DEFINED     01           0       2,501           0
FULL HOUSE RESORTS INC            COM   359678109          44      15,632  SH     DEFINED  01,08       2,462      13,170           0

FULLER H B CO                     COM   359694106       7,759     236,325  SH     DEFINED     01      31,249     205,076           0
FULLER H B CO                     COM   359694106      21,172     644,889  SH     DEFINED  01,08     243,914     400,975           0
FULLER H B CO                     COM   359694106       5,174     157,600  SH     DEFINED     09     157,600           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    129
  ________

FULTON FINL CORP PA               COM   360271100       3,418     325,527  SH     DEFINED     01     123,013     199,054       3,460
FULTON FINL CORP PA               COM   360271100          28       2,625  SH     OTHER       01       2,490           0         135
FULTON FINL CORP PA               COM   360271100      15,156   1,443,474  SH     DEFINED  01,08     279,919   1,163,555           0

FURNITURE BRANDS INTL INC         COM   360921100          67      39,675  SH     DEFINED     01       4,729      34,946           0
FURNITURE BRANDS INTL INC         COM   360921100         642     381,907  SH     DEFINED  01,08      49,617     332,290           0
FURNITURE BRANDS INTL INC         COM   360921100         236     140,551  SH     DEFINED     09     140,551           0           0

FURIEX PHARMACEUTICALS INC        COM   36106P101         197       8,356  SH     DEFINED     01       2,333       6,023           0
FURIEX PHARMACEUTICALS INC        COM   36106P101       2,076      87,874  SH     DEFINED  01,08       9,971      77,903           0
FURIEX PHARMACEUTICALS INC        COM   36106P101         706      29,876  SH     DEFINED     09      29,876           0           0

FURMANITE CORPORATION             COM   361086101         461      71,844  SH     DEFINED     01      12,563      59,281           0
FURMANITE CORPORATION             COM   361086101       2,397     373,335  SH     DEFINED  01,08      74,205     299,130           0
FURMANITE CORPORATION             COM   361086101         623      97,022  SH     DEFINED     09      97,022           0           0

FUSION-IO INC                     COM   36112J107       1,253      44,120  SH     DEFINED     01       1,988      42,132           0
FUSION-IO INC                     COM   36112J107       3,825     134,622  SH     DEFINED  01,08      37,085      97,537           0

FUSHI COPPERWELD INC              COM   36113E107          57       7,588  SH     DEFINED     01          40       7,548           0
FUSHI COPPERWELD INC              COM   36113E107          87      11,473  SH     DEFINED  01,08       9,482       1,991           0

FUTUREFUEL CORPORATION            COM   36116M106         130      11,800  SH     DEFINED     01       4,167       7,633           0
FUTUREFUEL CORPORATION            COM   36116M106       1,678     152,845  SH     DEFINED  01,08      16,832     136,013           0
FUTUREFUEL CORPORATION            COM   36116M106         522      47,538  SH     DEFINED     09      47,538           0           0

FX ALLIANCE INC                   COM   361202104         202      12,913  SH     DEFINED  01,08       4,644       8,269           0
FX ALLIANCE INC                   COM   361202104         380      24,207  SH     DEFINED     09      24,207           0           0

G & K SVCS INC                    COM   361268105       5,024     146,896  SH     DEFINED     01       9,716     137,180           0
G & K SVCS INC                    COM   361268105      10,751     314,344  SH     DEFINED  01,08     157,955     156,389           0
G & K SVCS INC                    COM   361268105       1,987      58,095  SH     DEFINED     09      58,095           0           0

GAMCO INVESTORS INC               COM   361438104         771      15,543  SH     DEFINED     01       3,029      12,514           0
GAMCO INVESTORS INC               COM   361438104       3,524      71,042  SH     DEFINED  01,08      19,062      51,980           0
GAMCO INVESTORS INC               COM   361438104       1,006      20,287  SH     DEFINED     09      20,287           0           0

GATX CORP                         COM   361448103       4,621     114,663  SH     DEFINED     01      97,498      14,467       2,698
GATX CORP                         COM   361448103         661      16,393  SH     OTHER       01      12,020       4,245         128
GATX CORP                         COM   361448103      11,921     295,813  SH     DEFINED  01,08      22,483     273,330           0

GEO GROUP INC                     COM   36159R103       2,602     136,875  SH     DEFINED     01      32,787     104,088           0
GEO GROUP INC                     COM   36159R103      12,939     680,651  SH     DEFINED  01,08     156,679     523,972           0
GEO GROUP INC                     COM   36159R103       4,028     211,870  SH     DEFINED     09     211,870           0           0

GFI GROUP INC                     COM   361652209         795     211,316  SH     DEFINED     01      14,382     196,934           0
GFI GROUP INC                     COM   361652209       3,163     841,196  SH     DEFINED  01,08     266,713     574,483           0
GFI GROUP INC                     COM   361652209         768     204,256  SH     DEFINED     09     204,256           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    130
  ________

GSI GROUP INC CDA NEW             COM   36191C205         204      16,923  SH     DEFINED     01       5,029      11,894           0
GSI GROUP INC CDA NEW             COM   36191C205       2,367     196,294  SH     DEFINED  01,08      25,664     170,630           0
GSI GROUP INC CDA NEW             COM   36191C205         834      69,156  SH     DEFINED     09      69,156           0           0

GNC HLDGS INC                     COM   36191G107         869      24,916  SH     DEFINED     01       6,608      18,308           0
GNC HLDGS INC                     COM   36191G107      10,054     288,166  SH     DEFINED  01,08      29,012     259,154           0
GNC HLDGS INC                     COM   36191G107       2,182      62,532  SH     DEFINED     09      62,532           0           0

GT ADVANCED TECHNOLOGIES INC      COM   36191U106       1,221     147,659  SH     DEFINED     01      59,519      88,140           0
GT ADVANCED TECHNOLOGIES INC      COM   36191U106          69       8,300  SH     OTHER       01           0       8,300           0
GT ADVANCED TECHNOLOGIES INC      COM   36191U106       9,607   1,161,610  SH     DEFINED  01,08     146,691   1,014,919           0
GT ADVANCED TECHNOLOGIES INC      COM   36191U106       3,050     368,810  SH     DEFINED     09     368,810           0           0

GSE HLDG INC                      COM   36191X100          11         855  SH     DEFINED     01         855           0           0
GSE HLDG INC                      COM   36191X100         242      18,415  SH     DEFINED  01,08       5,693      12,722           0
GSE HLDG INC                      COM   36191X100         370      28,204  SH     DEFINED     09      28,204           0           0

GP STRATEGIES CORP                COM   36225V104         282      16,092  SH     DEFINED     01       3,203      12,889           0
GP STRATEGIES CORP                COM   36225V104       2,484     141,936  SH     DEFINED  01,08      20,587     121,349           0
GP STRATEGIES CORP                COM   36225V104         893      51,005  SH     DEFINED     09      51,005           0           0

GSE SYS INC                       COM   36227K106          19       7,846  SH     DEFINED     01           0       7,846           0
GSE SYS INC                       COM   36227K106          75      31,332  SH     DEFINED  01,08       8,071      23,261           0

G-III APPAREL GROUP LTD           COM   36237H101         612      21,539  SH     DEFINED     01       4,323      17,216           0
G-III APPAREL GROUP LTD           COM   36237H101       4,623     162,673  SH     DEFINED  01,08      27,980     134,693           0
G-III APPAREL GROUP LTD           COM   36237H101       1,395      49,093  SH     DEFINED     09      49,093           0           0

GTSI CORP                         COM   36238K103         103      20,457  SH     DEFINED     01           0      20,457           0
GTSI CORP                         COM   36238K103         129      25,601  SH     DEFINED  01,08      18,584       7,017           0

GSI TECHNOLOGY                    COM   36241U106         527     124,222  SH     DEFINED     01       3,998     120,224           0
GSI TECHNOLOGY                    COM   36241U106       1,222     288,319  SH     DEFINED  01,08     133,555     154,764           0
GSI TECHNOLOGY                    COM   36241U106         234      55,267  SH     DEFINED     09      55,267           0           0

GAFISA S A                        COM   362607301       1,121     237,586  SH     DEFINED     01     234,401       1,095       2,090
GAFISA S A                        COM   362607301         114      24,056  SH     OTHER       01      19,051       4,295         710

GAIAM INC                         COM   36268Q103          20       5,101  SH     DEFINED     01           0       5,101           0
GAIAM INC                         COM   36268Q103         120      30,177  SH     DEFINED  01,08       5,167      25,010           0

GAIN CAP HLDGS INC                COM   36268W100          24       4,686  SH     DEFINED     01         652       4,034           0
GAIN CAP HLDGS INC                COM   36268W100         336      66,999  SH     DEFINED  01,08       6,205      60,794           0
GAIN CAP HLDGS INC                COM   36268W100         192      38,168  SH     DEFINED     09      38,168           0           0

GALENA BIOPHARMA                  COM   363256108           3       1,200  SH     DEFINED     01          33       1,167           0
GALENA BIOPHARMA                  COM   363256108         129      58,042  SH     DEFINED  01,08       1,167      56,875           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    131
  ________

GALLAGHER ARTHUR J & CO           COM   363576109       2,168      60,650  SH     DEFINED     01      50,466      10,184           0
GALLAGHER ARTHUR J & CO           COM   363576109       1,032      28,864  SH     OTHER       01       1,235         359      27,270
GALLAGHER ARTHUR J & CO           COM   363576109      24,414     683,098  SH     DEFINED  01,08      37,863     645,235           0
GALLAGHER ARTHUR J & CO           COM   363576109         141       3,951  SH     DEFINED     09       3,951           0           0

GAMESTOP CORP NEW                 COM   36467W109       3,291     150,700  SH     DEFINED     01      66,968      83,592         140
GAMESTOP CORP NEW                 COM   36467W109         307      14,055  SH     OTHER       01      10,026       3,849         180
GAMESTOP CORP NEW                 COM   36467W109      21,861   1,000,960  SH     DEFINED  01,08     231,216     769,744           0
GAMESTOP CORP NEW                 COM   36467W109       7,340     336,093  SH     DEFINED     09     336,093           0           0

GANNETT INC                       COM   364730101       6,812     444,326  SH     DEFINED     01     205,139     238,412         775
GANNETT INC                       COM   364730101         637      41,573  SH     OTHER       01      17,021      24,552           0
GANNETT INC                       COM   364730101      32,120   2,095,230  SH     DEFINED  01,08     735,440   1,359,790           0
GANNETT INC                       COM   364730101       3,637     237,225  SH     DEFINED     09     237,225           0           0

GAP INC DEL                       COM   364760108      11,531     441,118  SH     DEFINED     01     261,882     178,209       1,027
GAP INC DEL                       COM   364760108         159       6,079  SH     OTHER       01       5,239         615         225
GAP INC DEL                       COM   364760108      68,542   2,622,114  SH     DEFINED  01,08     705,872   1,916,242           0
GAP INC DEL                       COM   364760108      21,039     804,843  SH     DEFINED     09     804,843           0           0

GARDNER DENVER INC                COM   365558105       1,544      24,497  SH     DEFINED     01      18,751       5,571         175
GARDNER DENVER INC                COM   365558105         399       6,325  SH     OTHER       01       6,285           0          40
GARDNER DENVER INC                COM   365558105      20,360     323,067  SH     DEFINED  01,08      22,788     300,279           0

GARTNER INC                       COM   366651107       1,766      41,424  SH     DEFINED     01      31,145      10,279           0
GARTNER INC                       COM   366651107          52       1,231  SH     OTHER       01         696         535           0
GARTNER INC                       COM   366651107      25,012     586,596  SH     DEFINED  01,08      35,145     551,451           0

GAS NAT INC                       COM   367204104          44       3,777  SH     DEFINED     01           0       3,777           0
GAS NAT INC                       COM   367204104          30       2,615  SH     OTHER       01       2,615           0           0
GAS NAT INC                       COM   367204104         118      10,101  SH     DEFINED  01,08       3,273       6,828           0

GASCO ENERGY INC                  COM   367220100          15      58,142  SH     DEFINED     01         900      57,242           0
GASCO ENERGY INC                  COM   367220100          46     175,903  SH     DEFINED  01,08      28,089     147,814           0

GASTAR EXPL LTD                   COM   367299203         157      52,556  SH     DEFINED     01      16,178      36,378           0
GASTAR EXPL LTD                   COM   367299203       1,577     527,375  SH     DEFINED  01,08      63,000     464,375           0
GASTAR EXPL LTD                   COM   367299203         510     170,653  SH     DEFINED     09     170,653           0           0

GAYLORD ENTMT CO NEW              COM   367905106       1,383      44,896  SH     DEFINED     01       9,157      35,739           0
GAYLORD ENTMT CO NEW              COM   367905106      11,007     357,363  SH     DEFINED  01,08      58,928     298,435           0
GAYLORD ENTMT CO NEW              COM   367905106       3,143     102,032  SH     DEFINED     09     102,032           0           0

GEEKNET INC                       COM   36846Q203         118       8,192  SH     DEFINED     01         897       7,295           0
GEEKNET INC                       COM   36846Q203         630      43,567  SH     DEFINED  01,08       8,031      35,536           0
GEEKNET INC                       COM   36846Q203         201      13,889  SH     DEFINED     09      13,889           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    132
  ________

GEN-PROBE INC NEW                 COM   36866T103       1,303      19,623  SH     DEFINED     01      14,681       4,942           0
GEN-PROBE INC NEW                 COM   36866T103         611       9,198  SH     OTHER       01         189       9,009           0
GEN-PROBE INC NEW                 COM   36866T103      18,946     285,291  SH     DEFINED  01,08      14,747     270,544           0

GENCORP INC                       COM   368682100         654      92,085  SH     DEFINED     01      30,572      61,513           0
GENCORP INC                       COM   368682100       4,206     592,441  SH     DEFINED  01,08     109,633     482,808           0
GENCORP INC                       COM   368682100       1,340     188,679  SH     DEFINED     09     188,679           0           0

GENERAC HLDGS INC                 COM   368736104         431      17,570  SH     DEFINED     01       3,840      13,730           0
GENERAC HLDGS INC                 COM   368736104       5,703     232,289  SH     DEFINED  01,08      27,219     205,070           0
GENERAC HLDGS INC                 COM   368736104       2,113      86,066  SH     DEFINED     09      86,066           0           0

GENERAL AMERN INVS INC            COM   368802104       2,208      76,143  SH     DEFINED     01      76,143           0           0

GENERAL CABLE CORP DEL NEW     CONV DEB 369300AD0       2,243   2,300,000  PRN    DEFINED     01     300,000   2,000,000           0
GENERAL CABLE CORP DEL NEW     CONV DEB 369300AD0       1,950   2,000,000  PRN    DEFINED  01,08   2,000,000           0           0

GENERAL CABLE CORP DEL NEW     CONV DEB 369300AL2       3,688   3,500,000  PRN    DEFINED     01     500,000   3,000,000           0
GENERAL CABLE CORP DEL NEW     CONV DEB 369300AL2       3,161   3,000,000  PRN    DEFINED  01,08   3,000,000           0           0

GENERAL CABLE CORP DEL NEW        COM   369300108         647      22,241  SH     DEFINED     01      14,756       7,385         100
GENERAL CABLE CORP DEL NEW        COM   369300108         349      12,000  SH     OTHER       01           0           0      12,000
GENERAL CABLE CORP DEL NEW        COM   369300108       9,364     322,024  SH     DEFINED  01,08      26,559     295,465           0

GENERAL COMMUNICATION INC         COM   369385109       2,358     270,377  SH     DEFINED     01      21,348     248,929         100
GENERAL COMMUNICATION INC         COM   369385109       5,400     619,255  SH     DEFINED  01,08     279,865     339,390           0
GENERAL COMMUNICATION INC         COM   369385109       1,060     121,555  SH     DEFINED     09     121,555           0           0

GENERAL DYNAMICS CORP             COM   369550108      49,127     669,486  SH     DEFINED     01     435,012     215,853      18,621
GENERAL DYNAMICS CORP             COM   369550108       8,981     122,395  SH     OTHER       01      72,697      43,311       6,387
GENERAL DYNAMICS CORP             COM   369550108     187,350   2,553,144  SH     DEFINED  01,08     597,600   1,955,544           0
GENERAL DYNAMICS CORP             COM   369550108      54,434     741,803  SH     DEFINED     09     741,803           0           0

GENERAL ELECTRIC CO               COM   369604103     584,882  29,142,091  SH     DEFINED     01  19,679,381   8,450,619   1,012,091
GENERAL ELECTRIC CO               COM   369604103     199,829   9,956,599  SH     OTHER       01   4,604,066   4,633,647     718,886
GENERAL ELECTRIC CO               COM   369604103   1,610,626  80,250,432  SH     DEFINED  01,08  20,573,738  59,652,313      24,381
GENERAL ELECTRIC CO               COM   369604103     547,448  27,276,921  SH     DEFINED     09  27,276,921           0           0

GENERAL GROWTH PPTYS INC NEW      COM   370023103       2,731     160,757  SH     DEFINED     01     116,891      43,866           0
GENERAL GROWTH PPTYS INC NEW      COM   370023103      38,273   2,252,678  SH     DEFINED  01,08     817,664   1,435,014           0
GENERAL GROWTH PPTYS INC NEW      COM   370023103      14,648     862,146  SH     DEFINED     09     862,146           0           0

GENERAL MLS INC                   COM   370334104      54,050   1,370,100  SH     DEFINED     01     934,253     407,435      28,412
GENERAL MLS INC                   COM   370334104      14,631     370,887  SH     OTHER       01     222,882      94,678      53,327
GENERAL MLS INC                   COM   370334104     189,939   4,814,665  SH     DEFINED  01,08   1,171,822   3,642,843           0
GENERAL MLS INC                   COM   370334104      62,035   1,572,486  SH     DEFINED     09   1,572,486           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    133
  ________

GENERAL MOLY INC                  COM   370373102         248      73,900  SH     DEFINED     01      21,215      52,685           0
GENERAL MOLY INC                  COM   370373102       2,091     624,324  SH     DEFINED  01,08      86,907     537,417           0
GENERAL MOLY INC                  COM   370373102         692     206,553  SH     DEFINED     09     206,553           0           0

GENERAL MTRS CO                   COM   37045V100       6,539     254,914  SH     DEFINED     01     165,122      89,792           0
GENERAL MTRS CO                   COM   37045V100         265      10,330  SH     OTHER       01       2,000       8,000         330
GENERAL MTRS CO                   COM   37045V100      58,549   2,282,610  SH     DEFINED  01,08     227,212   2,055,398           0
GENERAL MTRS CO                   COM   37045V100      28,857   1,125,010  SH     DEFINED     09   1,125,010           0           0

GENERAL MTRS CO                CONV PFD 37045V209       1,814      43,350         DEFINED     01       5,850      37,500           0
GENERAL MTRS CO                CONV PFD 37045V209         795      19,000         OTHER       01      18,000       1,000           0
GENERAL MTRS CO                CONV PFD 37045V209       1,465      35,000         DEFINED  01,08      35,000           0           0

GENERAL STEEL HOLDINGS INC        COM   370853103           6       5,923  SH     DEFINED     01           0       5,923           0
GENERAL STEEL HOLDINGS INC        COM   370853103           8       7,529  SH     DEFINED  01,08       6,726         803           0

GENESCO INC                       COM   371532102      11,593     161,797  SH     DEFINED     01      11,548     150,249           0
GENESCO INC                       COM   371532102         100       1,400  SH     OTHER       01       1,400           0           0
GENESCO INC                       COM   371532102      25,876     361,143  SH     DEFINED  01,08     166,199     194,944           0
GENESCO INC                       COM   371532102       5,064      70,678  SH     DEFINED     09      70,678           0           0

GENESEE & WYO INC                 COM   371559105       3,257      59,680  SH     DEFINED     01      19,647      39,913         120
GENESEE & WYO INC                 COM   371559105          22         405  SH     OTHER       01         405           0           0
GENESEE & WYO INC                 COM   371559105      20,640     378,167  SH     DEFINED  01,08      55,111     323,056           0
GENESEE & WYO INC                 COM   371559105       6,594     120,819  SH     DEFINED     09     120,819           0           0

GENTEX CORP                       COM   371901109       4,446     181,456  SH     DEFINED     01     133,479      44,022       3,955
GENTEX CORP                       COM   371901109         504      20,554  SH     OTHER       01       5,700      13,372       1,482
GENTEX CORP                       COM   371901109      22,133     903,399  SH     DEFINED  01,08      62,460     840,939           0
GENTEX CORP                       COM   371901109         146       5,947  SH     DEFINED     09       5,947           0           0

GENESIS ENERGY L P                COM   371927104         160       5,200  SH     DEFINED     01       1,700           0       3,500
GENESIS ENERGY L P                COM   371927104          92       3,000  SH     OTHER       01           0       3,000           0
GENESIS ENERGY L P                COM   371927104         792      25,777  SH     DEFINED  01,08      25,777           0           0

GENIE ENERGY LTD                  COM   372284208         271      28,008  SH     DEFINED     01      13,137      14,871           0
GENIE ENERGY LTD                  COM   372284208       1,425     147,360  SH     DEFINED  01,08      30,105     117,255           0
GENIE ENERGY LTD                  COM   372284208         406      41,955  SH     DEFINED     09      41,955           0           0

GENMARK DIAGNOSTICS INC           COM   372309104          66      16,251  SH     DEFINED  01,08           0      16,251           0

GENOMIC HEALTH INC                COM   37244C101         556      18,163  SH     DEFINED     01       4,748      13,415           0
GENOMIC HEALTH INC                COM   37244C101       5,204     169,997  SH     DEFINED  01,08      25,465     144,532           0
GENOMIC HEALTH INC                COM   37244C101       1,433      46,807  SH     DEFINED     09      46,807           0           0

GENON ENERGY INC                  COM   37244E107         522     250,793  SH     DEFINED     01     159,428      91,365           0
GENON ENERGY INC                  COM   37244E107           8       3,953  SH     OTHER       01       3,548           0         405
GENON ENERGY INC                  COM   37244E107       5,551   2,668,762  SH     DEFINED  01,08     340,004   2,328,758           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    134
  ________

GENVEC INC                        COM   37246C307           5       1,828  SH     DEFINED     01           0       1,828           0
GENVEC INC                        COM   37246C307           1         400  SH     OTHER       01           0         400           0
GENVEC INC                        COM   37246C307          51      19,556  SH     DEFINED  01,08       1,278      18,278           0

GENUINE PARTS CO                  COM   372460105      33,381     531,962  SH     DEFINED     01     433,813      87,200      10,949
GENUINE PARTS CO                  COM   372460105       2,924      46,599  SH     OTHER       01      44,158       2,371          70
GENUINE PARTS CO                  COM   372460105      74,449   1,186,434  SH     DEFINED  01,08     302,066     884,368           0
GENUINE PARTS CO                  COM   372460105      24,330     387,731  SH     DEFINED     09     387,731           0           0

GENTIVA HEALTH SERVICES INC       COM   37247A102         439      50,238  SH     DEFINED     01      17,877      32,361           0
GENTIVA HEALTH SERVICES INC       COM   37247A102       2,665     304,911  SH     DEFINED  01,08      57,812     247,099           0
GENTIVA HEALTH SERVICES INC       COM   37247A102         715      81,824  SH     DEFINED     09      81,824           0           0

GENWORTH FINL INC                 COM   37247D106       5,314     638,760  SH     DEFINED     01     308,394     328,833       1,533
GENWORTH FINL INC                 COM   37247D106         238      28,559  SH     OTHER       01       7,623      20,671         265
GENWORTH FINL INC                 COM   37247D106      29,958   3,600,669  SH     DEFINED  01,08     844,911   2,755,758           0
GENWORTH FINL INC                 COM   37247D106      10,163   1,221,471  SH     DEFINED     09   1,221,471           0           0

GEORESOURCES INC                  COM   372476101       5,452     166,514  SH     DEFINED     01      14,676     151,682         156
GEORESOURCES INC                  COM   372476101           6         169  SH     OTHER       01         169           0           0
GEORESOURCES INC                  COM   372476101      10,833     330,894  SH     DEFINED  01,08     163,460     167,434           0
GEORESOURCES INC                  COM   372476101       1,824      55,726  SH     DEFINED     09      55,726           0           0

GEOMET INC DEL                    COM   37250U201           8      11,946  SH     DEFINED     01           0      11,946           0
GEOMET INC DEL                    COM   37250U201          19      27,452  SH     DEFINED  01,08      12,317      15,135           0

GEOEYE INC                        COM   37250W108         651      27,051  SH     DEFINED     01       3,061      23,990           0
GEOEYE INC                        COM   37250W108       5,037     209,285  SH     DEFINED  01,08      36,129     173,156           0
GEOEYE INC                        COM   37250W108       1,511      62,774  SH     DEFINED     09      62,774           0           0

GEOKINETICS INC                   COM   372910307          36      20,580  SH     DEFINED     01       3,030      17,550           0
GEOKINETICS INC                   COM   372910307         193     109,444  SH     DEFINED  01,08      21,064      88,380           0
GEOKINETICS INC                   COM   372910307          71      40,350  SH     DEFINED     09      40,350           0           0

GEORGIA GULF CORP                 COM   373200302       1,239      35,521  SH     DEFINED     01       9,916      25,605           0
GEORGIA GULF CORP                 COM   373200302      10,933     313,455  SH     DEFINED  01,08      40,588     272,867           0
GEORGIA GULF CORP                 COM   373200302       3,491     100,077  SH     DEFINED     09     100,077           0           0

GERDAU S A                        COM   373737105       1,199     124,515  SH     DEFINED     01     123,168       1,229         118
GERDAU S A                        COM   373737105          30       3,121  SH     OTHER       01       2,579         542           0
GERDAU S A                        COM   373737105         630      65,434  SH     DEFINED  01,08      65,434           0           0

GERMAN AMERN BANCORP INC          COM   373865104         232      11,919  SH     DEFINED     01       3,133       8,786           0
GERMAN AMERN BANCORP INC          COM   373865104       2,268     116,705  SH     DEFINED  01,08      16,224     100,481           0
GERMAN AMERN BANCORP INC          COM   373865104         555      28,582  SH     DEFINED     09      28,582           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    135
  ________

GERON CORP                        COM   374163103         245     144,378  SH     DEFINED     01      35,681     108,697           0
GERON CORP                        COM   374163103           8       4,700  SH     OTHER       01           0       4,700           0
GERON CORP                        COM   374163103       2,117   1,249,243  SH     DEFINED  01,08     167,061   1,082,182           0
GERON CORP                        COM   374163103         571     336,780  SH     DEFINED     09     336,780           0           0

GETTY RLTY CORP NEW               COM   374297109         726      46,629  SH     DEFINED     01      14,945      31,684           0
GETTY RLTY CORP NEW               COM   374297109       4,807     308,509  SH     DEFINED  01,08      90,173     218,336           0
GETTY RLTY CORP NEW               COM   374297109       1,334      85,600  SH     DEFINED     09      85,600           0           0

GEVO INC                          COM   374396109          25       2,747  SH     DEFINED     01         543       2,204           0
GEVO INC                          COM   374396109         478      51,968  SH     DEFINED  01,08       4,976      46,992           0
GEVO INC                          COM   374396109         235      25,612  SH     DEFINED     09      25,612           0           0

GIBRALTAR INDS INC                COM   374689107       3,908     257,964  SH     DEFINED     01      17,640     240,324           0
GIBRALTAR INDS INC                COM   374689107       8,280     546,536  SH     DEFINED  01,08     292,843     253,693           0
GIBRALTAR INDS INC                COM   374689107       1,328      87,679  SH     DEFINED     09      87,679           0           0

GIGA TRONICS INC                  COM   375175106           7       5,418  SH     DEFINED     01           0       5,418           0
GIGA TRONICS INC                  COM   375175106          13      11,249  SH     DEFINED  01,08       5,279       5,970           0

GILEAD SCIENCES INC               COM   375558103      64,413   1,318,308  SH     DEFINED     01     839,488     454,902      23,918
GILEAD SCIENCES INC               COM   375558103       6,300     128,932  SH     OTHER       01      94,672      26,278       7,982
GILEAD SCIENCES INC               COM   375558103     280,334   5,737,494  SH     DEFINED  01,08   1,375,964   4,361,530           0
GILEAD SCIENCES INC               COM   375558103      91,242   1,867,417  SH     DEFINED     09   1,867,417           0           0

GILDAN ACTIVEWEAR INC             COM   375916103         669      24,295  SH     DEFINED     01      15,636       8,630          29
GILDAN ACTIVEWEAR INC             COM   375916103           7         248  SH     OTHER       01          69         179           0
GILDAN ACTIVEWEAR INC             COM   375916103         140       5,066  SH     DEFINED  01,08       5,066           0           0

GLACIER BANCORP INC NEW           COM   37637Q105       2,643     176,920  SH     DEFINED     01      39,034     137,886           0
GLACIER BANCORP INC NEW           COM   37637Q105      11,725     784,789  SH     DEFINED  01,08     199,472     585,317           0
GLACIER BANCORP INC NEW           COM   37637Q105       3,078     206,010  SH     DEFINED     09     206,010           0           0

GLADSTONE CAPITAL CORP            COM   376535100         447      55,162  SH     DEFINED     01       6,846      48,316           0
GLADSTONE CAPITAL CORP            COM   376535100       1,613     198,941  SH     DEFINED  01,08      64,687     134,254           0
GLADSTONE CAPITAL CORP            COM   376535100         563      69,429  SH     DEFINED     09      69,429           0           0

GLADSTONE COML CORP               COM   376536108         848      49,267  SH     DEFINED     01       2,939      46,328           0
GLADSTONE COML CORP               COM   376536108       2,438     141,655  SH     DEFINED  01,08      54,250      87,405           0
GLADSTONE COML CORP               COM   376536108         676      39,259  SH     DEFINED     09      39,259           0           0

GLADSTONE INVT CORP               COM   376546107         140      18,462  SH     DEFINED     01       5,277      13,185           0
GLADSTONE INVT CORP               COM   376546107       1,228     162,162  SH     DEFINED  01,08      24,311     137,851           0
GLADSTONE INVT CORP               COM   376546107         455      60,110  SH     DEFINED     09      60,110           0           0

GLATFELTER                        COM   377316104       6,395     405,260  SH     DEFINED     01      13,668     391,492         100
GLATFELTER                        COM   377316104      12,250     776,314  SH     DEFINED  01,08     420,047     356,267           0
GLATFELTER                        COM   377316104       2,050     129,929  SH     DEFINED     09     129,929           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    136
  ________

GLAXOSMITHKLINE PLC               COM   37733W105      50,142   1,116,501  SH     DEFINED     01     881,127     204,329      31,045
GLAXOSMITHKLINE PLC               COM   37733W105      12,705     282,895  SH     OTHER       01     167,697      90,887      24,311
GLAXOSMITHKLINE PLC               COM   37733W105      12,152     270,577  SH     DEFINED  01,08     270,577           0           0

GLEACHER & CO INC                 COM   377341102          92      67,590  SH     DEFINED     01      13,121      54,469           0
GLEACHER & CO INC                 COM   377341102         944     693,783  SH     DEFINED  01,08      88,423     605,360           0
GLEACHER & CO INC                 COM   377341102         331     243,589  SH     DEFINED     09     243,589           0           0

GLOBAL CASH ACCESS HLDGS INC      COM   378967103         716      91,846  SH     DEFINED     01      18,077      73,769           0
GLOBAL CASH ACCESS HLDGS INC      COM   378967103          76       9,700  SH     OTHER       01           0       9,700           0
GLOBAL CASH ACCESS HLDGS INC      COM   378967103       4,752     609,224  SH     DEFINED  01,08     104,480     504,744           0
GLOBAL CASH ACCESS HLDGS INC      COM   378967103       1,721     220,684  SH     DEFINED     09     220,684           0           0

GLOBALSTAR INC                    COM   378973408          64      90,725  SH     DEFINED     01      22,472      68,253           0
GLOBALSTAR INC                    COM   378973408         595     850,173  SH     DEFINED  01,08     110,602     739,571           0
GLOBALSTAR INC                    COM   378973408         144     205,712  SH     DEFINED     09     205,712           0           0

GLIMCHER RLTY TR                  COM   379302102       1,473     144,156  SH     DEFINED     01      33,451     110,705           0
GLIMCHER RLTY TR                  COM   379302102      12,990   1,271,017  SH     DEFINED  01,08     378,561     892,456           0
GLIMCHER RLTY TR                  COM   379302102       4,853     474,840  SH     DEFINED     09     474,840           0           0

GLOBAL HIGH INCOME FUND INC    UNDEFIND 37933G108         200      13,000         DEFINED     01      13,000           0           0

GLOBAL PMTS INC                   COM   37940X102       3,737      78,675  SH     DEFINED     01      61,453      16,027       1,195
GLOBAL PMTS INC                   COM   37940X102       1,087      22,889  SH     OTHER       01       4,298      18,546          45
GLOBAL PMTS INC                   COM   37940X102      24,135     508,096  SH     DEFINED  01,08      45,470     462,626           0

GLOBAL POWER EQUIPMENT GRP I      COM   37941P306         393      14,202  SH     DEFINED     01       2,166      12,036           0
GLOBAL POWER EQUIPMENT GRP I      COM   37941P306       3,956     142,817  SH     DEFINED  01,08      17,612     125,205           0
GLOBAL POWER EQUIPMENT GRP I      COM   37941P306       1,218      43,967  SH     DEFINED     09      43,967           0           0

GLOBAL GEOPHYSICAL SVCS INC       COM   37946S107         210      19,775  SH     DEFINED     01       5,310      14,465           0
GLOBAL GEOPHYSICAL SVCS INC       COM   37946S107       1,822     171,723  SH     DEFINED  01,08      20,155     151,568           0
GLOBAL GEOPHYSICAL SVCS INC       COM   37946S107         455      42,896  SH     DEFINED     09      42,896           0           0

GLOBE SPECIALTY METALS INC        COM   37954N206       1,284      86,378  SH     DEFINED     01      17,449      68,929           0
GLOBE SPECIALTY METALS INC        COM   37954N206       8,682     583,844  SH     DEFINED  01,08      87,593     496,251           0
GLOBE SPECIALTY METALS INC        COM   37954N206       2,649     178,127  SH     DEFINED     09     178,127           0           0

GLOBECOMM SYSTEMS INC             COM   37956X103         416      28,740  SH     DEFINED     01       5,641      23,099           0
GLOBECOMM SYSTEMS INC             COM   37956X103       3,169     218,871  SH     DEFINED  01,08      34,247     184,624           0
GLOBECOMM SYSTEMS INC             COM   37956X103         824      56,914  SH     DEFINED     09      56,914           0           0

GLU MOBILE INC                    COM   379890106         190      39,176  SH     DEFINED     01      10,009      29,167           0
GLU MOBILE INC                    COM   379890106       2,136     440,509  SH     DEFINED  01,08      43,384     397,125           0
GLU MOBILE INC                    COM   379890106         572     117,883  SH     DEFINED     09     117,883           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    137
  ________

GMX RES INC                       COM   38011M108         100      78,465  SH     DEFINED     01      15,601      62,864           0
GMX RES INC                       COM   38011M108         775     610,300  SH     DEFINED  01,08      97,077     513,223           0
GMX RES INC                       COM   38011M108         219     172,485  SH     DEFINED     09     172,485           0           0

GOLD FIELDS LTD NEW               COM   38059T106       1,556     111,932  SH     DEFINED     01      25,710      85,930         292
GOLD FIELDS LTD NEW               COM   38059T106         177      12,701  SH     OTHER       01           0      11,479       1,222

GOLD RESOURCE CORP                COM   38068T105         594      24,418  SH     DEFINED     01       5,997      18,421           0
GOLD RESOURCE CORP                COM   38068T105       5,487     225,722  SH     DEFINED  01,08      33,857     191,865           0
GOLD RESOURCE CORP                COM   38068T105       2,056      84,590  SH     DEFINED     09      84,590           0           0

GOLDCORP INC NEW                  COM   380956409      10,486     232,708  SH     DEFINED     01     228,827       2,901         980
GOLDCORP INC NEW                  COM   380956409       2,167      48,100  SH     OTHER       01      39,020       4,520       4,560
GOLDCORP INC NEW                  COM   380956409       1,646      36,521  SH     DEFINED  01,08      36,521           0           0

GOLDEN ENTERPRISES INC            COM   381010107          51      15,183  SH     DEFINED     01           0      15,183           0
GOLDEN ENTERPRISES INC            COM   381010107          69      20,525  SH     DEFINED  01,08      16,213       4,312           0

GOLDEN MINERALS CO                COM   381119106         166      19,657  SH     DEFINED     01       7,126      12,531           0
GOLDEN MINERALS CO                COM   381119106       2,216     262,829  SH     DEFINED  01,08      24,886     237,943           0
GOLDEN MINERALS CO                COM   381119106         672      79,770  SH     DEFINED     09      79,770           0           0

GOLDEN STAR RES LTD CDA           COM   38119T104         377     202,722  SH     DEFINED     01      81,835     120,887           0
GOLDEN STAR RES LTD CDA           COM   38119T104       3,657   1,966,179  SH     DEFINED  01,08     229,374   1,736,805           0
GOLDEN STAR RES LTD CDA           COM   38119T104       1,368     735,466  SH     DEFINED     09     735,466           0           0

GOLDFIELD CORP                    COM   381370105          15      15,175  SH     DEFINED     01         300      14,875           0
GOLDFIELD CORP                    COM   381370105          65      67,188  SH     DEFINED  01,08      20,931      46,257           0

GOLDMAN SACHS GROUP INC           COM   38141G104     114,839     923,368  SH     DEFINED     01     603,167     304,279      15,922
GOLDMAN SACHS GROUP INC           COM   38141G104      13,221     106,305  SH     OTHER       01      57,292      43,532       5,481
GOLDMAN SACHS GROUP INC           COM   38141G104     470,744   3,785,029  SH     DEFINED  01,08     984,201   2,795,375       5,453
GOLDMAN SACHS GROUP INC           COM   38141G104     145,833   1,172,572  SH     DEFINED     09   1,172,572           0           0

GOLUB CAP BDC INC                 COM   38173M102         157      10,294  SH     DEFINED     01       3,199       7,095           0
GOLUB CAP BDC INC                 COM   38173M102       1,397      91,481  SH     DEFINED  01,08      15,363      76,118           0
GOLUB CAP BDC INC                 COM   38173M102         630      41,245  SH     DEFINED     09      41,245           0           0

GOODRICH CORP                     COM   382388106      23,016     183,485  SH     DEFINED     01     116,932      65,007       1,546
GOODRICH CORP                     COM   382388106         616       4,910  SH     OTHER       01       3,005       1,584         321
GOODRICH CORP                     COM   382388106     115,880     923,786  SH     DEFINED  01,08     214,831     708,955           0
GOODRICH CORP                     COM   382388106      34,243     272,980  SH     DEFINED     09     272,980           0           0

GOODRICH PETE CORP                COM   382410405         691      36,337  SH     DEFINED     01       6,760      29,577           0
GOODRICH PETE CORP                COM   382410405       4,712     247,750  SH     DEFINED  01,08      32,656     215,094           0
GOODRICH PETE CORP                COM   382410405       1,325      69,688  SH     DEFINED     09      69,688           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    138
  ________

GOODYEAR TIRE & RUBR CO           COM   382550101       3,068     273,429  SH     DEFINED     01     143,342     129,395         692
GOODYEAR TIRE & RUBR CO           COM   382550101          37       3,292  SH     OTHER       01       2,583         529         180
GOODYEAR TIRE & RUBR CO           COM   382550101      20,084   1,790,059  SH     DEFINED  01,08     408,210   1,381,849           0
GOODYEAR TIRE & RUBR CO           COM   382550101       6,596     587,887  SH     DEFINED     09     587,887           0           0

GOOGLE INC                        COM   38259P508     460,061     717,455  SH     DEFINED     01     536,595     166,730      14,130
GOOGLE INC                        COM   38259P508      53,138      82,867  SH     OTHER       01      64,161      10,192       8,514
GOOGLE INC                        COM   38259P508   1,229,050   1,916,677  SH     DEFINED  01,08     475,177   1,441,500           0
GOOGLE INC                        COM   38259P508     414,394     646,239  SH     DEFINED     09     646,239           0           0

GORDMANS STORES INC               COM   38269P100          70       3,203  SH     DEFINED     01         458       2,745           0
GORDMANS STORES INC               COM   38269P100       1,019      46,386  SH     DEFINED  01,08       4,444      41,942           0
GORDMANS STORES INC               COM   38269P100         295      13,407  SH     DEFINED     09      13,407           0           0

GORMAN RUPP CO                    COM   383082104         993      34,039  SH     DEFINED     01       7,855      26,184           0
GORMAN RUPP CO                    COM   383082104           9         300  SH     OTHER       01         300           0           0
GORMAN RUPP CO                    COM   383082104       4,806     164,686  SH     DEFINED  01,08      33,944     130,742           0
GORMAN RUPP CO                    COM   383082104       1,422      48,732  SH     DEFINED     09      48,732           0           0

GOVERNMENT PPTYS INCOME TR        COM   38376A103       1,566      64,966  SH     DEFINED     01      38,403      25,623         940
GOVERNMENT PPTYS INCOME TR        COM   38376A103          16         650  SH     OTHER       01         650           0           0
GOVERNMENT PPTYS INCOME TR        COM   38376A103      10,948     454,079  SH     DEFINED  01,08     165,341     288,738           0
GOVERNMENT PPTYS INCOME TR        COM   38376A103       3,159     131,035  SH     DEFINED     09     131,035           0           0

GRACE W R & CO DEL NEW            COM   38388F108       2,593      44,870  SH     DEFINED     01      16,331      28,439         100
GRACE W R & CO DEL NEW            COM   38388F108      15,155     262,197  SH     DEFINED  01,08      48,475     213,722           0

GRACO INC                         COM   384109104       4,216      79,458  SH     DEFINED     01      68,707       9,606       1,145
GRACO INC                         COM   384109104         198       3,728  SH     OTHER       01       2,663       1,050          15
GRACO INC                         COM   384109104      20,231     381,278  SH     DEFINED  01,08      26,718     354,560           0

GRAFTECH INTL LTD                 COM   384313102         754      63,146  SH     DEFINED     01      22,862      40,284           0
GRAFTECH INTL LTD                 COM   384313102       5,355     448,457  SH     DEFINED  01,08      72,133     376,324           0

GRAHAM CORP                       COM   384556106         437      19,978  SH     DEFINED     01       2,725      17,253           0
GRAHAM CORP                       COM   384556106       2,339     106,865  SH     DEFINED  01,08      22,074      84,791           0
GRAHAM CORP                       COM   384556106         612      27,942  SH     DEFINED     09      27,942           0           0

GRAINGER W W INC                  COM   384802104     157,268     732,124  SH     DEFINED     01     634,504      85,878      11,742
GRAINGER W W INC                  COM   384802104      37,451     174,343  SH     OTHER       01     111,934      37,366      25,043
GRAINGER W W INC                  COM   384802104      95,507     444,612  SH     DEFINED  01,08     105,173     339,439           0
GRAINGER W W INC                  COM   384802104      31,698     147,565  SH     DEFINED     09     147,565           0           0

GRAMERCY CAP CORP                 COM   384871109         119      44,639  SH     DEFINED     01         990      43,649           0
GRAMERCY CAP CORP                 COM   384871109         297     111,081  SH     DEFINED  01,08      45,382      65,699           0

GRAN TIERRA ENERGY INC            COM   38500T101       1,285     204,372  SH     DEFINED     01       6,990     197,382           0
GRAN TIERRA ENERGY INC            COM   38500T101          25       4,000  SH     OTHER       01           0       4,000           0
GRAN TIERRA ENERGY INC            COM   38500T101       1,607     255,490  SH     DEFINED  01,08     228,492      26,998           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    139
  ________

GRAND CANYON ED INC               COM   38526M106       2,637     148,452  SH     DEFINED     01     107,976      35,746       4,730
GRAND CANYON ED INC               COM   38526M106         262      14,777  SH     OTHER       01       7,110       7,357         310
GRAND CANYON ED INC               COM   38526M106       4,671     263,025  SH     DEFINED  01,08      26,383     236,642           0
GRAND CANYON ED INC               COM   38526M106       1,523      85,774  SH     DEFINED     09      85,774           0           0

GRANITE CONSTR INC                COM   387328107       4,720     164,236  SH     DEFINED     01      12,216     152,020           0
GRANITE CONSTR INC                COM   387328107      16,712     581,475  SH     DEFINED  01,08     176,918     404,557           0
GRANITE CONSTR INC                COM   387328107       3,263     113,521  SH     DEFINED     09     113,521           0           0

GRAPHIC PACKAGING HLDG CO         COM   388689101       2,773     502,379  SH     DEFINED     01      37,486     464,893           0
GRAPHIC PACKAGING HLDG CO         COM   388689101      10,455   1,894,027  SH     DEFINED  01,08     601,562   1,292,465           0
GRAPHIC PACKAGING HLDG CO         COM   388689101       2,784     504,349  SH     DEFINED     09     504,349           0           0

GRAY TELEVISION INC               COM   389375106          91      47,884  SH     DEFINED     01       4,507      43,377           0
GRAY TELEVISION INC               COM   389375106         833     440,573  SH     DEFINED  01,08      54,908     385,665           0
GRAY TELEVISION INC               COM   389375106         265     140,124  SH     DEFINED     09     140,124           0           0

GREAT LAKES DREDGE & DOCK CO      COM   390607109       1,622     224,685  SH     DEFINED     01      16,825     207,860           0
GREAT LAKES DREDGE & DOCK CO      COM   390607109       5,336     739,059  SH     DEFINED  01,08     253,425     485,634           0
GREAT LAKES DREDGE & DOCK CO      COM   390607109       1,141     158,061  SH     DEFINED     09     158,061           0           0

GREAT SOUTHN BANCORP INC          COM   390905107         529      22,059  SH     DEFINED     01       3,186      18,873           0
GREAT SOUTHN BANCORP INC          COM   390905107       2,466     102,765  SH     DEFINED  01,08      23,217      79,548           0
GREAT SOUTHN BANCORP INC          COM   390905107         787      32,774  SH     DEFINED     09      32,774           0           0

GREAT PLAINS ENERGY INC           COM   391164100         706      34,814  SH     DEFINED     01      22,580      12,234           0
GREAT PLAINS ENERGY INC           COM   391164100           2         120  SH     OTHER       01           0           0         120
GREAT PLAINS ENERGY INC           COM   391164100      17,161     846,636  SH     DEFINED  01,08      61,407     785,229           0

GREAT PLAINS ENERGY INC           PFD   391164803       6,778     110,750         DEFINED     01      15,750      95,000           0
GREAT PLAINS ENERGY INC           PFD   391164803       5,814      95,000         DEFINED  01,08      95,000           0           0

GREAT WOLF RESORTS INC            COM   391523107          27       4,737  SH     DEFINED     01         805       3,932           0
GREAT WOLF RESORTS INC            COM   391523107         303      52,996  SH     DEFINED  01,08       5,339      47,657           0

GREATBATCH INC                    COM   39153L106       4,453     181,615  SH     DEFINED     01      12,240     169,375           0
GREATBATCH INC                    COM   39153L106       9,256     377,486  SH     DEFINED  01,08     185,147     192,339           0
GREATBATCH INC                    COM   39153L106       1,643      67,025  SH     DEFINED     09      67,025           0           0

GREEN DOT CORP                    COM   39304D102         362      13,663  SH     DEFINED     01       3,365      10,298           0
GREEN DOT CORP                    COM   39304D102       1,918      72,336  SH     DEFINED  01,08       6,346      65,990           0

GREEN MTN COFFEE ROASTERS IN      COM   393122106       4,527      96,651  SH     DEFINED     01      79,634      16,493         524
GREEN MTN COFFEE ROASTERS IN      COM   393122106         370       7,892  SH     OTHER       01       7,551         341           0
GREEN MTN COFFEE ROASTERS IN      COM   393122106      37,295     796,214  SH     DEFINED  01,08      54,382     741,832           0
GREEN MTN COFFEE ROASTERS IN      COM   393122106       8,358     178,445  SH     DEFINED     09     178,445           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    140
  ________

GREEN PLAINS RENEWABLE ENERG      COM   393222104         171      15,869  SH     DEFINED     01       4,756      11,113           0
GREEN PLAINS RENEWABLE ENERG      COM   393222104       1,962     181,875  SH     DEFINED  01,08      18,740     163,135           0
GREEN PLAINS RENEWABLE ENERG      COM   393222104         541      50,094  SH     DEFINED     09      50,094           0           0

GREENBRIER COS INC                COM   393657101         737      37,255  SH     DEFINED     01      13,518      22,502       1,235
GREENBRIER COS INC                COM   393657101           5         250  SH     OTHER       01         250           0           0
GREENBRIER COS INC                COM   393657101       3,947     199,446  SH     DEFINED  01,08      33,509     165,937           0
GREENBRIER COS INC                COM   393657101       1,099      55,529  SH     DEFINED     09      55,529           0           0

GREEN BANKSHARES INC              COM   394361208           3       1,807  SH     DEFINED     01           0       1,807           0
GREEN BANKSHARES INC              COM   394361208          36      21,011  SH     DEFINED  01,08       2,080      18,931           0

GREENHILL & CO INC                COM   395259104       8,458     193,816  SH     DEFINED     01     189,763       4,053           0
GREENHILL & CO INC                COM   395259104          48       1,100  SH     OTHER       01       1,100           0           0
GREENHILL & CO INC                COM   395259104       8,054     184,554  SH     DEFINED  01,08      13,386     171,168           0

GREENHUNTER ENERGY INC            COM   39530A104           5       2,014  SH     DEFINED     01         100       1,914           0
GREENHUNTER ENERGY INC            COM   39530A104          42      16,765  SH     DEFINED  01,08       2,159      14,606           0

GREENWAY MED TECHNOLOGIES IN      COM   39679B103         114       7,478  SH     DEFINED     01       7,478           0           0
GREENWAY MED TECHNOLOGIES IN      COM   39679B103          20       1,280  SH     OTHER       01           0       1,280           0
GREENWAY MED TECHNOLOGIES IN      COM   39679B103         241      15,800  SH     DEFINED  01,08       5,429      10,371           0
GREENWAY MED TECHNOLOGIES IN      COM   39679B103         378      24,754  SH     DEFINED     09      24,754           0           0

GREIF INC                         COM   397624107         904      16,163  SH     DEFINED     01       8,270       4,893       3,000
GREIF INC                         COM   397624107           1          25  SH     OTHER       01           0           0          25
GREIF INC                         COM   397624107      12,237     218,836  SH     DEFINED  01,08      16,288     202,548           0

GRIFFIN LD & NURSERIES INC        COM   398231100         105       3,962  SH     DEFINED     01         588       3,374           0
GRIFFIN LD & NURSERIES INC        COM   398231100         621      23,531  SH     DEFINED  01,08       3,667      19,864           0
GRIFFIN LD & NURSERIES INC        COM   398231100         106       4,002  SH     DEFINED     09       4,002           0           0

GRIFFON CORP                      COM   398433102       2,944     275,177  SH     DEFINED     01      24,529     250,648           0
GRIFFON CORP                      COM   398433102       7,627     712,836  SH     DEFINED  01,08     309,489     403,347           0
GRIFFON CORP                      COM   398433102       1,398     130,633  SH     DEFINED     09     130,633           0           0

GROUP 1 AUTOMOTIVE INC            COM   398905109       5,027      89,498  SH     DEFINED     01      12,473      77,025           0
GROUP 1 AUTOMOTIVE INC            COM   398905109      15,989     284,649  SH     DEFINED  01,08      99,757     184,892           0
GROUP 1 AUTOMOTIVE INC            COM   398905109       3,793      67,524  SH     DEFINED     09      67,524           0           0

GROUPE CGI INC                    COM   39945C109         222       9,964  SH     DEFINED     01       9,964           0           0
GROUPE CGI INC                    COM   39945C109         222       9,964  SH     DEFINED  01,08       9,964           0           0

GROUPON INC                       COM   399473107          92       5,017  SH     DEFINED     01       1,689       3,328           0
GROUPON INC                       COM   399473107       2,331     126,817  SH     DEFINED  01,08      10,991     115,826           0

GRUPO TELEVISA SA                 COM   40049J206       1,332      63,178  SH     DEFINED     01      62,168       1,010           0
GRUPO TELEVISA SA                 COM   40049J206         125       5,933  SH     OTHER       01         570       5,363           0
GRUPO TELEVISA SA                 COM   40049J206         881      41,782  SH     DEFINED  01,08      41,782           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    141
  ________

GTX INC DEL                       COM   40052B108         149      38,745  SH     DEFINED     01       4,106      34,639           0
GTX INC DEL                       COM   40052B108         940     244,087  SH     DEFINED  01,08      47,614     196,473           0
GTX INC DEL                       COM   40052B108         247      64,244  SH     DEFINED     09      64,244           0           0

GUARANTY BANCORP DEL              COM   40075T102          32      16,196  SH     DEFINED     01           0      16,196           0
GUARANTY BANCORP DEL              COM   40075T102         157      78,783  SH     DEFINED  01,08      18,297      60,486           0

GUARANTY FED BANCSHARES INC       COM   40108P101          25       2,796  SH     DEFINED     01         100       2,696           0
GUARANTY FED BANCSHARES INC       COM   40108P101          66       7,477  SH     DEFINED  01,08       2,815       4,662           0

GUESS INC                         COM   401617105         723      23,137  SH     DEFINED     01      16,979       6,158           0
GUESS INC                         COM   401617105      12,917     413,352  SH     DEFINED  01,08      26,885     386,467           0

GUIDANCE SOFTWARE INC             COM   401692108         114      10,339  SH     DEFINED     01       2,849       7,490           0
GUIDANCE SOFTWARE INC             COM   401692108       1,324     119,836  SH     DEFINED  01,08      11,092     108,744           0
GUIDANCE SOFTWARE INC             COM   401692108         381      34,441  SH     DEFINED     09      34,441           0           0

GUIDEWIRE SOFTWARE INC            COM   40171V100         537      17,458  SH     DEFINED  01,08       6,779      10,679           0
GUIDEWIRE SOFTWARE INC            COM   40171V100         797      25,899  SH     DEFINED     09      25,899           0           0

GULF ISLAND FABRICATION INC       COM   402307102         750      25,619  SH     DEFINED     01       7,927      17,692           0
GULF ISLAND FABRICATION INC       COM   402307102       4,289     146,543  SH     DEFINED  01,08      29,401     117,142           0
GULF ISLAND FABRICATION INC       COM   402307102       1,302      44,472  SH     DEFINED     09      44,472           0           0

GULFMARK OFFSHORE INC             COM   402629208      10,203     222,008  SH     DEFINED     01       7,172     214,836           0
GULFMARK OFFSHORE INC             COM   402629208           3          56  SH     OTHER       01          56           0           0
GULFMARK OFFSHORE INC             COM   402629208      19,446     423,115  SH     DEFINED  01,08     225,716     197,399           0
GULFMARK OFFSHORE INC             COM   402629208       3,149      68,517  SH     DEFINED     09      68,517           0           0

GULFPORT ENERGY CORP              COM   402635304       3,112     106,876  SH     DEFINED     01      52,724      53,947         205
GULFPORT ENERGY CORP              COM   402635304          75       2,564  SH     OTHER       01       1,734         830           0
GULFPORT ENERGY CORP              COM   402635304      12,877     442,196  SH     DEFINED  01,08      77,546     364,650           0
GULFPORT ENERGY CORP              COM   402635304       4,042     138,794  SH     DEFINED     09     138,794           0           0

GYRODYNE CO AMER INC              COM   403820103         229       2,291  SH     DEFINED     01           0       2,291           0
GYRODYNE CO AMER INC              COM   403820103         434       4,342  SH     DEFINED  01,08       2,624       1,718           0

H & E EQUIPMENT SERVICES INC      COM   404030108         595      31,444  SH     DEFINED     01       8,237      23,207           0
H & E EQUIPMENT SERVICES INC      COM   404030108       5,206     275,169  SH     DEFINED  01,08      39,485     235,684           0
H & E EQUIPMENT SERVICES INC      COM   404030108       1,884      99,583  SH     DEFINED     09      99,583           0           0

HCA HOLDINGS INC                  COM   40412C101       1,170      47,296  SH     DEFINED     01      31,208      16,088           0
HCA HOLDINGS INC                  COM   40412C101           1          60  SH     OTHER       01           0           0          60
HCA HOLDINGS INC                  COM   40412C101      11,273     455,668  SH     DEFINED  01,08      40,017     415,651           0
HCA HOLDINGS INC                  COM   40412C101       6,839     276,428  SH     DEFINED     09     276,428           0           0

HCC INS HLDGS INC                 COM   404132102      12,324     395,388  SH     DEFINED     01     376,002      18,650         736
HCC INS HLDGS INC                 COM   404132102         346      11,107  SH     OTHER       01       1,147       8,715       1,245
HCC INS HLDGS INC                 COM   404132102      20,104     644,991  SH     DEFINED  01,08      35,905     609,086           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    142
  ________

HCP INC                           COM   40414L109      39,547   1,002,217  SH     DEFINED     01     758,934     223,728      19,555
HCP INC                           COM   40414L109       2,605      66,014  SH     OTHER       01      59,093       4,061       2,860
HCP INC                           COM   40414L109     143,488   3,636,293  SH     DEFINED  01,08   1,350,059   2,286,234           0
HCP INC                           COM   40414L109      44,868   1,137,047  SH     DEFINED     09   1,137,047           0           0

HDFC BANK LTD                     COM   40415F101         328       9,606  SH     DEFINED     01       8,895         711           0
HDFC BANK LTD                     COM   40415F101          51       1,491  SH     OTHER       01         800         691           0
HDFC BANK LTD                     COM   40415F101      12,163     356,689  SH     DEFINED  01,08     356,689           0           0
HDFC BANK LTD                     COM   40415F101       1,516      44,461  SH     DEFINED     09      44,461           0           0

HF FINL CORP                      COM   404172108          53       4,480  SH     DEFINED     01           0       4,480           0
HF FINL CORP                      COM   404172108         114       9,601  SH     DEFINED  01,08       4,092       5,509           0

HFF INC                           COM   40418F108         390      23,675  SH     DEFINED     01       6,065      17,610           0
HFF INC                           COM   40418F108       4,505     273,553  SH     DEFINED  01,08      27,939     245,614           0
HFF INC                           COM   40418F108       1,319      80,095  SH     DEFINED     09      80,095           0           0

HKN INC                           COM   40420K103          10       4,506  SH     DEFINED     01           0       4,506           0
HKN INC                           COM   40420K103          21       9,338  SH     DEFINED  01,08       4,755       4,583           0

HMN FINL INC                      COM   40424G108           9       3,623  SH     DEFINED     01           0       3,623           0
HMN FINL INC                      COM   40424G108          18       7,299  SH     DEFINED  01,08       2,967       4,332           0

HMS HLDGS CORP                    COM   40425J101       3,758     120,425  SH     DEFINED     01      37,115      83,310           0
HMS HLDGS CORP                    COM   40425J101         160       5,142  SH     OTHER       01       1,605       3,416         121
HMS HLDGS CORP                    COM   40425J101      33,178   1,063,041  SH     DEFINED  01,08     131,101     931,940           0
HMS HLDGS CORP                    COM   40425J101       7,689     246,355  SH     DEFINED     09     246,355           0           0

HNI CORP                          COM   404251100       1,944      70,046  SH     DEFINED     01      22,594      47,452           0
HNI CORP                          COM   404251100      16,162     582,428  SH     DEFINED  01,08      97,977     484,451           0
HNI CORP                          COM   404251100       3,695     133,156  SH     DEFINED     09     133,156           0           0

HSBC HLDGS PLC                    COM   404280406      36,001     811,018  SH     DEFINED     01     780,000      28,337       2,681
HSBC HLDGS PLC                    COM   404280406       5,232     117,868  SH     OTHER       01      57,214      58,792       1,862
HSBC HLDGS PLC                    COM   404280406       7,180     161,747  SH     DEFINED  01,08     161,747           0           0

HSBC HLDGS PLC                    PFD   404280604         269      10,802         DEFINED     01      10,802           0           0

HSN INC                           COM   404303109       2,243      58,982  SH     DEFINED     01      11,584      47,398           0
HSN INC                           COM   404303109      18,905     497,106  SH     DEFINED  01,08      62,734     434,372           0
HSN INC                           COM   404303109       4,382     115,214  SH     DEFINED     09     115,214           0           0

HACKETT GROUP INC                 COM   404609109         227      38,060  SH     DEFINED     01       3,511      34,549           0
HACKETT GROUP INC                 COM   404609109       1,818     304,453  SH     DEFINED  01,08      46,939     257,514           0
HACKETT GROUP INC                 COM   404609109         583      97,702  SH     DEFINED     09      97,702           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    143
  ________

HAEMONETICS CORP                  COM   405024100       2,767      39,713  SH     DEFINED     01      11,790      27,923           0
HAEMONETICS CORP                  COM   405024100         113       1,625  SH     OTHER       01           0       1,625           0
HAEMONETICS CORP                  COM   405024100      17,388     249,546  SH     DEFINED  01,08      40,876     208,670           0
HAEMONETICS CORP                  COM   405024100       5,295      75,993  SH     DEFINED     09      75,993           0           0

HAIN CELESTIAL GROUP INC          COM   405217100      12,660     288,965  SH     DEFINED     01     100,235     188,610         120
HAIN CELESTIAL GROUP INC          COM   405217100          11         250  SH     OTHER       01         175          75           0
HAIN CELESTIAL GROUP INC          COM   405217100      22,285     508,676  SH     DEFINED  01,08     215,586     293,090           0
HAIN CELESTIAL GROUP INC          COM   405217100       4,691     107,068  SH     DEFINED     09     107,068           0           0

HALCON RES CORP                   COM   40537Q209          53       5,677  SH     DEFINED     01         986       4,691           0
HALCON RES CORP                   COM   40537Q209         281      29,976  SH     DEFINED  01,08       4,697      25,279           0

HALLADOR ENERGY COMPANY           COM   40609P105          55       6,181  SH     DEFINED     01       1,020       5,161           0
HALLADOR ENERGY COMPANY           COM   40609P105         332      37,585  SH     DEFINED  01,08       6,717      30,868           0
HALLADOR ENERGY COMPANY           COM   40609P105         154      17,474  SH     DEFINED     09      17,474           0           0

HALLIBURTON CO                    COM   406216101      57,040   1,718,596  SH     DEFINED     01   1,167,936     538,761      11,899
HALLIBURTON CO                    COM   406216101       4,050     122,012  SH     OTHER       01      86,023      35,402         587
HALLIBURTON CO                    COM   406216101     227,267   6,847,451  SH     DEFINED  01,08   1,601,780   5,245,671           0
HALLIBURTON CO                    COM   406216101      75,333   2,269,744  SH     DEFINED     09   2,269,744           0           0

HALLMARK FINL SVCS INC    EC      COM   40624Q203         598      75,840  SH     DEFINED     01       2,589      73,251           0
HALLMARK FINL SVCS INC    EC      COM   40624Q203       1,393     176,596  SH     DEFINED  01,08      80,983      95,613           0
HALLMARK FINL SVCS INC    EC      COM   40624Q203         233      29,591  SH     DEFINED     09      29,591           0           0

HALOZYME THERAPEUTICS INC         COM   40637H109       1,156      90,598  SH     DEFINED     01      21,251      69,347           0
HALOZYME THERAPEUTICS INC         COM   40637H109      10,191     798,681  SH     DEFINED  01,08     101,334     697,347           0
HALOZYME THERAPEUTICS INC         COM   40637H109       3,299     258,536  SH     DEFINED     09     258,536           0           0

HAMPTON ROADS BANKSHARES INC      COM   409321502          16       5,248  SH     DEFINED     01       1,124       4,124           0
HAMPTON ROADS BANKSHARES INC      COM   409321502         328     108,233  SH     DEFINED  01,08       8,583      99,650           0
HAMPTON ROADS BANKSHARES INC      COM   409321502          83      27,395  SH     DEFINED     09      27,395           0           0

JOHN HANCOCK BK &THRIFT OPP       COM   409735206       3,678     213,209  SH     DEFINED     01     195,896      15,766       1,547
JOHN HANCOCK BK &THRIFT OPP       COM   409735206         189      10,966  SH     OTHER       01      10,160         806           0

HANCOCK HLDG CO                   COM   410120109       6,301     177,433  SH     DEFINED     01      28,166     149,267           0
HANCOCK HLDG CO                   COM   410120109           8         215  SH     OTHER       01         120          95           0
HANCOCK HLDG CO                   COM   410120109      37,137   1,045,807  SH     DEFINED  01,08     187,781     858,026           0
HANCOCK HLDG CO                   COM   410120109       7,927     223,219  SH     DEFINED     09     223,219           0           0

HANDY & HARMAN LTD                COM   410315105          42       2,883  SH     DEFINED     01         528       2,355           0
HANDY & HARMAN LTD                COM   410315105         794      54,970  SH     DEFINED  01,08       4,994      49,976           0
HANDY & HARMAN LTD                COM   410315105         331      22,954  SH     DEFINED     09      22,954           0           0

HANESBRANDS INC                   COM   410345102       2,575      87,170  SH     DEFINED     01      56,780      29,655         735
HANESBRANDS INC                   COM   410345102         167       5,650  SH     OTHER       01       4,660         990           0
HANESBRANDS INC                   COM   410345102      18,087     612,280  SH     DEFINED  01,08      43,692     568,588           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    144
  ________

HANGER ORTHOPEDIC GROUP INC       COM   41043F208       1,158      52,984  SH     DEFINED     01      16,890      36,094           0
HANGER ORTHOPEDIC GROUP INC       COM   41043F208       7,343     335,911  SH     DEFINED  01,08      62,119     273,792           0
HANGER ORTHOPEDIC GROUP INC       COM   41043F208       2,264     103,576  SH     DEFINED     09     103,576           0           0

HANMI FINL CORP                   COM   410495204         586      57,941  SH     DEFINED     01      14,916      43,025           0
HANMI FINL CORP                   COM   410495204       3,089     305,251  SH     DEFINED  01,08      66,724     238,527           0
HANMI FINL CORP                   COM   410495204       1,044     103,156  SH     DEFINED     09     103,156           0           0

HANOVER INS GROUP INC             COM   410867105       2,140      52,049  SH     DEFINED     01      30,610      20,989         450
HANOVER INS GROUP INC             COM   410867105         213       5,186  SH     OTHER       01       1,326       3,820          40
HANOVER INS GROUP INC             COM   410867105      11,784     286,583  SH     DEFINED  01,08      20,021     266,562           0

HANSEN MEDICAL INC                COM   411307101         112      37,217  SH     DEFINED     01       7,785      29,432           0
HANSEN MEDICAL INC                COM   411307101           7       2,265  SH     OTHER       01           0           0       2,265
HANSEN MEDICAL INC                COM   411307101       1,385     461,724  SH     DEFINED  01,08      59,443     402,281           0
HANSEN MEDICAL INC                COM   411307101         459     153,146  SH     DEFINED     09     153,146           0           0

HANWHA SOLARONE CO LTD            COM   41135V103          26      20,000  SH     DEFINED     01      20,000           0           0

HARBINGER GROUP INC               COM   41146A106         146      28,168  SH     DEFINED     01       1,007      27,161           0
HARBINGER GROUP INC               COM   41146A106          10       2,024  SH     OTHER       01           0       2,024           0
HARBINGER GROUP INC               COM   41146A106         535     103,189  SH     DEFINED  01,08      29,948      73,241           0
HARBINGER GROUP INC               COM   41146A106          17       3,284  SH     DEFINED     09       3,284           0           0

HARDINGE INC                      COM   412324303          62       6,578  SH     DEFINED     01           0       6,578           0
HARDINGE INC                      COM   412324303         208      21,943  SH     DEFINED  01,08       5,204      16,739           0

HARLEY DAVIDSON INC               COM   412822108      17,966     366,054  SH     DEFINED     01     242,381     122,554       1,119
HARLEY DAVIDSON INC               COM   412822108       1,361      27,728  SH     OTHER       01      20,329       7,194         205
HARLEY DAVIDSON INC               COM   412822108      85,032   1,732,509  SH     DEFINED  01,08     419,847   1,312,662           0
HARLEY DAVIDSON INC               COM   412822108      27,199     554,172  SH     DEFINED     09     554,172           0           0

HARLEYSVILLE GROUP INC            COM   412824104       3,278      56,817  SH     DEFINED     01       4,261      52,556           0
HARLEYSVILLE GROUP INC            COM   412824104       9,385     162,648  SH     DEFINED  01,08      61,579     101,069           0
HARLEYSVILLE GROUP INC            COM   412824104       2,093      36,274  SH     DEFINED     09      36,274           0           0

HARMAN INTL INDS INC              COM   413086109       4,552      97,241  SH     DEFINED     01      54,153      42,788         300
HARMAN INTL INDS INC              COM   413086109         125       2,667  SH     OTHER       01       1,550       1,077          40
HARMAN INTL INDS INC              COM   413086109      24,450     522,331  SH     DEFINED  01,08     127,961     394,370           0
HARMAN INTL INDS INC              COM   413086109       3,540      75,617  SH     DEFINED     09      75,617           0           0

HARMONIC INC                      COM   413160102         880     160,902  SH     DEFINED     01      58,307     102,595           0
HARMONIC INC                      COM   413160102       6,233   1,139,466  SH     DEFINED  01,08     196,170     943,296           0
HARMONIC INC                      COM   413160102       1,755     320,847  SH     DEFINED     09     320,847           0           0

HARRIS & HARRIS GROUP INC         COM   413833104         113      27,128  SH     DEFINED     01       8,278      18,850           0
HARRIS & HARRIS GROUP INC         COM   413833104       1,001     241,257  SH     DEFINED  01,08      42,118     199,139           0
HARRIS & HARRIS GROUP INC         COM   413833104         477     114,873  SH     DEFINED     09     114,873           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    145
  ________

HARRIS CORP DEL                   COM   413875105       7,357     163,192  SH     DEFINED     01     104,782      57,966         444
HARRIS CORP DEL                   COM   413875105         270       5,990  SH     OTHER       01       5,949          41           0
HARRIS CORP DEL                   COM   413875105      38,185     847,049  SH     DEFINED  01,08     192,836     654,213           0
HARRIS CORP DEL                   COM   413875105      13,057     289,638  SH     DEFINED     09     289,638           0           0

HARRIS INTERACTIVE INC            COM   414549105          31      23,111  SH     DEFINED     01         400      22,711           0
HARRIS INTERACTIVE INC            COM   414549105          92      69,168  SH     DEFINED  01,08      14,354      54,814           0

HARSCO CORP                       COM   415864107       2,979     126,977  SH     DEFINED     01     112,962      11,108       2,907
HARSCO CORP                       COM   415864107         332      14,143  SH     OTHER       01       3,296      10,732         115
HARSCO CORP                       COM   415864107      11,803     503,095  SH     DEFINED  01,08      39,354     463,741           0

HARTE-HANKS INC                   COM   416196103       1,744     192,683  SH     DEFINED     01      24,385     168,298           0
HARTE-HANKS INC                   COM   416196103       5,195     574,056  SH     DEFINED  01,08     206,661     367,395           0
HARTE-HANKS INC                   COM   416196103       1,371     151,533  SH     DEFINED     09     151,533           0           0

HARTFORD FINL SVCS GROUP INC      COM   416515104      12,188     578,163  SH     DEFINED     01     287,017     288,062       3,084
HARTFORD FINL SVCS GROUP INC      COM   416515104         824      39,107  SH     OTHER       01      19,944      18,789         374
HARTFORD FINL SVCS GROUP INC      COM   416515104      67,944   3,223,143  SH     DEFINED  01,08     750,842   2,472,301           0
HARTFORD FINL SVCS GROUP INC      COM   416515104      21,631   1,026,133  SH     DEFINED     09   1,026,133           0           0

HARTFORD FINL SVCS GROUP INC   CONV PFD 416515708       4,974     232,000         DEFINED     01      32,903     199,097           0
HARTFORD FINL SVCS GROUP INC   CONV PFD 416515708       4,269     199,097         DEFINED  01,08     199,097           0           0

HARVARD BIOSCIENCE INC            COM   416906105         133      33,980  SH     DEFINED     01       2,027      31,953           0
HARVARD BIOSCIENCE INC            COM   416906105         857     218,703  SH     DEFINED  01,08      40,012     178,691           0
HARVARD BIOSCIENCE INC            COM   416906105         252      64,244  SH     DEFINED     09      64,244           0           0

HARVEST NATURAL RESOURCES IN      COM   41754V103       1,001     141,423  SH     DEFINED     01      97,909      43,514           0
HARVEST NATURAL RESOURCES IN      COM   41754V103       2,433     343,664  SH     DEFINED  01,08      65,097     278,567           0
HARVEST NATURAL RESOURCES IN      COM   41754V103         769     108,590  SH     DEFINED     09     108,590           0           0

HASBRO INC                        COM   418056107       5,116     139,312  SH     DEFINED     01      76,803      61,893         616
HASBRO INC                        COM   418056107          88       2,402  SH     OTHER       01       1,401         951          50
HASBRO INC                        COM   418056107      31,718     863,793  SH     DEFINED  01,08     206,033     657,760           0
HASBRO INC                        COM   418056107      10,683     290,925  SH     DEFINED     09     290,925           0           0

HASTINGS ENTMT INC                COM   418365102          11       4,065  SH     DEFINED     01           0       4,065           0
HASTINGS ENTMT INC                COM   418365102          23       8,073  SH     DEFINED  01,08       5,525       2,548           0

HATTERAS FINL CORP                COM   41902R103       8,533     305,851  SH     DEFINED     01      39,348     265,676         827
HATTERAS FINL CORP                COM   41902R103          16         586  SH     OTHER       01         586           0           0
HATTERAS FINL CORP                COM   41902R103      25,366     909,172  SH     DEFINED  01,08     310,193     598,979           0
HATTERAS FINL CORP                COM   41902R103       6,122     219,440  SH     DEFINED     09     219,440           0           0

HAUPPAUGE DIGITAL INC             COM   419131107          10       7,115  SH     DEFINED     01           0       7,115           0
HAUPPAUGE DIGITAL INC             COM   419131107          40      28,476  SH     DEFINED  01,08       8,006      20,470           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    146
  ________

HAVERTY FURNITURE INC             COM   419596101       1,312     118,198  SH     DEFINED     01       8,979     109,219           0
HAVERTY FURNITURE INC             COM   419596101       3,055     275,185  SH     DEFINED  01,08     123,720     151,465           0
HAVERTY FURNITURE INC             COM   419596101         562      50,610  SH     DEFINED     09      50,610           0           0

HAWAIIAN ELEC INDUSTRIES          COM   419870100       1,068      42,123  SH     DEFINED     01      31,717      10,406           0
HAWAIIAN ELEC INDUSTRIES          COM   419870100           3         100  SH     OTHER       01           0           0         100
HAWAIIAN ELEC INDUSTRIES          COM   419870100      15,283     602,881  SH     DEFINED  01,08      46,783     556,098           0

HAWAIIAN HOLDINGS INC             COM   419879101         302      57,719  SH     DEFINED     01      14,151      43,568           0
HAWAIIAN HOLDINGS INC             COM   419879101       2,522     482,208  SH     DEFINED  01,08      63,853     418,355           0
HAWAIIAN HOLDINGS INC             COM   419879101         827     158,060  SH     DEFINED     09     158,060           0           0

HAWKINS INC                       COM   420261109         709      19,054  SH     DEFINED     01       4,341      14,713           0
HAWKINS INC                       COM   420261109       3,377      90,782  SH     DEFINED  01,08      20,654      70,128           0
HAWKINS INC                       COM   420261109       1,009      27,116  SH     DEFINED     09      27,116           0           0

HAYNES INTERNATIONAL INC          COM   420877201       1,275      20,131  SH     DEFINED     01       5,556      14,575           0
HAYNES INTERNATIONAL INC          COM   420877201          24         375  SH     OTHER       01           0         375           0
HAYNES INTERNATIONAL INC          COM   420877201       7,699     121,538  SH     DEFINED  01,08      21,948      99,590           0
HAYNES INTERNATIONAL INC          COM   420877201       2,247      35,468  SH     DEFINED     09      35,468           0           0

HEALTHCARE SVCS GRP INC           COM   421906108      16,433     772,597  SH     DEFINED     01     672,371      77,742      22,484
HEALTHCARE SVCS GRP INC           COM   421906108       1,816      85,391  SH     OTHER       01      67,231      18,160           0
HEALTHCARE SVCS GRP INC           COM   421906108      14,047     660,416  SH     DEFINED  01,08     122,670     537,746           0
HEALTHCARE SVCS GRP INC           COM   421906108       4,004     188,263  SH     DEFINED     09     188,263           0           0

HEALTHSOUTH CORP                  COM   421924309       2,370     115,708  SH     DEFINED     01      23,632      92,076           0
HEALTHSOUTH CORP                  COM   421924309         702      34,295  SH     OTHER       01       7,760      26,535           0
HEALTHSOUTH CORP                  COM   421924309      18,855     920,634  SH     DEFINED  01,08     148,590     772,044           0
HEALTHSOUTH CORP                  COM   421924309       5,685     277,596  SH     DEFINED     09     277,596           0           0

HEALTH MGMT ASSOC INC NEW         COM   421933102         860     128,009  SH     DEFINED     01      49,624      78,385           0
HEALTH MGMT ASSOC INC NEW         COM   421933102           1         185  SH     OTHER       01           0           0         185
HEALTH MGMT ASSOC INC NEW         COM   421933102      11,187   1,664,782  SH     DEFINED  01,08     159,936   1,504,846           0

HEALTHCARE RLTY TR                COM   421946104      11,230     510,467  SH     DEFINED     01      67,268     442,518         681
HEALTHCARE RLTY TR                COM   421946104      29,405   1,336,604  SH     DEFINED  01,08     707,332     629,272           0
HEALTHCARE RLTY TR                COM   421946104       6,011     273,219  SH     DEFINED     09     273,219           0           0

HEADWATERS INC                    COM   42210P102         328      78,463  SH     DEFINED     01      26,372      52,091           0
HEADWATERS INC                    COM   42210P102       2,464     589,356  SH     DEFINED  01,08      88,219     501,137           0
HEADWATERS INC                    COM   42210P102         706     168,855  SH     DEFINED     09     168,855           0           0

HEALTH CARE REIT INC              COM   42217K106      36,158     657,891  SH     DEFINED     01     528,649     114,735      14,507
HEALTH CARE REIT INC              COM   42217K106       2,319      42,194  SH     OTHER       01      39,630       2,564           0
HEALTH CARE REIT INC              COM   42217K106     102,265   1,860,719  SH     DEFINED  01,08     675,790   1,184,929           0
HEALTH CARE REIT INC              COM   42217K106      32,846     597,631  SH     DEFINED     09     597,631           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    147
  ________

HEALTH NET INC                    COM   42222G108       1,847      46,510  SH     DEFINED     01      36,001      10,289         220
HEALTH NET INC                    COM   42222G108          18         445  SH     OTHER       01         255         110          80
HEALTH NET INC                    COM   42222G108      20,692     520,936  SH     DEFINED  01,08      39,644     481,292           0
HEALTH NET INC                    COM   42222G108         178       4,490  SH     DEFINED     09       4,490           0           0

HEALTHSTREAM INC                  COM   42222N103         480      20,691  SH     DEFINED     01       6,552      14,139           0
HEALTHSTREAM INC                  COM   42222N103       4,055     174,869  SH     DEFINED  01,08      28,331     146,538           0
HEALTHSTREAM INC                  COM   42222N103       1,190      51,312  SH     DEFINED     09      51,312           0           0

HEALTHWAYS INC                    COM   422245100         342      46,451  SH     DEFINED     01      17,767      28,684           0
HEALTHWAYS INC                    COM   422245100          69       9,400  SH     OTHER       01           0       9,400           0
HEALTHWAYS INC                    COM   422245100       2,534     344,299  SH     DEFINED  01,08      60,264     284,035           0
HEALTHWAYS INC                    COM   422245100         700      95,157  SH     DEFINED     09      95,157           0           0

HEARTLAND FINL USA INC            COM   42234Q102       6,696     386,159  SH     DEFINED     01     319,312      66,847           0
HEARTLAND FINL USA INC            COM   42234Q102       3,152     181,776  SH     DEFINED  01,08      76,142     105,634           0
HEARTLAND FINL USA INC            COM   42234Q102         812      46,830  SH     DEFINED     09      46,830           0           0

HEARTLAND EXPRESS INC             COM   422347104       1,264      87,429  SH     DEFINED     01      20,124      67,305           0
HEARTLAND EXPRESS INC             COM   422347104       7,772     537,459  SH     DEFINED  01,08     107,374     430,085           0
HEARTLAND EXPRESS INC             COM   422347104       2,022     139,816  SH     DEFINED     09     139,816           0           0

HEARTLAND PMT SYS INC             COM   42235N108       1,617      56,073  SH     DEFINED     01      18,825      37,248           0
HEARTLAND PMT SYS INC             COM   42235N108          37       1,294  SH     OTHER       01         362         932           0
HEARTLAND PMT SYS INC             COM   42235N108      11,089     384,514  SH     DEFINED  01,08      71,256     313,258           0
HEARTLAND PMT SYS INC             COM   42235N108       3,089     107,121  SH     DEFINED     09     107,121           0           0

HEARTWARE INTL INC                COM   422368100         583       8,868  SH     DEFINED     01       3,118       5,750           0
HEARTWARE INTL INC                COM   422368100       6,111      93,026  SH     DEFINED  01,08      11,839      81,187           0
HEARTWARE INTL INC                COM   422368100       2,228      33,923  SH     DEFINED     09      33,923           0           0

HECKMANN CORP                     COM   422680108         300      69,646  SH     DEFINED     01      23,287      46,359           0
HECKMANN CORP                     COM   422680108       3,327     771,825  SH     DEFINED  01,08     101,714     670,111           0
HECKMANN CORP                     COM   422680108       1,185     275,016  SH     DEFINED     09     275,016           0           0

HECLA MNG CO                      COM   422704106       3,043     658,586  SH     DEFINED     01      72,894     585,692           0
HECLA MNG CO                      COM   422704106      14,055   3,042,266  SH     DEFINED  01,08     774,495   2,267,771           0
HECLA MNG CO                      COM   422704106       3,793     820,946  SH     DEFINED     09     820,946           0           0

HEICO CORP NEW                    COM   422806109       3,721      72,117  SH     DEFINED     01      37,270      34,495         352
HEICO CORP NEW                    COM   422806109         159       3,074  SH     OTHER       01       2,904         170           0
HEICO CORP NEW                    COM   422806109      17,872     346,426  SH     DEFINED  01,08      64,630     281,796           0
HEICO CORP NEW                    COM   422806109       7,900     153,132  SH     DEFINED     09     153,132           0           0

HEICO CORP NEW                    COM   422806208       1,827      45,513  SH     DEFINED     01      41,200       4,218          95
HEICO CORP NEW                    COM   422806208         103       2,570  SH     OTHER       01       1,854         716           0
HEICO CORP NEW                    COM   422806208       1,990      49,565  SH     DEFINED  01,08         885      48,680           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    148
  ________

HEIDRICK & STRUGGLES INTL IN      COM   422819102       3,771     171,184  SH     DEFINED     01       9,455     161,729           0
HEIDRICK & STRUGGLES INTL IN      COM   422819102       7,249     329,045  SH     DEFINED  01,08     178,625     150,420           0
HEIDRICK & STRUGGLES INTL IN      COM   422819102       1,070      48,562  SH     DEFINED     09      48,562           0           0

HEINZ H J CO                      COM   423074103     150,578   2,811,914  SH     DEFINED     01   2,535,003     216,486      60,425
HEINZ H J CO                      COM   423074103      28,977     541,121  SH     OTHER       01     453,384      55,772      31,965
HEINZ H J CO                      COM   423074103     128,087   2,391,912  SH     DEFINED  01,08     580,071   1,811,841           0
HEINZ H J CO                      COM   423074103      42,667     796,761  SH     DEFINED     09     796,761           0           0

HELIX ENERGY SOLUTIONS GRP I      COM   42330P107       6,667     374,567  SH     DEFINED     01     248,181     120,802       5,584
HELIX ENERGY SOLUTIONS GRP I      COM   42330P107         263      14,773  SH     OTHER       01       7,986       6,507         280
HELIX ENERGY SOLUTIONS GRP I      COM   42330P107      23,320   1,310,102  SH     DEFINED  01,08     166,385   1,143,717           0
HELIX ENERGY SOLUTIONS GRP I      COM   42330P107       5,655     317,688  SH     DEFINED     09     317,688           0           0

HELMERICH & PAYNE INC             COM   423452101       8,268     153,254  SH     DEFINED     01      65,037      67,580      20,637
HELMERICH & PAYNE INC             COM   423452101         716      13,275  SH     OTHER       01       6,064       7,161          50
HELMERICH & PAYNE INC             COM   423452101      42,232     782,798  SH     DEFINED  01,08     193,784     589,014           0
HELMERICH & PAYNE INC             COM   423452101      14,646     271,482  SH     DEFINED     09     271,482           0           0

HEMISPHERX BIOPHARMA INC          COM   42366C103          12      31,270  SH     DEFINED     01         400      30,870           0
HEMISPHERX BIOPHARMA INC          COM   42366C103          66     169,677  SH     DEFINED  01,08      13,298     156,379           0

HENRY JACK & ASSOC INC            COM   426281101       8,612     252,407  SH     DEFINED     01     154,932      96,017       1,458
HENRY JACK & ASSOC INC            COM   426281101         513      15,047  SH     OTHER       01       1,767      12,790         490
HENRY JACK & ASSOC INC            COM   426281101      36,726   1,076,379  SH     DEFINED  01,08     132,789     943,590           0
HENRY JACK & ASSOC INC            COM   426281101       8,775     257,166  SH     DEFINED     09     257,166           0           0

HERITAGE COMMERCE CORP            COM   426927109         116      18,057  SH     DEFINED     01       4,491      13,566           0
HERITAGE COMMERCE CORP            COM   426927109       1,194     185,684  SH     DEFINED  01,08      22,610     163,074           0
HERITAGE COMMERCE CORP            COM   426927109         428      66,601  SH     DEFINED     09      66,601           0           0

HERCULES OFFSHORE INC             COM   427093109         582     122,967  SH     DEFINED     01      29,630      93,337           0
HERCULES OFFSHORE INC             COM   427093109       5,277   1,115,576  SH     DEFINED  01,08     151,431     964,145           0
HERCULES OFFSHORE INC             COM   427093109       1,897     401,057  SH     DEFINED     09     401,057           0           0

HERCULES TECH GROWTH CAP INC      COM   427096508       3,536     319,157  SH     DEFINED     01      26,641     292,516           0
HERCULES TECH GROWTH CAP INC      COM   427096508       7,460     673,330  SH     DEFINED  01,08     355,750     317,580           0
HERCULES TECH GROWTH CAP INC      COM   427096508       1,621     146,276  SH     DEFINED     09     146,276           0           0

HERITAGE FINL CORP WASH           COM   42722X106         225      16,524  SH     DEFINED     01       3,653      12,871           0
HERITAGE FINL CORP WASH           COM   42722X106       1,693     124,457  SH     DEFINED  01,08      19,061     105,396           0
HERITAGE FINL CORP WASH           COM   42722X106         513      37,694  SH     DEFINED     09      37,694           0           0

HERITAGE CRYSTAL CLEAN INC        COM   42726M106          75       3,742  SH     DEFINED     01       1,142       2,600           0
HERITAGE CRYSTAL CLEAN INC        COM   42726M106         859      43,036  SH     DEFINED  01,08       4,945      38,091           0
HERITAGE CRYSTAL CLEAN INC        COM   42726M106         321      16,112  SH     DEFINED     09      16,112           0           0

HERITAGE FINL GROUP INC           COM   42726X102          45       3,800  SH     DEFINED     01           0       3,800           0
HERITAGE FINL GROUP INC           COM   42726X102         139      11,790  SH     DEFINED  01,08       4,503       7,287           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    149
  ________

HERSHA HOSPITALITY TR             COM   427825104       1,010     184,931  SH     DEFINED     01      40,858     144,073           0
HERSHA HOSPITALITY TR             COM   427825104       8,849   1,620,756  SH     DEFINED  01,08     458,724   1,162,032           0
HERSHA HOSPITALITY TR             COM   427825104       2,686     491,886  SH     DEFINED     09     491,886           0           0

HERSHEY CO                        COM   427866108      10,900     177,723  SH     DEFINED     01      95,903      80,766       1,054
HERSHEY CO                        COM   427866108       1,124      18,331  SH     OTHER       01       4,468      12,701       1,162
HERSHEY CO                        COM   427866108      70,429   1,148,368  SH     DEFINED  01,08     275,425     872,943           0
HERSHEY CO                        COM   427866108      23,419     381,856  SH     DEFINED     09     381,856           0           0

HESKA CORP                        COM   42805E306          31       2,722  SH     DEFINED     01           0       2,722           0
HESKA CORP                        COM   42805E306         163      14,297  SH     DEFINED  01,08       6,971       7,326           0

HERTZ GLOBAL HOLDINGS INC         COM   42805T105       2,445     162,592  SH     DEFINED     01     115,718      46,234         640
HERTZ GLOBAL HOLDINGS INC         COM   42805T105          91       6,058  SH     OTHER       01       2,128       3,441         489
HERTZ GLOBAL HOLDINGS INC         COM   42805T105      12,307     818,309  SH     DEFINED  01,08      80,746     737,563           0
HERTZ GLOBAL HOLDINGS INC         COM   42805T105       5,374     357,291  SH     DEFINED     09     357,291           0           0

HESS CORP                         COM   42809H107      29,680     503,477  SH     DEFINED     01     324,549     176,615       2,313
HESS CORP                         COM   42809H107       2,024      34,335  SH     OTHER       01      15,392      18,023         920
HESS CORP                         COM   42809H107     131,086   2,223,677  SH     DEFINED  01,08     514,793   1,708,884           0
HESS CORP                         COM   42809H107      44,629     757,063  SH     DEFINED     09     757,063           0           0

HEWLETT PACKARD CO                COM   428236103      73,151   3,069,710  SH     DEFINED     01   1,723,609   1,260,861      85,240
HEWLETT PACKARD CO                COM   428236103      12,823     538,105  SH     OTHER       01     308,689     167,540      61,876
HEWLETT PACKARD CO                COM   428236103     351,711  14,759,168  SH     DEFINED  01,08   3,613,995  11,145,173           0
HEWLETT PACKARD CO                COM   428236103     117,888   4,947,048  SH     DEFINED     09   4,947,048           0           0

HEXCEL CORP NEW                   COM   428291108       3,850     160,366  SH     DEFINED     01      27,727     132,439         200
HEXCEL CORP NEW                   COM   428291108         399      16,600  SH     OTHER       01           0      16,600           0
HEXCEL CORP NEW                   COM   428291108      23,557     981,115  SH     DEFINED  01,08     190,750     790,365           0
HEXCEL CORP NEW                   COM   428291108       6,736     280,569  SH     DEFINED     09     280,569           0           0

HHGREGG INC                       COM   42833L108         340      29,881  SH     DEFINED     01       3,970      25,911           0
HHGREGG INC                       COM   42833L108       2,002     175,939  SH     DEFINED  01,08      31,345     144,594           0
HHGREGG INC                       COM   42833L108         651      57,175  SH     DEFINED     09      57,175           0           0

HI-TECH PHARMACAL INC             COM   42840B101         617      17,186  SH     DEFINED     01       4,750      12,436           0
HI-TECH PHARMACAL INC             COM   42840B101       3,709     103,229  SH     DEFINED  01,08      19,614      83,615           0
HI-TECH PHARMACAL INC             COM   42840B101       1,210      33,668  SH     DEFINED     09      33,668           0           0

HIBBETT SPORTS INC                COM   428567101       5,780     105,962  SH     DEFINED     01      74,927      30,421         614
HIBBETT SPORTS INC                COM   428567101         165       3,021  SH     OTHER       01       1,711       1,080         230
HIBBETT SPORTS INC                COM   428567101      14,678     269,079  SH     DEFINED  01,08      48,466     220,613           0
HIBBETT SPORTS INC                COM   428567101       4,464      81,835  SH     DEFINED     09      81,835           0           0

HICKORY TECH CORP                 COM   429060106         247      23,840  SH     DEFINED     01       3,028      20,812           0
HICKORY TECH CORP                 COM   429060106       1,427     138,001  SH     DEFINED  01,08      27,305     110,696           0
HICKORY TECH CORP                 COM   429060106         307      29,690  SH     DEFINED     09      29,690           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    150
  ________

HIGHER ONE HLDGS INC              COM   42983D104         658      44,012  SH     DEFINED     01      20,246      23,766           0
HIGHER ONE HLDGS INC              COM   42983D104          14         960  SH     OTHER       01         960           0           0
HIGHER ONE HLDGS INC              COM   42983D104       4,328     289,497  SH     DEFINED  01,08      37,702     251,795           0
HIGHER ONE HLDGS INC              COM   42983D104       1,232      82,399  SH     DEFINED     09      82,399           0           0

HIGHWOODS PPTYS INC               COM   431284108      10,431     313,068  SH     DEFINED     01      23,812     289,106         150
HIGHWOODS PPTYS INC               COM   431284108          17         500  SH     OTHER       01         500           0           0
HIGHWOODS PPTYS INC               COM   431284108      40,665   1,220,440  SH     DEFINED  01,08     435,941     784,499           0
HIGHWOODS PPTYS INC               COM   431284108       8,024     240,804  SH     DEFINED     09     240,804           0           0

HILL INTERNATIONAL INC            COM   431466101         113      28,660  SH     DEFINED     01       7,103      21,557           0
HILL INTERNATIONAL INC            COM   431466101         922     234,718  SH     DEFINED  01,08      35,821     198,897           0
HILL INTERNATIONAL INC            COM   431466101         271      68,978  SH     DEFINED     09      68,978           0           0

HILL ROM HLDGS INC                COM   431475102       2,422      72,503  SH     DEFINED     01      43,250      28,678         575
HILL ROM HLDGS INC                COM   431475102         111       3,337  SH     OTHER       01       1,692       1,595          50
HILL ROM HLDGS INC                COM   431475102      13,690     409,745  SH     DEFINED  01,08      34,626     375,119           0

HILLENBRAND INC                   COM   431571108       1,930      84,084  SH     DEFINED     01      27,735      56,349           0
HILLENBRAND INC                   COM   431571108         106       4,625  SH     OTHER       01       4,625           0           0
HILLENBRAND INC                   COM   431571108      13,685     596,301  SH     DEFINED  01,08      92,779     503,522           0
HILLENBRAND INC                   COM   431571108       4,242     184,853  SH     DEFINED     09     184,853           0           0

HILLTOP HOLDINGS INC              COM   432748101         720      85,864  SH     DEFINED     01      51,356      34,508           0
HILLTOP HOLDINGS INC              COM   432748101       3,264     389,052  SH     DEFINED  01,08      59,356     329,696           0
HILLTOP HOLDINGS INC              COM   432748101         968     115,372  SH     DEFINED     09     115,372           0           0

HITACHI LIMITED                   COM   433578507       8,348     129,053  SH     DEFINED     01     121,078       7,975           0
HITACHI LIMITED                   COM   433578507         798      12,333  SH     OTHER       01      10,370       1,963           0
HITACHI LIMITED                   COM   433578507       1,532      23,682  SH     DEFINED  01,08      23,682           0           0

HITTITE MICROWAVE CORP            COM   43365Y104       3,856      70,992  SH     DEFINED     01      40,270      30,537         185
HITTITE MICROWAVE CORP            COM   43365Y104          57       1,045  SH     OTHER       01         600         445           0
HITTITE MICROWAVE CORP            COM   43365Y104      16,287     299,895  SH     DEFINED  01,08      48,595     251,300           0
HITTITE MICROWAVE CORP            COM   43365Y104       5,139      94,630  SH     DEFINED     09      94,630           0           0

HOKU CORP                         COM   434711107           1       1,800  SH     DEFINED     01           0       1,800           0
HOKU CORP                         COM   434711107          19      30,212  SH     DEFINED  01,08       1,270      28,942           0

HOLLY ENERGY PARTNERS L P         COM   435763107         394       6,450  SH     DEFINED     01       6,450           0           0
HOLLY ENERGY PARTNERS L P         COM   435763107          12         200  SH     OTHER       01         200           0           0

HOLLYFRONTIER CORP                COM   436106108      10,049     312,562  SH     DEFINED     01     263,643      48,919           0
HOLLYFRONTIER CORP                COM   436106108         309       9,625  SH     OTHER       01       9,426         140          59
HOLLYFRONTIER CORP                COM   436106108      40,475   1,258,930  SH     DEFINED  01,08      83,096   1,175,834           0
HOLLYFRONTIER CORP                COM   436106108       9,767     303,789  SH     DEFINED     09     303,789           0           0

HOLLYWOOD MEDIA CORP              COM   436233100           9       8,450  SH     DEFINED     01           0       8,450           0
HOLLYWOOD MEDIA CORP              COM   436233100          18      17,148  SH     DEFINED  01,08       6,013      11,135           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    151
  ________

HOLOGIC INC                    CONV DEB 436440AA9       5,963   6,000,000  PRN    DEFINED     01     400,000   5,600,000           0
HOLOGIC INC                    CONV DEB 436440AA9       5,565   5,600,000  PRN    DEFINED  01,08   5,600,000           0           0

HOLOGIC INC                       COM   436440101       2,255     104,645  SH     DEFINED     01      76,685      27,960           0
HOLOGIC INC                       COM   436440101         250      11,580  SH     OTHER       01       9,500       2,080           0
HOLOGIC INC                       COM   436440101      35,034   1,625,708  SH     DEFINED  01,08      97,244   1,528,464           0
HOLOGIC INC                       COM   436440101       7,098     329,363  SH     DEFINED     09     329,363           0           0

HOME BANCSHARES INC               COM   436893200       2,655      99,785  SH     DEFINED     01      11,886      87,899           0
HOME BANCSHARES INC               COM   436893200       8,063     303,003  SH     DEFINED  01,08     106,829     196,174           0
HOME BANCSHARES INC               COM   436893200       1,641      61,670  SH     DEFINED     09      61,670           0           0

HOME DEPOT INC                    COM   437076102     291,626   5,796,574  SH     DEFINED     01   4,488,673   1,174,206     133,695
HOME DEPOT INC                    COM   437076102      53,353   1,060,489  SH     OTHER       01     700,382     259,550     100,557
HOME DEPOT INC                    COM   437076102     593,381  11,794,494  SH     DEFINED  01,08   2,956,427   8,838,067           0
HOME DEPOT INC                    COM   437076102     192,730   3,830,841  SH     DEFINED     09   3,830,841           0           0

HOME FED BANCORP INC MD           COM   43710G105         187      18,466  SH     DEFINED     01       4,992      13,474           0
HOME FED BANCORP INC MD           COM   43710G105       1,556     153,639  SH     DEFINED  01,08      22,722     130,917           0
HOME FED BANCORP INC MD           COM   43710G105         565      55,788  SH     DEFINED     09      55,788           0           0

HOME PROPERTIES INC               COM   437306103       8,610     141,124  SH     DEFINED     01      36,812     104,088         224
HOME PROPERTIES INC               COM   437306103          16         265  SH     OTHER       01         185          80           0
HOME PROPERTIES INC               COM   437306103      44,309     726,254  SH     DEFINED  01,08     199,245     527,009           0
HOME PROPERTIES INC               COM   437306103      10,274     168,403  SH     DEFINED     09     168,403           0           0

HOMEAWAY INC                      COM   43739Q100         100       3,943  SH     DEFINED     01         929       3,014           0
HOMEAWAY INC                      COM   43739Q100          63       2,479  SH     OTHER       01           0           0       2,479
HOMEAWAY INC                      COM   43739Q100       1,314      51,863  SH     DEFINED  01,08       1,331      50,532           0

HOMESTREET INC                    COM   43785V102          25         900  SH     DEFINED     01           0         900           0
HOMESTREET INC                    COM   43785V102         225       8,096  SH     DEFINED  01,08       3,348       4,748           0
HOMESTREET INC                    COM   43785V102         395      14,222  SH     DEFINED     09      14,222           0           0

HONDA MOTOR LTD                   COM   438128308      20,091     522,803  SH     DEFINED     01     502,812      15,443       4,548
HONDA MOTOR LTD                   COM   438128308       1,476      38,413  SH     OTHER       01      18,066      17,447       2,900
HONDA MOTOR LTD                   COM   438128308       3,927     102,176  SH     DEFINED  01,08     102,176           0           0

HONEYWELL INTL INC                COM   438516106      76,837   1,258,597  SH     DEFINED     01     776,388     461,778      20,431
HONEYWELL INTL INC                COM   438516106       7,378     120,848  SH     OTHER       01      78,917      37,110       4,821
HONEYWELL INTL INC                COM   438516106     356,186   5,834,331  SH     DEFINED  01,08   1,431,348   4,402,983           0
HONEYWELL INTL INC                COM   438516106     102,496   1,678,888  SH     DEFINED     09   1,678,888           0           0

HOOKER FURNITURE CORP             COM   439038100         948      69,447  SH     DEFINED     01         158      69,289           0
HOOKER FURNITURE CORP             COM   439038100       1,163      85,232  SH     DEFINED  01,08      70,419      14,813           0

HOOPER HOLMES INC                 COM   439104100          25      36,164  SH     DEFINED     01         700      35,464           0
HOOPER HOLMES INC                 COM   439104100          91     129,841  SH     DEFINED  01,08      25,351     104,490           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    152
  ________

HOPFED BANCORP INC                COM   439734104          31       3,658  SH     DEFINED     01           0       3,658           0
HOPFED BANCORP INC                COM   439734104          73       8,674  SH     DEFINED  01,08       3,563       5,111           0

HORACE MANN EDUCATORS CORP N      COM   440327104       5,702     323,587  SH     DEFINED     01      21,514     301,973         100
HORACE MANN EDUCATORS CORP N      COM   440327104      11,853     672,684  SH     DEFINED  01,08     343,140     329,544           0
HORACE MANN EDUCATORS CORP N      COM   440327104       2,020     114,654  SH     DEFINED     09     114,654           0           0

HORMEL FOODS CORP                 COM   440452100       5,213     176,586  SH     DEFINED     01      85,009      91,214         363
HORMEL FOODS CORP                 COM   440452100         138       4,666  SH     OTHER       01       2,419       2,247           0
HORMEL FOODS CORP                 COM   440452100      30,282   1,025,809  SH     DEFINED  01,08     248,440     777,369           0
HORMEL FOODS CORP                 COM   440452100      10,294     348,708  SH     DEFINED     09     348,708           0           0

HORNBECK OFFSHORE SVCS INC N      COM   440543106      10,720     255,058  SH     DEFINED     01      14,782     240,276           0
HORNBECK OFFSHORE SVCS INC N      COM   440543106      21,641     514,888  SH     DEFINED  01,08     262,708     252,180           0
HORNBECK OFFSHORE SVCS INC N      COM   440543106       3,841      91,387  SH     DEFINED     09      91,387           0           0

HORSEHEAD HLDG CORP               COM   440694305         743      65,244  SH     DEFINED     01      14,359      50,885           0
HORSEHEAD HLDG CORP               COM   440694305       4,795     421,010  SH     DEFINED  01,08      67,468     353,542           0
HORSEHEAD HLDG CORP               COM   440694305       1,354     118,854  SH     DEFINED     09     118,854           0           0

HOSPITALITY PPTYS TR              COM   44106M102       1,532      57,875  SH     DEFINED     01      43,559      14,316           0
HOSPITALITY PPTYS TR              COM   44106M102          37       1,390  SH     OTHER       01       1,330           0          60
HOSPITALITY PPTYS TR              COM   44106M102      26,708   1,008,986  SH     DEFINED  01,08     278,774     730,212           0
HOSPITALITY PPTYS TR              COM   44106M102       1,823      68,888  SH     DEFINED     09      68,888           0           0

HOSPIRA INC                       COM   441060100      12,898     344,947  SH     DEFINED     01     233,816     100,518      10,613
HOSPIRA INC                       COM   441060100       4,340     116,072  SH     OTHER       01      46,643      55,464      13,965
HOSPIRA INC                       COM   441060100      46,137   1,233,941  SH     DEFINED  01,08     298,601     935,340           0
HOSPIRA INC                       COM   441060100      16,390     438,347  SH     DEFINED     09     438,347           0           0

HOST HOTELS & RESORTS INC         COM   44107P104      12,996     791,503  SH     DEFINED     01     406,949     382,307       2,247
HOST HOTELS & RESORTS INC         COM   44107P104         228      13,910  SH     OTHER       01      13,115         383         412
HOST HOTELS & RESORTS INC         COM   44107P104     101,786   6,198,909  SH     DEFINED  01,08   2,256,875   3,942,034           0
HOST HOTELS & RESORTS INC         COM   44107P104      33,696   2,052,137  SH     DEFINED     09   2,052,137           0           0

HOT TOPIC INC                     COM   441339108         701      69,073  SH     DEFINED     01      21,254      47,819           0
HOT TOPIC INC                     COM   441339108       4,377     431,193  SH     DEFINED  01,08      90,049     341,144           0
HOT TOPIC INC                     COM   441339108       1,204     118,589  SH     DEFINED     09     118,589           0           0

HOUSTON AMERN ENERGY CORP         COM   44183U100          89      17,112  SH     DEFINED     01       1,987      15,125           0
HOUSTON AMERN ENERGY CORP         COM   44183U100         812     155,594  SH     DEFINED  01,08      21,832     133,762           0
HOUSTON AMERN ENERGY CORP         COM   44183U100         267      51,073  SH     DEFINED     09      51,073           0           0

HOUSTON WIRE & CABLE CO           COM   44244K109         257      18,500  SH     DEFINED     01       4,776      13,724           0
HOUSTON WIRE & CABLE CO           COM   44244K109       2,370     170,615  SH     DEFINED  01,08      27,105     143,510           0
HOUSTON WIRE & CABLE CO           COM   44244K109         703      50,625  SH     DEFINED     09      50,625           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    153
  ________

HOVNANIAN ENTERPRISES INC         COM   442487203         191      77,924  SH     DEFINED     01      15,410      62,514           0
HOVNANIAN ENTERPRISES INC         COM   442487203       1,468     599,304  SH     DEFINED  01,08      88,192     511,112           0
HOVNANIAN ENTERPRISES INC         COM   442487203         398     162,513  SH     DEFINED     09     162,513           0           0

HOWARD HUGHES CORP                COM   44267D107         432       6,766  SH     DEFINED     01       4,740       2,026           0
HOWARD HUGHES CORP                COM   44267D107           2          25  SH     OTHER       01           0           0          25
HOWARD HUGHES CORP                COM   44267D107       4,999      78,275  SH     DEFINED  01,08       9,894      68,381           0

HUB GROUP INC                     COM   443320106       3,383      93,889  SH     DEFINED     01      37,221      56,518         150
HUB GROUP INC                     COM   443320106          14         400  SH     OTHER       01         315          85           0
HUB GROUP INC                     COM   443320106      13,669     379,372  SH     DEFINED  01,08      77,437     301,935           0
HUB GROUP INC                     COM   443320106       3,953     109,719  SH     DEFINED     09     109,719           0           0

HUBBELL INC                       COM   443510201       1,593      20,268  SH     DEFINED     01      15,506       4,762           0
HUBBELL INC                       COM   443510201         216       2,752  SH     OTHER       01       2,752           0           0
HUBBELL INC                       COM   443510201      29,533     375,828  SH     DEFINED  01,08      28,335     347,493           0

HUDSON CITY BANCORP               COM   443683107       4,472     611,347  SH     DEFINED     01     347,319     262,805       1,223
HUDSON CITY BANCORP               COM   443683107          61       8,349  SH     OTHER       01       7,708         336         305
HUDSON CITY BANCORP               COM   443683107      27,427   3,749,360  SH     DEFINED  01,08     922,153   2,827,207           0
HUDSON CITY BANCORP               COM   443683107       8,944   1,222,719  SH     DEFINED     09   1,222,719           0           0

HUDSON HIGHLAND GROUP INC         COM   443792106         125      23,162  SH     DEFINED     01       3,908      19,254           0
HUDSON HIGHLAND GROUP INC         COM   443792106       1,539     286,108  SH     DEFINED  01,08      31,777     254,331           0
HUDSON HIGHLAND GROUP INC         COM   443792106         458      85,183  SH     DEFINED     09      85,183           0           0

HUDSON PAC PPTYS INC              COM   444097109         255      16,865  SH     DEFINED     01       5,252      11,613           0
HUDSON PAC PPTYS INC              COM   444097109       3,272     216,246  SH     DEFINED  01,08      24,960     191,286           0
HUDSON PAC PPTYS INC              COM   444097109       1,104      72,944  SH     DEFINED     09      72,944           0           0

HUDSON TECHNOLOGIES INC           COM   444144109           1         312  SH     DEFINED     01           0         312           0
HUDSON TECHNOLOGIES INC           COM   444144109          49      14,753  SH     DEFINED  01,08         312      14,441           0

HUDSON VALLEY HOLDING CORP        COM   444172100         201      12,432  SH     DEFINED     01       5,364       7,068           0
HUDSON VALLEY HOLDING CORP        COM   444172100       2,261     140,174  SH     DEFINED  01,08      17,320     122,854           0
HUDSON VALLEY HOLDING CORP        COM   444172100         778      48,237  SH     DEFINED     09      48,237           0           0

HUGOTON RTY TR TEX                COM   444717102           0          33  SH     DEFINED     01          33           0           0
HUGOTON RTY TR TEX                COM   444717102         499      34,000  SH     OTHER       01       9,000           0      25,000

HUMANA INC                        COM   444859102      26,209     283,400  SH     DEFINED     01     173,280     108,166       1,954
HUMANA INC                        COM   444859102       1,181      12,773  SH     OTHER       01       6,895       5,823          55
HUMANA INC                        COM   444859102     115,642   1,250,454  SH     DEFINED  01,08     322,376     928,078           0
HUMANA INC                        COM   444859102      37,063     400,763  SH     DEFINED     09     400,763           0           0

HUMAN GENOME SCIENCES INC         COM   444903108       1,396     169,435  SH     DEFINED     01     118,091      51,344           0
HUMAN GENOME SCIENCES INC         COM   444903108           7         800  SH     OTHER       01         390         310         100
HUMAN GENOME SCIENCES INC         COM   444903108       5,889     714,657  SH     DEFINED  01,08      77,415     637,242           0
HUMAN GENOME SCIENCES INC         COM   444903108          43       5,275  SH     DEFINED     09       5,275           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    154
  ________

HUNT J B TRANS SVCS INC           COM   445658107       2,368      43,556  SH     DEFINED     01      32,856      10,500         200
HUNT J B TRANS SVCS INC           COM   445658107           6         114  SH     OTHER       01           0           0         114
HUNT J B TRANS SVCS INC           COM   445658107      31,715     583,317  SH     DEFINED  01,08      42,958     540,359           0
HUNT J B TRANS SVCS INC           COM   445658107       7,345     135,092  SH     DEFINED     09     135,092           0           0

HUNTINGTON BANCSHARES INC         COM   446150104       6,195     961,224  SH     DEFINED     01     512,528     446,830       1,866
HUNTINGTON BANCSHARES INC         COM   446150104          80      12,336  SH     OTHER       01      11,559         177         600
HUNTINGTON BANCSHARES INC         COM   446150104      41,005   6,362,281  SH     DEFINED  01,08   1,534,229   4,828,052           0
HUNTINGTON BANCSHARES INC         COM   446150104       5,388     835,999  SH     DEFINED     09     835,999           0           0

HUNTINGTON INGALLS INDS INC       COM   446413106         847      21,052  SH     DEFINED     01      16,875       4,134          43
HUNTINGTON INGALLS INDS INC       COM   446413106         145       3,601  SH     OTHER       01         248       3,333          20
HUNTINGTON INGALLS INDS INC       COM   446413106      11,837     294,168  SH     DEFINED  01,08      18,693     275,475           0
HUNTINGTON INGALLS INDS INC       COM   446413106          78       1,937  SH     DEFINED     09       1,937           0           0

HUNTSMAN CORP                     COM   447011107       1,051      74,999  SH     DEFINED     01      55,413      19,586           0
HUNTSMAN CORP                     COM   447011107           2         125  SH     OTHER       01           0           0         125
HUNTSMAN CORP                     COM   447011107      10,841     773,821  SH     DEFINED  01,08     205,058     568,763           0

HURCO COMPANIES INC               COM   447324104         310      10,974  SH     DEFINED     01       1,930       9,044           0
HURCO COMPANIES INC               COM   447324104       1,842      65,194  SH     DEFINED  01,08      12,387      52,807           0
HURCO COMPANIES INC               COM   447324104         457      16,190  SH     DEFINED     09      16,190           0           0

HURON CONSULTING GROUP INC        COM   447462102       1,988      52,934  SH     DEFINED     01      30,551      22,383           0
HURON CONSULTING GROUP INC        COM   447462102         106       2,820  SH     OTHER       01       2,820           0           0
HURON CONSULTING GROUP INC        COM   447462102       8,192     218,094  SH     DEFINED  01,08      34,906     183,188           0
HURON CONSULTING GROUP INC        COM   447462102       2,349      62,539  SH     DEFINED     09      62,539           0           0

HUTCHINSON TECHNOLOGY INC         COM   448407106          23      10,380  SH     DEFINED     01          90      10,290           0
HUTCHINSON TECHNOLOGY INC         COM   448407106          90      40,981  SH     DEFINED  01,08       7,166      33,815           0

HYATT HOTELS CORP                 COM   448579102       1,900      44,468  SH     DEFINED     01      39,131       3,537       1,800
HYATT HOTELS CORP                 COM   448579102         160       3,740  SH     OTHER       01           0       3,525         215
HYATT HOTELS CORP                 COM   448579102       5,450     127,572  SH     DEFINED  01,08      10,305     117,267           0

IDT CORP                          COM   448947507         212      22,676  SH     DEFINED     01       4,243      18,433           0
IDT CORP                          COM   448947507       1,714     183,550  SH     DEFINED  01,08      61,792     121,758           0
IDT CORP                          COM   448947507         392      41,955  SH     DEFINED     09      41,955           0           0

HYPERDYNAMICS CORP                COM   448954107         250     193,513  SH     DEFINED     01      90,665     102,848           0
HYPERDYNAMICS CORP                COM   448954107       1,872   1,450,874  SH     DEFINED  01,08     193,910   1,256,964           0
HYPERDYNAMICS CORP                COM   448954107         552     428,226  SH     DEFINED     09     428,226           0           0

IAC INTERACTIVECORP               COM   44919P508       4,130      84,127  SH     DEFINED     01      75,259       8,868           0
IAC INTERACTIVECORP               COM   44919P508          80       1,629  SH     OTHER       01         357       1,272           0
IAC INTERACTIVECORP               COM   44919P508      12,563     255,911  SH     DEFINED  01,08      35,488     220,423           0
IAC INTERACTIVECORP               COM   44919P508         188       3,833  SH     DEFINED     09       3,833           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    155
  ________

ICF INTL INC                      COM   44925C103         513      20,226  SH     DEFINED     01       6,483      13,743           0
ICF INTL INC                      COM   44925C103         128       5,050  SH     OTHER       01       4,725         325           0
ICF INTL INC                      COM   44925C103       4,807     189,491  SH     DEFINED  01,08      25,729     163,762           0
ICF INTL INC                      COM   44925C103       1,377      54,262  SH     DEFINED     09      54,262           0           0

ICG GROUP INC                     COM   44928D108         361      40,359  SH     DEFINED     01      10,558      29,701         100
ICG GROUP INC                     COM   44928D108       3,181     355,401  SH     DEFINED  01,08      52,788     302,613           0
ICG GROUP INC                     COM   44928D108         966     107,955  SH     DEFINED     09     107,955           0           0

ICU MED INC                       COM   44930G107         955      19,435  SH     DEFINED     01       6,211      13,224           0
ICU MED INC                       COM   44930G107       5,940     120,833  SH     DEFINED  01,08      21,538      99,295           0
ICU MED INC                       COM   44930G107       1,906      38,762  SH     DEFINED     09      38,762           0           0

ICAD INC                          COM   44934S107           9      18,594  SH     DEFINED     01       2,000      16,594           0
ICAD INC                          COM   44934S107          31      63,982  SH     DEFINED  01,08      12,498      51,484           0

I D SYSTEMS INC                   COM   449489103          33       5,523  SH     DEFINED     01           0       5,523           0
I D SYSTEMS INC                   COM   449489103         100      16,734  SH     DEFINED  01,08       5,056      11,678           0

IEC ELECTRS CORP NEW              COM   44949L105          28       5,199  SH     DEFINED     01           0       5,199           0
IEC ELECTRS CORP NEW              COM   44949L105          83      15,306  SH     DEFINED  01,08       5,199      10,107           0

IGI LABS INC                      COM   449575109           4       4,165  SH     DEFINED     01           0       4,165           0
IGI LABS INC                      COM   449575109          15      13,632  SH     DEFINED  01,08       3,075      10,557           0

IGO INC                           COM   449593102          10      11,923  SH     DEFINED     01           0      11,923           0
IGO INC                           COM   449593102          47      55,077  SH     DEFINED  01,08       6,550      48,527           0

IPG PHOTONICS CORP                COM   44980X109         463       8,896  SH     DEFINED     01       4,709       4,187           0
IPG PHOTONICS CORP                COM   44980X109       5,217     100,239  SH     DEFINED  01,08       8,236      92,003           0

IPC THE HOSPITALIST CO INC        COM   44984A105       2,763      74,849  SH     DEFINED     01      42,374      30,885       1,590
IPC THE HOSPITALIST CO INC        COM   44984A105         214       5,790  SH     OTHER       01       2,625       3,055         110
IPC THE HOSPITALIST CO INC        COM   44984A105       6,108     165,496  SH     DEFINED  01,08      32,969     132,527           0
IPC THE HOSPITALIST CO INC        COM   44984A105       1,688      45,741  SH     DEFINED     09      45,741           0           0

ISTAR FINL INC                    COM   45031U101         795     109,633  SH     DEFINED     01      25,837      83,796           0
ISTAR FINL INC                    COM   45031U101       5,800     799,963  SH     DEFINED  01,08     135,957     664,006           0
ISTAR FINL INC                    COM   45031U101       2,054     283,299  SH     DEFINED     09     283,299           0           0

ISTA PHARMACEUTICALS INC          COM   45031X204         385      42,734  SH     DEFINED     01      16,078      26,656           0
ISTA PHARMACEUTICALS INC          COM   45031X204       2,845     315,725  SH     DEFINED  01,08      52,280     263,445           0
ISTA PHARMACEUTICALS INC          COM   45031X204         874      97,048  SH     DEFINED     09      97,048           0           0

ITT EDUCATIONAL SERVICES INC      COM   45068B109         908      13,727  SH     DEFINED     01       7,296       6,431           0
ITT EDUCATIONAL SERVICES INC      COM   45068B109      10,032     151,674  SH     DEFINED  01,08      13,398     138,276           0

IVAX DIAGNOSTICS INC              COM   45070W109           7      10,093  SH     DEFINED     01         300       9,793           0
IVAX DIAGNOSTICS INC              COM   45070W109           6       9,125  SH     DEFINED  01,08       5,155       3,970           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    156
  ________

IXIA                              COM   45071R109       1,043      83,440  SH     DEFINED     01      12,043      71,397           0
IXIA                              COM   45071R109       5,347     427,556  SH     DEFINED  01,08      91,733     335,823           0
IXIA                              COM   45071R109       1,403     112,177  SH     DEFINED     09     112,177           0           0

IBERIABANK CORP                   COM   450828108       8,758     163,800  SH     DEFINED     01      50,914     112,546         340
IBERIABANK CORP                   COM   450828108         127       2,374  SH     OTHER       01       1,599         775           0
IBERIABANK CORP                   COM   450828108      19,426     363,310  SH     DEFINED  01,08     121,099     242,211           0
IBERIABANK CORP                   COM   450828108       4,620      86,402  SH     DEFINED     09      86,402           0           0

ITT CORP NEW                      COM   450911201       3,165     137,970  SH     DEFINED     01     105,541      28,097       4,332
ITT CORP NEW                      COM   450911201         574      25,019  SH     OTHER       01      19,462       4,715         842
ITT CORP NEW                      COM   450911201      13,405     584,338  SH     DEFINED  01,08      40,535     543,803           0
ITT CORP NEW                      COM   450911201          58       2,520  SH     DEFINED     09       2,520           0           0

IAMGOLD CORP                      COM   450913108         352      26,519  SH     DEFINED     01      25,920         550          49
IAMGOLD CORP                      COM   450913108           7         545  SH     OTHER       01          75         470           0
IAMGOLD CORP                      COM   450913108         202      15,222  SH     DEFINED  01,08      15,222           0           0

IBIO INC                          COM   451033104           3       2,774  SH     DEFINED     01           0       2,774           0
IBIO INC                          COM   451033104          29      25,841  SH     DEFINED  01,08       3,077      22,764           0

ICICI BK LTD                      COM   45104G104       5,829     167,159  SH     DEFINED     01     159,410       6,364       1,385
ICICI BK LTD                      COM   45104G104         723      20,725  SH     OTHER       01       9,489       9,316       1,920
ICICI BK LTD                      COM   45104G104       6,535     187,399  SH     DEFINED  01,08     187,399           0           0

ICONIX BRAND GROUP INC            COM   451055107       5,673     326,426  SH     DEFINED     01      58,745     267,681           0
ICONIX BRAND GROUP INC            COM   451055107         221      12,734  SH     OTHER       01       1,184      11,550           0
ICONIX BRAND GROUP INC            COM   451055107      16,116     927,277  SH     DEFINED  01,08     335,199     592,078           0
ICONIX BRAND GROUP INC            COM   451055107       3,685     212,028  SH     DEFINED     09     212,028           0           0

IDACORP INC                       COM   451107106      15,103     367,295  SH     DEFINED     01      33,339     333,856         100
IDACORP INC                       COM   451107106         185       4,500  SH     OTHER       01           0       4,500           0
IDACORP INC                       COM   451107106      37,730     917,554  SH     DEFINED  01,08     372,599     544,955           0
IDACORP INC                       COM   451107106       6,037     146,821  SH     DEFINED     09     146,821           0           0

IDENIX PHARMACEUTICALS INC        COM   45166R204         687      70,181  SH     DEFINED     01      19,932      50,249           0
IDENIX PHARMACEUTICALS INC        COM   45166R204       5,659     578,060  SH     DEFINED  01,08      81,977     496,083           0
IDENIX PHARMACEUTICALS INC        COM   45166R204       1,972     201,470  SH     DEFINED     09     201,470           0           0

IDEX CORP                         COM   45167R104       2,106      49,988  SH     DEFINED     01      32,976      16,822         190
IDEX CORP                         COM   45167R104         189       4,475  SH     OTHER       01       4,435           0          40
IDEX CORP                         COM   45167R104      21,672     514,412  SH     DEFINED  01,08      28,632     485,780           0

IDEXX LABS INC                    COM   45168D104       3,496      39,974  SH     DEFINED     01      25,473      14,361         140
IDEXX LABS INC                    COM   45168D104         476       5,442  SH     OTHER       01       2,730       2,672          40
IDEXX LABS INC                    COM   45168D104      31,078     355,384  SH     DEFINED  01,08      26,580     328,804           0

IDERA PHARMACEUTICALS INC         COM   45168K306          12       6,797  SH     DEFINED     01           0       6,797           0
IDERA PHARMACEUTICALS INC         COM   45168K306          43      24,842  SH     DEFINED  01,08       8,091      16,751           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    157
  ________

IGATE CORP                        COM   45169U105         897      53,497  SH     DEFINED     01      14,816      38,681           0
IGATE CORP                        COM   45169U105       5,285     315,306  SH     DEFINED  01,08      60,140     255,166           0
IGATE CORP                        COM   45169U105       1,402      83,671  SH     DEFINED     09      83,671           0           0

IDENTIVE GROUP INC                COM   45170X106          78      37,541  SH     DEFINED     01       8,103      29,438           0
IDENTIVE GROUP INC                COM   45170X106         781     373,463  SH     DEFINED  01,08      43,368     330,095           0
IDENTIVE GROUP INC                COM   45170X106         307     146,805  SH     DEFINED     09     146,805           0           0

IKANOS COMMUNICATIONS             COM   45173E105           6       8,060  SH     DEFINED     01           0       8,060           0
IKANOS COMMUNICATIONS             COM   45173E105          37      50,676  SH     DEFINED  01,08       8,308      42,368           0

IHS INC                           COM   451734107       3,187      34,026  SH     DEFINED     01      22,503      11,093         430
IHS INC                           COM   451734107          41         440  SH     OTHER       01         440           0           0
IHS INC                           COM   451734107      15,881     169,578  SH     DEFINED  01,08      19,851     149,727           0
IHS INC                           COM   451734107       5,666      60,506  SH     DEFINED     09      60,506           0           0

ILLINOIS TOOL WKS INC             COM   452308109      83,190   1,456,412  SH     DEFINED     01   1,118,352     329,411       8,649
ILLINOIS TOOL WKS INC             COM   452308109   1,941,823  33,995,503  SH     OTHER       01  31,654,034     506,799   1,834,670
ILLINOIS TOOL WKS INC             COM   452308109     201,501   3,527,681  SH     DEFINED  01,08     854,379   2,673,302           0
ILLINOIS TOOL WKS INC             COM   452308109      65,668   1,149,650  SH     DEFINED     09   1,149,650           0           0

ILLUMINA INC                      COM   452327109       5,655     107,480  SH     DEFINED     01      94,084      13,351          45
ILLUMINA INC                      COM   452327109         217       4,134  SH     OTHER       01       2,951       1,118          65
ILLUMINA INC                      COM   452327109      22,779     432,976  SH     DEFINED  01,08      53,162     379,814           0
ILLUMINA INC                      COM   452327109       9,236     175,552  SH     DEFINED     09     175,552           0           0

IMATION CORP                      COM   45245A107         292      47,203  SH     DEFINED     01      10,096      37,107           0
IMATION CORP                      COM   45245A107          15       2,400  SH     OTHER       01           0       2,400           0
IMATION CORP                      COM   45245A107       1,931     311,994  SH     DEFINED  01,08      54,572     257,422           0
IMATION CORP                      COM   45245A107         614      99,198  SH     DEFINED     09      99,198           0           0

IMMERSION CORP                    COM   452521107         169      30,962  SH     DEFINED     01       5,376      25,586           0
IMMERSION CORP                    COM   452521107       1,440     263,756  SH     DEFINED  01,08      34,407     229,349           0
IMMERSION CORP                    COM   452521107         416      76,195  SH     DEFINED     09      76,195           0           0

IMMUNOGEN INC                     COM   45253H101       1,329      92,355  SH     DEFINED     01      18,620      73,735           0
IMMUNOGEN INC                     COM   45253H101      10,319     717,080  SH     DEFINED  01,08     108,312     608,768           0
IMMUNOGEN INC                     COM   45253H101       3,027     210,332  SH     DEFINED     09     210,332           0           0

IMPAX LABORATORIES INC            COM   45256B101       2,211      89,967  SH     DEFINED     01      17,015      72,952           0
IMPAX LABORATORIES INC            COM   45256B101         116       4,700  SH     OTHER       01           0       4,700           0
IMPAX LABORATORIES INC            COM   45256B101      15,861     645,276  SH     DEFINED  01,08     111,751     533,525           0
IMPAX LABORATORIES INC            COM   45256B101       4,698     191,142  SH     DEFINED     09     191,142           0           0

IMPERIAL HLDGS INC                COM   452834104          24       9,073  SH     DEFINED     01       1,957       7,116           0
IMPERIAL HLDGS INC                COM   452834104         425     159,272  SH     DEFINED  01,08      14,806     144,466           0
IMPERIAL HLDGS INC                COM   452834104         160      59,812  SH     DEFINED     09      59,812           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    158
  ________

IMMUNOMEDICS INC                  COM   452907108         367     100,965  SH     DEFINED     01      18,220      82,745           0
IMMUNOMEDICS INC                  COM   452907108       2,424     667,708  SH     DEFINED  01,08     119,304     548,404           0
IMMUNOMEDICS INC                  COM   452907108         622     171,464  SH     DEFINED     09     171,464           0           0

IMPERIAL OIL LTD                  COM   453038408       6,739     148,463  SH     DEFINED     01     144,528       3,407         528
IMPERIAL OIL LTD                  COM   453038408         650      14,326  SH     OTHER       01       6,918       6,478         930
IMPERIAL OIL LTD                  COM   453038408       1,029      22,666  SH     DEFINED  01,08      22,666           0           0

IMPERIAL SUGAR CO NEW             COM   453096208          35       7,551  SH     DEFINED     01       1,352       6,199           0
IMPERIAL SUGAR CO NEW             COM   453096208         533     113,682  SH     DEFINED  01,08      12,185     101,497           0
IMPERIAL SUGAR CO NEW             COM   453096208         192      40,944  SH     DEFINED     09      40,944           0           0

IMPERVA INC                       COM   45321L100         128       3,261  SH     DEFINED     01         509       2,752           0
IMPERVA INC                       COM   45321L100       1,867      47,701  SH     DEFINED  01,08       4,661      43,040           0
IMPERVA INC                       COM   45321L100         796      20,339  SH     DEFINED     09      20,339           0           0

INCONTACT INC                     COM   45336E109         177      31,688  SH     DEFINED     01       6,005      25,683           0
INCONTACT INC                     COM   45336E109       1,685     301,972  SH     DEFINED  01,08      34,811     267,161           0
INCONTACT INC                     COM   45336E109         417      74,674  SH     DEFINED     09      74,674           0           0

INCYTE CORP                       COM   45337C102       2,175     112,705  SH     DEFINED     01      25,368      87,337           0
INCYTE CORP                       COM   45337C102          18         956  SH     OTHER       01         267         689           0
INCYTE CORP                       COM   45337C102      16,798     870,355  SH     DEFINED  01,08     137,901     732,454           0
INCYTE CORP                       COM   45337C102       4,942     256,068  SH     DEFINED     09     256,068           0           0

INDEPENDENCE HLDG CO NEW          COM   453440307         176      17,684  SH     DEFINED     01       1,807      15,877           0
INDEPENDENCE HLDG CO NEW          COM   453440307         904      90,736  SH     DEFINED  01,08      16,959      73,777           0
INDEPENDENCE HLDG CO NEW          COM   453440307         362      36,384  SH     DEFINED     09      36,384           0           0

INDEPENDENT BANK CORP MASS        COM   453836108       4,457     155,126  SH     DEFINED     01      11,747     143,379           0
INDEPENDENT BANK CORP MASS        COM   453836108      10,028     349,027  SH     DEFINED  01,08     164,602     184,425           0
INDEPENDENT BANK CORP MASS        COM   453836108       1,920      66,814  SH     DEFINED     09      66,814           0           0

INDIANA COMMUNITY BANCORP         COM   454674102          82       3,476  SH     DEFINED     01           0       3,476           0
INDIANA COMMUNITY BANCORP         COM   454674102         175       7,450  SH     DEFINED  01,08       2,916       4,534           0

INERGY L P                        COM   456615103       1,953     119,301  SH     DEFINED     01     119,301           0           0
INERGY L P                        COM   456615103          16       1,000  SH     OTHER       01           0       1,000           0
INERGY L P                        COM   456615103         851      52,000  SH     DEFINED  01,08      52,000           0           0

INFINITY PHARMACEUTICALS INC      COM   45665G303         220      18,423  SH     DEFINED     01       4,097      14,326           0
INFINITY PHARMACEUTICALS INC      COM   45665G303       2,171     181,545  SH     DEFINED  01,08      24,848     156,697           0
INFINITY PHARMACEUTICALS INC      COM   45665G303         607      50,744  SH     DEFINED     09      50,744           0           0

INFINITY PPTY & CAS CORP          COM   45665Q103         945      18,062  SH     DEFINED     01       6,372      11,690           0
INFINITY PPTY & CAS CORP          COM   45665Q103       6,491     124,038  SH     DEFINED  01,08      20,559     103,479           0
INFINITY PPTY & CAS CORP          COM   45665Q103       1,910      36,501  SH     DEFINED     09      36,501           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    159
  ________

INFORMATICA CORP                  COM   45666Q102       5,339     100,920  SH     DEFINED     01      56,451      44,063         406
INFORMATICA CORP                  COM   45666Q102         403       7,627  SH     OTHER       01       6,261       1,308          58
INFORMATICA CORP                  COM   45666Q102      37,178     702,797  SH     DEFINED  01,08      75,908     626,889           0

INFINERA CORPORATION              COM   45667G103         989     121,815  SH     DEFINED     01      28,274      93,541           0
INFINERA CORPORATION              COM   45667G103       8,062     992,798  SH     DEFINED  01,08     142,467     850,331           0
INFINERA CORPORATION              COM   45667G103       2,541     312,919  SH     DEFINED     09     312,919           0           0

INFORMATION SERVICES GROUP I      COM   45675Y104           5       4,107  SH     DEFINED     01           0       4,107           0
INFORMATION SERVICES GROUP I      COM   45675Y104          51      39,211  SH     DEFINED  01,08       5,403      33,808           0

INFOSPACE INC                     COM   45678T300       3,667     286,258  SH     DEFINED     01      17,252     269,006           0
INFOSPACE INC                     COM   45678T300       7,883     615,367  SH     DEFINED  01,08     294,539     320,828           0
INFOSPACE INC                     COM   45678T300       1,370     106,954  SH     DEFINED     09     106,954           0           0

INFOSONICS CORP                   COM   456784107          10      12,600  SH     DEFINED     01           0      12,600           0
INFOSONICS CORP                   COM   456784107           7       8,971  SH     DEFINED  01,08           0       8,971           0

INFOSYS LTD                       COM   456788108         650      11,396  SH     DEFINED     01       9,813       1,583           0
INFOSYS LTD                       COM   456788108         201       3,533  SH     OTHER       01           0       3,533           0
INFOSYS LTD                       COM   456788108      14,544     255,024  SH     DEFINED  01,08     255,024           0           0
INFOSYS LTD                       COM   456788108         701      12,296  SH     DEFINED     09      12,296           0           0

ING GROEP N V                     COM   456837103       8,535   1,025,813  SH     DEFINED     01     940,002      85,811           0
ING GROEP N V                     COM   456837103         385      46,246  SH     OTHER       01      30,436       9,275       6,535
ING GROEP N V                     COM   456837103       1,933     232,357  SH     DEFINED  01,08     232,357           0           0

INGLES MKTS INC                   COM   457030104         527      29,876  SH     DEFINED     01       3,373      26,503           0
INGLES MKTS INC                   COM   457030104       2,410     136,622  SH     DEFINED  01,08      33,554     103,068           0
INGLES MKTS INC                   COM   457030104         878      49,783  SH     DEFINED     09      49,783           0           0

INGRAM MICRO INC                  COM   457153104       1,015      54,668  SH     DEFINED     01      38,802      15,546         320
INGRAM MICRO INC                  COM   457153104          39       2,082  SH     OTHER       01           0       2,082           0
INGRAM MICRO INC                  COM   457153104      17,468     941,185  SH     DEFINED  01,08      47,155     894,030           0

INLAND REAL ESTATE CORP           COM   457461200       1,189     134,047  SH     DEFINED     01      50,364      83,683           0
INLAND REAL ESTATE CORP           COM   457461200       8,062     908,926  SH     DEFINED  01,08     269,850     639,076           0
INLAND REAL ESTATE CORP           COM   457461200       2,180     245,758  SH     DEFINED     09     245,758           0           0

INNODATA ISOGEN INC               COM   457642205          78      14,533  SH     DEFINED     01           0      14,533           0
INNODATA ISOGEN INC               COM   457642205         235      43,669  SH     DEFINED  01,08      13,635      30,034           0

INSIGHT ENTERPRISES INC           COM   45765U103       8,685     396,038  SH     DEFINED     01      22,777     373,261           0
INSIGHT ENTERPRISES INC           COM   45765U103      17,165     782,730  SH     DEFINED  01,08     422,449     360,281           0
INSIGHT ENTERPRISES INC           COM   45765U103       2,868     130,774  SH     DEFINED     09     130,774           0           0

INSIGNIA SYS INC                  COM   45765Y105           8       4,446  SH     DEFINED     01           0       4,446           0
INSIGNIA SYS INC                  COM   45765Y105          49      27,011  SH     DEFINED  01,08       4,543      22,468           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    160
  ________

INSMED INC                        COM   457669307          55      15,131  SH     DEFINED     01       2,823      12,308           0
INSMED INC                        COM   457669307         817     224,999  SH     DEFINED  01,08      22,407     202,592           0
INSMED INC                        COM   457669307         265      73,018  SH     DEFINED     09      73,018           0           0

INNOTRAC CORP                     COM   45767M109           7       5,765  SH     DEFINED     01           0       5,765           0
INNOTRAC CORP                     COM   45767M109          10       7,571  SH     DEFINED  01,08       6,668         903           0

INNOSPEC INC                      COM   45768S105         975      32,090  SH     DEFINED     01       8,924      23,166           0
INNOSPEC INC                      COM   45768S105       5,986     197,034  SH     DEFINED  01,08      35,624     161,410           0
INNOSPEC INC                      COM   45768S105       1,991      65,547  SH     DEFINED     09      65,547           0           0

INNOVATIVE SOLUTIONS & SUPPO      COM   45769N105          46      10,530  SH     DEFINED     01           0      10,530           0
INNOVATIVE SOLUTIONS & SUPPO      COM   45769N105         107      24,315  SH     DEFINED  01,08       7,023      17,292           0

INPHI CORP                        COM   45772F107         283      19,973  SH     DEFINED     01       5,193      14,780           0
INPHI CORP                        COM   45772F107       2,818     198,754  SH     DEFINED  01,08      21,210     177,544           0
INPHI CORP                        COM   45772F107         799      56,341  SH     DEFINED     09      56,341           0           0

INOVIO PHARMACEUTICALS INC        COM   45773H102          90     134,545  SH     DEFINED  01,08         910     133,635           0

INNERWORKINGS INC                 COM   45773Y105       2,472     212,180  SH     DEFINED     01     154,569      51,041       6,570
INNERWORKINGS INC                 COM   45773Y105         271      23,303  SH     OTHER       01       8,215      12,878       2,210
INNERWORKINGS INC                 COM   45773Y105       2,937     252,125  SH     DEFINED  01,08      33,659     218,466           0
INNERWORKINGS INC                 COM   45773Y105         781      67,075  SH     DEFINED     09      67,075           0           0

INNOPHOS HOLDINGS INC             COM   45774N108       4,459      88,959  SH     DEFINED     01      15,001      73,568         390
INNOPHOS HOLDINGS INC             COM   45774N108          15         290  SH     OTHER       01         290           0           0
INNOPHOS HOLDINGS INC             COM   45774N108      13,183     263,037  SH     DEFINED  01,08      85,217     177,820           0
INNOPHOS HOLDINGS INC             COM   45774N108       3,032      60,494  SH     DEFINED     09      60,494           0           0

INSTEEL INDUSTRIES INC            COM   45774W108         385      31,721  SH     DEFINED     01      12,970      18,491         260
INSTEEL INDUSTRIES INC            COM   45774W108           3         280  SH     OTHER       01         280           0           0
INSTEEL INDUSTRIES INC            COM   45774W108       2,061     169,666  SH     DEFINED  01,08      28,907     140,759           0
INSTEEL INDUSTRIES INC            COM   45774W108         679      55,877  SH     DEFINED     09      55,877           0           0

INNOVARO INC                      COM   45777T102           1       1,519  SH     DEFINED     01           0       1,519           0
INNOVARO INC                      COM   45777T102           8      10,242  SH     DEFINED  01,08         811       9,431           0

INSPERITY INC                     COM   45778Q107       1,185      38,664  SH     DEFINED     01      11,653      27,011           0
INSPERITY INC                     COM   45778Q107       7,137     232,942  SH     DEFINED  01,08      46,761     186,181           0
INSPERITY INC                     COM   45778Q107       1,879      61,326  SH     DEFINED     09      61,326           0           0

INSTITUTIONAL FINL MKTS INC       COM   45779L107           2       1,370  SH     DEFINED     01           0       1,370           0
INSTITUTIONAL FINL MKTS INC       COM   45779L107          19      13,961  SH     DEFINED  01,08       2,426      11,535           0

INSULET CORP                      COM   45784P101         922      48,188  SH     DEFINED     01      11,610      36,578           0
INSULET CORP                      COM   45784P101       8,098     423,111  SH     DEFINED  01,08      57,038     366,073           0
INSULET CORP                      COM   45784P101       2,738     143,069  SH     DEFINED     09     143,069           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    161
  ________

INTEGRA LIFESCIENCES HLDGS C      COM   457985208       1,119      32,271  SH     DEFINED     01       9,980      22,291           0
INTEGRA LIFESCIENCES HLDGS C      COM   457985208       6,900     198,911  SH     DEFINED  01,08      37,619     161,292           0
INTEGRA LIFESCIENCES HLDGS C      COM   457985208       2,143      61,774  SH     DEFINED     09      61,774           0           0

INTEGRAMED AMER INC               COM   45810N302          83       6,821  SH     DEFINED     01           0       6,821           0
INTEGRAMED AMER INC               COM   45810N302         259      21,433  SH     DEFINED  01,08       9,446      11,987           0

INTEGRATED ELECTRICAL SVC         COM   45811E301          10       2,662  SH     DEFINED     01           0       2,662           0
INTEGRATED ELECTRICAL SVC         COM   45811E301          58      15,143  SH     DEFINED  01,08       3,682      11,461           0

INTEGRATED DEVICE TECHNOLOGY      COM   458118106       1,690     236,427  SH     DEFINED     01      54,717     181,710           0
INTEGRATED DEVICE TECHNOLOGY      COM   458118106      13,068   1,827,627  SH     DEFINED  01,08     255,548   1,572,079           0
INTEGRATED DEVICE TECHNOLOGY      COM   458118106       2,985     417,419  SH     DEFINED     09     417,419           0           0

INTEGRATED SILICON SOLUTION       COM   45812P107         366      32,800  SH     DEFINED     01       5,153      27,647           0
INTEGRATED SILICON SOLUTION       COM   45812P107       2,869     257,049  SH     DEFINED  01,08      32,064     224,985           0
INTEGRATED SILICON SOLUTION       COM   45812P107         800      71,685  SH     DEFINED     09      71,685           0           0

INTEL CORP                     CONV DEB 458140AD2       8,050   7,000,000  PRN    DEFINED     01   1,000,000   6,000,000           0
INTEL CORP                     CONV DEB 458140AD2         748     650,000  PRN    OTHER       01           0     650,000           0
INTEL CORP                     CONV DEB 458140AD2       6,900   6,000,000  PRN    DEFINED  01,08   6,000,000           0           0

INTEL CORP                        COM   458140100     330,989  11,772,699  SH     DEFINED     01   8,076,313   3,309,826     386,560
INTEL CORP                        COM   458140100      73,942   2,629,967  SH     OTHER       01   1,500,128     865,990     263,849
INTEL CORP                        COM   458140100   1,095,438  38,962,755  SH     DEFINED  01,08  10,115,942  28,719,767     127,046
INTEL CORP                        COM   458140100     351,357  12,497,133  SH     DEFINED     09  12,497,133           0           0

INTELLICHECK MOBILISA INC         COM   45817G102           7       4,105  SH     DEFINED     01           0       4,105           0
INTELLICHECK MOBILISA INC         COM   45817G102          23      13,417  SH     DEFINED  01,08       2,305      11,112           0

INTEGRYS ENERGY GROUP INC         COM   45822P105      11,141     210,252  SH     DEFINED     01     165,216      42,356       2,680
INTEGRYS ENERGY GROUP INC         COM   45822P105         592      11,175  SH     OTHER       01       7,314       2,406       1,455
INTEGRYS ENERGY GROUP INC         COM   45822P105      33,201     626,557  SH     DEFINED  01,08     186,494     440,063           0
INTEGRYS ENERGY GROUP INC         COM   45822P105       9,217     173,930  SH     DEFINED     09     173,930           0           0

INTER PARFUMS INC                 COM   458334109       1,577     100,498  SH     DEFINED     01       7,169      93,329           0
INTER PARFUMS INC                 COM   458334109       3,770     240,280  SH     DEFINED  01,08     107,550     132,730           0
INTER PARFUMS INC                 COM   458334109         667      42,523  SH     DEFINED     09      42,523           0           0

INTERACTIVE BROKERS GROUP IN      COM   45841N107         643      37,848  SH     DEFINED     01      16,092      21,756           0
INTERACTIVE BROKERS GROUP IN      COM   45841N107       2,817     165,731  SH     DEFINED  01,08      48,731     117,000           0

INTERACTIVE INTELLIGENCE GRO      COM   45841V109         906      29,707  SH     DEFINED     01      12,811      16,736         160
INTERACTIVE INTELLIGENCE GRO      COM   45841V109           5         175  SH     OTHER       01         175           0           0
INTERACTIVE INTELLIGENCE GRO      COM   45841V109       4,429     145,173  SH     DEFINED  01,08      27,315     117,858           0
INTERACTIVE INTELLIGENCE GRO      COM   45841V109       1,297      42,503  SH     DEFINED     09      42,503           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    162
  ________

INTERCONTINENTAL HTLS GRP PL      COM   45857P301       3,397     146,296  SH     DEFINED     01     134,907      11,165         224
INTERCONTINENTAL HTLS GRP PL      COM   45857P301         397      17,106  SH     OTHER       01      15,353       1,753           0
INTERCONTINENTAL HTLS GRP PL      COM   45857P301         320      13,792  SH     DEFINED  01,08      13,792           0           0

INTERCONTINENTALEXCHANGE INC      COM   45865V100      30,249     220,119  SH     DEFINED     01     149,290      68,263       2,566
INTERCONTINENTALEXCHANGE INC      COM   45865V100       1,089       7,922  SH     OTHER       01       4,670       3,208          44
INTERCONTINENTALEXCHANGE INC      COM   45865V100      76,448     556,312  SH     DEFINED  01,08     141,215     415,097           0
INTERCONTINENTALEXCHANGE INC      COM   45865V100      24,097     175,355  SH     DEFINED     09     175,355           0           0

INTERFACE INC                     COM   458665106       1,424     102,089  SH     DEFINED     01      40,615      60,934         540
INTERFACE INC                     COM   458665106           7         475  SH     OTHER       01         475           0           0
INTERFACE INC                     COM   458665106       7,613     545,733  SH     DEFINED  01,08     107,919     437,814           0
INTERFACE INC                     COM   458665106       2,101     150,593  SH     DEFINED     09     150,593           0           0

INTERDIGITAL INC                  COM   45867G101       2,338      67,072  SH     DEFINED     01      19,274      47,523         275
INTERDIGITAL INC                  COM   45867G101           7         190  SH     OTHER       01         190           0           0
INTERDIGITAL INC                  COM   45867G101      15,233     436,974  SH     DEFINED  01,08      67,445     369,529           0
INTERDIGITAL INC                  COM   45867G101       4,585     131,515  SH     DEFINED     09     131,515           0           0

INTERLINE BRANDS INC              COM   458743101       5,059     234,107  SH     DEFINED     01       8,541     225,566           0
INTERLINE BRANDS INC              COM   458743101      11,386     526,869  SH     DEFINED  01,08     251,684     275,185           0
INTERLINE BRANDS INC              COM   458743101       2,534     117,248  SH     DEFINED     09     117,248           0           0

INTERMEC INC                      COM   458786100         744      96,287  SH     DEFINED     01      31,477      63,960         850
INTERMEC INC                      COM   458786100          19       2,500  SH     OTHER       01           0       2,500           0
INTERMEC INC                      COM   458786100       4,565     590,614  SH     DEFINED  01,08     106,436     484,178           0
INTERMEC INC                      COM   458786100       1,300     168,188  SH     DEFINED     09     168,188           0           0

INTERMOLECULAR INC                COM   45882D109          30       4,907  SH     DEFINED     01         944       3,963           0
INTERMOLECULAR INC                COM   45882D109         432      69,611  SH     DEFINED  01,08       7,940      61,671           0
INTERMOLECULAR INC                COM   45882D109         271      43,565  SH     DEFINED     09      43,565           0           0

INTERMUNE INC                     COM   45884X103       2,289     156,022  SH     DEFINED     01      11,396     144,626           0
INTERMUNE INC                     COM   45884X103       9,343     636,872  SH     DEFINED  01,08     180,864     456,008           0
INTERMUNE INC                     COM   45884X103       2,331     158,863  SH     DEFINED     09     158,863           0           0

INTERNAP NETWORK SVCS CORP        COM   45885A300         424      57,603  SH     DEFINED     01      15,810      41,793           0
INTERNAP NETWORK SVCS CORP        COM   45885A300       3,773     512,610  SH     DEFINED  01,08      74,679     437,931           0
INTERNAP NETWORK SVCS CORP        COM   45885A300       1,244     168,954  SH     DEFINED     09     168,954           0           0

INTERNATIONAL BANCSHARES COR      COM   459044103       9,876     466,928  SH     DEFINED     01      19,326     447,602           0
INTERNATIONAL BANCSHARES COR      COM   459044103      22,818   1,078,859  SH     DEFINED  01,08     484,994     593,865           0
INTERNATIONAL BANCSHARES COR      COM   459044103       3,370     159,330  SH     DEFINED     09     159,330           0           0

INTERNATIONAL BUSINESS MACHS      COM   459200101     683,386   3,275,273  SH     DEFINED     01   2,435,629     727,908     111,736
INTERNATIONAL BUSINESS MACHS      COM   459200101     166,898     799,896  SH     OTHER       01     520,288     217,573      62,035
INTERNATIONAL BUSINESS MACHS      COM   459200101   1,870,183   8,963,254  SH     DEFINED  01,08   2,295,684   6,667,570           0
INTERNATIONAL BUSINESS MACHS      COM   459200101     624,437   2,992,747  SH     DEFINED     09   2,992,747           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    163
  ________

INTERNATIONAL FLAVORS&FRAGRA      COM   459506101      20,888     356,445  SH     DEFINED     01      51,763     304,536         146
INTERNATIONAL FLAVORS&FRAGRA      COM   459506101         446       7,619  SH     OTHER       01       2,174       5,445           0
INTERNATIONAL FLAVORS&FRAGRA      COM   459506101      35,691     609,056  SH     DEFINED  01,08     147,536     461,520           0
INTERNATIONAL FLAVORS&FRAGRA      COM   459506101      11,292     192,694  SH     DEFINED     09     192,694           0           0

INTERNATIONAL GAME TECHNOLOG      COM   459902102       8,974     534,488  SH     DEFINED     01     366,315     162,010       6,163
INTERNATIONAL GAME TECHNOLOG      COM   459902102         657      39,130  SH     OTHER       01       9,425      29,470         235
INTERNATIONAL GAME TECHNOLOG      COM   459902102      36,822   2,193,112  SH     DEFINED  01,08     521,848   1,671,264           0
INTERNATIONAL GAME TECHNOLOG      COM   459902102      11,910     709,355  SH     DEFINED     09     709,355           0           0

INTL PAPER CO                     COM   460146103      21,233     604,929  SH     DEFINED     01     365,114     237,888       1,927
INTL PAPER CO                     COM   460146103       1,885      53,716  SH     OTHER       01      33,630      18,451       1,635
INTL PAPER CO                     COM   460146103     118,881   3,386,921  SH     DEFINED  01,08     936,237   2,450,684           0
INTL PAPER CO                     COM   460146103      38,948   1,109,635  SH     DEFINED     09   1,109,635           0           0

INTERNATIONAL RECTIFIER CORP      COM   460254105       3,915     169,687  SH     DEFINED     01     136,324      29,473       3,890
INTERNATIONAL RECTIFIER CORP      COM   460254105         181       7,860  SH     OTHER       01       4,220       3,154         486
INTERNATIONAL RECTIFIER CORP      COM   460254105      10,749     465,941  SH     DEFINED  01,08      48,804     417,137           0

INTERNATIONAL SHIPHOLDING CO      COM   460321201         200       8,677  SH     DEFINED     01       1,628       7,049           0
INTERNATIONAL SHIPHOLDING CO      COM   460321201       1,279      55,404  SH     DEFINED  01,08      10,517      44,887           0
INTERNATIONAL SHIPHOLDING CO      COM   460321201         412      17,838  SH     DEFINED     09      17,838           0           0

INTERNATIONAL SPEEDWAY CORP       COM   460335201       1,113      40,123  SH     DEFINED     01      11,968      28,155           0
INTERNATIONAL SPEEDWAY CORP       COM   460335201         216       7,795  SH     OTHER       01       6,175       1,620           0
INTERNATIONAL SPEEDWAY CORP       COM   460335201      10,009     360,672  SH     DEFINED  01,08      41,452     319,220           0
INTERNATIONAL SPEEDWAY CORP       COM   460335201       2,514      90,583  SH     DEFINED     09      90,583           0           0

INTERPHASE CORP                   COM   460593106          21       3,866  SH     DEFINED     01           0       3,866           0
INTERPHASE CORP                   COM   460593106          84      15,687  SH     DEFINED  01,08       3,761      11,926           0

INTERSIL CORP                     COM   46069S109         792      70,746  SH     DEFINED     01      31,389      39,357           0
INTERSIL CORP                     COM   46069S109           1          75  SH     OTHER       01           0           0          75
INTERSIL CORP                     COM   46069S109       9,379     837,446  SH     DEFINED  01,08      93,190     744,256           0
INTERSIL CORP                     COM   46069S109          34       3,079  SH     DEFINED     09       3,079           0           0

INTERPUBLIC GROUP COS INC         COM   460690100       6,661     583,822  SH     DEFINED     01     348,438     234,093       1,291
INTERPUBLIC GROUP COS INC         COM   460690100         556      48,725  SH     OTHER       01      10,150      38,225         350
INTERPUBLIC GROUP COS INC         COM   460690100      37,936   3,324,780  SH     DEFINED  01,08     802,394   2,522,386           0
INTERPUBLIC GROUP COS INC         COM   460690100      12,907   1,131,162  SH     DEFINED     09   1,131,162           0           0

INTERVEST BANCSHARES CORP         COM   460927106           9       2,482  SH     DEFINED     01           0       2,482           0
INTERVEST BANCSHARES CORP         COM   460927106          66      17,217  SH     DEFINED  01,08       2,705      14,512           0

INTEROIL CORP                     COM   460951106         694      13,506  SH     DEFINED     01      13,401           0         105
INTEROIL CORP                     COM   460951106          15         285  SH     OTHER       01         225          60           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    164
  ________

INTERSECTIONS INC                 COM   460981301         105       8,223  SH     DEFINED     01       1,978       6,245           0
INTERSECTIONS INC                 COM   460981301       1,885     147,465  SH     DEFINED  01,08      73,280      74,185           0
INTERSECTIONS INC                 COM   460981301         320      25,010  SH     DEFINED     09      25,010           0           0

INTERVAL LEISURE GROUP INC        COM   46113M108       1,043      59,956  SH     DEFINED     01      16,663      43,293           0
INTERVAL LEISURE GROUP INC        COM   46113M108       7,002     402,387  SH     DEFINED  01,08      74,429     327,958           0
INTERVAL LEISURE GROUP INC        COM   46113M108       2,050     117,794  SH     DEFINED     09     117,794           0           0

INTEST CORP                       COM   461147100          18       5,031  SH     DEFINED     01           0       5,031           0
INTEST CORP                       COM   461147100          55      15,580  SH     DEFINED  01,08       5,174      10,406           0

INTEVAC INC                       COM   461148108       1,474     173,362  SH     DEFINED     01      12,489     160,873           0
INTEVAC INC                       COM   461148108       3,207     377,349  SH     DEFINED  01,08     197,783     179,566           0
INTEVAC INC                       COM   461148108         505      59,399  SH     DEFINED     09      59,399           0           0

INTL FCSTONE INC                  COM   46116V105         508      24,069  SH     DEFINED     01       4,195      19,874           0
INTL FCSTONE INC                  COM   46116V105       3,024     143,326  SH     DEFINED  01,08      27,659     115,667           0
INTL FCSTONE INC                  COM   46116V105         845      40,039  SH     DEFINED     09      40,039           0           0

INTRALINKS HLDGS INC              COM   46118H104         124      23,469  SH     DEFINED     01       4,696      18,773           0
INTRALINKS HLDGS INC              COM   46118H104       1,528     288,919  SH     DEFINED  01,08      29,883     259,036           0
INTRALINKS HLDGS INC              COM   46118H104         473      89,450  SH     DEFINED     09      89,450           0           0

INTUITIVE SURGICAL INC            COM   46120E602      53,599      98,937  SH     DEFINED     01      65,441      32,150       1,346
INTUITIVE SURGICAL INC            COM   46120E602       2,081       3,842  SH     OTHER       01       2,801       1,026          15
INTUITIVE SURGICAL INC            COM   46120E602     163,116     301,090  SH     DEFINED  01,08      77,045     224,045           0
INTUITIVE SURGICAL INC            COM   46120E602      54,230     100,102  SH     DEFINED     09     100,102           0           0

INTUIT                            COM   461202103      39,563     657,626  SH     DEFINED     01     343,607     167,166     146,853
INTUIT                            COM   461202103       2,609      43,364  SH     OTHER       01      26,725      15,601       1,038
INTUIT                            COM   461202103     133,582   2,220,446  SH     DEFINED  01,08     540,020   1,680,426           0
INTUIT                            COM   461202103      42,869     712,579  SH     DEFINED     09     712,579           0           0

INVACARE CORP                     COM   461203101       2,756     166,302  SH     DEFINED     01      13,262     153,040           0
INVACARE CORP                     COM   461203101       7,059     426,022  SH     DEFINED  01,08     182,749     243,273           0
INVACARE CORP                     COM   461203101       1,565      94,428  SH     DEFINED     09      94,428           0           0

INTRICON CORP                     COM   46121H109          57       8,378  SH     DEFINED     01           0       8,378           0
INTRICON CORP                     COM   46121H109         103      15,204  SH     DEFINED  01,08      10,575       4,629           0

INTREPID POTASH INC               COM   46121Y102         362      14,894  SH     DEFINED     01       9,565       5,329           0
INTREPID POTASH INC               COM   46121Y102          31       1,261  SH     OTHER       01           0       1,090         171
INTREPID POTASH INC               COM   46121Y102       8,478     348,439  SH     DEFINED  01,08      40,165     308,274           0

INVENTURE FOODS INC               COM   461212102          15       3,064  SH     DEFINED     01           0       3,064           0
INVENTURE FOODS INC               COM   461212102          84      16,877  SH     DEFINED  01,08       3,718      13,159           0

INUVO INC                         COM   46122W204          26      34,154  SH     DEFINED     01      31,413       2,741           0
INUVO INC                         COM   46122W204           3       4,367  SH     DEFINED  01,08       1,906       2,461           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    165
  ________

INVENSENSE INC                    COM   46123D205         110       6,061  SH     DEFINED     01       1,156       4,905           0
INVENSENSE INC                    COM   46123D205       1,881     103,942  SH     DEFINED  01,08      22,223      81,719           0
INVENSENSE INC                    COM   46123D205         694      38,322  SH     DEFINED     09      38,322           0           0

INVESCO MORTGAGE CAPITAL INC      COM   46131B100       6,399     362,565  SH     DEFINED     01      27,694     334,871           0
INVESCO MORTGAGE CAPITAL INC      COM   46131B100      23,347   1,322,798  SH     DEFINED  01,08     397,321     925,477           0
INVESCO MORTGAGE CAPITAL INC      COM   46131B100       5,949     337,050  SH     DEFINED     09     337,050           0           0

INVESTMENT TECHNOLOGY GRP NE      COM   46145F105       2,830     236,630  SH     DEFINED     01      20,796     215,734         100
INVESTMENT TECHNOLOGY GRP NE      COM   46145F105           1         100  SH     OTHER       01         100           0           0
INVESTMENT TECHNOLOGY GRP NE      COM   46145F105       7,303     610,650  SH     DEFINED  01,08     272,987     337,663           0
INVESTMENT TECHNOLOGY GRP NE      COM   46145F105       1,392     116,362  SH     DEFINED     09     116,362           0           0

INVESTORS BANCORP INC             COM   46146P102       1,845     122,808  SH     DEFINED     01      68,110      51,663       3,035
INVESTORS BANCORP INC             COM   46146P102         390      25,975  SH     OTHER       01           0      25,050         925
INVESTORS BANCORP INC             COM   46146P102       7,212     480,189  SH     DEFINED  01,08      82,047     398,142           0
INVESTORS BANCORP INC             COM   46146P102       2,071     137,852  SH     DEFINED     09     137,852           0           0

INVESTORS REAL ESTATE TR          COM   461730103       2,459     319,820  SH     DEFINED     01      22,873     296,847         100
INVESTORS REAL ESTATE TR          COM   461730103       9,078   1,180,556  SH     DEFINED  01,08     471,066     709,490           0
INVESTORS REAL ESTATE TR          COM   461730103       1,953     253,954  SH     DEFINED     09     253,954           0           0

INVESTORS TITLE CO                COM   461804106         153       3,273  SH     DEFINED     01           0       3,273           0
INVESTORS TITLE CO                COM   461804106         354       7,585  SH     DEFINED  01,08       4,201       3,384           0

ION GEOPHYSICAL CORP              COM   462044108       1,359     210,740  SH     DEFINED     01      63,857     146,723         160
ION GEOPHYSICAL CORP              COM   462044108       8,334   1,292,146  SH     DEFINED  01,08     236,631   1,055,515           0
ION GEOPHYSICAL CORP              COM   462044108       2,404     372,704  SH     DEFINED     09     372,704           0           0

IPASS INC                         COM   46261V108          42      16,329  SH     DEFINED     01           0      16,329           0
IPASS INC                         COM   46261V108         248      95,390  SH     DEFINED  01,08      18,410      76,980           0

IRIDEX CORP                       COM   462684101          27       6,185  SH     DEFINED     01           0       6,185           0
IRIDEX CORP                       COM   462684101          37       8,277  SH     DEFINED  01,08       5,836       2,441           0

IRIDIUM COMMUNICATIONS INC        COM   46269C102         442      50,453  SH     DEFINED     01      22,596      27,857           0
IRIDIUM COMMUNICATIONS INC        COM   46269C102       3,573     407,864  SH     DEFINED  01,08      49,097     358,767           0
IRIDIUM COMMUNICATIONS INC        COM   46269C102       1,147     130,889  SH     DEFINED     09     130,889           0           0

IRIS INTL INC                     COM   46270W105         361      26,715  SH     DEFINED     01       3,831      22,884           0
IRIS INTL INC                     COM   46270W105       2,481     183,677  SH     DEFINED  01,08      33,475     150,202           0
IRIS INTL INC                     COM   46270W105         868      64,271  SH     DEFINED     09      64,271           0           0

IROBOT CORP                       COM   462726100         854      31,321  SH     DEFINED     01      12,050      19,271           0
IROBOT CORP                       COM   462726100       6,324     231,980  SH     DEFINED  01,08      36,163     195,817           0
IROBOT CORP                       COM   462726100       2,136      78,372  SH     DEFINED     09      78,372           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    166
  ________

IRON MTN INC                      COM   462846106       5,775     200,508  SH     DEFINED     01     102,980      97,156         372
IRON MTN INC                      COM   462846106         234       8,111  SH     OTHER       01       1,772       6,339           0
IRON MTN INC                      COM   462846106      36,206   1,257,153  SH     DEFINED  01,08     294,049     963,104           0
IRON MTN INC                      COM   462846106      11,676     405,419  SH     DEFINED     09     405,419           0           0

IRONWOOD PHARMACEUTICALS INC      COM   46333X108         629      47,272  SH     DEFINED     01      10,407      36,865           0
IRONWOOD PHARMACEUTICALS INC      COM   46333X108       6,508     488,989  SH     DEFINED  01,08      53,672     435,317           0
IRONWOOD PHARMACEUTICALS INC      COM   46333X108       1,959     147,156  SH     DEFINED     09     147,156           0           0

ISHARES SILVER TRUST              COM   46428Q109       1,722      54,873  SH     DEFINED     01      51,443       3,430           0
ISHARES SILVER TRUST              COM   46428Q109         216       6,875  SH     OTHER       01       4,200       2,675           0

ISHARES S&P GSCI COMMODITY I      COM   46428R107       6,226     179,020  SH     DEFINED     01     177,725       1,295           0
ISHARES S&P GSCI COMMODITY I      COM   46428R107         795      22,850  SH     OTHER       01       5,550           0      17,300

ISHARES GOLD TRUST                COM   464285105     122,630   7,537,188  SH     DEFINED     01   7,375,719      38,485     122,984
ISHARES GOLD TRUST                COM   464285105      14,302     879,047  SH     OTHER       01     744,877      95,571      38,599

ISHARES INC                       COM   464286103         426      18,107  SH     DEFINED     01      18,107           0           0
ISHARES INC                       COM   464286103         622      26,450  SH     OTHER       01      26,450           0           0

ISHARES INC                       COM   464286400       1,415      21,884  SH     DEFINED     01      18,959           0       2,925
ISHARES INC                       COM   464286400         565       8,735  SH     OTHER       01       8,075           0         660

ISHARES INC                       COM   464286509         799      28,177  SH     DEFINED     01      28,177           0           0
ISHARES INC                       COM   464286509         354      12,507  SH     OTHER       01      11,007           0       1,500
ISHARES INC                       COM   464286509       8,689     306,607  SH     DEFINED  01,08     306,607           0           0

ISHARES INC                       COM   464286640          58         846  SH     DEFINED     01         846           0           0
ISHARES INC                       COM   464286640         147       2,145  SH     OTHER       01       1,875           0         270

ISHARES INC                       COM   464286657          16         389  SH     DEFINED     01         389           0           0
ISHARES INC                       COM   464286657         190       4,642  SH     OTHER       01       4,642           0           0

ISHARES INC                       COM   464286665       1,846      42,416  SH     DEFINED     01      41,416           0       1,000
ISHARES INC                       COM   464286665         257       5,900  SH     OTHER       01       5,900           0           0

ISHARES INC                       COM   464286673         576      44,718  SH     DEFINED     01      44,718           0           0
ISHARES INC                       COM   464286673         347      26,935  SH     OTHER       01      20,935           0       6,000

ISHARES INC                       COM   464286731          47       3,500  SH     DEFINED     01       3,500           0           0
ISHARES INC                       COM   464286731          97       7,226  SH     OTHER       01       5,950           0       1,276
ISHARES INC                       COM   464286731      23,897   1,781,359  SH     DEFINED  01,08   1,781,359           0           0

ISHARES INC                       COM   464286772         149       2,509  SH     DEFINED     01       2,509           0           0
ISHARES INC                       COM   464286772         235       3,950  SH     OTHER       01       3,950           0           0

ISHARES INC                       COM   464286822         229       3,670  SH     DEFINED     01       3,670           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    167
  ________

ISHARES INC                       COM   464286830         310      21,202  SH     DEFINED     01      21,202           0           0
ISHARES INC                       COM   464286830          77       5,260  SH     OTHER       01       5,260           0           0

ISHARES INC                       COM   464286848       1,369     134,591  SH     DEFINED     01     134,591           0           0
ISHARES INC                       COM   464286848         146      14,300  SH     OTHER       01         300       6,000       8,000

ISHARES INC                       COM   464286871         282      16,175  SH     DEFINED     01      16,175           0           0
ISHARES INC                       COM   464286871           8         435  SH     OTHER       01         435           0           0

ISHARES TR                        COM   464287101       3,141      49,040  SH     DEFINED     01      49,040           0           0
ISHARES TR                        COM   464287101         123       1,915  SH     OTHER       01           0           0       1,915

ISHARES TR                        COM   464287168     115,297   2,060,354  SH     DEFINED     01   1,909,024      86,963      64,367
ISHARES TR                        COM   464287168      26,112     466,622  SH     OTHER       01     341,001      96,991      28,630

ISHARES TR                     UNDEFIND 464287176     425,400   3,616,164         DEFINED     01   3,450,510      66,977      98,677
ISHARES TR                     UNDEFIND 464287176      82,200     698,813         OTHER       01     564,561      88,894      45,358

ISHARES TR                        COM   464287184         232       6,315  SH     DEFINED     01       6,315           0           0
ISHARES TR                        COM   464287184         542      14,792  SH     OTHER       01      13,192       1,000         600

ISHARES TR                        COM   464287200      20,645     146,204  SH     DEFINED     01     144,073       1,706         425
ISHARES TR                        COM   464287200       4,481      31,735  SH     OTHER       01      11,195      20,291         249

ISHARES TR                     UNDEFIND 464287226      48,000     436,616         DEFINED     01     423,548       6,340       6,728
ISHARES TR                     UNDEFIND 464287226       3,200      28,971         OTHER       01      25,202       3,769           0

ISHARES TR                        COM   464287234     393,627   9,165,849  SH     DEFINED     01   8,452,120     276,142     437,587
ISHARES TR                        COM   464287234     101,036   2,352,681  SH     OTHER       01   1,818,543     279,908     254,230

ISHARES TR                     UNDEFIND 464287242     135,200   1,168,945         DEFINED     01   1,129,165      15,890      23,890
ISHARES TR                     UNDEFIND 464287242      25,100     216,645         OTHER       01     138,530      68,950       9,165

ISHARES TR                        COM   464287309       9,142     121,298  SH     DEFINED     01     121,298           0           0
ISHARES TR                        COM   464287309         272       3,609  SH     OTHER       01       3,609           0           0

ISHARES TR                        COM   464287341         261       6,550  SH     DEFINED     01       1,150           0       5,400

ISHARES TR                        COM   464287374          99       2,520  SH     DEFINED     01       2,520           0           0
ISHARES TR                        COM   464287374       6,341     160,868  SH     OTHER       01     157,768           0       3,100

ISHARES TR                        COM   464287390         868      18,218  SH     DEFINED     01      17,368           0         850
ISHARES TR                        COM   464287390          73       1,525  SH     OTHER       01       1,025           0         500

ISHARES TR                        COM   464287408       5,683      87,521  SH     DEFINED     01      87,521           0           0
ISHARES TR                        COM   464287408         237       3,649  SH     OTHER       01       3,649           0           0

ISHARES TR                     UNDEFIND 464287457       1,500      18,367         DEFINED     01      16,627           0       1,740


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    168
  ________

ISHARES TR                        COM   464287465     521,323   9,497,599  SH     DEFINED     01   8,433,349     657,703     406,547
ISHARES TR                        COM   464287465     147,968   2,695,722  SH     OTHER       01   1,937,114     479,968     278,640
ISHARES TR                        COM   464287465     211,911   3,860,655  SH     DEFINED  01,08   2,110,623   1,750,032           0

ISHARES TR                        COM   464287473       6,545     135,980  SH     DEFINED     01      27,619     106,851       1,510
ISHARES TR                        COM   464287473       1,025      21,300  SH     OTHER       01      21,300           0           0

ISHARES TR                        COM   464287481       2,931      46,617  SH     DEFINED     01      45,841           0         776
ISHARES TR                        COM   464287481         487       7,739  SH     OTHER       01       7,569         170           0

ISHARES TR                        COM   464287499      27,929     252,252  SH     DEFINED     01     242,474           0       9,778
ISHARES TR                        COM   464287499       4,809      43,431  SH     OTHER       01      34,204       3,732       5,495

ISHARES TR                        COM   464287507      12,921     130,225  SH     DEFINED     01     105,421      23,230       1,574
ISHARES TR                        COM   464287507       7,944      80,069  SH     OTHER       01      29,460         950      49,659
ISHARES TR                        COM   464287507       5,177      52,179  SH     DEFINED  01,08      52,179           0           0

ISHARES TR                        COM   464287556       5,590      45,333  SH     DEFINED     01      43,398         965         970
ISHARES TR                        COM   464287556       1,216       9,861  SH     OTHER       01       9,211         100         550

ISHARES TR                        COM   464287564         155       2,026  SH     DEFINED     01       2,026           0           0
ISHARES TR                        COM   464287564         154       2,010  SH     OTHER       01       2,010           0           0

ISHARES TR                        COM   464287598      36,740     524,330  SH     DEFINED     01     508,942      11,643       3,745
ISHARES TR                        COM   464287598       2,842      40,554  SH     OTHER       01      34,157       5,607         790

ISHARES TR                        COM   464287606       7,982      70,987  SH     DEFINED     01      69,967           0       1,020
ISHARES TR                        COM   464287606       1,355      12,051  SH     OTHER       01      10,146         309       1,596

ISHARES TR                        COM   464287614      51,092     773,188  SH     DEFINED     01     758,079      10,390       4,719
ISHARES TR                        COM   464287614       3,194      48,328  SH     OTHER       01      38,541       8,627       1,160

ISHARES TR                        COM   464287622      24,774     317,773  SH     DEFINED     01     317,773           0           0
ISHARES TR                        COM   464287622      14,726     188,886  SH     OTHER       01     179,758       7,428       1,700

ISHARES TR                        COM   464287630      20,759     284,489  SH     DEFINED     01     241,241      14,805      28,443
ISHARES TR                        COM   464287630       8,095     110,932  SH     OTHER       01      58,840      34,618      17,474

ISHARES TR                        COM   464287648      18,994     199,144  SH     DEFINED     01     180,848      11,031       7,265
ISHARES TR                        COM   464287648       5,327      55,854  SH     OTHER       01      44,980       5,163       5,711

ISHARES TR                        COM   464287655     108,120   1,305,638  SH     DEFINED     01   1,118,721     159,847      27,070
ISHARES TR                        COM   464287655      27,032     326,438  SH     OTHER       01     239,742      66,559      20,137
ISHARES TR                        COM   464287655         828      10,000  SH     DEFINED  01,08      10,000           0           0

ISHARES TR                        COM   464287689       7,554      90,707  SH     DEFINED     01      55,600      35,107           0
ISHARES TR                        COM   464287689         186       2,235  SH     OTHER       01       1,735           0         500
ISHARES TR                        COM   464287689       4,980      59,800  SH     DEFINED  01,08      59,800           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    169
  ________

ISHARES TR                        COM   464287705       6,788      79,480  SH     DEFINED     01      65,753       3,300      10,427
ISHARES TR                        COM   464287705       2,621      30,682  SH     OTHER       01      17,034      10,130       3,518

ISHARES TR                        COM   464287713       1,689      76,086  SH     DEFINED     01      71,711       3,000       1,375
ISHARES TR                        COM   464287713         547      24,645  SH     OTHER       01      11,895       2,300      10,450

ISHARES TR                        COM   464287721         171       2,200  SH     DEFINED     01       2,200           0           0
ISHARES TR                        COM   464287721         127       1,630  SH     OTHER       01       1,630           0           0

ISHARES TR                        COM   464287739       3,667      58,861  SH     DEFINED     01       3,635      55,226           0

ISHARES TR                        COM   464287762         126       1,605  SH     DEFINED     01       1,605           0           0
ISHARES TR                        COM   464287762         170       2,180  SH     OTHER       01       2,180           0           0

ISHARES TR                        COM   464287804      43,270     567,033  SH     DEFINED     01     543,980       9,467      13,586
ISHARES TR                        COM   464287804      10,176     133,354  SH     OTHER       01      89,446      23,174      20,734
ISHARES TR                        COM   464287804       5,130      67,227  SH     DEFINED  01,08      67,227           0           0

ISHARES TR                        COM   464287879         407       5,183  SH     DEFINED     01       4,933           0         250
ISHARES TR                        COM   464287879          50         640  SH     OTHER       01         640           0           0

ISHARES TR                        COM   464287887         494       5,982  SH     DEFINED     01       5,982           0           0
ISHARES TR                        COM   464287887          56         680  SH     OTHER       01         360           0         320

ISHARES TR                        COM   464288174       5,169     124,979  SH     DEFINED     01     124,979           0           0

ISHARES TR                        COM   464288182         335       5,940  SH     DEFINED     01       5,940           0           0

ISHARES TR                        COM   464288240       9,499     232,650  SH     DEFINED     01     232,650           0           0

ISHARES TR                     UNDEFIND 464288513     256,600   2,828,957         DEFINED     01   2,734,500      65,812      28,645
ISHARES TR                     UNDEFIND 464288513      37,600     414,327         OTHER       01     292,644      59,131      62,552

ISHARES TR                        COM   464288570       7,674     147,854  SH     DEFINED     01     147,854           0           0

ISHARES TR                     UNDEFIND 464288612       2,300      20,786         DEFINED     01      20,786           0           0

ISHARES TR                     UNDEFIND 464288620      13,400     121,933         DEFINED     01     103,708         340      17,885
ISHARES TR                     UNDEFIND 464288620       2,100      18,921         OTHER       01      10,251       5,325       3,345

ISHARES TR                     UNDEFIND 464288638     123,100   1,131,160         DEFINED     01   1,090,690      22,035      18,435
ISHARES TR                     UNDEFIND 464288638      20,600     189,064         OTHER       01     138,321      22,104      28,639

ISHARES TR                     UNDEFIND 464288646     347,200   3,303,621         DEFINED     01   3,182,191      52,133      69,297
ISHARES TR                     UNDEFIND 464288646      59,200     563,502         OTHER       01     467,722      58,392      37,388

ISHARES TR                     UNDEFIND 464288653         129     100,700         DEFINED     01     100,700           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    170
  ________

ISHARES TR                        PFD   464288687         719      18,417         DEFINED     01      18,417           0           0
ISHARES TR                        PFD   464288687         704      18,040         OTHER       01      16,740           0       1,300

ISHARES TR                        COM   464288877          72       1,536  SH     DEFINED     01       1,536           0           0
ISHARES TR                        COM   464288877       8,814     187,522  SH     OTHER       01       1,460     186,062           0

ISHARES TR                        COM   464288885         205       3,502  SH     DEFINED     01       2,627         875           0
ISHARES TR                        COM   464288885         779      13,290  SH     OTHER       01      13,290           0           0

ISIS PHARMACEUTICALS INC          COM   464330109       1,108     126,374  SH     DEFINED     01      27,604      98,770           0
ISIS PHARMACEUTICALS INC          COM   464330109       8,400     957,806  SH     DEFINED  01,08     152,615     805,191           0
ISIS PHARMACEUTICALS INC          COM   464330109       2,536     289,130  SH     DEFINED     09     289,130           0           0

ISLE OF CAPRI CASINOS INC         COM   464592104         296      41,958  SH     DEFINED     01       4,180      37,778           0
ISLE OF CAPRI CASINOS INC         COM   464592104       1,492     211,335  SH     DEFINED  01,08      44,940     166,395           0
ISLE OF CAPRI CASINOS INC         COM   464592104         398      56,350  SH     DEFINED     09      56,350           0           0

ISORAY INC                        COM   46489V104           7      13,664  SH     DEFINED  01,08           0      13,664           0

ISRAMCO INC                       COM   465141406         188       2,150  SH     DEFINED     01         138       2,012           0
ISRAMCO INC                       COM   465141406         950      10,873  SH     DEFINED  01,08       2,189       8,684           0
ISRAMCO INC                       COM   465141406         328       3,753  SH     DEFINED     09       3,753           0           0

ITAU UNIBANCO HLDG SA             PFD   465562106      16,275     848,095         DEFINED     01     784,351      58,157       5,587
ITAU UNIBANCO HLDG SA             PFD   465562106         850      44,271         OTHER       01      31,361       7,865       5,045
ITAU UNIBANCO HLDG SA             PFD   465562106      13,113     683,347         DEFINED  01,08     683,347           0           0

ITERIS INC                        COM   46564T107          15       9,841  SH     DEFINED     01           0       9,841           0
ITERIS INC                        COM   46564T107          51      34,559  SH     DEFINED  01,08       8,464      26,095           0

ITC HLDGS CORP                    COM   465685105       4,109      53,404  SH     DEFINED     01      40,745       9,997       2,662
ITC HLDGS CORP                    COM   465685105         127       1,653  SH     OTHER       01         673         380         600
ITC HLDGS CORP                    COM   465685105      13,994     181,886  SH     DEFINED  01,08      24,815     157,071           0

ITRON INC                         COM   465741106       1,359      29,920  SH     DEFINED     01      12,242      17,678           0
ITRON INC                         COM   465741106         321       7,076  SH     OTHER       01           0       7,051          25
ITRON INC                         COM   465741106      12,350     271,964  SH     DEFINED  01,08      35,780     236,184           0

IXYS CORP                         COM   46600W106         505      38,254  SH     DEFINED     01       7,312      30,942           0
IXYS CORP                         COM   46600W106          21       1,600  SH     OTHER       01       1,600           0           0
IXYS CORP                         COM   46600W106       3,199     242,381  SH     DEFINED  01,08      47,130     195,251           0
IXYS CORP                         COM   46600W106         977      74,023  SH     DEFINED     09      74,023           0           0

J & J SNACK FOODS CORP            COM   466032109       3,426      65,299  SH     DEFINED     01      45,318      19,741         240
J & J SNACK FOODS CORP            COM   466032109          75       1,426  SH     OTHER       01         726         700           0
J & J SNACK FOODS CORP            COM   466032109       7,652     145,865  SH     DEFINED  01,08      27,857     118,008           0
J & J SNACK FOODS CORP            COM   466032109       2,163      41,230  SH     DEFINED     09      41,230           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    171
  ________

J ALEXANDERS CORP                 COM   466096104          25       2,990  SH     DEFINED     01           0       2,990           0
J ALEXANDERS CORP                 COM   466096104          84       9,937  SH     DEFINED  01,08       3,349       6,588           0

JDS UNIPHASE CORP                 COM   46612J507       4,701     324,444  SH     DEFINED     01     146,633     177,210         601
JDS UNIPHASE CORP                 COM   46612J507          55       3,793  SH     OTHER       01       3,172         461         160
JDS UNIPHASE CORP                 COM   46612J507      25,828   1,782,499  SH     DEFINED  01,08     469,775   1,312,724           0
JDS UNIPHASE CORP                 COM   46612J507       3,466     239,214  SH     DEFINED     09     239,214           0           0

JDA SOFTWARE GROUP INC            COM   46612K108       6,054     220,302  SH     DEFINED     01      19,479     200,823           0
JDA SOFTWARE GROUP INC            COM   46612K108      15,712     571,744  SH     DEFINED  01,08     229,962     341,782           0
JDA SOFTWARE GROUP INC            COM   46612K108       3,330     121,190  SH     DEFINED     09     121,190           0           0

JPMORGAN CHASE & CO               COM   46625H100     567,576  12,343,979  SH     DEFINED     01   9,079,007   2,633,182     631,790
JPMORGAN CHASE & CO               COM   46625H100     104,455   2,271,756  SH     OTHER       01   1,538,128     501,255     232,373
JPMORGAN CHASE & CO               COM   46625H100   1,362,676  29,636,269  SH     DEFINED  01,08   7,778,758  21,767,867      89,644
JPMORGAN CHASE & CO               COM   46625H100     443,065   9,636,028  SH     DEFINED     09   9,636,028           0           0

JPMORGAN CHASE & CO               PFD   46625H365         185       4,715         DEFINED     01       4,715           0           0
JPMORGAN CHASE & CO               PFD   46625H365          62       1,575         OTHER       01       1,575           0           0

JMP GROUP INC                     COM   46629U107         306      41,432  SH     DEFINED     01       1,400      40,032           0
JMP GROUP INC                     COM   46629U107       1,284     173,984  SH     DEFINED  01,08      48,458     125,526           0
JMP GROUP INC                     COM   46629U107         311      42,170  SH     DEFINED     09      42,170           0           0

JABIL CIRCUIT INC                 COM   466313103       6,994     278,420  SH     DEFINED     01     174,705     102,994         721
JABIL CIRCUIT INC                 COM   466313103         284      11,314  SH     OTHER       01       5,033       6,121         160
JABIL CIRCUIT INC                 COM   466313103      36,063   1,435,646  SH     DEFINED  01,08     378,666   1,056,980           0
JABIL CIRCUIT INC                 COM   466313103       5,148     204,939  SH     DEFINED     09     204,939           0           0

JACK IN THE BOX INC               COM   466367109       1,829      76,290  SH     DEFINED     01      21,548      54,542         200
JACK IN THE BOX INC               COM   466367109          14         600  SH     OTHER       01         600           0           0
JACK IN THE BOX INC               COM   466367109      10,693     446,101  SH     DEFINED  01,08      91,921     354,180           0
JACK IN THE BOX INC               COM   466367109       3,548     148,007  SH     DEFINED     09     148,007           0           0

JACOBS ENGR GROUP INC DEL         COM   469814107      14,468     326,079  SH     DEFINED     01     205,100      88,006      32,973
JACOBS ENGR GROUP INC DEL         COM   469814107       3,853      86,846  SH     OTHER       01      63,415      13,511       9,920
JACOBS ENGR GROUP INC DEL         COM   469814107      40,553     913,981  SH     DEFINED  01,08     201,099     712,882           0
JACOBS ENGR GROUP INC DEL         COM   469814107      13,275     299,191  SH     DEFINED     09     299,191           0           0

JAGUAR MNG INC                    COM   47009M103         235      50,354  SH     DEFINED     01      11,918      38,436           0
JAGUAR MNG INC                    COM   47009M103       2,960     633,774  SH     DEFINED  01,08      73,046     560,728           0
JAGUAR MNG INC                    COM   47009M103       1,119     239,658  SH     DEFINED     09     239,658           0           0

JAKKS PAC INC                     COM   47012E106       4,160     238,399  SH     DEFINED     01      11,002     227,397           0
JAKKS PAC INC                     COM   47012E106       8,303     475,797  SH     DEFINED  01,08     251,511     224,286           0
JAKKS PAC INC                     COM   47012E106       1,445      82,829  SH     DEFINED     09      82,829           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    172
  ________

JAMBA INC                         COM   47023A101          87      42,105  SH     DEFINED     01       7,688      34,417           0
JAMBA INC                         COM   47023A101       1,193     576,403  SH     DEFINED  01,08      54,921     521,482           0
JAMBA INC                         COM   47023A101         336     162,116  SH     DEFINED     09     162,116           0           0

JAMES RIVER COAL CO               COM   470355207       1,233     240,901  SH     DEFINED     01       8,543     232,358           0
JAMES RIVER COAL CO               COM   470355207          78      15,175  SH     OTHER       01           0      15,175           0
JAMES RIVER COAL CO               COM   470355207       2,827     552,178  SH     DEFINED  01,08     270,446     281,732           0
JAMES RIVER COAL CO               COM   470355207         513     100,182  SH     DEFINED     09     100,182           0           0

JANUS CAP GROUP INC               COM   47102X105       1,935     217,223  SH     DEFINED     01      61,346     155,877           0
JANUS CAP GROUP INC               COM   47102X105         408      45,746  SH     OTHER       01       1,095      44,651           0
JANUS CAP GROUP INC               COM   47102X105      11,821   1,326,743  SH     DEFINED  01,08     244,916   1,081,827           0

JARDEN CORP                       COM   471109108       1,001      24,870  SH     DEFINED     01      18,273       6,597           0
JARDEN CORP                       COM   471109108          33         822  SH     OTHER       01         230         592           0
JARDEN CORP                       COM   471109108      11,856     294,699  SH     DEFINED  01,08      35,877     258,822           0

JEFFERIES GROUP INC NEW        CONV DEB 472319AG7       2,375   2,500,000  PRN    DEFINED     01     327,500   2,172,500           0
JEFFERIES GROUP INC NEW        CONV DEB 472319AG7       2,064   2,172,500  PRN    DEFINED  01,08   2,172,500           0           0

JEFFERIES GROUP INC NEW           COM   472319102       5,232     277,732  SH     DEFINED     01     256,159      16,589       4,984
JEFFERIES GROUP INC NEW           COM   472319102         437      23,169  SH     OTHER       01       6,630      16,257         282
JEFFERIES GROUP INC NEW           COM   472319102      16,940     899,159  SH     DEFINED  01,08      60,617     838,542           0

JETBLUE AIRWAYS CORP              COM   477143101       6,764   1,383,305  SH     DEFINED     01      69,135   1,314,170           0
JETBLUE AIRWAYS CORP              COM   477143101          12       2,364  SH     OTHER       01           0       2,364           0
JETBLUE AIRWAYS CORP              COM   477143101      19,647   4,017,691  SH     DEFINED  01,08   1,426,317   2,591,374           0
JETBLUE AIRWAYS CORP              COM   477143101       3,494     714,502  SH     DEFINED     09     714,502           0           0

JIVE SOFTWARE INC                 COM   47760A108         777      28,611  SH     DEFINED  01,08      11,759      16,852           0
JIVE SOFTWARE INC                 COM   47760A108       1,209      44,507  SH     DEFINED     09      44,507           0           0

JOES JEANS INC                    COM   47777N101           2       1,737  SH     DEFINED     01         100       1,637           0
JOES JEANS INC                    COM   47777N101          93      76,623  SH     DEFINED  01,08       3,214      73,409           0

JOHN BEAN TECHNOLOGIES CORP       COM   477839104       1,242      76,644  SH     DEFINED     01      41,599      35,045           0
JOHN BEAN TECHNOLOGIES CORP       COM   477839104          38       2,339  SH     OTHER       01       1,529         810           0
JOHN BEAN TECHNOLOGIES CORP       COM   477839104       4,598     283,836  SH     DEFINED  01,08      49,332     234,504           0
JOHN BEAN TECHNOLOGIES CORP       COM   477839104       1,263      77,948  SH     DEFINED     09      77,948           0           0

JOHNSON & JOHNSON                 COM   478160104     443,480   6,723,470  SH     DEFINED     01   4,587,511   1,911,942     224,017
JOHNSON & JOHNSON                 COM   478160104     127,666   1,935,500  SH     OTHER       01   1,215,917     503,845     215,738
JOHNSON & JOHNSON                 COM   478160104   1,364,644  20,688,962  SH     DEFINED  01,08   5,176,126  15,507,500       5,336
JOHNSON & JOHNSON                 COM   478160104     445,553   6,754,901  SH     DEFINED     09   6,754,901           0           0

JOHNSON CTLS INC                  COM   478366107     144,531   4,449,853  SH     DEFINED     01   3,734,800     617,801      97,252
JOHNSON CTLS INC                  COM   478366107      27,066     833,317  SH     OTHER       01     613,737     155,701      63,879
JOHNSON CTLS INC                  COM   478366107     171,248   5,272,428  SH     DEFINED  01,08   1,429,280   3,833,908       9,240
JOHNSON CTLS INC                  COM   478366107      55,316   1,703,086  SH     DEFINED     09   1,703,086           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    173
  ________

JOHNSON OUTDOORS INC              COM   479167108         177       9,257  SH     DEFINED     01         541       8,716           0
JOHNSON OUTDOORS INC              COM   479167108         971      50,845  SH     DEFINED  01,08      11,766      39,079           0
JOHNSON OUTDOORS INC              COM   479167108         374      19,575  SH     DEFINED     09      19,575           0           0

JONES LANG LASALLE INC            COM   48020Q107       1,336      16,036  SH     DEFINED     01      11,485       4,551           0
JONES LANG LASALLE INC            COM   48020Q107         630       7,565  SH     OTHER       01       2,140       5,400          25
JONES LANG LASALLE INC            COM   48020Q107      22,586     271,108  SH     DEFINED  01,08      18,306     252,802           0

JONES GROUP INC                   COM   48020T101       3,561     283,526  SH     DEFINED     01      84,896     195,840       2,790
JONES GROUP INC                   COM   48020T101          25       1,970  SH     OTHER       01       1,970           0           0
JONES GROUP INC                   COM   48020T101      11,432     910,160  SH     DEFINED  01,08     259,533     650,627           0
JONES GROUP INC                   COM   48020T101       3,310     263,559  SH     DEFINED     09     263,559           0           0

JONES SODA CO                     COM   48023P106          31      66,953  SH     DEFINED  01,08         456      66,497           0

JOS A BANK CLOTHIERS INC          COM   480838101       2,335      46,320  SH     DEFINED     01      15,427      30,893           0
JOS A BANK CLOTHIERS INC          COM   480838101      13,794     273,641  SH     DEFINED  01,08      48,517     225,124           0
JOS A BANK CLOTHIERS INC          COM   480838101       4,000      79,340  SH     DEFINED     09      79,340           0           0

JOURNAL COMMUNICATIONS INC        COM   481130102       2,386     423,757  SH     DEFINED     01      10,500     413,257           0
JOURNAL COMMUNICATIONS INC        COM   481130102       4,677     830,702  SH     DEFINED  01,08     485,892     344,810           0
JOURNAL COMMUNICATIONS INC        COM   481130102         736     130,779  SH     DEFINED     09     130,779           0           0

JOY GLOBAL INC                    COM   481165108      15,057     204,862  SH     DEFINED     01     145,648      56,848       2,366
JOY GLOBAL INC                    COM   481165108       1,581      21,512  SH     OTHER       01       9,269       3,578       8,665
JOY GLOBAL INC                    COM   481165108      58,209     791,961  SH     DEFINED  01,08     190,763     601,198           0
JOY GLOBAL INC                    COM   481165108      19,486     265,122  SH     DEFINED     09     265,122           0           0

J2 GLOBAL INC                     COM   48123V102       2,119      73,896  SH     DEFINED     01      22,869      51,027           0
J2 GLOBAL INC                     COM   48123V102      12,997     453,160  SH     DEFINED  01,08      74,726     378,434           0
J2 GLOBAL INC                     COM   48123V102       3,722     129,769  SH     DEFINED     09     129,769           0           0

JUNIPER NETWORKS INC              COM   48203R104      22,187     969,702  SH     DEFINED     01     617,954     345,961       5,787
JUNIPER NETWORKS INC              COM   48203R104       1,942      84,866  SH     OTHER       01      46,407      25,212      13,247
JUNIPER NETWORKS INC              COM   48203R104      90,685   3,963,514  SH     DEFINED  01,08     955,601   3,007,913           0
JUNIPER NETWORKS INC              COM   48203R104      29,647   1,295,773  SH     DEFINED     09   1,295,773           0           0

KAR AUCTION SVCS INC              COM   48238T109         169      10,413  SH     DEFINED     01       2,288       8,125           0
KAR AUCTION SVCS INC              COM   48238T109       1,650     101,764  SH     DEFINED  01,08       7,959      93,805           0

KB FINANCIAL GROUP INC            COM   48241A105       1,662      45,291  SH     DEFINED     01      43,339       1,847         105
KB FINANCIAL GROUP INC            COM   48241A105         154       4,203  SH     OTHER       01         338       3,865           0
KB FINANCIAL GROUP INC            COM   48241A105       1,094      29,796  SH     DEFINED  01,08      29,796           0           0

KBR INC                           COM   48242W106       3,227      90,770  SH     DEFINED     01      75,362      15,158         250
KBR INC                           COM   48242W106          22         610  SH     OTHER       01         375         160          75
KBR INC                           COM   48242W106      32,921     926,034  SH     DEFINED  01,08      60,693     865,341           0
KBR INC                           COM   48242W106       7,030     197,753  SH     DEFINED     09     197,753           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    174
  ________

KBW INC                           COM   482423100       2,021     109,253  SH     DEFINED     01      22,487      86,766           0
KBW INC                           COM   482423100          21       1,115  SH     OTHER       01         715         400           0
KBW INC                           COM   482423100       6,850     370,289  SH     DEFINED  01,08     105,986     264,303           0
KBW INC                           COM   482423100       1,707      92,247  SH     DEFINED     09      92,247           0           0

KIT DIGITAL INC                   COM   482470200         236      32,750  SH     DEFINED     01      10,081      22,669           0
KIT DIGITAL INC                   COM   482470200       2,501     347,423  SH     DEFINED  01,08      36,492     310,931           0
KIT DIGITAL INC                   COM   482470200         769     106,793  SH     DEFINED     09     106,793           0           0

KKR FINANCIAL HLDGS LLC           COM   48248A306         221      24,000  SH     OTHER       01      22,500       1,500           0

KKR & CO L P DEL                  COM   48248M102       9,490     639,914  SH     DEFINED     01     448,024     181,005      10,885
KKR & CO L P DEL                  COM   48248M102       2,248     151,605  SH     OTHER       01      17,465     134,140           0
KKR & CO L P DEL                  COM   48248M102      12,772     861,242  SH     DEFINED  01,08     811,912       2,500      46,830

KLA-TENCOR CORP                   COM   482480100      14,386     264,358  SH     DEFINED     01     147,350     116,586         422
KLA-TENCOR CORP                   COM   482480100         771      14,161  SH     OTHER       01       6,669       6,691         801
KLA-TENCOR CORP                   COM   482480100      72,654   1,335,057  SH     DEFINED  01,08     377,684     957,373           0
KLA-TENCOR CORP                   COM   482480100      22,231     408,500  SH     DEFINED     09     408,500           0           0

KMG CHEMICALS INC                 COM   482564101         152       8,398  SH     DEFINED     01       1,396       7,002           0
KMG CHEMICALS INC                 COM   482564101       1,243      68,847  SH     DEFINED  01,08       9,916      58,931           0
KMG CHEMICALS INC                 COM   482564101         270      14,962  SH     DEFINED     09      14,962           0           0

KT CORP                           COM   48268K101          75       5,466  SH     DEFINED     01       4,960         506           0
KT CORP                           COM   48268K101          32       2,308  SH     OTHER       01           0       2,308           0
KT CORP                           COM   48268K101         509      37,202  SH     DEFINED  01,08      37,202           0           0
KT CORP                           COM   48268K101         305      22,257  SH     DEFINED     09      22,257           0           0

K-SWISS INC                       COM   482686102         173      42,200  SH     DEFINED     01      13,253      28,947           0
K-SWISS INC                       COM   482686102       1,121     273,353  SH     DEFINED  01,08      51,265     222,088           0
K-SWISS INC                       COM   482686102         492     120,044  SH     DEFINED     09     120,044           0           0

K12 INC                           COM   48273U102         787      33,321  SH     DEFINED     01       7,259      26,062           0
K12 INC                           COM   48273U102         138       5,826  SH     OTHER       01       5,826           0           0
K12 INC                           COM   48273U102       6,129     259,387  SH     DEFINED  01,08      36,298     223,089           0
K12 INC                           COM   48273U102       1,784      75,487  SH     DEFINED     09      75,487           0           0

KVH INDS INC                      COM   482738101         237      22,547  SH     DEFINED     01       3,158      19,389           0
KVH INDS INC                      COM   482738101       1,527     145,430  SH     DEFINED  01,08      22,856     122,574           0
KVH INDS INC                      COM   482738101         423      40,240  SH     DEFINED     09      40,240           0           0

K V PHARMACEUTICAL CO             COM   482740206          59      44,508  SH     DEFINED     01       5,084      39,424           0
K V PHARMACEUTICAL CO             COM   482740206         631     477,786  SH     DEFINED  01,08      58,007     419,779           0
K V PHARMACEUTICAL CO             COM   482740206         205     155,327  SH     DEFINED     09     155,327           0           0

KADANT INC                        COM   48282T104         655      27,494  SH     DEFINED     01       3,038      24,456           0
KADANT INC                        COM   48282T104       3,140     131,824  SH     DEFINED  01,08      30,551     101,273           0
KADANT INC                        COM   48282T104         814      34,153  SH     DEFINED     09      34,153           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    175
  ________

KAISER ALUMINUM CORP              COM   483007704       5,166     109,315  SH     DEFINED     01      50,848      56,687       1,780
KAISER ALUMINUM CORP              COM   483007704         575      12,163  SH     OTHER       01       1,133      10,885         145
KAISER ALUMINUM CORP              COM   483007704       9,311     197,015  SH     DEFINED  01,08      64,854     132,161           0
KAISER ALUMINUM CORP              COM   483007704       2,085      44,126  SH     DEFINED     09      44,126           0           0

KAISER FED FINL GROUP INC         COM   483056107          45       3,213  SH     DEFINED     01           0       3,213           0
KAISER FED FINL GROUP INC         COM   483056107         207      14,807  SH     DEFINED  01,08       3,888      10,919           0

KAMAN CORP                        COM   483548103       2,318      68,281  SH     DEFINED     01      13,283      54,998           0
KAMAN CORP                        COM   483548103          56       1,656  SH     OTHER       01       1,656           0           0
KAMAN CORP                        COM   483548103       9,815     289,112  SH     DEFINED  01,08      73,656     215,456           0
KAMAN CORP                        COM   483548103       2,454      72,274  SH     DEFINED     09      72,274           0           0

KANSAS CITY LIFE INS CO           COM   484836101         375      11,643  SH     DEFINED     01       2,827       8,816           0
KANSAS CITY LIFE INS CO           COM   484836101       1,516      47,085  SH     DEFINED  01,08      12,320      34,765           0
KANSAS CITY LIFE INS CO           COM   484836101         388      12,064  SH     DEFINED     09      12,064           0           0

KANSAS CITY SOUTHERN              COM   485170302      22,371     312,048  SH     DEFINED     01     212,097      95,390       4,561
KANSAS CITY SOUTHERN              COM   485170302       1,016      14,179  SH     OTHER       01       2,076       6,001       6,102
KANSAS CITY SOUTHERN              COM   485170302      53,327     743,862  SH     DEFINED  01,08     102,635     641,227           0
KANSAS CITY SOUTHERN              COM   485170302      12,195     170,114  SH     DEFINED     09     170,114           0           0

KAPSTONE PAPER & PACKAGING C      COM   48562P103       1,998     101,433  SH     DEFINED     01      17,253      84,180           0
KAPSTONE PAPER & PACKAGING C      COM   48562P103          57       2,870  SH     OTHER       01       2,207         663           0
KAPSTONE PAPER & PACKAGING C      COM   48562P103       8,376     425,183  SH     DEFINED  01,08     106,822     318,361           0
KAPSTONE PAPER & PACKAGING C      COM   48562P103       1,984     100,732  SH     DEFINED     09     100,732           0           0

KAYDON CORP                       COM   486587108       1,284      50,332  SH     DEFINED     01      15,237      35,095           0
KAYDON CORP                       COM   486587108       8,068     316,258  SH     DEFINED  01,08      56,691     259,567           0
KAYDON CORP                       COM   486587108       2,612     102,390  SH     DEFINED     09     102,390           0           0

KAYNE ANDERSON ENRGY TTL RT       COM   48660P104         302      11,000  SH     OTHER       01       8,000       3,000           0

KAYNE ANDERSON MLP INVSMNT C      COM   486606106         136       4,371  SH     DEFINED     01       4,371           0           0
KAYNE ANDERSON MLP INVSMNT C      COM   486606106         252       8,095  SH     OTHER       01       4,000       4,095           0

KB HOME                           COM   48666K109         796      89,419  SH     DEFINED     01      26,625      62,794           0
KB HOME                           COM   48666K109       8,122     912,578  SH     DEFINED  01,08     105,469     807,109           0
KB HOME                           COM   48666K109       1,931     216,976  SH     DEFINED     09     216,976           0           0

KEARNY FINL CORP                  COM   487169104         364      37,314  SH     DEFINED     01       2,716      34,598           0
KEARNY FINL CORP                  COM   487169104       1,681     172,383  SH     DEFINED  01,08      47,337     125,046           0
KEARNY FINL CORP                  COM   487169104         497      51,012  SH     DEFINED     09      51,012           0           0

KELLOGG CO                        COM   487836108      49,768     927,994  SH     DEFINED     01     665,071     245,168      17,755
KELLOGG CO                        COM   487836108      12,737     237,498  SH     OTHER       01     169,244      56,910      11,344
KELLOGG CO                        COM   487836108     101,589   1,894,263  SH     DEFINED  01,08     493,563   1,400,700           0
KELLOGG CO                        COM   487836108      32,530     606,570  SH     DEFINED     09     606,570           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    176
  ________

KELLY SVCS INC                    COM   488152208       2,160     135,092  SH     DEFINED     01      13,671     121,421           0
KELLY SVCS INC                    COM   488152208          24       1,500  SH     OTHER       01       1,500           0           0
KELLY SVCS INC                    COM   488152208       6,071     379,653  SH     DEFINED  01,08     154,317     225,336           0
KELLY SVCS INC                    COM   488152208       1,541      96,399  SH     DEFINED     09      96,399           0           0

KEMET CORP                        COM   488360207         373      39,840  SH     DEFINED     01       7,088      32,752           0
KEMET CORP                        COM   488360207          66       7,100  SH     OTHER       01           0       7,100           0
KEMET CORP                        COM   488360207       3,760     401,747  SH     DEFINED  01,08      49,351     352,396           0
KEMET CORP                        COM   488360207       1,124     120,132  SH     DEFINED     09     120,132           0           0

KEMPER CORP DEL                   COM   488401100       2,849      94,103  SH     DEFINED     01      30,788      62,700         615
KEMPER CORP DEL                   COM   488401100         123       4,055  SH     OTHER       01       2,235           0       1,820
KEMPER CORP DEL                   COM   488401100      10,882     359,363  SH     DEFINED  01,08      78,834     280,529           0

KENEXA CORP                       COM   488879107       1,085      34,729  SH     DEFINED     01       7,669      27,060           0
KENEXA CORP                       COM   488879107       7,813     250,091  SH     DEFINED  01,08      41,220     208,871           0
KENEXA CORP                       COM   488879107       2,442      78,183  SH     DEFINED     09      78,183           0           0

KENNAMETAL INC                    COM   489170100       1,377      30,928  SH     DEFINED     01      20,675      10,053         200
KENNAMETAL INC                    COM   489170100      22,114     496,618  SH     DEFINED  01,08      28,624     467,994           0

KENNEDY-WILSON HLDGS INC          COM   489398107         452      33,488  SH     DEFINED     01       2,613      30,875           0
KENNEDY-WILSON HLDGS INC          COM   489398107       3,883     287,618  SH     DEFINED  01,08      48,599     239,019           0
KENNEDY-WILSON HLDGS INC          COM   489398107       1,166      86,346  SH     DEFINED     09      86,346           0           0

KENSEY NASH CORP                  COM   490057106         544      18,599  SH     DEFINED     01       4,502      14,097           0
KENSEY NASH CORP                  COM   490057106       2,725      93,132  SH     DEFINED  01,08      20,864      72,268           0
KENSEY NASH CORP                  COM   490057106         797      27,249  SH     DEFINED     09      27,249           0           0

KERYX BIOPHARMACEUTICALS INC      COM   492515101         362      72,704  SH     DEFINED     01      20,897      51,807           0
KERYX BIOPHARMACEUTICALS INC      COM   492515101       3,188     640,214  SH     DEFINED  01,08      77,454     562,760           0
KERYX BIOPHARMACEUTICALS INC      COM   492515101       1,104     221,713  SH     DEFINED     09     221,713           0           0

KEWAUNEE SCIENTIFIC CORP          COM   492854104          22       2,510  SH     DEFINED     01           0       2,510           0
KEWAUNEE SCIENTIFIC CORP          COM   492854104         383      44,080  SH     OTHER       01           0      44,080           0
KEWAUNEE SCIENTIFIC CORP          COM   492854104          46       5,342  SH     DEFINED  01,08       2,979       2,363           0

KEY ENERGY SVCS INC               COM   492914106       3,710     240,108  SH     DEFINED     01      28,646     211,462           0
KEY ENERGY SVCS INC               COM   492914106      20,702   1,339,905  SH     DEFINED  01,08     288,777   1,051,128           0
KEY ENERGY SVCS INC               COM   492914106       5,496     355,755  SH     DEFINED     09     355,755           0           0

KEY TECHNOLOGY INC                COM   493143101         108       7,970  SH     DEFINED     01           0       7,970           0
KEY TECHNOLOGY INC                COM   493143101         194      14,392  SH     DEFINED  01,08       7,732       6,660           0

KEY TRONICS CORP                  COM   493144109         182      19,253  SH     DEFINED     01       5,026      14,227           0
KEY TRONICS CORP                  COM   493144109         250      26,426  SH     DEFINED  01,08      13,140      13,286           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    177
  ________

KEYCORP NEW                       COM   493267108      18,080   2,127,017  SH     DEFINED     01   1,556,745     526,687      43,585
KEYCORP NEW                       COM   493267108       1,417     166,660  SH     OTHER       01      94,167      70,815       1,678
KEYCORP NEW                       COM   493267108      60,635   7,133,562  SH     DEFINED  01,08   1,797,426   5,336,136           0
KEYCORP NEW                       COM   493267108      19,998   2,352,758  SH     DEFINED     09   2,352,758           0           0

KEYNOTE SYS INC                   COM   493308100         866      43,834  SH     DEFINED     01      12,938      30,896           0
KEYNOTE SYS INC                   COM   493308100          23       1,145  SH     OTHER       01       1,145           0           0
KEYNOTE SYS INC                   COM   493308100       3,307     167,368  SH     DEFINED  01,08      43,885     123,483           0
KEYNOTE SYS INC                   COM   493308100         744      37,655  SH     DEFINED     09      37,655           0           0

KEYW HLDG CORP                    COM   493723100         106      13,710  SH     DEFINED     01       3,994       9,716           0
KEYW HLDG CORP                    COM   493723100       1,243     160,375  SH     DEFINED  01,08      17,251     143,124           0
KEYW HLDG CORP                    COM   493723100         364      46,994  SH     DEFINED     09      46,994           0           0

KFORCE INC                        COM   493732101       1,859     124,767  SH     DEFINED     01       8,587     116,180           0
KFORCE INC                        COM   493732101       5,852     392,739  SH     DEFINED  01,08     136,229     256,510           0
KFORCE INC                        COM   493732101       1,291      86,655  SH     DEFINED     09      86,655           0           0

KID BRANDS INC                    COM   49375T100          26       9,724  SH     DEFINED     01       1,686       8,038           0
KID BRANDS INC                    COM   49375T100          99      36,521  SH     DEFINED  01,08       6,480      30,041           0

KILROY RLTY CORP                  COM   49427F108      11,831     253,837  SH     DEFINED     01      41,457     212,380           0
KILROY RLTY CORP                  COM   49427F108           8         170  SH     OTHER       01         120          50           0
KILROY RLTY CORP                  COM   49427F108      42,249     906,431  SH     DEFINED  01,08     359,505     546,926           0
KILROY RLTY CORP                  COM   49427F108      10,803     231,766  SH     DEFINED     09     231,766           0           0

KIMBALL INTL INC                  COM   494274103         309      44,684  SH     DEFINED     01       8,524      36,160           0
KIMBALL INTL INC                  COM   494274103       2,075     300,279  SH     DEFINED  01,08      60,156     240,123           0
KIMBALL INTL INC                  COM   494274103         739     106,955  SH     DEFINED     09     106,955           0           0

KIMBERLY CLARK CORP               COM   494368103     100,787   1,364,014  SH     DEFINED     01   1,010,135     322,306      31,573
KIMBERLY CLARK CORP               COM   494368103      21,334     288,731  SH     OTHER       01     217,666      54,705      16,360
KIMBERLY CLARK CORP               COM   494368103     223,775   3,028,493  SH     DEFINED  01,08     789,892   2,238,601           0
KIMBERLY CLARK CORP               COM   494368103      71,146     962,866  SH     DEFINED     09     962,866           0           0

KIMCO RLTY CORP                   COM   49446R109       8,844     459,188  SH     DEFINED     01     242,205     215,869       1,114
KIMCO RLTY CORP                   COM   49446R109         233      12,106  SH     OTHER       01      10,409         122       1,575
KIMCO RLTY CORP                   COM   49446R109      69,223   3,594,154  SH     DEFINED  01,08   1,302,549   2,291,605           0
KIMCO RLTY CORP                   COM   49446R109      21,353   1,108,687  SH     DEFINED     09   1,108,687           0           0

KINDER MORGAN MANAGEMENT LLC      COM   49455U100         331       4,432  SH     DEFINED     01       4,432           0           0
KINDER MORGAN MANAGEMENT LLC      COM   49455U100         246       3,294  SH     OTHER       01         215       3,079           0
KINDER MORGAN MANAGEMENT LLC      COM   49455U100       3,964      53,113  SH     DEFINED  01,08      50,845       2,268           0
KINDER MORGAN MANAGEMENT LLC      COM   49455U100       8,360     112,023  SH     DEFINED     09     112,023           0           0

KINDER MORGAN ENERGY PARTNER      COM   494550106       3,970      47,975  SH     DEFINED     01      40,321       2,209       5,445
KINDER MORGAN ENERGY PARTNER      COM   494550106       2,357      28,480  SH     OTHER       01      22,769           0       5,711
KINDER MORGAN ENERGY PARTNER      COM   494550106       8,126      98,205  SH     DEFINED  01,08      98,205           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    178
  ________

KINDER MORGAN INC DEL             COM   49456B101      40,513   1,048,207  SH     DEFINED     01     996,057      22,111      30,039
KINDER MORGAN INC DEL             COM   49456B101       4,379     113,299  SH     OTHER       01      87,137      24,789       1,373
KINDER MORGAN INC DEL             COM   49456B101      23,229     601,017  SH     DEFINED  01,08     113,364     487,653           0
KINDER MORGAN INC DEL             COM   49456B101       7,536     194,976  SH     DEFINED     09     194,976           0           0

KINDRED HEALTHCARE INC            COM   494580103       4,589     531,139  SH     DEFINED     01      18,006     513,133           0
KINDRED HEALTHCARE INC            COM   494580103       8,771   1,015,154  SH     DEFINED  01,08     606,000     409,154           0
KINDRED HEALTHCARE INC            COM   494580103       1,252     144,915  SH     DEFINED     09     144,915           0           0

KINROSS GOLD CORP                 COM   496902404       3,679     375,806  SH     DEFINED     01     186,550     189,256           0
KINROSS GOLD CORP                 COM   496902404         435      44,477  SH     OTHER       01      10,475      31,813       2,189
KINROSS GOLD CORP                 COM   496902404         765      78,128  SH     DEFINED  01,08      78,128           0           0

KINGSWAY FINL SVCS INC            COM   496904103          56      70,000  SH     DEFINED     01      70,000           0           0

KIOR INC                          COM   497217109          76       5,703  SH     DEFINED     01       1,182       4,521           0
KIOR INC                          COM   497217109          72       5,412  SH     OTHER       01       5,412           0           0
KIOR INC                          COM   497217109       1,157      86,527  SH     DEFINED  01,08       8,924      77,603           0
KIOR INC                          COM   497217109         488      36,507  SH     DEFINED     09      36,507           0           0

KIRBY CORP                        COM   497266106       6,890     104,733  SH     DEFINED     01      95,252       8,523         958
KIRBY CORP                        COM   497266106         201       3,062  SH     OTHER       01       1,037       1,650         375
KIRBY CORP                        COM   497266106      22,683     344,786  SH     DEFINED  01,08      23,400     321,386           0

KIRKLANDS INC                     COM   497498105         321      19,842  SH     DEFINED     01       7,005      12,837           0
KIRKLANDS INC                     COM   497498105       2,667     164,823  SH     DEFINED  01,08      26,212     138,611           0
KIRKLANDS INC                     COM   497498105         720      44,500  SH     DEFINED     09      44,500           0           0

KITE RLTY GROUP TR                COM   49803T102       1,974     374,650  SH     DEFINED     01      32,643     342,007           0
KITE RLTY GROUP TR                COM   49803T102       5,124     972,361  SH     DEFINED  01,08     501,520     470,841           0
KITE RLTY GROUP TR                COM   49803T102       1,070     203,050  SH     DEFINED     09     203,050           0           0

KNOLL INC                         COM   498904200       1,154      69,360  SH     DEFINED     01      16,903      52,377          80
KNOLL INC                         COM   498904200           1          90  SH     OTHER       01          90           0           0
KNOLL INC                         COM   498904200       7,926     476,323  SH     DEFINED  01,08      84,629     391,694           0
KNOLL INC                         COM   498904200       2,283     137,216  SH     DEFINED     09     137,216           0           0

KNIGHT CAP GROUP INC              COM   499005106       5,704     443,167  SH     DEFINED     01      23,355     419,812           0
KNIGHT CAP GROUP INC              COM   499005106      16,556   1,286,395  SH     DEFINED  01,08     468,127     818,268           0
KNIGHT CAP GROUP INC              COM   499005106       4,057     315,237  SH     DEFINED     09     315,237           0           0

KNIGHT TRANSN INC                 COM   499064103       6,463     365,952  SH     DEFINED     01     294,884      70,158         910
KNIGHT TRANSN INC                 COM   499064103       1,344      76,082  SH     OTHER       01       3,002      73,080           0
KNIGHT TRANSN INC                 COM   499064103      10,622     601,479  SH     DEFINED  01,08     108,264     493,215           0
KNIGHT TRANSN INC                 COM   499064103       3,438     194,675  SH     DEFINED     09     194,675           0           0

KNOLOGY INC                       COM   499183804         549      30,142  SH     DEFINED     01       9,365      20,777           0
KNOLOGY INC                       COM   499183804       5,243     288,083  SH     DEFINED  01,08      40,726     247,357           0
KNOLOGY INC                       COM   499183804       1,696      93,163  SH     DEFINED     09      93,163           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    179
  ________

KODIAK OIL & GAS CORP             COM   50015Q100       3,184     319,630  SH     DEFINED     01     134,561     185,069           0
KODIAK OIL & GAS CORP             COM   50015Q100         112      11,289  SH     OTHER       01         721      10,568           0
KODIAK OIL & GAS CORP             COM   50015Q100      23,462   2,355,598  SH     DEFINED  01,08     291,591   2,064,007           0
KODIAK OIL & GAS CORP             COM   50015Q100       7,524     755,442  SH     DEFINED     09     755,442           0           0

KOHLBERG CAPITAL CORP             COM   500233101         113      16,314  SH     DEFINED     01       4,103      12,211           0
KOHLBERG CAPITAL CORP             COM   500233101       1,043     151,003  SH     DEFINED  01,08      20,463     130,540           0
KOHLBERG CAPITAL CORP             COM   500233101         388      56,112  SH     DEFINED     09      56,112           0           0

KOHLS CORP                        COM   500255104      38,043     760,412  SH     DEFINED     01     588,531     155,557      16,324
KOHLS CORP                        COM   500255104       8,235     164,595  SH     OTHER       01      91,001      58,643      14,951
KOHLS CORP                        COM   500255104      92,784   1,854,559  SH     DEFINED  01,08     425,639   1,428,920           0
KOHLS CORP                        COM   500255104      31,776     635,143  SH     DEFINED     09     635,143           0           0

KONA GRILL INC                    COM   50047H201          36       6,700  SH     DEFINED     01           0       6,700           0
KONA GRILL INC                    COM   50047H201          99      18,124  SH     DEFINED  01,08       6,395      11,729           0

KONINKLIJKE PHILIPS ELECTRS       COM   500472303       2,249     110,511  SH     DEFINED     01     107,486       3,025           0
KONINKLIJKE PHILIPS ELECTRS       COM   500472303         698      34,298  SH     OTHER       01      25,124       9,174           0
KONINKLIJKE PHILIPS ELECTRS       COM   500472303       1,659      81,519  SH     DEFINED  01,08      81,519           0           0

KOPPERS HOLDINGS INC              COM   50060P106       2,186      56,687  SH     DEFINED     01      28,897      27,585         205
KOPPERS HOLDINGS INC              COM   50060P106         320       8,310  SH     OTHER       01         905       7,405           0
KOPPERS HOLDINGS INC              COM   50060P106       8,030     208,254  SH     DEFINED  01,08      40,606     167,648           0
KOPPERS HOLDINGS INC              COM   50060P106       2,358      61,159  SH     DEFINED     09      61,159           0           0

KOPIN CORP                        COM   500600101         472     115,874  SH     DEFINED     01      37,312      78,562           0
KOPIN CORP                        COM   500600101       2,705     664,499  SH     DEFINED  01,08     126,292     538,207           0
KOPIN CORP                        COM   500600101         930     228,495  SH     DEFINED     09     228,495           0           0

KOREA ELECTRIC PWR                COM   500631106       1,703     174,986  SH     DEFINED     01      68,575     106,269         142
KOREA ELECTRIC PWR                COM   500631106         160      16,419  SH     OTHER       01       1,118      13,983       1,318
KOREA ELECTRIC PWR                COM   500631106         421      43,225  SH     DEFINED  01,08      43,225           0           0

KORN FERRY INTL                   COM   500643200       3,674     219,319  SH     DEFINED     01      19,507     192,595       7,217
KORN FERRY INTL                   COM   500643200      12,283     733,290  SH     DEFINED  01,08     214,332     518,958           0
KORN FERRY INTL                   COM   500643200       2,375     141,785  SH     DEFINED     09     141,785           0           0

KOSS CORP                         COM   500692108          52       9,702  SH     DEFINED     01           0       9,702           0
KOSS CORP                         COM   500692108          93      17,153  SH     DEFINED  01,08      11,285       5,868           0

KRAFT FOODS INC                   COM   50075N104     106,260   2,795,571  SH     DEFINED     01   1,657,631   1,105,484      32,456
KRAFT FOODS INC                   COM   50075N104      13,013     342,368  SH     OTHER       01     223,435      80,758      38,175
KRAFT FOODS INC                   COM   50075N104     506,430  13,323,608  SH     DEFINED  01,08   3,541,472   9,773,640       8,496
KRAFT FOODS INC                   COM   50075N104     159,304   4,191,115  SH     DEFINED     09   4,191,115           0           0

KRATOS DEFENSE & SEC SOLUTIO      COM   50077B207         174      32,581  SH     DEFINED     01       8,269      24,312           0
KRATOS DEFENSE & SEC SOLUTIO      COM   50077B207       1,685     315,479  SH     DEFINED  01,08      39,806     275,673           0
KRATOS DEFENSE & SEC SOLUTIO      COM   50077B207         507      95,025  SH     DEFINED     09      95,025           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    180
  ________

KRATON PERFORMANCE POLYMERS       COM   50077C106         955      35,945  SH     DEFINED     01      12,903      23,042           0
KRATON PERFORMANCE POLYMERS       COM   50077C106       7,943     298,949  SH     DEFINED  01,08      40,926     258,023           0
KRATON PERFORMANCE POLYMERS       COM   50077C106       2,493      93,815  SH     DEFINED     09      93,815           0           0

KRISPY KREME DOUGHNUTS INC        COM   501014104         459      62,921  SH     DEFINED     01      15,425      47,496           0
KRISPY KREME DOUGHNUTS INC        COM   501014104           1         188  SH     OTHER       01         188           0           0
KRISPY KREME DOUGHNUTS INC        COM   501014104       4,077     558,435  SH     DEFINED  01,08      81,218     477,217           0
KRISPY KREME DOUGHNUTS INC        COM   501014104       1,137     155,797  SH     DEFINED     09     155,797           0           0

KROGER CO                         COM   501044101      16,463     679,466  SH     DEFINED     01     348,955     329,189       1,322
KROGER CO                         COM   501044101       1,102      45,501  SH     OTHER       01       8,037      36,765         699
KROGER CO                         COM   501044101     103,580   4,274,873  SH     DEFINED  01,08   1,016,428   3,258,445           0
KROGER CO                         COM   501044101      34,657   1,430,314  SH     DEFINED     09   1,430,314           0           0

KRONOS WORLDWIDE INC              COM   50105F105         477      19,111  SH     DEFINED     01       9,571       9,540           0
KRONOS WORLDWIDE INC              COM   50105F105       2,174      87,170  SH     DEFINED  01,08      23,660      63,510           0

KUBOTA CORP                       COM   501173207       2,247      46,427  SH     DEFINED     01      44,608         875         944
KUBOTA CORP                       COM   501173207         160       3,311  SH     OTHER       01         901         620       1,790
KUBOTA CORP                       COM   501173207         521      10,772  SH     DEFINED  01,08      10,772           0           0

KULICKE & SOFFA INDS INC          COM   501242101       3,428     275,780  SH     DEFINED     01      37,175     238,605           0
KULICKE & SOFFA INDS INC          COM   501242101          78       6,300  SH     OTHER       01           0       6,300           0
KULICKE & SOFFA INDS INC          COM   501242101      10,677     858,942  SH     DEFINED  01,08     283,315     575,627           0
KULICKE & SOFFA INDS INC          COM   501242101       2,748     221,043  SH     DEFINED     09     221,043           0           0

KYOCERA CORP                      COM   501556203       1,567      16,975  SH     DEFINED     01      16,228         727          20
KYOCERA CORP                      COM   501556203          40         435  SH     OTHER       01         155         280           0
KYOCERA CORP                      COM   501556203         993      10,752  SH     DEFINED  01,08      10,752           0           0

L & L ENERGY INC                  COM   50162D100          32      13,115  SH     DEFINED     01       2,425      10,690           0
L & L ENERGY INC                  COM   50162D100         396     161,691  SH     DEFINED  01,08      20,137     141,554           0
L & L ENERGY INC                  COM   50162D100         108      44,134  SH     DEFINED     09      44,134           0           0

LAN AIRLINES S A                  COM   501723100         637      21,887  SH     DEFINED     01      21,257         605          25
LAN AIRLINES S A                  COM   501723100          19         641  SH     OTHER       01         196         445           0
LAN AIRLINES S A                  COM   501723100       1,328      45,645  SH     DEFINED  01,08      45,645           0           0
LAN AIRLINES S A                  COM   501723100       1,724      59,249  SH     DEFINED     09      59,249           0           0

LCA-VISION INC                    COM   501803308         106      16,917  SH     DEFINED     01          93      16,824           0
LCA-VISION INC                    COM   501803308         291      46,414  SH     DEFINED  01,08      15,772      30,642           0

LGL GROUP INC                     COM   50186A108          42       5,806  SH     DEFINED     01           0       5,806           0
LGL GROUP INC                     COM   50186A108          53       7,318  SH     DEFINED  01,08       5,810       1,508           0

LHC GROUP INC                     COM   50187A107         552      29,777  SH     DEFINED     01       8,187      21,590           0
LHC GROUP INC                     COM   50187A107       3,142     169,584  SH     DEFINED  01,08      35,788     133,796           0
LHC GROUP INC                     COM   50187A107         823      44,438  SH     DEFINED     09      44,438           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    181
  ________

LKQ CORP                          COM   501889208      14,950     479,634  SH     DEFINED     01     422,197      50,280       7,157
LKQ CORP                          COM   501889208         781      25,071  SH     OTHER       01      12,261      10,240       2,570
LKQ CORP                          COM   501889208      28,725     921,568  SH     DEFINED  01,08      61,931     859,637           0

LMI AEROSPACE INC                 COM   502079106         612      33,620  SH     DEFINED     01      22,039      11,581           0
LMI AEROSPACE INC                 COM   502079106       1,641      90,151  SH     DEFINED  01,08      15,696      74,455           0
LMI AEROSPACE INC                 COM   502079106         653      35,886  SH     DEFINED     09      35,886           0           0

LPL INVT HLDGS INC                COM   50213H100         285       7,518  SH     DEFINED     01       2,935       4,583           0
LPL INVT HLDGS INC                COM   50213H100       4,688     123,562  SH     DEFINED  01,08       8,674     114,888           0

LRAD CORP                         COM   50213V109           7       4,303  SH     DEFINED     01           0       4,303           0
LRAD CORP                         COM   50213V109          67      43,276  SH     DEFINED  01,08       4,303      38,973           0

LSI INDS INC                      COM   50216C108       1,232     168,082  SH     DEFINED     01       4,732     163,350           0
LSI INDS INC                      COM   50216C108       2,431     331,598  SH     DEFINED  01,08     172,086     159,512           0
LSI INDS INC                      COM   50216C108         392      53,546  SH     DEFINED     09      53,546           0           0

LSB INDS INC                      COM   502160104       1,300      33,409  SH     DEFINED     01       9,293      24,116           0
LSB INDS INC                      COM   502160104          36         925  SH     OTHER       01           0         925           0
LSB INDS INC                      COM   502160104       7,109     182,655  SH     DEFINED  01,08      33,754     148,901           0
LSB INDS INC                      COM   502160104       1,992      51,192  SH     DEFINED     09      51,192           0           0

LSI CORPORATION                   COM   502161102       8,543     984,207  SH     DEFINED     01     652,952     325,331       5,924
LSI CORPORATION                   COM   502161102         342      39,397  SH     OTHER       01      22,209      16,266         922
LSI CORPORATION                   COM   502161102      36,734   4,232,020  SH     DEFINED  01,08   1,029,833   3,202,187           0
LSI CORPORATION                   COM   502161102      12,999   1,497,573  SH     DEFINED     09   1,497,573           0           0

LTC PPTYS INC                     COM   502175102       7,570     236,566  SH     DEFINED     01      35,701     200,055         810
LTC PPTYS INC                     COM   502175102          19         585  SH     OTHER       01         585           0           0
LTC PPTYS INC                     COM   502175102      16,760     523,760  SH     DEFINED  01,08     269,030     254,730           0
LTC PPTYS INC                     COM   502175102       3,124      97,619  SH     DEFINED     09      97,619           0           0

LTX-CREDENCE CORP                 COM   502403207       1,008     140,191  SH     DEFINED     01      13,896     126,295           0
LTX-CREDENCE CORP                 COM   502403207       4,022     559,362  SH     DEFINED  01,08     150,891     408,471           0
LTX-CREDENCE CORP                 COM   502403207       1,005     139,719  SH     DEFINED     09     139,719           0           0

L-3 COMMUNICATIONS HLDGS INC      COM   502424104       7,122     100,630  SH     DEFINED     01      47,986      52,543         101
L-3 COMMUNICATIONS HLDGS INC      COM   502424104         149       2,109  SH     OTHER       01         957          10       1,142
L-3 COMMUNICATIONS HLDGS INC      COM   502424104      50,777     717,491  SH     DEFINED  01,08     160,076     557,415           0
L-3 COMMUNICATIONS HLDGS INC      COM   502424104      15,774     222,889  SH     DEFINED     09     222,889           0           0

LA Z BOY INC                      COM   505336107       2,817     188,324  SH     DEFINED     01      26,495     161,829           0
LA Z BOY INC                      COM   505336107       9,675     646,758  SH     DEFINED  01,08     225,210     421,548           0
LA Z BOY INC                      COM   505336107       2,195     146,740  SH     DEFINED     09     146,740           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    182
  ________

LABORATORY CORP AMER HLDGS        COM   50540R409      20,387     222,710  SH     DEFINED     01     155,864      58,658       8,188
LABORATORY CORP AMER HLDGS        COM   50540R409       1,486      16,229  SH     OTHER       01       8,194       8,035           0
LABORATORY CORP AMER HLDGS        COM   50540R409      65,835     719,195  SH     DEFINED  01,08     159,227     559,968           0
LABORATORY CORP AMER HLDGS        COM   50540R409      23,280     254,317  SH     DEFINED     09     254,317           0           0

LACLEDE GROUP INC                 COM   505597104       3,532      90,514  SH     DEFINED     01      14,808      75,706           0
LACLEDE GROUP INC                 COM   505597104          78       2,000  SH     OTHER       01       2,000           0           0
LACLEDE GROUP INC                 COM   505597104      10,953     280,702  SH     DEFINED  01,08      96,919     183,783           0
LACLEDE GROUP INC                 COM   505597104       2,507      64,243  SH     DEFINED     09      64,243           0           0

LACROSSE FOOTWEAR INC             COM   505688101          61       4,728  SH     DEFINED     01           0       4,728           0
LACROSSE FOOTWEAR INC             COM   505688101         132      10,168  SH     DEFINED  01,08       3,886       6,282           0

LADENBURG THALMAN FIN SVCS I      COM   50575Q102         184     103,456  SH     DEFINED     01      23,120      80,336           0
LADENBURG THALMAN FIN SVCS I      COM   50575Q102       1,623     911,941  SH     DEFINED  01,08     120,798     791,143           0
LADENBURG THALMAN FIN SVCS I      COM   50575Q102         459     258,095  SH     DEFINED     09     258,095           0           0

LAKELAND BANCORP INC              COM   511637100       2,191     222,386  SH     DEFINED     01       6,410     215,976           0
LAKELAND BANCORP INC              COM   511637100       4,193     425,666  SH     DEFINED  01,08     246,051     179,615           0
LAKELAND BANCORP INC              COM   511637100         865      87,835  SH     DEFINED     09      87,835           0           0

LAKELAND FINL CORP                COM   511656100       1,683      64,657  SH     DEFINED     01       6,539      58,118           0
LAKELAND FINL CORP                COM   511656100       5,398     207,375  SH     DEFINED  01,08      68,732     138,643           0
LAKELAND FINL CORP                COM   511656100       1,304      50,088  SH     DEFINED     09      50,088           0           0

LAKES ENTMNT INC                  COM   51206P109           9       4,882  SH     DEFINED     01           0       4,882           0
LAKES ENTMNT INC                  COM   51206P109          24      13,531  SH     DEFINED  01,08       5,390       8,141           0

LAM RESEARCH CORP                 COM   512807108       2,658      59,577  SH     DEFINED     01      46,375      12,952         250
LAM RESEARCH CORP                 COM   512807108         135       3,020  SH     OTHER       01         255       2,765           0
LAM RESEARCH CORP                 COM   512807108      34,708     777,864  SH     DEFINED  01,08      66,175     711,689           0
LAM RESEARCH CORP                 COM   512807108       7,705     172,671  SH     DEFINED     09     172,671           0           0

LAMAR ADVERTISING CO              COM   512815101         710      21,893  SH     DEFINED     01      15,988       5,905           0
LAMAR ADVERTISING CO              COM   512815101           2          60  SH     OTHER       01           0           0          60
LAMAR ADVERTISING CO              COM   512815101      11,756     362,730  SH     DEFINED  01,08      26,305     336,425           0

LANCASTER COLONY CORP             COM   513847103       1,775      26,708  SH     DEFINED     01       6,628      20,080           0
LANCASTER COLONY CORP             COM   513847103         311       4,685  SH     OTHER       01           0       4,685           0
LANCASTER COLONY CORP             COM   513847103      16,107     242,349  SH     DEFINED  01,08      32,587     209,762           0
LANCASTER COLONY CORP             COM   513847103       3,660      55,076  SH     DEFINED     09      55,076           0           0

LANDAUER INC                      COM   51476K103       2,486      46,897  SH     DEFINED     01      34,446      12,041         410
LANDAUER INC                      COM   51476K103          58       1,096  SH     OTHER       01         436         540         120
LANDAUER INC                      COM   51476K103       5,060      95,444  SH     DEFINED  01,08      16,449      78,995           0
LANDAUER INC                      COM   51476K103       1,393      26,270  SH     DEFINED     09      26,270           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    183
  ________

LANDEC CORP                       COM   514766104         189      28,966  SH     DEFINED     01       4,450      24,516           0
LANDEC CORP                       COM   514766104       1,612     246,843  SH     DEFINED  01,08      37,857     208,986           0
LANDEC CORP                       COM   514766104         466      71,349  SH     DEFINED     09      71,349           0           0

LANDSTAR SYS INC                  COM   515098101         900      15,593  SH     DEFINED     01      10,950       4,643           0
LANDSTAR SYS INC                  COM   515098101         151       2,618  SH     OTHER       01           0       2,618           0
LANDSTAR SYS INC                  COM   515098101      16,838     291,723  SH     DEFINED  01,08      14,691     277,032           0

LANNET INC                        COM   516012101          63      15,203  SH     DEFINED     01       1,569      13,634           0
LANNET INC                        COM   516012101         596     142,905  SH     DEFINED  01,08      22,113     120,792           0
LANNET INC                        COM   516012101         230      55,220  SH     DEFINED     09      55,220           0           0

LANTRONIX INC                     COM   516548203          12       4,359  SH     DEFINED     01           0       4,359           0
LANTRONIX INC                     COM   516548203          16       5,827  SH     DEFINED  01,08       3,331       2,496           0

LAREDO PETE HLDGS INC             COM   516806106          43       1,821  SH     DEFINED     01           0       1,821           0
LAREDO PETE HLDGS INC             COM   516806106         600      25,586  SH     DEFINED  01,08         647      24,939           0

LAS VEGAS SANDS CORP              COM   517834107      22,341     388,059  SH     DEFINED     01     320,580      64,478       3,001
LAS VEGAS SANDS CORP              COM   517834107       1,360      23,631  SH     OTHER       01      15,831       7,431         369
LAS VEGAS SANDS CORP              COM   517834107      76,712   1,332,506  SH     DEFINED  01,08     125,614   1,206,892           0
LAS VEGAS SANDS CORP              COM   517834107      29,902     519,405  SH     DEFINED     09     519,405           0           0

LASALLE HOTEL PPTYS               COM   517942108       9,382     333,411  SH     DEFINED     01      48,777     284,394         240
LASALLE HOTEL PPTYS               COM   517942108           7         260  SH     OTHER       01         260           0           0
LASALLE HOTEL PPTYS               COM   517942108      32,935   1,170,413  SH     DEFINED  01,08     479,561     690,852           0
LASALLE HOTEL PPTYS               COM   517942108       8,294     294,726  SH     DEFINED     09     294,726           0           0

LATTICE SEMICONDUCTOR CORP        COM   518415104       1,607     249,987  SH     DEFINED     01      33,944     216,043           0
LATTICE SEMICONDUCTOR CORP        COM   518415104       7,956   1,237,398  SH     DEFINED  01,08     287,515     949,883           0
LATTICE SEMICONDUCTOR CORP        COM   518415104       2,143     333,286  SH     DEFINED     09     333,286           0           0

LAUDER ESTEE COS INC              COM   518439104      40,251     649,839  SH     DEFINED     01     466,380     170,776      12,683
LAUDER ESTEE COS INC              COM   518439104       2,510      40,517  SH     OTHER       01      28,438      11,630         449
LAUDER ESTEE COS INC              COM   518439104     104,445   1,686,236  SH     DEFINED  01,08     401,826   1,284,410           0
LAUDER ESTEE COS INC              COM   518439104      34,031     549,413  SH     DEFINED     09     549,413           0           0

LAWSON PRODS INC                  COM   520776105         166      10,982  SH     DEFINED     01       2,004       8,978           0
LAWSON PRODS INC                  COM   520776105         608      40,270  SH     DEFINED  01,08      10,462      29,808           0
LAWSON PRODS INC                  COM   520776105         195      12,929  SH     DEFINED     09      12,929           0           0

LAYNE CHRISTENSEN CO              COM   521050104       3,204     143,995  SH     DEFINED     01       4,552     139,443           0
LAYNE CHRISTENSEN CO              COM   521050104       6,968     313,189  SH     DEFINED  01,08     150,402     162,787           0
LAYNE CHRISTENSEN CO              COM   521050104       1,338      60,113  SH     DEFINED     09      60,113           0           0

LEAPFROG ENTERPRISES INC          COM   52186N106         517      61,821  SH     DEFINED     01      22,678      39,143           0
LEAPFROG ENTERPRISES INC          COM   52186N106       3,442     411,751  SH     DEFINED  01,08      69,083     342,668           0
LEAPFROG ENTERPRISES INC          COM   52186N106       1,006     120,320  SH     DEFINED     09     120,320           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    184
  ________

LEAP WIRELESS INTL INC            COM   521863308         571      65,443  SH     DEFINED     01      17,000      48,443           0
LEAP WIRELESS INTL INC            COM   521863308       4,976     570,031  SH     DEFINED  01,08      79,345     490,686           0
LEAP WIRELESS INTL INC            COM   521863308       1,495     171,262  SH     DEFINED     09     171,262           0           0

LEAR CORP                         COM   521865204       1,373      29,524  SH     DEFINED     01      19,122      10,402           0
LEAR CORP                         COM   521865204         103       2,210  SH     OTHER       01           0       2,200          10
LEAR CORP                         COM   521865204      16,145     347,277  SH     DEFINED  01,08      36,296     310,981           0

LEARNING TREE INTL INC            COM   522015106          79      13,273  SH     DEFINED     01           0      13,273           0
LEARNING TREE INTL INC            COM   522015106         162      27,050  SH     DEFINED  01,08      11,450      15,600           0

LECROY CORP                       COM   52324W109         183      17,622  SH     DEFINED     01       3,388      14,234           0
LECROY CORP                       COM   52324W109          14       1,300  SH     OTHER       01       1,300           0           0
LECROY CORP                       COM   52324W109       1,587     152,748  SH     DEFINED  01,08      18,111     134,637           0
LECROY CORP                       COM   52324W109         452      43,507  SH     DEFINED     09      43,507           0           0

LEE ENTERPRISES INC               COM   523768109          24      18,601  SH     DEFINED     01      12,000       6,601           0
LEE ENTERPRISES INC               COM   523768109          10       7,701  SH     DEFINED  01,08       7,151         550           0

LEGGETT & PLATT INC               COM   524660107       4,301     186,919  SH     DEFINED     01     113,948      72,578         393
LEGGETT & PLATT INC               COM   524660107          82       3,564  SH     OTHER       01       3,385          14         165
LEGGETT & PLATT INC               COM   524660107      25,587   1,112,002  SH     DEFINED  01,08     323,805     788,197           0
LEGGETT & PLATT INC               COM   524660107       7,492     325,610  SH     DEFINED     09     325,610           0           0

LEGACY RESERVES LP                COM   524707304         291      10,050  SH     DEFINED     01      10,050           0           0
LEGACY RESERVES LP                COM   524707304         459      15,864  SH     DEFINED  01,08      15,864           0           0

LEGG MASON INC                    COM   524901105       3,968     142,056  SH     DEFINED     01      74,336      67,263         457
LEGG MASON INC                    COM   524901105         212       7,602  SH     OTHER       01       2,196       5,306         100
LEGG MASON INC                    COM   524901105      26,866     961,890  SH     DEFINED  01,08     240,763     721,127           0
LEGG MASON INC                    COM   524901105       8,910     319,000  SH     DEFINED     09     319,000           0           0

LEMAITRE VASCULAR INC             COM   525558201          15       2,520  SH     DEFINED     01           0       2,520           0
LEMAITRE VASCULAR INC             COM   525558201          70      11,854  SH     DEFINED  01,08       2,616       9,238           0

LENDER PROCESSING SVCS INC        COM   52602E102       1,310      50,402  SH     DEFINED     01      38,011      12,391           0
LENDER PROCESSING SVCS INC        COM   52602E102         142       5,445  SH     OTHER       01       2,447       2,953          45
LENDER PROCESSING SVCS INC        COM   52602E102      13,866     533,290  SH     DEFINED  01,08      32,580     500,710           0

LENNAR CORP                       COM   526057104       6,723     247,342  SH     DEFINED     01     152,739      86,080       8,523
LENNAR CORP                       COM   526057104         530      19,486  SH     OTHER       01      19,436          50           0
LENNAR CORP                       COM   526057104      32,275   1,187,456  SH     DEFINED  01,08     271,343     916,113           0
LENNAR CORP                       COM   526057104       4,919     180,992  SH     DEFINED     09     180,992           0           0

LENNOX INTL INC                   COM   526107107         676      16,765  SH     DEFINED     01      11,144       5,521         100
LENNOX INTL INC                   COM   526107107           1          15  SH     OTHER       01           0           0          15
LENNOX INTL INC                   COM   526107107      12,740     316,137  SH     DEFINED  01,08      15,954     300,183           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    185
  ________

LEUCADIA NATL CORP                COM   527288104       7,633     292,435  SH     DEFINED     01     184,543     103,836       4,056
LEUCADIA NATL CORP                COM   527288104         544      20,841  SH     OTHER       01       4,596      15,230       1,015
LEUCADIA NATL CORP                COM   527288104      37,698   1,444,361  SH     DEFINED  01,08     332,132   1,112,229           0
LEUCADIA NATL CORP                COM   527288104      12,166     466,134  SH     DEFINED     09     466,134           0           0

LEVEL 3 COMMUNICATIONS INC        COM   52729N308       1,409      54,754  SH     DEFINED     01      27,263      27,491           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N308           2          80  SH     OTHER       01           0           0          80
LEVEL 3 COMMUNICATIONS INC        COM   52729N308      14,286     555,212  SH     DEFINED  01,08      70,874     484,338           0
LEVEL 3 COMMUNICATIONS INC        COM   52729N308       6,127     238,126  SH     DEFINED     09     238,126           0           0

LEXICON PHARMACEUTICALS INC       COM   528872104         302     162,521  SH     DEFINED     01      41,494     121,027           0
LEXICON PHARMACEUTICALS INC       COM   528872104       3,161   1,699,345  SH     DEFINED  01,08     217,281   1,482,064           0
LEXICON PHARMACEUTICALS INC       COM   528872104         944     507,260  SH     DEFINED     09     507,260           0           0

LEXINGTON REALTY TRUST            COM   529043101       1,918     213,363  SH     DEFINED     01      66,779     146,584           0
LEXINGTON REALTY TRUST            COM   529043101          76       8,425  SH     OTHER       01           0       8,425           0
LEXINGTON REALTY TRUST            COM   529043101      13,250   1,473,898  SH     DEFINED  01,08     477,389     996,509           0
LEXINGTON REALTY TRUST            COM   529043101       3,794     422,000  SH     DEFINED     09     422,000           0           0

LEXMARK INTL NEW                  COM   529771107       3,273      98,459  SH     DEFINED     01      57,228      40,933         298
LEXMARK INTL NEW                  COM   529771107         158       4,739  SH     OTHER       01       1,616       3,123           0
LEXMARK INTL NEW                  COM   529771107      18,757     564,288  SH     DEFINED  01,08     156,039     408,249           0
LEXMARK INTL NEW                  COM   529771107       2,514      75,645  SH     DEFINED     09      75,645           0           0

LIBBEY INC                        COM   529898108         342      26,425  SH     DEFINED     01       8,583      17,842           0
LIBBEY INC                        COM   529898108       2,455     189,705  SH     DEFINED  01,08      28,531     161,174           0
LIBBEY INC                        COM   529898108         838      64,729  SH     DEFINED     09      64,729           0           0

LIBERTY MEDIA CORPORATION         COM   530322106       3,499      39,696  SH     DEFINED     01      27,743      11,953           0
LIBERTY MEDIA CORPORATION         COM   530322106          21         239  SH     OTHER       01           0           0         239
LIBERTY MEDIA CORPORATION         COM   530322106      34,801     394,792  SH     DEFINED  01,08      50,251     344,541           0
LIBERTY MEDIA CORPORATION         COM   530322106      13,423     152,273  SH     DEFINED     09     152,273           0           0

LIBERTY GLOBAL INC                COM   530555101       4,480      89,448  SH     DEFINED     01      62,003      27,445           0
LIBERTY GLOBAL INC                COM   530555101          51       1,024  SH     OTHER       01         414           0         610
LIBERTY GLOBAL INC                COM   530555101      46,756     933,631  SH     DEFINED  01,08     109,376     824,255           0
LIBERTY GLOBAL INC                COM   530555101      10,738     214,408  SH     DEFINED     09     214,408           0           0

LIBERTY GLOBAL INC                COM   530555309         472       9,862  SH     DEFINED     01       9,778          84           0
LIBERTY GLOBAL INC                COM   530555309         198       4,136  SH     OTHER       01       1,199       2,339         598
LIBERTY GLOBAL INC                COM   530555309         738      15,411  SH     DEFINED  01,08      12,438       2,973           0
LIBERTY GLOBAL INC                COM   530555309       7,238     151,143  SH     DEFINED     09     151,143           0           0

LIBERTY INTERACTIVE CORPORAT      COM   53071M104       3,853     201,815  SH     DEFINED     01     136,316      65,499           0
LIBERTY INTERACTIVE CORPORAT      COM   53071M104         252      13,204  SH     OTHER       01       1,467      10,000       1,737
LIBERTY INTERACTIVE CORPORAT      COM   53071M104      40,414   2,117,009  SH     DEFINED  01,08     325,909   1,791,100           0
LIBERTY INTERACTIVE CORPORAT      COM   53071M104      14,890     779,991  SH     DEFINED     09     779,991           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    186
  ________

LIBERTY PPTY TR                   COM   531172104       1,555      43,538  SH     DEFINED     01      29,362      14,176           0
LIBERTY PPTY TR                   COM   531172104          20         570  SH     OTHER       01         500           0          70
LIBERTY PPTY TR                   COM   531172104      31,982     895,351  SH     DEFINED  01,08     224,625     670,726           0
LIBERTY PPTY TR                   COM   531172104       7,545     211,230  SH     DEFINED     09     211,230           0           0

LIFEWAY FOODS INC                 COM   531914109          63       6,760  SH     DEFINED     01         525       6,235           0
LIFEWAY FOODS INC                 COM   531914109         505      54,576  SH     DEFINED  01,08       6,805      47,771           0
LIFEWAY FOODS INC                 COM   531914109         137      14,776  SH     DEFINED     09      14,776           0           0

LIFE PARTNERS HOLDINGS INC        COM   53215T106          93      22,839  SH     DEFINED     01           0      22,839           0
LIFE PARTNERS HOLDINGS INC        COM   53215T106         131      32,199  SH     DEFINED  01,08      19,051      13,148           0

LIFE TIME FITNESS INC             COM   53217R207      11,450     226,424  SH     DEFINED     01      14,358     212,066           0
LIFE TIME FITNESS INC             COM   53217R207         410       8,100  SH     OTHER       01           0       8,100           0
LIFE TIME FITNESS INC             COM   53217R207      35,288     697,804  SH     DEFINED  01,08     236,543     461,261           0
LIFE TIME FITNESS INC             COM   53217R207       5,974     118,129  SH     DEFINED     09     118,129           0           0

LIFE TECHNOLOGIES CORP            COM   53217V109      10,877     222,789  SH     DEFINED     01     125,582      96,597         610
LIFE TECHNOLOGIES CORP            COM   53217V109       1,134      23,225  SH     OTHER       01       7,955         283      14,987
LIFE TECHNOLOGIES CORP            COM   53217V109      65,543   1,342,553  SH     DEFINED  01,08     338,483   1,004,070           0
LIFE TECHNOLOGIES CORP            COM   53217V109      21,739     445,292  SH     DEFINED     09     445,292           0           0

LIFEPOINT HOSPITALS INC        CONV DEB 53219LAH2       6,009   5,750,000  PRN    DEFINED     01     750,000   5,000,000           0
LIFEPOINT HOSPITALS INC        CONV DEB 53219LAH2     522,500   5,000,000  PRN    DEFINED  01,08   5,000,000           0           0

LIFEPOINT HOSPITALS INC           COM   53219L109       5,974     151,472  SH     DEFINED     01      12,247     139,225           0
LIFEPOINT HOSPITALS INC           COM   53219L109           0          10  SH     OTHER       01           0           0          10
LIFEPOINT HOSPITALS INC           COM   53219L109      17,575     445,616  SH     DEFINED  01,08     159,396     286,220           0

LIGAND PHARMACEUTICALS INC        COM   53220K504         408      25,574  SH     DEFINED     01       4,045      21,529           0
LIGAND PHARMACEUTICALS INC        COM   53220K504       3,164     198,358  SH     DEFINED  01,08      38,517     159,841           0
LIGAND PHARMACEUTICALS INC        COM   53220K504         777      48,718  SH     DEFINED     09      48,718           0           0

LIFETIME BRANDS INC               COM   53222Q103         159      14,135  SH     DEFINED     01       3,699      10,436           0
LIFETIME BRANDS INC               COM   53222Q103         932      82,947  SH     DEFINED  01,08      11,919      71,028           0
LIFETIME BRANDS INC               COM   53222Q103         245      21,829  SH     DEFINED     09      21,829           0           0

LIGHTBRIDGE CORP                  COM   53224K104          40      12,408  SH     DEFINED  01,08           0      12,408           0

LILLY ELI & CO                    COM   532457108      60,407   1,500,227  SH     DEFINED     01     788,867     679,181      32,179
LILLY ELI & CO                    COM   532457108      12,641     313,945  SH     OTHER       01     175,716      91,500      46,729
LILLY ELI & CO                    COM   532457108     306,531   7,612,838  SH     DEFINED  01,08   1,837,632   5,775,206           0
LILLY ELI & CO                    COM   532457108     101,378   2,517,774  SH     DEFINED     09   2,517,774           0           0

LIMELIGHT NETWORKS INC            COM   53261M104         220      66,883  SH     DEFINED     01      17,876      49,007           0
LIMELIGHT NETWORKS INC            COM   53261M104       2,033     618,001  SH     DEFINED  01,08      78,906     539,095           0
LIMELIGHT NETWORKS INC            COM   53261M104         700     212,725  SH     DEFINED     09     212,725           0           0

LIME ENERGY CO                    COM   53261U205          35      12,134  SH     DEFINED  01,08           0      12,134           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    187
  ________

LIMITED BRANDS INC                COM   532716107      19,020     396,249  SH     DEFINED     01     244,463     145,408       6,378
LIMITED BRANDS INC                COM   532716107         662      13,795  SH     OTHER       01       8,456       5,082         257
LIMITED BRANDS INC                COM   532716107      90,549   1,886,438  SH     DEFINED  01,08     478,795   1,407,643           0
LIMITED BRANDS INC                COM   532716107      29,807     620,971  SH     DEFINED     09     620,971           0           0

LIMONEIRA CO                      COM   532746104          85       5,036  SH     DEFINED     01       1,739       3,297           0
LIMONEIRA CO                      COM   532746104       1,168      69,148  SH     DEFINED  01,08       6,775      62,373           0
LIMONEIRA CO                      COM   532746104         318      18,852  SH     DEFINED     09      18,852           0           0

LIN TV CORP                       COM   532774106         144      35,507  SH     DEFINED     01       7,934      27,573           0
LIN TV CORP                       COM   532774106       1,157     285,696  SH     DEFINED  01,08      45,940     239,756           0
LIN TV CORP                       COM   532774106         330      81,534  SH     DEFINED     09      81,534           0           0

LINCARE HLDGS INC                 COM   532791100       1,008      38,951  SH     DEFINED     01      29,967       8,984           0
LINCARE HLDGS INC                 COM   532791100           2          58  SH     OTHER       01          58           0           0
LINCARE HLDGS INC                 COM   532791100      14,208     549,005  SH     DEFINED  01,08      31,835     517,170           0
LINCARE HLDGS INC                 COM   532791100          59       2,296  SH     DEFINED     09       2,296           0           0

LINCOLN EDL SVCS CORP             COM   533535100         205      25,915  SH     DEFINED     01      10,534      15,381           0
LINCOLN EDL SVCS CORP             COM   533535100       1,710     216,132  SH     DEFINED  01,08      34,798     181,334           0
LINCOLN EDL SVCS CORP             COM   533535100         539      68,154  SH     DEFINED     09      68,154           0           0

LINCOLN ELEC HLDGS INC            COM   533900106       2,394      52,793  SH     DEFINED     01      34,669      17,929         195
LINCOLN ELEC HLDGS INC            COM   533900106         613      13,510  SH     OTHER       01         650           0      12,860
LINCOLN ELEC HLDGS INC            COM   533900106      23,298     513,736  SH     DEFINED  01,08      25,846     487,890           0

LINCOLN NATL CORP IND             COM   534187109      14,346     544,243  SH     DEFINED     01     371,186     171,015       2,042
LINCOLN NATL CORP IND             COM   534187109      11,858     449,842  SH     OTHER       01      73,590       4,065     372,187
LINCOLN NATL CORP IND             COM   534187109      58,132   2,205,295  SH     DEFINED  01,08     534,172   1,671,123           0
LINCOLN NATL CORP IND             COM   534187109      22,267     844,711  SH     DEFINED     09     844,711           0           0

LINDSAY CORP                      COM   535555106       1,318      19,882  SH     DEFINED     01       6,561      13,321           0
LINDSAY CORP                      COM   535555106       8,374     126,363  SH     DEFINED  01,08      22,397     103,966           0
LINDSAY CORP                      COM   535555106       2,747      41,452  SH     DEFINED     09      41,452           0           0

LINEAR TECHNOLOGY CORP            COM   535678106      15,745     467,199  SH     DEFINED     01     286,757     172,971       7,471
LINEAR TECHNOLOGY CORP            COM   535678106       2,738      81,261  SH     OTHER       01      42,297      35,357       3,607
LINEAR TECHNOLOGY CORP            COM   535678106      61,031   1,811,008  SH     DEFINED  01,08     510,482   1,300,526           0
LINEAR TECHNOLOGY CORP            COM   535678106      17,956     532,824  SH     DEFINED     09     532,824           0           0

LINKEDIN CORP                     COM   53578A108       5,644      55,336  SH     DEFINED     01      50,629       4,707           0
LINKEDIN CORP                     COM   53578A108         217       2,123  SH     OTHER       01       2,094          29           0
LINKEDIN CORP                     COM   53578A108       4,060      39,810  SH     DEFINED  01,08       2,205      37,605           0

LIONS GATE ENTMNT CORP            COM   535919203         473      33,986  SH     DEFINED     01      12,813      21,173           0
LIONS GATE ENTMNT CORP            COM   535919203       4,858     348,979  SH     DEFINED  01,08      46,530     302,449           0
LIONS GATE ENTMNT CORP            COM   535919203       1,850     132,904  SH     DEFINED     09     132,904           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    188
  ________

LINN ENERGY LLC                   COM   536020100       1,302      34,130  SH     DEFINED     01      21,457       2,673      10,000
LINN ENERGY LLC                   COM   536020100         420      11,000  SH     OTHER       01       7,000       4,000           0
LINN ENERGY LLC                   COM   536020100       3,469      90,928  SH     DEFINED  01,08      90,928           0           0
LINN ENERGY LLC                   COM   536020100         282       7,400  SH     DEFINED     09       7,400           0           0

LIONBRIDGE TECHNOLOGIES INC       COM   536252109         195      67,689  SH     DEFINED     01      16,676      51,013           0
LIONBRIDGE TECHNOLOGIES INC       COM   536252109           3       1,000  SH     OTHER       01           0       1,000           0
LIONBRIDGE TECHNOLOGIES INC       COM   536252109       1,570     545,281  SH     DEFINED  01,08      71,558     473,723           0
LIONBRIDGE TECHNOLOGIES INC       COM   536252109         637     221,350  SH     DEFINED     09     221,350           0           0

LIQUIDITY SERVICES INC            COM   53635B107       5,246     117,103  SH     DEFINED     01      92,936      23,957         210
LIQUIDITY SERVICES INC            COM   53635B107         137       3,053  SH     OTHER       01       1,689       1,364           0
LIQUIDITY SERVICES INC            COM   53635B107       8,630     192,628  SH     DEFINED  01,08      33,999     158,629           0
LIQUIDITY SERVICES INC            COM   53635B107       2,502      55,851  SH     DEFINED     09      55,851           0           0

LITHIA MTRS INC                   COM   536797103         836      31,902  SH     DEFINED     01      11,436      20,466           0
LITHIA MTRS INC                   COM   536797103       5,803     221,474  SH     DEFINED  01,08      42,609     178,865           0
LITHIA MTRS INC                   COM   536797103       1,843      70,342  SH     DEFINED     09      70,342           0           0

LITTELFUSE INC                    COM   537008104       7,252     115,669  SH     DEFINED     01      11,197     104,472           0
LITTELFUSE INC                    COM   537008104         169       2,700  SH     OTHER       01           0       2,700           0
LITTELFUSE INC                    COM   537008104      19,212     306,411  SH     DEFINED  01,08     120,866     185,545           0
LITTELFUSE INC                    COM   537008104       3,878      61,855  SH     DEFINED     09      61,855           0           0

LIVE NATION ENTERTAINMENT IN      COM   538034109       1,746     185,743  SH     DEFINED     01      73,524     112,219           0
LIVE NATION ENTERTAINMENT IN      COM   538034109      13,209   1,405,255  SH     DEFINED  01,08     233,122   1,172,133           0
LIVE NATION ENTERTAINMENT IN      COM   538034109       3,876     412,305  SH     DEFINED     09     412,305           0           0

LIVEPERSON INC                    COM   538146101       1,420      84,678  SH     DEFINED     01      36,718      47,960           0
LIVEPERSON INC                    COM   538146101          34       2,020  SH     OTHER       01       2,020           0           0
LIVEPERSON INC                    COM   538146101       8,353     498,063  SH     DEFINED  01,08      75,978     422,085           0
LIVEPERSON INC                    COM   538146101       2,689     160,362  SH     DEFINED     09     160,362           0           0

LIZ CLAIBORNE INC                 COM   539320101       1,425     106,657  SH     DEFINED     01      52,388      54,269           0
LIZ CLAIBORNE INC                 COM   539320101      11,845     886,592  SH     DEFINED  01,08     128,352     758,240           0
LIZ CLAIBORNE INC                 COM   539320101       3,625     271,329  SH     DEFINED     09     271,329           0           0

LLOYDS BANKING GROUP PLC          COM   539439109       2,753   1,298,720  SH     DEFINED     01   1,253,417      45,303           0
LLOYDS BANKING GROUP PLC          COM   539439109          55      25,841  SH     OTHER       01       7,499      18,342           0
LLOYDS BANKING GROUP PLC          COM   539439109       1,033     487,422  SH     DEFINED  01,08     487,422           0           0

LO-JACK CORP                      COM   539451104          69      17,378  SH     DEFINED     01       7,084      10,294           0
LO-JACK CORP                      COM   539451104         146      36,795  SH     DEFINED  01,08       7,666      29,129           0

LOCAL COM CORP                    COM   53954R105           4       1,386  SH     DEFINED     01           0       1,386           0
LOCAL COM CORP                    COM   53954R105          80      31,136  SH     DEFINED  01,08       1,386      29,750           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    189
  ________

LOCKHEED MARTIN CORP              COM   539830109      45,690     508,460  SH     DEFINED     01     346,790     157,499       4,171
LOCKHEED MARTIN CORP              COM   539830109       4,847      53,939  SH     OTHER       01      32,342      11,345      10,252
LOCKHEED MARTIN CORP              COM   539830109     179,336   1,995,722  SH     DEFINED  01,08     482,219   1,513,503           0
LOCKHEED MARTIN CORP              COM   539830109      54,416     605,564  SH     DEFINED     09     605,564           0           0

LODGENET INTERACTIVE CORP         COM   540211109          49      14,131  SH     DEFINED     01          25      14,106           0
LODGENET INTERACTIVE CORP         COM   540211109         140      39,963  SH     DEFINED  01,08       8,389      31,574           0

LOEWS CORP                        COM   540424108      15,666     392,924  SH     DEFINED     01     196,737     194,537       1,650
LOEWS CORP                        COM   540424108         654      16,406  SH     OTHER       01       8,177       7,882         347
LOEWS CORP                        COM   540424108      91,826   2,303,143  SH     DEFINED  01,08     543,304   1,759,839           0
LOEWS CORP                        COM   540424108      29,579     741,895  SH     DEFINED     09     741,895           0           0

LOGMEIN INC                       COM   54142L109       2,350      66,709  SH     DEFINED     01      14,381      52,328           0
LOGMEIN INC                       COM   54142L109          29         810  SH     OTHER       01         810           0           0
LOGMEIN INC                       COM   54142L109       8,078     229,280  SH     DEFINED  01,08      62,404     166,876           0
LOGMEIN INC                       COM   54142L109       2,049      58,149  SH     DEFINED     09      58,149           0           0

LONE PINE RES INC                 COM   54222A106          25       3,828  SH     DEFINED     01       3,823           5           0
LONE PINE RES INC                 COM   54222A106          45       6,929  SH     DEFINED  01,08       4,636       2,293           0

LOOKSMART LTD                     COM   543442503          11      10,194  SH     DEFINED     01           0      10,194           0
LOOKSMART LTD                     COM   543442503          34      30,308  SH     DEFINED  01,08       6,614      23,694           0

LOOPNET INC                       COM   543524300         494      26,300  SH     DEFINED     01       6,112      20,188           0
LOOPNET INC                       COM   543524300       3,625     193,009  SH     DEFINED  01,08      36,411     156,598           0
LOOPNET INC                       COM   543524300       1,015      54,027  SH     DEFINED     09      54,027           0           0

LORAL SPACE & COMMUNICATNS I      COM   543881106       1,237      15,535  SH     DEFINED     01       3,066      12,469           0
LORAL SPACE & COMMUNICATNS I      COM   543881106       8,914     111,985  SH     DEFINED  01,08      19,339      92,646           0
LORAL SPACE & COMMUNICATNS I      COM   543881106       2,498      31,386  SH     DEFINED     09      31,386           0           0

LORILLARD INC                     COM   544147101      19,052     147,145  SH     DEFINED     01      76,622      69,792         731
LORILLARD INC                     COM   544147101         309       2,390  SH     OTHER       01       2,316          24          50
LORILLARD INC                     COM   544147101     122,483     945,962  SH     DEFINED  01,08     202,599     743,363           0
LORILLARD INC                     COM   544147101      42,540     328,543  SH     DEFINED     09     328,543           0           0

LOUISIANA PAC CORP                COM   546347105       1,732     185,277  SH     DEFINED     01      45,419     139,858           0
LOUISIANA PAC CORP                COM   546347105      15,777   1,687,362  SH     DEFINED  01,08     232,650   1,454,712           0
LOUISIANA PAC CORP                COM   546347105       3,800     406,449  SH     DEFINED     09     406,449           0           0

LOWES COS INC                     COM   548661107      75,945   2,420,182  SH     DEFINED     01   1,625,956     757,647      36,579
LOWES COS INC                     COM   548661107      10,758     342,830  SH     OTHER       01     213,084     100,539      29,207
LOWES COS INC                     COM   548661107     291,125   9,277,395  SH     DEFINED  01,08   2,181,697   7,095,698           0
LOWES COS INC                     COM   548661107      97,494   3,106,868  SH     DEFINED     09   3,106,868           0           0

LUBYS INC                         COM   549282101         169      27,815  SH     DEFINED     01       3,945      23,870           0
LUBYS INC                         COM   549282101       1,069     176,124  SH     DEFINED  01,08      28,940     147,184           0
LUBYS INC                         COM   549282101         396      65,249  SH     DEFINED     09      65,249           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    190
  ________

LUCAS ENERGY INC                  COM   549333201          61      24,734  SH     DEFINED     01           0      24,734           0
LUCAS ENERGY INC                  COM   549333201          62      25,094  SH     DEFINED  01,08       1,342      23,752           0

LUFKIN INDS INC                   COM   549764108       6,019      74,635  SH     DEFINED     01      16,739      57,896           0
LUFKIN INDS INC                   COM   549764108         507       6,286  SH     OTHER       01           0       6,286           0
LUFKIN INDS INC                   COM   549764108      26,050     323,004  SH     DEFINED  01,08      75,211     247,793           0
LUFKIN INDS INC                   COM   549764108       7,991      99,081  SH     DEFINED     09      99,081           0           0

LULULEMON ATHLETICA INC           COM   550021109      17,397     232,799  SH     DEFINED     01     190,769      39,332       2,698
LULULEMON ATHLETICA INC           COM   550021109         749      10,023  SH     OTHER       01       4,442       5,581           0
LULULEMON ATHLETICA INC           COM   550021109         868      11,616  SH     DEFINED  01,08       9,023       2,593           0
LULULEMON ATHLETICA INC           COM   550021109      10,492     140,403  SH     DEFINED     09     140,403           0           0

LUMBER LIQUIDATORS HLDGS INC      COM   55003T107         977      38,890  SH     DEFINED     01      12,626      26,264           0
LUMBER LIQUIDATORS HLDGS INC      COM   55003T107       5,809     231,340  SH     DEFINED  01,08      42,498     188,842           0
LUMBER LIQUIDATORS HLDGS INC      COM   55003T107       1,528      60,860  SH     DEFINED     09      60,860           0           0

LUMINEX CORP DEL                  COM   55027E102       1,322      56,631  SH     DEFINED     01      11,008      45,623           0
LUMINEX CORP DEL                  COM   55027E102          12         502  SH     OTHER       01           0         502           0
LUMINEX CORP DEL                  COM   55027E102       8,711     373,064  SH     DEFINED  01,08      58,731     314,333           0
LUMINEX CORP DEL                  COM   55027E102       2,667     114,213  SH     DEFINED     09     114,213           0           0

LUMOS NETWORKS CORP               COM   550283105         239      22,195  SH     DEFINED     01       7,841      14,354           0
LUMOS NETWORKS CORP               COM   550283105       1,594     148,180  SH     DEFINED  01,08      29,080     119,100           0
LUMOS NETWORKS CORP               COM   550283105         454      42,222  SH     DEFINED     09      42,222           0           0

LUNA INNOVATIONS                  COM   550351100           2       1,437  SH     DEFINED     01           0       1,437           0
LUNA INNOVATIONS                  COM   550351100          22      12,916  SH     DEFINED  01,08       1,437      11,479           0

LUXOTTICA GROUP S P A             COM   55068R202         783      21,710  SH     DEFINED     01      20,314       1,377          19
LUXOTTICA GROUP S P A             COM   55068R202          17         472  SH     OTHER       01         193         279           0
LUXOTTICA GROUP S P A             COM   55068R202         235       6,520  SH     DEFINED  01,08       6,520           0           0

LYDALL INC DEL                    COM   550819106         252      24,763  SH     DEFINED     01       6,439      18,324           0
LYDALL INC DEL                    COM   550819106       1,615     158,515  SH     DEFINED  01,08      26,477     132,038           0
LYDALL INC DEL                    COM   550819106         420      41,253  SH     DEFINED     09      41,253           0           0

M & T BK CORP                     COM   55261F104      11,693     134,583  SH     DEFINED     01      68,274      66,017         292
M & T BK CORP                     COM   55261F104         494       5,689  SH     OTHER       01       2,476       3,168          45
M & T BK CORP                     COM   55261F104      80,132     922,334  SH     DEFINED  01,08     220,266     702,068           0
M & T BK CORP                     COM   55261F104      24,847     285,991  SH     DEFINED     09     285,991           0           0

MBIA INC                          COM   55262C100         359      36,679  SH     DEFINED     01      19,266      17,413           0
MBIA INC                          COM   55262C100           2         200  SH     OTHER       01           0           0         200
MBIA INC                          COM   55262C100       5,029     513,205  SH     DEFINED  01,08      67,289     445,916           0

MB FINANCIAL INC NEW              COM   55264U108       2,414     114,993  SH     DEFINED     01      62,224      52,519         250
MB FINANCIAL INC NEW              COM   55264U108      11,089     528,323  SH     DEFINED  01,08      82,350     445,973           0
MB FINANCIAL INC NEW              COM   55264U108       3,227     153,724  SH     DEFINED     09     153,724           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    191
  ________

M D C HLDGS INC                   COM   552676108       1,943      75,330  SH     DEFINED     01      12,692      62,638           0
M D C HLDGS INC                   COM   552676108      12,516     485,301  SH     DEFINED  01,08      79,916     405,385           0
M D C HLDGS INC                   COM   552676108       3,166     122,767  SH     DEFINED     09     122,767           0           0

MDU RES GROUP INC                 COM   552690109       2,927     130,733  SH     DEFINED     01     106,861      22,293       1,579
MDU RES GROUP INC                 COM   552690109       1,787      79,824  SH     OTHER       01      31,349      44,475       4,000
MDU RES GROUP INC                 COM   552690109      25,872   1,155,504  SH     DEFINED  01,08      68,172   1,087,332           0
MDU RES GROUP INC                 COM   552690109       5,534     247,168  SH     DEFINED     09     247,168           0           0

MDC PARTNERS INC                  COM   552697104         231      20,764  SH     DEFINED     01       3,040      17,724           0
MDC PARTNERS INC                  COM   552697104       2,125     191,120  SH     DEFINED  01,08      24,297     166,823           0
MDC PARTNERS INC                  COM   552697104         752      67,621  SH     DEFINED     09      67,621           0           0

MEMC ELECTR MATLS INC             COM   552715104         747     206,937  SH     DEFINED     01      50,975     155,962           0
MEMC ELECTR MATLS INC             COM   552715104          65      18,000  SH     OTHER       01      18,000           0           0
MEMC ELECTR MATLS INC             COM   552715104       5,748   1,592,160  SH     DEFINED  01,08     255,233   1,336,927           0

MFA FINANCIAL INC                 COM   55272X102      10,882   1,456,744  SH     DEFINED     01      99,211   1,357,533           0
MFA FINANCIAL INC                 COM   55272X102         164      22,000  SH     OTHER       01           0      22,000           0
MFA FINANCIAL INC                 COM   55272X102      33,260   4,452,450  SH     DEFINED  01,08   1,577,794   2,874,656           0
MFA FINANCIAL INC                 COM   55272X102       7,692   1,029,712  SH     DEFINED     09   1,029,712           0           0

MFRI INC                          COM   552721102          35       4,636  SH     DEFINED     01           0       4,636           0
MFRI INC                          COM   552721102          88      11,791  SH     DEFINED  01,08       4,136       7,655           0

MFS INTER INCOME TR            UNDEFIND 55273C107           6      94,183         DEFINED     01      94,183           0           0

MGE ENERGY INC                    COM   55277P104       1,300      29,297  SH     DEFINED     01       7,537      21,760           0
MGE ENERGY INC                    COM   55277P104      10,133     228,277  SH     DEFINED  01,08      33,981     194,296           0
MGE ENERGY INC                    COM   55277P104       3,045      68,591  SH     DEFINED     09      68,591           0           0

MELA SCIENCES INC                 COM   55277R100          28       6,180  SH     DEFINED     01         230       5,950           0
MELA SCIENCES INC                 COM   55277R100         238      53,043  SH     DEFINED  01,08       8,199      44,844           0

MGIC INVT CORP WIS                COM   552848103       1,812     365,400  SH     DEFINED     01      69,809     295,591           0
MGIC INVT CORP WIS                COM   552848103       9,487   1,912,783  SH     DEFINED  01,08     387,918   1,524,865           0
MGIC INVT CORP WIS                COM   552848103       2,747     553,860  SH     DEFINED     09     553,860           0           0

MGM RESORTS INTERNATIONAL         COM   552953101       4,362     320,275  SH     DEFINED     01     259,987      56,565       3,723
MGM RESORTS INTERNATIONAL         COM   552953101         310      22,726  SH     OTHER       01      11,160      11,566           0
MGM RESORTS INTERNATIONAL         COM   552953101      15,258   1,120,241  SH     DEFINED  01,08     100,969   1,019,272           0
MGM RESORTS INTERNATIONAL         COM   552953101       6,607     485,086  SH     DEFINED     09     485,086           0           0

MHI HOSPITALITY CORP              COM   55302L102           7       2,501  SH     DEFINED     01           0       2,501           0
MHI HOSPITALITY CORP              COM   55302L102          48      16,356  SH     DEFINED  01,08       3,743      12,613           0

MGP INGREDIENTS INC NEW           COM   55303J106          85      15,819  SH     DEFINED     01       1,297      14,522           0
MGP INGREDIENTS INC NEW           COM   55303J106         581     107,969  SH     DEFINED  01,08      16,338      91,631           0
MGP INGREDIENTS INC NEW           COM   55303J106         145      26,960  SH     DEFINED     09      26,960           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    192
  ________

MI DEVS INC                       COM   55304X104       1,623      46,915  SH     DEFINED     01      29,015           0      17,900
MI DEVS INC                       COM   55304X104          25         730  SH     OTHER       01         730           0           0

M/I HOMES INC                     COM   55305B101         341      27,595  SH     DEFINED     01       9,585      18,010           0
M/I HOMES INC                     COM   55305B101       2,346     189,774  SH     DEFINED  01,08      33,475     156,299           0
M/I HOMES INC                     COM   55305B101         631      51,028  SH     DEFINED     09      51,028           0           0

MKS INSTRUMENT INC                COM   55306N104      10,559     357,572  SH     DEFINED     01      26,660     330,912           0
MKS INSTRUMENT INC                COM   55306N104         151       5,100  SH     OTHER       01       2,600       2,500           0
MKS INSTRUMENT INC                COM   55306N104      23,373     791,490  SH     DEFINED  01,08     368,186     423,304           0
MKS INSTRUMENT INC                COM   55306N104       4,506     152,588  SH     DEFINED     09     152,588           0           0

MPG OFFICE TR INC                 COM   553274101         156      66,841  SH     DEFINED     01       4,430      62,411           0
MPG OFFICE TR INC                 COM   553274101       1,235     527,760  SH     DEFINED  01,08      97,010     430,750           0
MPG OFFICE TR INC                 COM   553274101         479     204,795  SH     DEFINED     09     204,795           0           0

MSC INDL DIRECT INC               COM   553530106       2,334      28,031  SH     DEFINED     01      22,482       5,374         175
MSC INDL DIRECT INC               COM   553530106         137       1,640  SH     OTHER       01       1,595          45           0
MSC INDL DIRECT INC               COM   553530106      23,748     285,160  SH     DEFINED  01,08      20,928     264,232           0

MSCI INC                          COM   55354G100       1,425      38,711  SH     DEFINED     01      26,831      11,880           0
MSCI INC                          COM   55354G100      27,652     751,222  SH     DEFINED  01,08      41,207     710,015           0

MTR GAMING GROUP INC              COM   553769100          60      12,289  SH     DEFINED     01           0      12,289           0
MTR GAMING GROUP INC              COM   553769100         210      42,732  SH     DEFINED  01,08       8,772      33,960           0

MTS SYS CORP                      COM   553777103       1,732      32,615  SH     DEFINED     01      11,337      21,278           0
MTS SYS CORP                      COM   553777103          21         400  SH     OTHER       01         400           0           0
MTS SYS CORP                      COM   553777103       8,739     164,600  SH     DEFINED  01,08      34,985     129,615           0
MTS SYS CORP                      COM   553777103       2,503      47,152  SH     DEFINED     09      47,152           0           0

MVC CAPITAL INC                   COM   553829102       2,419     184,217  SH     DEFINED     01       7,282     176,935           0
MVC CAPITAL INC                   COM   553829102       4,656     354,598  SH     DEFINED  01,08     194,061     160,537           0
MVC CAPITAL INC                   COM   553829102         796      60,629  SH     DEFINED     09      60,629           0           0

MWI VETERINARY SUPPLY INC         COM   55402X105       2,154      24,477  SH     DEFINED     01      10,485      13,992           0
MWI VETERINARY SUPPLY INC         COM   55402X105          63         720  SH     OTHER       01         720           0           0
MWI VETERINARY SUPPLY INC         COM   55402X105      11,101     126,143  SH     DEFINED  01,08      23,223     102,920           0
MWI VETERINARY SUPPLY INC         COM   55402X105       3,121      35,471  SH     DEFINED     09      35,471           0           0

MYR GROUP INC DEL                 COM   55405W104         453      25,369  SH     DEFINED     01       5,571      19,798           0
MYR GROUP INC DEL                 COM   55405W104          18       1,000  SH     OTHER       01           0       1,000           0
MYR GROUP INC DEL                 COM   55405W104       3,471     194,325  SH     DEFINED  01,08      28,296     166,029           0
MYR GROUP INC DEL                 COM   55405W104         931      52,153  SH     DEFINED     09      52,153           0           0

MAC-GRAY CORP                     COM   554153106         231      15,300  SH     DEFINED     01       2,689      12,611           0
MAC-GRAY CORP                     COM   554153106       1,668     110,238  SH     DEFINED  01,08      17,450      92,788           0
MAC-GRAY CORP                     COM   554153106         365      24,099  SH     DEFINED     09      24,099           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    193
  ________

MACATAWA BK CORP                  COM   554225102          45      12,893  SH     DEFINED     01           0      12,893           0
MACATAWA BK CORP                  COM   554225102         116      33,415  SH     DEFINED  01,08      13,398      20,017           0

MACERICH CO                       COM   554382101       2,498      43,256  SH     DEFINED     01      28,300      14,956           0
MACERICH CO                       COM   554382101          28         482  SH     OTHER       01         430           0          52
MACERICH CO                       COM   554382101      58,021   1,004,696  SH     DEFINED  01,08     237,456     767,240           0
MACERICH CO                       COM   554382101      14,443     250,099  SH     DEFINED     09     250,099           0           0

MACK CALI RLTY CORP               COM   554489104       1,025      35,564  SH     DEFINED     01      27,037       8,527           0
MACK CALI RLTY CORP               COM   554489104          25         870  SH     OTHER       01         830           0          40
MACK CALI RLTY CORP               COM   554489104      19,140     664,137  SH     DEFINED  01,08     160,060     504,077           0
MACK CALI RLTY CORP               COM   554489104       1,120      38,879  SH     DEFINED     09      38,879           0           0

MACQUARIE INFRASTR CO LLC         COM   55608B105         372      11,272  SH     DEFINED     01       5,100       3,172       3,000
MACQUARIE INFRASTR CO LLC         COM   55608B105          30         900  SH     OTHER       01           0           0         900
MACQUARIE INFRASTR CO LLC         COM   55608B105         281       8,524  SH     DEFINED  01,08       7,164       1,360           0

MACYS INC                         COM   55616P104      20,389     513,191  SH     DEFINED     01     289,728     221,046       2,417
MACYS INC                         COM   55616P104         313       7,872  SH     OTHER       01       6,291       1,214         367
MACYS INC                         COM   55616P104     124,881   3,143,253  SH     DEFINED  01,08     788,880   2,354,373           0
MACYS INC                         COM   55616P104      41,243   1,038,074  SH     DEFINED     09   1,038,074           0           0

MADDEN STEVEN LTD                 COM   556269108       3,833      89,660  SH     DEFINED     01      33,444      56,081         135
MADDEN STEVEN LTD                 COM   556269108          14         330  SH     OTHER       01         250          80           0
MADDEN STEVEN LTD                 COM   556269108      16,817     393,386  SH     DEFINED  01,08      83,379     310,007           0
MADDEN STEVEN LTD                 COM   556269108       4,511     105,519  SH     DEFINED     09     105,519           0           0

MADISON SQUARE GARDEN CO          COM   55826P100       1,231      35,986  SH     DEFINED     01      27,555       8,431           0
MADISON SQUARE GARDEN CO          COM   55826P100         402      11,742  SH     OTHER       01       2,400       9,300          42
MADISON SQUARE GARDEN CO          COM   55826P100       7,342     214,674  SH     DEFINED  01,08      31,047     183,627           0

MAGELLAN HEALTH SVCS INC          COM   559079207       2,284      46,796  SH     DEFINED     01      15,662      31,134           0
MAGELLAN HEALTH SVCS INC          COM   559079207          51       1,047  SH     OTHER       01       1,000           0          47
MAGELLAN HEALTH SVCS INC          COM   559079207      13,951     285,816  SH     DEFINED  01,08      54,086     231,730           0
MAGELLAN HEALTH SVCS INC          COM   559079207       4,379      89,714  SH     DEFINED     09      89,714           0           0

MAGELLAN MIDSTREAM PRTNRS LP      COM   559080106       1,552      21,453  SH     DEFINED     01      19,612       1,741         100
MAGELLAN MIDSTREAM PRTNRS LP      COM   559080106       2,134      29,497  SH     OTHER       01      19,585       9,912           0
MAGELLAN MIDSTREAM PRTNRS LP      COM   559080106       3,787      52,345  SH     DEFINED  01,08      52,345           0           0

MAGELLAN PETE CORP                COM   559091301          23      18,191  SH     DEFINED     01           0      18,191           0
MAGELLAN PETE CORP                COM   559091301         109      85,057  SH     DEFINED  01,08      20,063      64,994           0

MAGNA INTL INC                    COM   559222401       7,901     165,506  SH     DEFINED     01      28,080       1,196     136,230
MAGNA INTL INC                    COM   559222401          32         679  SH     OTHER       01         183         496           0
MAGNA INTL INC                    COM   559222401         547      11,467  SH     DEFINED  01,08      11,467           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    194
  ________

MAGNUM HUNTER RES CORP DEL        COM   55973B102         786     122,634  SH     DEFINED     01      37,556      84,398         680
MAGNUM HUNTER RES CORP DEL        COM   55973B102       6,646   1,036,797  SH     DEFINED  01,08     125,304     911,493           0
MAGNUM HUNTER RES CORP DEL        COM   55973B102       2,026     316,001  SH     DEFINED     09     316,001           0           0

MAIDENFORM BRANDS INC             COM   560305104         751      33,367  SH     DEFINED     01      16,033      17,194         140
MAIDENFORM BRANDS INC             COM   560305104           3         150  SH     OTHER       01         150           0           0
MAIDENFORM BRANDS INC             COM   560305104       5,041     223,964  SH     DEFINED  01,08      33,876     190,088           0
MAIDENFORM BRANDS INC             COM   560305104       1,559      69,249  SH     DEFINED     09      69,249           0           0

MAIN STREET CAPITAL CORP          COM   56035L104         392      15,935  SH     DEFINED     01       5,194      10,741           0
MAIN STREET CAPITAL CORP          COM   56035L104       4,365     177,219  SH     DEFINED  01,08      24,888     152,331           0
MAIN STREET CAPITAL CORP          COM   56035L104       1,580      64,149  SH     DEFINED     09      64,149           0           0

MAINSOURCE FINANCIAL GP INC       COM   56062Y102         489      40,606  SH     DEFINED     01       6,291      34,315           0
MAINSOURCE FINANCIAL GP INC       COM   56062Y102       2,522     209,260  SH     DEFINED  01,08      47,034     162,226           0
MAINSOURCE FINANCIAL GP INC       COM   56062Y102         655      54,360  SH     DEFINED     09      54,360           0           0

MAJESCO ENTERTAINMENT CO          COM   560690208          15       5,936  SH     DEFINED     01           0       5,936           0
MAJESCO ENTERTAINMENT CO          COM   560690208         147      59,437  SH     DEFINED  01,08           0      59,437           0

MAKO SURGICAL CORP                COM   560879108       1,224      29,033  SH     DEFINED     01       6,554      22,479           0
MAKO SURGICAL CORP                COM   560879108      12,689     301,051  SH     DEFINED  01,08      36,652     264,399           0
MAKO SURGICAL CORP                COM   560879108       4,211      99,907  SH     DEFINED     09      99,907           0           0

MANHATTAN ASSOCS INC              COM   562750109       5,612     118,064  SH     DEFINED     01      91,311      25,871         882
MANHATTAN ASSOCS INC              COM   562750109       1,333      28,049  SH     OTHER       01      26,129       1,590         330
MANHATTAN ASSOCS INC              COM   562750109       9,797     206,129  SH     DEFINED  01,08      38,780     167,349           0
MANHATTAN ASSOCS INC              COM   562750109       2,747      57,791  SH     DEFINED     09      57,791           0           0

MANITEX INTL INC                  COM   563420108         129      17,540  SH     DEFINED  01,08           0      17,540           0

MANITOWOC INC                     COM   563571108         746      53,793  SH     DEFINED     01      30,855      22,938           0
MANITOWOC INC                     COM   563571108           5         325  SH     OTHER       01           0           0         325
MANITOWOC INC                     COM   563571108       6,608     476,747  SH     DEFINED  01,08      74,491     402,256           0

MANNING & NAPIER INC              COM   56382Q102         638      43,375  SH     DEFINED     01      27,546      15,829           0
MANNING & NAPIER INC              COM   56382Q102          32       2,210  SH     OTHER       01       1,460         750           0
MANNING & NAPIER INC              COM   56382Q102       1,893     128,773  SH     DEFINED  01,08      11,792     116,981           0
MANNING & NAPIER INC              COM   56382Q102         564      38,400  SH     DEFINED     09      38,400           0           0

MANNKIND CORP                     COM   56400P201         242      98,023  SH     DEFINED     01      16,567      81,456           0
MANNKIND CORP                     COM   56400P201       2,044     827,639  SH     DEFINED  01,08     117,327     710,312           0
MANNKIND CORP                     COM   56400P201         662     267,829  SH     DEFINED     09     267,829           0           0

MANPOWERGROUP INC                 COM   56418H100       1,570      33,147  SH     DEFINED     01      24,277       8,870           0
MANPOWERGROUP INC                 COM   56418H100         137       2,902  SH     OTHER       01       2,563         339           0
MANPOWERGROUP INC                 COM   56418H100      24,776     523,042  SH     DEFINED  01,08      52,357     470,685           0
MANPOWERGROUP INC                 COM   56418H100       4,780     100,900  SH     DEFINED     09     100,900           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    195
  ________

MANTECH INTL CORP                 COM   564563104         995      28,877  SH     DEFINED     01       5,015      23,862           0
MANTECH INTL CORP                 COM   564563104       9,960     289,024  SH     DEFINED  01,08      35,613     253,411           0
MANTECH INTL CORP                 COM   564563104       2,248      65,235  SH     DEFINED     09      65,235           0           0

MANULIFE FINL CORP                COM   56501R106       2,717     200,541  SH     DEFINED     01     181,898      18,643           0
MANULIFE FINL CORP                COM   56501R106       1,113      82,147  SH     OTHER       01       2,368      79,779           0
MANULIFE FINL CORP                COM   56501R106       1,083      79,948  SH     DEFINED  01,08      79,948           0           0

MAP PHARMACEUTICALS INC           COM   56509R108         359      24,990  SH     DEFINED     01       6,070      18,920           0
MAP PHARMACEUTICALS INC           COM   56509R108          16       1,132  SH     OTHER       01           0           0       1,132
MAP PHARMACEUTICALS INC           COM   56509R108       3,128     217,806  SH     DEFINED  01,08      31,393     186,413           0
MAP PHARMACEUTICALS INC           COM   56509R108         927      64,580  SH     DEFINED     09      64,580           0           0

MARATHON OIL CORP                 COM   565849106      41,467   1,308,103  SH     DEFINED     01     795,187     505,830       7,086
MARATHON OIL CORP                 COM   565849106       1,005      31,704  SH     OTHER       01      24,194       6,961         549
MARATHON OIL CORP                 COM   565849106     171,418   5,407,523  SH     DEFINED  01,08   1,418,332   3,989,191           0
MARATHON OIL CORP                 COM   565849106      57,041   1,799,405  SH     DEFINED     09   1,799,405           0           0

MARATHON PETE CORP                COM   56585A102      19,652     453,232  SH     DEFINED     01     210,040     242,455         737
MARATHON PETE CORP                COM   56585A102         306       7,058  SH     OTHER       01       4,769       2,048         241
MARATHON PETE CORP                COM   56585A102     114,623   2,643,525  SH     DEFINED  01,08     666,913   1,976,612           0
MARATHON PETE CORP                COM   56585A102      37,866     873,283  SH     DEFINED     09     873,283           0           0

MARCHEX INC                       COM   56624R108         140      31,363  SH     DEFINED     01       5,290      26,073           0
MARCHEX INC                       COM   56624R108         995     223,144  SH     DEFINED  01,08      37,186     185,958           0
MARCHEX INC                       COM   56624R108         258      57,953  SH     DEFINED     09      57,953           0           0

MARCUS CORP                       COM   566330106       2,819     224,582  SH     DEFINED     01      10,329     214,253           0
MARCUS CORP                       COM   566330106         156      12,468  SH     OTHER       01           0      12,468           0
MARCUS CORP                       COM   566330106       4,970     396,009  SH     DEFINED  01,08     230,616     165,393           0
MARCUS CORP                       COM   566330106         715      56,976  SH     DEFINED     09      56,976           0           0

MARINEMAX INC                     COM   567908108         230      27,924  SH     DEFINED     01       8,714      19,210           0
MARINEMAX INC                     COM   567908108       1,795     218,073  SH     DEFINED  01,08      33,601     184,472           0
MARINEMAX INC                     COM   567908108         458      55,661  SH     DEFINED     09      55,661           0           0

MARINE PRODS CORP                 COM   568427108         158      26,521  SH     DEFINED     01       1,852      24,669           0
MARINE PRODS CORP                 COM   568427108         766     128,749  SH     DEFINED  01,08      31,538      97,211           0
MARINE PRODS CORP                 COM   568427108         206      34,680  SH     DEFINED     09      34,680           0           0

MARKEL CORP                       COM   570535104       1,257       2,799  SH     DEFINED     01       1,958         841           0
MARKEL CORP                       COM   570535104         139         310  SH     OTHER       01          10         300           0
MARKEL CORP                       COM   570535104      14,386      32,045  SH     DEFINED  01,08       2,941      29,104           0
MARKEL CORP                       COM   570535104         135         301  SH     DEFINED     09         301           0           0

MARKET LEADER INC                 COM   57056R103          24       6,517  SH     DEFINED     01           0       6,517           0
MARKET LEADER INC                 COM   57056R103          71      19,394  SH     DEFINED  01,08      11,238       8,156           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    196
  ________

MARKETAXESS HLDGS INC             COM   57060D108       1,560      41,846  SH     DEFINED     01       9,346      32,500           0
MARKETAXESS HLDGS INC             COM   57060D108      10,771     288,851  SH     DEFINED  01,08      49,802     239,049           0
MARKETAXESS HLDGS INC             COM   57060D108       3,381      90,676  SH     DEFINED     09      90,676           0           0

MARKET VECTORS ETF TR             COM   57060U100       2,200      44,418  SH     DEFINED     01      44,132           0         286
MARKET VECTORS ETF TR             COM   57060U100         459       9,270  SH     OTHER       01       8,860           0         410

MARKET VECTORS ETF TR             COM   57060U605         261       4,942  SH     DEFINED     01       4,942           0           0
MARKET VECTORS ETF TR             COM   57060U605         112       2,127  SH     OTHER       01       1,780         347           0

MARKET VECTORS ETF TR             COM   57060U613          43         990  SH     DEFINED     01         990           0           0
MARKET VECTORS ETF TR             COM   57060U613         236       5,365  SH     OTHER       01       5,365           0           0

MARKET VECTORS ETF TR          UNDEFIND 57060U878          12      39,500         DEFINED     01      39,500           0           0

MARKET VECTORS ETF TR          UNDEFIND 57060U886           3      17,705         OTHER       01           0      17,705           0

MARKWEST ENERGY PARTNERS L P      COM   570759100         410       7,014  SH     DEFINED     01       7,014           0           0
MARKWEST ENERGY PARTNERS L P      COM   570759100         257       4,400  SH     OTHER       01       2,400       2,000           0
MARKWEST ENERGY PARTNERS L P      COM   570759100       2,564      43,872  SH     DEFINED  01,08      43,872           0           0

MARLIN BUSINESS SVCS CORP         COM   571157106         141       9,364  SH     DEFINED     01       1,888       7,476           0
MARLIN BUSINESS SVCS CORP         COM   571157106       1,108      73,549  SH     DEFINED  01,08      10,776      62,773           0
MARLIN BUSINESS SVCS CORP         COM   571157106         291      19,292  SH     DEFINED     09      19,292           0           0

MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107       1,234      43,268  SH     DEFINED     01      28,721       3,520      11,027
MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107          88       3,102  SH     OTHER       01       3,051          38          13
MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107       3,266     114,573  SH     DEFINED  01,08      26,811      87,762           0
MARRIOTT VACATIONS WRLDWDE C      COM   57164Y107          37       1,296  SH     DEFINED     09       1,296           0           0

MARSH & MCLENNAN COS INC          COM   571748102      25,488     777,295  SH     DEFINED     01     445,205     301,512      30,578
MARSH & MCLENNAN COS INC          COM   571748102       1,490      45,433  SH     OTHER       01      26,861      18,292         280
MARSH & MCLENNAN COS INC          COM   571748102     130,027   3,965,450  SH     DEFINED  01,08     915,457   3,049,993           0
MARSH & MCLENNAN COS INC          COM   571748102      42,309   1,290,309  SH     DEFINED     09   1,290,309           0           0

MARRIOTT INTL INC NEW             COM   571903202      12,239     323,346  SH     DEFINED     01     150,550     171,534       1,262
MARRIOTT INTL INC NEW             COM   571903202         345       9,105  SH     OTHER       01       8,503         472         130
MARRIOTT INTL INC NEW             COM   571903202      75,839   2,003,684  SH     DEFINED  01,08     491,830   1,511,854           0
MARRIOTT INTL INC NEW             COM   571903202      25,605     676,480  SH     DEFINED     09     676,480           0           0

MARTEN TRANS LTD                  COM   573075108         500      22,662  SH     DEFINED     01       3,969      18,693           0
MARTEN TRANS LTD                  COM   573075108       3,393     153,721  SH     DEFINED  01,08      26,627     127,094           0
MARTEN TRANS LTD                  COM   573075108       1,107      50,175  SH     DEFINED     09      50,175           0           0

MARTHA STEWART LIVING OMNIME      COM   573083102         192      50,402  SH     DEFINED     01      18,817      31,585           0
MARTHA STEWART LIVING OMNIME      COM   573083102       1,068     280,323  SH     DEFINED  01,08      55,316     225,007           0
MARTHA STEWART LIVING OMNIME      COM   573083102         297      77,852  SH     DEFINED     09      77,852           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    197
  ________

MARTIN MARIETTA MATLS INC         COM   573284106       1,255      14,657  SH     DEFINED     01       9,788       4,769         100
MARTIN MARIETTA MATLS INC         COM   573284106         466       5,438  SH     OTHER       01         500       1,545       3,393
MARTIN MARIETTA MATLS INC         COM   573284106      24,082     281,235  SH     DEFINED  01,08      15,395     265,840           0
MARTIN MARIETTA MATLS INC         COM   573284106       4,576      53,436  SH     DEFINED     09      53,436           0           0

MARTIN MIDSTREAM PRTNRS L P       COM   573331105         185       5,484  SH     DEFINED     01       5,484           0           0
MARTIN MIDSTREAM PRTNRS L P       COM   573331105          34       1,000  SH     OTHER       01       1,000           0           0
MARTIN MIDSTREAM PRTNRS L P       COM   573331105         223       6,597  SH     DEFINED  01,08       6,597           0           0

MASCO CORP                        COM   574599106      11,149     833,855  SH     DEFINED     01     567,040     260,564       6,251
MASCO CORP                        COM   574599106         833      62,269  SH     OTHER       01      20,243      37,751       4,275
MASCO CORP                        COM   574599106      38,771   2,899,855  SH     DEFINED  01,08     856,292   2,032,767      10,796
MASCO CORP                        COM   574599106      11,491     859,454  SH     DEFINED     09     859,454           0           0

MASIMO CORP                       COM   574795100       1,657      70,874  SH     DEFINED     01      15,448      55,256         170
MASIMO CORP                       COM   574795100           4         185  SH     OTHER       01         185           0           0
MASIMO CORP                       COM   574795100      15,766     674,350  SH     DEFINED  01,08      80,670     593,680           0
MASIMO CORP                       COM   574795100       3,599     153,955  SH     DEFINED     09     153,955           0           0

MASTEC INC                        COM   576323109       1,389      76,796  SH     DEFINED     01      14,664      62,132           0
MASTEC INC                        COM   576323109      10,137     560,363  SH     DEFINED  01,08      87,075     473,288           0
MASTEC INC                        COM   576323109       3,032     167,592  SH     DEFINED     09     167,592           0           0

MASTERCARD INC                    COM   57636Q104     105,705     251,355  SH     DEFINED     01     180,893      67,911       2,551
MASTERCARD INC                    COM   57636Q104       7,641      18,169  SH     OTHER       01       8,979       6,539       2,651
MASTERCARD INC                    COM   57636Q104     330,970     787,011  SH     DEFINED  01,08     181,421     605,590           0
MASTERCARD INC                    COM   57636Q104     110,564     262,910  SH     DEFINED     09     262,910           0           0

MATADOR RES CO                    COM   576485205         299      27,284  SH     DEFINED  01,08      10,604      16,680           0
MATADOR RES CO                    COM   576485205         475      43,372  SH     DEFINED     09      43,372           0           0

MATERIAL SCIENCES CORP            COM   576674105          62       7,491  SH     DEFINED     01       2,761       4,730           0
MATERIAL SCIENCES CORP            COM   576674105         151      18,271  SH     DEFINED  01,08       6,081      12,190           0

MATERION CORP                     COM   576690101       5,556     193,401  SH     DEFINED     01      10,296     183,105           0
MATERION CORP                     COM   576690101         158       5,510  SH     OTHER       01       4,270       1,240           0
MATERION CORP                     COM   576690101      11,211     390,209  SH     DEFINED  01,08     223,300     166,909           0
MATERION CORP                     COM   576690101       1,777      61,858  SH     DEFINED     09      61,858           0           0

MATRIX SVC CO                     COM   576853105         573      40,922  SH     DEFINED     01      13,596      27,326           0
MATRIX SVC CO                     COM   576853105       3,917     279,611  SH     DEFINED  01,08      55,498     224,113           0
MATRIX SVC CO                     COM   576853105       1,141      81,461  SH     DEFINED     09      81,461           0           0

MATTEL INC                        COM   577081102      45,166   1,341,827  SH     DEFINED     01     947,837     369,589      24,401
MATTEL INC                        COM   577081102       3,385     100,550  SH     OTHER       01      81,776      18,364         410
MATTEL INC                        COM   577081102      93,041   2,764,137  SH     DEFINED  01,08     819,049   1,945,088           0
MATTEL INC                        COM   577081102      29,363     872,330  SH     DEFINED     09     872,330           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    198
  ________

MATTERSIGHT CORP                  COM   577097108          53       6,284  SH     DEFINED     01           0       6,284           0
MATTERSIGHT CORP                  COM   577097108         141      16,551  SH     DEFINED  01,08       6,440      10,111           0

MATTHEWS INTL CORP                COM   577128101       1,291      40,800  SH     DEFINED     01       8,788      32,012           0
MATTHEWS INTL CORP                COM   577128101      11,477     362,734  SH     DEFINED  01,08      45,996     316,738           0
MATTHEWS INTL CORP                COM   577128101       2,773      87,648  SH     DEFINED     09      87,648           0           0

MATTRESS FIRM HLDG CORP           COM   57722W106         131       3,458  SH     DEFINED     01         565       2,893           0
MATTRESS FIRM HLDG CORP           COM   57722W106          38       1,000  SH     OTHER       01           0       1,000           0
MATTRESS FIRM HLDG CORP           COM   57722W106       1,946      51,337  SH     DEFINED  01,08       5,113      46,224           0
MATTRESS FIRM HLDG CORP           COM   57722W106         622      16,416  SH     DEFINED     09      16,416           0           0

MATTSON TECHNOLOGY INC            COM   577223100          57      20,451  SH     DEFINED     01          10      20,441           0
MATTSON TECHNOLOGY INC            COM   577223100         244      88,174  SH     DEFINED  01,08      12,325      75,849           0

MAUI LD & PINEAPPLE INC           COM   577345101          11       2,611  SH     DEFINED     01           0       2,611           0
MAUI LD & PINEAPPLE INC           COM   577345101          36       9,051  SH     DEFINED  01,08       1,391       7,660           0

MAXIM INTEGRATED PRODS INC        COM   57772K101       4,083     142,813  SH     DEFINED     01     104,247      38,566           0
MAXIM INTEGRATED PRODS INC        COM   57772K101         563      19,679  SH     OTHER       01      19,451         103         125
MAXIM INTEGRATED PRODS INC        COM   57772K101      31,435   1,099,523  SH     DEFINED  01,08     189,285     910,238           0
MAXIM INTEGRATED PRODS INC        COM   57772K101      11,899     416,196  SH     DEFINED     09     416,196           0           0

MAXLINEAR INC                     COM   57776J100          73      13,046  SH     DEFINED     01       4,117       8,104         825
MAXLINEAR INC                     COM   57776J100         778     139,761  SH     DEFINED  01,08      13,395     126,366           0
MAXLINEAR INC                     COM   57776J100         355      63,661  SH     DEFINED     09      63,661           0           0

MAXWELL TECHNOLOGIES INC          COM   577767106         768      41,906  SH     DEFINED     01       8,271      33,635           0
MAXWELL TECHNOLOGIES INC          COM   577767106         106       5,760  SH     OTHER       01           0       5,760           0
MAXWELL TECHNOLOGIES INC          COM   577767106       4,765     259,953  SH     DEFINED  01,08      33,752     226,201           0
MAXWELL TECHNOLOGIES INC          COM   577767106       1,598      87,185  SH     DEFINED     09      87,185           0           0

MAXYGEN INC                       COM   577776107         183      31,946  SH     DEFINED     01       3,139      28,807           0
MAXYGEN INC                       COM   577776107       1,618     281,964  SH     DEFINED  01,08      44,542     237,422           0
MAXYGEN INC                       COM   577776107         384      66,916  SH     DEFINED     09      66,916           0           0

MAXIMUS INC                       COM   577933104       8,193     201,460  SH     DEFINED     01      93,989     103,936       3,535
MAXIMUS INC                       COM   577933104         385       9,475  SH     OTHER       01       3,995       4,565         915
MAXIMUS INC                       COM   577933104      16,514     406,057  SH     DEFINED  01,08     120,858     285,199           0
MAXIMUS INC                       COM   577933104       4,274     105,086  SH     DEFINED     09     105,086           0           0

MBT FINL CORP                     COM   578877102          11       4,560  SH     DEFINED     01           0       4,560           0
MBT FINL CORP                     COM   578877102          33      14,098  SH     DEFINED  01,08       6,709       7,389           0

MCCLATCHY CO                      COM   579489105         193      66,940  SH     DEFINED     01      15,767      51,173           0
MCCLATCHY CO                      COM   579489105       1,544     534,220  SH     DEFINED  01,08      72,691     461,529           0
MCCLATCHY CO                      COM   579489105         487     168,387  SH     DEFINED     09     168,387           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    199
  ________

MCCORMICK & CO INC                COM   579780206      12,120     222,665  SH     DEFINED     01     134,687      84,194       3,784
MCCORMICK & CO INC                COM   579780206         909      16,704  SH     OTHER       01      11,447       4,612         645
MCCORMICK & CO INC                COM   579780206      53,755     987,605  SH     DEFINED  01,08     240,093     747,512           0
MCCORMICK & CO INC                COM   579780206      16,006     294,061  SH     DEFINED     09     294,061           0           0

MCDERMOTT INTL INC                COM   580037109       2,926     228,428  SH     DEFINED     01     159,390      43,973      25,065
MCDERMOTT INTL INC                COM   580037109         123       9,613  SH     OTHER       01       8,338       1,275           0
MCDERMOTT INTL INC                COM   580037109      10,468     817,211  SH     DEFINED  01,08      99,253     717,958           0
MCDERMOTT INTL INC                COM   580037109          99       7,725  SH     DEFINED     09       7,725           0           0

MCDONALDS CORP                    COM   580135101     399,177   4,069,081  SH     DEFINED     01   3,231,224     738,976      98,881
MCDONALDS CORP                    COM   580135101      89,119     908,447  SH     OTHER       01     587,399     241,968      79,080
MCDONALDS CORP                    COM   580135101     761,162   7,759,039  SH     DEFINED  01,08   1,924,775   5,834,264           0
MCDONALDS CORP                    COM   580135101     244,598   2,493,349  SH     DEFINED     09   2,493,349           0           0

MCEWEN MNG INC                    COM   58039P107         401      90,403  SH     DEFINED     01      25,743      64,660           0
MCEWEN MNG INC                    COM   58039P107       4,873   1,097,555  SH     DEFINED  01,08     110,590     986,965           0
MCEWEN MNG INC                    COM   58039P107       1,408     317,174  SH     DEFINED     09     317,174           0           0

MCG CAPITAL CORP                  COM   58047P107         301      70,579  SH     DEFINED     01      19,933      50,646           0
MCG CAPITAL CORP                  COM   58047P107       2,694     632,493  SH     DEFINED  01,08     101,692     530,801           0
MCG CAPITAL CORP                  COM   58047P107         901     211,507  SH     DEFINED     09     211,507           0           0

MCGRATH RENTCORP                  COM   580589109       1,156      36,010  SH     DEFINED     01       6,921      29,089           0
MCGRATH RENTCORP                  COM   580589109       7,945     247,431  SH     DEFINED  01,08      44,038     203,393           0
MCGRATH RENTCORP                  COM   580589109       2,359      73,455  SH     DEFINED     09      73,455           0           0

MCGRAW HILL COS INC               COM   580645109      20,130     415,311  SH     DEFINED     01     258,958     152,879       3,474
MCGRAW HILL COS INC               COM   580645109       2,783      57,410  SH     OTHER       01      25,436      10,885      21,089
MCGRAW HILL COS INC               COM   580645109     102,224   2,109,020  SH     DEFINED  01,08     509,188   1,599,832           0
MCGRAW HILL COS INC               COM   580645109      34,015     701,777  SH     DEFINED     09     701,777           0           0

MCKESSON CORP                     COM   58155Q103      53,650     611,254  SH     DEFINED     01     461,417     139,837      10,000
MCKESSON CORP                     COM   58155Q103      10,162     115,775  SH     OTHER       01      89,549      18,917       7,309
MCKESSON CORP                     COM   58155Q103     162,167   1,847,635  SH     DEFINED  01,08     441,195   1,406,440           0
MCKESSON CORP                     COM   58155Q103      52,588     599,154  SH     DEFINED     09     599,154           0           0

MCMORAN EXPLORATION CO            COM   582411104       1,422     132,871  SH     DEFINED     01      36,371      96,500           0
MCMORAN EXPLORATION CO            COM   582411104      10,233     956,335  SH     DEFINED  01,08     146,995     809,340           0
MCMORAN EXPLORATION CO            COM   582411104       3,131     292,574  SH     DEFINED     09     292,574           0           0

MEAD JOHNSON NUTRITION CO         COM   582839106      27,358     331,694  SH     DEFINED     01     199,316     131,585         793
MEAD JOHNSON NUTRITION CO         COM   582839106         634       7,691  SH     OTHER       01       7,311          92         288
MEAD JOHNSON NUTRITION CO         COM   582839106     132,613   1,607,818  SH     DEFINED  01,08     459,942   1,147,876           0
MEAD JOHNSON NUTRITION CO         COM   582839106      41,840     507,278  SH     DEFINED     09     507,278           0           0

MEADOWBROOK INS GROUP INC         COM   58319P108       4,326     463,634  SH     DEFINED     01      27,409     436,225           0
MEADOWBROOK INS GROUP INC         COM   58319P108       8,627     924,671  SH     DEFINED  01,08     486,004     438,667           0
MEADOWBROOK INS GROUP INC         COM   58319P108       1,458     156,240  SH     DEFINED     09     156,240           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    200
  ________

MEADWESTVACO CORP                 COM   583334107       8,877     281,018  SH     DEFINED     01     190,492      89,412       1,114
MEADWESTVACO CORP                 COM   583334107         169       5,335  SH     OTHER       01       4,522         288         525
MEADWESTVACO CORP                 COM   583334107      41,089   1,300,701  SH     DEFINED  01,08     348,627     952,074           0
MEADWESTVACO CORP                 COM   583334107      12,070     382,070  SH     DEFINED     09     382,070           0           0

MEASUREMENT SPECIALTIES INC       COM   583421102         952      28,256  SH     DEFINED     01      11,537      16,584         135
MEASUREMENT SPECIALTIES INC       COM   583421102           5         145  SH     OTHER       01         145           0           0
MEASUREMENT SPECIALTIES INC       COM   583421102       5,011     148,683  SH     DEFINED  01,08      27,166     121,517           0
MEASUREMENT SPECIALTIES INC       COM   583421102       1,366      40,520  SH     DEFINED     09      40,520           0           0

MECHEL OAO                        COM   583840103          71       7,890  SH     DEFINED     01       4,561       3,329           0
MECHEL OAO                        COM   583840103           6         669  SH     OTHER       01           0         669           0
MECHEL OAO                        COM   583840103       2,285     254,488  SH     DEFINED  01,08     254,488           0           0
MECHEL OAO                        COM   583840103       8,522     949,039  SH     DEFINED     09     949,039           0           0

MEDALLION FINL CORP               COM   583928106         247      22,165  SH     DEFINED     01       3,538      18,627           0
MEDALLION FINL CORP               COM   583928106       1,580     141,577  SH     DEFINED  01,08      23,928     117,649           0
MEDALLION FINL CORP               COM   583928106         459      41,139  SH     DEFINED     09      41,139           0           0

MEDCATH CORP                      COM   58404W109         959     122,013  SH     DEFINED     01       1,302     120,711           0
MEDCATH CORP                      COM   58404W109       1,262     160,578  SH     DEFINED  01,08     122,643      37,935           0

MEDASSETS INC                     COM   584045108         753      57,190  SH     DEFINED     01      15,997      41,193           0
MEDASSETS INC                     COM   584045108       6,071     461,297  SH     DEFINED  01,08      66,095     395,202           0
MEDASSETS INC                     COM   584045108       1,892     143,736  SH     DEFINED     09     143,736           0           0

MEDCO HEALTH SOLUTIONS INC        COM   58405U102      67,559     961,009  SH     DEFINED     01     652,615     282,082      26,312
MEDCO HEALTH SOLUTIONS INC        COM   58405U102      16,626     236,500  SH     OTHER       01     165,080      43,467      27,953
MEDCO HEALTH SOLUTIONS INC        COM   58405U102     200,524   2,852,406  SH     DEFINED  01,08     623,137   2,229,269           0

MEDIA GEN INC                     COM   584404107          47       9,192  SH     DEFINED     01         165       9,027           0
MEDIA GEN INC                     COM   584404107         131      25,523  SH     DEFINED  01,08       5,622      19,901           0

MEDICAL ACTION INDS INC           COM   58449L100         147      25,690  SH     DEFINED     01       1,675      24,015           0
MEDICAL ACTION INDS INC           COM   58449L100         958     167,423  SH     DEFINED  01,08      31,764     135,659           0
MEDICAL ACTION INDS INC           COM   58449L100         218      38,046  SH     DEFINED     09      38,046           0           0

MEDICAL PPTYS TRUST INC           COM   58463J304       8,524     918,524  SH     DEFINED     01      65,863     852,661           0
MEDICAL PPTYS TRUST INC           COM   58463J304         238      25,700  SH     OTHER       01           0      25,700           0
MEDICAL PPTYS TRUST INC           COM   58463J304      20,783   2,239,530  SH     DEFINED  01,08   1,152,056   1,087,474           0
MEDICAL PPTYS TRUST INC           COM   58463J304       4,229     455,762  SH     DEFINED     09     455,762           0           0

MEDICINOVA INC                    COM   58468P206           1         370  SH     DEFINED     01           0         370           0
MEDICINOVA INC                    COM   58468P206          32      11,131  SH     DEFINED  01,08         124      11,007           0

MEDICINES CO                      COM   584688105       1,702      84,799  SH     DEFINED     01      28,658      56,141           0
MEDICINES CO                      COM   584688105      10,654     530,831  SH     DEFINED  01,08      92,638     438,193           0
MEDICINES CO                      COM   584688105       3,068     152,842  SH     DEFINED     09     152,842           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    201
  ________

MEDICIS PHARMACEUTICAL CORP       COM   584690309       4,122     109,657  SH     DEFINED     01      49,854      58,588       1,215
MEDICIS PHARMACEUTICAL CORP       COM   584690309         165       4,380  SH     OTHER       01         880       3,500           0
MEDICIS PHARMACEUTICAL CORP       COM   584690309      28,754     764,941  SH     DEFINED  01,08      97,380     667,561           0
MEDICIS PHARMACEUTICAL CORP       COM   584690309       6,855     182,374  SH     DEFINED     09     182,374           0           0

MEDIFAST INC                      COM   58470H101         276      15,790  SH     DEFINED     01       7,273       8,517           0
MEDIFAST INC                      COM   58470H101       2,315     132,601  SH     DEFINED  01,08      16,935     115,666           0
MEDIFAST INC                      COM   58470H101         739      42,311  SH     DEFINED     09      42,311           0           0

MEDIDATA SOLUTIONS INC            COM   58471A105         710      26,653  SH     DEFINED     01      11,853      14,800           0
MEDIDATA SOLUTIONS INC            COM   58471A105       5,255     197,245  SH     DEFINED  01,08      25,741     171,504           0
MEDIDATA SOLUTIONS INC            COM   58471A105       1,647      61,830  SH     DEFINED     09      61,830           0           0

MEDIWARE INFORMATION SYS INC      COM   584946107         253      17,224  SH     DEFINED     01           0      17,224           0
MEDIWARE INFORMATION SYS INC      COM   584946107         325      22,131  SH     DEFINED  01,08      17,358       4,773           0

MEDTOX SCIENTIFIC INC             COM   584977201         752      44,578  SH     DEFINED     01      31,336      11,867       1,375
MEDTOX SCIENTIFIC INC             COM   584977201          93       5,505  SH     OTHER       01       1,715       3,305         485
MEDTOX SCIENTIFIC INC             COM   584977201       1,236      73,286  SH     DEFINED  01,08       9,508      63,778           0
MEDTOX SCIENTIFIC INC             COM   584977201         336      19,953  SH     DEFINED     09      19,953           0           0

MEDIVATION INC                    COM   58501N101       3,144      42,078  SH     DEFINED     01       9,503      32,575           0
MEDIVATION INC                    COM   58501N101      22,893     306,382  SH     DEFINED  01,08      47,118     259,264           0
MEDIVATION INC                    COM   58501N101       7,309      97,820  SH     DEFINED     09      97,820           0           0

MEDNAX INC                        COM   58502B106       5,412      72,778  SH     DEFINED     01      58,710      12,356       1,712
MEDNAX INC                        COM   58502B106         924      12,420  SH     OTHER       01       2,191       9,674         555
MEDNAX INC                        COM   58502B106      22,830     306,982  SH     DEFINED  01,08      21,174     285,808           0

MEDLEY CAP CORP                   COM   58503F106          88       7,796  SH     DEFINED     01       2,137       5,659           0
MEDLEY CAP CORP                   COM   58503F106         915      81,181  SH     DEFINED  01,08      10,215      70,966           0
MEDLEY CAP CORP                   COM   58503F106         482      42,801  SH     DEFINED     09      42,801           0           0

MEDTRONIC INC                     COM   585055106      75,149   1,917,561  SH     DEFINED     01   1,152,362     723,150      42,049
MEDTRONIC INC                     COM   585055106      13,239     337,810  SH     OTHER       01     215,025     102,736      20,049
MEDTRONIC INC                     COM   585055106     315,672   8,054,908  SH     DEFINED  01,08   2,066,335   5,974,637      13,936
MEDTRONIC INC                     COM   585055106     100,536   2,565,351  SH     DEFINED     09   2,565,351           0           0

MEMSIC INC                        COM   586264103          10       2,461  SH     DEFINED     01           0       2,461           0
MEMSIC INC                        COM   586264103          82      19,405  SH     DEFINED  01,08       5,182      14,223           0

MENS WEARHOUSE INC                COM   587118100      16,888     435,603  SH     DEFINED     01      61,028     372,680       1,895
MENS WEARHOUSE INC                COM   587118100         487      12,565  SH     OTHER       01           0      12,365         200
MENS WEARHOUSE INC                COM   587118100      32,815     846,392  SH     DEFINED  01,08     425,317     421,075           0
MENS WEARHOUSE INC                COM   587118100       6,000     154,766  SH     DEFINED     09     154,766           0           0

MENTOR GRAPHICS CORP              COM   587200106       4,749     319,603  SH     DEFINED     01      31,188     288,415           0
MENTOR GRAPHICS CORP              COM   587200106      20,607   1,386,712  SH     DEFINED  01,08     347,764   1,038,948           0
MENTOR GRAPHICS CORP              COM   587200106       4,168     280,500  SH     DEFINED     09     280,500           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    202
  ________

MERCADOLIBRE INC                  COM   58733R102       4,829      49,381  SH     DEFINED     01      44,038       5,258          85
MERCADOLIBRE INC                  COM   58733R102         371       3,795  SH     OTHER       01       2,953         842           0
MERCADOLIBRE INC                  COM   58733R102         599       6,122  SH     DEFINED  01,08       5,429         693           0

MERCANTILE BANK CORP              COM   587376104          31       2,175  SH     DEFINED     01           0       2,175           0
MERCANTILE BANK CORP              COM   587376104         140       9,805  SH     DEFINED  01,08       2,323       7,482           0

MERCER INTL INC                   COM   588056101       1,673     209,438  SH     DEFINED     01       9,200     200,238           0
MERCER INTL INC                   COM   588056101       1,933     241,990  SH     DEFINED  01,08     238,067       3,923           0

MERCHANTS BANCSHARES              COM   588448100         289      10,255  SH     DEFINED     01         995       9,260           0
MERCHANTS BANCSHARES              COM   588448100       1,548      54,942  SH     DEFINED  01,08      12,548      42,394           0
MERCHANTS BANCSHARES              COM   588448100         598      21,229  SH     DEFINED     09      21,229           0           0

MERCK & CO INC NEW                COM   58933Y105     192,673   5,017,522  SH     DEFINED     01   2,907,895   2,061,727      47,900
MERCK & CO INC NEW                COM   58933Y105      24,524     638,657  SH     OTHER       01     390,154     194,930      53,573
MERCK & CO INC NEW                COM   58933Y105     902,189  23,494,496  SH     DEFINED  01,08   6,232,519  17,249,727      12,250
MERCK & CO INC NEW                COM   58933Y105     300,921   7,836,486  SH     DEFINED     09   7,836,486           0           0

MERCURY COMPUTER SYS              COM   589378108         590      44,547  SH     DEFINED     01      14,519      30,028           0
MERCURY COMPUTER SYS              COM   589378108       4,006     302,366  SH     DEFINED  01,08      52,475     249,891           0
MERCURY COMPUTER SYS              COM   589378108       1,343     101,394  SH     DEFINED     09     101,394           0           0

MERCURY GENL CORP NEW             COM   589400100         694      15,865  SH     DEFINED     01      12,914       2,951           0
MERCURY GENL CORP NEW             COM   589400100          36         820  SH     OTHER       01         820           0           0
MERCURY GENL CORP NEW             COM   589400100       8,461     193,447  SH     DEFINED  01,08       9,785     183,662           0
MERCURY GENL CORP NEW             COM   589400100          17         382  SH     DEFINED     09         382           0           0

MEREDITH CORP                     COM   589433101       1,462      45,049  SH     DEFINED     01      10,777      34,272           0
MEREDITH CORP                     COM   589433101           5         168  SH     OTHER       01           0         143          25
MEREDITH CORP                     COM   589433101      14,648     451,269  SH     DEFINED  01,08      53,939     397,330           0
MEREDITH CORP                     COM   589433101       3,305     101,816  SH     DEFINED     09     101,816           0           0

MERGE HEALTHCARE INC              COM   589499102         262      44,769  SH     DEFINED     01      11,766      33,003           0
MERGE HEALTHCARE INC              COM   589499102       3,025     516,133  SH     DEFINED  01,08      59,232     456,901           0
MERGE HEALTHCARE INC              COM   589499102         834     142,400  SH     DEFINED     09     142,400           0           0

MERIDIAN BIOSCIENCE INC           COM   589584101       4,299     221,801  SH     DEFINED     01     170,522      49,089       2,190
MERIDIAN BIOSCIENCE INC           COM   589584101         109       5,605  SH     OTHER       01       3,885       1,720           0
MERIDIAN BIOSCIENCE INC           COM   589584101       7,892     407,208  SH     DEFINED  01,08      73,426     333,782           0
MERIDIAN BIOSCIENCE INC           COM   589584101       2,338     120,641  SH     DEFINED     09     120,641           0           0

MERIDIAN INTERSTAT BANCORP I      COM   58964Q104          84       6,422  SH     DEFINED     01       1,840       4,582           0
MERIDIAN INTERSTAT BANCORP I      COM   58964Q104       1,063      80,939  SH     DEFINED  01,08      10,212      70,727           0
MERIDIAN INTERSTAT BANCORP I      COM   58964Q104         278      21,136  SH     DEFINED     09      21,136           0           0

MERIT MED SYS INC                 COM   589889104         775      62,437  SH     DEFINED     01      18,924      43,513           0
MERIT MED SYS INC                 COM   589889104       5,209     419,436  SH     DEFINED  01,08      75,526     343,910           0
MERIT MED SYS INC                 COM   589889104       1,679     135,209  SH     DEFINED     09     135,209           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    203
  ________

MERITAGE HOMES CORP               COM   59001A102       2,976     109,981  SH     DEFINED     01      14,133      95,848           0
MERITAGE HOMES CORP               COM   59001A102         200       7,400  SH     OTHER       01           0       7,400           0
MERITAGE HOMES CORP               COM   59001A102       9,681     357,760  SH     DEFINED  01,08     132,191     225,569           0
MERITAGE HOMES CORP               COM   59001A102       2,430      89,805  SH     DEFINED     09      89,805           0           0

MERITOR INC                       COM   59001K100         909     112,616  SH     DEFINED     01      41,703      70,443         470
MERITOR INC                       COM   59001K100           4         505  SH     OTHER       01         505           0           0
MERITOR INC                       COM   59001K100       7,135     884,108  SH     DEFINED  01,08     124,988     759,120           0
MERITOR INC                       COM   59001K100       2,261     280,196  SH     DEFINED     09     280,196           0           0

MERU NETWORKS INC                 COM   59047Q103          43      10,692  SH     DEFINED     01       1,427       9,265           0
MERU NETWORKS INC                 COM   59047Q103         405     100,103  SH     DEFINED  01,08      13,534      86,569           0
MERU NETWORKS INC                 COM   59047Q103         157      38,666  SH     DEFINED     09      38,666           0           0

MESA LABS INC                     COM   59064R109         178       3,614  SH     DEFINED     01         250       3,364           0
MESA LABS INC                     COM   59064R109         346       7,017  SH     DEFINED  01,08       3,374       3,643           0

MET PRO CORP                      COM   590876306         218      20,641  SH     DEFINED     01       3,525      17,116           0
MET PRO CORP                      COM   590876306       1,544     146,232  SH     DEFINED  01,08      21,174     125,058           0
MET PRO CORP                      COM   590876306         418      39,593  SH     DEFINED     09      39,593           0           0

META FINL GROUP INC               COM   59100U108         119       5,657  SH     DEFINED     01           0       5,657           0
META FINL GROUP INC               COM   59100U108         212      10,094  SH     DEFINED  01,08       6,200       3,894           0

METABOLIX INC                     COM   591018809          99      35,050  SH     DEFINED     01       7,453      27,597           0
METABOLIX INC                     COM   591018809           6       2,000  SH     OTHER       01           0       2,000           0
METABOLIX INC                     COM   591018809         910     321,521  SH     DEFINED  01,08      40,991     280,530           0
METABOLIX INC                     COM   591018809         321     113,509  SH     DEFINED     09     113,509           0           0

METALICO INC                      COM   591176102         167      39,171  SH     DEFINED     01       9,316      29,855           0
METALICO INC                      COM   591176102       1,668     390,739  SH     DEFINED  01,08      54,677     336,062           0
METALICO INC                      COM   591176102         403      94,281  SH     DEFINED     09      94,281           0           0

METALS USA HLDGS CORP             COM   59132A104          96       6,662  SH     DEFINED     01       1,911       4,751           0
METALS USA HLDGS CORP             COM   59132A104       1,515     105,131  SH     DEFINED  01,08      11,562      93,569           0
METALS USA HLDGS CORP             COM   59132A104         426      29,544  SH     DEFINED     09      29,544           0           0

METHODE ELECTRS INC               COM   591520200         558      60,145  SH     DEFINED     01      16,744      43,401           0
METHODE ELECTRS INC               COM   591520200       3,478     374,794  SH     DEFINED  01,08      75,107     299,687           0
METHODE ELECTRS INC               COM   591520200       1,037     111,715  SH     DEFINED     09     111,715           0           0

METLIFE INC                       COM   59156R108      52,323   1,400,878  SH     DEFINED     01     728,477     660,219      12,182
METLIFE INC                       COM   59156R108       3,698      99,011  SH     OTHER       01      26,061      72,307         643
METLIFE INC                       COM   59156R108     288,406   7,721,719  SH     DEFINED  01,08   2,129,055   5,498,423      94,241
METLIFE INC                       COM   59156R108      97,145   2,600,941  SH     DEFINED     09   2,600,941           0           0

METRO BANCORP INC PA              COM   59161R101         163      13,973  SH     DEFINED     01       1,709      12,264           0
METRO BANCORP INC PA              COM   59161R101       1,495     127,863  SH     DEFINED  01,08      19,920     107,943           0
METRO BANCORP INC PA              COM   59161R101         500      42,768  SH     DEFINED     09      42,768           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    204
  ________

METROCORP BANCSHARES INC          COM   591650106          64       6,424  SH     DEFINED     01           0       6,424           0
METROCORP BANCSHARES INC          COM   591650106         186      18,569  SH     DEFINED  01,08       6,236      12,333           0

METROPCS COMMUNICATIONS INC       COM   591708102       2,858     316,835  SH     DEFINED     01     157,717     158,215         903
METROPCS COMMUNICATIONS INC       COM   591708102          36       3,941  SH     OTHER       01       3,874          67           0
METROPCS COMMUNICATIONS INC       COM   591708102      19,149   2,122,913  SH     DEFINED  01,08     474,869   1,648,044           0
METROPCS COMMUNICATIONS INC       COM   591708102       5,619     622,932  SH     DEFINED     09     622,932           0           0

METROPOLITAN HEALTH NETWORKS      COM   592142103         726      77,443  SH     DEFINED     01      25,151      52,292           0
METROPOLITAN HEALTH NETWORKS      COM   592142103       4,155     443,448  SH     DEFINED  01,08      94,953     348,495           0
METROPOLITAN HEALTH NETWORKS      COM   592142103       1,025     109,401  SH     DEFINED     09     109,401           0           0

METTLER TOLEDO INTERNATIONAL      COM   592688105       2,302      12,462  SH     DEFINED     01       9,131       3,231         100
METTLER TOLEDO INTERNATIONAL      COM   592688105           4          20  SH     OTHER       01           0           0          20
METTLER TOLEDO INTERNATIONAL      COM   592688105      37,091     200,765  SH     DEFINED  01,08      14,246     186,519           0

MEXCO ENERGY CORP                 COM   592770101         436      54,926  SH     DEFINED     01         100      54,826           0
MEXCO ENERGY CORP                 COM   592770101          24       3,036  SH     DEFINED  01,08         326       2,710           0

MEXICO FD INC                     COM   592835102         623      24,642  SH     OTHER       01      24,642           0           0

MICREL INC                        COM   594793101         831      80,952  SH     DEFINED     01      25,812      55,140           0
MICREL INC                        COM   594793101       5,250     511,715  SH     DEFINED  01,08      98,419     413,296           0
MICREL INC                        COM   594793101       1,431     139,516  SH     DEFINED     09     139,516           0           0

MICROS SYS INC                    COM   594901100       4,879      88,248  SH     DEFINED     01      54,345      33,673         230
MICROS SYS INC                    COM   594901100         195       3,519  SH     OTHER       01       3,290         165          64
MICROS SYS INC                    COM   594901100      29,319     530,285  SH     DEFINED  01,08      55,891     474,394           0

MICROSOFT CORP                    COM   594918104     454,702  14,097,090  SH     DEFINED     01   8,869,544   4,903,382     324,164
MICROSOFT CORP                    COM   594918104      92,654   2,872,538  SH     OTHER       01   1,779,900     828,521     264,117
MICROSOFT CORP                    COM   594918104   1,870,153  57,980,248  SH     DEFINED  01,08  15,425,622  42,446,062     108,564
MICROSOFT CORP                    COM   594918104     627,823  19,464,354  SH     DEFINED     09  19,464,354           0           0

MICROVISION INC DEL               COM   594960304          24       8,886  SH     DEFINED     01       2,100       6,786           0
MICROVISION INC DEL               COM   594960304         304     111,303  SH     DEFINED  01,08      13,556      97,747           0
MICROVISION INC DEL               COM   594960304          95      34,953  SH     DEFINED     09      34,953           0           0

MICROSTRATEGY INC                 COM   594972408       2,521      18,010  SH     DEFINED     01       4,273      13,737           0
MICROSTRATEGY INC                 COM   594972408      12,057      86,122  SH     DEFINED  01,08      19,976      66,146           0
MICROSTRATEGY INC                 COM   594972408       3,426      24,468  SH     DEFINED     09      24,468           0           0

MICROCHIP TECHNOLOGY INC          COM   595017104      28,569     767,983  SH     DEFINED     01     566,543     170,459      30,981
MICROCHIP TECHNOLOGY INC          COM   595017104      11,114     298,762  SH     OTHER       01     212,383      34,501      51,878
MICROCHIP TECHNOLOGY INC          COM   595017104      55,568   1,493,768  SH     DEFINED  01,08     402,141   1,091,627           0
MICROCHIP TECHNOLOGY INC          COM   595017104      16,912     454,615  SH     DEFINED     09     454,615           0           0

MICROFINANCIAL INC                COM   595072109          60       8,702  SH     DEFINED     01           0       8,702           0
MICROFINANCIAL INC                COM   595072109         194      28,394  SH     DEFINED  01,08      10,266      18,128           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    205
  ________

MICRON TECHNOLOGY INC             COM   595112103       9,035   1,116,065  SH     DEFINED     01     592,369     520,866       2,830
MICRON TECHNOLOGY INC             COM   595112103         134      16,570  SH     OTHER       01      15,496         564         510
MICRON TECHNOLOGY INC             COM   595112103      58,096   7,176,833  SH     DEFINED  01,08   1,832,754   5,344,079           0
MICRON TECHNOLOGY INC             COM   595112103      18,391   2,271,867  SH     DEFINED     09   2,271,867           0           0

MICRONETICS INC DEL               COM   595125105          23       2,842  SH     DEFINED     01           0       2,842           0
MICRONETICS INC DEL               COM   595125105          68       8,323  SH     DEFINED  01,08       2,458       5,865           0

MICROSEMI CORP                    COM   595137100       2,771     129,231  SH     DEFINED     01      42,852      86,239         140
MICROSEMI CORP                    COM   595137100         129       6,000  SH     OTHER       01       6,000           0           0
MICROSEMI CORP                    COM   595137100      18,211     849,400  SH     DEFINED  01,08     145,507     703,893           0
MICROSEMI CORP                    COM   595137100       5,710     266,342  SH     DEFINED     09     266,342           0           0

MID-AMER APT CMNTYS INC           COM   59522J103       3,716      55,441  SH     DEFINED     01      17,929      37,512           0
MID-AMER APT CMNTYS INC           COM   59522J103      28,265     421,678  SH     DEFINED  01,08     122,547     299,131           0
MID-AMER APT CMNTYS INC           COM   59522J103       9,226     137,646  SH     DEFINED     09     137,646           0           0

MIDAS GROUP INC                   COM   595626102         148      12,897  SH     DEFINED     01       3,183       9,714           0
MIDAS GROUP INC                   COM   595626102         289      25,184  SH     DEFINED  01,08       3,499      21,685           0

MIDDLEBURG FINANCIAL CORP         COM   596094102          46       2,909  SH     DEFINED     01           0       2,909           0
MIDDLEBURG FINANCIAL CORP         COM   596094102         131       8,353  SH     DEFINED  01,08       2,866       5,487           0

MIDDLEBY CORP                     COM   596278101       2,929      28,945  SH     DEFINED     01       5,516      23,429           0
MIDDLEBY CORP                     COM   596278101         263       2,600  SH     OTHER       01           0       2,600           0
MIDDLEBY CORP                     COM   596278101      18,871     186,514  SH     DEFINED  01,08      33,679     152,835           0
MIDDLEBY CORP                     COM   596278101       5,833      57,653  SH     DEFINED     09      57,653           0           0

MIDDLESEX WATER CO                COM   596680108         483      25,562  SH     DEFINED     01       5,330      20,232           0
MIDDLESEX WATER CO                COM   596680108       2,908     153,966  SH     DEFINED  01,08      26,701     127,265           0
MIDDLESEX WATER CO                COM   596680108         873      46,217  SH     DEFINED     09      46,217           0           0

MIDSOUTH BANCORP INC              COM   598039105          97       7,115  SH     DEFINED     01         865       6,250           0
MIDSOUTH BANCORP INC              COM   598039105         960      70,605  SH     DEFINED  01,08       9,885      60,720           0
MIDSOUTH BANCORP INC              COM   598039105         185      13,591  SH     DEFINED     09      13,591           0           0

MIDWAY GOLD CORP                  COM   598153104          66      46,207  SH     DEFINED     01       9,049      37,158           0
MIDWAY GOLD CORP                  COM   598153104         887     620,007  SH     DEFINED  01,08      75,632     544,375           0
MIDWAY GOLD CORP                  COM   598153104         465     325,221  SH     DEFINED     09     325,221           0           0

MIDWESTONE FINL GROUP INC NE      COM   598511103          21       1,092  SH     DEFINED     01         155         937           0
MIDWESTONE FINL GROUP INC NE      COM   598511103         229      11,825  SH     DEFINED  01,08       1,757      10,068           0

MILLER ENERGY RES INC             COM   600527105          97      23,087  SH     DEFINED     01       6,685      16,402           0
MILLER ENERGY RES INC             COM   600527105       1,167     276,652  SH     DEFINED  01,08      25,802     250,850           0
MILLER ENERGY RES INC             COM   600527105         458     108,425  SH     DEFINED     09     108,425           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    206
  ________

MILLER HERMAN INC                 COM   600544100       1,671      72,795  SH     DEFINED     01      15,919      56,876           0
MILLER HERMAN INC                 COM   600544100          13         580  SH     OTHER       01           0         580           0
MILLER HERMAN INC                 COM   600544100      16,698     727,263  SH     DEFINED  01,08      96,623     630,640           0
MILLER HERMAN INC                 COM   600544100       3,778     164,553  SH     DEFINED     09     164,553           0           0

MILLER INDS INC TENN              COM   600551204       7,737     457,246  SH     DEFINED     01     360,108      97,138           0
MILLER INDS INC TENN              COM   600551204       3,357     198,379  SH     DEFINED  01,08     106,703      91,676           0
MILLER INDS INC TENN              COM   600551204         518      30,595  SH     DEFINED     09      30,595           0           0

MINDSPEED TECHNOLOGIES INC        COM   602682205         377      59,111  SH     DEFINED     01       9,151      49,960           0
MINDSPEED TECHNOLOGIES INC        COM   602682205       2,166     339,979  SH     DEFINED  01,08      62,528     277,451           0
MINDSPEED TECHNOLOGIES INC        COM   602682205         580      91,088  SH     DEFINED     09      91,088           0           0

MINE SAFETY APPLIANCES CO         COM   602720104       2,176      52,974  SH     DEFINED     01       6,517      46,457           0
MINE SAFETY APPLIANCES CO         COM   602720104      15,615     380,122  SH     DEFINED  01,08      64,657     315,465           0
MINE SAFETY APPLIANCES CO         COM   602720104       3,297      80,250  SH     DEFINED     09      80,250           0           0

MINERALS TECHNOLOGIES INC         COM   603158106       4,740      72,468  SH     DEFINED     01       6,163      66,305           0
MINERALS TECHNOLOGIES INC         COM   603158106      17,941     274,285  SH     DEFINED  01,08      76,568     197,717           0
MINERALS TECHNOLOGIES INC         COM   603158106       3,603      55,079  SH     DEFINED     09      55,079           0           0

MINES MGMT INC                    COM   603432105          62      36,335  SH     DEFINED  01,08           0      36,335           0

MIPS TECHNOLOGIES INC             COM   604567107         390      71,726  SH     DEFINED     01      15,109      56,617           0
MIPS TECHNOLOGIES INC             COM   604567107       2,834     520,936  SH     DEFINED  01,08      83,747     437,189           0
MIPS TECHNOLOGIES INC             COM   604567107         794     145,908  SH     DEFINED     09     145,908           0           0

MISSION WEST PPTYS INC            COM   605203108         336      34,087  SH     DEFINED     01       3,771      30,316           0
MISSION WEST PPTYS INC            COM   605203108       1,968     199,603  SH     DEFINED  01,08      42,333     157,270           0
MISSION WEST PPTYS INC            COM   605203108         508      51,553  SH     DEFINED     09      51,553           0           0

MISTRAS GROUP INC                 COM   60649T107         487      20,429  SH     DEFINED     01      13,789       6,640           0
MISTRAS GROUP INC                 COM   60649T107          38       1,600  SH     OTHER       01       1,600           0           0
MISTRAS GROUP INC                 COM   60649T107       3,255     136,667  SH     DEFINED  01,08      13,598     123,069           0
MISTRAS GROUP INC                 COM   60649T107         979      41,102  SH     DEFINED     09      41,102           0           0

MITCHAM INDS INC                  COM   606501104         473      21,063  SH     DEFINED     01       1,650      19,413           0
MITCHAM INDS INC                  COM   606501104       2,745     122,239  SH     DEFINED  01,08      24,074      98,165           0
MITCHAM INDS INC                  COM   606501104       1,060      47,201  SH     DEFINED     09      47,201           0           0

MITEK SYS INC                     COM   606710200         187      16,099  SH     DEFINED     01       7,800       8,299           0
MITEK SYS INC                     COM   606710200         493      42,504  SH     DEFINED  01,08      13,262      29,242           0

MITSUBISHI UFJ FINL GROUP IN      COM   606822104      12,711   2,552,392  SH     DEFINED     01   2,368,740     173,561      10,091
MITSUBISHI UFJ FINL GROUP IN      COM   606822104         517     103,721  SH     OTHER       01      58,848      31,318      13,555
MITSUBISHI UFJ FINL GROUP IN      COM   606822104       4,124     828,043  SH     DEFINED  01,08     828,043           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    207
  ________

MIZUHO FINL GROUP INC             COM   60687Y109       4,216   1,305,141  SH     DEFINED     01   1,261,076      43,380         685
MIZUHO FINL GROUP INC             COM   60687Y109         115      35,618  SH     OTHER       01      14,461      21,157           0
MIZUHO FINL GROUP INC             COM   60687Y109       1,699     525,863  SH     DEFINED  01,08     525,863           0           0

MMODAL INC                        COM   60689B107         242      22,974  SH     DEFINED     01       7,152      15,822           0
MMODAL INC                        COM   60689B107       3,205     303,792  SH     DEFINED  01,08      32,931     270,861           0
MMODAL INC                        COM   60689B107       1,065     100,920  SH     DEFINED     09     100,920           0           0

MOBILE MINI INC                   COM   60740F105       6,919     327,606  SH     DEFINED     01      61,720     263,901       1,985
MOBILE MINI INC                   COM   60740F105         139       6,577  SH     OTHER       01       2,500       3,372         705
MOBILE MINI INC                   COM   60740F105      12,535     593,499  SH     DEFINED  01,08     287,180     306,319           0
MOBILE MINI INC                   COM   60740F105       2,479     117,382  SH     DEFINED     09     117,382           0           0

MOBILE TELESYSTEMS OJSC           COM   607409109         393      21,416  SH     DEFINED     01      11,535       9,881           0
MOBILE TELESYSTEMS OJSC           COM   607409109         125       6,816  SH     OTHER       01           0       6,816           0
MOBILE TELESYSTEMS OJSC           COM   607409109      17,864     974,071  SH     DEFINED  01,08     974,071           0           0
MOBILE TELESYSTEMS OJSC           COM   607409109      61,920   3,376,215  SH     DEFINED     09   3,376,215           0           0

MOCON INC                         COM   607494101         218      13,427  SH     DEFINED     01           0      13,427           0
MOCON INC                         COM   607494101          26       1,600  SH     OTHER       01       1,600           0           0
MOCON INC                         COM   607494101         402      24,693  SH     DEFINED  01,08      14,707       9,986           0

MODINE MFG CO                     COM   607828100         458      51,839  SH     DEFINED     01      11,932      39,907           0
MODINE MFG CO                     COM   607828100       3,931     445,211  SH     DEFINED  01,08      64,906     380,305           0
MODINE MFG CO                     COM   607828100       1,138     128,874  SH     DEFINED     09     128,874           0           0

MODUSLINK GLOBAL SOLUTIONS I      COM   60786L107         419      77,555  SH     DEFINED     01      13,776      63,779           0
MODUSLINK GLOBAL SOLUTIONS I      COM   60786L107           0          32  SH     OTHER       01          32           0           0
MODUSLINK GLOBAL SOLUTIONS I      COM   60786L107       2,427     449,406  SH     DEFINED  01,08      88,401     361,005           0
MODUSLINK GLOBAL SOLUTIONS I      COM   60786L107         694     128,441  SH     DEFINED     09     128,441           0           0

MOHAWK INDS INC                   COM   608190104       1,012      15,209  SH     DEFINED     01       9,415       5,794           0
MOHAWK INDS INC                   COM   608190104         577       8,680  SH     OTHER       01           0       8,680           0
MOHAWK INDS INC                   COM   608190104      23,288     350,141  SH     DEFINED  01,08      21,576     328,565           0
MOHAWK INDS INC                   COM   608190104       4,617      69,416  SH     DEFINED     09      69,416           0           0

MOLINA HEALTHCARE INC             COM   60855R100       7,794     231,758  SH     DEFINED     01      12,995     218,763           0
MOLINA HEALTHCARE INC             COM   60855R100      16,255     483,350  SH     DEFINED  01,08     248,077     235,273           0
MOLINA HEALTHCARE INC             COM   60855R100       2,699      80,263  SH     DEFINED     09      80,263           0           0

MOLEX INC                         COM   608554101       4,807     170,940  SH     DEFINED     01     100,540      69,884         516
MOLEX INC                         COM   608554101         583      20,724  SH     OTHER       01      13,101       6,013       1,610
MOLEX INC                         COM   608554101      28,357   1,008,427  SH     DEFINED  01,08     244,897     763,530           0
MOLEX INC                         COM   608554101       4,193     149,098  SH     DEFINED     09     149,098           0           0

MOLEX INC                         COM   608554200       2,157      91,992  SH     DEFINED     01      88,537         825       2,630
MOLEX INC                         COM   608554200       1,544      65,822  SH     OTHER       01       6,063      29,484      30,275
MOLEX INC                         COM   608554200         220       9,373  SH     DEFINED  01,08       7,380       1,993           0
MOLEX INC                         COM   608554200          98       4,200  SH     DEFINED     09       4,200           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    208
  ________

MOLSON COORS BREWING CO        CONV DEB 60871RAA8       3,553   3,400,000  PRN    DEFINED     01     400,000   3,000,000           0
MOLSON COORS BREWING CO        CONV DEB 60871RAA8     313,500   3,000,000  PRN    DEFINED  01,08   3,000,000           0           0

MOLSON COORS BREWING CO           COM   60871R209       7,613     168,252  SH     DEFINED     01      81,962      86,044         246
MOLSON COORS BREWING CO           COM   60871R209          63       1,390  SH     OTHER       01         964         366          60
MOLSON COORS BREWING CO           COM   60871R209      48,915   1,080,994  SH     DEFINED  01,08     240,127     840,867           0
MOLSON COORS BREWING CO           COM   60871R209      18,293     404,264  SH     DEFINED     09     404,264           0           0

MOLYCORP INC DEL                  COM   608753109       1,171      34,617  SH     DEFINED     01      27,474       7,143           0
MOLYCORP INC DEL                  COM   608753109         114       3,370  SH     OTHER       01       3,350           0          20
MOLYCORP INC DEL                  COM   608753109       6,657     196,773  SH     DEFINED  01,08      16,332     180,441           0

MOMENTA PHARMACEUTICALS INC       COM   60877T100       1,020      66,603  SH     DEFINED     01      21,244      45,359           0
MOMENTA PHARMACEUTICALS INC       COM   60877T100          19       1,237  SH     OTHER       01         206       1,031           0
MOMENTA PHARMACEUTICALS INC       COM   60877T100       6,881     449,181  SH     DEFINED  01,08      76,659     372,522           0
MOMENTA PHARMACEUTICALS INC       COM   60877T100       2,082     135,912  SH     DEFINED     09     135,912           0           0

MONARCH CASINO & RESORT INC       COM   609027107         171      16,617  SH     DEFINED     01       5,051      11,566           0
MONARCH CASINO & RESORT INC       COM   609027107         963      93,511  SH     DEFINED  01,08      16,513      76,998           0
MONARCH CASINO & RESORT INC       COM   609027107         268      25,982  SH     DEFINED     09      25,982           0           0

MONEYGRAM INTL INC                COM   60935Y208         243      13,519  SH     DEFINED     01       6,155       7,364           0
MONEYGRAM INTL INC                COM   60935Y208       1,818     101,020  SH     DEFINED  01,08      15,357      85,663           0
MONEYGRAM INTL INC                COM   60935Y208         654      36,330  SH     DEFINED     09      36,330           0           0

MONMOUTH REAL ESTATE INVT CO      COM   609720107         542      55,617  SH     DEFINED     01      10,994      44,623           0
MONMOUTH REAL ESTATE INVT CO      COM   609720107       3,790     389,155  SH     DEFINED  01,08      70,933     318,222           0
MONMOUTH REAL ESTATE INVT CO      COM   609720107       1,073     110,194  SH     DEFINED     09     110,194           0           0

MONOLITHIC PWR SYS INC            COM   609839105         950      48,300  SH     DEFINED     01      16,028      32,272           0
MONOLITHIC PWR SYS INC            COM   609839105       5,936     301,801  SH     DEFINED  01,08      51,384     250,417           0
MONOLITHIC PWR SYS INC            COM   609839105       2,000     101,659  SH     DEFINED     09     101,659           0           0

MONOTYPE IMAGING HOLDINGS IN      COM   61022P100         689      46,223  SH     DEFINED     01      17,570      28,653           0
MONOTYPE IMAGING HOLDINGS IN      COM   61022P100       5,053     339,106  SH     DEFINED  01,08      49,307     289,799           0
MONOTYPE IMAGING HOLDINGS IN      COM   61022P100       1,411      94,675  SH     DEFINED     09      94,675           0           0

MONRO MUFFLER BRAKE INC           COM   610236101       6,203     149,513  SH     DEFINED     01     115,862      33,079         572
MONRO MUFFLER BRAKE INC           COM   610236101         170       4,086  SH     OTHER       01       2,459       1,627           0
MONRO MUFFLER BRAKE INC           COM   610236101      12,325     297,068  SH     DEFINED  01,08      49,605     247,463           0
MONRO MUFFLER BRAKE INC           COM   610236101       3,630      87,480  SH     DEFINED     09      87,480           0           0

MONSANTO CO NEW                   COM   61166W101      90,560   1,135,407  SH     DEFINED     01     747,749     374,336      13,322
MONSANTO CO NEW                   COM   61166W101       8,511     106,708  SH     OTHER       01      68,148      29,552       9,008
MONSANTO CO NEW                   COM   61166W101     328,283   4,115,888  SH     DEFINED  01,08   1,068,472   3,047,416           0
MONSANTO CO NEW                   COM   61166W101     104,421   1,309,194  SH     DEFINED     09   1,309,194           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    209
  ________

MONSTER BEVERAGE CORP             COM   611740101       3,660      58,943  SH     DEFINED     01      43,763      15,100          80
MONSTER BEVERAGE CORP             COM   611740101          50         805  SH     OTHER       01         170          45         590
MONSTER BEVERAGE CORP             COM   611740101      57,973     933,685  SH     DEFINED  01,08      62,784     870,901           0
MONSTER BEVERAGE CORP             COM   611740101      13,077     210,610  SH     DEFINED     09     210,610           0           0

MONSTER WORLDWIDE INC             COM   611742107         734      75,309  SH     DEFINED     01      36,002      39,212          95
MONSTER WORLDWIDE INC             COM   611742107       8,004     820,886  SH     DEFINED  01,08      98,266     722,620           0

MOODYS CORP                       COM   615369105      13,227     314,187  SH     DEFINED     01     164,010     143,589       6,588
MOODYS CORP                       COM   615369105       2,658      63,142  SH     OTHER       01      20,844      42,191         107
MOODYS CORP                       COM   615369105      62,140   1,475,999  SH     DEFINED  01,08     360,303   1,115,696           0
MOODYS CORP                       COM   615369105      22,716     539,561  SH     DEFINED     09     539,561           0           0

MOOG INC                          COM   615394202      16,211     377,974  SH     DEFINED     01      95,153     282,311         510
MOOG INC                          COM   615394202         390       9,083  SH     OTHER       01       1,503       7,580           0
MOOG INC                          COM   615394202      29,110     678,713  SH     DEFINED  01,08     310,214     368,499           0
MOOG INC                          COM   615394202       5,656     131,882  SH     DEFINED     09     131,882           0           0

MORGAN STANLEY ASIA PAC FD I      COM   61744U106         529      35,600  SH     OTHER       01           0           0      35,600

MORGAN STANLEY                    COM   617446448      39,179   1,994,850  SH     DEFINED     01     955,409   1,028,404      11,037
MORGAN STANLEY                    COM   617446448       1,517      77,221  SH     OTHER       01      31,949      17,011      28,261
MORGAN STANLEY                    COM   617446448     226,587  11,537,010  SH     DEFINED  01,08   2,969,182   8,567,828           0
MORGAN STANLEY                    COM   617446448      70,937   3,611,883  SH     DEFINED     09   3,611,883           0           0

MORGANS HOTEL GROUP CO            COM   61748W108         178      35,984  SH     DEFINED     01       5,585      30,399           0
MORGANS HOTEL GROUP CO            COM   61748W108       1,166     235,483  SH     DEFINED  01,08      37,759     197,724           0
MORGANS HOTEL GROUP CO            COM   61748W108         301      60,833  SH     DEFINED     09      60,833           0           0

MORNINGSTAR INC                   COM   617700109       6,454     102,368  SH     DEFINED     01      95,690       5,386       1,292
MORNINGSTAR INC                   COM   617700109         218       3,464  SH     OTHER       01       1,279       1,850         335
MORNINGSTAR INC                   COM   617700109       5,411      85,823  SH     DEFINED  01,08       7,342      78,481           0

MOSAIC CO NEW                     COM   61945C103      23,451     424,144  SH     DEFINED     01     261,111     162,158         875
MOSAIC CO NEW                     COM   61945C103       3,394      61,392  SH     OTHER       01      33,723      22,569       5,100
MOSAIC CO NEW                     COM   61945C103     124,217   2,246,642  SH     DEFINED  01,08     599,576   1,647,066           0
MOSAIC CO NEW                     COM   61945C103      40,312     729,110  SH     DEFINED     09     729,110           0           0

MOSYS INC                         COM   619718109         154      38,774  SH     DEFINED     01       6,549      32,225           0
MOSYS INC                         COM   619718109       1,179     296,983  SH     DEFINED  01,08      39,662     257,321           0
MOSYS INC                         COM   619718109         287      72,367  SH     DEFINED     09      72,367           0           0

MOTORCAR PTS AMER INC             COM   620071100          69       7,122  SH     DEFINED     01       2,198       4,924           0
MOTORCAR PTS AMER INC             COM   620071100       1,043     108,429  SH     DEFINED  01,08      10,154      98,275           0
MOTORCAR PTS AMER INC             COM   620071100         283      29,456  SH     DEFINED     09      29,456           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    210
  ________

MOTOROLA SOLUTIONS INC            COM   620076307      25,569     503,028  SH     DEFINED     01     325,717     168,183       9,128
MOTOROLA SOLUTIONS INC            COM   620076307       5,179     101,885  SH     OTHER       01      83,617      13,384       4,884
MOTOROLA SOLUTIONS INC            COM   620076307     112,535   2,213,956  SH     DEFINED  01,08     573,730   1,640,226           0
MOTOROLA SOLUTIONS INC            COM   620076307      36,520     718,478  SH     DEFINED     09     718,478           0           0

MOTOROLA MOBILITY HLDGS INC       COM   620097105      13,018     331,756  SH     DEFINED     01     195,777     134,871       1,108
MOTOROLA MOBILITY HLDGS INC       COM   620097105         931      23,718  SH     OTHER       01      17,601       1,927       4,190
MOTOROLA MOBILITY HLDGS INC       COM   620097105      77,301   1,969,945  SH     DEFINED  01,08     490,756   1,479,189           0
MOTOROLA MOBILITY HLDGS INC       COM   620097105      26,897     685,448  SH     DEFINED     09     685,448           0           0

MOTRICITY INC                     COM   620107102          26      23,829  SH     DEFINED     01       4,156      19,673           0
MOTRICITY INC                     COM   620107102         373     339,478  SH     DEFINED  01,08      31,325     308,153           0
MOTRICITY INC                     COM   620107102         115     104,875  SH     DEFINED     09     104,875           0           0

MOVE INC                          COM   62458M207         567      58,396  SH     DEFINED     01      18,993      39,403           0
MOVE INC                          COM   62458M207       3,770     388,230  SH     DEFINED  01,08      70,957     317,273           0
MOVE INC                          COM   62458M207       1,035     106,624  SH     DEFINED     09     106,624           0           0

MOVADO GROUP INC                  COM   624580106         695      28,303  SH     DEFINED     01       8,767      19,536           0
MOVADO GROUP INC                  COM   624580106       4,340     176,771  SH     DEFINED  01,08      36,549     140,222           0
MOVADO GROUP INC                  COM   624580106       1,061      43,236  SH     DEFINED     09      43,236           0           0

MUELLER INDS INC                  COM   624756102      11,108     244,398  SH     DEFINED     01      19,066     225,332           0
MUELLER INDS INC                  COM   624756102          63       1,380  SH     OTHER       01       1,380           0           0
MUELLER INDS INC                  COM   624756102      25,829     568,292  SH     DEFINED  01,08     257,900     310,392           0
MUELLER INDS INC                  COM   624756102       5,127     112,803  SH     DEFINED     09     112,803           0           0

MUELLER WTR PRODS INC             COM   624758108         623     187,158  SH     DEFINED     01      45,056     142,102           0
MUELLER WTR PRODS INC             COM   624758108       5,009   1,504,156  SH     DEFINED  01,08     232,590   1,271,566           0
MUELLER WTR PRODS INC             COM   624758108       1,563     469,245  SH     DEFINED     09     469,245           0           0

MULTI COLOR CORP                  COM   625383104       2,099      93,262  SH     DEFINED     01       9,272      83,990           0
MULTI COLOR CORP                  COM   625383104       4,366     193,948  SH     DEFINED  01,08      95,383      98,565           0
MULTI COLOR CORP                  COM   625383104         658      29,230  SH     DEFINED     09      29,230           0           0

MULTI FINELINE ELECTRONIX IN      COM   62541B101         475      17,300  SH     DEFINED     01       2,389      14,911           0
MULTI FINELINE ELECTRONIX IN      COM   62541B101       2,735      99,640  SH     DEFINED  01,08      20,560      79,080           0
MULTI FINELINE ELECTRONIX IN      COM   62541B101         713      25,975  SH     DEFINED     09      25,975           0           0

MULTIBAND CORP                    COM   62544X209          70      23,326  SH     DEFINED  01,08           0      23,326           0

MULTIMEDIA GAMES HLDG CO INC      COM   625453105         375      34,255  SH     DEFINED     01      12,126      22,129           0
MULTIMEDIA GAMES HLDG CO INC      COM   625453105       2,834     258,537  SH     DEFINED  01,08      41,861     216,676           0
MULTIMEDIA GAMES HLDG CO INC      COM   625453105       1,066      97,219  SH     DEFINED     09      97,219           0           0

MURPHY OIL CORP                   COM   626717102      33,172     589,516  SH     DEFINED     01     158,269     429,483       1,764
MURPHY OIL CORP                   COM   626717102         692      12,293  SH     OTHER       01       7,758       4,455          80
MURPHY OIL CORP                   COM   626717102      79,436   1,411,701  SH     DEFINED  01,08     324,783   1,086,918           0
MURPHY OIL CORP                   COM   626717102      40,450     718,853  SH     DEFINED     09     718,853           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    211
  ________

MUTUALFIRST FINL INC              COM   62845B104          51       5,233  SH     DEFINED     01           0       5,233           0
MUTUALFIRST FINL INC              COM   62845B104         123      12,651  SH     DEFINED  01,08       5,606       7,045           0

MYERS INDS INC                    COM   628464109       4,780     324,039  SH     DEFINED     01      18,889     305,150           0
MYERS INDS INC                    COM   628464109       8,791     595,988  SH     DEFINED  01,08     339,229     256,759           0
MYERS INDS INC                    COM   628464109       1,268      85,964  SH     DEFINED     09      85,964           0           0

MYLAN INC                         COM   628530107      12,903     550,243  SH     DEFINED     01     288,002     246,908      15,333
MYLAN INC                         COM   628530107         955      40,740  SH     OTHER       01      31,977       8,543         220
MYLAN INC                         COM   628530107      75,895   3,236,472  SH     DEFINED  01,08     781,987   2,454,485           0
MYLAN INC                         COM   628530107      24,595   1,048,829  SH     DEFINED     09   1,048,829           0           0

MYRIAD GENETICS INC               COM   62855J104         730      30,834  SH     DEFINED     01      17,566      13,268           0
MYRIAD GENETICS INC               COM   62855J104       6,968     294,507  SH     DEFINED  01,08      28,970     265,537           0

MYREXIS INC                       COM   62856H107          31      10,258  SH     DEFINED     01         273       9,985           0
MYREXIS INC                       COM   62856H107         143      47,109  SH     DEFINED  01,08       6,455      40,654           0

NBT BANCORP INC                   COM   628778102       4,685     212,187  SH     DEFINED     01      15,606     196,581           0
NBT BANCORP INC                   COM   628778102      11,437     517,980  SH     DEFINED  01,08     227,333     290,647           0
NBT BANCORP INC                   COM   628778102       2,228     100,894  SH     DEFINED     09     100,894           0           0

NCI BUILDING SYS INC              COM   628852204         254      22,038  SH     DEFINED     01       9,345      12,693           0
NCI BUILDING SYS INC              COM   628852204       2,154     187,128  SH     DEFINED  01,08      26,244     160,884           0
NCI BUILDING SYS INC              COM   628852204         741      64,422  SH     DEFINED     09      64,422           0           0

NCR CORP NEW                      COM   62886E108       2,286     105,306  SH     DEFINED     01      74,720      30,186         400
NCR CORP NEW                      COM   62886E108          76       3,489  SH     OTHER       01       2,389       1,100           0
NCR CORP NEW                      COM   62886E108      21,092     971,545  SH     DEFINED  01,08      51,486     920,059           0
NCR CORP NEW                      COM   62886E108         152       7,005  SH     DEFINED     09       7,005           0           0

NCI INC                           COM   62886K104          53       8,356  SH     DEFINED     01       1,985       6,371           0
NCI INC                           COM   62886K104         417      65,214  SH     DEFINED  01,08      11,652      53,562           0
NCI INC                           COM   62886K104         140      21,868  SH     DEFINED     09      21,868           0           0

NASB FINL INC                     COM   628968109         175      11,339  SH     DEFINED     01           0      11,339           0
NASB FINL INC                     COM   628968109         255      16,510  SH     DEFINED  01,08      10,162       6,348           0

NGP CAP RES CO                    COM   62912R107         138      21,062  SH     DEFINED     01       5,896      15,166           0
NGP CAP RES CO                    COM   62912R107       1,130     172,472  SH     DEFINED  01,08      30,615     141,857           0
NGP CAP RES CO                    COM   62912R107         400      61,133  SH     DEFINED     09      61,133           0           0

NII HLDGS INC                     COM   62913F201       3,974     217,017  SH     DEFINED     01     192,525      21,146       3,346
NII HLDGS INC                     COM   62913F201         256      13,971  SH     OTHER       01       5,321       6,875       1,775
NII HLDGS INC                     COM   62913F201      14,999     819,174  SH     DEFINED  01,08     299,593     519,581           0
NII HLDGS INC                     COM   62913F201       4,528     247,301  SH     DEFINED     09     247,301           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    212
  ________

NIC INC                           COM   62914B100       1,133      93,258  SH     DEFINED     01      30,649      62,190         419
NIC INC                           COM   62914B100         110       9,033  SH     OTHER       01       9,033           0           0
NIC INC                           COM   62914B100       7,501     617,613  SH     DEFINED  01,08      96,253     521,360           0
NIC INC                           COM   62914B100       2,449     201,670  SH     DEFINED     09     201,670           0           0

NL INDS INC                       COM   629156407         381      25,577  SH     DEFINED     01       1,553      24,024           0
NL INDS INC                       COM   629156407       1,292      86,678  SH     DEFINED  01,08      29,379      57,299           0
NL INDS INC                       COM   629156407         335      22,501  SH     DEFINED     09      22,501           0           0

NN INC                            COM   629337106         240      29,392  SH     DEFINED     01      12,234      17,158           0
NN INC                            COM   629337106       1,360     166,703  SH     DEFINED  01,08      30,536     136,167           0
NN INC                            COM   629337106         357      43,771  SH     DEFINED     09      43,771           0           0

NPS PHARMACEUTICALS INC           COM   62936P103         636      92,915  SH     DEFINED     01      24,110      68,805           0
NPS PHARMACEUTICALS INC           COM   62936P103       5,569     814,210  SH     DEFINED  01,08     115,526     698,684           0
NPS PHARMACEUTICALS INC           COM   62936P103       1,720     251,529  SH     DEFINED     09     251,529           0           0

NRG ENERGY INC                    COM   629377508       3,569     227,764  SH     DEFINED     01      92,913     134,131         720
NRG ENERGY INC                    COM   629377508         238      15,193  SH     OTHER       01       1,570      13,513         110
NRG ENERGY INC                    COM   629377508      27,272   1,740,418  SH     DEFINED  01,08     430,225   1,310,193           0
NRG ENERGY INC                    COM   629377508       9,143     583,481  SH     DEFINED     09     583,481           0           0

NTN BUZZTIME INC                  COM   629410309           3      10,657  SH     DEFINED     01         500      10,157           0
NTN BUZZTIME INC                  COM   629410309           9      35,165  SH     DEFINED  01,08      11,399      23,766           0

NTT DOCOMO INC                    COM   62942M201       6,801     408,004  SH     DEFINED     01     401,592       4,837       1,575
NTT DOCOMO INC                    COM   62942M201         524      31,426  SH     OTHER       01      22,738       5,293       3,395
NTT DOCOMO INC                    COM   62942M201       1,780     106,773  SH     DEFINED  01,08     106,773           0           0

NVR INC                           COM   62944T105       1,039       1,430  SH     DEFINED     01         961         469           0
NVR INC                           COM   62944T105      22,967      31,620  SH     DEFINED  01,08       2,277      29,343           0
NVR INC                           COM   62944T105         575         792  SH     DEFINED     09         792           0           0

NVE CORP                          COM   629445206         466       8,785  SH     DEFINED     01       1,658       7,127           0
NVE CORP                          COM   629445206       2,647      49,948  SH     DEFINED  01,08      10,741      39,207           0
NVE CORP                          COM   629445206         722      13,626  SH     DEFINED     09      13,626           0           0

NYSE EURONEXT                     COM   629491101       9,596     319,769  SH     DEFINED     01     178,793     139,733       1,243
NYSE EURONEXT                     COM   629491101         428      14,260  SH     OTHER       01      13,890          80         290
NYSE EURONEXT                     COM   629491101      59,312   1,976,421  SH     DEFINED  01,08     513,884   1,462,537           0
NYSE EURONEXT                     COM   629491101      18,556     618,335  SH     DEFINED     09     618,335           0           0

NABI BIOPHARMACEUTICALS           COM   629519109         109      58,728  SH     DEFINED     01      10,478      48,250           0
NABI BIOPHARMACEUTICALS           COM   629519109         784     421,761  SH     DEFINED  01,08      69,132     352,629           0
NABI BIOPHARMACEUTICALS           COM   629519109         265     142,291  SH     DEFINED     09     142,291           0           0

NACCO INDS INC                    COM   629579103       5,171      44,433  SH     DEFINED     01       4,911      39,522           0
NACCO INDS INC                    COM   629579103      11,035      94,830  SH     DEFINED  01,08      46,761      48,069           0
NACCO INDS INC                    COM   629579103       1,886      16,203  SH     DEFINED     09      16,203           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    213
  ________

NANOMETRICS INC                   COM   630077105         957      51,710  SH     DEFINED     01       9,324      42,386           0
NANOMETRICS INC                   COM   630077105       4,030     217,737  SH     DEFINED  01,08      53,215     164,522           0
NANOMETRICS INC                   COM   630077105         922      49,796  SH     DEFINED     09      49,796           0           0

NANOPHASE TCHNOLOGIES CORP        COM   630079101           3       6,600  SH     DEFINED     01           0       6,600           0
NANOPHASE TCHNOLOGIES CORP        COM   630079101          10      24,342  SH     DEFINED  01,08       4,420      19,922           0

NANOSPHERE INC                    COM   63009F105          14       7,085  SH     DEFINED     01       2,030       5,055           0
NANOSPHERE INC                    COM   63009F105         104      52,777  SH     DEFINED  01,08       6,869      45,908           0

NAPCO SEC TECHNOLOGIES INC        COM   630402105          44      14,053  SH     DEFINED     01           0      14,053           0
NAPCO SEC TECHNOLOGIES INC        COM   630402105          69      21,969  SH     DEFINED  01,08      10,942      11,027           0

NASDAQ OMX GROUP INC              COM   631103108       3,852     148,731  SH     DEFINED     01      84,436      64,182         113
NASDAQ OMX GROUP INC              COM   631103108          57       2,205  SH     OTHER       01       2,056          35         114
NASDAQ OMX GROUP INC              COM   631103108      24,073     929,465  SH     DEFINED  01,08     214,257     715,208           0
NASDAQ OMX GROUP INC              COM   631103108       7,807     301,428  SH     DEFINED     09     301,428           0           0

NASH FINCH CO                     COM   631158102       2,814      99,016  SH     DEFINED     01      11,249      87,607         160
NASH FINCH CO                     COM   631158102           5         175  SH     OTHER       01         175           0           0
NASH FINCH CO                     COM   631158102       5,637     198,347  SH     DEFINED  01,08      97,389     100,958           0
NASH FINCH CO                     COM   631158102       1,082      38,086  SH     DEFINED     09      38,086           0           0

NATIONAL AMERN UNIV HLDGS IN      COM   63245Q105          29       4,669  SH     DEFINED     01         849       3,820           0
NATIONAL AMERN UNIV HLDGS IN      COM   63245Q105         503      79,803  SH     DEFINED  01,08       6,991      72,812           0
NATIONAL AMERN UNIV HLDGS IN      COM   63245Q105         122      19,369  SH     DEFINED     09      19,369           0           0

NATIONAL BK GREECE S A            COM   633643606         187      69,913  SH     DEFINED     01      67,546         221       2,146
NATIONAL BK GREECE S A            COM   633643606           5       1,993  SH     OTHER       01       1,993           0           0
NATIONAL BK GREECE S A            COM   633643606         334     124,986  SH     DEFINED  01,08     104,930      20,056           0

NATIONAL BANKSHARES INC VA        COM   634865109         694      23,042  SH     DEFINED     01       1,599      21,443           0
NATIONAL BANKSHARES INC VA        COM   634865109       2,452      81,474  SH     DEFINED  01,08      25,767      55,707           0
NATIONAL BANKSHARES INC VA        COM   634865109         725      24,089  SH     DEFINED     09      24,089           0           0

NATIONAL BEVERAGE CORP            COM   635017106         601      37,487  SH     DEFINED     01       3,339      34,148           0
NATIONAL BEVERAGE CORP            COM   635017106       2,100     130,931  SH     DEFINED  01,08      38,292      92,639           0
NATIONAL BEVERAGE CORP            COM   635017106         508      31,654  SH     DEFINED     09      31,654           0           0

NATIONAL CINEMEDIA INC            COM   635309107       1,089      71,191  SH     DEFINED     01      25,277      45,914           0
NATIONAL CINEMEDIA INC            COM   635309107      10,071     658,258  SH     DEFINED  01,08     206,500     451,758           0
NATIONAL CINEMEDIA INC            COM   635309107       2,819     184,237  SH     DEFINED     09     184,237           0           0

NATIONAL HEALTHCARE CORP          COM   635906100         525      11,517  SH     DEFINED     01       2,883       8,634           0
NATIONAL HEALTHCARE CORP          COM   635906100       4,630     101,617  SH     DEFINED  01,08      16,225      85,392           0
NATIONAL HEALTHCARE CORP          COM   635906100       1,352      29,671  SH     DEFINED     09      29,671           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    214
  ________

NATIONAL FINL PARTNERS CORP       COM   63607P208       2,683     177,187  SH     DEFINED     01      22,486     154,701           0
NATIONAL FINL PARTNERS CORP       COM   63607P208       8,185     540,590  SH     DEFINED  01,08     206,951     333,639           0
NATIONAL FINL PARTNERS CORP       COM   63607P208       1,695     111,939  SH     DEFINED     09     111,939           0           0

NATIONAL FUEL GAS CO N J          COM   636180101       1,484      30,843  SH     DEFINED     01      21,307       9,376         160
NATIONAL FUEL GAS CO N J          COM   636180101      24,699     513,277  SH     DEFINED  01,08      37,117     476,160           0

NATIONAL GRID PLC                 COM   636274300       7,018     139,024  SH     DEFINED     01     130,858       8,166           0
NATIONAL GRID PLC                 COM   636274300         500       9,912  SH     OTHER       01       6,551       2,013       1,348
NATIONAL GRID PLC                 COM   636274300       1,761      34,894  SH     DEFINED  01,08      34,894           0           0

NATIONAL HEALTH INVS INC          COM   63633D104       7,674     157,310  SH     DEFINED     01       7,257     150,053           0
NATIONAL HEALTH INVS INC          COM   63633D104      20,093     411,917  SH     DEFINED  01,08     205,731     206,186           0
NATIONAL HEALTH INVS INC          COM   63633D104       4,310      88,366  SH     DEFINED     09      88,366           0           0

NATIONAL INSTRS CORP              COM   636518102       6,652     233,243  SH     DEFINED     01     190,799      36,409       6,035
NATIONAL INSTRS CORP              COM   636518102         925      32,431  SH     OTHER       01      10,785      14,221       7,425
NATIONAL INSTRS CORP              COM   636518102      16,719     586,228  SH     DEFINED  01,08      40,388     545,840           0

NATIONAL INTERSTATE CORP          COM   63654U100         318      12,451  SH     DEFINED     01       1,795      10,656           0
NATIONAL INTERSTATE CORP          COM   63654U100       1,784      69,740  SH     DEFINED  01,08      15,705      54,035           0
NATIONAL INTERSTATE CORP          COM   63654U100         496      19,384  SH     DEFINED     09      19,384           0           0

NATIONAL OILWELL VARCO INC        COM   637071101     244,104   3,071,644  SH     DEFINED     01   2,608,448     377,217      85,979
NATIONAL OILWELL VARCO INC        COM   637071101      43,223     543,891  SH     OTHER       01     446,298      53,549      44,044
NATIONAL OILWELL VARCO INC        COM   637071101     254,997   3,208,725  SH     DEFINED  01,08     815,250   2,393,475           0
NATIONAL OILWELL VARCO INC        COM   637071101      82,582   1,039,154  SH     DEFINED     09   1,039,154           0           0

NATIONAL PENN BANCSHARES INC      COM   637138108       1,521     171,884  SH     DEFINED     01      56,852     115,032           0
NATIONAL PENN BANCSHARES INC      COM   637138108      10,930   1,235,067  SH     DEFINED  01,08     218,806   1,016,261           0
NATIONAL PENN BANCSHARES INC      COM   637138108       3,355     379,119  SH     DEFINED     09     379,119           0           0

NATIONAL PRESTO INDS INC          COM   637215104         841      11,092  SH     DEFINED     01       3,994       7,098           0
NATIONAL PRESTO INDS INC          COM   637215104          13         175  SH     OTHER       01           0         175           0
NATIONAL PRESTO INDS INC          COM   637215104       3,726      49,121  SH     DEFINED  01,08       9,313      39,808           0
NATIONAL PRESTO INDS INC          COM   637215104       1,284      16,932  SH     DEFINED     09      16,932           0           0

NATIONAL RESEARCH CORP            COM   637372103         326       7,600  SH     DEFINED     01         338       7,262           0
NATIONAL RESEARCH CORP            COM   637372103       1,018      23,696  SH     DEFINED  01,08       7,244      16,452           0
NATIONAL RESEARCH CORP            COM   637372103          79       1,847  SH     DEFINED     09       1,847           0           0

NATIONAL RETAIL PPTYS INC         COM   637417106      29,427   1,082,262  SH     DEFINED     01     508,727     556,770      16,765
NATIONAL RETAIL PPTYS INC         COM   637417106       1,348      49,580  SH     OTHER       01      47,390       2,190           0
NATIONAL RETAIL PPTYS INC         COM   637417106      51,720   1,902,178  SH     DEFINED  01,08     770,468   1,131,710           0
NATIONAL RETAIL PPTYS INC         COM   637417106       9,452     347,613  SH     DEFINED     09     347,613           0           0

NATIONAL TECHNICAL SYS INC        COM   638104109          75      13,085  SH     DEFINED     01           0      13,085           0
NATIONAL TECHNICAL SYS INC        COM   638104109         133      23,085  SH     DEFINED  01,08      12,779      10,306           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    215
  ________

NATIONAL WESTN LIFE INS CO        COM   638522102         885       6,466  SH     DEFINED     01         544       5,922           0
NATIONAL WESTN LIFE INS CO        COM   638522102       3,495      25,533  SH     DEFINED  01,08       7,426      18,107           0
NATIONAL WESTN LIFE INS CO        COM   638522102         926       6,765  SH     DEFINED     09       6,765           0           0

NATIONSTAR MTG HLDGS INC          COM   63861C109          36       2,500  SH     DEFINED     01       2,500           0           0
NATIONSTAR MTG HLDGS INC          COM   63861C109         187      13,000  SH     OTHER       01           0      13,000           0
NATIONSTAR MTG HLDGS INC          COM   63861C109         321      22,340  SH     DEFINED  01,08           0      22,340           0

NATURAL ALTERNATIVES INTL IN      COM   638842302          43       6,855  SH     DEFINED     01           0       6,855           0
NATURAL ALTERNATIVES INTL IN      COM   638842302          73      11,629  SH     DEFINED  01,08       6,343       5,286           0

NATURAL GAS SERVICES GROUP        COM   63886Q109       1,828     138,512  SH     DEFINED     01       3,585     134,927           0
NATURAL GAS SERVICES GROUP        COM   63886Q109       3,220     243,954  SH     DEFINED  01,08     143,164     100,790           0
NATURAL GAS SERVICES GROUP        COM   63886Q109         467      35,373  SH     DEFINED     09      35,373           0           0

NAVIGATORS GROUP INC              COM   638904102       6,142     130,019  SH     DEFINED     01       5,634     124,385           0
NAVIGATORS GROUP INC              COM   638904102         141       2,990  SH     OTHER       01       2,400         590           0
NAVIGATORS GROUP INC              COM   638904102      10,941     231,608  SH     DEFINED  01,08     134,169      97,439           0
NAVIGATORS GROUP INC              COM   638904102       1,563      33,079  SH     DEFINED     09      33,079           0           0

NATURAL RESOURCE PARTNERS L       COM   63900P103         119       4,962  SH     DEFINED     01       4,962           0           0
NATURAL RESOURCE PARTNERS L       COM   63900P103         179       7,445  SH     OTHER       01       1,400       6,045           0
NATURAL RESOURCE PARTNERS L       COM   63900P103         722      30,084  SH     DEFINED  01,08      30,084           0           0

NATURES SUNSHINE PRODUCTS IN      COM   639027101         358      22,372  SH     DEFINED     01       1,079      21,293           0
NATURES SUNSHINE PRODUCTS IN      COM   639027101       1,835     114,540  SH     DEFINED  01,08      26,308      88,232           0
NATURES SUNSHINE PRODUCTS IN      COM   639027101         528      32,957  SH     DEFINED     09      32,957           0           0

NATUS MEDICAL INC DEL             COM   639050103         569      47,694  SH     DEFINED     01      14,579      33,115           0
NATUS MEDICAL INC DEL             COM   639050103       3,551     297,617  SH     DEFINED  01,08      58,663     238,954           0
NATUS MEDICAL INC DEL             COM   639050103         993      83,251  SH     DEFINED     09      83,251           0           0

NAUTILUS INC                      COM   63910B102          44      15,781  SH     DEFINED     01           0      15,781           0
NAUTILUS INC                      COM   63910B102         136      48,635  SH     DEFINED  01,08       9,900      38,735           0

NAVARRE CORP                      COM   639208107          22      12,399  SH     DEFINED     01           0      12,399           0
NAVARRE CORP                      COM   639208107          72      40,333  SH     DEFINED  01,08       9,331      31,002           0

NAVISTAR INTL CORP NEW            COM   63934E108       1,058      26,167  SH     DEFINED     01      18,375       7,792           0
NAVISTAR INTL CORP NEW            COM   63934E108       9,249     228,650  SH     DEFINED  01,08      16,466     212,184           0

NAVIGANT CONSULTING INC           COM   63935N107       1,307      93,960  SH     DEFINED     01      43,629      50,331           0
NAVIGANT CONSULTING INC           COM   63935N107       7,114     511,411  SH     DEFINED  01,08      91,037     420,374           0
NAVIGANT CONSULTING INC           COM   63935N107       2,035     146,288  SH     DEFINED     09     146,288           0           0

NAVIDEA BIOPHARMACEUTICALS I      COM   63937X103         326      99,424  SH     DEFINED     01      43,624      55,800           0
NAVIDEA BIOPHARMACEUTICALS I      COM   63937X103       2,792     851,154  SH     DEFINED  01,08     113,117     738,037           0
NAVIDEA BIOPHARMACEUTICALS I      COM   63937X103         814     248,138  SH     DEFINED     09     248,138           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    216
  ________

NEENAH PAPER INC                  COM   640079109       1,068      35,902  SH     DEFINED     01       7,957      27,945           0
NEENAH PAPER INC                  COM   640079109           2          69  SH     OTHER       01          69           0           0
NEENAH PAPER INC                  COM   640079109       4,946     166,293  SH     DEFINED  01,08      43,366     122,927           0
NEENAH PAPER INC                  COM   640079109       1,447      48,664  SH     DEFINED     09      48,664           0           0

NEKTAR THERAPEUTICS               COM   640268108         996     125,795  SH     DEFINED     01      34,512      91,283           0
NEKTAR THERAPEUTICS               COM   640268108       8,566   1,081,520  SH     DEFINED  01,08     153,759     927,761           0
NEKTAR THERAPEUTICS               COM   640268108       2,577     325,368  SH     DEFINED     09     325,368           0           0

NELNET INC                        COM   64031N108       5,377     207,525  SH     DEFINED     01       6,298     201,227           0
NELNET INC                        COM   64031N108      11,245     434,012  SH     DEFINED  01,08     213,531     220,481           0
NELNET INC                        COM   64031N108       2,025      78,170  SH     DEFINED     09      78,170           0           0

NEOGEN CORP                       COM   640491106       3,916     100,219  SH     DEFINED     01      65,140      32,589       2,490
NEOGEN CORP                       COM   640491106         343       8,781  SH     OTHER       01       3,457       4,487         837
NEOGEN CORP                       COM   640491106       8,922     228,353  SH     DEFINED  01,08      38,295     190,058           0
NEOGEN CORP                       COM   640491106       2,619      67,021  SH     DEFINED     09      67,021           0           0

NEOPHOTONICS CORP                 COM   64051T100          21       4,407  SH     DEFINED     01         764       3,643           0
NEOPHOTONICS CORP                 COM   64051T100         409      86,387  SH     DEFINED  01,08       7,026      79,361           0
NEOPHOTONICS CORP                 COM   64051T100         195      41,202  SH     DEFINED     09      41,202           0           0

NEOSTEM INC                       COM   640650305           9      23,445  SH     DEFINED     01       3,572      19,873           0
NEOSTEM INC                       COM   640650305         117     308,257  SH     DEFINED  01,08      34,860     273,397           0
NEOSTEM INC                       COM   640650305          30      80,164  SH     DEFINED     09      80,164           0           0

NET 1 UEPS TECHNOLOGIES INC       COM   64107N206         184      20,360  SH     DEFINED     01       1,200      19,160           0
NET 1 UEPS TECHNOLOGIES INC       COM   64107N206         268      29,612  SH     DEFINED  01,08      25,196       4,416           0

NETAPP INC                        COM   64110D104      26,394     589,536  SH     DEFINED     01     363,612     223,025       2,899
NETAPP INC                        COM   64110D104         844      18,847  SH     OTHER       01      14,153       4,569         125
NETAPP INC                        COM   64110D104     124,777   2,787,068  SH     DEFINED  01,08     707,872   2,079,196           0
NETAPP INC                        COM   64110D104      39,711     886,997  SH     DEFINED     09     886,997           0           0

NETFLIX INC                       COM   64110L106       7,199      62,581  SH     DEFINED     01      33,981      28,496         104
NETFLIX INC                       COM   64110L106         185       1,612  SH     OTHER       01       1,488          96          28
NETFLIX INC                       COM   64110L106      47,480     412,724  SH     DEFINED  01,08      97,959     314,765           0
NETFLIX INC                       COM   64110L106      15,344     133,384  SH     DEFINED     09     133,384           0           0

NETGEAR INC                       COM   64111Q104       4,948     129,519  SH     DEFINED     01      19,037     110,482           0
NETGEAR INC                       COM   64111Q104          16         425  SH     OTHER       01           0         425           0
NETGEAR INC                       COM   64111Q104      16,723     437,775  SH     DEFINED  01,08     135,663     302,112           0
NETGEAR INC                       COM   64111Q104       4,065     106,412  SH     DEFINED     09     106,412           0           0

NETSOL TECHNOLOGIES INC           COM   64115A204           0         420  SH     DEFINED     01           0         420           0
NETSOL TECHNOLOGIES INC           COM   64115A204          24      66,046  SH     DEFINED  01,08           0      66,046           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    217
  ________

NETSCOUT SYS INC                  COM   64115T104       1,211      59,560  SH     DEFINED     01      19,553      40,007           0
NETSCOUT SYS INC                  COM   64115T104          61       3,000  SH     OTHER       01           0       3,000           0
NETSCOUT SYS INC                  COM   64115T104       7,442     365,894  SH     DEFINED  01,08      64,859     301,035           0
NETSCOUT SYS INC                  COM   64115T104       2,247     110,496  SH     DEFINED     09     110,496           0           0

NETLIST INC                       COM   64118P109          15       4,113  SH     DEFINED     01           0       4,113           0
NETLIST INC                       COM   64118P109         112      31,580  SH     DEFINED  01,08       3,069      28,511           0

NETSUITE INC                      COM   64118Q107       1,150      22,871  SH     DEFINED     01       5,657      17,214           0
NETSUITE INC                      COM   64118Q107      12,994     258,381  SH     DEFINED  01,08      33,402     224,979           0
NETSUITE INC                      COM   64118Q107       4,203      83,574  SH     DEFINED     09      83,574           0           0

NETSPEND HLDGS INC                COM   64118V106         152      19,600  SH     DEFINED     01       7,482      12,118           0
NETSPEND HLDGS INC                COM   64118V106       2,008     258,827  SH     DEFINED  01,08      27,191     231,636           0
NETSPEND HLDGS INC                COM   64118V106         676      87,157  SH     DEFINED     09      87,157           0           0

NETWORK EQUIP TECHNOLOGIES        COM   641208103          17      15,860  SH     DEFINED     01         120      15,740           0
NETWORK EQUIP TECHNOLOGIES        COM   641208103          74      69,077  SH     DEFINED  01,08      15,247      53,830           0

NETWORK ENGINES INC               COM   64121A107          23      16,224  SH     DEFINED     01           0      16,224           0
NETWORK ENGINES INC               COM   64121A107         106      73,924  SH     DEFINED  01,08       9,453      64,471           0

NEUROCRINE BIOSCIENCES INC        COM   64125C109         772      96,916  SH     DEFINED     01      15,787      81,129           0
NEUROCRINE BIOSCIENCES INC        COM   64125C109       4,756     596,744  SH     DEFINED  01,08     114,809     481,935           0
NEUROCRINE BIOSCIENCES INC        COM   64125C109       1,231     154,425  SH     DEFINED     09     154,425           0           0

NEUSTAR INC                       COM   64126X201       2,325      62,413  SH     DEFINED     01      34,182      28,231           0
NEUSTAR INC                       COM   64126X201         156       4,200  SH     OTHER       01         190       3,955          55
NEUSTAR INC                       COM   64126X201      16,820     451,538  SH     DEFINED  01,08      47,246     404,292           0

NEURALSTEM INC                    COM   64127R302          73      65,611  SH     DEFINED  01,08           0      65,611           0

NEUTRAL TANDEM INC                COM   64128B108         536      43,949  SH     DEFINED     01      16,613      27,336           0
NEUTRAL TANDEM INC                COM   64128B108       3,807     312,269  SH     DEFINED  01,08      47,308     264,961           0
NEUTRAL TANDEM INC                COM   64128B108       1,147      94,130  SH     DEFINED     09      94,130           0           0

NEW FRONTIER MEDIA INC            COM   644398109          16      10,140  SH     DEFINED     01           0      10,140           0
NEW FRONTIER MEDIA INC            COM   644398109          45      29,282  SH     DEFINED  01,08       1,910      27,372           0

NEW GERMANY FD INC                COM   644465106          51       3,375  SH     DEFINED     01       3,375           0           0
NEW GERMANY FD INC                COM   644465106         133       8,800  SH     OTHER       01           0           0       8,800

NEW GOLD INC CDA                  COM   644535106       4,958     501,791  SH     DEFINED     01     496,311       1,685       3,795
NEW GOLD INC CDA                  COM   644535106         507      51,291  SH     OTHER       01      42,976       6,705       1,610

NEW JERSEY RES                    COM   646025106       2,846      63,851  SH     DEFINED     01      22,071      41,780           0
NEW JERSEY RES                    COM   646025106      18,140     406,991  SH     DEFINED  01,08      73,496     333,495           0
NEW JERSEY RES                    COM   646025106       5,465     122,624  SH     DEFINED     09     122,624           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    218
  ________

NEW MTN FIN CORP                  COM   647551100          69       5,058  SH     DEFINED     01       2,059       2,999           0
NEW MTN FIN CORP                  COM   647551100         803      58,473  SH     DEFINED  01,08      10,006      48,467           0
NEW MTN FIN CORP                  COM   647551100         376      27,337  SH     DEFINED     09      27,337           0           0

NEW YORK & CO INC                 COM   649295102         137      36,711  SH     DEFINED     01       9,777      26,934           0
NEW YORK & CO INC                 COM   649295102         950     254,821  SH     DEFINED  01,08      39,352     215,469           0
NEW YORK & CO INC                 COM   649295102         198      53,163  SH     DEFINED     09      53,163           0           0

NEW YORK CMNTY BANCORP INC        COM   649445103      18,916   1,359,893  SH     DEFINED     01     656,104     686,494      17,295
NEW YORK CMNTY BANCORP INC        COM   649445103       2,106     151,400  SH     OTHER       01      20,270      97,190      33,940
NEW YORK CMNTY BANCORP INC        COM   649445103      59,157   4,252,857  SH     DEFINED  01,08   1,664,568   2,539,325      48,964
NEW YORK CMNTY BANCORP INC        COM   649445103       9,868     709,412  SH     DEFINED     09     709,412           0           0

NEW YORK MTG TR INC               COM   649604501         220      33,657  SH     DEFINED  01,08       5,392      28,265           0

NEW YORK TIMES CO                 COM   650111107         882     129,910  SH     DEFINED     01      37,732      92,178           0
NEW YORK TIMES CO                 COM   650111107          10       1,450  SH     OTHER       01       1,150         300           0
NEW YORK TIMES CO                 COM   650111107      10,852   1,598,244  SH     DEFINED  01,08     170,283   1,427,961           0
NEW YORK TIMES CO                 COM   650111107       2,840     418,286  SH     DEFINED     09     418,286           0           0

NEWBRIDGE BANCORP                 COM   65080T102          32       6,612  SH     DEFINED     01           0       6,612           0
NEWBRIDGE BANCORP                 COM   65080T102         140      29,328  SH     DEFINED  01,08       6,148      23,180           0

NEWCASTLE INVT CORP               COM   65105M108         666     106,011  SH     DEFINED     01      29,549      76,462           0
NEWCASTLE INVT CORP               COM   65105M108       5,548     883,376  SH     DEFINED  01,08     155,449     727,927           0
NEWCASTLE INVT CORP               COM   65105M108       2,273     361,928  SH     DEFINED     09     361,928           0           0

NEWELL RUBBERMAID INC             COM   651229106      15,205     853,715  SH     DEFINED     01     529,534     315,245       8,936
NEWELL RUBBERMAID INC             COM   651229106       2,292     128,707  SH     OTHER       01      18,842     109,660         205
NEWELL RUBBERMAID INC             COM   651229106      49,900   2,801,789  SH     DEFINED  01,08   1,156,980   1,610,443      34,366
NEWELL RUBBERMAID INC             COM   651229106      12,276     689,256  SH     DEFINED     09     689,256           0           0

NEWFIELD EXPL CO                  COM   651290108       8,165     235,451  SH     DEFINED     01     161,548      70,908       2,995
NEWFIELD EXPL CO                  COM   651290108         461      13,304  SH     OTHER       01       3,760       4,092       5,452
NEWFIELD EXPL CO                  COM   651290108      34,073     982,498  SH     DEFINED  01,08     228,954     753,544           0
NEWFIELD EXPL CO                  COM   651290108      11,159     321,763  SH     DEFINED     09     321,763           0           0

NEWLINK GENETICS CORP             COM   651511107          39       4,245  SH     DEFINED     01         856       3,389           0
NEWLINK GENETICS CORP             COM   651511107         391      42,741  SH     DEFINED  01,08       5,451      37,290           0
NEWLINK GENETICS CORP             COM   651511107         185      20,216  SH     DEFINED     09      20,216           0           0

NEWMARKET CORP                    COM   651587107       3,208      17,117  SH     DEFINED     01       3,611      13,506           0
NEWMARKET CORP                    COM   651587107      23,139     123,476  SH     DEFINED  01,08      19,697     103,779           0
NEWMARKET CORP                    COM   651587107       4,958      26,457  SH     DEFINED     09      26,457           0           0

NEWMONT MINING CORP            CONV DEB 651639AJ5       7,693   5,850,000  PRN    DEFINED     01     850,000   5,000,000           0
NEWMONT MINING CORP            CONV DEB 651639AJ5       6,575   5,000,000  PRN    DEFINED  01,08   5,000,000           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    219
  ________

NEWMONT MINING CORP               COM   651639106      34,883     680,384  SH     DEFINED     01     375,124     289,367      15,893
NEWMONT MINING CORP               COM   651639106       2,073      40,427  SH     OTHER       01      15,521      23,591       1,315
NEWMONT MINING CORP               COM   651639106     196,106   3,824,958  SH     DEFINED  01,08   1,006,061   2,781,197      37,700
NEWMONT MINING CORP               COM   651639106      61,833   1,206,030  SH     DEFINED     09   1,206,030           0           0

NEWPARK RES INC                   COM   651718504       5,716     697,940  SH     DEFINED     01      28,552     669,388           0
NEWPARK RES INC                   COM   651718504          44       5,400  SH     OTHER       01           0           0       5,400
NEWPARK RES INC                   COM   651718504      11,874   1,449,838  SH     DEFINED  01,08     710,090     739,748           0
NEWPARK RES INC                   COM   651718504       2,073     253,125  SH     DEFINED     09     253,125           0           0

NEWPORT CORP                      COM   651824104       2,359     133,145  SH     DEFINED     01      18,636     114,509           0
NEWPORT CORP                      COM   651824104          89       5,050  SH     OTHER       01       5,050           0           0
NEWPORT CORP                      COM   651824104       8,138     459,280  SH     DEFINED  01,08     153,140     306,140           0
NEWPORT CORP                      COM   651824104       1,913     107,944  SH     DEFINED     09     107,944           0           0

NEWS CORP                         COM   65248E104      47,614   2,415,753  SH     DEFINED     01   1,259,053   1,146,961       9,739
NEWS CORP                         COM   65248E104       1,226      62,194  SH     OTHER       01      29,348      29,687       3,159
NEWS CORP                         COM   65248E104     319,561  16,213,156  SH     DEFINED  01,08   4,029,585  12,183,571           0
NEWS CORP                         COM   65248E104      92,718   4,704,118  SH     DEFINED     09   4,704,118           0           0

NEWS CORP                         COM   65248E203         331      16,550  SH     DEFINED     01      16,550           0           0
NEWS CORP                         COM   65248E203       1,088      54,500  SH     DEFINED  01,08      43,122      11,378           0
NEWS CORP                         COM   65248E203      12,966     649,265  SH     DEFINED     09     649,265           0           0

NEWSTAR FINANCIAL INC             COM   65251F105       1,082      97,274  SH     DEFINED     01       7,586      89,688           0
NEWSTAR FINANCIAL INC             COM   65251F105       3,662     329,347  SH     DEFINED  01,08     107,872     221,475           0
NEWSTAR FINANCIAL INC             COM   65251F105         917      82,495  SH     DEFINED     09      82,495           0           0

NEWTEK BUSINESS SVCS INC          COM   652526104          23      15,247  SH     DEFINED     01           0      15,247           0
NEWTEK BUSINESS SVCS INC          COM   652526104          32      21,331  SH     DEFINED  01,08      10,740      10,591           0

NEXEN INC                         COM   65334H102       3,699     201,586  SH     DEFINED     01      80,719     120,799          68
NEXEN INC                         COM   65334H102         360      19,597  SH     OTHER       01       1,607      16,537       1,453
NEXEN INC                         COM   65334H102         423      23,033  SH     DEFINED  01,08      23,033           0           0

NEXSTAR BROADCASTING GROUP I      COM   65336K103          70       8,394  SH     DEFINED     01       1,043       7,351           0
NEXSTAR BROADCASTING GROUP I      COM   65336K103         789      94,961  SH     DEFINED  01,08      12,695      82,266           0
NEXSTAR BROADCASTING GROUP I      COM   65336K103         292      35,181  SH     DEFINED     09      35,181           0           0

NEXXUS LIGHTING INC               COM   65338E105          11      14,772  SH     DEFINED  01,08       1,116      13,656           0

NEXTERA ENERGY INC                COM   65339F101      81,576   1,335,556  SH     DEFINED     01   1,027,611     263,082      44,863
NEXTERA ENERGY INC                COM   65339F101      23,008     376,691  SH     OTHER       01     242,579     100,399      33,713
NEXTERA ENERGY INC                COM   65339F101     186,901   3,059,933  SH     DEFINED  01,08     706,901   2,353,032           0
NEXTERA ENERGY INC                COM   65339F101      59,968     981,800  SH     DEFINED     09     981,800           0           0

NICE SYS LTD                      COM   653656108       1,191      30,297  SH     DEFINED     01       1,912      28,385           0
NICE SYS LTD                      COM   653656108           4         100  SH     OTHER       01         100           0           0
NICE SYS LTD                      COM   653656108       1,085      27,617  SH     DEFINED  01,08      27,617           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    220
  ________

NICHOLAS FINANCIAL INC            COM   65373J209          75       5,693  SH     DEFINED     01       1,824       3,869           0
NICHOLAS FINANCIAL INC            COM   65373J209         929      70,427  SH     DEFINED  01,08       9,171      61,256           0
NICHOLAS FINANCIAL INC            COM   65373J209         373      28,278  SH     DEFINED     09      28,278           0           0

NIDEC CORP                        COM   654090109         790      34,618  SH     DEFINED     01      33,930         122         566
NIDEC CORP                        COM   654090109          26       1,137  SH     OTHER       01       1,137           0           0
NIDEC CORP                        COM   654090109         407      17,856  SH     DEFINED  01,08      17,856           0           0

NIKE INC                          COM   654106103     205,559   1,895,603  SH     DEFINED     01   1,568,374     280,482      46,747
NIKE INC                          COM   654106103      39,566     364,864  SH     OTHER       01     271,061      53,944      39,859
NIKE INC                          COM   654106103     293,331   2,705,008  SH     DEFINED  01,08     627,639   2,077,369           0
NIKE INC                          COM   654106103      99,137     914,212  SH     DEFINED     09     914,212           0           0

NIPPON TELEG & TEL CORP           COM   654624105       8,619     381,030  SH     DEFINED     01     254,056     126,974           0
NIPPON TELEG & TEL CORP           COM   654624105         645      28,525  SH     OTHER       01      11,210      15,924       1,391
NIPPON TELEG & TEL CORP           COM   654624105       1,575      69,615  SH     DEFINED  01,08      69,615           0           0

NISKA GAS STORAGE PARTNERS L      COM   654678101          83       8,700  SH     DEFINED     01           0       8,700           0
NISKA GAS STORAGE PARTNERS L      COM   654678101          77       8,112  SH     DEFINED  01,08       8,112           0           0

NISOURCE INC                      COM   65473P105       9,921     407,443  SH     DEFINED     01     254,237     151,682       1,524
NISOURCE INC                      COM   65473P105         138       5,682  SH     OTHER       01       4,970         492         220
NISOURCE INC                      COM   65473P105      51,487   2,114,454  SH     DEFINED  01,08     541,819   1,572,635           0
NISOURCE INC                      COM   65473P105      15,486     635,984  SH     DEFINED     09     635,984           0           0

NOBILITY HOMES INC                COM   654892108          30       3,828  SH     DEFINED     01           0       3,828           0
NOBILITY HOMES INC                COM   654892108          74       9,590  SH     DEFINED  01,08       3,991       5,599           0

NOKIA CORP                        COM   654902204       8,457   1,540,497  SH     DEFINED     01     724,533     781,364      34,600
NOKIA CORP                        COM   654902204         680     123,913  SH     OTHER       01      40,119      57,903      25,891
NOKIA CORP                        COM   654902204         935     170,310  SH     DEFINED  01,08     170,310           0           0

NOBLE ENERGY INC                  COM   655044105     113,794   1,163,777  SH     DEFINED     01     979,870     169,544      14,363
NOBLE ENERGY INC                  COM   655044105      18,767     191,935  SH     OTHER       01     148,746      38,674       4,515
NOBLE ENERGY INC                  COM   655044105     129,996   1,329,478  SH     DEFINED  01,08     337,830     991,648           0
NOBLE ENERGY INC                  COM   655044105      44,014     450,136  SH     DEFINED     09     450,136           0           0

NOMURA HLDGS INC                  COM   65535H208       2,018     457,617  SH     DEFINED     01     442,079      15,538           0
NOMURA HLDGS INC                  COM   65535H208          53      12,015  SH     OTHER       01       3,155       8,860           0
NOMURA HLDGS INC                  COM   65535H208         719     162,964  SH     DEFINED  01,08     162,964           0           0

NORANDA ALUM HLDG CORP            COM   65542W107         146      14,648  SH     DEFINED     01       4,070      10,578           0
NORANDA ALUM HLDG CORP            COM   65542W107       2,036     204,202  SH     DEFINED  01,08      21,504     182,698           0
NORANDA ALUM HLDG CORP            COM   65542W107         704      70,606  SH     DEFINED     09      70,606           0           0

NORDSON CORP                      COM   655663102       2,903      53,250  SH     DEFINED     01      19,696      33,554           0
NORDSON CORP                      COM   655663102         238       4,373  SH     OTHER       01         216       4,132          25
NORDSON CORP                      COM   655663102      22,405     411,025  SH     DEFINED  01,08      60,121     350,904           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    221
  ________

NORDSTROM INC                     COM   655664100      14,831     266,166  SH     DEFINED     01     149,654     110,892       5,620
NORDSTROM INC                     COM   655664100       1,583      28,408  SH     OTHER       01       8,692      19,646          70
NORDSTROM INC                     COM   655664100      68,349   1,226,644  SH     DEFINED  01,08     321,537     905,107           0
NORDSTROM INC                     COM   655664100      22,540     404,523  SH     DEFINED     09     404,523           0           0

NORFOLK SOUTHERN CORP             COM   655844108     130,615   1,984,119  SH     DEFINED     01   1,738,216     212,959      32,944
NORFOLK SOUTHERN CORP             COM   655844108      24,216     367,856  SH     OTHER       01     280,462      64,884      22,510
NORFOLK SOUTHERN CORP             COM   655844108     163,202   2,479,150  SH     DEFINED  01,08     614,829   1,864,321           0
NORFOLK SOUTHERN CORP             COM   655844108      56,286     855,023  SH     DEFINED     09     855,023           0           0

NORTEK INC                        COM   656559309         312       7,096  SH     DEFINED  01,08         100       6,996           0

NORTHEAST UTILS                   COM   664397106       8,218     221,398  SH     DEFINED     01     127,809      93,271         318
NORTHEAST UTILS                   COM   664397106         114       3,061  SH     OTHER       01       2,889          52         120
NORTHEAST UTILS                   COM   664397106      49,383   1,330,364  SH     DEFINED  01,08     335,304     995,060           0
NORTHEAST UTILS                   COM   664397106      27,115     730,480  SH     DEFINED     09     730,480           0           0

NORTHERN OIL & GAS INC NEV        COM   665531109       1,558      75,121  SH     DEFINED     01      20,244      54,877           0
NORTHERN OIL & GAS INC NEV        COM   665531109         130       6,250  SH     OTHER       01       3,500       2,750           0
NORTHERN OIL & GAS INC NEV        COM   665531109      15,910     767,100  SH     DEFINED  01,08      81,706     685,394           0
NORTHERN OIL & GAS INC NEV        COM   665531109       3,892     187,643  SH     DEFINED     09     187,643           0           0

NORTHERN TR CORP                  COM   665859104      52,971   1,116,352  SH     DEFINED     01     679,714     299,644     136,994
NORTHERN TR CORP                  COM   665859104     518,443  10,926,100  SH     OTHER       01   7,792,038     218,422   2,915,640
NORTHERN TR CORP                  COM   665859104      81,309   1,713,570  SH     DEFINED  01,08     405,432   1,308,138           0
NORTHERN TR CORP                  COM   665859104      24,721     520,988  SH     DEFINED     09     520,988           0           0

NORTHFIELD BANCORP INC NEW        COM   66611L105         453      31,824  SH     DEFINED     01       5,099      26,725           0
NORTHFIELD BANCORP INC NEW        COM   66611L105       2,542     178,746  SH     DEFINED  01,08      39,410     139,336           0
NORTHFIELD BANCORP INC NEW        COM   66611L105         646      45,406  SH     DEFINED     09      45,406           0           0

NORTHRIM BANCORP INC              COM   666762109         139       6,477  SH     DEFINED     01         180       6,297           0
NORTHRIM BANCORP INC              COM   666762109         357      16,586  SH     DEFINED  01,08       6,341      10,245           0

NORTHROP GRUMMAN CORP             COM   666807102      23,708     388,154  SH     DEFINED     01     247,707     137,749       2,698
NORTHROP GRUMMAN CORP             COM   666807102         850      13,914  SH     OTHER       01       4,948       8,423         543
NORTHROP GRUMMAN CORP             COM   666807102     113,885   1,864,524  SH     DEFINED  01,08     425,413   1,439,111           0
NORTHROP GRUMMAN CORP             COM   666807102      35,294     577,832  SH     DEFINED     09     577,832           0           0

NORTHSTAR RLTY FIN CORP           COM   66704R100       4,220     780,089  SH     DEFINED     01      28,237     751,852           0
NORTHSTAR RLTY FIN CORP           COM   66704R100       9,347   1,727,736  SH     DEFINED  01,08     908,053     819,683           0
NORTHSTAR RLTY FIN CORP           COM   66704R100       1,748     323,135  SH     DEFINED     09     323,135           0           0

NORTHWEST BANCSHARES INC MD       COM   667340103       4,564     359,351  SH     DEFINED     01     106,439     252,912           0
NORTHWEST BANCSHARES INC MD       COM   667340103          65       5,105  SH     OTHER       01       3,355       1,750           0
NORTHWEST BANCSHARES INC MD       COM   667340103      14,224   1,120,024  SH     DEFINED  01,08     308,881     811,143           0
NORTHWEST BANCSHARES INC MD       COM   667340103       3,712     292,304  SH     DEFINED     09     292,304           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    222
  ________

NORTHWEST NAT GAS CO              COM   667655104       2,058      45,338  SH     DEFINED     01      13,686      31,652           0
NORTHWEST NAT GAS CO              COM   667655104      12,341     271,819  SH     DEFINED  01,08      52,721     219,098           0
NORTHWEST NAT GAS CO              COM   667655104       3,436      75,692  SH     DEFINED     09      75,692           0           0

NORTHWEST PIPE CO                 COM   667746101       1,071      50,432  SH     DEFINED     01       2,704      47,728           0
NORTHWEST PIPE CO                 COM   667746101       2,808     132,181  SH     DEFINED  01,08      54,805      77,376           0
NORTHWEST PIPE CO                 COM   667746101         674      31,711  SH     DEFINED     09      31,711           0           0

NORTHWESTERN CORP                 COM   668074305       7,237     204,077  SH     DEFINED     01      24,439     179,638           0
NORTHWESTERN CORP                 COM   668074305      18,126     511,176  SH     DEFINED  01,08     214,951     296,225           0
NORTHWESTERN CORP                 COM   668074305       3,750     105,748  SH     DEFINED     09     105,748           0           0

NORWOOD FINANCIAL CORP            COM   669549107          78       2,936  SH     DEFINED     01           0       2,936           0
NORWOOD FINANCIAL CORP            COM   669549107         186       7,025  SH     DEFINED  01,08       2,953       4,072           0

NOVAGOLD RES INC                  COM   66987E206         293      40,770  SH     DEFINED     01      40,770           0           0
NOVAGOLD RES INC                  COM   66987E206          23       3,269  SH     OTHER       01           0       3,269           0

NOVATEL WIRELESS INC              COM   66987M604         156      46,493  SH     DEFINED     01      10,278      36,215           0
NOVATEL WIRELESS INC              COM   66987M604       1,073     320,209  SH     DEFINED  01,08      56,610     263,599           0
NOVATEL WIRELESS INC              COM   66987M604         335     100,141  SH     DEFINED     09     100,141           0           0

NOVABAY PHARMACEUTICALS INC       COM   66987P102          67      48,836  SH     OTHER       01      48,836           0           0
NOVABAY PHARMACEUTICALS INC       COM   66987P102           8       5,764  SH     DEFINED  01,08           0       5,764           0

NOVARTIS A G                      COM   66987V109     112,021   2,021,678  SH     DEFINED     01   1,909,619      61,962      50,097
NOVARTIS A G                      COM   66987V109      26,686     481,617  SH     OTHER       01     354,585      88,295      38,737
NOVARTIS A G                      COM   66987V109       7,302     131,789  SH     DEFINED  01,08     131,789           0           0

NOVAVAX INC                       COM   670002104         130     103,293  SH     DEFINED     01      18,394      84,899           0
NOVAVAX INC                       COM   670002104       1,134     899,914  SH     DEFINED  01,08     117,630     782,284           0
NOVAVAX INC                       COM   670002104         317     251,563  SH     DEFINED     09     251,563           0           0

NOVELLUS SYS INC                  COM   670008101       4,467      89,504  SH     DEFINED     01      58,979      30,335         190
NOVELLUS SYS INC                  COM   670008101         510      10,221  SH     OTHER       01       1,159           7       9,055
NOVELLUS SYS INC                  COM   670008101      18,410     368,858  SH     DEFINED  01,08     134,737     234,121           0
NOVELLUS SYS INC                  COM   670008101       3,748      75,101  SH     DEFINED     09      75,101           0           0

NOVO-NORDISK A S                  COM   670100205      38,312     276,205  SH     DEFINED     01     260,182      13,570       2,453
NOVO-NORDISK A S                  COM   670100205       3,849      27,749  SH     OTHER       01      11,939       4,438      11,372
NOVO-NORDISK A S                  COM   670100205       3,032      21,861  SH     DEFINED  01,08      21,861           0           0

NU SKIN ENTERPRISES INC           COM   67018T105       3,907      67,474  SH     DEFINED     01      13,445      54,029           0
NU SKIN ENTERPRISES INC           COM   67018T105          89       1,542  SH     OTHER       01         431       1,111           0
NU SKIN ENTERPRISES INC           COM   67018T105      31,055     536,269  SH     DEFINED  01,08      85,284     450,985           0
NU SKIN ENTERPRISES INC           COM   67018T105       9,229     159,364  SH     DEFINED     09     159,364           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    223
  ________

NSTAR                             COM   67019E107       2,469      50,770  SH     DEFINED     01      38,497      12,073         200
NSTAR                             COM   67019E107           3          70  SH     OTHER       01           0           0          70
NSTAR                             COM   67019E107      30,826     633,889  SH     DEFINED  01,08      33,824     600,065           0

NTELOS HLDGS CORP                 COM   67020Q305         459      22,189  SH     DEFINED     01       6,455      15,734           0
NTELOS HLDGS CORP                 COM   67020Q305       3,114     150,420  SH     DEFINED  01,08      29,503     120,917           0
NTELOS HLDGS CORP                 COM   67020Q305         874      42,222  SH     DEFINED     09      42,222           0           0

NUANCE COMMUNICATIONS INC         COM   67020Y100       9,460     369,824  SH     DEFINED     01     238,466     130,393         965
NUANCE COMMUNICATIONS INC         COM   67020Y100         818      31,967  SH     OTHER       01       2,710      28,315         942
NUANCE COMMUNICATIONS INC         COM   67020Y100      22,769     890,121  SH     DEFINED  01,08     168,732     721,389           0
NUANCE COMMUNICATIONS INC         COM   67020Y100       8,663     338,676  SH     DEFINED     09     338,676           0           0

NUCOR CORP                        COM   670346105      72,579   1,689,858  SH     DEFINED     01   1,466,481     206,564      16,813
NUCOR CORP                        COM   670346105       9,933     231,273  SH     OTHER       01     191,952      31,593       7,728
NUCOR CORP                        COM   670346105     102,426   2,384,777  SH     DEFINED  01,08     617,603   1,767,174           0
NUCOR CORP                        COM   670346105      33,357     776,641  SH     DEFINED     09     776,641           0           0

NUMEREX CORP PA                   COM   67053A102         162      16,608  SH     DEFINED     01       1,867      14,741           0
NUMEREX CORP PA                   COM   67053A102         919      93,952  SH     DEFINED  01,08      18,125      75,827           0
NUMEREX CORP PA                   COM   67053A102         374      38,247  SH     DEFINED     09      38,247           0           0

NUSTAR ENERGY LP                  COM   67058H102         946      16,017  SH     DEFINED     01      16,017           0           0
NUSTAR ENERGY LP                  COM   67058H102         954      16,154  SH     OTHER       01      16,154           0           0
NUSTAR ENERGY LP                  COM   67058H102       1,638      27,719  SH     DEFINED  01,08      27,719           0           0

NUSTAR GP HOLDINGS LLC            COM   67059L102         594      17,152  SH     DEFINED  01,08      17,152           0           0

NUTRACEUTICAL INTL CORP           COM   67060Y101       1,351      92,817  SH     DEFINED     01       2,144      90,673           0
NUTRACEUTICAL INTL CORP           COM   67060Y101       2,545     174,815  SH     DEFINED  01,08      97,099      77,716           0
NUTRACEUTICAL INTL CORP           COM   67060Y101         394      27,043  SH     DEFINED     09      27,043           0           0

NUVEEN NY MUN VALUE FD         UNDEFIND 67062M105         200      16,540         DEFINED     01      16,540           0           0
NUVEEN NY MUN VALUE FD         UNDEFIND 67062M105         100       6,500         OTHER       01           0           0       6,500

NUVEEN PERFORMANCE PLUS MUN    UNDEFIND 67062P108         400      27,600         DEFINED     01      10,500      17,100           0
NUVEEN PERFORMANCE PLUS MUN    UNDEFIND 67062P108          49         600         OTHER       01         600           0           0

NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102          49       1,745         DEFINED     01       1,745           0           0
NUVEEN PREM INCOME MUN FD 2    UNDEFIND 67063W102         200      13,495         OTHER       01           0           0      13,495

NVIDIA CORP                       COM   67066G104      10,811     702,270  SH     DEFINED     01     383,094     317,811       1,365
NVIDIA CORP                       COM   67066G104         120       7,815  SH     OTHER       01       6,723       1,092           0
NVIDIA CORP                       COM   67066G104      70,518   4,580,593  SH     DEFINED  01,08   1,133,542   3,447,051           0
NVIDIA CORP                       COM   67066G104      23,163   1,504,584  SH     DEFINED     09   1,504,584           0           0

NUTRI SYS INC NEW                 COM   67069D108         570      50,717  SH     DEFINED     01      21,779      28,938           0
NUTRI SYS INC NEW                 COM   67069D108       4,583     408,112  SH     DEFINED  01,08     185,960     222,152           0
NUTRI SYS INC NEW                 COM   67069D108         871      77,601  SH     DEFINED     09      77,601           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    224
  ________

NUVEEN DIV ADVANTAGE MUN FD    UNDEFIND 67070F100         300      16,800         DEFINED     01      16,800           0           0

NUVASIVE INC                      COM   670704105       1,091      64,798  SH     DEFINED     01      24,784      40,014           0
NUVASIVE INC                      COM   670704105       7,015     416,565  SH     DEFINED  01,08      68,046     348,519           0
NUVASIVE INC                      COM   670704105       2,145     127,356  SH     DEFINED     09     127,356           0           0

NXSTAGE MEDICAL INC               COM   67072V103       1,044      54,164  SH     DEFINED     01      12,762      41,402           0
NXSTAGE MEDICAL INC               COM   67072V103       8,299     430,684  SH     DEFINED  01,08      61,433     369,251           0
NXSTAGE MEDICAL INC               COM   67072V103       2,722     141,275  SH     DEFINED     09     141,275           0           0

NV ENERGY INC                     COM   67073Y106       2,280     141,427  SH     DEFINED     01     117,274      23,703         450
NV ENERGY INC                     COM   67073Y106          19       1,190  SH     OTHER       01           0       1,000         190
NV ENERGY INC                     COM   67073Y106      23,659   1,467,664  SH     DEFINED  01,08     106,511   1,361,153           0

NYMOX PHARMACEUTICAL CORP         COM   67076P102         107      13,287  SH     DEFINED     01       4,521       8,766           0
NYMOX PHARMACEUTICAL CORP         COM   67076P102       1,193     148,341  SH     DEFINED  01,08      18,580     129,761           0
NYMOX PHARMACEUTICAL CORP         COM   67076P102         397      49,337  SH     DEFINED     09      49,337           0           0

O CHARLEYS INC                    COM   670823103         285      28,919  SH     DEFINED     01      10,104      18,815           0
O CHARLEYS INC                    COM   670823103       1,727     175,516  SH     DEFINED  01,08      22,648     152,868           0

OGE ENERGY CORP                   COM   670837103       2,141      40,014  SH     DEFINED     01      28,538      11,296         180
OGE ENERGY CORP                   COM   670837103         381       7,117  SH     OTHER       01       5,817       1,300           0
OGE ENERGY CORP                   COM   670837103      32,763     612,398  SH     DEFINED  01,08      45,233     567,165           0

OCZ TECHNOLOGY GROUP INC          COM   67086E303         323      46,310  SH     DEFINED     01      12,047      34,263           0
OCZ TECHNOLOGY GROUP INC          COM   67086E303       4,126     591,053  SH     DEFINED  01,08      59,833     531,220           0
OCZ TECHNOLOGY GROUP INC          COM   67086E303       1,354     193,978  SH     DEFINED     09     193,978           0           0

OM GROUP INC                      COM   670872100       5,611     203,948  SH     DEFINED     01      15,997     187,951           0
OM GROUP INC                      COM   670872100      12,960     471,087  SH     DEFINED  01,08     216,212     254,875           0
OM GROUP INC                      COM   670872100       2,387      86,785  SH     DEFINED     09      86,785           0           0

NUVEEN MUN VALUE FD INC        UNDEFIND 670928100         500      45,173         DEFINED     01      35,173           0      10,000
NUVEEN MUN VALUE FD INC        UNDEFIND 670928100         100       7,347         OTHER       01         500       6,847           0

NUVEEN OHIO QUALITY INCOME M   UNDEFIND 670980101         500      29,172         DEFINED     01      24,172           0       5,000

O REILLY AUTOMOTIVE INC NEW       COM   67103H107      17,667     193,404  SH     DEFINED     01     120,997      71,772         635
O REILLY AUTOMOTIVE INC NEW       COM   67103H107         668       7,317  SH     OTHER       01       5,046       2,178          93
O REILLY AUTOMOTIVE INC NEW       COM   67103H107      88,725     971,266  SH     DEFINED  01,08     243,030     728,236           0
O REILLY AUTOMOTIVE INC NEW       COM   67103H107      28,494     311,918  SH     DEFINED     09     311,918           0           0

OSI SYSTEMS INC                   COM   671044105       6,974     113,768  SH     DEFINED     01       9,808     103,960           0
OSI SYSTEMS INC                   COM   671044105          51         825  SH     OTHER       01           0         825           0
OSI SYSTEMS INC                   COM   671044105      16,636     271,391  SH     DEFINED  01,08     114,063     157,328           0
OSI SYSTEMS INC                   COM   671044105       3,262      53,217  SH     DEFINED     09      53,217           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    225
  ________

OYO GEOSPACE CORP                 COM   671074102       1,411      13,392  SH     DEFINED     01       4,202       9,140          50
OYO GEOSPACE CORP                 COM   671074102           6          54  SH     OTHER       01          54           0           0
OYO GEOSPACE CORP                 COM   671074102       5,326      50,567  SH     DEFINED  01,08      13,426      37,141           0
OYO GEOSPACE CORP                 COM   671074102       1,206      11,445  SH     DEFINED     09      11,445           0           0

OASIS PETE INC NEW                COM   674215108       3,243     105,184  SH     DEFINED     01      45,606      59,403         175
OASIS PETE INC NEW                COM   674215108          80       2,593  SH     OTHER       01       1,308       1,285           0
OASIS PETE INC NEW                COM   674215108      17,636     572,044  SH     DEFINED  01,08      78,779     493,265           0
OASIS PETE INC NEW                COM   674215108       5,412     175,543  SH     DEFINED     09     175,543           0           0

OBAGI MEDICAL PRODUCTS INC        COM   67423R108         343      25,570  SH     DEFINED     01       4,811      20,759           0
OBAGI MEDICAL PRODUCTS INC        COM   67423R108       2,506     186,979  SH     DEFINED  01,08      33,518     153,461           0
OBAGI MEDICAL PRODUCTS INC        COM   67423R108         636      47,428  SH     DEFINED     09      47,428           0           0

OCCIDENTAL PETE CORP DEL          COM   674599105     101,863   1,069,657  SH     DEFINED     01     551,263     512,566       5,828
OCCIDENTAL PETE CORP DEL          COM   674599105       5,691      59,761  SH     OTHER       01      31,842      22,528       5,391
OCCIDENTAL PETE CORP DEL          COM   674599105     581,452   6,105,767  SH     DEFINED  01,08   1,516,630   4,589,137           0
OCCIDENTAL PETE CORP DEL          COM   674599105     193,806   2,035,140  SH     DEFINED     09   2,035,140           0           0

OCEAN PWR TECHNOLOGIES INC        COM   674870308          33      10,847  SH     DEFINED  01,08           0      10,847           0

OCEANEERING INTL INC              COM   675232102       3,421      63,472  SH     DEFINED     01      38,458      25,014           0
OCEANEERING INTL INC              COM   675232102         119       2,215  SH     OTHER       01       2,160           0          55
OCEANEERING INTL INC              COM   675232102      36,961     685,862  SH     DEFINED  01,08      49,701     636,161           0

OCEANFIRST FINL CORP              COM   675234108       1,239      86,999  SH     DEFINED     01       3,200      83,799           0
OCEANFIRST FINL CORP              COM   675234108       3,038     213,331  SH     DEFINED  01,08      90,039     123,292           0
OCEANFIRST FINL CORP              COM   675234108         561      39,409  SH     DEFINED     09      39,409           0           0

OCLARO INC                        COM   67555N206         209      52,959  SH     DEFINED     01      15,126      37,833           0
OCLARO INC                        COM   67555N206       1,815     460,763  SH     DEFINED  01,08      59,952     400,811           0
OCLARO INC                        COM   67555N206         550     139,562  SH     DEFINED     09     139,562           0           0

OCWEN FINL CORP                   COM   675746309       5,747     367,690  SH     DEFINED     01      27,136     340,554           0
OCWEN FINL CORP                   COM   675746309          83       5,300  SH     OTHER       01           0       5,300           0
OCWEN FINL CORP                   COM   675746309      18,408   1,177,733  SH     DEFINED  01,08     389,055     788,678           0
OCWEN FINL CORP                   COM   675746309       4,322     276,513  SH     DEFINED     09     276,513           0           0

OCULUS INNOVATIVE SCIENCES I      COM   67575P108           1         843  SH     DEFINED     01           0         843           0
OCULUS INNOVATIVE SCIENCES I      COM   67575P108          59      44,133  SH     DEFINED  01,08           0      44,133           0

ODYSSEY MARINE EXPLORATION I      COM   676118102         213      68,357  SH     DEFINED     01      20,529      47,828           0
ODYSSEY MARINE EXPLORATION I      COM   676118102       2,095     673,754  SH     DEFINED  01,08      70,583     603,171           0
ODYSSEY MARINE EXPLORATION I      COM   676118102         583     187,461  SH     DEFINED     09     187,461           0           0

OFFICEMAX INC DEL                 COM   67622P101         834     145,738  SH     DEFINED     01      60,915      84,823           0
OFFICEMAX INC DEL                 COM   67622P101       4,838     845,721  SH     DEFINED  01,08     152,131     693,590           0
OFFICEMAX INC DEL                 COM   67622P101       1,364     238,536  SH     DEFINED     09     238,536           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    226
  ________

OFFICE DEPOT INC                  COM   676220106         991     287,230  SH     DEFINED     01      96,492     190,738           0
OFFICE DEPOT INC                  COM   676220106      11,431   3,313,233  SH     DEFINED  01,08     317,849   2,995,384           0
OFFICE DEPOT INC                  COM   676220106       2,911     843,724  SH     DEFINED     09     843,724           0           0

OFFICIAL PMTS HLDGS INC           COM   67623R106          34       6,720  SH     DEFINED     01           0       6,720           0
OFFICIAL PMTS HLDGS INC           COM   67623R106         156      30,849  SH     DEFINED  01,08       7,947      22,902           0

OHIO VY BANC CORP                 COM   677719106          80       4,565  SH     DEFINED     01           0       4,565           0
OHIO VY BANC CORP                 COM   677719106         176      10,039  SH     DEFINED  01,08       4,356       5,683           0

OIL DRI CORP AMER                 COM   677864100         155       7,301  SH     DEFINED     01       1,062       6,239           0
OIL DRI CORP AMER                 COM   677864100       1,070      50,235  SH     DEFINED  01,08      10,311      39,924           0
OIL DRI CORP AMER                 COM   677864100         135       6,362  SH     DEFINED     09       6,362           0           0

OIL STS INTL INC                  COM   678026105       5,848      74,913  SH     DEFINED     01      40,403      34,233         277
OIL STS INTL INC                  COM   678026105         190       2,430  SH     OTHER       01       2,375          55           0
OIL STS INTL INC                  COM   678026105      26,566     340,333  SH     DEFINED  01,08      41,547     298,786           0

OILSANDS QUEST INC                COM   678046103          28      48,658  SH     DEFINED     01      23,700      24,958           0
OILSANDS QUEST INC                COM   678046103          47      80,475  SH     DEFINED  01,08      62,810      17,665           0

OLD DOMINION FGHT LINES INC       COM   679580100       3,686      77,331  SH     DEFINED     01      24,488      52,798          45
OLD DOMINION FGHT LINES INC       COM   679580100           2          50  SH     OTHER       01          50           0           0
OLD DOMINION FGHT LINES INC       COM   679580100      23,067     483,893  SH     DEFINED  01,08      87,667     396,226           0
OLD DOMINION FGHT LINES INC       COM   679580100       6,356     133,338  SH     DEFINED     09     133,338           0           0

OLD NATL BANCORP IND              COM   680033107       7,766     591,012  SH     DEFINED     01      65,735     525,277           0
OLD NATL BANCORP IND              COM   680033107          25       1,875  SH     OTHER       01           0       1,875           0
OLD NATL BANCORP IND              COM   680033107      18,115   1,378,622  SH     DEFINED  01,08     599,019     779,603           0
OLD NATL BANCORP IND              COM   680033107       3,706     282,043  SH     DEFINED     09     282,043           0           0

OLD REP INTL CORP              CONV DEB 680223AF1       6,598   6,500,000  PRN    DEFINED     01   1,000,000   5,500,000           0
OLD REP INTL CORP              CONV DEB 680223AF1       5,583   5,500,000  PRN    DEFINED  01,08   5,500,000           0           0

OLD REP INTL CORP                 COM   680223104       2,417     229,125  SH     DEFINED     01     113,599     115,526           0
OLD REP INTL CORP                 COM   680223104         140      13,312  SH     OTHER       01       8,170       5,027         115
OLD REP INTL CORP                 COM   680223104      17,754   1,682,832  SH     DEFINED  01,08     185,570   1,497,262           0
OLD REP INTL CORP                 COM   680223104          96       9,119  SH     DEFINED     09       9,119           0           0

OLD SECOND BANCORP INC ILL        COM   680277100           9       5,144  SH     DEFINED     01         100       5,044           0
OLD SECOND BANCORP INC ILL        COM   680277100          45      24,432  SH     DEFINED  01,08       3,138      21,294           0

OLIN CORP                         COM   680665205       9,249     425,235  SH     DEFINED     01      49,006     376,229           0
OLIN CORP                         COM   680665205         490      22,521  SH     OTHER       01      22,521           0           0
OLIN CORP                         COM   680665205      27,722   1,274,577  SH     DEFINED  01,08     412,787     861,790           0
OLIN CORP                         COM   680665205       4,994     229,596  SH     DEFINED     09     229,596           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    227
  ________

OLYMPIC STEEL INC                 COM   68162K106       1,599      66,635  SH     DEFINED     01       4,787      61,848           0
OLYMPIC STEEL INC                 COM   68162K106         142       5,930  SH     OTHER       01       4,820       1,110           0
OLYMPIC STEEL INC                 COM   68162K106       3,661     152,525  SH     DEFINED  01,08      74,683      77,842           0
OLYMPIC STEEL INC                 COM   68162K106         693      28,855  SH     DEFINED     09      28,855           0           0

OMNICARE INC                      COM   681904108       1,971      55,401  SH     DEFINED     01      39,763      15,638           0
OMNICARE INC                      COM   681904108         113       3,165  SH     OTHER       01         665       2,500           0
OMNICARE INC                      COM   681904108      25,011     703,145  SH     DEFINED  01,08      38,922     664,223           0
OMNICARE INC                      COM   681904108       6,769     190,288  SH     DEFINED     09     190,288           0           0

OMNICOM GROUP INC                 COM   681919106     124,543   2,458,903  SH     DEFINED     01   2,166,463     254,331      38,109
OMNICOM GROUP INC                 COM   681919106      18,159     358,529  SH     OTHER       01     252,168      85,521      20,840
OMNICOM GROUP INC                 COM   681919106     124,830   2,464,555  SH     DEFINED  01,08     811,537   1,577,401      75,617
OMNICOM GROUP INC                 COM   681919106      34,346     678,112  SH     DEFINED     09     678,112           0           0

OMEGA HEALTHCARE INVS INC         COM   681936100       3,501     164,697  SH     DEFINED     01      53,523     110,969         205
OMEGA HEALTHCARE INVS INC         COM   681936100          57       2,675  SH     OTHER       01       2,675           0           0
OMEGA HEALTHCARE INVS INC         COM   681936100      32,334   1,520,864  SH     DEFINED  01,08     402,073   1,118,791           0
OMEGA HEALTHCARE INVS INC         COM   681936100       7,514     353,455  SH     DEFINED     09     353,455           0           0

OMEGA FLEX INC                    COM   682095104          74       5,817  SH     DEFINED     01         651       5,166           0
OMEGA FLEX INC                    COM   682095104         393      30,938  SH     DEFINED  01,08       7,100      23,838           0
OMEGA FLEX INC                    COM   682095104          46       3,591  SH     DEFINED     09       3,591           0           0

OMEGA PROTEIN CORP                COM   68210P107         260      34,193  SH     DEFINED     01      13,135      21,058           0
OMEGA PROTEIN CORP                COM   68210P107       1,477     194,056  SH     DEFINED  01,08      38,505     155,551           0
OMEGA PROTEIN CORP                COM   68210P107         381      50,130  SH     DEFINED     09      50,130           0           0

OMNIVISION TECHNOLOGIES INC       COM   682128103       3,932     196,624  SH     DEFINED     01      17,705     178,819         100
OMNIVISION TECHNOLOGIES INC       COM   682128103      13,885     694,263  SH     DEFINED  01,08     222,522     471,741           0
OMNIVISION TECHNOLOGIES INC       COM   682128103       3,419     170,958  SH     DEFINED     09     170,958           0           0

OMNOVA SOLUTIONS INC              COM   682129101         544      80,524  SH     DEFINED     01      36,891      42,842         791
OMNOVA SOLUTIONS INC              COM   682129101           6         856  SH     OTHER       01         856           0           0
OMNOVA SOLUTIONS INC              COM   682129101       2,908     430,842  SH     DEFINED  01,08      69,856     360,986           0
OMNOVA SOLUTIONS INC              COM   682129101         969     143,538  SH     DEFINED     09     143,538           0           0

OMNICELL INC                      COM   68213N109         825      54,243  SH     DEFINED     01      16,817      37,426           0
OMNICELL INC                      COM   68213N109       5,059     332,622  SH     DEFINED  01,08      63,536     269,086           0
OMNICELL INC                      COM   68213N109       1,356      89,183  SH     DEFINED     09      89,183           0           0

OMNICARE CAP TR II             CONV PFD 68214Q200       3,743      78,000         DEFINED     01      11,100      66,900           0
OMNICARE CAP TR II             CONV PFD 68214Q200       3,211      66,900         DEFINED  01,08      66,900           0           0

OMEROS CORP                       COM   682143102         277      27,862  SH     DEFINED  01,08           0      27,862           0

ON ASSIGNMENT INC                 COM   682159108         896      51,274  SH     DEFINED     01      18,898      32,376           0
ON ASSIGNMENT INC                 COM   682159108       6,341     362,948  SH     DEFINED  01,08      60,040     302,908           0
ON ASSIGNMENT INC                 COM   682159108       2,224     127,330  SH     DEFINED     09     127,330           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    228
  ________

OMNIAMERICAN BANCORP INC          COM   68216R107         148       7,658  SH     DEFINED     01       2,610       5,048           0
OMNIAMERICAN BANCORP INC          COM   68216R107       2,009     103,756  SH     DEFINED  01,08      11,310      92,446           0
OMNIAMERICAN BANCORP INC          COM   68216R107         776      40,076  SH     DEFINED     09      40,076           0           0

ON SEMICONDUCTOR CORP             COM   682189105       2,596     288,166  SH     DEFINED     01      96,048     192,118           0
ON SEMICONDUCTOR CORP             COM   682189105           2         260  SH     OTHER       01           0           0         260
ON SEMICONDUCTOR CORP             COM   682189105      15,212   1,688,372  SH     DEFINED  01,08     322,057   1,366,315           0

ONCOGENEX PHARMACEUTICALS IN      COM   68230A106         196      14,734  SH     DEFINED     01       2,118      12,616           0
ONCOGENEX PHARMACEUTICALS IN      COM   68230A106       1,311      98,660  SH     DEFINED  01,08      19,383      79,277           0
ONCOGENEX PHARMACEUTICALS IN      COM   68230A106         423      31,862  SH     DEFINED     09      31,862           0           0

ONCOTHYREON INC                   COM   682324108          99      22,714  SH     DEFINED     01       3,893      18,821           0
ONCOTHYREON INC                   COM   682324108       1,649     378,270  SH     DEFINED  01,08      40,690     337,580           0
ONCOTHYREON INC                   COM   682324108         527     120,816  SH     DEFINED     09     120,816           0           0

ONE LIBERTY PPTYS INC             COM   682406103         951      51,985  SH     DEFINED     01       7,178      44,807           0
ONE LIBERTY PPTYS INC             COM   682406103       2,724     148,843  SH     DEFINED  01,08      56,219      92,624           0
ONE LIBERTY PPTYS INC             COM   682406103         406      22,181  SH     DEFINED     09      22,181           0           0

1 800 FLOWERS COM                 COM   68243Q106         112      37,048  SH     DEFINED     01       5,831      31,217           0
1 800 FLOWERS COM                 COM   68243Q106         748     246,914  SH     DEFINED  01,08      44,233     202,681           0
1 800 FLOWERS COM                 COM   68243Q106         241      79,658  SH     DEFINED     09      79,658           0           0

ONEOK PARTNERS LP                 COM   68268N103       2,584      47,272  SH     DEFINED     01      45,471       1,801           0
ONEOK PARTNERS LP                 COM   68268N103       1,344      24,590  SH     OTHER       01      24,590           0           0
ONEOK PARTNERS LP                 COM   68268N103       3,113      56,935  SH     DEFINED  01,08      56,935           0           0

ONEOK INC NEW                     COM   682680103      41,648     510,023  SH     DEFINED     01     438,570      58,124      13,329
ONEOK INC NEW                     COM   682680103       4,307      52,744  SH     OTHER       01      42,792       9,817         135
ONEOK INC NEW                     COM   682680103      63,915     782,701  SH     DEFINED  01,08     198,495     584,206           0
ONEOK INC NEW                     COM   682680103      19,239     235,597  SH     DEFINED     09     235,597           0           0

ONLINE RES CORP                   COM   68273G101          42      14,628  SH     DEFINED     01           0      14,628           0
ONLINE RES CORP                   COM   68273G101         150      52,484  SH     DEFINED  01,08      12,890      39,594           0

ONYX PHARMACEUTICALS INC          COM   683399109       2,967      78,743  SH     DEFINED     01      16,873      61,870           0
ONYX PHARMACEUTICALS INC          COM   683399109      22,909     607,993  SH     DEFINED  01,08      92,873     515,120           0
ONYX PHARMACEUTICALS INC          COM   683399109       7,034     186,669  SH     DEFINED     09     186,669           0           0

OPEN TEXT CORP                    COM   683715106          64       1,046  SH     DEFINED     01         600         446           0
OPEN TEXT CORP                    COM   683715106         183       3,000  SH     OTHER       01       3,000           0           0
OPEN TEXT CORP                    COM   683715106          40         658  SH     DEFINED  01,08         552         106           0

OPENWAVE SYS INC                  COM   683718308         222      97,670  SH     DEFINED     01      20,590      77,080           0
OPENWAVE SYS INC                  COM   683718308       1,850     815,075  SH     DEFINED  01,08     102,802     712,273           0
OPENWAVE SYS INC                  COM   683718308         566     249,309  SH     DEFINED     09     249,309           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    229
  ________

OPENTABLE INC                     COM   68372A104       1,800      44,466  SH     DEFINED     01       4,216      40,250           0
OPENTABLE INC                     COM   68372A104       9,648     238,387  SH     DEFINED  01,08      49,206     189,181           0
OPENTABLE INC                     COM   68372A104       2,694      66,563  SH     DEFINED     09      66,563           0           0

OPEXA THERAPEUTICS INC            COM   68372T103          34      44,876  SH     DEFINED  01,08           0      44,876           0

OPKO HEALTH INC                   COM   68375N103       1,067     225,595  SH     DEFINED     01      62,819     162,776           0
OPKO HEALTH INC                   COM   68375N103       5,462   1,154,662  SH     DEFINED  01,08     201,190     953,472           0
OPKO HEALTH INC                   COM   68375N103       1,539     325,427  SH     DEFINED     09     325,427           0           0

OPLINK COMMUNICATIONS INC         COM   68375Q403       3,071     179,599  SH     DEFINED     01      10,288     169,311           0
OPLINK COMMUNICATIONS INC         COM   68375Q403          15         850  SH     OTHER       01           0         850           0
OPLINK COMMUNICATIONS INC         COM   68375Q403       5,838     341,391  SH     DEFINED  01,08     181,062     160,329           0
OPLINK COMMUNICATIONS INC         COM   68375Q403       1,138      66,564  SH     DEFINED     09      66,564           0           0

OPNEXT INC                        COM   68375V105         110      70,792  SH     DEFINED     01       3,751      67,041           0
OPNEXT INC                        COM   68375V105         621     400,575  SH     DEFINED  01,08      52,764     347,811           0
OPNEXT INC                        COM   68375V105         134      86,542  SH     DEFINED     09      86,542           0           0

OPNET TECHNOLOGIES INC            COM   683757108         753      25,970  SH     DEFINED     01       6,745      19,225           0
OPNET TECHNOLOGIES INC            COM   683757108       4,355     150,158  SH     DEFINED  01,08      31,224     118,934           0
OPNET TECHNOLOGIES INC            COM   683757108       1,130      38,949  SH     DEFINED     09      38,949           0           0

OPPENHEIMER HLDGS INC             COM   683797104         630      36,294  SH     DEFINED     01       2,356      33,938           0
OPPENHEIMER HLDGS INC             COM   683797104       2,176     125,429  SH     DEFINED  01,08      43,529      81,900           0
OPPENHEIMER HLDGS INC             COM   683797104         512      29,488  SH     DEFINED     09      29,488           0           0

OPTICAL CABLE CORP                COM   683827208          14       3,960  SH     DEFINED     01           0       3,960           0
OPTICAL CABLE CORP                COM   683827208          22       6,355  SH     DEFINED  01,08       3,058       3,297           0

ORACLE CORP                       COM   68389X105     318,164  10,910,978  SH     DEFINED     01   8,206,641   2,517,601     186,736
ORACLE CORP                       COM   68389X105      45,245   1,551,606  SH     OTHER       01   1,060,593     318,570     172,443
ORACLE CORP                       COM   68389X105     867,038  29,733,830  SH     DEFINED  01,08   7,533,902  22,199,928           0
ORACLE CORP                       COM   68389X105     289,150   9,915,969  SH     DEFINED     09   9,915,969           0           0

OPTIMER PHARMACEUTICALS INC       COM   68401H104         666      47,935  SH     DEFINED     01      12,907      35,028           0
OPTIMER PHARMACEUTICALS INC       COM   68401H104       5,885     423,358  SH     DEFINED  01,08      54,465     368,893           0
OPTIMER PHARMACEUTICALS INC       COM   68401H104       1,873     134,721  SH     DEFINED     09     134,721           0           0

ORASURE TECHNOLOGIES INC          COM   68554V108         901      78,429  SH     DEFINED     01      13,780      64,649           0
ORASURE TECHNOLOGIES INC          COM   68554V108       5,451     474,447  SH     DEFINED  01,08      87,278     387,169           0
ORASURE TECHNOLOGIES INC          COM   68554V108       1,435     124,873  SH     DEFINED     09     124,873           0           0

ORBCOMM INC                       COM   68555P100         100      25,849  SH     DEFINED     01       6,679      19,170           0
ORBCOMM INC                       COM   68555P100       1,196     310,776  SH     DEFINED  01,08      34,139     276,637           0
ORBCOMM INC                       COM   68555P100         412     107,140  SH     DEFINED     09     107,140           0           0

ORBIT INTL CORP                   COM   685559304           9       2,010  SH     DEFINED     01           0       2,010           0
ORBIT INTL CORP                   COM   685559304          38       8,710  SH     DEFINED  01,08       2,782       5,928           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    230
  ________

ORBITAL SCIENCES CORP             COM   685564106       1,219      92,672  SH     DEFINED     01      25,125      67,547           0
ORBITAL SCIENCES CORP             COM   685564106       7,680     584,062  SH     DEFINED  01,08     113,787     470,275           0
ORBITAL SCIENCES CORP             COM   685564106       2,214     168,367  SH     DEFINED     09     168,367           0           0

ORBITZ WORLDWIDE INC              COM   68557K109         124      40,763  SH     DEFINED     01       5,761      35,002           0
ORBITZ WORLDWIDE INC              COM   68557K109         635     208,052  SH     DEFINED  01,08      38,865     169,187           0
ORBITZ WORLDWIDE INC              COM   68557K109         210      68,929  SH     DEFINED     09      68,929           0           0

ORCHIDS PAPER PRODS CO DEL        COM   68572N104          18         973  SH     DEFINED     01           0         973           0
ORCHIDS PAPER PRODS CO DEL        COM   68572N104         169       9,376  SH     DEFINED  01,08       1,487       7,889           0

OREXIGEN THERAPEUTICS INC         COM   686164104         290      70,746  SH     DEFINED     01       4,857      65,889           0
OREXIGEN THERAPEUTICS INC         COM   686164104       1,626     396,547  SH     DEFINED  01,08      89,463     307,084           0
OREXIGEN THERAPEUTICS INC         COM   686164104         640     156,194  SH     DEFINED     09     156,194           0           0

ORIENTAL FINL GROUP INC           COM   68618W100         622      51,446  SH     DEFINED     01      12,796      38,650           0
ORIENTAL FINL GROUP INC           COM   68618W100         107       8,810  SH     OTHER       01       6,830       1,980           0
ORIENTAL FINL GROUP INC           COM   68618W100       5,212     430,707  SH     DEFINED  01,08      62,772     367,935           0
ORIENTAL FINL GROUP INC           COM   68618W100       1,779     147,032  SH     DEFINED     09     147,032           0           0

ORION ENERGY SYSTEMS INC          COM   686275108           4       1,877  SH     DEFINED     01           0       1,877           0
ORION ENERGY SYSTEMS INC          COM   686275108          71      29,829  SH     DEFINED  01,08       3,122      26,707           0

ORION MARINE GROUP INC            COM   68628V308         318      43,950  SH     DEFINED     01      14,054      29,896           0
ORION MARINE GROUP INC            COM   68628V308       1,965     271,828  SH     DEFINED  01,08      49,816     222,012           0
ORION MARINE GROUP INC            COM   68628V308         558      77,129  SH     DEFINED     09      77,129           0           0

ORITANI FINL CORP DEL             COM   68633D103       1,106      75,342  SH     DEFINED     01      26,670      48,672           0
ORITANI FINL CORP DEL             COM   68633D103       6,861     467,339  SH     DEFINED  01,08      91,078     376,261           0
ORITANI FINL CORP DEL             COM   68633D103       1,831     124,758  SH     DEFINED     09     124,758           0           0

ORIX CORP                         COM   686330101       3,974      82,360  SH     DEFINED     01      77,335       4,925         100
ORIX CORP                         COM   686330101         427       8,846  SH     OTHER       01       7,892         954           0
ORIX CORP                         COM   686330101         928      19,238  SH     DEFINED  01,08      19,238           0           0

ORMAT TECHNOLOGIES INC            COM   686688102         521      25,834  SH     DEFINED     01       3,614      22,220           0
ORMAT TECHNOLOGIES INC            COM   686688102       3,607     179,025  SH     DEFINED  01,08      32,792     146,233           0
ORMAT TECHNOLOGIES INC            COM   686688102       1,036      51,428  SH     DEFINED     09      51,428           0           0

ORRSTOWN FINL SVCS INC            COM   687380105          66       7,542  SH     DEFINED     01       1,494       6,048           0
ORRSTOWN FINL SVCS INC            COM   687380105         548      62,490  SH     DEFINED  01,08       9,076      53,414           0
ORRSTOWN FINL SVCS INC            COM   687380105         191      21,740  SH     DEFINED     09      21,740           0           0

OSHKOSH CORP                      COM   688239201         994      42,895  SH     DEFINED     01      23,179      14,716       5,000
OSHKOSH CORP                      COM   688239201      13,147     567,419  SH     DEFINED  01,08      33,190     534,229           0

OSIRIS THERAPEUTICS INC NEW       COM   68827R108         110      21,522  SH     DEFINED     01       2,497      19,025           0
OSIRIS THERAPEUTICS INC NEW       COM   68827R108         834     162,852  SH     DEFINED  01,08      28,353     134,499           0
OSIRIS THERAPEUTICS INC NEW       COM   68827R108         310      60,554  SH     DEFINED     09      60,554           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    231
  ________

OTTER TAIL CORP                   COM   689648103       4,218     194,394  SH     DEFINED     01      19,012     175,382           0
OTTER TAIL CORP                   COM   689648103      12,578     579,619  SH     DEFINED  01,08     279,980     299,639           0
OTTER TAIL CORP                   COM   689648103       2,325     107,145  SH     DEFINED     09     107,145           0           0

OUTDOOR CHANNEL HLDGS INC         COM   690027206         138      18,870  SH     DEFINED     01       4,654      14,216           0
OUTDOOR CHANNEL HLDGS INC         COM   690027206         983     134,492  SH     DEFINED  01,08      22,454     112,038           0
OUTDOOR CHANNEL HLDGS INC         COM   690027206         312      42,686  SH     DEFINED     09      42,686           0           0

OVERHILL FARMS INC                COM   690212105           2         483  SH     DEFINED     01           0         483           0
OVERHILL FARMS INC                COM   690212105          73      16,187  SH     DEFINED  01,08         706      15,481           0

OVERLAND STORAGE INC              COM   690310206           5       2,130  SH     DEFINED     01           0       2,130           0
OVERLAND STORAGE INC              COM   690310206          29      13,036  SH     DEFINED  01,08       1,264      11,772           0

OVERSEAS SHIPHOLDING GROUP I      COM   690368105       1,616     127,972  SH     DEFINED     01      13,149     114,823           0
OVERSEAS SHIPHOLDING GROUP I      COM   690368105       4,651     368,231  SH     DEFINED  01,08     149,646     218,585           0
OVERSEAS SHIPHOLDING GROUP I      COM   690368105         897      71,046  SH     DEFINED     09      71,046           0           0

OVERSTOCK COM INC DEL             COM   690370101          73      13,892  SH     DEFINED     01       1,742      12,150           0
OVERSTOCK COM INC DEL             COM   690370101         598     114,121  SH     DEFINED  01,08      17,502      96,619           0
OVERSTOCK COM INC DEL             COM   690370101         218      41,644  SH     DEFINED     09      41,644           0           0

OWENS & MINOR INC NEW             COM   690732102       7,406     243,544  SH     DEFINED     01     110,943     130,352       2,249
OWENS & MINOR INC NEW             COM   690732102         124       4,062  SH     OTHER       01       3,018         819         225
OWENS & MINOR INC NEW             COM   690732102      26,039     856,280  SH     DEFINED  01,08     158,863     697,417           0
OWENS & MINOR INC NEW             COM   690732102       5,544     182,301  SH     DEFINED     09     182,301           0           0

OWENS CORNING NEW                 COM   690742101       1,869      51,873  SH     DEFINED     01      39,708      12,165           0
OWENS CORNING NEW                 COM   690742101          10         277  SH     OTHER       01         155          67          55
OWENS CORNING NEW                 COM   690742101      14,458     401,278  SH     DEFINED  01,08      43,734     357,544           0

OWENS CORNING NEW                 WT    690742127          14       5,256         DEFINED     01           0       5,256           0
OWENS CORNING NEW                 WT    690742127          43      15,876         DEFINED  01,08       4,439      11,437           0

OWENS ILL INC                     COM   690768403       4,837     207,229  SH     DEFINED     01     112,479      91,087       3,663
OWENS ILL INC                     COM   690768403          83       3,535  SH     OTHER       01       3,484          51           0
OWENS ILL INC                     COM   690768403      28,376   1,215,775  SH     DEFINED  01,08     301,494     914,281           0
OWENS ILL INC                     COM   690768403       9,648     413,363  SH     DEFINED     09     413,363           0           0

OXFORD INDS INC                   COM   691497309       1,315      25,878  SH     DEFINED     01       7,659      17,644         575
OXFORD INDS INC                   COM   691497309       6,952     136,797  SH     DEFINED  01,08      28,900     107,897           0
OXFORD INDS INC                   COM   691497309       2,377      46,769  SH     DEFINED     09      46,769           0           0

OXIGENE INC                       COM   691828305          27      25,416  SH     DEFINED     01           0      25,416           0
OXIGENE INC                       COM   691828305          10       9,597  SH     DEFINED  01,08         154       9,443           0

OXYGEN BIOTHERAPEUTICS INC        COM   69207P209          45      18,945  SH     DEFINED  01,08           0      18,945           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    232
  ________

P & F INDS INC                    COM   692830508          15       3,826  SH     DEFINED     01           0       3,826           0
P & F INDS INC                    COM   692830508          27       6,821  SH     DEFINED  01,08       3,802       3,019           0

PAA NAT GAS STORAGE L P           COM   693139107         279      14,684  SH     DEFINED  01,08      14,684           0           0

P A M TRANSN SVCS INC             COM   693149106         142      12,717  SH     DEFINED     01           0      12,717           0
P A M TRANSN SVCS INC             COM   693149106         260      23,260  SH     DEFINED  01,08      11,894      11,366           0

P C CONNECTION                    COM   69318J100       1,475     179,461  SH     DEFINED     01       6,826     172,635           0
P C CONNECTION                    COM   69318J100       2,186     265,940  SH     DEFINED  01,08     180,355      85,585           0
P C CONNECTION                    COM   69318J100         264      32,169  SH     DEFINED     09      32,169           0           0

PC MALL INC                       COM   69323K100          43       7,113  SH     DEFINED     01       1,154       5,959           0
PC MALL INC                       COM   69323K100         116      19,339  SH     DEFINED  01,08       5,447      13,892           0

PC-TEL INC                        COM   69325Q105         765     115,022  SH     DEFINED     01       4,688     110,334           0
PC-TEL INC                        COM   69325Q105         963     144,786  SH     DEFINED  01,08     116,383      28,403           0

PDF SOLUTIONS INC                 COM   693282105         209      24,793  SH     DEFINED     01       2,297      22,496           0
PDF SOLUTIONS INC                 COM   693282105       1,800     213,540  SH     DEFINED  01,08      27,211     186,329           0
PDF SOLUTIONS INC                 COM   693282105         450      53,436  SH     DEFINED     09      53,436           0           0

PDI INC                           COM   69329V100          66       9,909  SH     DEFINED     01           0       9,909           0
PDI INC                           COM   69329V100         160      23,986  SH     DEFINED  01,08       8,767      15,219           0

PDL BIOPHARMA INC                 COM   69329Y104       2,236     351,547  SH     DEFINED     01      42,017     309,530           0
PDL BIOPHARMA INC                 COM   69329Y104      11,376   1,788,751  SH     DEFINED  01,08     655,926   1,132,825           0
PDL BIOPHARMA INC                 COM   69329Y104       2,777     436,597  SH     DEFINED     09     436,597           0           0

PG&E CORP                         COM   69331C108      34,995     806,144  SH     DEFINED     01     564,170     230,951      11,023
PG&E CORP                         COM   69331C108       6,194     142,695  SH     OTHER       01      96,427      31,197      15,071
PG&E CORP                         COM   69331C108     130,361   3,003,023  SH     DEFINED  01,08     700,426   2,302,597           0
PG&E CORP                         COM   69331C108      43,723   1,007,214  SH     DEFINED     09   1,007,214           0           0

PHH CORP                          COM   693320202       8,451     546,303  SH     DEFINED     01      61,463     484,840           0
PHH CORP                          COM   693320202          63       4,067  SH     OTHER       01       2,647       1,420           0
PHH CORP                          COM   693320202      15,600   1,008,429  SH     DEFINED  01,08     549,769     458,660           0
PHH CORP                          COM   693320202       2,541     164,232  SH     DEFINED     09     164,232           0           0

P F CHANGS CHINA BISTRO INC       COM   69333Y108       1,358      34,362  SH     DEFINED     01      11,462      22,900           0
P F CHANGS CHINA BISTRO INC       COM   69333Y108       8,564     216,695  SH     DEFINED  01,08      42,342     174,353           0
P F CHANGS CHINA BISTRO INC       COM   69333Y108       2,715      68,689  SH     DEFINED     09      68,689           0           0

PHI INC                           COM   69336T205       2,226      96,176  SH     DEFINED     01       3,814      92,362           0
PHI INC                           COM   69336T205       4,827     208,523  SH     DEFINED  01,08     102,659     105,864           0
PHI INC                           COM   69336T205         819      35,366  SH     DEFINED     09      35,366           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    233
  ________

PICO HLDGS INC                    COM   693366205         491      20,917  SH     DEFINED     01       3,738      17,179           0
PICO HLDGS INC                    COM   693366205       5,057     215,646  SH     DEFINED  01,08      26,512     189,134           0
PICO HLDGS INC                    COM   693366205       1,633      69,624  SH     DEFINED     09      69,624           0           0

PLX TECHNOLOGY INC                COM   693417107         190      47,213  SH     DEFINED     01      11,262      35,951           0
PLX TECHNOLOGY INC                COM   693417107       1,624     404,052  SH     DEFINED  01,08      46,947     357,105           0
PLX TECHNOLOGY INC                COM   693417107         392      97,540  SH     DEFINED     09      97,540           0           0

PMC COML TR                       COM   693434102          53       6,174  SH     DEFINED     01           0       6,174           0
PMC COML TR                       COM   693434102         191      22,307  SH     DEFINED  01,08       5,215      17,092           0

PMC-SIERRA INC                    COM   69344F106         861     119,098  SH     DEFINED     01      44,332      74,766           0
PMC-SIERRA INC                    COM   69344F106       6,124     846,996  SH     DEFINED  01,08     145,387     701,609           0

PMFG INC                          COM   69345P103         380      25,287  SH     DEFINED     01       4,719      20,568           0
PMFG INC                          COM   69345P103       2,721     181,276  SH     DEFINED  01,08      33,694     147,582           0
PMFG INC                          COM   69345P103         728      48,468  SH     DEFINED     09      48,468           0           0

PNC FINL SVCS GROUP INC           COM   693475105      40,295     624,828  SH     DEFINED     01     341,480     281,032       2,316
PNC FINL SVCS GROUP INC           COM   693475105       1,479      22,927  SH     OTHER       01      11,594       2,845       8,488
PNC FINL SVCS GROUP INC           COM   693475105     259,746   4,027,697  SH     DEFINED  01,08   1,053,497   2,974,200           0
PNC FINL SVCS GROUP INC           COM   693475105      82,463   1,278,688  SH     DEFINED     09   1,278,688           0           0

POSCO                             COM   693483109       4,459      53,276  SH     DEFINED     01      51,575       1,601         100
POSCO                             COM   693483109         180       2,153  SH     OTHER       01         314         839       1,000
POSCO                             COM   693483109       2,076      24,803  SH     DEFINED  01,08      24,803           0           0

PNM RES INC                       COM   69349H107       1,765      96,448  SH     DEFINED     01      19,098      77,350           0
PNM RES INC                       COM   69349H107      18,312   1,000,635  SH     DEFINED  01,08     134,347     866,288           0
PNM RES INC                       COM   69349H107       4,351     237,737  SH     DEFINED     09     237,737           0           0

PPG INDS INC                      COM   693506107      19,354     202,022  SH     DEFINED     01     115,542      85,766         714
PPG INDS INC                      COM   693506107       1,704      17,791  SH     OTHER       01      12,626       4,149       1,016
PPG INDS INC                      COM   693506107     109,962   1,147,825  SH     DEFINED  01,08     270,192     877,633           0
PPG INDS INC                      COM   693506107      36,331     379,238  SH     DEFINED     09     379,238           0           0

PPL CORP                          COM   69351T106      17,041     602,996  SH     DEFINED     01     291,068     306,408       5,520
PPL CORP                          COM   69351T106         254       8,990  SH     OTHER       01       6,381       2,324         285
PPL CORP                          COM   69351T106     118,887   4,206,904  SH     DEFINED  01,08     962,489   3,244,415           0
PPL CORP                          COM   69351T106      39,125   1,384,454  SH     DEFINED     09   1,384,454           0           0

PRGX GLOBAL INC                   COM   69357C503          95      15,134  SH     DEFINED     01       4,153      10,981           0
PRGX GLOBAL INC                   COM   69357C503       1,084     172,304  SH     DEFINED  01,08      17,940     154,364           0
PRGX GLOBAL INC                   COM   69357C503         310      49,361  SH     DEFINED     09      49,361           0           0

PS BUSINESS PKS INC CALIF         COM   69360J107       4,622      70,528  SH     DEFINED     01       8,974      61,554           0
PS BUSINESS PKS INC CALIF         COM   69360J107      16,797     256,293  SH     DEFINED  01,08     100,748     155,545           0
PS BUSINESS PKS INC CALIF         COM   69360J107       4,325      65,995  SH     DEFINED     09      65,995           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    234
  ________

PVF CAPITAL CORP                  COM   693654105          42      21,480  SH     DEFINED     01           0      21,480           0
PVF CAPITAL CORP                  COM   693654105          76      39,061  SH     DEFINED  01,08      22,440      16,621           0

PVH CORP                          COM   693656100       2,516      28,170  SH     DEFINED     01      20,803       7,285          82
PVH CORP                          COM   693656100         638       7,145  SH     OTHER       01          65       7,080           0
PVH CORP                          COM   693656100      35,534     397,782  SH     DEFINED  01,08      25,803     371,979           0

PSS WORLD MED INC                 COM   69366A100       2,313      91,283  SH     DEFINED     01      31,759      59,289         235
PSS WORLD MED INC                 COM   69366A100           4         145  SH     OTHER       01         145           0           0
PSS WORLD MED INC                 COM   69366A100      13,222     521,776  SH     DEFINED  01,08     103,955     417,821           0
PSS WORLD MED INC                 COM   69366A100       4,298     169,603  SH     DEFINED     09     169,603           0           0

PACCAR INC                        COM   693718108      20,227     431,925  SH     DEFINED     01     226,653     201,803       3,469
PACCAR INC                        COM   693718108       1,927      41,143  SH     OTHER       01      31,977       9,041         125
PACCAR INC                        COM   693718108     126,637   2,704,183  SH     DEFINED  01,08     658,482   2,045,701           0
PACCAR INC                        COM   693718108      38,854     829,673  SH     DEFINED     09     829,673           0           0

PACER INTL INC TENN               COM   69373H106         284      44,945  SH     DEFINED     01      10,815      34,130           0
PACER INTL INC TENN               COM   69373H106       2,211     349,860  SH     DEFINED  01,08      53,670     296,190           0
PACER INTL INC TENN               COM   69373H106         650     102,915  SH     DEFINED     09     102,915           0           0

PACIFIC BIOSCIENCES CALIF IN      COM   69404D108          88      25,663  SH     DEFINED     01       7,245      18,418           0
PACIFIC BIOSCIENCES CALIF IN      COM   69404D108       1,117     326,708  SH     DEFINED  01,08      31,699     295,009           0
PACIFIC BIOSCIENCES CALIF IN      COM   69404D108         316      92,449  SH     DEFINED     09      92,449           0           0

PACIFIC CAP BANCORP NEW           COM   69404P200         264       5,789  SH     DEFINED     01         789       5,000           0
PACIFIC CAP BANCORP NEW           COM   69404P200          27         600  SH     OTHER       01         600           0           0
PACIFIC CAP BANCORP NEW           COM   69404P200       1,961      43,005  SH     DEFINED  01,08       7,144      35,861           0
PACIFIC CAP BANCORP NEW           COM   69404P200         516      11,319  SH     DEFINED     09      11,319           0           0

PACIFIC CONTINENTAL CORP          COM   69412V108         187      19,868  SH     DEFINED     01       4,128      15,740           0
PACIFIC CONTINENTAL CORP          COM   69412V108       1,598     169,681  SH     DEFINED  01,08      21,395     148,286           0
PACIFIC CONTINENTAL CORP          COM   69412V108         453      48,044  SH     DEFINED     09      48,044           0           0

PACIFIC ETHANOL INC               COM   69423U206           3       2,379  SH     DEFINED     01         100       2,279           0
PACIFIC ETHANOL INC               COM   69423U206           2       1,500  SH     OTHER       01       1,500           0           0
PACIFIC ETHANOL INC               COM   69423U206          94      85,553  SH     DEFINED  01,08       1,707      83,846           0

PACIFIC MERCANTILE BANCORP        COM   694552100          17       3,105  SH     DEFINED     01           0       3,105           0
PACIFIC MERCANTILE BANCORP        COM   694552100          69      12,509  SH     DEFINED  01,08       3,678       8,831           0

PACIFIC SUNWEAR CALIF INC         COM   694873100         109      62,133  SH     DEFINED     01       5,718      56,415           0
PACIFIC SUNWEAR CALIF INC         COM   694873100         891     506,021  SH     DEFINED  01,08      75,702     430,319           0
PACIFIC SUNWEAR CALIF INC         COM   694873100         389     220,772  SH     DEFINED     09     220,772           0           0

PACIRA PHARMACEUTICALS INC        COM   695127100          59       5,129  SH     DEFINED     01       1,268       3,861           0
PACIRA PHARMACEUTICALS INC        COM   695127100         869      75,267  SH     DEFINED  01,08       6,066      69,201           0
PACIRA PHARMACEUTICALS INC        COM   695127100         352      30,525  SH     DEFINED     09      30,525           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    235
  ________

PACKAGING CORP AMER               COM   695156109       1,323      44,695  SH     DEFINED     01      34,847       9,598         250
PACKAGING CORP AMER               COM   695156109          20         675  SH     OTHER       01         600           0          75
PACKAGING CORP AMER               COM   695156109      18,349     620,116  SH     DEFINED  01,08      44,018     576,098           0

PACWEST BANCORP DEL               COM   695263103       1,109      45,630  SH     DEFINED     01      16,923      28,707           0
PACWEST BANCORP DEL               COM   695263103       7,329     301,615  SH     DEFINED  01,08      51,900     249,715           0
PACWEST BANCORP DEL               COM   695263103       2,155      88,676  SH     DEFINED     09      88,676           0           0

PAIN THERAPEUTICS INC             COM   69562K100         158      43,707  SH     DEFINED     01       6,326      37,381           0
PAIN THERAPEUTICS INC             COM   69562K100       1,270     350,766  SH     DEFINED  01,08      52,501     298,265           0
PAIN THERAPEUTICS INC             COM   69562K100         396     109,530  SH     DEFINED     09     109,530           0           0

PALATIN TECHNOLOGIES INC          COM   696077403           1         739  SH     DEFINED     01           0         739           0
PALATIN TECHNOLOGIES INC          COM   696077403          34      46,711  SH     DEFINED  01,08         991      45,720           0

PALL CORP                         COM   696429307       8,564     143,617  SH     DEFINED     01      81,118      61,789         710
PALL CORP                         COM   696429307         261       4,377  SH     OTHER       01       3,021         611         745
PALL CORP                         COM   696429307      51,983     871,762  SH     DEFINED  01,08     211,077     660,685           0
PALL CORP                         COM   696429307      16,653     279,266  SH     DEFINED     09     279,266           0           0

PALOMAR MED TECHNOLOGIES INC      COM   697529303         244      26,096  SH     DEFINED     01       9,050      17,046           0
PALOMAR MED TECHNOLOGIES INC      COM   697529303           3         285  SH     OTHER       01           0         285           0
PALOMAR MED TECHNOLOGIES INC      COM   697529303       1,793     191,933  SH     DEFINED  01,08      36,209     155,724           0
PALOMAR MED TECHNOLOGIES INC      COM   697529303         505      54,105  SH     DEFINED     09      54,105           0           0

PANASONIC CORP                    COM   69832A205       2,975     321,660  SH     DEFINED     01     210,314     111,346           0
PANASONIC CORP                    COM   69832A205         177      19,101  SH     OTHER       01       2,460      15,255       1,386
PANASONIC CORP                    COM   69832A205       1,413     152,760  SH     DEFINED  01,08     152,760           0           0

PANDORA MEDIA INC                 COM   698354107          92       9,034  SH     DEFINED     01         353       8,681           0
PANDORA MEDIA INC                 COM   698354107          10       1,000  SH     OTHER       01       1,000           0           0
PANDORA MEDIA INC                 COM   698354107       1,277     125,076  SH     DEFINED  01,08       1,867     123,209           0

PANERA BREAD CO                   COM   69840W108       2,917      18,126  SH     DEFINED     01      13,010       5,026          90
PANERA BREAD CO                   COM   69840W108          96         599  SH     OTHER       01         383         216           0
PANERA BREAD CO                   COM   69840W108      29,710     184,623  SH     DEFINED  01,08      10,929     173,694           0

PANHANDLE OIL AND GAS INC         COM   698477106         508      17,241  SH     DEFINED     01       1,752      15,489           0
PANHANDLE OIL AND GAS INC         COM   698477106       2,248      76,272  SH     DEFINED  01,08      17,994      58,278           0
PANHANDLE OIL AND GAS INC         COM   698477106         602      20,415  SH     DEFINED     09      20,415           0           0

PANTRY INC                        COM   698657103       2,071     159,162  SH     DEFINED     01       4,439     154,723           0
PANTRY INC                        COM   698657103       4,705     361,630  SH     DEFINED  01,08     168,184     193,446           0
PANTRY INC                        COM   698657103         937      72,046  SH     DEFINED     09      72,046           0           0

PAPA JOHNS INTL INC               COM   698813102       1,175      31,211  SH     DEFINED     01      10,182      21,029           0
PAPA JOHNS INTL INC               COM   698813102          53       1,400  SH     OTHER       01           0       1,400           0
PAPA JOHNS INTL INC               COM   698813102       7,139     189,567  SH     DEFINED  01,08      36,270     153,297           0
PAPA JOHNS INTL INC               COM   698813102       2,255      59,888  SH     DEFINED     09      59,888           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    236
  ________

PAR PHARMACEUTICAL COS INC        COM   69888P106       2,143      55,344  SH     DEFINED     01      18,675      36,669           0
PAR PHARMACEUTICAL COS INC        COM   69888P106      13,914     359,263  SH     DEFINED  01,08      65,198     294,065           0
PAR PHARMACEUTICAL COS INC        COM   69888P106       4,055     104,707  SH     DEFINED     09     104,707           0           0

PAR TECHNOLOGY CORP               COM   698884103          68      13,875  SH     DEFINED     01           0      13,875           0
PAR TECHNOLOGY CORP               COM   698884103         133      27,037  SH     DEFINED  01,08      13,270      13,767           0

PARAMETRIC TECHNOLOGY CORP        COM   699173209       5,602     200,485  SH     DEFINED     01      36,219     164,266           0
PARAMETRIC TECHNOLOGY CORP        COM   699173209          28       1,000  SH     OTHER       01           0       1,000           0
PARAMETRIC TECHNOLOGY CORP        COM   699173209      42,835   1,533,122  SH     DEFINED  01,08     231,181   1,301,941           0
PARAMETRIC TECHNOLOGY CORP        COM   699173209      10,074     360,574  SH     DEFINED     09     360,574           0           0

PARAMOUNT GOLD & SILVER CORP      COM   69924P102         185      81,893  SH     DEFINED     01      27,970      53,923           0
PARAMOUNT GOLD & SILVER CORP      COM   69924P102       1,993     882,055  SH     DEFINED  01,08     101,611     780,444           0
PARAMOUNT GOLD & SILVER CORP      COM   69924P102         746     329,960  SH     DEFINED     09     329,960           0           0

PAREXEL INTL CORP                 COM   699462107       2,395      88,794  SH     DEFINED     01      29,316      59,478           0
PAREXEL INTL CORP                 COM   699462107          21         780  SH     OTHER       01         780           0           0
PAREXEL INTL CORP                 COM   699462107      15,892     589,265  SH     DEFINED  01,08     107,010     482,255           0
PAREXEL INTL CORP                 COM   699462107       4,620     171,288  SH     DEFINED     09     171,288           0           0

PARK ELECTROCHEMICAL CORP         COM   700416209       3,676     121,603  SH     DEFINED     01      30,277      90,531         795
PARK ELECTROCHEMICAL CORP         COM   700416209          18         590  SH     OTHER       01         590           0           0
PARK ELECTROCHEMICAL CORP         COM   700416209       8,347     276,123  SH     DEFINED  01,08     105,996     170,127           0
PARK ELECTROCHEMICAL CORP         COM   700416209       1,808      59,806  SH     DEFINED     09      59,806           0           0

PARK NATL CORP                    COM   700658107       3,982      57,562  SH     DEFINED     01       6,224      51,338           0
PARK NATL CORP                    COM   700658107      12,298     177,791  SH     DEFINED  01,08      68,945     108,846           0
PARK NATL CORP                    COM   700658107       2,695      38,966  SH     DEFINED     09      38,966           0           0

PARK OHIO HLDGS CORP              COM   700666100         203      10,129  SH     DEFINED     01       1,825       8,304           0
PARK OHIO HLDGS CORP              COM   700666100       1,513      75,461  SH     DEFINED  01,08      10,953      64,508           0
PARK OHIO HLDGS CORP              COM   700666100         427      21,292  SH     DEFINED     09      21,292           0           0

PARK STERLING CORP                COM   70086Y105         129      26,824  SH     DEFINED     01       7,378      16,186       3,260
PARK STERLING CORP                COM   70086Y105       1,332     277,443  SH     DEFINED  01,08      30,560     246,883           0
PARK STERLING CORP                COM   70086Y105         438      91,174  SH     DEFINED     09      91,174           0           0

PARKER DRILLING CO                COM   701081101       4,667     781,773  SH     DEFINED     01      33,314     748,224         235
PARKER DRILLING CO                COM   701081101      11,021   1,846,089  SH     DEFINED  01,08     884,234     961,855           0
PARKER DRILLING CO                COM   701081101       2,033     340,591  SH     DEFINED     09     340,591           0           0

PARKER HANNIFIN CORP              COM   701094104      17,928     212,039  SH     DEFINED     01     125,184      86,306         549
PARKER HANNIFIN CORP              COM   701094104      20,834     246,413  SH     OTHER       01     176,394       1,168      68,851
PARKER HANNIFIN CORP              COM   701094104      97,478   1,152,900  SH     DEFINED  01,08     297,214     855,686           0
PARKER HANNIFIN CORP              COM   701094104      31,878     377,027  SH     DEFINED     09     377,027           0           0

PARKERVISION INC                  COM   701354102           8       7,493  SH     DEFINED     01         200       7,293           0
PARKERVISION INC                  COM   701354102          78      72,767  SH     DEFINED  01,08       5,835      66,932           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    237
  ________

PARKWAY PPTYS INC                 COM   70159Q104         505      48,196  SH     DEFINED     01      10,588      37,608           0
PARKWAY PPTYS INC                 COM   70159Q104       2,902     276,873  SH     DEFINED  01,08      87,233     189,640           0
PARKWAY PPTYS INC                 COM   70159Q104         720      68,682  SH     DEFINED     09      68,682           0           0

PARLUX FRAGRANCES INC             COM   701645103          88      15,468  SH     DEFINED     01           0      15,468           0
PARLUX FRAGRANCES INC             COM   701645103         102      18,106  SH     DEFINED  01,08           0      18,106           0

PATRICK INDS INC                  COM   703343103          56       4,571  SH     DEFINED     01           0       4,571           0
PATRICK INDS INC                  COM   703343103         103       8,458  SH     DEFINED  01,08       3,893       4,565           0

PATRIOT COAL CORP                 COM   70336T104         741     118,740  SH     DEFINED     01      25,751      92,989           0
PATRIOT COAL CORP                 COM   70336T104           3         472  SH     OTHER       01         472           0           0
PATRIOT COAL CORP                 COM   70336T104       7,091   1,136,424  SH     DEFINED  01,08     142,856     993,568           0
PATRIOT COAL CORP                 COM   70336T104       1,591     254,937  SH     DEFINED     09     254,937           0           0

PATRIOT TRANSN HLDG INC           COM   70337B102         296      12,721  SH     DEFINED     01       1,190      11,531           0
PATRIOT TRANSN HLDG INC           COM   70337B102       1,445      62,045  SH     DEFINED  01,08      12,628      49,417           0
PATRIOT TRANSN HLDG INC           COM   70337B102         281      12,064  SH     DEFINED     09      12,064           0           0

PATTERSON COMPANIES INC           COM   703395103       8,669     259,559  SH     DEFINED     01     199,145      57,878       2,536
PATTERSON COMPANIES INC           COM   703395103      68,545   2,052,238  SH     OTHER       01       3,728   2,048,510           0
PATTERSON COMPANIES INC           COM   703395103      22,564     675,579  SH     DEFINED  01,08     168,757     506,822           0
PATTERSON COMPANIES INC           COM   703395103       7,688     230,185  SH     DEFINED     09     230,185           0           0

PATTERSON UTI ENERGY INC          COM   703481101       1,071      61,950  SH     DEFINED     01      38,541      23,409           0
PATTERSON UTI ENERGY INC          COM   703481101          43       2,495  SH     OTHER       01           0       2,400          95
PATTERSON UTI ENERGY INC          COM   703481101      16,811     972,302  SH     DEFINED  01,08      73,225     899,077           0
PATTERSON UTI ENERGY INC          COM   703481101         312      18,029  SH     DEFINED     09      18,029           0           0

PAYCHEX INC                       COM   704326107      21,237     685,283  SH     DEFINED     01     475,714     190,376      19,193
PAYCHEX INC                       COM   704326107       5,186     167,329  SH     OTHER       01     113,214      29,627      24,488
PAYCHEX INC                       COM   704326107      76,590   2,471,436  SH     DEFINED  01,08     641,147   1,830,289           0
PAYCHEX INC                       COM   704326107      24,739     798,290  SH     DEFINED     09     798,290           0           0

PEABODY ENERGY CORP            CONV DEB 704549AG9       4,750   5,000,000  PRN    DEFINED     01     600,000   4,400,000           0
PEABODY ENERGY CORP            CONV DEB 704549AG9       4,180   4,400,000  PRN    DEFINED  01,08   4,400,000           0           0

PEABODY ENERGY CORP               COM   704549104       8,451     291,808  SH     DEFINED     01     144,511     144,714       2,583
PEABODY ENERGY CORP               COM   704549104         742      25,622  SH     OTHER       01      21,462       3,670         490
PEABODY ENERGY CORP               COM   704549104      57,584   1,988,391  SH     DEFINED  01,08     444,401   1,543,990           0
PEABODY ENERGY CORP               COM   704549104      18,492     638,544  SH     DEFINED     09     638,544           0           0

PEAPACK-GLADSTONE FINL CORP       COM   704699107          77       5,720  SH     DEFINED     01          60       5,660           0
PEAPACK-GLADSTONE FINL CORP       COM   704699107         202      14,975  SH     DEFINED  01,08       4,602      10,373           0

PEARSON PLC                       COM   705015105       5,397     288,016  SH     DEFINED     01     266,082      21,934           0
PEARSON PLC                       COM   705015105         457      24,372  SH     OTHER       01       8,496      12,586       3,290
PEARSON PLC                       COM   705015105       1,353      72,200  SH     DEFINED  01,08      72,200           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    238
  ________

PEBBLEBROOK HOTEL TR              COM   70509V100       1,068      47,298  SH     DEFINED     01      14,484      32,814           0
PEBBLEBROOK HOTEL TR              COM   70509V100      12,117     536,646  SH     DEFINED  01,08     127,385     409,261           0
PEBBLEBROOK HOTEL TR              COM   70509V100       4,119     182,402  SH     DEFINED     09     182,402           0           0

PEERLESS SYS CORP                 COM   705536100           6       1,500  SH     DEFINED     01           0       1,500           0
PEERLESS SYS CORP                 COM   705536100          37       9,810  SH     DEFINED  01,08           0       9,810           0

PEETS COFFEE & TEA INC            COM   705560100       4,084      55,412  SH     DEFINED     01      38,812      16,256         344
PEETS COFFEE & TEA INC            COM   705560100         115       1,557  SH     OTHER       01         862         575         120
PEETS COFFEE & TEA INC            COM   705560100       9,488     128,744  SH     DEFINED  01,08      24,658     104,086           0
PEETS COFFEE & TEA INC            COM   705560100       2,817      38,219  SH     DEFINED     09      38,219           0           0

PEGASYSTEMS INC                   COM   705573103       3,048      79,867  SH     DEFINED     01      45,176      32,856       1,835
PEGASYSTEMS INC                   COM   705573103         232       6,076  SH     OTHER       01       2,830       3,116         130
PEGASYSTEMS INC                   COM   705573103       6,512     170,653  SH     DEFINED  01,08      35,055     135,598           0
PEGASYSTEMS INC                   COM   705573103       1,686      44,175  SH     DEFINED     09      44,175           0           0

PENDRELL CORP                     COM   70686R104         511     195,964  SH     DEFINED     01      17,802     178,162           0
PENDRELL CORP                     COM   70686R104       3,769   1,444,222  SH     DEFINED  01,08     249,678   1,194,544           0
PENDRELL CORP                     COM   70686R104       1,186     454,253  SH     DEFINED     09     454,253           0           0

PENFORD CORP                      COM   707051108         196      29,042  SH     DEFINED     01      25,080       3,962           0
PENFORD CORP                      COM   707051108         141      20,929  SH     DEFINED  01,08       2,686      18,243           0

PENGROWTH ENERGY CORP             COM   70706P104         193      20,480  SH     DEFINED     01      20,480           0           0
PENGROWTH ENERGY CORP             COM   70706P104          56       6,000  SH     OTHER       01           0           0       6,000
PENGROWTH ENERGY CORP             COM   70706P104         150      16,000  SH     DEFINED  01,08      16,000           0           0

PENN NATL GAMING INC              COM   707569109         738      17,176  SH     DEFINED     01      10,604       6,572           0
PENN NATL GAMING INC              COM   707569109           3          76  SH     OTHER       01           0           0          76
PENN NATL GAMING INC              COM   707569109       9,840     228,952  SH     DEFINED  01,08      24,082     204,870           0

PENN VA CORP                      COM   707882106         437      96,035  SH     DEFINED     01      47,745      48,290           0
PENN VA CORP                      COM   707882106       2,154     473,498  SH     DEFINED  01,08      99,334     374,164           0
PENN VA CORP                      COM   707882106         606     133,251  SH     DEFINED     09     133,251           0           0

PENN VA RESOURCES PARTNERS L      COM   707884102          81       3,690  SH     DEFINED     01       3,690           0           0
PENN VA RESOURCES PARTNERS L      COM   707884102          44       2,000  SH     OTHER       01       2,000           0           0
PENN VA RESOURCES PARTNERS L      COM   707884102         749      34,293  SH     DEFINED  01,08      34,293           0           0

PENN WEST PETE LTD NEW            COM   707887105       3,859     197,200  SH     DEFINED     01     193,390       1,975       1,835
PENN WEST PETE LTD NEW            COM   707887105         340      17,355  SH     OTHER       01      14,200       2,005       1,150
PENN WEST PETE LTD NEW            COM   707887105         466      23,818  SH     DEFINED  01,08      23,818           0           0

PENNANTPARK INVT CORP             COM   708062104         434      41,737  SH     DEFINED     01      14,873      26,864           0
PENNANTPARK INVT CORP             COM   708062104       4,419     424,875  SH     DEFINED  01,08      61,234     363,641           0
PENNANTPARK INVT CORP             COM   708062104       1,474     141,728  SH     DEFINED     09     141,728           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    239
  ________

PENNEY J C INC                    COM   708160106      14,289     403,294  SH     DEFINED     01     296,743     102,432       4,119
PENNEY J C INC                    COM   708160106         668      18,861  SH     OTHER       01      10,689       7,952         220
PENNEY J C INC                    COM   708160106      39,912   1,126,496  SH     DEFINED  01,08     276,386     850,110           0
PENNEY J C INC                    COM   708160106      13,679     386,078  SH     DEFINED     09     386,078           0           0

PENNS WOODS BANCORP INC           COM   708430103         159       3,882  SH     DEFINED     01       1,007       2,875           0
PENNS WOODS BANCORP INC           COM   708430103       1,483      36,286  SH     DEFINED  01,08       5,795      30,491           0
PENNS WOODS BANCORP INC           COM   708430103         449      10,992  SH     DEFINED     09      10,992           0           0

PENNSYLVANIA RL ESTATE INVT       COM   709102107       4,042     264,719  SH     DEFINED     01      29,587     235,132           0
PENNSYLVANIA RL ESTATE INVT       COM   709102107      12,728     833,541  SH     DEFINED  01,08     380,872     452,669           0
PENNSYLVANIA RL ESTATE INVT       COM   709102107       2,787     182,514  SH     DEFINED     09     182,514           0           0

PENNYMAC MTG INVT TR              COM   70931T103         658      35,267  SH     DEFINED     01       9,790      25,477           0
PENNYMAC MTG INVT TR              COM   70931T103       5,146     275,609  SH     DEFINED  01,08      49,763     225,846           0
PENNYMAC MTG INVT TR              COM   70931T103       1,432      76,712  SH     DEFINED     09      76,712           0           0

PENSKE AUTOMOTIVE GRP INC         COM   70959W103       7,267     295,039  SH     DEFINED     01      45,763     249,276           0
PENSKE AUTOMOTIVE GRP INC         COM   70959W103          76       3,066  SH     OTHER       01       2,016       1,050           0
PENSKE AUTOMOTIVE GRP INC         COM   70959W103      15,508     629,628  SH     DEFINED  01,08     264,319     365,309           0
PENSKE AUTOMOTIVE GRP INC         COM   70959W103       3,156     128,150  SH     DEFINED     09     128,150           0           0

PENSON WORLDWIDE INC              COM   709600100           7      10,936  SH     DEFINED     01           0      10,936           0
PENSON WORLDWIDE INC              COM   709600100          33      49,131  SH     DEFINED  01,08      12,845      36,286           0

PENTAIR INC                       COM   709631105       1,541      32,367  SH     DEFINED     01      18,663      13,704           0
PENTAIR INC                       COM   709631105         262       5,500  SH     OTHER       01       5,500           0           0
PENTAIR INC                       COM   709631105      28,926     607,567  SH     DEFINED  01,08      34,652     572,915           0
PENTAIR INC                       COM   709631105       5,686     119,429  SH     DEFINED     09     119,429           0           0

PEOPLES BANCORP INC               COM   709789101         397      22,621  SH     DEFINED     01       2,814      19,807           0
PEOPLES BANCORP INC               COM   709789101       1,916     109,249  SH     DEFINED  01,08      26,896      82,353           0
PEOPLES BANCORP INC               COM   709789101         490      27,942  SH     DEFINED     09      27,942           0           0

PEOPLES FINL CORP MISS            COM   71103B102          23       2,340  SH     DEFINED     01           0       2,340           0
PEOPLES FINL CORP MISS            COM   71103B102         102      10,369  SH     DEFINED  01,08       2,926       7,443           0

PEOPLES UNITED FINANCIAL INC      COM   712704105       8,694     657,154  SH     DEFINED     01     449,492     192,248      15,414
PEOPLES UNITED FINANCIAL INC      COM   712704105         183      13,862  SH     OTHER       01      11,368       2,110         384
PEOPLES UNITED FINANCIAL INC      COM   712704105      35,397   2,675,510  SH     DEFINED  01,08     624,177   2,051,333           0
PEOPLES UNITED FINANCIAL INC      COM   712704105      11,383     860,361  SH     DEFINED     09     860,361           0           0

PEP BOYS MANNY MOE & JACK         COM   713278109       3,212     215,306  SH     DEFINED     01      28,142     187,164           0
PEP BOYS MANNY MOE & JACK         COM   713278109           0           3  SH     OTHER       01           0           3           0
PEP BOYS MANNY MOE & JACK         COM   713278109       9,884     662,439  SH     DEFINED  01,08     237,552     424,887           0
PEP BOYS MANNY MOE & JACK         COM   713278109       2,228     149,340  SH     DEFINED     09     149,340           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    240
  ________

PEPCO HOLDINGS INC                COM   713291102       5,795     306,775  SH     DEFINED     01     186,057     118,532       2,186
PEPCO HOLDINGS INC                COM   713291102         230      12,183  SH     OTHER       01       9,935          68       2,180
PEPCO HOLDINGS INC                COM   713291102      32,300   1,709,888  SH     DEFINED  01,08     431,555   1,278,333           0
PEPCO HOLDINGS INC                COM   713291102       9,981     528,398  SH     DEFINED     09     528,398           0           0

PEPSICO INC                       COM   713448108     327,818   4,940,740  SH     DEFINED     01   2,993,783   1,799,824     147,133
PEPSICO INC                       COM   713448108      84,287   1,270,343  SH     OTHER       01     882,769     217,109     170,465
PEPSICO INC                       COM   713448108     782,694  11,796,445  SH     DEFINED  01,08   2,834,107   8,955,720       6,618
PEPSICO INC                       COM   713448108     254,423   3,834,566  SH     DEFINED     09   3,834,566           0           0

PERCEPTRON INC                    COM   71361F100          42       7,269  SH     DEFINED     01           0       7,269           0
PERCEPTRON INC                    COM   71361F100          99      17,017  SH     DEFINED  01,08       5,743      11,274           0

PEREGRINE PHARMACEUTICALS IN      COM   713661304          31      58,011  SH     DEFINED     01       7,939      50,072           0
PEREGRINE PHARMACEUTICALS IN      COM   713661304         347     643,060  SH     DEFINED  01,08      76,913     566,147           0
PEREGRINE PHARMACEUTICALS IN      COM   713661304         132     243,908  SH     DEFINED     09     243,908           0           0

PERFICIENT INC                    COM   71375U101         460      38,268  SH     DEFINED     01      13,420      24,848           0
PERFICIENT INC                    COM   71375U101       3,132     260,820  SH     DEFINED  01,08      50,093     210,727           0
PERFICIENT INC                    COM   71375U101         810      67,437  SH     DEFINED     09      67,437           0           0

PERFORMANCE TECHNOLOGIES INC      COM   71376K102          21       8,231  SH     DEFINED     01           0       8,231           0
PERFORMANCE TECHNOLOGIES INC      COM   71376K102          58      22,585  SH     DEFINED  01,08       8,348      14,237           0

PERICOM SEMICONDUCTOR CORP        COM   713831105       1,995     246,553  SH     DEFINED     01      13,804     232,749           0
PERICOM SEMICONDUCTOR CORP        COM   713831105       3,681     454,998  SH     DEFINED  01,08     253,445     201,553           0
PERICOM SEMICONDUCTOR CORP        COM   713831105         646      79,892  SH     DEFINED     09      79,892           0           0

PERKINELMER INC                   COM   714046109       4,195     151,650  SH     DEFINED     01      91,868      59,563         219
PERKINELMER INC                   COM   714046109          48       1,718  SH     OTHER       01       1,619          99           0
PERKINELMER INC                   COM   714046109      23,292     842,096  SH     DEFINED  01,08     218,197     623,899           0
PERKINELMER INC                   COM   714046109       3,373     121,943  SH     DEFINED     09     121,943           0           0

PERMA-FIX ENVIRONMENTAL SVCS      COM   714157104          27      17,129  SH     DEFINED     01           0      17,129           0
PERMA-FIX ENVIRONMENTAL SVCS      COM   714157104         137      86,046  SH     DEFINED  01,08      19,330      66,716           0

PERNIX THERAPEUTICS HLDGS IN      COM   71426V108          41       4,508  SH     DEFINED     01         302       4,206           0
PERNIX THERAPEUTICS HLDGS IN      COM   71426V108         277      30,756  SH     DEFINED  01,08       4,221      26,535           0

PERRIGO CO                        COM   714290103      19,298     186,795  SH     DEFINED     01     117,647      67,783       1,365
PERRIGO CO                        COM   714290103         528       5,109  SH     OTHER       01       1,596       3,463          50
PERRIGO CO                        COM   714290103      69,636     674,048  SH     DEFINED  01,08     163,744     510,304           0
PERRIGO CO                        COM   714290103      22,227     215,152  SH     DEFINED     09     215,152           0           0

P T TELEKOMUNIKASI INDONESIA      COM   715684106       1,121      36,910  SH     DEFINED     01       9,124      27,786           0
P T TELEKOMUNIKASI INDONESIA      COM   715684106         239       7,876  SH     OTHER       01           0       7,876           0
P T TELEKOMUNIKASI INDONESIA      COM   715684106         294       9,682  SH     DEFINED  01,08       9,682           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    241
  ________

PERVASIVE SOFTWARE INC            COM   715710109          61      10,199  SH     DEFINED     01           0      10,199           0
PERVASIVE SOFTWARE INC            COM   715710109         170      28,440  SH     DEFINED  01,08       9,948      18,492           0

PETMED EXPRESS INC                COM   716382106         471      38,044  SH     DEFINED     01      10,539      27,505           0
PETMED EXPRESS INC                COM   716382106       3,051     246,409  SH     DEFINED  01,08      76,033     170,376           0
PETMED EXPRESS INC                COM   716382106         849      68,565  SH     DEFINED     09      68,565           0           0

PETROCHINA CO LTD                 COM   71646E100       5,078      36,133  SH     DEFINED     01      35,252         881           0
PETROCHINA CO LTD                 COM   71646E100         589       4,188  SH     OTHER       01       3,543         645           0
PETROCHINA CO LTD                 COM   71646E100       1,272       9,052  SH     DEFINED  01,08       9,052           0           0

PETROLEO BRASILEIRO SA PETRO      COM   71654V101      14,070     550,474  SH     DEFINED     01     522,364      22,792       5,318
PETROLEO BRASILEIRO SA PETRO      COM   71654V101         936      36,609  SH     OTHER       01      16,952      18,997         660
PETROLEO BRASILEIRO SA PETRO      COM   71654V101       8,697     340,258  SH     DEFINED  01,08     340,258           0           0

PETROLEO BRASILEIRO SA PETRO      COM   71654V408       1,912      71,997  SH     DEFINED     01      71,014         983           0
PETROLEO BRASILEIRO SA PETRO      COM   71654V408         311      11,693  SH     OTHER       01       7,016       2,442       2,235
PETROLEO BRASILEIRO SA PETRO      COM   71654V408       6,709     252,610  SH     DEFINED  01,08     252,610           0           0

PETROLEUM DEV CORP                COM   716578109       6,215     167,552  SH     DEFINED     01      14,666     152,886           0
PETROLEUM DEV CORP                COM   716578109      14,072     379,411  SH     DEFINED  01,08     188,194     191,217           0
PETROLEUM DEV CORP                COM   716578109       2,607      70,296  SH     DEFINED     09      70,296           0           0

PETROQUEST ENERGY INC             COM   716748108         514      83,675  SH     DEFINED     01      27,694      55,981           0
PETROQUEST ENERGY INC             COM   716748108       3,554     578,791  SH     DEFINED  01,08     110,677     468,114           0
PETROQUEST ENERGY INC             COM   716748108         987     160,784  SH     DEFINED     09     160,784           0           0

PETSMART INC                      COM   716768106       2,862      50,015  SH     DEFINED     01      38,529      11,254         232
PETSMART INC                      COM   716768106         442       7,732  SH     OTHER       01       3,669       3,988          75
PETSMART INC                      COM   716768106      40,711     711,489  SH     DEFINED  01,08      51,660     659,829           0
PETSMART INC                      COM   716768106      10,971     191,737  SH     DEFINED     09     191,737           0           0

PHARMACYCLICS INC                 COM   716933106       1,156      41,642  SH     DEFINED     01      12,273      29,369           0
PHARMACYCLICS INC                 COM   716933106      11,817     425,677  SH     DEFINED  01,08      48,379     377,298           0
PHARMACYCLICS INC                 COM   716933106       3,965     142,829  SH     DEFINED     09     142,829           0           0

PFIZER INC                        COM   717081103     300,926  13,288,866  SH     DEFINED     01   7,926,566   4,982,144     380,156
PFIZER INC                        COM   717081103      62,605   2,764,629  SH     OTHER       01   1,725,070     708,263     331,296
PFIZER INC                        COM   717081103   1,331,072  58,779,946  SH     DEFINED  01,08  15,500,655  43,138,191     141,100
PFIZER INC                        COM   717081103     442,912  19,558,933  SH     DEFINED     09  19,558,933           0           0

PFSWEB INC                        COM   717098206          19       4,701  SH     DEFINED     01           0       4,701           0
PFSWEB INC                        COM   717098206          85      21,462  SH     DEFINED  01,08       3,408      18,054           0

PHARMERICA CORP                   COM   71714F104         648      52,141  SH     DEFINED     01      13,813      38,328           0
PHARMERICA CORP                   COM   71714F104       3,768     303,156  SH     DEFINED  01,08      64,997     238,159           0
PHARMERICA CORP                   COM   71714F104       1,132      91,094  SH     DEFINED     09      91,094           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    242
  ________

PHARMATHENE INC                   COM   71714G102          34      19,070  SH     DEFINED     01       4,078      14,992           0
PHARMATHENE INC                   COM   71714G102         569     321,280  SH     DEFINED  01,08      30,342     290,938           0
PHARMATHENE INC                   COM   71714G102         201     113,484  SH     DEFINED     09     113,484           0           0

PHILIP MORRIS INTL INC            COM   718172109     313,791   3,541,263  SH     DEFINED     01   2,471,534   1,004,994      64,735
PHILIP MORRIS INTL INC            COM   718172109      45,936     518,409  SH     OTHER       01     392,108      70,951      55,350
PHILIP MORRIS INTL INC            COM   718172109   1,127,358  12,722,698  SH     DEFINED  01,08   2,835,735   9,856,513      30,450
PHILIP MORRIS INTL INC            COM   718172109     390,628   4,408,393  SH     DEFINED     09   4,408,393           0           0

PHILIPPINE LONG DISTANCE TEL      COM   718252604         101       1,622  SH     DEFINED     01       1,393         229           0
PHILIPPINE LONG DISTANCE TEL      COM   718252604         136       2,183  SH     OTHER       01           0       2,183           0

PHOENIX COS INC NEW               COM   71902E109         301     122,964  SH     DEFINED     01      24,181      98,783           0
PHOENIX COS INC NEW               COM   71902E109           0         144  SH     OTHER       01           0         144           0
PHOENIX COS INC NEW               COM   71902E109       2,684   1,095,666  SH     DEFINED  01,08     154,717     940,949           0
PHOENIX COS INC NEW               COM   71902E109         840     342,952  SH     DEFINED     09     342,952           0           0

PHOTRONICS INC                    COM   719405102       1,617     243,168  SH     DEFINED     01      16,027     227,141           0
PHOTRONICS INC                    COM   719405102       5,045     758,624  SH     DEFINED  01,08     275,673     482,951           0
PHOTRONICS INC                    COM   719405102       1,112     167,269  SH     DEFINED     09     167,269           0           0

PIEDMONT NAT GAS INC              COM   720186105       5,626     181,059  SH     DEFINED     01     104,386      72,926       3,747
PIEDMONT NAT GAS INC              COM   720186105          47       1,517  SH     OTHER       01       1,062         455           0
PIEDMONT NAT GAS INC              COM   720186105      21,888     704,465  SH     DEFINED  01,08     124,964     579,501           0
PIEDMONT NAT GAS INC              COM   720186105       6,511     209,557  SH     DEFINED     09     209,557           0           0

PIEDMONT OFFICE REALTY TR IN      COM   720190206       1,120      63,076  SH     DEFINED     01      47,916      15,160           0
PIEDMONT OFFICE REALTY TR IN      COM   720190206          32       1,825  SH     OTHER       01       1,750           0          75
PIEDMONT OFFICE REALTY TR IN      COM   720190206      14,610     823,075  SH     DEFINED  01,08     299,994     523,081           0
PIEDMONT OFFICE REALTY TR IN      COM   720190206       1,356      76,396  SH     DEFINED     09      76,396           0           0

PIER 1 IMPORTS INC                COM   720279108       2,796     153,789  SH     DEFINED     01      66,448      87,341           0
PIER 1 IMPORTS INC                COM   720279108          13         728  SH     OTHER       01         509         219           0
PIER 1 IMPORTS INC                COM   720279108      17,231     947,786  SH     DEFINED  01,08     143,980     803,806           0
PIER 1 IMPORTS INC                COM   720279108       5,551     305,320  SH     DEFINED     09     305,320           0           0

PIKE ELEC CORP                    COM   721283109         487      59,161  SH     DEFINED     01      38,474      20,687           0
PIKE ELEC CORP                    COM   721283109       1,365     165,876  SH     DEFINED  01,08      31,979     133,897           0
PIKE ELEC CORP                    COM   721283109         374      45,470  SH     DEFINED     09      45,470           0           0

PILGRIMS PRIDE CORP NEW           COM   72147K108         375      50,319  SH     DEFINED     01      15,222      35,097           0
PILGRIMS PRIDE CORP NEW           COM   72147K108       4,081     547,084  SH     DEFINED  01,08      60,641     486,443           0
PILGRIMS PRIDE CORP NEW           COM   72147K108       1,615     216,444  SH     DEFINED     09     216,444           0           0

PIMCO CALIF MUN INCOME FD II   UNDEFIND 72200M108           4      45,074         DEFINED     01      45,074           0           0

PIMCO CORPORATE & INCOME OPP   UNDEFIND 72201B101          50       1,803         DEFINED     01       1,803           0           0
PIMCO CORPORATE & INCOME OPP   UNDEFIND 72201B101         200      10,000         OTHER       01      10,000           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    243
  ________

PIMCO HIGH INCOME FD           UNDEFIND 722014107           2      18,596         DEFINED     01      18,596           0           0

PINNACLE AIRL CORP                COM   723443107           5       3,505  SH     DEFINED     01           0       3,505           0
PINNACLE AIRL CORP                COM   723443107          44      32,660  SH     DEFINED  01,08       3,505      29,155           0

PINNACLE ENTMT INC                COM   723456109       1,009      87,689  SH     DEFINED     01      30,263      57,326         100
PINNACLE ENTMT INC                COM   723456109       7,063     613,666  SH     DEFINED  01,08     105,041     508,625           0
PINNACLE ENTMT INC                COM   723456109       2,083     180,960  SH     DEFINED     09     180,960           0           0

PINNACLE FINL PARTNERS INC        COM   72346Q104       2,400     130,811  SH     DEFINED     01      19,387     111,424           0
PINNACLE FINL PARTNERS INC        COM   72346Q104       7,758     422,792  SH     DEFINED  01,08     142,618     280,174           0
PINNACLE FINL PARTNERS INC        COM   72346Q104       1,895     103,246  SH     DEFINED     09     103,246           0           0

PINNACLE WEST CAP CORP            COM   723484101       6,145     128,284  SH     DEFINED     01      69,806      58,322         156
PINNACLE WEST CAP CORP            COM   723484101         251       5,239  SH     OTHER       01       2,128       3,031          80
PINNACLE WEST CAP CORP            COM   723484101      38,942     812,984  SH     DEFINED  01,08     197,996     614,988           0
PINNACLE WEST CAP CORP            COM   723484101      12,626     263,583  SH     DEFINED     09     263,583           0           0

PIONEER DRILLING CO               COM   723655106         802      91,116  SH     DEFINED     01      29,478      61,638           0
PIONEER DRILLING CO               COM   723655106       5,271     598,937  SH     DEFINED  01,08      96,752     502,185           0
PIONEER DRILLING CO               COM   723655106       1,591     180,834  SH     DEFINED     09     180,834           0           0

PIONEER NAT RES CO                COM   723787107      19,905     178,376  SH     DEFINED     01     106,989      69,264       2,123
PIONEER NAT RES CO                COM   723787107         481       4,311  SH     OTHER       01       2,603       1,634          74
PIONEER NAT RES CO                COM   723787107     101,575     910,253  SH     DEFINED  01,08     219,053     691,200           0
PIONEER NAT RES CO                COM   723787107      32,923     295,038  SH     DEFINED     09     295,038           0           0

PIPER JAFFRAY COS                 COM   724078100       1,459      54,810  SH     DEFINED     01      10,754      41,555       2,501
PIPER JAFFRAY COS                 COM   724078100          26         975  SH     OTHER       01           0         975           0
PIPER JAFFRAY COS                 COM   724078100       4,992     187,543  SH     DEFINED  01,08      52,388     135,155           0
PIPER JAFFRAY COS                 COM   724078100       1,219      45,792  SH     DEFINED     09      45,792           0           0

PITNEY BOWES INC                  COM   724479100       4,571     260,013  SH     DEFINED     01     140,211     119,775          27
PITNEY BOWES INC                  COM   724479100         213      12,093  SH     OTHER       01       2,055       6,800       3,238
PITNEY BOWES INC                  COM   724479100      27,091   1,540,996  SH     DEFINED  01,08     453,922   1,087,074           0
PITNEY BOWES INC                  COM   724479100       8,638     491,361  SH     DEFINED     09     491,361           0           0

PIXELWORKS INC                    COM   72581M305          15       6,758  SH     DEFINED     01           0       6,758           0
PIXELWORKS INC                    COM   72581M305          54      23,720  SH     DEFINED  01,08       4,093      19,627           0

PIZZA INN HOLDINGS INC            COM   725846109          12       2,417  SH     DEFINED     01           0       2,417           0
PIZZA INN HOLDINGS INC            COM   725846109          47       9,750  SH     DEFINED  01,08       2,217       7,533           0

PLAINS ALL AMERN PIPELINE L       COM   726503105       6,359      81,062  SH     DEFINED     01      77,982       1,880       1,200
PLAINS ALL AMERN PIPELINE L       COM   726503105       1,087      13,860  SH     OTHER       01      12,270       1,390         200
PLAINS ALL AMERN PIPELINE L       COM   726503105       5,405      68,894  SH     DEFINED  01,08      68,894           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    244
  ________

PLAINS EXPL& PRODTN CO            COM   726505100       2,237      52,443  SH     DEFINED     01      36,529      15,644         270
PLAINS EXPL& PRODTN CO            COM   726505100         153       3,577  SH     OTHER       01       3,323           0         254
PLAINS EXPL& PRODTN CO            COM   726505100      35,694     836,908  SH     DEFINED  01,08      59,086     777,822           0
PLAINS EXPL& PRODTN CO            COM   726505100       8,840     207,268  SH     DEFINED     09     207,268           0           0

PLANAR SYS INC                    COM   726900103          22       9,148  SH     DEFINED     01           0       9,148           0
PLANAR SYS INC                    COM   726900103          62      25,722  SH     DEFINED  01,08       6,620      19,102           0

PLANTRONICS INC NEW               COM   727493108       8,546     212,272  SH     DEFINED     01      52,955     157,722       1,595
PLANTRONICS INC NEW               COM   727493108          44       1,100  SH     OTHER       01       1,100           0           0
PLANTRONICS INC NEW               COM   727493108      26,474     657,573  SH     DEFINED  01,08     185,499     472,074           0
PLANTRONICS INC NEW               COM   727493108       5,611     139,379  SH     DEFINED     09     139,379           0           0

PLEXUS CORP                       COM   729132100       5,379     153,741  SH     DEFINED     01      19,137     134,604           0
PLEXUS CORP                       COM   729132100      16,143     461,369  SH     DEFINED  01,08     170,533     290,836           0
PLEXUS CORP                       COM   729132100       4,049     115,720  SH     DEFINED     09     115,720           0           0

PLUG POWER INC                    COM   72919P202          27      20,359  SH     DEFINED     01       1,885      18,474           0
PLUG POWER INC                    COM   72919P202          53      40,268  SH     DEFINED  01,08      16,198      24,070           0

PLUM CREEK TIMBER CO INC          COM   729251108      12,189     293,289  SH     DEFINED     01     203,627      86,317       3,345
PLUM CREEK TIMBER CO INC          COM   729251108       1,291      31,061  SH     OTHER       01      14,613      14,701       1,747
PLUM CREEK TIMBER CO INC          COM   729251108      52,066   1,252,803  SH     DEFINED  01,08     332,449     920,354           0
PLUM CREEK TIMBER CO INC          COM   729251108      15,043     361,970  SH     DEFINED     09     361,970           0           0

POINT 360                         COM   730507100           4       5,144  SH     DEFINED     01         200       4,944           0
POINT 360                         COM   730507100           9      11,815  SH     DEFINED  01,08       5,589       6,226           0

POLARIS INDS INC                  COM   731068102       3,086      42,777  SH     DEFINED     01      25,128      17,532         117
POLARIS INDS INC                  COM   731068102         471       6,531  SH     OTHER       01       1,752       4,694          85
POLARIS INDS INC                  COM   731068102      31,816     440,977  SH     DEFINED  01,08      49,411     391,566           0

POLYCOM INC                       COM   73172K104       3,049     159,877  SH     DEFINED     01      69,532      90,345           0
POLYCOM INC                       COM   73172K104          43       2,275  SH     OTHER       01         295       1,580         400
POLYCOM INC                       COM   73172K104      23,221   1,217,647  SH     DEFINED  01,08     177,932   1,039,715           0

POLYONE CORP                      COM   73179P106       6,779     470,788  SH     DEFINED     01      46,875     423,913           0
POLYONE CORP                      COM   73179P106      18,105   1,257,313  SH     DEFINED  01,08     494,772     762,541           0
POLYONE CORP                      COM   73179P106       3,920     272,191  SH     DEFINED     09     272,191           0           0

POLYPORE INTL INC                 COM   73179V103         563      16,007  SH     DEFINED     01       5,770      10,237           0
POLYPORE INTL INC                 COM   73179V103         395      11,230  SH     OTHER       01      11,030         200           0
POLYPORE INTL INC                 COM   73179V103       4,898     139,317  SH     DEFINED  01,08      16,059     123,258           0

POOL CORPORATION                  COM   73278L105       2,624      70,115  SH     DEFINED     01      24,400      45,715           0
POOL CORPORATION                  COM   73278L105      17,695     472,871  SH     DEFINED  01,08      81,626     391,245           0
POOL CORPORATION                  COM   73278L105       5,189     138,666  SH     DEFINED     09     138,666           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    245
  ________

POPULAR INC                       COM   733174106         837     408,216  SH     DEFINED     01     186,431     221,785           0
POPULAR INC                       COM   733174106           1         530  SH     OTHER       01           0           0         530
POPULAR INC                       COM   733174106       7,480   3,648,631  SH     DEFINED  01,08     613,324   3,035,307           0

PORTER BANCORP INC                COM   736233107           7       3,093  SH     DEFINED     01           0       3,093           0
PORTER BANCORP INC                COM   736233107          18       8,455  SH     DEFINED  01,08       3,654       4,801           0

PORTFOLIO RECOVERY ASSOCS IN      COM   73640Q105       4,607      64,242  SH     DEFINED     01      38,356      24,436       1,450
PORTFOLIO RECOVERY ASSOCS IN      COM   73640Q105         344       4,794  SH     OTHER       01       1,830       2,374         590
PORTFOLIO RECOVERY ASSOCS IN      COM   73640Q105      12,106     168,799  SH     DEFINED  01,08      29,249     139,550           0
PORTFOLIO RECOVERY ASSOCS IN      COM   73640Q105       3,533      49,256  SH     DEFINED     09      49,256           0           0

PORTLAND GEN ELEC CO              COM   736508847       9,171     367,141  SH     DEFINED     01      78,054     287,532       1,555
PORTLAND GEN ELEC CO              COM   736508847          27       1,085  SH     OTHER       01       1,085           0           0
PORTLAND GEN ELEC CO              COM   736508847      23,807     953,039  SH     DEFINED  01,08     340,655     612,384           0
PORTLAND GEN ELEC CO              COM   736508847       5,216     208,827  SH     DEFINED     09     208,827           0           0

PORTUGAL TELECOM SGPS S A         COM   737273102         318      58,736  SH     DEFINED     01      57,850         240         646
PORTUGAL TELECOM SGPS S A         COM   737273102           6       1,183  SH     OTHER       01         734         449           0
PORTUGAL TELECOM SGPS S A         COM   737273102         341      62,942  SH     DEFINED  01,08      62,942           0           0

POST HLDGS INC                    COM   737446104         342      10,389  SH     DEFINED     01       6,693       3,696           0
POST HLDGS INC                    COM   737446104          19         573  SH     OTHER       01         500          73           0
POST HLDGS INC                    COM   737446104       5,549     168,495  SH     DEFINED  01,08       9,094     159,401           0

POST PPTYS INC                    COM   737464107      10,317     220,175  SH     DEFINED     01      25,871     194,304           0
POST PPTYS INC                    COM   737464107      34,783     742,275  SH     DEFINED  01,08     313,526     428,749           0
POST PPTYS INC                    COM   737464107       8,429     179,879  SH     DEFINED     09     179,879           0           0

POSTROCK ENERGY CORP              COM   737525105          36      11,699  SH     DEFINED  01,08           0      11,699           0

POTASH CORP SASK INC              COM   73755L107      16,240     355,434  SH     DEFINED     01     295,163      57,655       2,616
POTASH CORP SASK INC              COM   73755L107       2,320      50,780  SH     OTHER       01      15,413      31,820       3,547
POTASH CORP SASK INC              COM   73755L107       1,848      40,452  SH     DEFINED  01,08      40,452           0           0

POTLATCH CORP NEW                 COM   737630103       1,594      50,872  SH     DEFINED     01      12,279      38,593           0
POTLATCH CORP NEW                 COM   737630103          63       2,000  SH     OTHER       01       2,000           0           0
POTLATCH CORP NEW                 COM   737630103      15,770     503,192  SH     DEFINED  01,08      64,870     438,322           0
POTLATCH CORP NEW                 COM   737630103       3,600     114,862  SH     DEFINED     09     114,862           0           0

POWELL INDS INC                   COM   739128106         601      17,542  SH     DEFINED     01       3,854      13,688           0
POWELL INDS INC                   COM   739128106          17         500  SH     OTHER       01           0         500           0
POWELL INDS INC                   COM   739128106       3,160      92,251  SH     DEFINED  01,08      19,147      73,104           0
POWELL INDS INC                   COM   739128106         801      23,388  SH     DEFINED     09      23,388           0           0

POWER INTEGRATIONS INC            COM   739276103       6,326     170,408  SH     DEFINED     01     114,673      53,021       2,714
POWER INTEGRATIONS INC            COM   739276103         351       9,464  SH     OTHER       01       3,730       4,789         945
POWER INTEGRATIONS INC            COM   739276103      10,993     296,136  SH     DEFINED  01,08      61,253     234,883           0
POWER INTEGRATIONS INC            COM   739276103       2,920      78,671  SH     DEFINED     09      78,671           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    246
  ________

POWER ONE INC NEW                 COM   73930R102       1,439     316,172  SH     DEFINED     01      19,742     296,430           0
POWER ONE INC NEW                 COM   73930R102          54      11,925  SH     OTHER       01           0      11,925           0
POWER ONE INC NEW                 COM   73930R102       4,119     905,345  SH     DEFINED  01,08     368,836     536,509           0
POWER ONE INC NEW                 COM   73930R102         865     190,053  SH     DEFINED     09     190,053           0           0

POWERSHARES QQQ TRUST             COM   73935A104       4,237      62,730  SH     DEFINED     01      49,275      11,925       1,530
POWERSHARES QQQ TRUST             COM   73935A104       1,082      16,020  SH     OTHER       01      11,507       3,573         940
POWERSHARES QQQ TRUST             COM   73935A104          18         263  SH     DEFINED  01,08         263           0           0

POWERSHARES DB CMDTY IDX TRA      COM   73935S105      46,853   1,626,827  SH     DEFINED     01   1,530,602      71,690      24,535
POWERSHARES DB CMDTY IDX TRA      COM   73935S105       4,057     140,860  SH     OTHER       01      76,315      40,965      23,580

POWERSHARES ETF TRUST             COM   73935X229         247      13,786  SH     DEFINED     01      13,786           0           0

POWERSHARES ETF TRUST             COM   73935X401         303      14,000  SH     OTHER       01           0           0      14,000

POWERSHARES ETF TRUST             COM   73935X500          83      14,907  SH     DEFINED     01      14,907           0           0

POWERSHARES ETF TRUST             COM   73935X575         261      13,600  SH     DEFINED     01      13,600           0           0
POWERSHARES ETF TRUST             COM   73935X575         180       9,400  SH     OTHER       01       9,400           0           0

POWERSHS DB MULTI SECT COMM       COM   73936B408         422      15,021  SH     DEFINED     01      15,021           0           0
POWERSHS DB MULTI SECT COMM       COM   73936B408       1,291      45,940  SH     OTHER       01      45,940           0           0

POWERSECURE INTL INC              COM   73936N105         112      18,433  SH     DEFINED     01       4,059      14,374           0
POWERSECURE INTL INC              COM   73936N105       1,046     172,543  SH     DEFINED  01,08      24,534     148,009           0
POWERSECURE INTL INC              COM   73936N105         313      51,656  SH     DEFINED     09      51,656           0           0

POWERSHARES GLOBAL ETF TRUST      PFD   73936T565          65       4,500         DEFINED     01       4,500           0           0
POWERSHARES GLOBAL ETF TRUST      PFD   73936T565         359      25,000         OTHER       01           0           0      25,000

POWERSHARES GLOBAL ETF TRUST      COM   73936T623          50       2,780  SH     DEFINED     01       2,780           0           0
POWERSHARES GLOBAL ETF TRUST      COM   73936T623         290      16,000  SH     OTHER       01      16,000           0           0

POWERSHARES GLOBAL ETF TRUST      COM   73936T805         234      14,269  SH     OTHER       01           0      14,269           0

POWERWAVE TECHNOLOGIES INC        COM   739363307          59      28,549  SH     DEFINED     01       6,017      22,532           0
POWERWAVE TECHNOLOGIES INC        COM   739363307           3       1,400  SH     OTHER       01           0       1,400           0
POWERWAVE TECHNOLOGIES INC        COM   739363307         607     296,033  SH     DEFINED  01,08      37,764     258,269           0
POWERWAVE TECHNOLOGIES INC        COM   739363307         200      97,647  SH     DEFINED     09      97,647           0           0

POZEN INC                         COM   73941U102         186      31,056  SH     DEFINED     01       5,562      25,494           0
POZEN INC                         COM   73941U102       1,482     247,031  SH     DEFINED  01,08      37,765     209,266           0
POZEN INC                         COM   73941U102         410      68,385  SH     DEFINED     09      68,385           0           0

PRAXAIR INC                       COM   74005P104     133,712   1,166,361  SH     DEFINED     01     852,357     268,660      45,344
PRAXAIR INC                       COM   74005P104      43,877     382,740  SH     OTHER       01     244,439      98,176      40,125
PRAXAIR INC                       COM   74005P104     255,555   2,229,195  SH     DEFINED  01,08     519,237   1,709,958           0
PRAXAIR INC                       COM   74005P104      82,718     721,546  SH     DEFINED     09     721,546           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    247
  ________

PRECISION CASTPARTS CORP          COM   740189105     100,256     579,852  SH     DEFINED     01     459,851     115,140       4,861
PRECISION CASTPARTS CORP          COM   740189105      10,323      59,704  SH     OTHER       01      43,617       7,327       8,760
PRECISION CASTPARTS CORP          COM   740189105     190,238   1,100,276  SH     DEFINED  01,08     278,396     821,880           0
PRECISION CASTPARTS CORP          COM   740189105      79,814     461,619  SH     DEFINED     09     461,619           0           0

PRECISION DRILLING CORP           COM   74022D308       2,430     242,262  SH     DEFINED     01     237,976       2,494       1,792
PRECISION DRILLING CORP           COM   74022D308         247      24,583  SH     OTHER       01      22,827         743       1,013
PRECISION DRILLING CORP           COM   74022D308          14       1,432  SH     DEFINED  01,08         702         730           0

PREFORMED LINE PRODS CO           COM   740444104         208       3,175  SH     DEFINED     01         474       2,701           0
PREFORMED LINE PRODS CO           COM   740444104       1,609      24,570  SH     DEFINED  01,08       3,436      21,134           0
PREFORMED LINE PRODS CO           COM   740444104         595       9,078  SH     DEFINED     09       9,078           0           0

PREMIER FINL BANCORP INC          COM   74050M105          29       3,693  SH     DEFINED     01           0       3,693           0
PREMIER FINL BANCORP INC          COM   74050M105          87      11,240  SH     DEFINED  01,08       3,915       7,325           0

PREMIER EXIBITIONS INC            COM   74051E102           4       1,234  SH     DEFINED     01           0       1,234           0
PREMIER EXIBITIONS INC            COM   74051E102         121      34,157  SH     DEFINED  01,08       1,754      32,403           0

PREMIERE GLOBAL SVCS INC          COM   740585104       3,643     403,028  SH     DEFINED     01       8,430     394,598           0
PREMIERE GLOBAL SVCS INC          COM   740585104       7,708     852,696  SH     DEFINED  01,08     423,086     429,610           0
PREMIERE GLOBAL SVCS INC          COM   740585104       1,566     173,231  SH     DEFINED     09     173,231           0           0

PRESIDENTIAL LIFE CORP            COM   740884101         490      42,904  SH     DEFINED     01      14,162      28,742           0
PRESIDENTIAL LIFE CORP            COM   740884101       2,530     221,384  SH     DEFINED  01,08      49,389     171,995           0
PRESIDENTIAL LIFE CORP            COM   740884101         905      79,198  SH     DEFINED     09      79,198           0           0

PREMIERWEST BANCORP               COM   740921200           3       1,634  SH     DEFINED     01           0       1,634           0
PREMIERWEST BANCORP               COM   740921200          18       9,303  SH     DEFINED  01,08       1,835       7,468           0

PRESSTEK INC                      COM   741113104           9      15,313  SH     DEFINED     01           0      15,313           0
PRESSTEK INC                      COM   741113104          30      52,029  SH     DEFINED  01,08      15,110      36,919           0

PRESTIGE BRANDS HLDGS INC         COM   74112D101       6,991     399,922  SH     DEFINED     01      23,174     376,748           0
PRESTIGE BRANDS HLDGS INC         COM   74112D101      14,610     835,822  SH     DEFINED  01,08     424,632     411,190           0
PRESTIGE BRANDS HLDGS INC         COM   74112D101       2,511     143,667  SH     DEFINED     09     143,667           0           0

PRICE T ROWE GROUP INC            COM   74144T108      28,485     436,225  SH     DEFINED     01     290,009     142,458       3,758
PRICE T ROWE GROUP INC            COM   74144T108       3,147      48,188  SH     OTHER       01      27,647       9,516      11,025
PRICE T ROWE GROUP INC            COM   74144T108     125,091   1,915,641  SH     DEFINED  01,08     463,551   1,452,090           0
PRICE T ROWE GROUP INC            COM   74144T108      40,308     617,281  SH     DEFINED     09     617,281           0           0

PRICELINE COM INC                 COM   741503403      71,140      99,150  SH     DEFINED     01      63,974      34,436         740
PRICELINE COM INC                 COM   741503403       2,638       3,677  SH     OTHER       01       1,805       1,794          78
PRICELINE COM INC                 COM   741503403     264,966     369,291  SH     DEFINED  01,08      85,748     283,543           0
PRICELINE COM INC                 COM   741503403      87,792     122,358  SH     DEFINED     09     122,358           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    248
  ________

PRICESMART INC                    COM   741511109       2,807      38,554  SH     DEFINED     01       5,136      33,418           0
PRICESMART INC                    COM   741511109         721       9,905  SH     OTHER       01       4,785       5,120           0
PRICESMART INC                    COM   741511109      13,396     183,983  SH     DEFINED  01,08      38,743     145,240           0
PRICESMART INC                    COM   741511109       4,117      56,549  SH     DEFINED     09      56,549           0           0

PRIMEENERGY CORP                  COM   74158E104         290      11,555  SH     DEFINED     01           0      11,555           0
PRIMEENERGY CORP                  COM   74158E104         387      15,418  SH     DEFINED  01,08      11,605       3,813           0

PRIMORIS SVCS CORP                COM   74164F103         336      20,905  SH     DEFINED     01       8,111      12,794           0
PRIMORIS SVCS CORP                COM   74164F103       4,326     269,396  SH     DEFINED  01,08      50,177     219,219           0
PRIMORIS SVCS CORP                COM   74164F103       1,073      66,827  SH     DEFINED     09      66,827           0           0

PRIMERICA INC                     COM   74164M108         863      34,236  SH     DEFINED     01       4,531      29,705           0
PRIMERICA INC                     COM   74164M108       7,655     303,631  SH     DEFINED  01,08      43,991     259,640           0
PRIMERICA INC                     COM   74164M108       2,306      91,469  SH     DEFINED     09      91,469           0           0

PRIMO WTR CORP                    COM   74165N105          13       6,756  SH     DEFINED     01       1,591       5,165           0
PRIMO WTR CORP                    COM   74165N105         258     132,292  SH     DEFINED  01,08      10,805     121,487           0
PRIMO WTR CORP                    COM   74165N105         120      61,640  SH     DEFINED     09      61,640           0           0

PRIMUS TELECOMMUNICATIONS GR      COM   741929301          14         861  SH     DEFINED     01           0         861           0
PRIMUS TELECOMMUNICATIONS GR      COM   741929301         169      10,523  SH     DEFINED  01,08       1,501       9,022           0

PRINCETON NATL BANCORP INC        COM   742282106          15       4,051  SH     DEFINED     01           0       4,051           0
PRINCETON NATL BANCORP INC        COM   742282106          29       7,892  SH     DEFINED  01,08       4,190       3,702           0

PRINCETON REVIEW INC              COM   742352107           1      11,498  SH     DEFINED     01         300      11,198           0
PRINCETON REVIEW INC              COM   742352107           3      50,237  SH     DEFINED  01,08       8,013      42,224           0

PRINCIPAL FINL GROUP INC          COM   74251V102     263,570   8,931,563  SH     DEFINED     01   3,105,470   5,774,678      51,415
PRINCIPAL FINL GROUP INC          COM   74251V102      16,506     559,322  SH     OTHER       01     461,408      80,116      17,798
PRINCIPAL FINL GROUP INC          COM   74251V102      65,007   2,202,893  SH     DEFINED  01,08     511,802   1,691,091           0
PRINCIPAL FINL GROUP INC          COM   74251V102      22,036     746,714  SH     DEFINED     09     746,714           0           0

PROASSURANCE CORP                 COM   74267C106       4,359      49,474  SH     DEFINED     01      18,868      30,501         105
PROASSURANCE CORP                 COM   74267C106          10         115  SH     OTHER       01         115           0           0
PROASSURANCE CORP                 COM   74267C106      25,709     291,780  SH     DEFINED  01,08      47,721     244,059           0
PROASSURANCE CORP                 COM   74267C106       7,661      86,952  SH     DEFINED     09      86,952           0           0

PROCERA NETWORKS INC              COM   74269U203         220       9,817  SH     DEFINED     01       2,995       6,822           0
PROCERA NETWORKS INC              COM   74269U203       2,823     126,266  SH     DEFINED  01,08      12,289     113,977           0
PROCERA NETWORKS INC              COM   74269U203         794      35,531  SH     DEFINED     09      35,531           0           0

PROCTER & GAMBLE CO               COM   742718109     587,963   8,748,150  SH     DEFINED     01   6,394,367   2,084,751     269,032
PROCTER & GAMBLE CO               COM   742718109     231,344   3,442,106  SH     OTHER       01   1,821,109   1,399,575     221,422
PROCTER & GAMBLE CO               COM   742718109   1,391,758  20,707,605  SH     DEFINED  01,08   5,105,388  15,602,217           0
PROCTER & GAMBLE CO               COM   742718109     470,020   6,993,305  SH     DEFINED     09   6,993,305           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    249
  ________

PRIVATEBANCORP INC                COM   742962103       5,096     335,936  SH     DEFINED     01     102,492     233,444           0
PRIVATEBANCORP INC                COM   742962103         228      15,000  SH     OTHER       01      15,000           0           0
PRIVATEBANCORP INC                COM   742962103      11,902     784,546  SH     DEFINED  01,08     290,721     493,825           0
PRIVATEBANCORP INC                COM   742962103       2,683     176,867  SH     DEFINED     09     176,867           0           0

PROGENICS PHARMACEUTICALS IN      COM   743187106         742      74,932  SH     DEFINED     01      49,362      25,570           0
PROGENICS PHARMACEUTICALS IN      COM   743187106       2,861     288,992  SH     DEFINED  01,08      44,307     244,685           0
PROGENICS PHARMACEUTICALS IN      COM   743187106         879      88,751  SH     DEFINED     09      88,751           0           0

PROGRESS ENERGY INC               COM   743263105      15,714     295,870  SH     DEFINED     01     138,918     156,158         794
PROGRESS ENERGY INC               COM   743263105         862      16,229  SH     OTHER       01       6,092         377       9,760
PROGRESS ENERGY INC               COM   743263105     115,152   2,168,177  SH     DEFINED  01,08     519,150   1,649,027           0
PROGRESS ENERGY INC               COM   743263105      37,515     706,368  SH     DEFINED     09     706,368           0           0

PROGRESS SOFTWARE CORP            COM   743312100       3,129     132,481  SH     DEFINED     01      30,222     102,109         150
PROGRESS SOFTWARE CORP            COM   743312100      16,148     683,648  SH     DEFINED  01,08     154,476     529,172           0
PROGRESS SOFTWARE CORP            COM   743312100       4,505     190,742  SH     DEFINED     09     190,742           0           0

PROGRESSIVE CORP OHIO             COM   743315103      21,400     923,189  SH     DEFINED     01     590,667     325,194       7,328
PROGRESSIVE CORP OHIO             COM   743315103       2,706     116,719  SH     OTHER       01      75,266      31,935       9,518
PROGRESSIVE CORP OHIO             COM   743315103     103,807   4,478,304  SH     DEFINED  01,08   1,059,058   3,419,246           0
PROGRESSIVE CORP OHIO             COM   743315103      33,059   1,426,169  SH     DEFINED     09   1,426,169           0           0

PROLOGIS INC                      COM   74340W103      17,655     490,133  SH     DEFINED     01     251,985     237,219         929
PROLOGIS INC                      COM   74340W103       1,058      29,365  SH     OTHER       01       6,347         301      22,717
PROLOGIS INC                      COM   74340W103     144,628   4,015,206  SH     DEFINED  01,08   1,446,205   2,569,001           0
PROLOGIS INC                      COM   74340W103      46,273   1,284,634  SH     DEFINED     09   1,284,634           0           0

PROLOR BIOTECH INC                COM   74344F106         350      59,354  SH     DEFINED  01,08           0      59,354           0

PROS HOLDINGS INC                 COM   74346Y103         496      26,535  SH     DEFINED     01       5,650      20,885           0
PROS HOLDINGS INC                 COM   74346Y103       3,966     212,104  SH     DEFINED  01,08      36,257     175,847           0
PROS HOLDINGS INC                 COM   74346Y103       1,304      69,734  SH     DEFINED     09      69,734           0           0

PROSHARES TR                      COM   74347R297         233      11,375  SH     DEFINED     01      11,375           0           0

PROSHARES TR                      COM   74347R602         487      19,000  SH     OTHER       01      19,000           0           0

PROSHARES TR                      COM   74347R701         461      13,000  SH     OTHER       01      13,000           0           0

PROSPECT CAPITAL CORPORATION      COM   74348T102       1,517     138,131  SH     DEFINED     01      60,027      78,104           0
PROSPECT CAPITAL CORPORATION      COM   74348T102      10,051     915,357  SH     DEFINED  01,08     193,862     721,495           0
PROSPECT CAPITAL CORPORATION      COM   74348T102       3,810     346,949  SH     DEFINED     09     346,949           0           0

PROSPERITY BANCSHARES INC         COM   743606105      16,470     359,604  SH     DEFINED     01      52,371     307,148          85
PROSPERITY BANCSHARES INC         COM   743606105          68       1,484  SH     OTHER       01       1,034         450           0
PROSPERITY BANCSHARES INC         COM   743606105      38,973     850,933  SH     DEFINED  01,08     335,495     515,438           0
PROSPERITY BANCSHARES INC         COM   743606105       6,394     139,597  SH     DEFINED     09     139,597           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    250
  ________

PROTALIX BIOTHERAPEUTICS INC      COM   74365A101         280      43,909  SH     DEFINED     01       1,900      42,009           0
PROTALIX BIOTHERAPEUTICS INC      COM   74365A101         361      56,668  SH     DEFINED  01,08      51,806       4,862           0

PROTECTIVE LIFE CORP              COM   743674103       2,450      82,702  SH     DEFINED     01      55,245      26,141       1,316
PROTECTIVE LIFE CORP              COM   743674103         384      12,974  SH     OTHER       01         934      12,000          40
PROTECTIVE LIFE CORP              COM   743674103      16,245     548,445  SH     DEFINED  01,08      56,401     492,044           0

PROTO LABS INC                    COM   743713109         326       9,561  SH     DEFINED  01,08       3,613       5,948           0
PROTO LABS INC                    COM   743713109         513      15,058  SH     DEFINED     09      15,058           0           0

PROVIDENCE & WORCESTER RR CO      COM   743737108          63       4,290  SH     DEFINED     01         100       4,190           0
PROVIDENCE & WORCESTER RR CO      COM   743737108         102       6,880  SH     DEFINED  01,08       4,240       2,640           0

PROVIDENCE SVC CORP               COM   743815102         351      22,633  SH     DEFINED     01       7,210      15,423           0
PROVIDENCE SVC CORP               COM   743815102       1,963     126,582  SH     DEFINED  01,08      21,098     105,484           0
PROVIDENCE SVC CORP               COM   743815102         636      41,010  SH     DEFINED     09      41,010           0           0

PROVIDENT FINL SVCS INC           COM   74386T105       6,578     452,731  SH     DEFINED     01      30,135     422,596           0
PROVIDENT FINL SVCS INC           COM   74386T105      14,228     979,234  SH     DEFINED  01,08     482,975     496,259           0
PROVIDENT FINL SVCS INC           COM   74386T105       2,432     167,378  SH     DEFINED     09     167,378           0           0

PROVIDENT ENERGY LTD NEW          COM   74386V100         120      10,000  SH     DEFINED     01      10,000           0           0
PROVIDENT ENERGY LTD NEW          COM   74386V100         168      14,000  SH     OTHER       01      14,000           0           0

PROVIDENT FINL HLDGS INC          COM   743868101         241      22,063  SH     DEFINED     01           0      22,063           0
PROVIDENT FINL HLDGS INC          COM   743868101         369      33,791  SH     DEFINED  01,08      22,179      11,612           0

PROVIDENT NEW YORK BANCORP        COM   744028101       2,616     309,226  SH     DEFINED     01      10,944     298,182         100
PROVIDENT NEW YORK BANCORP        COM   744028101       5,378     635,694  SH     DEFINED  01,08     324,801     310,893           0
PROVIDENT NEW YORK BANCORP        COM   744028101       1,002     118,429  SH     DEFINED     09     118,429           0           0

PRUDENTIAL FINL INC               COM   744320102      51,716     815,832  SH     DEFINED     01     500,680     308,645       6,507
PRUDENTIAL FINL INC               COM   744320102       4,946      78,027  SH     OTHER       01      37,594      40,152         281
PRUDENTIAL FINL INC               COM   744320102     237,020   3,739,075  SH     DEFINED  01,08   1,046,405   2,679,985      12,685
PRUDENTIAL FINL INC               COM   744320102      73,087   1,152,974  SH     DEFINED     09   1,152,974           0           0

PRUDENTIAL PLC                    COM   74435K204       5,390     224,285  SH     DEFINED     01     218,910       5,375           0
PRUDENTIAL PLC                    COM   74435K204         330      13,719  SH     OTHER       01       4,445       4,099       5,175
PRUDENTIAL PLC                    COM   74435K204       2,057      85,592  SH     DEFINED  01,08      85,592           0           0

PSYCHEMEDICS CORP                 COM   744375205          44       4,454  SH     DEFINED     01           0       4,454           0
PSYCHEMEDICS CORP                 COM   744375205         110      11,175  SH     DEFINED  01,08       4,583       6,592           0

PSIVIDA CORP                      COM   74440J101          31      16,508  SH     DEFINED  01,08           0      16,508           0

PUBLIC SVC ENTERPRISE GROUP       COM   744573106      28,189     920,901  SH     DEFINED     01     598,196     316,570       6,135
PUBLIC SVC ENTERPRISE GROUP       COM   744573106       1,874      61,209  SH     OTHER       01      27,511      33,257         441
PUBLIC SVC ENTERPRISE GROUP       COM   744573106     113,978   3,723,543  SH     DEFINED  01,08     869,153   2,854,390           0
PUBLIC SVC ENTERPRISE GROUP       COM   744573106      37,955   1,239,942  SH     DEFINED     09   1,239,942           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    251
  ________

PUBLIC STORAGE                    COM   74460D109      21,406     154,924  SH     DEFINED     01      79,876      74,430         618
PUBLIC STORAGE                    COM   74460D109         337       2,442  SH     OTHER       01       1,820         494         128
PUBLIC STORAGE                    COM   74460D109     170,286   1,232,438  SH     DEFINED  01,08     428,522     803,916           0
PUBLIC STORAGE                    COM   74460D109      56,506     408,960  SH     DEFINED     09     408,960           0           0

PULASKI FINL CORP                 COM   745548107          28       3,581  SH     DEFINED     01           0       3,581           0
PULASKI FINL CORP                 COM   745548107         135      17,115  SH     DEFINED  01,08       2,869      14,246           0

PULSE ELECTRONICS CORP            COM   74586W106         138      54,952  SH     DEFINED     01      18,825      36,127           0
PULSE ELECTRONICS CORP            COM   74586W106       1,037     413,256  SH     DEFINED  01,08      75,289     337,967           0
PULSE ELECTRONICS CORP            COM   74586W106         367     146,214  SH     DEFINED     09     146,214           0           0

PULTE GROUP INC                   COM   745867101       8,615     973,405  SH     DEFINED     01     768,854     187,946      16,605
PULTE GROUP INC                   COM   745867101         347      39,226  SH     OTHER       01      24,378      13,954         894
PULTE GROUP INC                   COM   745867101      22,469   2,538,818  SH     DEFINED  01,08     618,952   1,919,866           0
PULTE GROUP INC                   COM   745867101       3,153     356,246  SH     DEFINED     09     356,246           0           0

PURE BIOSCIENCE INC               COM   74621T100           1       3,176  SH     DEFINED     01           0       3,176           0
PURE BIOSCIENCE INC               COM   74621T100          18      70,181  SH     DEFINED  01,08       3,176      67,005           0

QLT INC                           COM   746927102          34       4,897  SH     DEFINED     01           0       4,897           0
QLT INC                           COM   746927102          36       5,111  SH     DEFINED  01,08       5,004         107           0

PYRAMID OIL CO                    COM   747215101           4         893  SH     DEFINED     01           0         893           0
PYRAMID OIL CO                    COM   747215101           1         100  SH     OTHER       01         100           0           0
PYRAMID OIL CO                    COM   747215101          69      13,764  SH     DEFINED  01,08         893      12,871           0

QAD INC                           COM   74727D306         114       8,723  SH     DEFINED     01       1,411       7,312           0
QAD INC                           COM   74727D306         690      52,662  SH     DEFINED  01,08      10,210      42,452           0
QAD INC                           COM   74727D306         218      16,664  SH     DEFINED     09      16,664           0           0

QLOGIC CORP                       COM   747277101       1,972     111,026  SH     DEFINED     01      24,313      86,513         200
QLOGIC CORP                       COM   747277101           1          40  SH     OTHER       01           0           0          40
QLOGIC CORP                       COM   747277101      12,652     712,390  SH     DEFINED  01,08     123,854     588,536           0

QC HLDGS INC                      COM   74729T101          19       4,599  SH     DEFINED     01           0       4,599           0
QC HLDGS INC                      COM   74729T101          36       8,628  SH     DEFINED  01,08       5,854       2,774           0

QUAD / GRAPHICS INC               COM   747301109         367      26,411  SH     DEFINED     01      11,523      14,888           0
QUAD / GRAPHICS INC               COM   747301109       3,855     277,348  SH     DEFINED  01,08      78,190     199,158           0
QUAD / GRAPHICS INC               COM   747301109         951      68,425  SH     DEFINED     09      68,425           0           0

PZENA INVESTMENT MGMT INC         COM   74731Q103         140      24,015  SH     DEFINED     01       1,928      22,087           0
PZENA INVESTMENT MGMT INC         COM   74731Q103         568      97,173  SH     DEFINED  01,08      30,431      66,742           0
PZENA INVESTMENT MGMT INC         COM   74731Q103         135      23,088  SH     DEFINED     09      23,088           0           0

QUAKER CHEM CORP                  COM   747316107       1,043      26,435  SH     DEFINED     01       7,433      19,002           0
QUAKER CHEM CORP                  COM   747316107       5,340     135,364  SH     DEFINED  01,08      28,503     106,861           0
QUAKER CHEM CORP                  COM   747316107       1,545      39,175  SH     DEFINED     09      39,175           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    252
  ________

QLIK TECHNOLOGIES INC             COM   74733T105       4,221     131,901  SH     DEFINED     01      22,641     109,260           0
QLIK TECHNOLOGIES INC             COM   74733T105      22,650     707,820  SH     DEFINED  01,08     132,187     575,633           0
QLIK TECHNOLOGIES INC             COM   74733T105       6,511     203,456  SH     DEFINED     09     203,456           0           0

QEP RES INC                       COM   74733V100       6,973     228,636  SH     DEFINED     01     123,660      93,083      11,893
QEP RES INC                       COM   74733V100         929      30,469  SH     OTHER       01      20,134       6,935       3,400
QEP RES INC                       COM   74733V100      39,562   1,297,102  SH     DEFINED  01,08     303,115     993,987           0
QEP RES INC                       COM   74733V100      12,952     424,666  SH     DEFINED     09     424,666           0           0

QUALCOMM INC                      COM   747525103     408,836   6,006,992  SH     DEFINED     01   4,709,423   1,213,424      84,145
QUALCOMM INC                      COM   747525103      49,486     727,100  SH     OTHER       01     534,454     157,194      35,452
QUALCOMM INC                      COM   747525103     875,161  12,858,676  SH     DEFINED  01,08   3,260,777   9,589,535       8,364
QUALCOMM INC                      COM   747525103     301,728   4,433,265  SH     DEFINED     09   4,433,265           0           0

QUALITY DISTR INC FLA             COM   74756M102         194      14,106  SH     DEFINED     01       6,917       7,189           0
QUALITY DISTR INC FLA             COM   74756M102       2,003     145,323  SH     DEFINED  01,08      20,637     124,686           0
QUALITY DISTR INC FLA             COM   74756M102         500      36,277  SH     DEFINED     09      36,277           0           0

QUALSTAR CORP                     COM   74758R109          12       5,974  SH     DEFINED     01           0       5,974           0
QUALSTAR CORP                     COM   74758R109          11       5,472  SH     DEFINED  01,08       3,526       1,946           0

QUALITY SYS INC                   COM   747582104       5,711     130,596  SH     DEFINED     01      78,301      50,375       1,920
QUALITY SYS INC                   COM   747582104         295       6,747  SH     OTHER       01       5,283       1,354         110
QUALITY SYS INC                   COM   747582104      16,973     388,124  SH     DEFINED  01,08      72,227     315,897           0
QUALITY SYS INC                   COM   747582104       4,766     108,992  SH     DEFINED     09     108,992           0           0

QUANEX BUILDING PRODUCTS COR      COM   747619104       4,379     248,359  SH     DEFINED     01      19,579     228,780           0
QUANEX BUILDING PRODUCTS COR      COM   747619104      10,174     577,071  SH     DEFINED  01,08     265,810     311,261           0
QUANEX BUILDING PRODUCTS COR      COM   747619104       1,852     105,062  SH     DEFINED     09     105,062           0           0

QUANTA SVCS INC                   COM   74762E102       6,450     308,589  SH     DEFINED     01     199,018     109,000         571
QUANTA SVCS INC                   COM   74762E102         396      18,950  SH     OTHER       01      18,492         458           0
QUANTA SVCS INC                   COM   74762E102      32,004   1,531,280  SH     DEFINED  01,08     353,883   1,177,397           0
QUANTA SVCS INC                   COM   74762E102       9,973     477,195  SH     DEFINED     09     477,195           0           0

QUANTUM FUEL SYS TECH WORLDW      COM   74765E208           0         697  SH     DEFINED     01           0         697           0
QUANTUM FUEL SYS TECH WORLDW      COM   74765E208          13      18,494  SH     DEFINED  01,08         252      18,242           0

QUANTUM CORP                      COM   747906204         606     231,415  SH     DEFINED     01      57,523     173,892           0
QUANTUM CORP                      COM   747906204       5,593   2,134,722  SH     DEFINED  01,08     290,040   1,844,682           0
QUANTUM CORP                      COM   747906204       1,816     693,011  SH     DEFINED     09     693,011           0           0

QUEPASA CORP                      COM   74833W206          16       3,579  SH     DEFINED     01         618       2,961           0
QUEPASA CORP                      COM   74833W206         280      62,995  SH     DEFINED  01,08       5,398      57,597           0
QUEPASA CORP                      COM   74833W206         185      41,733  SH     DEFINED     09      41,733           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    253
  ________

QUEST DIAGNOSTICS INC             COM   74834L100      18,780     307,115  SH     DEFINED     01     209,376      88,123       9,616
QUEST DIAGNOSTICS INC             COM   74834L100       1,005      16,432  SH     OTHER       01       7,131       9,046         255
QUEST DIAGNOSTICS INC             COM   74834L100      70,644   1,155,250  SH     DEFINED  01,08     259,926     895,324           0
QUEST DIAGNOSTICS INC             COM   74834L100      23,197     379,350  SH     DEFINED     09     379,350           0           0

QUEST SOFTWARE INC                COM   74834T103      10,762     462,469  SH     DEFINED     01      20,644     441,825           0
QUEST SOFTWARE INC                COM   74834T103      25,795   1,108,526  SH     DEFINED  01,08     478,654     629,872           0
QUEST SOFTWARE INC                COM   74834T103       3,929     168,848  SH     DEFINED     09     168,848           0           0

QUESTCOR PHARMACEUTICALS INC      COM   74835Y101       3,024      80,391  SH     DEFINED     01      27,851      52,540           0
QUESTCOR PHARMACEUTICALS INC      COM   74835Y101      19,359     514,605  SH     DEFINED  01,08      79,722     434,883           0
QUESTCOR PHARMACEUTICALS INC      COM   74835Y101       5,866     155,937  SH     DEFINED     09     155,937           0           0

QUESTAR CORP                      COM   748356102       1,788      92,858  SH     DEFINED     01      61,721      16,393      14,744
QUESTAR CORP                      COM   748356102       1,035      53,737  SH     OTHER       01      15,472      34,565       3,700
QUESTAR CORP                      COM   748356102      21,081   1,094,538  SH     DEFINED  01,08      68,017   1,026,521           0
QUESTAR CORP                      COM   748356102          91       4,700  SH     DEFINED     09       4,700           0           0

QUICKLOGIC CORP                   COM   74837P108          29      10,802  SH     DEFINED     01           0      10,802           0
QUICKLOGIC CORP                   COM   74837P108         154      56,353  SH     DEFINED  01,08       6,284      50,069           0

QUICKSILVER RESOURCES INC         COM   74837R104         274      54,296  SH     DEFINED     01      23,184      31,112           0
QUICKSILVER RESOURCES INC         COM   74837R104       3,787     751,326  SH     DEFINED  01,08      60,826     690,500           0

QUIKSILVER INC                    COM   74838C106         782     193,625  SH     DEFINED     01      67,573     126,052           0
QUIKSILVER INC                    COM   74838C106          65      16,000  SH     OTHER       01           0      16,000           0
QUIKSILVER INC                    COM   74838C106       5,195   1,285,802  SH     DEFINED  01,08     223,819   1,061,983           0
QUIKSILVER INC                    COM   74838C106       1,489     368,491  SH     DEFINED     09     368,491           0           0

QUIDEL CORP                       COM   74838J101         805      43,805  SH     DEFINED     01       7,606      36,199           0
QUIDEL CORP                       COM   74838J101       5,240     285,262  SH     DEFINED  01,08      49,950     235,312           0
QUIDEL CORP                       COM   74838J101       1,416      77,083  SH     DEFINED     09      77,083           0           0

QUINSTREET INC                    COM   74874Q100         241      22,940  SH     DEFINED     01       7,474      15,466           0
QUINSTREET INC                    COM   74874Q100       2,689     256,303  SH     DEFINED  01,08      28,528     227,775           0
QUINSTREET INC                    COM   74874Q100         782      74,504  SH     DEFINED     09      74,504           0           0

RAIT FINANCIAL TRUST              COM   749227609         345      69,422  SH     DEFINED     01      10,108      59,314           0
RAIT FINANCIAL TRUST              COM   749227609       2,283     459,316  SH     DEFINED  01,08     116,161     343,155           0
RAIT FINANCIAL TRUST              COM   749227609         605     121,756  SH     DEFINED     09     121,756           0           0

RCM TECHNOLOGIES INC              COM   749360400          34       6,084  SH     DEFINED     01           0       6,084           0
RCM TECHNOLOGIES INC              COM   749360400         104      18,755  SH     DEFINED  01,08       6,299      12,456           0

RF MONOLITHICS INC                COM   74955F106           5       5,162  SH     DEFINED     01           0       5,162           0
RF MONOLITHICS INC                COM   74955F106          12      11,903  SH     DEFINED  01,08       3,789       8,114           0

RF INDS LTD                       COM   749552105          18       5,305  SH     DEFINED     01           0       5,305           0
RF INDS LTD                       COM   749552105          34       9,971  SH     DEFINED  01,08       4,305       5,666           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    254
  ________

RLI CORP                          COM   749607107       8,989     125,472  SH     DEFINED     01      45,328      79,667         477
RLI CORP                          COM   749607107          98       1,374  SH     OTHER       01         524         720         130
RLI CORP                          COM   749607107      17,079     238,404  SH     DEFINED  01,08      89,917     148,487           0
RLI CORP                          COM   749607107       3,790      52,906  SH     DEFINED     09      52,906           0           0

RLJ LODGING TR                    COM   74965L101         501      26,885  SH     DEFINED     01       5,877      21,008           0
RLJ LODGING TR                    COM   74965L101       8,440     453,027  SH     DEFINED  01,08     178,541     274,486           0
RLJ LODGING TR                    COM   74965L101       2,393     128,439  SH     DEFINED     09     128,439           0           0

RPC INC                           COM   749660106       2,749     259,071  SH     DEFINED     01     162,762      96,309           0
RPC INC                           COM   749660106          67       6,331  SH     OTHER       01       6,331           0           0
RPC INC                           COM   749660106       3,307     311,726  SH     DEFINED  01,08      99,100     212,626           0

RPM INTL INC                      COM   749685103      33,091   1,263,510  SH     DEFINED     01   1,186,960      36,466      40,084
RPM INTL INC                      COM   749685103       3,033     115,812  SH     OTHER       01     108,432       7,380           0
RPM INTL INC                      COM   749685103      21,611     825,155  SH     DEFINED  01,08      62,285     762,870           0

RPX CORP                          COM   74972G103          97       5,728  SH     DEFINED     01         983       4,745           0
RPX CORP                          COM   74972G103       1,716     101,188  SH     DEFINED  01,08       9,321      91,867           0
RPX CORP                          COM   74972G103         431      25,406  SH     DEFINED     09      25,406           0           0

RSC HOLDINGS INC                  COM   74972L102       1,991      88,120  SH     DEFINED     01      14,948      73,172           0
RSC HOLDINGS INC                  COM   74972L102      14,574     645,165  SH     DEFINED  01,08     103,767     541,398           0
RSC HOLDINGS INC                  COM   74972L102       4,489     198,721  SH     DEFINED     09     198,721           0           0

RTI INTL METALS INC               COM   74973W107       1,074      46,571  SH     DEFINED     01      18,877      27,694           0
RTI INTL METALS INC               COM   74973W107       6,881     298,376  SH     DEFINED  01,08      53,969     244,407           0
RTI INTL METALS INC               COM   74973W107       2,065      89,560  SH     DEFINED     09      89,560           0           0

RTI BIOLOGICS INC                 COM   74975N105         237      63,986  SH     DEFINED     01      18,966      45,020           0
RTI BIOLOGICS INC                 COM   74975N105       1,984     536,103  SH     DEFINED  01,08      80,211     455,892           0
RTI BIOLOGICS INC                 COM   74975N105         624     168,728  SH     DEFINED     09     168,728           0           0

RF MICRODEVICES INC               COM   749941100       2,856     573,402  SH     DEFINED     01      86,038     487,364           0
RF MICRODEVICES INC               COM   749941100      18,340   3,682,722  SH     DEFINED  01,08     672,412   3,010,310           0
RF MICRODEVICES INC               COM   749941100       4,000     803,180  SH     DEFINED     09     803,180           0           0

RACKSPACE HOSTING INC             COM   750086100       1,798      31,113  SH     DEFINED     01      20,583      10,530           0
RACKSPACE HOSTING INC             COM   750086100          90       1,550  SH     OTHER       01         412       1,065          73
RACKSPACE HOSTING INC             COM   750086100      37,313     645,661  SH     DEFINED  01,08      29,325     616,336           0

RADIAN GROUP INC                  COM   750236101         698     160,396  SH     DEFINED     01      37,463     122,933           0
RADIAN GROUP INC                  COM   750236101       5,465   1,256,433  SH     DEFINED  01,08     177,411   1,079,022           0
RADIAN GROUP INC                  COM   750236101       1,672     384,409  SH     DEFINED     09     384,409           0           0

RADIO ONE INC                     COM   75040P108          16      15,190  SH     DEFINED     01           0      15,190           0
RADIO ONE INC                     COM   75040P108          22      20,612  SH     DEFINED  01,08      17,851       2,761           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    255
  ________

RADIO ONE INC                     COM   75040P405           1         919  SH     DEFINED     01         710         209           0
RADIO ONE INC                     COM   75040P405          38      39,446  SH     DEFINED  01,08       1,222      38,224           0

RADIOSHACK CORP                   COM   750438103         309      49,694  SH     DEFINED     01      14,424      35,270           0
RADIOSHACK CORP                   COM   750438103       3,970     638,328  SH     DEFINED  01,08      71,333     566,995           0

RADISYS CORP                      COM   750459109         227      30,689  SH     DEFINED     01      11,117      19,572           0
RADISYS CORP                      COM   750459109       1,526     206,207  SH     DEFINED  01,08      36,956     169,251           0
RADISYS CORP                      COM   750459109         503      68,013  SH     DEFINED     09      68,013           0           0

RADNET INC                        COM   750491102         558     175,456  SH     DEFINED     01       2,974     172,482           0
RADNET INC                        COM   750491102       1,394     438,285  SH     DEFINED  01,08     196,939     241,346           0
RADNET INC                        COM   750491102         268      84,192  SH     DEFINED     09      84,192           0           0

RAILAMERICA INC                   COM   750753402         328      15,267  SH     DEFINED     01       5,443       9,824           0
RAILAMERICA INC                   COM   750753402       4,129     192,405  SH     DEFINED  01,08      20,672     171,733           0
RAILAMERICA INC                   COM   750753402       1,301      60,638  SH     DEFINED     09      60,638           0           0

RAINMAKER SYSTEMS                 COM   750875304           5       6,190  SH     DEFINED     01           0       6,190           0
RAINMAKER SYSTEMS                 COM   750875304          12      13,868  SH     DEFINED  01,08       5,070       8,798           0

RAMBUS INC DEL                    COM   750917106         572      88,691  SH     DEFINED     01      26,233      62,458           0
RAMBUS INC DEL                    COM   750917106       5,836     904,801  SH     DEFINED  01,08     110,006     794,795           0
RAMBUS INC DEL                    COM   750917106       1,883     292,003  SH     DEFINED     09     292,003           0           0

RALCORP HLDGS INC NEW             COM   751028101       1,366      18,437  SH     DEFINED     01      13,134       5,303           0
RALCORP HLDGS INC NEW             COM   751028101          48         646  SH     OTHER       01         146           0         500
RALCORP HLDGS INC NEW             COM   751028101      25,113     338,946  SH     DEFINED  01,08      17,877     321,069           0
RALCORP HLDGS INC NEW             COM   751028101       5,205      70,254  SH     DEFINED     09      70,254           0           0

RALPH LAUREN CORP                 COM   751212101      16,889      96,877  SH     DEFINED     01      61,089      35,627         161
RALPH LAUREN CORP                 COM   751212101         358       2,055  SH     OTHER       01       1,838          17         200
RALPH LAUREN CORP                 COM   751212101      83,819     480,807  SH     DEFINED  01,08     117,399     363,408           0
RALPH LAUREN CORP                 COM   751212101      26,684     153,065  SH     DEFINED     09     153,065           0           0

RAMCO-GERSHENSON PPTYS TR         COM   751452202       2,971     243,108  SH     DEFINED     01      12,302     230,806           0
RAMCO-GERSHENSON PPTYS TR         COM   751452202       7,812     639,250  SH     DEFINED  01,08     312,112     327,138           0
RAMCO-GERSHENSON PPTYS TR         COM   751452202       1,541     126,106  SH     DEFINED     09     126,106           0           0

RAMTRON INTL CORP                 COM   751907304          28      14,013  SH     DEFINED     01           0      14,013           0
RAMTRON INTL CORP                 COM   751907304         101      50,534  SH     DEFINED  01,08      11,784      38,750           0

RAND LOGISTICS INC                COM   752182105          94      11,193  SH     DEFINED  01,08           0      11,193           0

RANDGOLD RES LTD                  COM   752344309         576       6,551  SH     DEFINED     01       6,515          10          26
RANDGOLD RES LTD                  COM   752344309          17         196  SH     OTHER       01         151          45           0
RANDGOLD RES LTD                  COM   752344309         802       9,113  SH     DEFINED  01,08       9,113           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    256
  ________

RANGE RES CORP                    COM   75281A109      11,797     202,907  SH     DEFINED     01     115,635      85,763       1,509
RANGE RES CORP                    COM   75281A109         371       6,373  SH     OTHER       01       2,405       3,781         187
RANGE RES CORP                    COM   75281A109      68,169   1,172,506  SH     DEFINED  01,08     266,659     905,847           0
RANGE RES CORP                    COM   75281A109      22,225     382,274  SH     DEFINED     09     382,274           0           0

RAPTOR PHARMACEUTICAL CORP        COM   75382F106         283      41,817  SH     DEFINED     01      19,575      22,242           0
RAPTOR PHARMACEUTICAL CORP        COM   75382F106       2,953     436,792  SH     DEFINED  01,08      53,044     383,748           0
RAPTOR PHARMACEUTICAL CORP        COM   75382F106       1,049     155,185  SH     DEFINED     09     155,185           0           0

RAVEN INDS INC                    COM   754212108       4,683      76,766  SH     DEFINED     01      44,606      31,620         540
RAVEN INDS INC                    COM   754212108         107       1,753  SH     OTHER       01         528       1,085         140
RAVEN INDS INC                    COM   754212108      11,397     186,799  SH     DEFINED  01,08      37,536     149,263           0
RAVEN INDS INC                    COM   754212108       3,396      55,668  SH     DEFINED     09      55,668           0           0

RAYMOND JAMES FINANCIAL INC       COM   754730109       9,224     252,514  SH     DEFINED     01     234,154      13,044       5,316
RAYMOND JAMES FINANCIAL INC       COM   754730109       1,223      33,483  SH     OTHER       01      12,158      20,882         443
RAYMOND JAMES FINANCIAL INC       COM   754730109      24,635     674,381  SH     DEFINED  01,08      36,301     638,080           0

RAYONIER INC                      COM   754907103       9,073     205,783  SH     DEFINED     01      57,144     148,414         225
RAYONIER INC                      COM   754907103          24         544  SH     OTHER       01         544           0           0
RAYONIER INC                      COM   754907103      42,596     966,106  SH     DEFINED  01,08     244,543     721,563           0
RAYONIER INC                      COM   754907103       7,630     173,061  SH     DEFINED     09     173,061           0           0

RAYTHEON CO                       COM   755111507      25,024     474,111  SH     DEFINED     01     278,196     194,099       1,816
RAYTHEON CO                       COM   755111507       1,324      25,081  SH     OTHER       01      13,515       5,888       5,678
RAYTHEON CO                       COM   755111507     134,709   2,552,271  SH     DEFINED  01,08     602,179   1,950,092           0
RAYTHEON CO                       COM   755111507      39,697     752,120  SH     DEFINED     09     752,120           0           0

RBC BEARINGS INC                  COM   75524B104       1,409      30,548  SH     DEFINED     01       5,587      24,961           0
RBC BEARINGS INC                  COM   75524B104          54       1,165  SH     OTHER       01       1,165           0           0
RBC BEARINGS INC                  COM   75524B104      10,044     217,728  SH     DEFINED  01,08      36,248     181,480           0
RBC BEARINGS INC                  COM   75524B104       2,787      60,421  SH     DEFINED     09      60,421           0           0

REACHLOCAL INC                    COM   75525F104          40       5,625  SH     DEFINED     01       1,538       4,087           0
REACHLOCAL INC                    COM   75525F104         627      87,883  SH     DEFINED  01,08       8,827      79,056           0
REACHLOCAL INC                    COM   75525F104         230      32,275  SH     DEFINED     09      32,275           0           0

READING INTERNATIONAL INC         COM   755408101          59      12,661  SH     DEFINED     01           0      12,661           0
READING INTERNATIONAL INC         COM   755408101         166      35,580  SH     DEFINED  01,08      11,115      24,465           0

REALD INC                         COM   75604L105         469      34,769  SH     DEFINED     01      11,375      23,394           0
REALD INC                         COM   75604L105       5,048     373,937  SH     DEFINED  01,08      42,721     331,216           0
REALD INC                         COM   75604L105       1,830     135,528  SH     DEFINED     09     135,528           0           0

REALNETWORKS INC                  COM   75605L708         287      28,854  SH     DEFINED     01       4,776      24,078           0
REALNETWORKS INC                  COM   75605L708       2,186     219,889  SH     DEFINED  01,08      38,863     181,026           0
REALNETWORKS INC                  COM   75605L708         588      59,162  SH     DEFINED     09      59,162           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    257
  ________

REALPAGE INC                      COM   75606N109         689      35,967  SH     DEFINED     01       8,669      27,298           0
REALPAGE INC                      COM   75606N109         139       7,240  SH     OTHER       01       6,440           0         800
REALPAGE INC                      COM   75606N109       5,434     283,474  SH     DEFINED  01,08      37,138     246,336           0
REALPAGE INC                      COM   75606N109       1,613      84,161  SH     DEFINED     09      84,161           0           0

REALTY INCOME CORP                COM   756109104      17,771     458,836  SH     DEFINED     01     427,526      17,376      13,934
REALTY INCOME CORP                COM   756109104       1,537      39,681  SH     OTHER       01      37,236       2,445           0
REALTY INCOME CORP                COM   756109104      39,397   1,017,222  SH     DEFINED  01,08     241,637     775,585           0
REALTY INCOME CORP                COM   756109104       2,281      58,886  SH     DEFINED     09      58,886           0           0

RED HAT INC                       COM   756577102      29,306     489,328  SH     DEFINED     01     313,365     171,771       4,192
RED HAT INC                       COM   756577102         666      11,119  SH     OTHER       01       6,728       4,319          72
RED HAT INC                       COM   756577102      87,410   1,459,515  SH     DEFINED  01,08     362,403   1,097,112           0
RED HAT INC                       COM   756577102      27,676     462,113  SH     DEFINED     09     462,113           0           0

RED LION HOTELS CORP              COM   756764106         151      18,342  SH     DEFINED     01       3,290      15,052           0
RED LION HOTELS CORP              COM   756764106       1,027     125,126  SH     DEFINED  01,08      18,255     106,871           0
RED LION HOTELS CORP              COM   756764106         367      44,754  SH     DEFINED     09      44,754           0           0

RED ROBIN GOURMET BURGERS IN      COM   75689M101       1,063      28,585  SH     DEFINED     01       6,743      21,842           0
RED ROBIN GOURMET BURGERS IN      COM   75689M101          25         683  SH     OTHER       01         683           0           0
RED ROBIN GOURMET BURGERS IN      COM   75689M101       5,299     142,487  SH     DEFINED  01,08      33,698     108,789           0
RED ROBIN GOURMET BURGERS IN      COM   75689M101       1,838      49,427  SH     DEFINED     09      49,427           0           0

REDWOOD TR INC                    COM   758075402       5,638     503,388  SH     DEFINED     01      19,526     483,862           0
REDWOOD TR INC                    COM   758075402      13,675   1,220,949  SH     DEFINED  01,08     579,558     641,391           0
REDWOOD TR INC                    COM   758075402       2,474     220,917  SH     DEFINED     09     220,917           0           0

REED ELSEVIER N V                 COM   758204200      15,945     624,576  SH     DEFINED     01     608,279      10,803       5,494
REED ELSEVIER N V                 COM   758204200       1,101      43,133  SH     OTHER       01      29,503      10,515       3,115
REED ELSEVIER N V                 COM   758204200         648      25,367  SH     DEFINED  01,08      25,367           0           0

REED ELSEVIER P L C               COM   758205207       6,767     191,265  SH     DEFINED     01     187,857       1,894       1,514
REED ELSEVIER P L C               COM   758205207         602      17,029  SH     OTHER       01      12,821       3,353         855
REED ELSEVIER P L C               COM   758205207         821      23,212  SH     DEFINED  01,08      23,212           0           0

REGAL BELOIT CORP                 COM   758750103       2,037      31,083  SH     DEFINED     01      20,016      11,067           0
REGAL BELOIT CORP                 COM   758750103         221       3,368  SH     OTHER       01       3,028         340           0
REGAL BELOIT CORP                 COM   758750103      16,577     252,887  SH     DEFINED  01,08      16,235     236,652           0

REGAL ENTMT GROUP                 COM   758766109         668      49,115  SH     DEFINED     01      44,560       4,555           0
REGAL ENTMT GROUP                 COM   758766109         280      20,599  SH     OTHER       01       3,099           0      17,500
REGAL ENTMT GROUP                 COM   758766109       5,574     409,878  SH     DEFINED  01,08     175,850     234,028           0

REGENCY CTRS CORP                 COM   758849103       1,399      31,448  SH     DEFINED     01      21,224      10,064         160
REGENCY CTRS CORP                 COM   758849103      30,610     688,182  SH     DEFINED  01,08     167,754     520,428           0
REGENCY CTRS CORP                 COM   758849103       7,833     176,104  SH     DEFINED     09     176,104           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    258
  ________

REGENCY ENERGY PARTNERS L P       COM   75885Y107         239       9,700  SH     DEFINED     01       9,700           0           0
REGENCY ENERGY PARTNERS L P       COM   75885Y107          12         500  SH     OTHER       01         500           0           0
REGENCY ENERGY PARTNERS L P       COM   75885Y107       1,405      57,153  SH     DEFINED  01,08      57,153           0           0

REGENERON PHARMACEUTICALS         COM   75886F107       3,372      28,917  SH     DEFINED     01      21,552       7,365           0
REGENERON PHARMACEUTICALS         COM   75886F107         110         945  SH     OTHER       01         925           0          20
REGENERON PHARMACEUTICALS         COM   75886F107      54,425     466,688  SH     DEFINED  01,08      29,232     437,456           0
REGENERON PHARMACEUTICALS         COM   75886F107         385       3,300  SH     DEFINED     09       3,300           0           0

REGIS CORP MINN                CONV DEB 758932AA5       9,412   7,050,000  PRN    DEFINED     01     990,000   6,060,000           0
REGIS CORP MINN                CONV DEB 758932AA5       8,090   6,060,000  PRN    DEFINED  01,08   6,060,000           0           0

REGIS CORP MINN                   COM   758932107      10,531     571,398  SH     DEFINED     01      54,465     515,468       1,465
REGIS CORP MINN                   COM   758932107          20       1,080  SH     OTHER       01       1,080           0           0
REGIS CORP MINN                   COM   758932107      21,782   1,181,855  SH     DEFINED  01,08     548,322     633,533           0
REGIS CORP MINN                   COM   758932107       3,076     166,894  SH     DEFINED     09     166,894           0           0

REGIONS FINANCIAL CORP NEW        COM   7591EP100      10,387   1,576,220  SH     DEFINED     01     839,497     729,578       7,145
REGIONS FINANCIAL CORP NEW        COM   7591EP100         139      21,085  SH     OTHER       01      19,371         849         865
REGIONS FINANCIAL CORP NEW        COM   7591EP100      66,290  10,059,248  SH     DEFINED  01,08   2,444,259   7,614,989           0
REGIONS FINANCIAL CORP NEW        COM   7591EP100      22,105   3,354,391  SH     DEFINED     09   3,354,391           0           0

REINSURANCE GROUP AMER INC        COM   759351604       5,407      90,927  SH     DEFINED     01      79,400      10,093       1,434
REINSURANCE GROUP AMER INC        COM   759351604         614      10,322  SH     OTHER       01       1,983       8,264          75
REINSURANCE GROUP AMER INC        COM   759351604      26,737     449,590  SH     DEFINED  01,08      22,963     426,627           0

REIS INC                          COM   75936P105          93      10,465  SH     DEFINED     01           0      10,465           0
REIS INC                          COM   75936P105          15       1,700  SH     OTHER       01       1,700           0           0
REIS INC                          COM   75936P105         235      26,380  SH     DEFINED  01,08       9,113      17,267           0

RELIANCE STEEL & ALUMINUM CO      COM   759509102       1,469      26,009  SH     DEFINED     01      17,929       7,832         248
RELIANCE STEEL & ALUMINUM CO      COM   759509102         618      10,945  SH     OTHER       01           0           0      10,945
RELIANCE STEEL & ALUMINUM CO      COM   759509102      26,440     468,136  SH     DEFINED  01,08      32,018     436,118           0

RELIV INTL INC                    COM   75952R100           9       6,772  SH     DEFINED     01           0       6,772           0
RELIV INTL INC                    COM   75952R100          13       9,621  SH     DEFINED  01,08       5,479       4,142           0

RELM WIRELESS CORP                COM   759525108           6       3,804  SH     DEFINED     01           0       3,804           0
RELM WIRELESS CORP                COM   759525108          26      16,013  SH     DEFINED  01,08       4,241      11,772           0

RENASANT CORP                     COM   75970E107       3,546     217,837  SH     DEFINED     01       6,665     211,172           0
RENASANT CORP                     COM   75970E107       7,186     441,415  SH     DEFINED  01,08     230,670     210,745           0
RENASANT CORP                     COM   75970E107       1,184      72,706  SH     DEFINED     09      72,706           0           0

RENEWABLE ENERGY GROUP INC        COM   75972A301         141      13,629  SH     DEFINED  01,08       5,214       8,415           0

REPLIGEN CORP                     COM   759916109         160      27,069  SH     DEFINED     01           0      27,069           0
REPLIGEN CORP                     COM   759916109         408      69,082  SH     DEFINED  01,08      27,362      41,720           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    259
  ________

RENT A CTR INC NEW                COM   76009N100      16,511     437,384  SH     DEFINED     01      20,318     417,066           0
RENT A CTR INC NEW                COM   76009N100      41,647   1,103,220  SH     DEFINED  01,08     454,987     648,233           0
RENT A CTR INC NEW                COM   76009N100       6,349     168,177  SH     DEFINED     09     168,177           0           0

RENTECH INC                       COM   760112102         363     174,471  SH     DEFINED     01      66,795     107,676           0
RENTECH INC                       COM   760112102       4,209   2,023,662  SH     DEFINED  01,08     225,404   1,798,258           0
RENTECH INC                       COM   760112102       1,289     619,943  SH     DEFINED     09     619,943           0           0

RENTRAK CORP                      COM   760174102         467      20,570  SH     DEFINED     01       2,271      18,299           0
RENTRAK CORP                      COM   760174102       2,232      98,330  SH     DEFINED  01,08      21,556      76,774           0
RENTRAK CORP                      COM   760174102         622      27,407  SH     DEFINED     09      27,407           0           0

REPUBLIC AWYS HLDGS INC           COM   760276105         198      40,134  SH     DEFINED     01      12,002      28,132           0
REPUBLIC AWYS HLDGS INC           COM   760276105       2,226     450,642  SH     DEFINED  01,08      55,471     395,171           0
REPUBLIC AWYS HLDGS INC           COM   760276105         643     130,148  SH     DEFINED     09     130,148           0           0

REPROS THERAPEUTICS INC           COM   76028H209           8       2,009  SH     DEFINED     01           0       2,009           0
REPROS THERAPEUTICS INC           COM   76028H209          78      18,520  SH     DEFINED  01,08       1,806      16,714           0

REPUBLIC BANCORP KY               COM   760281204         429      17,915  SH     DEFINED     01       2,758      15,157           0
REPUBLIC BANCORP KY               COM   760281204       2,446     102,275  SH     DEFINED  01,08      20,663      81,612           0
REPUBLIC BANCORP KY               COM   760281204         836      34,941  SH     DEFINED     09      34,941           0           0

REPUBLIC FIRST BANCORP INC        COM   760416107           9       3,732  SH     DEFINED     01           0       3,732           0
REPUBLIC FIRST BANCORP INC        COM   760416107          55      23,145  SH     DEFINED  01,08       4,072      19,073           0

REPUBLIC SVCS INC                 COM   760759100      17,124     560,346  SH     DEFINED     01     374,100     179,371       6,875
REPUBLIC SVCS INC                 COM   760759100       1,541      50,413  SH     OTHER       01      15,337      28,963       6,113
REPUBLIC SVCS INC                 COM   760759100      71,793   2,349,251  SH     DEFINED  01,08     581,217   1,768,034           0
REPUBLIC SVCS INC                 COM   760759100      23,518     769,570  SH     DEFINED     09     769,570           0           0

RESEARCH FRONTIERS INC            COM   760911107          28       8,014  SH     DEFINED     01           0       8,014           0
RESEARCH FRONTIERS INC            COM   760911107         114      32,163  SH     DEFINED  01,08       5,610      26,553           0

RESEARCH IN MOTION LTD            COM   760975102       2,882     196,084  SH     DEFINED     01     195,043         340         701
RESEARCH IN MOTION LTD            COM   760975102         158      10,738  SH     OTHER       01       5,638       3,000       2,100
RESEARCH IN MOTION LTD            COM   760975102       1,032      70,217  SH     DEFINED  01,08      70,217           0           0

RESMED INC                        COM   761152107       1,873      60,582  SH     DEFINED     01      44,582      16,000           0
RESMED INC                        COM   761152107       1,033      33,412  SH     OTHER       01      33,412           0           0
RESMED INC                        COM   761152107      28,522     922,729  SH     DEFINED  01,08      68,933     853,796           0

RESOLUTE ENERGY CORP              COM   76116A108         416      36,554  SH     DEFINED     01       6,243      30,311           0
RESOLUTE ENERGY CORP              COM   76116A108         262      22,990  SH     OTHER       01      18,020       4,970           0
RESOLUTE ENERGY CORP              COM   76116A108       4,907     431,218  SH     DEFINED  01,08      48,909     382,309           0
RESOLUTE ENERGY CORP              COM   76116A108       1,825     160,329  SH     DEFINED     09     160,329           0           0

RESOURCE AMERICA INC              COM   761195205          98      15,518  SH     DEFINED     01         288      15,230           0
RESOURCE AMERICA INC              COM   761195205         238      37,735  SH     DEFINED  01,08      13,517      24,218           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    260
  ________

RESOURCE CAP CORP                 COM   76120W302       1,525     282,996  SH     DEFINED     01      20,387     262,609           0
RESOURCE CAP CORP                 COM   76120W302       5,142     954,018  SH     DEFINED  01,08     313,970     640,048           0
RESOURCE CAP CORP                 COM   76120W302       1,107     205,362  SH     DEFINED     09     205,362           0           0

RESOURCES CONNECTION INC          COM   76122Q105       2,573     183,160  SH     DEFINED     01     114,716      64,099       4,345
RESOURCES CONNECTION INC          COM   76122Q105         194      13,799  SH     OTHER       01       5,385       6,974       1,440
RESOURCES CONNECTION INC          COM   76122Q105       6,398     455,354  SH     DEFINED  01,08      86,640     368,714           0
RESOURCES CONNECTION INC          COM   76122Q105       1,756     124,976  SH     DEFINED     09     124,976           0           0

RESPONSYS INC                     COM   761248103          95       7,978  SH     DEFINED     01       2,484       3,862       1,632
RESPONSYS INC                     COM   761248103       1,169      97,645  SH     DEFINED  01,08       8,563      89,082           0
RESPONSYS INC                     COM   761248103         314      26,191  SH     DEFINED     09      26,191           0           0

RETAIL OPPORTUNITY INVTS COR      COM   76131N101         746      62,000  SH     DEFINED     01      17,148      44,852           0
RETAIL OPPORTUNITY INVTS COR      COM   76131N101       6,678     554,644  SH     DEFINED  01,08     143,162     411,482           0
RETAIL OPPORTUNITY INVTS COR      COM   76131N101       2,082     172,931  SH     DEFINED     09     172,931           0           0

REVETT MINERALS INC               COM   761505205          64      15,269  SH     DEFINED     01       5,131      10,138           0
REVETT MINERALS INC               COM   761505205         749     179,263  SH     DEFINED  01,08      20,622     158,641           0
REVETT MINERALS INC               COM   761505205         331      79,127  SH     DEFINED     09      79,127           0           0

REVLON INC                        COM   761525609         313      18,121  SH     DEFINED     01       7,169      10,952           0
REVLON INC                        COM   761525609       1,869     108,336  SH     DEFINED  01,08      20,694      87,642           0
REVLON INC                        COM   761525609         580      33,615  SH     DEFINED     09      33,615           0           0

REX ENERGY CORPORATION            COM   761565100         905      84,746  SH     DEFINED     01      16,767      67,979           0
REX ENERGY CORPORATION            COM   761565100           4         370  SH     OTHER       01         370           0           0
REX ENERGY CORPORATION            COM   761565100       4,348     407,115  SH     DEFINED  01,08      88,621     318,494           0
REX ENERGY CORPORATION            COM   761565100       1,343     125,738  SH     DEFINED     09     125,738           0           0

REX AMERICAN RESOURCES CORP       COM   761624105       2,388      77,787  SH     DEFINED     01       1,446      76,341           0
REX AMERICAN RESOURCES CORP       COM   761624105       4,189     136,455  SH     DEFINED  01,08      82,031      54,424           0
REX AMERICAN RESOURCES CORP       COM   761624105         636      20,724  SH     DEFINED     09      20,724           0           0

REXAHN PHARMACEUTICALS INC        COM   761640101           2       4,700  SH     DEFINED     01           0       4,700           0
REXAHN PHARMACEUTICALS INC        COM   761640101          46      87,633  SH     DEFINED  01,08       4,700      82,933           0

REYNOLDS AMERICAN INC             COM   761713106      14,657     353,688  SH     DEFINED     01     177,270     175,118       1,300
REYNOLDS AMERICAN INC             COM   761713106         323       7,793  SH     OTHER       01       5,694       2,099           0
REYNOLDS AMERICAN INC             COM   761713106      98,728   2,382,443  SH     DEFINED  01,08     504,006   1,878,437           0
REYNOLDS AMERICAN INC             COM   761713106      35,290     851,586  SH     DEFINED     09     851,586           0           0

RICHARDSON ELECTRS LTD            COM   763165107         238      19,869  SH     DEFINED     01       7,842      12,027           0
RICHARDSON ELECTRS LTD            COM   763165107       1,676     139,873  SH     DEFINED  01,08      22,974     116,899           0
RICHARDSON ELECTRS LTD            COM   763165107         434      36,205  SH     DEFINED     09      36,205           0           0

RICKS CABARET INTL INC            COM   765641303          69       7,410  SH     DEFINED     01          40       7,370           0
RICKS CABARET INTL INC            COM   765641303         192      20,547  SH     DEFINED  01,08       6,914      13,633           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    261
  ________

RIGEL PHARMACEUTICALS INC         COM   766559603         541      67,257  SH     DEFINED     01      19,113      48,144           0
RIGEL PHARMACEUTICALS INC         COM   766559603       5,205     646,551  SH     DEFINED  01,08      82,113     564,438           0
RIGEL PHARMACEUTICALS INC         COM   766559603       1,606     199,504  SH     DEFINED     09     199,504           0           0

RIGNET INC                        COM   766582100          73       4,140  SH     DEFINED     01       1,243       2,897           0
RIGNET INC                        COM   766582100         956      54,552  SH     DEFINED  01,08       5,316      49,236           0
RIGNET INC                        COM   766582100         306      17,445  SH     DEFINED     09      17,445           0           0

RIMAGE CORP                       COM   766721104         116      11,548  SH     DEFINED     01       1,213      10,335           0
RIMAGE CORP                       COM   766721104         916      91,502  SH     DEFINED  01,08      14,577      76,925           0
RIMAGE CORP                       COM   766721104         266      26,602  SH     DEFINED     09      26,602           0           0

RIO TINTO PLC                     COM   767204100      20,362     366,290  SH     DEFINED     01     328,810      36,060       1,420
RIO TINTO PLC                     COM   767204100       1,669      30,026  SH     OTHER       01      14,387      14,924         715
RIO TINTO PLC                     COM   767204100       3,915      70,419  SH     DEFINED  01,08      70,419           0           0

RITCHIE BROS AUCTIONEERS          COM   767744105       3,050     128,356  SH     DEFINED     01     101,408      21,988       4,960
RITCHIE BROS AUCTIONEERS          COM   767744105         384      16,179  SH     OTHER       01       6,200       9,629         350

RITE AID CORP                     COM   767754104         888     510,632  SH     DEFINED     01     158,858     351,774           0
RITE AID CORP                     COM   767754104       9,496   5,457,582  SH     DEFINED  01,08     693,041   4,764,541           0
RITE AID CORP                     COM   767754104       2,779   1,597,224  SH     DEFINED     09   1,597,224           0           0

RIVERBED TECHNOLOGY INC           COM   768573107       4,974     177,153  SH     DEFINED     01     121,685      54,360       1,108
RIVERBED TECHNOLOGY INC           COM   768573107         422      15,022  SH     OTHER       01      14,162         758         102
RIVERBED TECHNOLOGY INC           COM   768573107      28,950   1,030,971  SH     DEFINED  01,08     114,907     916,064           0

RIVERVIEW BANCORP INC             COM   769397100          20       8,985  SH     DEFINED     01           0       8,985           0
RIVERVIEW BANCORP INC             COM   769397100          59      26,193  SH     DEFINED  01,08       7,793      18,400           0

ROADRUNNER TRNSN SVCS HLDG I      COM   76973Q105         116       6,667  SH     DEFINED     01       2,415       4,252           0
ROADRUNNER TRNSN SVCS HLDG I      COM   76973Q105       1,509      86,956  SH     DEFINED  01,08       8,976      77,980           0
ROADRUNNER TRNSN SVCS HLDG I      COM   76973Q105         428      24,654  SH     DEFINED     09      24,654           0           0

ROBBINS & MYERS INC               COM   770196103       7,262     139,525  SH     DEFINED     01      21,329     118,196           0
ROBBINS & MYERS INC               COM   770196103          36         700  SH     OTHER       01           0         700           0
ROBBINS & MYERS INC               COM   770196103      24,044     461,936  SH     DEFINED  01,08     143,513     318,423           0
ROBBINS & MYERS INC               COM   770196103       6,000     115,278  SH     DEFINED     09     115,278           0           0

ROBERT HALF INTL INC              COM   770323103      28,352     935,706  SH     DEFINED     01     834,457      98,960       2,289
ROBERT HALF INTL INC              COM   770323103       1,288      42,515  SH     OTHER       01      11,267      31,193          55
ROBERT HALF INTL INC              COM   770323103      32,748   1,080,808  SH     DEFINED  01,08     262,481     818,327           0
ROBERT HALF INTL INC              COM   770323103      10,878     359,003  SH     DEFINED     09     359,003           0           0

ROCHESTER MED CORP                COM   771497104         107      10,931  SH     DEFINED     01           0      10,931           0
ROCHESTER MED CORP                COM   771497104         310      31,632  SH     DEFINED  01,08      11,689      19,943           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    262
  ________

ROCK-TENN CO                      COM   772739207       4,929      72,953  SH     DEFINED     01      27,632      45,321           0
ROCK-TENN CO                      COM   772739207           3          39  SH     OTHER       01           0           0          39
ROCK-TENN CO                      COM   772739207      32,450     480,312  SH     DEFINED  01,08      66,451     413,861           0
ROCK-TENN CO                      COM   772739207       6,891     102,005  SH     DEFINED     09     102,005           0           0

ROCKWELL AUTOMATION INC           COM   773903109      21,554     270,436  SH     DEFINED     01     179,403      87,223       3,810
ROCKWELL AUTOMATION INC           COM   773903109       3,098      38,872  SH     OTHER       01      29,003       8,969         900
ROCKWELL AUTOMATION INC           COM   773903109      87,163   1,093,638  SH     DEFINED  01,08     278,585     815,053           0
ROCKWELL AUTOMATION INC           COM   773903109      27,725     347,867  SH     DEFINED     09     347,867           0           0

ROCKVILLE FINL INC NEW            COM   774188106         358      30,715  SH     DEFINED     01       7,392      23,323           0
ROCKVILLE FINL INC NEW            COM   774188106       2,997     257,288  SH     DEFINED  01,08      39,826     217,462           0
ROCKVILLE FINL INC NEW            COM   774188106         847      72,669  SH     DEFINED     09      72,669           0           0

ROCKWELL COLLINS INC              COM   774341101      13,702     238,050  SH     DEFINED     01     150,756      84,354       2,940
ROCKWELL COLLINS INC              COM   774341101       3,283      57,043  SH     OTHER       01      28,991      16,374      11,678
ROCKWELL COLLINS INC              COM   774341101      63,059   1,095,534  SH     DEFINED  01,08     253,918     841,616           0
ROCKWELL COLLINS INC              COM   774341101      20,345     353,455  SH     DEFINED     09     353,455           0           0

ROCKWELL MEDICAL TECH             COM   774374102         140      14,830  SH     DEFINED     01       3,831      10,999           0
ROCKWELL MEDICAL TECH             COM   774374102       1,437     151,951  SH     DEFINED  01,08      17,203     134,748           0
ROCKWELL MEDICAL TECH             COM   774374102         465      49,188  SH     DEFINED     09      49,188           0           0

ROCKWOOD HLDGS INC                COM   774415103       3,286      63,019  SH     DEFINED     01      53,138       7,069       2,812
ROCKWOOD HLDGS INC                COM   774415103         197       3,775  SH     OTHER       01       3,424         351           0
ROCKWOOD HLDGS INC                COM   774415103      12,378     237,349  SH     DEFINED  01,08      25,721     211,628           0

ROCKY BRANDS INC                  COM   774515100          27       1,971  SH     DEFINED     01           0       1,971           0
ROCKY BRANDS INC                  COM   774515100         171      12,532  SH     DEFINED  01,08       1,683      10,849           0

ROCKY MTN CHOCOLATE FACTORY       COM   774678403          65       6,999  SH     DEFINED     01           0       6,999           0
ROCKY MTN CHOCOLATE FACTORY       COM   774678403         105      11,304  SH     DEFINED  01,08       6,000       5,304           0

RODMAN & RENSHAW CAP GP INC       COM   77487R100          21      19,864  SH     DEFINED  01,08           0      19,864           0

ROFIN SINAR TECHNOLOGIES INC      COM   775043102       5,530     209,696  SH     DEFINED     01      62,817     146,402         477
ROFIN SINAR TECHNOLOGIES INC      COM   775043102          78       2,975  SH     OTHER       01         755       2,220           0
ROFIN SINAR TECHNOLOGIES INC      COM   775043102      10,678     404,944  SH     DEFINED  01,08     172,239     232,705           0
ROFIN SINAR TECHNOLOGIES INC      COM   775043102       2,105      79,822  SH     DEFINED     09      79,822           0           0

ROGERS COMMUNICATIONS INC         COM   775109200       2,653      66,828  SH     DEFINED     01      64,903       1,925           0
ROGERS COMMUNICATIONS INC         COM   775109200         250       6,308  SH     OTHER       01         571       5,737           0
ROGERS COMMUNICATIONS INC         COM   775109200       1,420      35,759  SH     DEFINED  01,08      35,759           0           0

ROGERS CORP                       COM   775133101       4,623     119,295  SH     DEFINED     01      10,156     109,139           0
ROGERS CORP                       COM   775133101          47       1,200  SH     OTHER       01       1,200           0           0
ROGERS CORP                       COM   775133101       9,881     255,000  SH     DEFINED  01,08     121,877     133,123           0
ROGERS CORP                       COM   775133101       1,704      43,967  SH     DEFINED     09      43,967           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    263
  ________

ROLLINS INC                       COM   775711104       6,990     328,470  SH     DEFINED     01     189,784     130,620       8,066
ROLLINS INC                       COM   775711104         656      30,845  SH     OTHER       01      12,039      16,072       2,734
ROLLINS INC                       COM   775711104      18,099     850,499  SH     DEFINED  01,08     124,446     726,053           0
ROLLINS INC                       COM   775711104       3,905     183,522  SH     DEFINED     09     183,522           0           0

ROMA FINANCIAL CORP               COM   77581P109         289      29,470  SH     DEFINED     01       1,799      27,671           0
ROMA FINANCIAL CORP               COM   77581P109       1,047     106,924  SH     DEFINED  01,08      37,462      69,462           0
ROMA FINANCIAL CORP               COM   77581P109         243      24,848  SH     DEFINED     09      24,848           0           0

ROPER INDS INC NEW                COM   776696106      11,509     116,061  SH     DEFINED     01      62,450      53,193         418
ROPER INDS INC NEW                COM   776696106         650       6,558  SH     OTHER       01       3,491       3,007          60
ROPER INDS INC NEW                COM   776696106      70,888     714,889  SH     DEFINED  01,08     165,543     549,346           0
ROPER INDS INC NEW                COM   776696106      22,358     225,479  SH     DEFINED     09     225,479           0           0

ROSETTA RESOURCES INC             COM   777779307       3,527      72,333  SH     DEFINED     01      15,120      57,213           0
ROSETTA RESOURCES INC             COM   777779307      25,386     520,628  SH     DEFINED  01,08      88,988     431,640           0
ROSETTA RESOURCES INC             COM   777779307       7,501     153,828  SH     DEFINED     09     153,828           0           0

ROSETTA STONE INC                 COM   777780107         194      18,820  SH     DEFINED     01       2,331      16,489           0
ROSETTA STONE INC                 COM   777780107       1,107     107,265  SH     DEFINED  01,08      16,766      90,499           0
ROSETTA STONE INC                 COM   777780107         277      26,826  SH     DEFINED     09      26,826           0           0

ROSS STORES INC                   COM   778296103      21,966     378,080  SH     DEFINED     01     250,201     127,821          58
ROSS STORES INC                   COM   778296103         987      16,991  SH     OTHER       01       9,479       7,422          90
ROSS STORES INC                   COM   778296103     100,809   1,735,095  SH     DEFINED  01,08     421,843   1,313,252           0
ROSS STORES INC                   COM   778296103      32,484     559,106  SH     DEFINED     09     559,106           0           0

ROUNDYS INC                       COM   779268101         404      37,742  SH     DEFINED  01,08      15,022      22,720           0
ROUNDYS INC                       COM   779268101         589      55,031  SH     DEFINED     09      55,031           0           0

ROUSE PPTYS INC                   COM   779287101          84       6,200  SH     DEFINED     01       4,465       1,735           0
ROUSE PPTYS INC                   COM   779287101           2         125  SH     OTHER       01         116           0           9
ROUSE PPTYS INC                   COM   779287101       1,296      95,728  SH     DEFINED  01,08      39,708      56,020           0
ROUSE PPTYS INC                   COM   779287101         111       8,200  SH     DEFINED     09       8,200           0           0

ROVI CORP                         COM   779376102       2,118      65,080  SH     DEFINED     01      50,978      13,937         165
ROVI CORP                         COM   779376102          77       2,360  SH     OTHER       01         345       1,995          20
ROVI CORP                         COM   779376102      22,483     690,720  SH     DEFINED  01,08      42,831     647,889           0
ROVI CORP                         COM   779376102         153       4,701  SH     DEFINED     09       4,701           0           0

ROWAN COS INC                     COM   779382100       4,543     137,967  SH     DEFINED     01      66,507      71,122         338
ROWAN COS INC                     COM   779382100          65       1,962  SH     OTHER       01       1,491         305         166
ROWAN COS INC                     COM   779382100      30,492     925,976  SH     DEFINED  01,08     222,659     703,317           0
ROWAN COS INC                     COM   779382100       9,690     294,268  SH     DEFINED     09     294,268           0           0

ROYAL BANCSHARES PA INC           COM   780081105           9       5,421  SH     DEFINED     01           0       5,421           0
ROYAL BANCSHARES PA INC           COM   780081105          29      18,419  SH     DEFINED  01,08       5,770      12,649           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    264
  ________

ROYAL BK CDA MONTREAL QUE         COM   780087102       9,019     155,365  SH     DEFINED     01     149,445       5,920           0
ROYAL BK CDA MONTREAL QUE         COM   780087102         203       3,503  SH     OTHER       01       1,506       1,997           0
ROYAL BK CDA MONTREAL QUE         COM   780087102       4,071      70,133  SH     DEFINED  01,08      70,133           0           0

ROYAL BK SCOTLAND GROUP PLC       COM   780097689         793      89,697  SH     DEFINED     01      89,308         162         227
ROYAL BK SCOTLAND GROUP PLC       COM   780097689          23       2,635  SH     OTHER       01         794       1,841           0
ROYAL BK SCOTLAND GROUP PLC       COM   780097689         380      42,943  SH     DEFINED  01,08      42,943           0           0

ROYAL DUTCH SHELL PLC             COM   780259107      11,393     161,304  SH     DEFINED     01     155,853       5,451           0
ROYAL DUTCH SHELL PLC             COM   780259107         795      11,256  SH     OTHER       01       8,583       2,673           0
ROYAL DUTCH SHELL PLC             COM   780259107       8,015     113,475  SH     DEFINED  01,08     113,475           0           0

ROYAL DUTCH SHELL PLC             COM   780259206      66,654     950,435  SH     DEFINED     01     849,493      67,544      33,398
ROYAL DUTCH SHELL PLC             COM   780259206      31,556     449,961  SH     OTHER       01     363,350      61,375      25,236
ROYAL DUTCH SHELL PLC             COM   780259206       6,198      88,385  SH     DEFINED  01,08      88,385           0           0

ROYAL GOLD INC                    COM   780287108       1,129      17,313  SH     DEFINED     01      11,432       5,881           0
ROYAL GOLD INC                    COM   780287108      12,664     194,169  SH     DEFINED  01,08      16,129     178,040           0

ROYALE ENERGY INC                 COM   78074G200          25       4,827  SH     DEFINED     01           0       4,827           0
ROYALE ENERGY INC                 COM   78074G200          67      12,828  SH     DEFINED  01,08       4,361       8,467           0

RUBICON TECHNOLOGY INC            COM   78112T107         414      39,706  SH     DEFINED     01       8,566      31,140           0
RUBICON TECHNOLOGY INC            COM   78112T107       1,955     187,476  SH     DEFINED  01,08      43,512     143,964           0
RUBICON TECHNOLOGY INC            COM   78112T107         545      52,212  SH     DEFINED     09      52,212           0           0

RUBY TUESDAY INC                  COM   781182100       2,245     245,848  SH     DEFINED     01      41,155     204,693           0
RUBY TUESDAY INC                  COM   781182100       7,359     805,999  SH     DEFINED  01,08     270,997     535,002           0
RUBY TUESDAY INC                  COM   781182100       1,816     198,897  SH     DEFINED     09     198,897           0           0

RUDDICK CORP                      COM   781258108       3,911      97,536  SH     DEFINED     01      53,670      43,358         508
RUDDICK CORP                      COM   781258108          56       1,388  SH     OTHER       01         513         730         145
RUDDICK CORP                      COM   781258108      23,101     576,095  SH     DEFINED  01,08      44,741     531,354           0

RUDOLPH TECHNOLOGIES INC          COM   781270103         478      42,980  SH     DEFINED     01      16,308      26,672           0
RUDOLPH TECHNOLOGIES INC          COM   781270103       3,565     320,861  SH     DEFINED  01,08      58,216     262,645           0
RUDOLPH TECHNOLOGIES INC          COM   781270103       1,026      92,337  SH     DEFINED     09      92,337           0           0

RUE21 INC                         COM   781295100         693      23,605  SH     DEFINED     01       8,742      14,863           0
RUE21 INC                         COM   781295100       4,101     139,786  SH     DEFINED  01,08      16,670     123,116           0
RUE21 INC                         COM   781295100       1,177      40,119  SH     DEFINED     09      40,119           0           0

RUSH ENTERPRISES INC              COM   781846209       6,479     305,324  SH     DEFINED     01      19,105     286,219           0
RUSH ENTERPRISES INC              COM   781846209      12,180     573,999  SH     DEFINED  01,08     307,626     266,373           0
RUSH ENTERPRISES INC              COM   781846209       1,928      90,858  SH     DEFINED     09      90,858           0           0

RUTHS HOSPITALITY GROUP INC       COM   783332109         311      41,014  SH     DEFINED     01      14,910      26,104           0
RUTHS HOSPITALITY GROUP INC       COM   783332109       2,505     330,090  SH     DEFINED  01,08      54,259     275,831           0
RUTHS HOSPITALITY GROUP INC       COM   783332109         662      87,274  SH     DEFINED     09      87,274           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    265
  ________

RYANAIR HLDGS PLC                 COM   783513104       5,965     164,422  SH     DEFINED     01     161,632       1,535       1,255
RYANAIR HLDGS PLC                 COM   783513104         390      10,739  SH     OTHER       01       7,664       3,075           0
RYANAIR HLDGS PLC                 COM   783513104       2,763      76,160  SH     DEFINED  01,08      45,495      30,665           0
RYANAIR HLDGS PLC                 COM   783513104       3,269      90,109  SH     DEFINED     09      90,109           0           0

RYDER SYS INC                     COM   783549108       4,273      80,924  SH     DEFINED     01      47,934      32,681         309
RYDER SYS INC                     COM   783549108         458       8,672  SH     OTHER       01       1,071       7,601           0
RYDER SYS INC                     COM   783549108      20,235     383,231  SH     DEFINED  01,08      92,826     290,405           0
RYDER SYS INC                     COM   783549108       2,952      55,904  SH     DEFINED     09      55,904           0           0

RYDEX ETF TRUST                   COM   78355W106         889      17,140  SH     DEFINED     01      17,140           0           0
RYDEX ETF TRUST                   COM   78355W106          14         269  SH     OTHER       01         269           0           0

RYLAND GROUP INC                  COM   783764103       1,509      78,285  SH     DEFINED     01      22,996      55,289           0
RYLAND GROUP INC                  COM   783764103       8,637     447,961  SH     DEFINED  01,08      93,381     354,580           0
RYLAND GROUP INC                  COM   783764103       2,539     131,702  SH     DEFINED     09     131,702           0           0

S & T BANCORP INC                 COM   783859101       3,899     179,774  SH     DEFINED     01      14,957     164,817           0
S & T BANCORP INC                 COM   783859101       9,353     431,229  SH     DEFINED  01,08     191,559     239,670           0
S & T BANCORP INC                 COM   783859101       1,838      84,758  SH     DEFINED     09      84,758           0           0

SBA COMMUNICATIONS CORP           COM   78388J106       2,034      40,023  SH     DEFINED     01      29,454      10,339         230
SBA COMMUNICATIONS CORP           COM   78388J106         584      11,485  SH     OTHER       01       5,200       6,200          85
SBA COMMUNICATIONS CORP           COM   78388J106      19,965     392,937  SH     DEFINED  01,08      52,971     339,966           0
SBA COMMUNICATIONS CORP           COM   78388J106       7,556     148,712  SH     DEFINED     09     148,712           0           0

SAIC INC                          COM   78390X101       4,530     343,206  SH     DEFINED     01     169,585     173,253         368
SAIC INC                          COM   78390X101         288      21,843  SH     OTHER       01       2,843      19,000           0
SAIC INC                          COM   78390X101      26,630   2,017,443  SH     DEFINED  01,08     416,571   1,600,872           0
SAIC INC                          COM   78390X101       8,277     627,062  SH     DEFINED     09     627,062           0           0

SCBT FINANCIAL CORP               COM   78401V102       3,188      97,466  SH     DEFINED     01       3,361      94,105           0
SCBT FINANCIAL CORP               COM   78401V102       7,120     217,670  SH     DEFINED  01,08     103,763     113,907           0
SCBT FINANCIAL CORP               COM   78401V102       1,215      37,143  SH     DEFINED     09      37,143           0           0

SEI INVESTMENTS CO                COM   784117103       5,374     259,718  SH     DEFINED     01     188,870      68,978       1,870
SEI INVESTMENTS CO                COM   784117103         419      20,240  SH     OTHER       01       7,955       8,820       3,465
SEI INVESTMENTS CO                COM   784117103      18,759     906,686  SH     DEFINED  01,08      49,562     857,124           0
SEI INVESTMENTS CO                COM   784117103       4,435     214,360  SH     DEFINED     09     214,360           0           0

SJW CORP                          COM   784305104         558      23,122  SH     DEFINED     01       4,926      18,196           0
SJW CORP                          COM   784305104       3,321     137,685  SH     DEFINED  01,08      25,029     112,656           0
SJW CORP                          COM   784305104       1,043      43,262  SH     DEFINED     09      43,262           0           0

SK TELECOM LTD                    COM   78440P108       2,570     184,761  SH     DEFINED     01      22,958     161,803           0
SK TELECOM LTD                    COM   78440P108         273      19,596  SH     OTHER       01           0      17,732       1,864
SK TELECOM LTD                    COM   78440P108       1,146      82,351  SH     DEFINED  01,08      82,351           0           0
SK TELECOM LTD                    COM   78440P108         564      40,539  SH     DEFINED     09      40,539           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    266
  ________

SL GREEN RLTY CORP                COM   78440X101       3,315      42,745  SH     DEFINED     01      32,378       9,737         630
SL GREEN RLTY CORP                COM   78440X101         446       5,750  SH     OTHER       01           0       5,645         105
SL GREEN RLTY CORP                COM   78440X101      51,550     664,727  SH     DEFINED  01,08     157,351     507,376           0
SL GREEN RLTY CORP                COM   78440X101       2,934      37,834  SH     DEFINED     09      37,834           0           0

SLM CORP                          COM   78442P106      10,690     678,275  SH     DEFINED     01     408,282     268,455       1,538
SLM CORP                          COM   78442P106         149       9,466  SH     OTHER       01       8,504         562         400
SLM CORP                          COM   78442P106      60,269   3,824,174  SH     DEFINED  01,08     938,055   2,886,119           0
SLM CORP                          COM   78442P106      18,873   1,197,539  SH     DEFINED     09   1,197,539           0           0

SMF ENERGY CORPORATION            COM   78453M208           8       6,864  SH     DEFINED     01           0       6,864           0
SMF ENERGY CORPORATION            COM   78453M208          15      12,774  SH     DEFINED  01,08         441      12,333           0

SM ENERGY CO                      COM   78454L100       1,753      24,765  SH     DEFINED     01      16,509       8,256           0
SM ENERGY CO                      COM   78454L100         408       5,770  SH     OTHER       01         900       4,825          45
SM ENERGY CO                      COM   78454L100      28,416     401,533  SH     DEFINED  01,08      27,987     373,546           0

SPDR S&P 500 ETF TR               COM   78462F103     396,103   2,813,031  SH     DEFINED     01   2,645,167     108,872      58,992
SPDR S&P 500 ETF TR               COM   78462F103      98,970     702,860  SH     OTHER       01     434,718     224,423      43,719
SPDR S&P 500 ETF TR               COM   78462F103      16,625     118,068  SH     DEFINED  01,08     117,329         739           0

SPS COMM INC                      COM   78463M107       2,004      74,546  SH     DEFINED     01      57,547      15,044       1,955
SPS COMM INC                      COM   78463M107         236       8,770  SH     OTHER       01       4,045       4,535         190
SPS COMM INC                      COM   78463M107       2,038      75,817  SH     DEFINED  01,08       7,596      68,221           0
SPS COMM INC                      COM   78463M107         738      27,465  SH     DEFINED     09      27,465           0           0

SPDR GOLD TRUST                   COM   78463V107   2,231,422  13,764,017  SH     DEFINED     01  13,164,830     253,752     345,436
SPDR GOLD TRUST                   COM   78463V107     294,130   1,814,275  SH     OTHER       01   1,435,482     229,936     148,857

SPDR INDEX SHS FDS                COM   78463X806         830      11,665  SH     DEFINED     01       4,990       6,675           0
SPDR INDEX SHS FDS                COM   78463X806       3,040      42,745  SH     OTHER       01       6,035      36,710           0

SPDR INDEX SHS FDS             UNDEFIND 78463X848       1,650      52,482         DEFINED     01      52,482           0           0

SPDR INDEX SHS FDS                COM   78463X863      24,879     675,697  SH     DEFINED     01     650,727         400      24,570
SPDR INDEX SHS FDS                COM   78463X863       2,977      80,858  SH     OTHER       01      57,250      13,360      10,248

SPDR INDEX SHS FDS                COM   78463X871          92       3,200  SH     DEFINED     01       3,200           0           0
SPDR INDEX SHS FDS                COM   78463X871         114       3,950  SH     OTHER       01       3,950           0           0

SPX CORP                          COM   784635104       3,559      45,901  SH     DEFINED     01      23,964      21,937           0
SPX CORP                          COM   784635104         307       3,964  SH     OTHER       01         534       3,420          10
SPX CORP                          COM   784635104      24,941     321,689  SH     DEFINED  01,08      26,143     295,546           0
SPX CORP                          COM   784635104       5,241      67,599  SH     DEFINED     09      67,599           0           0

SPDR SERIES TRUST              UNDEFIND 78464A375         600      18,046         DEFINED     01      18,046           0           0

SPDR SERIES TRUST              UNDEFIND 78464A425           9      36,460         DEFINED     01      36,460           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    267
  ________

SPDR SERIES TRUST              UNDEFIND 78464A516       3,400      56,129         DEFINED     01       7,350      48,779           0

SPDR SERIES TRUST                 COM   78464A607      72,134   1,018,412  SH     DEFINED     01     958,079      21,575      38,758
SPDR SERIES TRUST                 COM   78464A607      12,106     170,920  SH     OTHER       01     124,687      28,189      18,044

SPDR SERIES TRUST                 COM   78464A763         137       2,425  SH     DEFINED     01       2,425           0           0
SPDR SERIES TRUST                 COM   78464A763         452       7,972  SH     OTHER       01       1,850       4,272       1,850

SPDR SERIES TRUST                 COM   78464A805      11,251     106,995  SH     DEFINED     01     106,995           0           0

SPDR SERIES TRUST                 COM   78464A847       2,752      42,015  SH     DEFINED     01      42,015           0           0

SPDR SERIES TRUST                 COM   78464A870          31         384  SH     DEFINED     01         384           0           0
SPDR SERIES TRUST                 COM   78464A870       1,047      13,016  SH     OTHER       01      10,316         500       2,200

SRS LABS INC                      COM   78464M106         101      14,559  SH     DEFINED     01       1,406      13,153           0
SRS LABS INC                      COM   78464M106         778     111,900  SH     DEFINED  01,08      18,194      93,706           0
SRS LABS INC                      COM   78464M106         250      35,928  SH     DEFINED     09      35,928           0           0

SRI/SURGICAL EXPRESS INC          COM   78464W104          16       4,214  SH     DEFINED     01           0       4,214           0
SRI/SURGICAL EXPRESS INC          COM   78464W104          22       5,855  SH     DEFINED  01,08       3,293       2,562           0

SS&C TECHNOLOGIES HLDGS INC       COM   78467J100       1,240      53,161  SH     DEFINED     01       3,007      50,154           0
SS&C TECHNOLOGIES HLDGS INC       COM   78467J100       6,489     278,120  SH     DEFINED  01,08      62,073     216,047           0
SS&C TECHNOLOGIES HLDGS INC       COM   78467J100       2,175      93,234  SH     DEFINED     09      93,234           0           0

SPDR DOW JONES INDL AVRG ETF      COM   78467X109      14,117     107,113  SH     DEFINED     01     103,963       1,540       1,610
SPDR DOW JONES INDL AVRG ETF      COM   78467X109       2,043      15,498  SH     OTHER       01      12,250       1,825       1,423

SPDR S&P MIDCAP 400 ETF TR        COM   78467Y107     183,982   1,018,109  SH     DEFINED     01     865,428     110,313      42,368
SPDR S&P MIDCAP 400 ETF TR        COM   78467Y107      49,136     271,907  SH     OTHER       01     191,856      54,181      25,870
SPDR S&P MIDCAP 400 ETF TR        COM   78467Y107       5,129      28,380  SH     DEFINED  01,08      28,380           0           0

STEC INC                          COM   784774101         471      49,876  SH     DEFINED     01      16,147      33,548         181
STEC INC                          COM   784774101           2         195  SH     OTHER       01         195           0           0
STEC INC                          COM   784774101       3,445     364,898  SH     DEFINED  01,08      56,941     307,957           0
STEC INC                          COM   784774101       1,079     114,284  SH     DEFINED     09     114,284           0           0

STR HLDGS INC                     COM   78478V100         202      41,650  SH     DEFINED     01      15,219      26,431           0
STR HLDGS INC                     COM   78478V100       1,463     302,359  SH     DEFINED  01,08      43,083     259,276           0
STR HLDGS INC                     COM   78478V100         456      94,150  SH     DEFINED     09      94,150           0           0

SVB FINL GROUP                    COM   78486Q101      11,307     175,732  SH     DEFINED     01      12,602     163,030         100
SVB FINL GROUP                    COM   78486Q101      42,606     662,199  SH     DEFINED  01,08     190,663     471,536           0
SVB FINL GROUP                    COM   78486Q101       8,216     127,700  SH     DEFINED     09     127,700           0           0

SABA SOFTWARE INC                 COM   784932600         413      42,138  SH     DEFINED     01      14,739      27,399           0
SABA SOFTWARE INC                 COM   784932600       2,809     286,391  SH     DEFINED  01,08      44,953     241,438           0
SABA SOFTWARE INC                 COM   784932600         947      96,582  SH     DEFINED     09      96,582           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    268
  ________

SWS GROUP INC                     COM   78503N107         274      47,826  SH     DEFINED     01      14,964      32,862           0
SWS GROUP INC                     COM   78503N107       1,740     304,238  SH     DEFINED  01,08      58,009     246,229           0
SWS GROUP INC                     COM   78503N107         479      83,825  SH     DEFINED     09      83,825           0           0

SXC HEALTH SOLUTIONS CORP         COM   78505P100       5,636      75,184  SH     DEFINED     01      70,976       3,528         680
SXC HEALTH SOLUTIONS CORP         COM   78505P100         627       8,371  SH     OTHER       01       8,056         315           0
SXC HEALTH SOLUTIONS CORP         COM   78505P100       8,809     117,511  SH     DEFINED  01,08      12,195     105,316           0

S Y BANCORP INC                   COM   785060104         575      24,805  SH     DEFINED     01       3,294      21,511           0
S Y BANCORP INC                   COM   785060104       2,838     122,327  SH     DEFINED  01,08      26,234      96,093           0
S Y BANCORP INC                   COM   785060104         915      39,441  SH     DEFINED     09      39,441           0           0

SABRA HEALTH CARE REIT INC        COM   78573L106         724      44,055  SH     DEFINED     01      11,629      32,426           0
SABRA HEALTH CARE REIT INC        COM   78573L106       8,875     539,843  SH     DEFINED  01,08     235,124     304,719           0
SABRA HEALTH CARE REIT INC        COM   78573L106       2,298     139,803  SH     DEFINED     09     139,803           0           0

SAFEGUARD SCIENTIFICS INC         COM   786449207         465      27,008  SH     DEFINED     01       9,277      17,631         100
SAFEGUARD SCIENTIFICS INC         COM   786449207           2         110  SH     OTHER       01         110           0           0
SAFEGUARD SCIENTIFICS INC         COM   786449207       3,469     201,704  SH     DEFINED  01,08      32,090     169,614           0
SAFEGUARD SCIENTIFICS INC         COM   786449207       1,061      61,657  SH     DEFINED     09      61,657           0           0

SAFETY INS GROUP INC              COM   78648T100       1,760      42,275  SH     DEFINED     01       6,962      35,313           0
SAFETY INS GROUP INC              COM   78648T100       6,414     154,041  SH     DEFINED  01,08      46,629     107,412           0
SAFETY INS GROUP INC              COM   78648T100       1,676      40,249  SH     DEFINED     09      40,249           0           0

SAFEWAY INC                       COM   786514208      11,789     583,335  SH     DEFINED     01     426,693     144,625      12,017
SAFEWAY INC                       COM   786514208         553      27,364  SH     OTHER       01       6,990      20,156         218
SAFEWAY INC                       COM   786514208      45,423   2,247,568  SH     DEFINED  01,08     584,049   1,663,519           0
SAFEWAY INC                       COM   786514208      15,600     771,886  SH     DEFINED     09     771,886           0           0

SAGA COMMUNICATIONS INC           COM   786598300         170       4,751  SH     DEFINED     01         312       4,439           0
SAGA COMMUNICATIONS INC           COM   786598300       1,180      32,969  SH     DEFINED  01,08       5,409      27,560           0
SAGA COMMUNICATIONS INC           COM   786598300         333       9,309  SH     DEFINED     09       9,309           0           0

SAGENT PHARMACEUTICALS INC        COM   786692103          71       3,951  SH     DEFINED     01         599       3,352           0
SAGENT PHARMACEUTICALS INC        COM   786692103       1,274      71,301  SH     DEFINED  01,08       5,530      65,771           0
SAGENT PHARMACEUTICALS INC        COM   786692103         301      16,821  SH     DEFINED     09      16,821           0           0

SAIA INC                          COM   78709Y105       1,669      98,125  SH     DEFINED     01       4,242      93,883           0
SAIA INC                          COM   78709Y105       4,051     238,161  SH     DEFINED  01,08     105,100     133,061           0
SAIA INC                          COM   78709Y105         893      52,507  SH     DEFINED     09      52,507           0           0

ST JOE CO                         COM   790148100         628      33,041  SH     DEFINED     01      17,495      15,546           0
ST JOE CO                         COM   790148100         293      15,400  SH     OTHER       01      15,400           0           0
ST JOE CO                         COM   790148100       5,020     264,049  SH     DEFINED  01,08      34,152     229,897           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    269
  ________

ST JUDE MED INC                   COM   790849103      15,688     354,056  SH     DEFINED     01     181,119     171,373       1,564
ST JUDE MED INC                   COM   790849103       2,359      53,247  SH     OTHER       01      13,271      30,904       9,072
ST JUDE MED INC                   COM   790849103     105,746   2,386,509  SH     DEFINED  01,08     545,136   1,841,373           0
ST JUDE MED INC                   COM   790849103      35,930     810,867  SH     DEFINED     09     810,867           0           0

SAKS INC                          COM   79377W108       2,466     212,406  SH     DEFINED     01      27,842     184,564           0
SAKS INC                          COM   79377W108      18,779   1,617,444  SH     DEFINED  01,08     255,952   1,361,492           0
SAKS INC                          COM   79377W108       3,837     330,476  SH     DEFINED     09     330,476           0           0

SALEM COMMUNICATIONS CORP DE      COM   794093104          44       9,400  SH     DEFINED     01           0       9,400           0
SALEM COMMUNICATIONS CORP DE      COM   794093104         118      25,140  SH     DEFINED  01,08       6,547      18,593           0

SALESFORCE COM INC                COM   79466L302      71,026     459,687  SH     DEFINED     01     334,341     113,130      12,216
SALESFORCE COM INC                COM   79466L302       7,198      46,587  SH     OTHER       01      35,403      10,638         546
SALESFORCE COM INC                COM   79466L302     156,598   1,013,516  SH     DEFINED  01,08     248,348     765,168           0
SALESFORCE COM INC                COM   79466L302      49,578     320,872  SH     DEFINED     09     320,872           0           0

SALIX PHARMACEUTICALS INC         COM   795435106       4,609      87,798  SH     DEFINED     01      31,628      55,870         300
SALIX PHARMACEUTICALS INC         COM   795435106          68       1,300  SH     OTHER       01           0       1,300           0
SALIX PHARMACEUTICALS INC         COM   795435106      29,615     564,101  SH     DEFINED  01,08      96,767     467,334           0
SALIX PHARMACEUTICALS INC         COM   795435106       8,956     170,592  SH     DEFINED     09     170,592           0           0

SALLY BEAUTY HLDGS INC            COM   79546E104       9,451     381,075  SH     DEFINED     01     301,906      74,532       4,637
SALLY BEAUTY HLDGS INC            COM   79546E104         294      11,865  SH     OTHER       01       5,775       5,320         770
SALLY BEAUTY HLDGS INC            COM   79546E104      10,692     431,129  SH     DEFINED  01,08      73,963     357,166           0

SANCHEZ ENERGY CORP               COM   79970Y105         451      20,109  SH     DEFINED  01,08       7,842      12,267           0
SANCHEZ ENERGY CORP               COM   79970Y105         683      30,428  SH     DEFINED     09      30,428           0           0

SANDERSON FARMS INC               COM   800013104       2,497      47,089  SH     DEFINED     01      10,035      37,054           0
SANDERSON FARMS INC               COM   800013104         293       5,525  SH     OTHER       01           0       5,525           0
SANDERSON FARMS INC               COM   800013104      12,194     229,952  SH     DEFINED  01,08      52,913     177,039           0
SANDERSON FARMS INC               COM   800013104       3,402      64,149  SH     DEFINED     09      64,149           0           0

SANDISK CORP                   CONV DEB 80004CAD3       6,511   5,500,000  PRN    DEFINED     01     818,000   4,682,000           0
SANDISK CORP                   CONV DEB 80004CAD3     554,232   4,682,000  PRN    DEFINED  01,08   4,682,000           0           0

SANDISK CORP                      COM   80004C101      28,425     573,207  SH     DEFINED     01     380,517     190,892       1,798
SANDISK CORP                      COM   80004C101       2,561      51,649  SH     OTHER       01      20,858      30,631         160
SANDISK CORP                      COM   80004C101      93,070   1,876,795  SH     DEFINED  01,08     527,586   1,349,209           0
SANDISK CORP                      COM   80004C101      28,622     577,180  SH     DEFINED     09     577,180           0           0

SANDRIDGE ENERGY INC              COM   80007P307       1,173     149,749  SH     DEFINED     01      89,899      59,850           0
SANDRIDGE ENERGY INC              COM   80007P307         343      43,764  SH     OTHER       01      38,033       5,671          60
SANDRIDGE ENERGY INC              COM   80007P307      10,532   1,345,043  SH     DEFINED  01,08     129,014   1,216,029           0

SANDY SPRING BANCORP INC          COM   800363103       1,439      79,181  SH     DEFINED     01       6,895      72,286           0
SANDY SPRING BANCORP INC          COM   800363103       5,083     279,734  SH     DEFINED  01,08      84,340     195,394           0
SANDY SPRING BANCORP INC          COM   800363103       1,210      66,589  SH     DEFINED     09      66,589           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    270
  ________

SANFILIPPO JOHN B & SON INC       COM   800422107          34       2,705  SH     DEFINED     01           0       2,705           0
SANFILIPPO JOHN B & SON INC       COM   800422107         146      11,723  SH     DEFINED  01,08       1,718      10,005           0

SANGAMO BIOSCIENCES INC           COM   800677106         269      54,979  SH     DEFINED     01      13,252      41,727           0
SANGAMO BIOSCIENCES INC           COM   800677106       2,441     498,099  SH     DEFINED  01,08      69,452     428,647           0
SANGAMO BIOSCIENCES INC           COM   800677106         751     153,199  SH     DEFINED     09     153,199           0           0

SANMINA SCI CORP                  COM   800907206       1,060      92,540  SH     DEFINED     01      22,038      70,502           0
SANMINA SCI CORP                  COM   800907206       8,502     742,536  SH     DEFINED  01,08      98,432     644,104           0
SANMINA SCI CORP                  COM   800907206       2,717     237,302  SH     DEFINED     09     237,302           0           0

SANOFI                            COM   80105N105      42,980   1,109,152  SH     DEFINED     01     926,558     170,425      12,169
SANOFI                            COM   80105N105       5,539     142,946  SH     OTHER       01      50,330      83,393       9,223
SANOFI                            COM   80105N105      14,811     382,228  SH     DEFINED  01,08     371,197         753      10,278

SANOFI                            COM   80105N113           8       6,030  SH     DEFINED     01       4,430       1,600           0
SANOFI                            COM   80105N113           8       6,018  SH     OTHER       01       1,560       4,108         350
SANOFI                            COM   80105N113          19      14,400  SH     DEFINED  01,08      14,400           0           0

SANTARUS INC                      COM   802817304         299      51,138  SH     DEFINED     01      11,163      39,975           0
SANTARUS INC                      COM   802817304       2,968     507,338  SH     DEFINED  01,08      65,289     442,049           0
SANTARUS INC                      COM   802817304       1,070     182,862  SH     DEFINED     09     182,862           0           0

SAP AG                            COM   803054204      42,567     609,670  SH     DEFINED     01     573,290      29,964       6,416
SAP AG                            COM   803054204       3,636      52,080  SH     OTHER       01      40,527       7,753       3,800
SAP AG                            COM   803054204       2,742      39,274  SH     DEFINED  01,08      39,274           0           0

SAPIENT CORP                      COM   803062108       2,529     203,117  SH     DEFINED     01      29,968     172,979         170
SAPIENT CORP                      COM   803062108      14,012   1,125,443  SH     DEFINED  01,08     231,082     894,361           0
SAPIENT CORP                      COM   803062108       3,854     309,580  SH     DEFINED     09     309,580           0           0

SAPPI LTD                         COM   803069202          39      10,541  SH     DEFINED     01      10,541           0           0

SARA LEE CORP                     COM   803111103      17,395     807,965  SH     DEFINED     01     489,932     316,317       1,716
SARA LEE CORP                     COM   803111103       1,393      64,703  SH     OTHER       01      22,924      39,574       2,205
SARA LEE CORP                     COM   803111103      96,216   4,468,907  SH     DEFINED  01,08   1,128,043   3,340,864           0
SARA LEE CORP                     COM   803111103      31,528   1,464,388  SH     DEFINED     09   1,464,388           0           0

SASOL LTD                         COM   803866300       3,377      69,437  SH     DEFINED     01      67,002       1,915         520
SASOL LTD                         COM   803866300         226       4,645  SH     OTHER       01       3,553         847         245
SASOL LTD                         COM   803866300          35         723  SH     DEFINED  01,08         723           0           0

SATCON TECHNOLOGY CORP            COM   803893106          32      89,941  SH     DEFINED     01      12,285      77,656           0
SATCON TECHNOLOGY CORP            COM   803893106         301     836,505  SH     DEFINED  01,08      94,749     741,756           0
SATCON TECHNOLOGY CORP            COM   803893106         116     322,739  SH     DEFINED     09     322,739           0           0

SAUER-DANFOSS INC                 COM   804137107       1,222      25,994  SH     DEFINED     01       3,999      21,995           0
SAUER-DANFOSS INC                 COM   804137107       5,791     123,212  SH     DEFINED  01,08      28,173      95,039           0
SAUER-DANFOSS INC                 COM   804137107       1,711      36,398  SH     DEFINED     09      36,398           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    271
  ________

SAUL CTRS INC                     COM   804395101         659      16,316  SH     DEFINED     01       4,824      11,492           0
SAUL CTRS INC                     COM   804395101       4,191     103,832  SH     DEFINED  01,08      39,262      64,570           0
SAUL CTRS INC                     COM   804395101       1,118      27,713  SH     DEFINED     09      27,713           0           0

SAVANNAH BANCORP INC              COM   804748101           6       1,242  SH     DEFINED     01           0       1,242           0
SAVANNAH BANCORP INC              COM   804748101          54      10,461  SH     DEFINED  01,08       1,997       8,464           0

SAVIENT PHARMACEUTICALS INC       COM   80517Q100         213      97,809  SH     DEFINED     01      29,581      68,228           0
SAVIENT PHARMACEUTICALS INC       COM   80517Q100       1,505     690,201  SH     DEFINED  01,08     115,119     575,082           0
SAVIENT PHARMACEUTICALS INC       COM   80517Q100         421     192,994  SH     DEFINED     09     192,994           0           0

SCANA CORP NEW                    COM   80589M102       5,465     119,815  SH     DEFINED     01      58,471      60,885         459
SCANA CORP NEW                    COM   80589M102         174       3,807  SH     OTHER       01       1,508         737       1,562
SCANA CORP NEW                    COM   80589M102      39,061     856,419  SH     DEFINED  01,08     208,916     647,503           0
SCANA CORP NEW                    COM   80589M102      13,194     289,281  SH     DEFINED     09     289,281           0           0

SCANSOURCE INC                    COM   806037107       3,422      91,698  SH     DEFINED     01      60,400      30,765         533
SCANSOURCE INC                    COM   806037107          68       1,809  SH     OTHER       01         629         925         255
SCANSOURCE INC                    COM   806037107      10,238     274,324  SH     DEFINED  01,08      54,304     220,020           0
SCANSOURCE INC                    COM   806037107       2,822      75,611  SH     DEFINED     09      75,611           0           0

SCHAWK INC                        COM   806373106       2,233     178,526  SH     DEFINED     01       3,702     174,824           0
SCHAWK INC                        COM   806373106       3,517     281,098  SH     DEFINED  01,08     185,472      95,626           0
SCHAWK INC                        COM   806373106         522      41,687  SH     DEFINED     09      41,687           0           0

SCHEIN HENRY INC                  COM   806407102       3,159      41,740  SH     DEFINED     01      29,891       9,300       2,549
SCHEIN HENRY INC                  COM   806407102       1,440      19,030  SH     OTHER       01      16,970       2,020          40
SCHEIN HENRY INC                  COM   806407102      43,843     579,318  SH     DEFINED  01,08      52,802     526,516           0
SCHEIN HENRY INC                  COM   806407102       8,760     115,746  SH     DEFINED     09     115,746           0           0

SCHIFF NUTRITION INTL INC         COM   806693107         184      14,932  SH     DEFINED     01       2,312      12,620           0
SCHIFF NUTRITION INTL INC         COM   806693107       1,439     117,101  SH     DEFINED  01,08      20,182      96,919           0
SCHIFF NUTRITION INTL INC         COM   806693107         664      54,058  SH     DEFINED     09      54,058           0           0

SCHLUMBERGER LTD                  COM   806857108     299,148   4,277,816  SH     DEFINED     01   3,287,394     862,238     128,184
SCHLUMBERGER LTD                  COM   806857108      78,307   1,119,785  SH     OTHER       01     721,713     230,404     167,668
SCHLUMBERGER LTD                  COM   806857108     718,421  10,273,430  SH     DEFINED  01,08   2,637,055   7,627,249       9,126
SCHLUMBERGER LTD                  COM   806857108     243,022   3,475,215  SH     DEFINED     09   3,475,215           0           0

SCHNITZER STL INDS                COM   806882106       1,739      43,600  SH     DEFINED     01      31,108      11,212       1,280
SCHNITZER STL INDS                COM   806882106         254       6,370  SH     OTHER       01         315       5,965          90
SCHNITZER STL INDS                COM   806882106       3,361      84,241  SH     DEFINED  01,08      16,357      67,884           0

SCHOLASTIC CORP                   COM   807066105       8,730     247,446  SH     DEFINED     01       9,078     238,368           0
SCHOLASTIC CORP                   COM   807066105      19,477     552,071  SH     DEFINED  01,08     261,554     290,517           0
SCHOLASTIC CORP                   COM   807066105       2,601      73,733  SH     DEFINED     09      73,733           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    272
  ________

SCHOOL SPECIALTY INC              COM   807863105          81      22,870  SH     DEFINED     01       2,433      20,437           0
SCHOOL SPECIALTY INC              COM   807863105         563     158,946  SH     DEFINED  01,08      28,610     130,336           0
SCHOOL SPECIALTY INC              COM   807863105         210      59,432  SH     DEFINED     09      59,432           0           0

SCHULMAN A INC                    COM   808194104       3,688     136,488  SH     DEFINED     01      14,411     122,077           0
SCHULMAN A INC                    COM   808194104      11,058     409,270  SH     DEFINED  01,08     154,918     254,352           0
SCHULMAN A INC                    COM   808194104       2,627      97,241  SH     DEFINED     09      97,241           0           0

SCHWAB CHARLES CORP NEW           COM   808513105      28,242   1,965,347  SH     DEFINED     01   1,331,089     598,289      35,969
SCHWAB CHARLES CORP NEW           COM   808513105       6,008     418,066  SH     OTHER       01     241,293     114,886      61,887
SCHWAB CHARLES CORP NEW           COM   808513105     113,583   7,904,147  SH     DEFINED  01,08   1,820,246   6,083,901           0
SCHWAB CHARLES CORP NEW           COM   808513105      37,457   2,606,639  SH     DEFINED     09   2,606,639           0           0

SCHWEITZER-MAUDUIT INTL INC       COM   808541106       3,658      52,974  SH     DEFINED     01      26,504      25,735         735
SCHWEITZER-MAUDUIT INTL INC       COM   808541106         129       1,875  SH     OTHER       01       1,875           0           0
SCHWEITZER-MAUDUIT INTL INC       COM   808541106      11,725     169,787  SH     DEFINED  01,08      38,292     131,495           0
SCHWEITZER-MAUDUIT INTL INC       COM   808541106       3,449      49,940  SH     DEFINED     09      49,940           0           0

SCICLONE PHARMACEUTICALS INC      COM   80862K104         378      59,928  SH     DEFINED     01      21,939      37,989           0
SCICLONE PHARMACEUTICALS INC      COM   80862K104       2,419     383,369  SH     DEFINED  01,08      73,824     309,545           0
SCICLONE PHARMACEUTICALS INC      COM   80862K104         785     124,459  SH     DEFINED     09     124,459           0           0

SCIENTIFIC GAMES CORP             COM   80874P109         877      75,193  SH     DEFINED     01      18,903      56,290           0
SCIENTIFIC GAMES CORP             COM   80874P109       8,340     715,291  SH     DEFINED  01,08      79,515     635,776           0
SCIENTIFIC GAMES CORP             COM   80874P109       2,078     178,174  SH     DEFINED     09     178,174           0           0

SCIENTIFIC LEARNING CORP          COM   808760102           5       2,779  SH     DEFINED     01           0       2,779           0
SCIENTIFIC LEARNING CORP          COM   808760102          24      13,762  SH     DEFINED  01,08         702      13,060           0

SCIQUEST INC NEW                  COM   80908T101       1,324      86,897  SH     DEFINED     01      67,533      17,554       1,810
SCIQUEST INC NEW                  COM   80908T101         156      10,241  SH     OTHER       01       5,410       4,641         190
SCIQUEST INC NEW                  COM   80908T101       1,767     115,946  SH     DEFINED  01,08      10,615     105,331           0
SCIQUEST INC NEW                  COM   80908T101         514      33,729  SH     DEFINED     09      33,729           0           0

SCOTTS MIRACLE GRO CO             COM   810186106       4,775      88,157  SH     DEFINED     01      73,181      13,155       1,821
SCOTTS MIRACLE GRO CO             COM   810186106         550      10,154  SH     OTHER       01       2,213       7,823         118
SCOTTS MIRACLE GRO CO             COM   810186106      15,046     277,800  SH     DEFINED  01,08      27,976     249,824           0

SCRIPPS E W CO OHIO               COM   811054402         328      33,245  SH     DEFINED     01      15,131      18,114           0
SCRIPPS E W CO OHIO               COM   811054402           4         402  SH     OTHER       01           0         402           0
SCRIPPS E W CO OHIO               COM   811054402       2,989     302,792  SH     DEFINED  01,08      44,428     258,364           0
SCRIPPS E W CO OHIO               COM   811054402         816      82,690  SH     DEFINED     09      82,690           0           0

SCRIPPS NETWORKS INTERACT IN      COM   811065101       5,880     120,771  SH     DEFINED     01      63,253      57,428          90
SCRIPPS NETWORKS INTERACT IN      COM   811065101       1,474      30,278  SH     OTHER       01       4,617      21,921       3,740
SCRIPPS NETWORKS INTERACT IN      COM   811065101      33,922     696,684  SH     DEFINED  01,08     167,718     528,966           0
SCRIPPS NETWORKS INTERACT IN      COM   811065101      10,964     225,171  SH     DEFINED     09     225,171           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    273
  ________

SEABOARD CORP                     COM   811543107       1,342         688  SH     DEFINED     01         190         498           0
SEABOARD CORP                     COM   811543107       6,789       3,480  SH     DEFINED  01,08         719       2,761           0
SEABOARD CORP                     COM   811543107       1,731         887  SH     DEFINED     09         887           0           0

SEABRIGHT HOLDINGS INC            COM   811656107         212      23,283  SH     DEFINED     01      10,579      12,549         155
SEABRIGHT HOLDINGS INC            COM   811656107           2         170  SH     OTHER       01         170           0           0
SEABRIGHT HOLDINGS INC            COM   811656107       1,854     203,925  SH     DEFINED  01,08      23,980     179,945           0
SEABRIGHT HOLDINGS INC            COM   811656107         683      75,108  SH     DEFINED     09      75,108           0           0

SEACHANGE INTL INC                COM   811699107         224      28,855  SH     DEFINED     01       6,747      22,108           0
SEACHANGE INTL INC                COM   811699107       2,030     260,880  SH     DEFINED  01,08      37,440     223,440           0
SEACHANGE INTL INC                COM   811699107         749      96,275  SH     DEFINED     09      96,275           0           0

SEACOAST BKG CORP FLA             COM   811707306         112      63,592  SH     DEFINED     01      20,482      43,110           0
SEACOAST BKG CORP FLA             COM   811707306           8       4,514  SH     OTHER       01       4,514           0           0
SEACOAST BKG CORP FLA             COM   811707306       1,139     647,303  SH     DEFINED  01,08      79,274     568,029           0
SEACOAST BKG CORP FLA             COM   811707306         375     212,959  SH     DEFINED     09     212,959           0           0

SEACOR HOLDINGS INC               COM   811904101       2,059      21,497  SH     DEFINED     01      14,868       6,494         135
SEACOR HOLDINGS INC               COM   811904101          79         828  SH     OTHER       01          89         700          39
SEACOR HOLDINGS INC               COM   811904101       7,220      75,381  SH     DEFINED  01,08       9,101      66,280           0

SEALED AIR CORP NEW               COM   81211K100       5,036     260,805  SH     DEFINED     01     140,995      99,062      20,748
SEALED AIR CORP NEW               COM   81211K100         147       7,589  SH     OTHER       01       7,424         165           0
SEALED AIR CORP NEW               COM   81211K100      27,161   1,406,602  SH     DEFINED  01,08     329,156   1,077,446           0
SEALED AIR CORP NEW               COM   81211K100       8,044     416,559  SH     DEFINED     09     416,559           0           0

SEALY CORP                        COM   812139301         159      78,572  SH     DEFINED     01      40,663      37,909           0
SEALY CORP                        COM   812139301       1,017     503,675  SH     DEFINED  01,08     103,037     400,638           0
SEALY CORP                        COM   812139301         217     107,642  SH     DEFINED     09     107,642           0           0

SEARS HLDGS CORP                  COM   812350106       2,715      40,980  SH     DEFINED     01      19,942      20,619         419
SEARS HLDGS CORP                  COM   812350106          32         481  SH     OTHER       01         353         113          15
SEARS HLDGS CORP                  COM   812350106      19,487     294,148  SH     DEFINED  01,08      76,262     217,886           0
SEARS HLDGS CORP                  COM   812350106       6,432      97,093  SH     DEFINED     09      97,093           0           0

SEATTLE GENETICS INC              COM   812578102       2,506     122,982  SH     DEFINED     01      27,354      95,628           0
SEATTLE GENETICS INC              COM   812578102         444      21,800  SH     OTHER       01           0      21,800           0
SEATTLE GENETICS INC              COM   812578102      18,826     923,738  SH     DEFINED  01,08     134,720     789,018           0
SEATTLE GENETICS INC              COM   812578102       5,735     281,427  SH     DEFINED     09     281,427           0           0

SELECT SECTOR SPDR TR             COM   81369Y100       5,592     151,269  SH     DEFINED     01     141,559       7,660       2,050
SELECT SECTOR SPDR TR             COM   81369Y100       1,986      53,718  SH     OTHER       01      46,068       5,800       1,850

SELECT SECTOR SPDR TR             COM   81369Y209       4,243     112,807  SH     DEFINED     01     100,682      11,575         550
SELECT SECTOR SPDR TR             COM   81369Y209         931      24,765  SH     OTHER       01      22,445       2,050         270

SELECT SECTOR SPDR TR             COM   81369Y308       2,954      86,672  SH     DEFINED     01      72,847      13,525         300
SELECT SECTOR SPDR TR             COM   81369Y308         610      17,900  SH     OTHER       01      17,900           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    274
  ________

SELECT SECTOR SPDR TR             COM   81369Y407       5,521     122,433  SH     DEFINED     01     118,758       1,975       1,700
SELECT SECTOR SPDR TR             COM   81369Y407         737      16,336  SH     OTHER       01      12,406       3,025         905

SELECT SECTOR SPDR TR             COM   81369Y506       8,102     112,915  SH     DEFINED     01     104,115       1,100       7,700
SELECT SECTOR SPDR TR             COM   81369Y506       1,788      24,921  SH     OTHER       01      15,886       3,335       5,700

SELECT SECTOR SPDR TR             COM   81369Y605      19,071   1,207,402  SH     DEFINED     01   1,166,631      10,227      30,544
SELECT SECTOR SPDR TR             COM   81369Y605       4,694     297,176  SH     OTHER       01     265,351      16,400      15,425

SELECT SECTOR SPDR TR             COM   81369Y704       4,042     108,032  SH     DEFINED     01      96,707       9,825       1,500
SELECT SECTOR SPDR TR             COM   81369Y704       1,077      28,780  SH     OTHER       01      27,640         390         750

SELECT SECTOR SPDR TR             COM   81369Y803      33,001   1,094,185  SH     DEFINED     01   1,021,146      24,436      48,603
SELECT SECTOR SPDR TR             COM   81369Y803      14,761     489,414  SH     OTHER       01     319,994      70,461      98,959

SELECT SECTOR SPDR TR             COM   81369Y886       7,763     221,524  SH     DEFINED     01     204,115       4,209      13,200
SELECT SECTOR SPDR TR             COM   81369Y886       2,747      78,373  SH     OTHER       01      42,334      20,630      15,409

SECURITY NATL FINL CORP           COM   814785309           4       2,979  SH     DEFINED     01           0       2,979           0
SECURITY NATL FINL CORP           COM   814785309          22      15,710  SH     DEFINED  01,08       5,353      10,357           0

SELECT COMFORT CORP               COM   81616X103       2,403      74,176  SH     DEFINED     01      24,899      49,277           0
SELECT COMFORT CORP               COM   81616X103      17,222     531,698  SH     DEFINED  01,08      84,268     447,430           0
SELECT COMFORT CORP               COM   81616X103       5,258     162,339  SH     DEFINED     09     162,339           0           0

SELECT INCOME REIT                COM   81618T100         238      10,520  SH     DEFINED  01,08           0      10,520           0

SELECT MED HLDGS CORP             COM   81619Q105         218      28,293  SH     DEFINED     01       6,649      21,644           0
SELECT MED HLDGS CORP             COM   81619Q105       3,094     402,302  SH     DEFINED  01,08      37,982     364,320           0
SELECT MED HLDGS CORP             COM   81619Q105       1,242     161,548  SH     DEFINED     09     161,548           0           0

SELECTIVE INS GROUP INC           COM   816300107       8,482     481,686  SH     DEFINED     01      28,546     453,140           0
SELECTIVE INS GROUP INC           COM   816300107      16,833     955,880  SH     DEFINED  01,08     500,836     455,044           0
SELECTIVE INS GROUP INC           COM   816300107       2,677     152,027  SH     DEFINED     09     152,027           0           0

SEMGROUP CORP                     COM   81663A105         980      33,638  SH     DEFINED     01      11,177      22,461           0
SEMGROUP CORP                     COM   81663A105      10,951     375,796  SH     DEFINED  01,08      47,736     328,060           0
SEMGROUP CORP                     COM   81663A105       3,492     119,838  SH     DEFINED     09     119,838           0           0

SEMTECH CORP                      COM   816850101       6,760     237,530  SH     DEFINED     01     118,867     113,863       4,800
SEMTECH CORP                      COM   816850101         459      16,120  SH     OTHER       01       5,990       8,510       1,620
SEMTECH CORP                      COM   816850101      24,088     846,373  SH     DEFINED  01,08     130,845     715,528           0
SEMTECH CORP                      COM   816850101       5,282     185,599  SH     DEFINED     09     185,599           0           0

SEMPRA ENERGY                     COM   816851109      14,621     243,852  SH     DEFINED     01     114,870     126,922       2,060
SEMPRA ENERGY                     COM   816851109       3,859      64,353  SH     OTHER       01      63,807         491          55
SEMPRA ENERGY                     COM   816851109     104,646   1,745,266  SH     DEFINED  01,08     414,101   1,331,165           0
SEMPRA ENERGY                     COM   816851109      35,788     596,859  SH     DEFINED     09     596,859           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    275
  ________

SENECA FOODS CORP NEW             COM   817070501       1,327      50,390  SH     DEFINED     01       4,534      45,856           0
SENECA FOODS CORP NEW             COM   817070501       3,389     128,664  SH     DEFINED  01,08      53,561      75,103           0
SENECA FOODS CORP NEW             COM   817070501         715      27,153  SH     DEFINED     09      27,153           0           0

SENIOR HSG PPTYS TR               COM   81721M109       1,560      70,758  SH     DEFINED     01      53,104      17,324         330
SENIOR HSG PPTYS TR               COM   81721M109          46       2,090  SH     OTHER       01       1,000           0       1,090
SENIOR HSG PPTYS TR               COM   81721M109      28,613   1,297,626  SH     DEFINED  01,08     357,979     939,647           0
SENIOR HSG PPTYS TR               COM   81721M109       1,585      71,896  SH     DEFINED     09      71,896           0           0

SENOMYX INC                       COM   81724Q107          80      29,248  SH     DEFINED     01       4,528      24,720           0
SENOMYX INC                       COM   81724Q107         966     352,627  SH     DEFINED  01,08      43,996     308,631           0
SENOMYX INC                       COM   81724Q107         276     100,822  SH     DEFINED     09     100,822           0           0

SENSIENT TECHNOLOGIES CORP        COM   81725T100      15,286     402,272  SH     DEFINED     01      37,201     364,316         755
SENSIENT TECHNOLOGIES CORP        COM   81725T100          21         540  SH     OTHER       01         540           0           0
SENSIENT TECHNOLOGIES CORP        COM   81725T100      35,881     944,225  SH     DEFINED  01,08     392,078     552,147           0
SENSIENT TECHNOLOGIES CORP        COM   81725T100       5,422     142,693  SH     DEFINED     09     142,693           0           0

SEQUENOM INC                      COM   817337405         467     114,733  SH     DEFINED     01      27,988      86,745           0
SEQUENOM INC                      COM   817337405       4,211   1,034,556  SH     DEFINED  01,08     134,162     900,394           0
SEQUENOM INC                      COM   817337405       1,371     336,762  SH     DEFINED     09     336,762           0           0

SERACARE LIFE SCIENCES INC D      COM   81747T104           3         734  SH     DEFINED     01           0         734           0
SERACARE LIFE SCIENCES INC D      COM   81747T104          78      19,669  SH     DEFINED  01,08           0      19,669           0

SERVICE CORP INTL                 COM   817565104       1,051      93,313  SH     DEFINED     01      63,365      29,948           0
SERVICE CORP INTL                 COM   817565104           2         195  SH     OTHER       01           0           0         195
SERVICE CORP INTL                 COM   817565104      16,098   1,429,644  SH     DEFINED  01,08     113,794   1,315,850           0

SERVICESOURCE INTL LLC            COM   81763U100         204      13,176  SH     DEFINED     01       3,802       9,374           0
SERVICESOURCE INTL LLC            COM   81763U100       2,103     135,827  SH     DEFINED  01,08      11,372     124,455           0
SERVICESOURCE INTL LLC            COM   81763U100         414      26,769  SH     DEFINED     09      26,769           0           0

SHARPS COMPLIANCE CORP            COM   820017101          21       5,623  SH     DEFINED     01           0       5,623           0
SHARPS COMPLIANCE CORP            COM   820017101          65      17,587  SH     DEFINED  01,08       5,460      12,127           0

SHAW COMMUNICATIONS INC           COM   82028K200         809      38,241  SH     DEFINED     01      37,121       1,120           0
SHAW COMMUNICATIONS INC           COM   82028K200          14         643  SH     OTHER       01         643           0           0
SHAW COMMUNICATIONS INC           COM   82028K200         356      16,821  SH     DEFINED  01,08      16,821           0           0

SHAW GROUP INC                    COM   820280105         788      24,861  SH     DEFINED     01      18,568       6,293           0
SHAW GROUP INC                    COM   820280105         132       4,159  SH     OTHER       01           0       4,099          60
SHAW GROUP INC                    COM   820280105      12,866     405,733  SH     DEFINED  01,08      23,482     382,251           0

SHENANDOAH TELECOMMUNICATION      COM   82312B106         342      30,668  SH     DEFINED     01       4,407      26,261           0
SHENANDOAH TELECOMMUNICATION      COM   82312B106       2,555     229,126  SH     DEFINED  01,08      38,230     190,896           0
SHENANDOAH TELECOMMUNICATION      COM   82312B106         825      73,954  SH     DEFINED     09      73,954           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    276
  ________

SHERWIN WILLIAMS CO               COM   824348106      14,257     131,194  SH     DEFINED     01      80,667      47,887       2,640
SHERWIN WILLIAMS CO               COM   824348106         823       7,574  SH     OTHER       01       4,923       1,451       1,200
SHERWIN WILLIAMS CO               COM   824348106      70,071     644,807  SH     DEFINED  01,08     146,353     498,454           0
SHERWIN WILLIAMS CO               COM   824348106      23,546     216,674  SH     DEFINED     09     216,674           0           0

SHILOH INDS INC                   COM   824543102         128      13,379  SH     DEFINED     01         493      12,886           0
SHILOH INDS INC                   COM   824543102         537      56,342  SH     DEFINED  01,08      14,053      42,289           0
SHILOH INDS INC                   COM   824543102         193      20,220  SH     DEFINED     09      20,220           0           0

SHINHAN FINANCIAL GROUP CO L      COM   824596100       6,258      81,169  SH     DEFINED     01      79,719       1,026         424
SHINHAN FINANCIAL GROUP CO L      COM   824596100         580       7,522  SH     OTHER       01       4,788       2,519         215
SHINHAN FINANCIAL GROUP CO L      COM   824596100         852      11,055  SH     DEFINED  01,08      11,055           0           0

SHIRE PLC                         COM   82481R106      10,607     111,950  SH     DEFINED     01     100,349      11,497         104
SHIRE PLC                         COM   82481R106         626       6,611  SH     OTHER       01       5,583       1,028           0
SHIRE PLC                         COM   82481R106         782       8,256  SH     DEFINED  01,08       8,256           0           0

SHOE CARNIVAL INC                 COM   824889109       1,950      60,530  SH     DEFINED     01       2,280      58,250           0
SHOE CARNIVAL INC                 COM   824889109       4,620     143,386  SH     DEFINED  01,08      66,470      76,916           0
SHOE CARNIVAL INC                 COM   824889109         821      25,469  SH     DEFINED     09      25,469           0           0

SHORE BANCSHARES INC              COM   825107105          49       6,861  SH     DEFINED     01           0       6,861           0
SHORE BANCSHARES INC              COM   825107105          97      13,693  SH     DEFINED  01,08       5,632       8,061           0

SHORETEL INC                      COM   825211105         287      50,489  SH     DEFINED     01      17,738      32,751           0
SHORETEL INC                      COM   825211105       2,354     414,486  SH     DEFINED  01,08      64,614     349,872           0
SHORETEL INC                      COM   825211105         809     142,474  SH     DEFINED     09     142,474           0           0

SHUFFLE MASTER INC                COM   825549108       1,369      77,782  SH     DEFINED     01      28,978      48,804           0
SHUFFLE MASTER INC                COM   825549108       9,286     527,608  SH     DEFINED  01,08      91,234     436,374           0
SHUFFLE MASTER INC                COM   825549108       2,689     152,767  SH     DEFINED     09     152,767           0           0

SHUTTERFLY INC                    COM   82568P304       1,234      39,378  SH     DEFINED     01      10,841      28,537           0
SHUTTERFLY INC                    COM   82568P304          12         382  SH     OTHER       01         382           0           0
SHUTTERFLY INC                    COM   82568P304       8,866     282,978  SH     DEFINED  01,08      41,715     241,263           0
SHUTTERFLY INC                    COM   82568P304       2,790      89,049  SH     DEFINED     09      89,049           0           0

SIEBERT FINL CORP                 COM   826176109          30      18,170  SH     DEFINED     01           0      18,170           0
SIEBERT FINL CORP                 COM   826176109          42      25,534  SH     DEFINED  01,08      21,795       3,739           0

SIEMENS A G                       COM   826197501      40,174     398,394  SH     DEFINED     01     344,907      50,333       3,154
SIEMENS A G                       COM   826197501       4,183      41,481  SH     OTHER       01      18,461      21,156       1,864
SIEMENS A G                       COM   826197501      16,436     162,988  SH     DEFINED  01,08     156,976         327       5,685

SIERRA BANCORP                    COM   82620P102       1,334     135,751  SH     DEFINED     01       1,975     133,776           0
SIERRA BANCORP                    COM   82620P102       2,326     236,606  SH     DEFINED  01,08     142,098      94,508           0
SIERRA BANCORP                    COM   82620P102         362      36,779  SH     DEFINED     09      36,779           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    277
  ________

SIFCO INDS INC                    COM   826546103          86       4,586  SH     DEFINED     01           0       4,586           0
SIFCO INDS INC                    COM   826546103         251      13,425  SH     DEFINED  01,08       4,989       8,436           0

SIGMA ALDRICH CORP                COM   826552101      27,153     371,652  SH     DEFINED     01     225,701     133,273      12,678
SIGMA ALDRICH CORP                COM   826552101       7,743     105,977  SH     OTHER       01      70,671       8,892      26,414
SIGMA ALDRICH CORP                COM   826552101      65,902     902,021  SH     DEFINED  01,08     219,831     682,190           0
SIGMA ALDRICH CORP                COM   826552101      20,934     286,529  SH     DEFINED     09     286,529           0           0

SIGMA DESIGNS INC                 COM   826565103         230      44,323  SH     DEFINED     01      16,155      28,168           0
SIGMA DESIGNS INC                 COM   826565103       1,648     318,131  SH     DEFINED  01,08      50,987     267,144           0
SIGMA DESIGNS INC                 COM   826565103         442      85,317  SH     DEFINED     09      85,317           0           0

SIGNATURE BK NEW YORK N Y         COM   82669G104       4,226      67,041  SH     DEFINED     01      22,087      44,814         140
SIGNATURE BK NEW YORK N Y         COM   82669G104          29         465  SH     OTHER       01         465           0           0
SIGNATURE BK NEW YORK N Y         COM   82669G104      35,855     568,769  SH     DEFINED  01,08      66,489     502,280           0
SIGNATURE BK NEW YORK N Y         COM   82669G104       8,398     133,217  SH     DEFINED     09     133,217           0           0

SIGA TECHNOLOGIES INC             COM   826917106         108      32,239  SH     DEFINED     01       5,636      26,603           0
SIGA TECHNOLOGIES INC             COM   826917106       1,158     344,689  SH     DEFINED  01,08      49,845     294,844           0
SIGA TECHNOLOGIES INC             COM   826917106         308      91,673  SH     DEFINED     09      91,673           0           0

SILICON LABORATORIES INC          COM   826919102       1,679      39,039  SH     DEFINED     01      11,125      27,914           0
SILICON LABORATORIES INC          COM   826919102         136       3,170  SH     OTHER       01       3,170           0           0
SILICON LABORATORIES INC          COM   826919102      12,010     279,300  SH     DEFINED  01,08      29,169     250,131           0

SILGAN HOLDINGS INC               COM   827048109       2,278      51,530  SH     DEFINED     01      12,272      39,258           0
SILGAN HOLDINGS INC               COM   827048109         125       2,827  SH     OTHER       01       1,654       1,173           0
SILGAN HOLDINGS INC               COM   827048109      15,482     350,264  SH     DEFINED  01,08      51,556     298,708           0

SILICON IMAGE INC                 COM   82705T102       2,165     368,239  SH     DEFINED     01      21,291     346,948           0
SILICON IMAGE INC                 COM   82705T102          67      11,400  SH     OTHER       01           0      11,400           0
SILICON IMAGE INC                 COM   82705T102       6,139   1,043,976  SH     DEFINED  01,08     395,248     648,728           0
SILICON IMAGE INC                 COM   82705T102       1,323     225,084  SH     DEFINED     09     225,084           0           0

SILICON GRAPHICS INTL CORP        COM   82706L108         390      40,262  SH     DEFINED     01      14,996      25,266           0
SILICON GRAPHICS INTL CORP        COM   82706L108       2,848     294,165  SH     DEFINED  01,08      43,506     250,659           0
SILICON GRAPHICS INTL CORP        COM   82706L108         802      82,896  SH     DEFINED     09      82,896           0           0

SILICONWARE PRECISION INDS L      COM   827084864         320      53,082  SH     DEFINED     01      50,249       2,833           0
SILICONWARE PRECISION INDS L      COM   827084864         114      18,833  SH     OTHER       01      15,390       3,443           0

SILVER BULL RES INC               COM   827458100          34      59,423  SH     DEFINED  01,08           0      59,423           0

SILVER WHEATON CORP               COM   828336107       5,942     178,964  SH     DEFINED     01     176,098       1,080       1,786
SILVER WHEATON CORP               COM   828336107         576      17,352  SH     OTHER       01      14,467       2,125         760
SILVER WHEATON CORP               COM   828336107         512      15,420  SH     DEFINED  01,08      15,420           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    278
  ________

SIMMONS 1ST NATL CORP             COM   828730200       5,552     214,959  SH     DEFINED     01      27,729     187,230           0
SIMMONS 1ST NATL CORP             COM   828730200       8,898     344,500  SH     DEFINED  01,08     201,966     142,534           0
SIMMONS 1ST NATL CORP             COM   828730200       1,285      49,740  SH     DEFINED     09      49,740           0           0

SIMON PPTY GROUP INC NEW          COM   828806109     203,133   1,394,378  SH     DEFINED     01   1,192,860     183,987      17,531
SIMON PPTY GROUP INC NEW          COM   828806109      33,993     233,342  SH     OTHER       01     175,181      40,723      17,438
SIMON PPTY GROUP INC NEW          COM   828806109     388,208   2,664,803  SH     DEFINED  01,08     952,014   1,712,789           0
SIMON PPTY GROUP INC NEW          COM   828806109     121,171     831,762  SH     DEFINED     09     831,762           0           0

SIMPSON MANUFACTURING CO INC      COM   829073105       7,736     239,870  SH     DEFINED     01      57,901     181,569         400
SIMPSON MANUFACTURING CO INC      COM   829073105         663      20,573  SH     OTHER       01         498         685      19,390
SIMPSON MANUFACTURING CO INC      COM   829073105      17,725     549,602  SH     DEFINED  01,08     210,662     338,940           0
SIMPSON MANUFACTURING CO INC      COM   829073105       3,823     118,545  SH     DEFINED     09     118,545           0           0

SIMS METAL MANAGEMENT LTD         COM   829160100           6         395  SH     DEFINED     01         150         245           0
SIMS METAL MANAGEMENT LTD         COM   829160100         148       9,673  SH     DEFINED  01,08       9,673           0           0

SINCLAIR BROADCAST GROUP INC      COM   829226109         693      62,656  SH     DEFINED     01      12,976      49,680           0
SINCLAIR BROADCAST GROUP INC      COM   829226109       6,570     594,054  SH     DEFINED  01,08     181,349     412,705           0
SINCLAIR BROADCAST GROUP INC      COM   829226109       1,693     153,110  SH     DEFINED     09     153,110           0           0

SIRONA DENTAL SYSTEMS INC         COM   82966C103       2,073      40,228  SH     DEFINED     01      16,698      23,530           0
SIRONA DENTAL SYSTEMS INC         COM   82966C103         421       8,169  SH     OTHER       01       5,110       3,059           0
SIRONA DENTAL SYSTEMS INC         COM   82966C103      11,183     216,975  SH     DEFINED  01,08      40,450     176,525           0

SIRIUS XM RADIO INC               COM   82967N108       2,245     972,028  SH     DEFINED     01     589,563     382,465           0
SIRIUS XM RADIO INC               COM   82967N108           4       1,725  SH     OTHER       01           0           0       1,725
SIRIUS XM RADIO INC               COM   82967N108      31,262  13,533,205  SH     DEFINED  01,08   1,678,744  11,854,461           0
SIRIUS XM RADIO INC               COM   82967N108      14,110   6,108,016  SH     DEFINED     09   6,108,016           0           0

SIX FLAGS ENTMT CORP NEW          COM   83001A102       2,376      50,796  SH     DEFINED     01      11,034      39,762           0
SIX FLAGS ENTMT CORP NEW          COM   83001A102      19,146     409,357  SH     DEFINED  01,08      56,590     352,767           0
SIX FLAGS ENTMT CORP NEW          COM   83001A102       5,651     120,833  SH     DEFINED     09     120,833           0           0

SKECHERS U S A INC                COM   830566105         672      52,805  SH     DEFINED     01      16,630      36,075         100
SKECHERS U S A INC                COM   830566105       4,796     377,058  SH     DEFINED  01,08      65,236     311,822           0
SKECHERS U S A INC                COM   830566105       1,579     124,136  SH     DEFINED     09     124,136           0           0

SKILLED HEALTHCARE GROUP INC      COM   83066R107         329      42,948  SH     DEFINED     01       5,470      37,478           0
SKILLED HEALTHCARE GROUP INC      COM   83066R107       1,783     232,708  SH     DEFINED  01,08      52,204     180,504           0
SKILLED HEALTHCARE GROUP INC      COM   83066R107         540      70,524  SH     DEFINED     09      70,524           0           0

SKULLCANDY INC                    COM   83083J104         110       6,977  SH     DEFINED     01         871       6,106           0
SKULLCANDY INC                    COM   83083J104       1,560      98,528  SH     DEFINED  01,08       7,934      90,594           0
SKULLCANDY INC                    COM   83083J104         501      31,647  SH     DEFINED     09      31,647           0           0

SKYLINE CORP                      COM   830830105         121      15,829  SH     DEFINED     01         716      15,113           0
SKYLINE CORP                      COM   830830105         581      75,992  SH     DEFINED  01,08      17,038      58,954           0
SKYLINE CORP                      COM   830830105         146      19,076  SH     DEFINED     09      19,076           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    279
  ________

SKYWEST INC                       COM   830879102       5,886     532,682  SH     DEFINED     01      20,080     512,602           0
SKYWEST INC                       COM   830879102      10,974     993,162  SH     DEFINED  01,08     558,910     434,252           0
SKYWEST INC                       COM   830879102       1,758     159,127  SH     DEFINED     09     159,127           0           0

SKYWORKS SOLUTIONS INC            COM   83088M102       3,228     116,746  SH     DEFINED     01      98,398      18,104         244
SKYWORKS SOLUTIONS INC            COM   83088M102         172       6,223  SH     OTHER       01       6,095         128           0
SKYWORKS SOLUTIONS INC            COM   83088M102      32,775   1,185,369  SH     DEFINED  01,08      79,494   1,105,875           0

SMART BALANCE INC                 COM   83169Y108         410      62,042  SH     DEFINED     01      18,297      43,745           0
SMART BALANCE INC                 COM   83169Y108          50       7,500  SH     OTHER       01         500       7,000           0
SMART BALANCE INC                 COM   83169Y108       3,758     568,557  SH     DEFINED  01,08      77,794     490,763           0
SMART BALANCE INC                 COM   83169Y108       1,256     189,956  SH     DEFINED     09     189,956           0           0

SMITH & NEPHEW PLC                COM   83175M205         964      19,091  SH     DEFINED     01      18,493         575          23
SMITH & NEPHEW PLC                COM   83175M205          26         514  SH     OTHER       01         514           0           0
SMITH & NEPHEW PLC                COM   83175M205         675      13,361  SH     DEFINED  01,08      13,361           0           0

SMITH & WESSON HLDG CORP          COM   831756101         434      56,037  SH     DEFINED     01      17,551      38,486           0
SMITH & WESSON HLDG CORP          COM   831756101       4,455     574,881  SH     DEFINED  01,08      71,688     503,193           0
SMITH & WESSON HLDG CORP          COM   831756101       1,260     162,632  SH     DEFINED     09     162,632           0           0

SMITH A O                         COM   831865209       7,105     158,068  SH     DEFINED     01      75,537      82,531           0
SMITH A O                         COM   831865209          65       1,443  SH     OTHER       01         933         510           0
SMITH A O                         COM   831865209      18,562     412,943  SH     DEFINED  01,08     106,004     306,939           0
SMITH A O                         COM   831865209       5,140     114,350  SH     DEFINED     09     114,350           0           0

SMITH MICRO SOFTWARE INC          COM   832154108         108      46,413  SH     DEFINED     01       7,899      38,514           0
SMITH MICRO SOFTWARE INC          COM   832154108         811     348,110  SH     DEFINED  01,08      51,828     296,282           0
SMITH MICRO SOFTWARE INC          COM   832154108         217      93,228  SH     DEFINED     09      93,228           0           0

SMITHFIELD FOODS INC              COM   832248108       1,502      68,197  SH     DEFINED     01      52,723      15,289         185
SMITHFIELD FOODS INC              COM   832248108         277      12,560  SH     OTHER       01      12,355         120          85
SMITHFIELD FOODS INC              COM   832248108      21,553     978,327  SH     DEFINED  01,08      49,890     928,437           0
SMITHFIELD FOODS INC              COM   832248108         125       5,683  SH     DEFINED     09       5,683           0           0

SMTC CORP                         COM   832682207          51      13,376  SH     DEFINED     01      13,376           0           0

SMUCKER J M CO                    COM   832696405      11,556     142,041  SH     DEFINED     01      78,228      62,156       1,657
SMUCKER J M CO                    COM   832696405       3,066      37,685  SH     OTHER       01       3,641      30,822       3,222
SMUCKER J M CO                    COM   832696405      69,403     853,035  SH     DEFINED  01,08     210,699     642,336           0
SMUCKER J M CO                    COM   832696405      21,993     270,320  SH     DEFINED     09     270,320           0           0

SNAP ON INC                       COM   833034101       8,370     137,288  SH     DEFINED     01     100,341      34,797       2,150
SNAP ON INC                       COM   833034101         746      12,238  SH     OTHER       01       3,035       9,075         128
SNAP ON INC                       COM   833034101      26,261     430,718  SH     DEFINED  01,08     104,690     326,028           0
SNAP ON INC                       COM   833034101       3,726      61,120  SH     DEFINED     09      61,120           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    280
  ________

SNYDERS-LANCE INC                 COM   833551104       1,416      54,775  SH     DEFINED     01      18,397      36,378           0
SNYDERS-LANCE INC                 COM   833551104      12,155     470,215  SH     DEFINED  01,08      68,006     402,209           0
SNYDERS-LANCE INC                 COM   833551104       3,495     135,200  SH     DEFINED     09     135,200           0           0

SOCIEDAD QUIMICA MINERA DE C      COM   833635105       4,766      81,230  SH     DEFINED     01      79,226       1,283         721
SOCIEDAD QUIMICA MINERA DE C      COM   833635105         444       7,575  SH     OTHER       01       5,755       1,450         370
SOCIEDAD QUIMICA MINERA DE C      COM   833635105       3,623      61,748  SH     DEFINED  01,08      61,748           0           0
SOCIEDAD QUIMICA MINERA DE C      COM   833635105       2,542      43,327  SH     DEFINED     09      43,327           0           0

SOLAR CAP LTD                     COM   83413U100         616      27,900  SH     DEFINED     01       8,229      19,671           0
SOLAR CAP LTD                     COM   83413U100       6,219     281,771  SH     DEFINED  01,08      40,069     241,702           0
SOLAR CAP LTD                     COM   83413U100       2,405     108,982  SH     DEFINED     09     108,982           0           0

SOLAZYME INC                      COM   83415T101         114       7,796  SH     DEFINED     01       2,138       5,658           0
SOLAZYME INC                      COM   83415T101       1,778     121,538  SH     DEFINED  01,08       9,887     111,651           0
SOLAZYME INC                      COM   83415T101         762      52,065  SH     DEFINED     09      52,065           0           0

SOLARWINDS INC                    COM   83416B109       4,544     117,564  SH     DEFINED     01      29,412      87,894         258
SOLARWINDS INC                    COM   83416B109         262       6,774  SH     OTHER       01       5,026       1,748           0
SOLARWINDS INC                    COM   83416B109      22,066     570,927  SH     DEFINED  01,08     111,239     459,688           0
SOLARWINDS INC                    COM   83416B109       6,328     163,731  SH     DEFINED     09     163,731           0           0

SOLAR SR CAP LTD                  COM   83416M105          89       5,528  SH     DEFINED     01       1,648       3,880           0
SOLAR SR CAP LTD                  COM   83416M105         964      59,819  SH     DEFINED  01,08       9,941      49,878           0
SOLAR SR CAP LTD                  COM   83416M105         349      21,687  SH     DEFINED     09      21,687           0           0

SOLITARIO EXPL & RTY CORP         COM   8342EP107           1         964  SH     DEFINED     01           0         964           0
SOLITARIO EXPL & RTY CORP         COM   8342EP107          33      23,911  SH     DEFINED  01,08         964      22,947           0

SOLERA HOLDINGS INC               COM   83421A104       1,173      25,571  SH     DEFINED     01      13,565      12,006           0
SOLERA HOLDINGS INC               COM   83421A104      20,169     439,498  SH     DEFINED  01,08      26,317     413,181           0

SOLUTIA INC                       COM   834376501       2,064      73,888  SH     DEFINED     01      23,603      50,285           0
SOLUTIA INC                       COM   834376501         460      16,455  SH     OTHER       01           5      16,450           0
SOLUTIA INC                       COM   834376501      13,351     477,837  SH     DEFINED  01,08      97,128     380,709           0

SOLTA MED INC                     COM   83438K103         163      53,634  SH     DEFINED     01      14,694      38,940           0
SOLTA MED INC                     COM   83438K103       1,583     522,324  SH     DEFINED  01,08      62,317     460,007           0
SOLTA MED INC                     COM   83438K103         459     151,512  SH     DEFINED     09     151,512           0           0

SOMAXON PHARMACEUTICALS INC       COM   834453102           2       4,608  SH     DEFINED     01           0       4,608           0
SOMAXON PHARMACEUTICALS INC       COM   834453102          28      53,402  SH     DEFINED  01,08       4,897      48,505           0

SONIC AUTOMOTIVE INC           CONV DEB 83545GAQ5       2,812   1,850,000  PRN    DEFINED     01     500,000   1,350,000           0
SONIC AUTOMOTIVE INC           CONV DEB 83545GAQ5     205,200   1,350,000  PRN    DEFINED  01,08   1,350,000           0           0

SONIC AUTOMOTIVE INC              COM   83545G102      10,331     576,802  SH     DEFINED     01      18,307     558,495           0
SONIC AUTOMOTIVE INC              COM   83545G102      16,530     922,976  SH     DEFINED  01,08     596,707     326,269           0
SONIC AUTOMOTIVE INC              COM   83545G102       1,938     108,224  SH     DEFINED     09     108,224           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    281
  ________

SONIC FDRY INC                    COM   83545R207          45       5,308  SH     DEFINED     01           0       5,308           0
SONIC FDRY INC                    COM   83545R207          66       7,832  SH     DEFINED  01,08       4,550       3,282           0

SONIC CORP                        COM   835451105         711      92,539  SH     DEFINED     01      28,255      64,284           0
SONIC CORP                        COM   835451105       4,689     610,498  SH     DEFINED  01,08     109,041     501,457           0
SONIC CORP                        COM   835451105       1,380     179,645  SH     DEFINED     09     179,645           0           0

SONOCO PRODS CO                   COM   835495102       1,552      46,732  SH     DEFINED     01      35,382      11,350           0
SONOCO PRODS CO                   COM   835495102          86       2,599  SH     OTHER       01       2,529           0          70
SONOCO PRODS CO                   COM   835495102      21,619     651,171  SH     DEFINED  01,08      69,696     581,475           0

SONY CORP                         COM   835699307       2,364     113,834  SH     DEFINED     01     109,170       4,664           0
SONY CORP                         COM   835699307         172       8,291  SH     OTHER       01       1,277       7,014           0
SONY CORP                         COM   835699307       1,657      79,794  SH     DEFINED  01,08      79,794           0           0

SOTHEBYS                          COM   835898107       3,449      87,678  SH     DEFINED     01      21,319      66,359           0
SOTHEBYS                          COM   835898107         213       5,414  SH     OTHER       01           0       5,400          14
SOTHEBYS                          COM   835898107      33,266     845,614  SH     DEFINED  01,08     107,642     737,972           0
SOTHEBYS                          COM   835898107       7,792     198,064  SH     DEFINED     09     198,064           0           0

SONUS NETWORKS INC                COM   835916107         753     259,827  SH     DEFINED     01      61,832     197,995           0
SONUS NETWORKS INC                COM   835916107       5,902   2,035,222  SH     DEFINED  01,08     307,135   1,728,087           0
SONUS NETWORKS INC                COM   835916107       1,632     562,624  SH     DEFINED     09     562,624           0           0

SOURCEFIRE INC                    COM   83616T108       2,049      42,575  SH     DEFINED     01      14,683      27,892           0
SOURCEFIRE INC                    COM   83616T108      13,291     276,158  SH     DEFINED  01,08      45,940     230,218           0
SOURCEFIRE INC                    COM   83616T108       4,306      89,460  SH     DEFINED     09      89,460           0           0

SOUTH JERSEY INDS INC             COM   838518108       2,530      50,564  SH     DEFINED     01      15,564      35,000           0
SOUTH JERSEY INDS INC             COM   838518108         320       6,399  SH     OTHER       01           0       6,399           0
SOUTH JERSEY INDS INC             COM   838518108      15,027     300,292  SH     DEFINED  01,08      57,668     242,624           0
SOUTH JERSEY INDS INC             COM   838518108       4,603      91,987  SH     DEFINED     09      91,987           0           0

SOUTHERN CO                       COM   842587107      80,953   1,801,751  SH     DEFINED     01   1,221,315     528,931      51,505
SOUTHERN CO                       COM   842587107      11,908     265,033  SH     OTHER       01     210,133      39,626      15,274
SOUTHERN CO                       COM   842587107     287,936   6,408,544  SH     DEFINED  01,08   1,556,942   4,851,602           0
SOUTHERN CO                       COM   842587107      93,819   2,088,119  SH     DEFINED     09   2,088,119           0           0

SOUTHERN CMNTY FINL CORP          COM   842632101          10       3,655  SH     DEFINED     01           0       3,655           0
SOUTHERN CMNTY FINL CORP          COM   842632101          19       7,250  SH     DEFINED  01,08       4,026       3,224           0

SOUTHERN COPPER CORP              COM   84265V105       4,532     142,912  SH     DEFINED     01     112,444      29,813         655
SOUTHERN COPPER CORP              COM   84265V105         118       3,730  SH     OTHER       01       3,199         375         156
SOUTHERN COPPER CORP              COM   84265V105      33,910   1,069,386  SH     DEFINED  01,08     543,031     526,355           0
SOUTHERN COPPER CORP              COM   84265V105       7,489     236,166  SH     DEFINED     09     236,166           0           0

SOUTHSIDE BANCSHARES INC          COM   84470P109         459      20,762  SH     DEFINED     01       5,270      15,492           0
SOUTHSIDE BANCSHARES INC          COM   84470P109       3,656     165,437  SH     DEFINED  01,08      26,502     138,935           0
SOUTHSIDE BANCSHARES INC          COM   84470P109       1,068      48,327  SH     DEFINED     09      48,327           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    282
  ________

SOUTHWEST AIRLS CO                COM   844741108       6,974     846,314  SH     DEFINED     01     422,610     419,898       3,806
SOUTHWEST AIRLS CO                COM   844741108         185      22,401  SH     OTHER       01      11,614      10,302         485
SOUTHWEST AIRLS CO                COM   844741108      46,911   5,693,116  SH     DEFINED  01,08   1,278,288   4,414,828           0
SOUTHWEST AIRLS CO                COM   844741108       9,031   1,095,973  SH     DEFINED     09   1,095,973           0           0

SOUTHWEST BANCORP INC OKLA        COM   844767103         181      19,618  SH     DEFINED     01       2,210      17,408           0
SOUTHWEST BANCORP INC OKLA        COM   844767103       1,750     189,854  SH     DEFINED  01,08      25,054     164,800           0
SOUTHWEST BANCORP INC OKLA        COM   844767103         557      60,385  SH     DEFINED     09      60,385           0           0

SOUTHWEST GAS CORP                COM   844895102      14,830     346,980  SH     DEFINED     01      23,654     323,226         100
SOUTHWEST GAS CORP                COM   844895102      31,694     741,553  SH     DEFINED  01,08     366,169     375,384           0
SOUTHWEST GAS CORP                COM   844895102       5,963     139,509  SH     DEFINED     09     139,509           0           0

SOUTHWESTERN ENERGY CO            COM   845467109      10,525     343,956  SH     DEFINED     01     162,062     181,194         700
SOUTHWESTERN ENERGY CO            COM   845467109         134       4,365  SH     OTHER       01       3,637         503         225
SOUTHWESTERN ENERGY CO            COM   845467109      78,469   2,564,342  SH     DEFINED  01,08     576,312   1,988,030           0
SOUTHWESTERN ENERGY CO            COM   845467109      25,527     834,204  SH     DEFINED     09     834,204           0           0

SOVRAN SELF STORAGE INC           COM   84610H108      10,425     209,206  SH     DEFINED     01      14,462     194,744           0
SOVRAN SELF STORAGE INC           COM   84610H108      24,271     487,071  SH     DEFINED  01,08     259,338     227,733           0
SOVRAN SELF STORAGE INC           COM   84610H108       4,590      92,116  SH     DEFINED     09      92,116           0           0

SPANSION INC                      COM   84649R200         561      46,025  SH     DEFINED     01      14,396      31,629           0
SPANSION INC                      COM   84649R200       5,583     458,362  SH     DEFINED  01,08      58,232     400,130           0
SPANSION INC                      COM   84649R200       2,179     178,885  SH     DEFINED     09     178,885           0           0

SPARTAN MTRS INC                  COM   846819100         276      52,109  SH     DEFINED     01      18,270      33,839           0
SPARTAN MTRS INC                  COM   846819100       1,682     318,038  SH     DEFINED  01,08      56,912     261,126           0
SPARTAN MTRS INC                  COM   846819100         573     108,380  SH     DEFINED     09     108,380           0           0

SPARTAN STORES INC                COM   846822104         730      40,274  SH     DEFINED     01      11,258      29,016           0
SPARTAN STORES INC                COM   846822104       4,344     239,737  SH     DEFINED  01,08      48,999     190,738           0
SPARTAN STORES INC                COM   846822104       1,248      68,869  SH     DEFINED     09      68,869           0           0

SPARTECH CORP                     COM   847220209         199      40,690  SH     DEFINED     01       6,964      33,726           0
SPARTECH CORP                     COM   847220209       1,411     289,188  SH     DEFINED  01,08      47,106     242,082           0
SPARTECH CORP                     COM   847220209         471      96,499  SH     DEFINED     09      96,499           0           0

SPARTON CORP                      COM   847235108         138      14,391  SH     DEFINED     01       4,217      10,174           0
SPARTON CORP                      COM   847235108         211      21,951  SH     DEFINED  01,08       9,113      12,838           0

SPECTRA ENERGY PARTNERS LP        COM   84756N109          77       2,400  SH     DEFINED     01       2,400           0           0
SPECTRA ENERGY PARTNERS LP        COM   84756N109          35       1,100  SH     OTHER       01       1,100           0           0
SPECTRA ENERGY PARTNERS LP        COM   84756N109         540      16,894  SH     DEFINED  01,08      16,894           0           0

SPECTRA ENERGY CORP               COM   847560109     171,243   5,427,682  SH     DEFINED     01   4,800,145     487,622     139,915
SPECTRA ENERGY CORP               COM   847560109      40,838   1,294,385  SH     OTHER       01     932,444     200,805     161,136
SPECTRA ENERGY CORP               COM   847560109     152,622   4,837,477  SH     DEFINED  01,08   1,193,839   3,643,638           0
SPECTRA ENERGY CORP               COM   847560109      49,478   1,568,252  SH     DEFINED     09   1,568,252           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    283
  ________

SPECTRANETICS CORP                COM   84760C107         413      39,745  SH     DEFINED     01       9,582      30,163           0
SPECTRANETICS CORP                COM   84760C107       3,290     316,301  SH     DEFINED  01,08      45,552     270,749           0
SPECTRANETICS CORP                COM   84760C107         990      95,224  SH     DEFINED     09      95,224           0           0

SPECTRUM PHARMACEUTICALS INC      COM   84763A108         816      64,593  SH     DEFINED     01      19,117      45,476           0
SPECTRUM PHARMACEUTICALS INC      COM   84763A108       6,815     539,560  SH     DEFINED  01,08      78,783     460,777           0
SPECTRUM PHARMACEUTICALS INC      COM   84763A108       2,185     173,025  SH     DEFINED     09     173,025           0           0

SPECTRUM BRANDS HLDGS INC         COM   84763R101         571      16,340  SH     DEFINED     01       3,722      12,618           0
SPECTRUM BRANDS HLDGS INC         COM   84763R101          14         405  SH     OTHER       01           0         405           0
SPECTRUM BRANDS HLDGS INC         COM   84763R101       5,711     163,346  SH     DEFINED  01,08      17,282     146,064           0
SPECTRUM BRANDS HLDGS INC         COM   84763R101       1,735      49,617  SH     DEFINED     09      49,617           0           0

SPEEDWAY MOTORSPORTS INC          COM   847788106         498      26,662  SH     DEFINED     01       3,040      23,622           0
SPEEDWAY MOTORSPORTS INC          COM   847788106       2,359     126,292  SH     DEFINED  01,08      29,829      96,463           0
SPEEDWAY MOTORSPORTS INC          COM   847788106         618      33,099  SH     DEFINED     09      33,099           0           0

SPIRE CORP                        COM   848565107           8       7,156  SH     DEFINED     01           0       7,156           0
SPIRE CORP                        COM   848565107          19      16,166  SH     DEFINED  01,08       6,241       9,925           0

SPIRIT AEROSYSTEMS HLDGS INC      COM   848574109       2,695     110,179  SH     DEFINED     01      93,963      12,331       3,885
SPIRIT AEROSYSTEMS HLDGS INC      COM   848574109         994      40,636  SH     OTHER       01       8,415      31,736         485
SPIRIT AEROSYSTEMS HLDGS INC      COM   848574109       9,935     406,159  SH     DEFINED  01,08      55,007     351,152           0

SPIRIT AIRLS INC                  COM   848577102         217      10,807  SH     DEFINED     01       3,722       7,085           0
SPIRIT AIRLS INC                  COM   848577102       3,114     155,140  SH     DEFINED  01,08      15,102     140,038           0
SPIRIT AIRLS INC                  COM   848577102         992      49,445  SH     DEFINED     09      49,445           0           0

SPRINT NEXTEL CORP                COM   852061100       9,147   3,209,557  SH     DEFINED     01   1,575,239   1,616,502      17,816
SPRINT NEXTEL CORP                COM   852061100         437     153,295  SH     OTHER       01      50,666     101,074       1,555
SPRINT NEXTEL CORP                COM   852061100      63,658  22,336,107  SH     DEFINED  01,08   5,391,902  16,944,205           0
SPRINT NEXTEL CORP                COM   852061100      20,095   7,050,776  SH     DEFINED     09   7,050,776           0           0

SPROTT PHYSICAL GOLD TRUST        COM   85207H104         579      40,100  SH     DEFINED     01         850           0      39,250

SPROTT PHYSICAL SILVER TR         COM   85207K107         201      14,720  SH     DEFINED     01       2,000           0      12,720

STAAR SURGICAL CO                 COM   852312305         469      43,260  SH     DEFINED     01      14,241      29,019           0
STAAR SURGICAL CO                 COM   852312305       3,584     330,890  SH     DEFINED  01,08      52,864     278,026           0
STAAR SURGICAL CO                 COM   852312305       1,022      94,356  SH     DEFINED     09      94,356           0           0

STAGE STORES INC                  COM   85254C305       4,740     291,845  SH     DEFINED     01      54,123     236,207       1,515
STAGE STORES INC                  COM   85254C305         223      13,747  SH     OTHER       01      10,980       2,767           0
STAGE STORES INC                  COM   85254C305       8,569     527,629  SH     DEFINED  01,08     271,874     255,755           0
STAGE STORES INC                  COM   85254C305       1,745     107,422  SH     DEFINED     09     107,422           0           0

STAG INDL INC                     COM   85254J102         294      21,033  SH     DEFINED     01      13,328       7,705           0
STAG INDL INC                     COM   85254J102       2,400     171,919  SH     DEFINED  01,08      51,378     120,541           0
STAG INDL INC                     COM   85254J102         593      42,495  SH     DEFINED     09      42,495           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    284
  ________

STAMPS COM INC                    COM   852857200         797      28,576  SH     DEFINED     01       6,290      22,286           0
STAMPS COM INC                    COM   852857200       3,338     119,735  SH     DEFINED  01,08      30,096      89,639           0
STAMPS COM INC                    COM   852857200         866      31,066  SH     DEFINED     09      31,066           0           0

STANCORP FINL GROUP INC           COM   852891100       6,531     159,525  SH     DEFINED     01      30,606     128,204         715
STANCORP FINL GROUP INC           COM   852891100         251       6,133  SH     OTHER       01       5,003       1,130           0
STANCORP FINL GROUP INC           COM   852891100      16,535     403,894  SH     DEFINED  01,08     143,105     260,789           0

STANDARD MICROSYSTEMS CORP        COM   853626109       1,420      54,896  SH     DEFINED     01      11,959      42,937           0
STANDARD MICROSYSTEMS CORP        COM   853626109       6,470     250,088  SH     DEFINED  01,08      62,293     187,795           0
STANDARD MICROSYSTEMS CORP        COM   853626109       1,578      61,004  SH     DEFINED     09      61,004           0           0

STANDARD MTR PRODS INC            COM   853666105       1,322      74,538  SH     DEFINED     01      10,574      63,964           0
STANDARD MTR PRODS INC            COM   853666105       4,483     252,729  SH     DEFINED  01,08      89,840     162,889           0
STANDARD MTR PRODS INC            COM   853666105         999      56,304  SH     DEFINED     09      56,304           0           0

STANDARD PAC CORP NEW             COM   85375C101         598     134,068  SH     DEFINED     01      55,820      78,248           0
STANDARD PAC CORP NEW             COM   85375C101       4,568   1,024,144  SH     DEFINED  01,08     163,078     861,066           0
STANDARD PAC CORP NEW             COM   85375C101       1,351     302,821  SH     DEFINED     09     302,821           0           0

STANDARD PARKING CORP             COM   853790103         467      22,804  SH     DEFINED     01       3,994      18,810           0
STANDARD PARKING CORP             COM   853790103       3,255     158,759  SH     DEFINED  01,08      28,478     130,281           0
STANDARD PARKING CORP             COM   853790103         773      37,707  SH     DEFINED     09      37,707           0           0

STANDARD REGISTER CO              COM   853887107          42      33,847  SH     DEFINED     01       1,896      31,951           0
STANDARD REGISTER CO              COM   853887107          71      56,636  SH     DEFINED  01,08      33,796      22,840           0

STANDEX INTL CORP                 COM   854231107       4,830     117,250  SH     DEFINED     01       6,331     110,919           0
STANDEX INTL CORP                 COM   854231107       9,519     231,101  SH     DEFINED  01,08     124,187     106,914           0
STANDEX INTL CORP                 COM   854231107       1,383      33,580  SH     DEFINED     09      33,580           0           0

STANLEY FURNITURE CO INC          COM   854305208          46       9,481  SH     DEFINED     01           0       9,481           0
STANLEY FURNITURE CO INC          COM   854305208         130      27,107  SH     DEFINED  01,08       8,802      18,305           0

STANLEY BLACK & DECKER INC        COM   854502101      15,099     196,190  SH     DEFINED     01     100,387      95,030         773
STANLEY BLACK & DECKER INC        COM   854502101       1,177      15,290  SH     OTHER       01       6,841       6,255       2,194
STANLEY BLACK & DECKER INC        COM   854502101      96,419   1,252,849  SH     DEFINED  01,08     305,559     947,290           0
STANLEY BLACK & DECKER INC        COM   854502101      46,095     598,953  SH     DEFINED     09     598,953           0           0

STAPLES INC                       COM   855030102      22,397   1,383,363  SH     DEFINED     01     859,899     502,257      21,207
STAPLES INC                       COM   855030102       6,315     390,072  SH     OTHER       01     251,539      99,702      38,831
STAPLES INC                       COM   855030102      84,107   5,195,003  SH     DEFINED  01,08   1,272,257   3,922,746           0
STAPLES INC                       COM   855030102      28,047   1,732,343  SH     DEFINED     09   1,732,343           0           0

STAR SCIENTIFIC INC               COM   85517P101         328     100,001  SH     DEFINED     01      24,596      75,405           0
STAR SCIENTIFIC INC               COM   85517P101       3,249     990,608  SH     DEFINED  01,08     112,079     878,529           0
STAR SCIENTIFIC INC               COM   85517P101         954     290,804  SH     DEFINED     09     290,804           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    285
  ________

STARBUCKS CORP                    COM   855244109     107,808   1,928,927  SH     DEFINED     01   1,355,720     543,498      29,709
STARBUCKS CORP                    COM   855244109      11,392     203,832  SH     OTHER       01     101,433      60,288      42,111
STARBUCKS CORP                    COM   855244109     318,805   5,704,149  SH     DEFINED  01,08   1,426,603   4,277,546           0
STARBUCKS CORP                    COM   855244109     102,366   1,831,566  SH     DEFINED     09   1,831,566           0           0

STARRETT L S CO                   COM   855668109          44       3,340  SH     DEFINED     01           0       3,340           0
STARRETT L S CO                   COM   855668109         106       8,143  SH     DEFINED  01,08       2,500       5,643           0

STARTEK INC                       COM   85569C107          17       7,722  SH     DEFINED     01           0       7,722           0
STARTEK INC                       COM   85569C107          55      25,302  SH     DEFINED  01,08       7,328      17,974           0

STATE AUTO FINL CORP              COM   855707105       1,149      78,624  SH     DEFINED     01       4,090      74,534           0
STATE AUTO FINL CORP              COM   855707105          96       6,600  SH     OTHER       01           0       6,600           0
STATE AUTO FINL CORP              COM   855707105       2,947     201,722  SH     DEFINED  01,08      83,383     118,339           0
STATE AUTO FINL CORP              COM   855707105         650      44,498  SH     DEFINED     09      44,498           0           0

STARWOOD PPTY TR INC              COM   85571B105       2,096      99,715  SH     DEFINED     01      36,180      63,535           0
STARWOOD PPTY TR INC              COM   85571B105      18,398     875,256  SH     DEFINED  01,08     127,183     748,073           0
STARWOOD PPTY TR INC              COM   85571B105       5,715     271,889  SH     DEFINED     09     271,889           0           0

STARWOOD HOTELS&RESORTS WRLD      COM   85590A401      16,643     295,034  SH     DEFINED     01     185,132     108,923         979
STARWOOD HOTELS&RESORTS WRLD      COM   85590A401       1,488      26,382  SH     OTHER       01      11,540      14,513         329
STARWOOD HOTELS&RESORTS WRLD      COM   85590A401      83,136   1,473,779  SH     DEFINED  01,08     355,984   1,117,795           0
STARWOOD HOTELS&RESORTS WRLD      COM   85590A401      26,653     472,485  SH     DEFINED     09     472,485           0           0

STATE BK FINL CORP                COM   856190103       2,327     132,910  SH     DEFINED     01     111,162      21,518         230
STATE BK FINL CORP                COM   856190103          68       3,860  SH     OTHER       01       2,665       1,195           0
STATE BK FINL CORP                COM   856190103       5,099     291,216  SH     DEFINED  01,08      30,210     261,006           0
STATE BK FINL CORP                COM   856190103       1,611      92,009  SH     DEFINED     09      92,009           0           0

STATE STR CORP                    COM   857477103      42,878     942,367  SH     DEFINED     01     599,785     316,735      25,847
STATE STR CORP                    COM   857477103      10,155     223,193  SH     OTHER       01     140,137      70,834      12,222
STATE STR CORP                    COM   857477103     165,166   3,630,014  SH     DEFINED  01,08     852,421   2,777,593           0
STATE STR CORP                    COM   857477103      53,782   1,182,031  SH     DEFINED     09   1,182,031           0           0

STATOIL ASA                       COM   85771P102       4,451     164,177  SH     DEFINED     01     142,117       4,060      18,000
STATOIL ASA                       COM   85771P102         425      15,659  SH     OTHER       01      13,307       2,352           0
STATOIL ASA                       COM   85771P102       1,408      51,948  SH     DEFINED  01,08      51,948           0           0

STEEL DYNAMICS INC                COM   858119100       1,403      96,473  SH     DEFINED     01      71,148      24,925         400
STEEL DYNAMICS INC                COM   858119100      21,550   1,482,109  SH     DEFINED  01,08     202,684   1,279,425           0

STEELCASE INC                     COM   858155203       1,240     129,197  SH     DEFINED     01      34,388      94,809           0
STEELCASE INC                     COM   858155203       7,667     798,694  SH     DEFINED  01,08     142,051     656,643           0
STEELCASE INC                     COM   858155203       2,197     228,883  SH     DEFINED     09     228,883           0           0

STEIN MART INC                    COM   858375108         325      49,222  SH     DEFINED     01      15,547      33,675           0
STEIN MART INC                    COM   858375108       1,839     278,642  SH     DEFINED  01,08      52,762     225,880           0
STEIN MART INC                    COM   858375108         475      71,944  SH     DEFINED     09      71,944           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    286
  ________

STEINWAY MUSICAL INSTRS INC       COM   858495104         653      26,107  SH     DEFINED     01      13,930      11,767         410
STEINWAY MUSICAL INSTRS INC       COM   858495104          11         445  SH     OTHER       01         445           0           0
STEINWAY MUSICAL INSTRS INC       COM   858495104       1,546      61,850  SH     DEFINED  01,08      12,364      49,486           0
STEINWAY MUSICAL INSTRS INC       COM   858495104         516      20,621  SH     DEFINED     09      20,621           0           0

STELLARONE CORP                   COM   85856G100       1,968     165,822  SH     DEFINED     01       7,220     158,602           0
STELLARONE CORP                   COM   85856G100       4,244     357,539  SH     DEFINED  01,08     176,667     180,872           0
STELLARONE CORP                   COM   85856G100         811      68,359  SH     DEFINED     09      68,359           0           0

STEMCELLS INC                     COM   85857R204           4       3,666  SH     DEFINED     01         100       3,566           0
STEMCELLS INC                     COM   85857R204          21      19,286  SH     DEFINED  01,08       1,730      17,556           0

STEPAN CO                         COM   858586100       1,325      15,088  SH     DEFINED     01       5,099       9,989           0
STEPAN CO                         COM   858586100       7,410      84,391  SH     DEFINED  01,08      16,842      67,549           0
STEPAN CO                         COM   858586100       2,008      22,870  SH     DEFINED     09      22,870           0           0

STERICYCLE INC                    COM   858912108      23,911     285,884  SH     DEFINED     01     195,723      85,757       4,404
STERICYCLE INC                    COM   858912108       4,026      48,129  SH     OTHER       01      36,705       4,247       7,177
STERICYCLE INC                    COM   858912108      52,756     630,746  SH     DEFINED  01,08     147,378     483,368           0
STERICYCLE INC                    COM   858912108      17,017     203,451  SH     DEFINED     09     203,451           0           0

STERIS CORP                       COM   859152100       3,028      95,766  SH     DEFINED     01      34,741      60,350         675
STERIS CORP                       COM   859152100          39       1,220  SH     OTHER       01         470         750           0
STERIS CORP                       COM   859152100      23,036     728,516  SH     DEFINED  01,08      93,021     635,495           0
STERIS CORP                       COM   859152100       5,444     172,175  SH     DEFINED     09     172,175           0           0

STERLING BANCORP                  COM   859158107       1,101     114,773  SH     DEFINED     01      13,608     101,165           0
STERLING BANCORP                  COM   859158107       3,630     378,490  SH     DEFINED  01,08     130,694     247,796           0
STERLING BANCORP                  COM   859158107         796      83,016  SH     DEFINED     09      83,016           0           0

STEREOTAXIS INC                   COM   85916J102          19      29,846  SH     DEFINED     01       4,000      25,846           0
STEREOTAXIS INC                   COM   85916J102          27      42,001  SH     OTHER       01       7,988           0      34,013
STEREOTAXIS INC                   COM   85916J102         256     393,609  SH     DEFINED  01,08      45,485     348,124           0
STEREOTAXIS INC                   COM   85916J102          63      96,369  SH     DEFINED     09      96,369           0           0

STERLING CONSTRUCTION CO INC      COM   859241101         143      14,664  SH     DEFINED     01       4,252      10,412           0
STERLING CONSTRUCTION CO INC      COM   859241101       1,472     150,981  SH     DEFINED  01,08      18,419     132,562           0
STERLING CONSTRUCTION CO INC      COM   859241101         454      46,543  SH     DEFINED     09      46,543           0           0

STERLING FINL CORP WASH           COM   859319303         504      24,132  SH     DEFINED     01       6,997      17,135           0
STERLING FINL CORP WASH           COM   859319303       5,313     254,465  SH     DEFINED  01,08      31,083     223,382           0
STERLING FINL CORP WASH           COM   859319303       1,677      80,305  SH     DEFINED     09      80,305           0           0

STERLITE INDS INDIA LTD           COM   859737207         320      37,516  SH     DEFINED     01      36,297       1,219           0
STERLITE INDS INDIA LTD           COM   859737207          11       1,275  SH     OTHER       01           0       1,275           0
STERLITE INDS INDIA LTD           COM   859737207       2,694     315,427  SH     DEFINED  01,08     315,427           0           0
STERLITE INDS INDIA LTD           COM   859737207          42       4,927  SH     DEFINED     09       4,927           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    287
  ________

STEWART ENTERPRISES INC           COM   860370105       4,956     816,433  SH     DEFINED     01      22,214     794,219           0
STEWART ENTERPRISES INC           COM   860370105       9,230   1,520,562  SH     DEFINED  01,08     848,878     671,684           0
STEWART ENTERPRISES INC           COM   860370105       1,431     235,819  SH     DEFINED     09     235,819           0           0

STEWART INFORMATION SVCS COR      COM   860372101         530      37,285  SH     DEFINED     01       9,882      27,403           0
STEWART INFORMATION SVCS COR      COM   860372101       2,677     188,410  SH     DEFINED  01,08      40,966     147,444           0
STEWART INFORMATION SVCS COR      COM   860372101         634      44,596  SH     DEFINED     09      44,596           0           0

STIFEL FINL CORP                  COM   860630102       4,812     127,163  SH     DEFINED     01      24,989     102,174           0
STIFEL FINL CORP                  COM   860630102      22,000     581,389  SH     DEFINED  01,08     142,984     438,405           0
STIFEL FINL CORP                  COM   860630102       6,114     161,565  SH     DEFINED     09     161,565           0           0

STILLWATER MNG CO                 COM   86074Q102       1,690     133,693  SH     DEFINED     01      30,434     103,259           0
STILLWATER MNG CO                 COM   86074Q102      13,851   1,095,819  SH     DEFINED  01,08     160,343     935,476           0
STILLWATER MNG CO                 COM   86074Q102       4,316     341,421  SH     DEFINED     09     341,421           0           0

STMICROELECTRONICS N V            COM   861012102         598      73,002  SH     DEFINED     01      71,156       1,761          85
STMICROELECTRONICS N V            COM   861012102          13       1,613  SH     OTHER       01         642         971           0
STMICROELECTRONICS N V            COM   861012102         263      32,060  SH     DEFINED  01,08      32,060           0           0

STONE ENERGY CORP                 COM   861642106       2,233      78,092  SH     DEFINED     01      25,660      52,432           0
STONE ENERGY CORP                 COM   861642106          51       1,800  SH     OTHER       01       1,800           0           0
STONE ENERGY CORP                 COM   861642106      14,129     494,195  SH     DEFINED  01,08      96,065     398,130           0
STONE ENERGY CORP                 COM   861642106       4,437     155,192  SH     DEFINED     09     155,192           0           0

STONERIDGE INC                    COM   86183P102         294      29,707  SH     DEFINED     01       7,278      22,429           0
STONERIDGE INC                    COM   86183P102       2,458     248,560  SH     DEFINED  01,08      37,936     210,624           0
STONERIDGE INC                    COM   86183P102         681      68,882  SH     DEFINED     09      68,882           0           0

STONEMOR PARTNERS L P             COM   86183Q100         341      14,000  SH     DEFINED     01      14,000           0           0

STRATASYS INC                     COM   862685104       2,917      79,873  SH     DEFINED     01      46,120      32,023       1,730
STRATASYS INC                     COM   862685104         201       5,505  SH     OTHER       01       2,160       2,765         580
STRATASYS INC                     COM   862685104       7,736     211,829  SH     DEFINED  01,08      38,942     172,887           0
STRATASYS INC                     COM   862685104       2,190      59,980  SH     DEFINED     09      59,980           0           0

STRATEGIC DIAGNOSTICS INC         COM   862700101          22      11,793  SH     DEFINED     01           0      11,793           0
STRATEGIC DIAGNOSTICS INC         COM   862700101          68      36,477  SH     DEFINED  01,08      12,668      23,809           0

STRATEGIC HOTELS & RESORTS I      COM   86272T106       3,697     561,895  SH     DEFINED     01      43,645     518,250           0
STRATEGIC HOTELS & RESORTS I      COM   86272T106      15,205   2,310,805  SH     DEFINED  01,08     913,376   1,397,429           0
STRATEGIC HOTELS & RESORTS I      COM   86272T106       3,787     575,491  SH     DEFINED     09     575,491           0           0

STRATUS PPTYS INC                 COM   863167201          48       5,130  SH     DEFINED     01         135       4,995           0
STRATUS PPTYS INC                 COM   863167201         105      11,131  SH     DEFINED  01,08       4,306       6,825           0

STREAM GLOBAL SVCS INC            COM   86323M100          12       3,574  SH     DEFINED     01         691       2,883           0
STREAM GLOBAL SVCS INC            COM   86323M100         227      68,922  SH     DEFINED  01,08       5,610      63,312           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    288
  ________

STREAMLINE HEALTH SOLUTIONS       COM   86323X106          11       6,606  SH     DEFINED     01           0       6,606           0
STREAMLINE HEALTH SOLUTIONS       COM   86323X106          13       7,843  SH     DEFINED  01,08       5,636       2,207           0

STRAYER ED INC                    COM   863236105       1,804      19,132  SH     DEFINED     01       8,425      10,707           0
STRAYER ED INC                    COM   863236105         173       1,830  SH     OTHER       01       1,830           0           0
STRAYER ED INC                    COM   863236105      15,688     166,398  SH     DEFINED  01,08      35,449     130,949           0
STRAYER ED INC                    COM   863236105       3,572      37,887  SH     DEFINED     09      37,887           0           0

STRYKER CORP                      COM   863667101      40,753     734,558  SH     DEFINED     01     514,841     198,150      21,567
STRYKER CORP                      COM   863667101       7,335     132,208  SH     OTHER       01      88,412      21,531      22,265
STRYKER CORP                      COM   863667101     131,672   2,373,319  SH     DEFINED  01,08     557,593   1,815,726           0
STRYKER CORP                      COM   863667101      40,688     733,381  SH     DEFINED     09     733,381           0           0

STURM RUGER & CO INC              COM   864159108       1,780      36,258  SH     DEFINED     01       9,623      26,635           0
STURM RUGER & CO INC              COM   864159108       9,599     195,491  SH     DEFINED  01,08      39,032     156,459           0
STURM RUGER & CO INC              COM   864159108       3,027      61,656  SH     DEFINED     09      61,656           0           0

SUBURBAN PROPANE PARTNERS L       COM   864482104          77       1,800  SH     DEFINED     01       1,800           0           0
SUBURBAN PROPANE PARTNERS L       COM   864482104         215       5,000  SH     OTHER       01       3,500           0       1,500
SUBURBAN PROPANE PARTNERS L       COM   864482104         737      17,144  SH     DEFINED  01,08      17,144           0           0

SUFFOLK BANCORP                   COM   864739107         179      13,809  SH     DEFINED     01       2,081      11,728           0
SUFFOLK BANCORP                   COM   864739107       1,218      93,773  SH     DEFINED  01,08      15,656      78,117           0
SUFFOLK BANCORP                   COM   864739107         410      31,593  SH     DEFINED     09      31,593           0           0

SUCAMPO PHARMACEUTICALS INC       COM   864909106         217      29,087  SH     DEFINED     01       2,911      26,176           0
SUCAMPO PHARMACEUTICALS INC       COM   864909106         964     129,421  SH     DEFINED  01,08      34,767      94,654           0
SUCAMPO PHARMACEUTICALS INC       COM   864909106         224      30,065  SH     DEFINED     09      30,065           0           0

SUMITOMO MITSUI FINL GROUP I      COM   86562M209       5,100     768,076  SH     DEFINED     01     735,095      23,333       9,648
SUMITOMO MITSUI FINL GROUP I      COM   86562M209         114      17,185  SH     OTHER       01      17,185           0           0
SUMITOMO MITSUI FINL GROUP I      COM   86562M209       2,043     307,618  SH     DEFINED  01,08     307,618           0           0

SUMMER INFANT INC                 COM   865646103          40       6,731  SH     DEFINED     01       1,145       5,586           0
SUMMER INFANT INC                 COM   865646103         693     115,570  SH     DEFINED  01,08      11,362     104,208           0
SUMMER INFANT INC                 COM   865646103         169      28,232  SH     DEFINED     09      28,232           0           0

SUMMIT HOTEL PPTYS INC            COM   866082100         122      16,088  SH     DEFINED     01       3,019      13,069           0
SUMMIT HOTEL PPTYS INC            COM   866082100       1,932     254,840  SH     DEFINED  01,08      29,820     225,020           0
SUMMIT HOTEL PPTYS INC            COM   866082100         813     107,255  SH     DEFINED     09     107,255           0           0

SUN BANCORP INC                   COM   86663B102         111      31,442  SH     DEFINED     01       6,127      25,315           0
SUN BANCORP INC                   COM   86663B102       1,274     360,872  SH     DEFINED  01,08      49,245     311,627           0
SUN BANCORP INC                   COM   86663B102         357     101,208  SH     DEFINED     09     101,208           0           0

SUN COMMUNITIES INC               COM   866674104       1,640      37,858  SH     DEFINED     01       7,250      30,608           0
SUN COMMUNITIES INC               COM   866674104      12,853     296,629  SH     DEFINED  01,08      85,102     211,527           0
SUN COMMUNITIES INC               COM   866674104       3,843      88,689  SH     DEFINED     09      88,689           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    289
  ________

SUN HEALTHCARE GROUP INC NEW      COM   86677E100         184      26,928  SH     DEFINED     01       5,454      21,474           0
SUN HEALTHCARE GROUP INC NEW      COM   86677E100       1,647     240,723  SH     DEFINED  01,08      31,351     209,372           0
SUN HEALTHCARE GROUP INC NEW      COM   86677E100         505      73,822  SH     DEFINED     09      73,822           0           0

SUN LIFE FINL INC                 COM   866796105       1,684      71,074  SH     DEFINED     01      68,364       2,635          75
SUN LIFE FINL INC                 COM   866796105          42       1,773  SH     OTHER       01       1,482         291           0
SUN LIFE FINL INC                 COM   866796105         615      25,957  SH     DEFINED  01,08      25,957           0           0

SUN HYDRAULICS CORP               COM   866942105         979      37,415  SH     DEFINED     01      14,215      23,000         200
SUN HYDRAULICS CORP               COM   866942105           6         215  SH     OTHER       01         215           0           0
SUN HYDRAULICS CORP               COM   866942105       5,242     200,382  SH     DEFINED  01,08      34,670     165,712           0
SUN HYDRAULICS CORP               COM   866942105       1,590      60,780  SH     DEFINED     09      60,780           0           0

SUNCOKE ENERGY INC                COM   86722A103       3,322     233,804  SH     DEFINED     01     105,110      46,236      82,458
SUNCOKE ENERGY INC                COM   86722A103         121       8,527  SH     OTHER       01       1,346       7,181           0
SUNCOKE ENERGY INC                COM   86722A103       9,433     663,838  SH     DEFINED  01,08      96,911     566,927           0
SUNCOKE ENERGY INC                COM   86722A103       2,914     205,061  SH     DEFINED     09     205,061           0           0

SUNCOR ENERGY INC NEW             COM   867224107      37,089   1,134,235  SH     DEFINED     01     947,984     153,619      32,632
SUNCOR ENERGY INC NEW             COM   867224107      12,833     392,454  SH     OTHER       01     268,403      83,637      40,414
SUNCOR ENERGY INC NEW             COM   867224107       3,800     116,206  SH     DEFINED  01,08     116,206           0           0

SUNESIS PHARMACEUTICALS INC       COM   867328601          53      18,320  SH     DEFINED     01       6,091      12,229           0
SUNESIS PHARMACEUTICALS INC       COM   867328601         689     240,164  SH     DEFINED  01,08      23,384     216,780           0

SUNOCO LOGISTICS PRTNRS L P       COM   86764L108         437      11,550  SH     DEFINED     01      11,550           0           0
SUNOCO LOGISTICS PRTNRS L P       COM   86764L108       1,257      33,238  SH     DEFINED  01,08      33,238           0           0

SUNOCO INC                        COM   86764P109       5,219     136,791  SH     DEFINED     01      78,100      57,884         807
SUNOCO INC                        COM   86764P109         188       4,933  SH     OTHER       01       2,023       2,910           0
SUNOCO INC                        COM   86764P109      31,902     836,237  SH     DEFINED  01,08     237,383     598,854           0
SUNOCO INC                        COM   86764P109      10,470     274,446  SH     DEFINED     09     274,446           0           0

SUNPOWER CORP                     COM   867652406         494      77,489  SH     DEFINED     01      41,902      35,587           0
SUNPOWER CORP                     COM   867652406           7       1,097  SH     OTHER       01           0       1,097           0
SUNPOWER CORP                     COM   867652406       1,917     300,422  SH     DEFINED  01,08      84,336     216,086           0

SUNRISE SENIOR LIVING INC         COM   86768K106         417      65,955  SH     DEFINED     01      14,217      51,738           0
SUNRISE SENIOR LIVING INC         COM   86768K106       3,463     547,903  SH     DEFINED  01,08      78,600     469,303           0
SUNRISE SENIOR LIVING INC         COM   86768K106       1,078     170,614  SH     DEFINED     09     170,614           0           0

SUNSTONE HOTEL INVS INC NEW       COM   867892101       1,465     150,366  SH     DEFINED     01      23,563     126,803           0
SUNSTONE HOTEL INVS INC NEW       COM   867892101      12,718   1,305,701  SH     DEFINED  01,08     349,359     956,342           0
SUNSTONE HOTEL INVS INC NEW       COM   867892101       3,929     403,389  SH     DEFINED     09     403,389           0           0

SUNTRUST BKS INC                  COM   867914103      14,519     600,692  SH     DEFINED     01     317,071     281,555       2,066
SUNTRUST BKS INC                  COM   867914103         665      27,506  SH     OTHER       01      12,257      14,989         260
SUNTRUST BKS INC                  COM   867914103      94,954   3,928,596  SH     DEFINED  01,08     947,943   2,980,653           0
SUNTRUST BKS INC                  COM   867914103      31,347   1,296,930  SH     DEFINED     09   1,296,930           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    290
  ________

SUPERCONDUCTOR TECHNOLOGIES       COM   867931305           2       2,771  SH     DEFINED     01           0       2,771           0
SUPERCONDUCTOR TECHNOLOGIES       COM   867931305          30      39,005  SH     DEFINED  01,08       1,509      37,496           0

SUPER MICRO COMPUTER INC          COM   86800U104         607      34,782  SH     DEFINED     01      13,799      20,983           0
SUPER MICRO COMPUTER INC          COM   86800U104       4,941     282,993  SH     DEFINED  01,08      45,197     237,796           0
SUPER MICRO COMPUTER INC          COM   86800U104       1,406      80,552  SH     DEFINED     09      80,552           0           0

SUPERIOR ENERGY SVCS INC          COM   868157108      35,990   1,365,336  SH     DEFINED     01     116,039      61,533   1,187,764
SUPERIOR ENERGY SVCS INC          COM   868157108          28       1,069  SH     OTHER       01         744         265          60
SUPERIOR ENERGY SVCS INC          COM   868157108      27,438   1,040,901  SH     DEFINED  01,08     114,742     926,159           0
SUPERIOR ENERGY SVCS INC          COM   868157108       5,565     211,111  SH     DEFINED     09     211,111           0           0

SUPERIOR INDS INTL INC            COM   868168105       2,645     135,355  SH     DEFINED     01      11,897     123,458           0
SUPERIOR INDS INTL INC            COM   868168105       6,768     346,352  SH     DEFINED  01,08     151,638     194,714           0
SUPERIOR INDS INTL INC            COM   868168105       1,437      73,518  SH     DEFINED     09      73,518           0           0

SUPERIOR UNIFORM GP INC           COM   868358102          82       6,947  SH     DEFINED     01           0       6,947           0
SUPERIOR UNIFORM GP INC           COM   868358102         128      10,924  SH     DEFINED  01,08       7,290       3,634           0

SUPERMEDIA INC                    COM   868447103           5       1,929  SH     DEFINED     01           0       1,929           0
SUPERMEDIA INC                    COM   868447103          48      20,091  SH     DEFINED  01,08           0      20,091           0

SUPERTEL HOSPITALITY INC MD       COM   868526104           7       6,875  SH     DEFINED     01           0       6,875           0
SUPERTEL HOSPITALITY INC MD       COM   868526104          41      38,574  SH     DEFINED  01,08       7,010      31,564           0

SUPERTEX INC                      COM   868532102         329      18,210  SH     DEFINED     01       4,068      14,142           0
SUPERTEX INC                      COM   868532102       1,976     109,377  SH     DEFINED  01,08      22,187      87,190           0
SUPERTEX INC                      COM   868532102         527      29,171  SH     DEFINED     09      29,171           0           0

SUPERVALU INC                     COM   868536103       2,101     367,948  SH     DEFINED     01     229,418     138,490          40
SUPERVALU INC                     COM   868536103          66      11,539  SH     OTHER       01       9,774       1,650         115
SUPERVALU INC                     COM   868536103       9,796   1,715,635  SH     DEFINED  01,08     566,547   1,149,088           0
SUPERVALU INC                     COM   868536103       1,135     198,791  SH     DEFINED     09     198,791           0           0

SUPPORT COM INC                   COM   86858W101         171      54,397  SH     DEFINED     01      11,161      43,236           0
SUPPORT COM INC                   COM   86858W101       1,405     446,143  SH     DEFINED  01,08      58,823     387,320           0
SUPPORT COM INC                   COM   86858W101         438     138,958  SH     DEFINED     09     138,958           0           0

SUPREME INDS INC                  COM   868607102          22       6,858  SH     DEFINED     01           0       6,858           0
SUPREME INDS INC                  COM   868607102          40      12,418  SH     DEFINED  01,08       7,157       5,261           0

SUREWEST COMMUNICATIONS           COM   868733106       1,120      49,666  SH     DEFINED     01       5,546      44,120           0
SUREWEST COMMUNICATIONS           COM   868733106       3,813     169,070  SH     DEFINED  01,08      50,778     118,292           0
SUREWEST COMMUNICATIONS           COM   868733106         923      40,917  SH     DEFINED     09      40,917           0           0

SURMODICS INC                     COM   868873100         391      25,450  SH     DEFINED     01       7,856      17,594           0
SURMODICS INC                     COM   868873100       2,360     153,526  SH     DEFINED  01,08      29,430     124,096           0
SURMODICS INC                     COM   868873100         740      48,156  SH     DEFINED     09      48,156           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    291
  ________

SUSQUEHANNA BANCSHARES INC P      COM   869099101      14,458   1,463,318  SH     DEFINED     01     426,380   1,036,938           0
SUSQUEHANNA BANCSHARES INC P      COM   869099101      26,888   2,721,472  SH     DEFINED  01,08   1,216,653   1,504,819           0
SUSQUEHANNA BANCSHARES INC P      COM   869099101       5,219     528,287  SH     DEFINED     09     528,287           0           0

SUSSER HLDGS CORP                 COM   869233106         208       8,090  SH     DEFINED     01       1,802       6,288           0
SUSSER HLDGS CORP                 COM   869233106       2,326      90,614  SH     DEFINED  01,08      11,875      78,739           0
SUSSER HLDGS CORP                 COM   869233106         597      23,252  SH     DEFINED     09      23,252           0           0

SWEDISH EXPT CR CORP              COM   870297306          71      10,000  SH     DEFINED     01      10,000           0           0

SWIFT ENERGY CO                   COM   870738101       6,851     235,981  SH     DEFINED     01      19,743     216,238           0
SWIFT ENERGY CO                   COM   870738101         290      10,000  SH     OTHER       01           0      10,000           0
SWIFT ENERGY CO                   COM   870738101      17,988     619,625  SH     DEFINED  01,08     275,374     344,251           0
SWIFT ENERGY CO                   COM   870738101       3,595     123,835  SH     DEFINED     09     123,835           0           0

SWIFT TRANSN CO                   COM   87074U101         753      65,279  SH     DEFINED     01      20,784      44,495           0
SWIFT TRANSN CO                   COM   87074U101       8,276     717,142  SH     DEFINED  01,08      86,122     631,020           0
SWIFT TRANSN CO                   COM   87074U101       2,562     221,968  SH     DEFINED     09     221,968           0           0

SWISHER HYGIENE INC               COM   870808102         115      46,673  SH     DEFINED     01       8,305      38,368           0
SWISHER HYGIENE INC               COM   870808102       2,009     816,617  SH     DEFINED  01,08      91,835     724,782           0
SWISHER HYGIENE INC               COM   870808102         557     226,531  SH     DEFINED     09     226,531           0           0

SYCAMORE NETWORKS INC             COM   871206405         526      29,635  SH     DEFINED     01       3,262      26,373           0
SYCAMORE NETWORKS INC             COM   871206405       3,475     195,858  SH     DEFINED  01,08      30,249     165,609           0
SYCAMORE NETWORKS INC             COM   871206405         942      53,085  SH     DEFINED     09      53,085           0           0

SYKES ENTERPRISES INC             COM   871237103       1,164      73,651  SH     DEFINED     01      18,068      55,583           0
SYKES ENTERPRISES INC             COM   871237103          66       4,183  SH     OTHER       01           0       4,183           0
SYKES ENTERPRISES INC             COM   871237103       6,464     409,090  SH     DEFINED  01,08      79,551     329,539           0
SYKES ENTERPRISES INC             COM   871237103       2,116     133,924  SH     DEFINED     09     133,924           0           0

SYMANTEC CORP                  CONV DEB 871503AF5       4,760   4,250,000  PRN    DEFINED     01     550,000   3,700,000           0
SYMANTEC CORP                  CONV DEB 871503AF5       4,144   3,700,000  PRN    DEFINED  01,08   3,700,000           0           0

SYMANTEC CORP                     COM   871503108      15,543     831,164  SH     DEFINED     01     428,529     394,222       8,413
SYMANTEC CORP                     COM   871503108         539      28,801  SH     OTHER       01      15,086      13,715           0
SYMANTEC CORP                     COM   871503108     102,915   5,503,454  SH     DEFINED  01,08   1,309,138   4,194,316           0
SYMANTEC CORP                     COM   871503108      33,904   1,813,043  SH     DEFINED     09   1,813,043           0           0

SYMETRA FINL CORP                 COM   87151Q106       4,301     373,070  SH     DEFINED     01      23,974     349,096           0
SYMETRA FINL CORP                 COM   87151Q106         614      53,275  SH     OTHER       01      19,880      33,395           0
SYMETRA FINL CORP                 COM   87151Q106      11,290     979,226  SH     DEFINED  01,08     418,113     561,113           0
SYMETRA FINL CORP                 COM   87151Q106       2,557     221,744  SH     DEFINED     09     221,744           0           0

SYMMETRICOM INC                   COM   871543104         494      85,620  SH     DEFINED     01      23,605      62,015           0
SYMMETRICOM INC                   COM   871543104       2,541     440,396  SH     DEFINED  01,08     101,113     339,283           0
SYMMETRICOM INC                   COM   871543104         836     144,876  SH     DEFINED     09     144,876           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    292
  ________

SYMMETRY MED INC                  COM   871546206         384      54,306  SH     DEFINED     01      15,175      39,131           0
SYMMETRY MED INC                  COM   871546206       2,567     363,095  SH     DEFINED  01,08      61,678     301,417           0
SYMMETRY MED INC                  COM   871546206         798     112,938  SH     DEFINED     09     112,938           0           0

SYNACOR INC                       COM   871561106          76      10,090  SH     DEFINED  01,08           0      10,090           0

SYNALLOY CP DEL                   COM   871565107         102       7,740  SH     DEFINED     01           0       7,740           0
SYNALLOY CP DEL                   COM   871565107         176      13,431  SH     DEFINED  01,08       4,866       8,565           0

SYNCHRONOSS TECHNOLOGIES INC      COM   87157B103       1,707      53,464  SH     DEFINED     01      12,525      40,939           0
SYNCHRONOSS TECHNOLOGIES INC      COM   87157B103       8,928     279,693  SH     DEFINED  01,08      58,440     221,253           0
SYNCHRONOSS TECHNOLOGIES INC      COM   87157B103       2,318      72,610  SH     DEFINED     09      72,610           0           0

SYNAPTICS INC                     COM   87157D109       2,439      66,802  SH     DEFINED     01      17,912      48,890           0
SYNAPTICS INC                     COM   87157D109         225       6,150  SH     OTHER       01       3,000       3,150           0
SYNAPTICS INC                     COM   87157D109      12,123     332,059  SH     DEFINED  01,08      68,335     263,724           0
SYNAPTICS INC                     COM   87157D109       3,594      98,445  SH     DEFINED     09      98,445           0           0

SYNAGEVA BIOPHARMA CORP           COM   87159A103         136       3,792  SH     DEFINED     01         380       3,412           0
SYNAGEVA BIOPHARMA CORP           COM   87159A103         860      23,965  SH     OTHER       01           0      23,965           0
SYNAGEVA BIOPHARMA CORP           COM   87159A103         466      12,985  SH     DEFINED  01,08       3,680       9,305           0

SYNGENTA AG                       COM   87160A100       6,245      90,731  SH     DEFINED     01      83,107       7,624           0
SYNGENTA AG                       COM   87160A100         306       4,447  SH     OTHER       01       2,725       1,722           0
SYNGENTA AG                       COM   87160A100       1,611      23,403  SH     DEFINED  01,08      23,403           0           0

SYNERGETICS USA INC               COM   87160G107         136      20,863  SH     DEFINED     01       2,022      18,841           0
SYNERGETICS USA INC               COM   87160G107       1,329     204,493  SH     DEFINED  01,08      26,444     178,049           0
SYNERGETICS USA INC               COM   87160G107         410      63,070  SH     DEFINED     09      63,070           0           0

SYNOPSYS INC                      COM   871607107       1,564      51,022  SH     DEFINED     01      37,192      13,830           0
SYNOPSYS INC                      COM   871607107      27,443     895,059  SH     DEFINED  01,08      47,167     847,892           0
SYNOPSYS INC                      COM   871607107       5,446     177,627  SH     DEFINED     09     177,627           0           0

SYNOVUS FINL CORP                 COM   87161C105         790     385,353  SH     DEFINED     01     190,042     195,311           0
SYNOVUS FINL CORP                 COM   87161C105           1         405  SH     OTHER       01           0           0         405
SYNOVUS FINL CORP                 COM   87161C105      10,053   4,904,009  SH     DEFINED  01,08     452,157   4,451,852           0

SYNTEL INC                        COM   87162H103       1,617      28,879  SH     DEFINED     01       8,570      20,309           0
SYNTEL INC                        COM   87162H103          43         765  SH     OTHER       01         765           0           0
SYNTEL INC                        COM   87162H103       8,883     158,621  SH     DEFINED  01,08      29,686     128,935           0
SYNTEL INC                        COM   87162H103       2,524      45,069  SH     DEFINED     09      45,069           0           0

SYNTA PHARMACEUTICALS CORP        COM   87162T206         104      23,624  SH     DEFINED     01       6,497      17,127           0
SYNTA PHARMACEUTICALS CORP        COM   87162T206       1,155     262,989  SH     DEFINED  01,08      32,244     230,745           0
SYNTA PHARMACEUTICALS CORP        COM   87162T206         348      79,340  SH     DEFINED     09      79,340           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    293
  ________

SYNNEX CORP                       COM   87162W100       6,994     183,378  SH     DEFINED     01      12,858     170,520           0
SYNNEX CORP                       COM   87162W100      15,295     401,010  SH     DEFINED  01,08     196,558     204,452           0
SYNNEX CORP                       COM   87162W100       2,913      76,375  SH     DEFINED     09      76,375           0           0

SYNTHESIS ENERGY SYS INC          COM   871628103          17      11,434  SH     DEFINED     01         210      11,224           0
SYNTHESIS ENERGY SYS INC          COM   871628103          77      52,634  SH     DEFINED  01,08      12,042      40,592           0

SYNTROLEUM CORP                   COM   871630109          70      72,069  SH     DEFINED     01      10,867      61,202           0
SYNTROLEUM CORP                   COM   871630109         720     746,275  SH     DEFINED  01,08      94,731     651,544           0
SYNTROLEUM CORP                   COM   871630109         179     185,356  SH     DEFINED     09     185,356           0           0

SYNUTRA INTL INC                  COM   87164C102          74      12,665  SH     DEFINED     01       3,943       8,722           0
SYNUTRA INTL INC                  COM   87164C102         819     139,334  SH     DEFINED  01,08      18,167     121,167           0
SYNUTRA INTL INC                  COM   87164C102         313      53,203  SH     DEFINED     09      53,203           0           0

SYNERGY RES CORP                  COM   87164P103          39      11,552  SH     DEFINED  01,08           0      11,552           0

SYNTHETIC BIOLOGICS INC           COM   87164U102          77      35,026  SH     DEFINED  01,08           0      35,026           0

SYPRIS SOLUTIONS INC              COM   871655106          41      10,109  SH     DEFINED     01           0      10,109           0
SYPRIS SOLUTIONS INC              COM   871655106          78      19,365  SH     DEFINED  01,08       7,345      12,020           0

SYSCO CORP                        COM   871829107      31,849   1,066,601  SH     DEFINED     01     657,954     371,831      36,816
SYSCO CORP                        COM   871829107      11,334     379,584  SH     OTHER       01     251,654     114,628      13,302
SYSCO CORP                        COM   871829107     130,694   4,376,881  SH     DEFINED  01,08   1,057,475   3,319,406           0
SYSCO CORP                        COM   871829107      42,857   1,435,263  SH     DEFINED     09   1,435,263           0           0

SYSTEMAX INC                      COM   871851101         440      26,089  SH     DEFINED     01       2,227      23,862           0
SYSTEMAX INC                      COM   871851101       1,954     115,873  SH     DEFINED  01,08      29,094      86,779           0
SYSTEMAX INC                      COM   871851101         482      28,560  SH     DEFINED     09      28,560           0           0

TCF FINL CORP                     COM   872275102         526      44,234  SH     DEFINED     01      29,107      15,127           0
TCF FINL CORP                     COM   872275102          72       6,080  SH     OTHER       01           0           0       6,080
TCF FINL CORP                     COM   872275102      11,233     944,722  SH     DEFINED  01,08      53,266     891,456           0

TC PIPELINES LP                   COM   87233Q108         360       8,000  SH     DEFINED     01       8,000           0           0
TC PIPELINES LP                   COM   87233Q108         783      17,414  SH     DEFINED  01,08      17,414           0           0

TD AMERITRADE HLDG CORP           COM   87236Y108       1,491      75,522  SH     DEFINED     01      49,924      25,598           0
TD AMERITRADE HLDG CORP           COM   87236Y108           5         247  SH     OTHER       01          60           0         187
TD AMERITRADE HLDG CORP           COM   87236Y108      14,733     746,338  SH     DEFINED  01,08      72,480     673,858           0
TD AMERITRADE HLDG CORP           COM   87236Y108       5,880     297,889  SH     DEFINED     09     297,889           0           0

TECO ENERGY INC                   COM   872375100       4,757     271,064  SH     DEFINED     01     160,622     109,093       1,349
TECO ENERGY INC                   COM   872375100         489      27,851  SH     OTHER       01       5,607       8,544      13,700
TECO ENERGY INC                   COM   872375100      29,432   1,677,037  SH     DEFINED  01,08     479,807   1,197,230           0
TECO ENERGY INC                   COM   872375100       3,863     220,090  SH     DEFINED     09     220,090           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    294
  ________

TESSCO TECHNOLOGIES INC           COM   872386107       1,318      51,742  SH     DEFINED     01      37,968      13,774           0
TESSCO TECHNOLOGIES INC           COM   872386107         654      25,684  SH     DEFINED  01,08      16,219       9,465           0

TF FINL CORP                      COM   872391107          71       2,939  SH     DEFINED     01           0       2,939           0
TF FINL CORP                      COM   872391107         148       6,128  SH     DEFINED  01,08       3,000       3,128           0

TFS FINL CORP                     COM   87240R107         212      22,348  SH     DEFINED     01       9,111      13,237           0
TFS FINL CORP                     COM   87240R107       2,915     306,831  SH     DEFINED  01,08      26,993     279,838           0

TGC INDS INC                      COM   872417308          62       6,229  SH     DEFINED     01           0       6,229           0
TGC INDS INC                      COM   872417308         373      37,625  SH     DEFINED  01,08      13,818      23,807           0

THL CR INC                        COM   872438106          95       7,378  SH     DEFINED     01       3,137       4,241           0
THL CR INC                        COM   872438106         940      73,095  SH     DEFINED  01,08      15,797      57,298           0
THL CR INC                        COM   872438106         260      20,203  SH     DEFINED     09      20,203           0           0

TICC CAPITAL CORP                 COM   87244T109         247      25,333  SH     DEFINED     01       8,871      16,462           0
TICC CAPITAL CORP                 COM   87244T109       2,605     267,424  SH     DEFINED  01,08      40,951     226,473           0
TICC CAPITAL CORP                 COM   87244T109       1,113     114,224  SH     DEFINED     09     114,224           0           0

THQ INC                           COM   872443403          34      60,393  SH     DEFINED     01      10,307      50,086           0
THQ INC                           COM   872443403         354     632,104  SH     DEFINED  01,08      76,787     555,317           0
THQ INC                           COM   872443403         106     188,622  SH     DEFINED     09     188,622           0           0

TII NETWORK TECHNOLOGIES INC      COM   872479209           3       2,236  SH     DEFINED     01           0       2,236           0
TII NETWORK TECHNOLOGIES INC      COM   872479209          23      15,685  SH     DEFINED  01,08       1,372      14,313           0

TJX COS INC NEW                   COM   872540109     117,478   2,958,393  SH     DEFINED     01   2,332,609     524,949     100,835
TJX COS INC NEW                   COM   872540109      20,046     504,801  SH     OTHER       01     321,267     106,316      77,218
TJX COS INC NEW                   COM   872540109     228,999   5,766,779  SH     DEFINED  01,08   1,436,829   4,329,950           0
TJX COS INC NEW                   COM   872540109      79,059   1,990,905  SH     DEFINED     09   1,990,905           0           0

TMS INTL CORP                     COM   87261Q103         110       9,111  SH     DEFINED     01       2,713       6,398           0
TMS INTL CORP                     COM   87261Q103       1,378     113,877  SH     DEFINED  01,08      12,076     101,801           0
TMS INTL CORP                     COM   87261Q103         430      35,500  SH     DEFINED     09      35,500           0           0

TRC COS INC                       COM   872625108         124      20,226  SH     DEFINED     01       3,897      16,329           0
TRC COS INC                       COM   872625108         995     162,824  SH     DEFINED  01,08      24,388     138,436           0
TRC COS INC                       COM   872625108         317      51,879  SH     DEFINED     09      51,879           0           0

TRW AUTOMOTIVE HLDGS CORP         COM   87264S106       1,222      26,312  SH     DEFINED     01      14,256      12,056           0
TRW AUTOMOTIVE HLDGS CORP         COM   87264S106           2          40  SH     OTHER       01           0           0          40
TRW AUTOMOTIVE HLDGS CORP         COM   87264S106      16,065     345,846  SH     DEFINED  01,08      39,279     306,567           0
TRW AUTOMOTIVE HLDGS CORP         COM   87264S106       8,733     188,008  SH     DEFINED     09     188,008           0           0

TNS INC                           COM   872960109         748      34,418  SH     DEFINED     01       7,246      27,172           0
TNS INC                           COM   872960109       5,383     247,728  SH     DEFINED  01,08      42,139     205,589           0
TNS INC                           COM   872960109       1,576      72,534  SH     DEFINED     09      72,534           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    295
  ________

TTM TECHNOLOGIES  INC          CONV DEB 87305RAC3     256,886   2,398,000  PRN    DEFINED  01,08   2,398,000           0           0

TTM TECHNOLOGIES  INC             COM   87305R109       1,133      98,422  SH     DEFINED     01      25,608      72,814           0
TTM TECHNOLOGIES  INC             COM   87305R109       6,344     551,178  SH     DEFINED  01,08     125,412     425,766           0
TTM TECHNOLOGIES  INC             COM   87305R109       1,926     167,322  SH     DEFINED     09     167,322           0           0

TW TELECOM INC                    COM   87311L104       1,079      48,706  SH     DEFINED     01      33,506      14,920         280
TW TELECOM INC                    COM   87311L104         122       5,500  SH     OTHER       01       5,500           0           0
TW TELECOM INC                    COM   87311L104      20,889     942,633  SH     DEFINED  01,08      61,649     880,984           0

TAITRON COMPONENTS INC            COM   874028103           6       5,759  SH     DEFINED     01           0       5,759           0
TAITRON COMPONENTS INC            COM   874028103           6       6,431  SH     DEFINED  01,08       5,759         672           0

TAIWAN SEMICONDUCTOR MFG LTD      COM   874039100      14,634     957,742  SH     DEFINED     01     919,673      36,029       2,040
TAIWAN SEMICONDUCTOR MFG LTD      COM   874039100       1,788     116,983  SH     OTHER       01      68,070      46,838       2,075
TAIWAN SEMICONDUCTOR MFG LTD      COM   874039100       3,547     232,111  SH     DEFINED  01,08     232,111           0           0
TAIWAN SEMICONDUCTOR MFG LTD      COM   874039100         195      12,743  SH     DEFINED     09      12,743           0           0

TAKE-TWO INTERACTIVE SOFTWAR      COM   874054109       3,892     252,994  SH     DEFINED     01      49,555     203,045         394
TAKE-TWO INTERACTIVE SOFTWAR      COM   874054109           7         426  SH     OTHER       01         426           0           0
TAKE-TWO INTERACTIVE SOFTWAR      COM   874054109      13,661     887,936  SH     DEFINED  01,08     268,022     619,914           0
TAKE-TWO INTERACTIVE SOFTWAR      COM   874054109       3,198     207,885  SH     DEFINED     09     207,885           0           0

TAL INTL GROUP INC                COM   874083108       3,896     106,120  SH     DEFINED     01       7,230      98,890           0
TAL INTL GROUP INC                COM   874083108      10,964     298,666  SH     DEFINED  01,08     112,144     186,522           0
TAL INTL GROUP INC                COM   874083108       2,735      74,494  SH     DEFINED     09      74,494           0           0

TALBOTS INC                       COM   874161102         214      70,597  SH     DEFINED     01      18,261      52,336           0
TALBOTS INC                       COM   874161102       1,979     652,989  SH     DEFINED  01,08      82,013     570,976           0
TALBOTS INC                       COM   874161102         605     199,617  SH     DEFINED     09     199,617           0           0

TALEO CORP                        COM   87424N104       2,673      58,196  SH     DEFINED     01      20,476      37,720           0
TALEO CORP                        COM   87424N104      17,127     372,899  SH     DEFINED  01,08      40,167     332,732           0

TALISMAN ENERGY INC               COM   87425E103       6,513     516,897  SH     DEFINED     01     305,420     211,352         125
TALISMAN ENERGY INC               COM   87425E103       2,594     205,872  SH     OTHER       01     108,529      83,438      13,905
TALISMAN ENERGY INC               COM   87425E103         585      46,468  SH     DEFINED  01,08      46,468           0           0

TANDY BRANDS ACCESSORIES INC      COM   875378101           5       2,629  SH     DEFINED     01           0       2,629           0
TANDY BRANDS ACCESSORIES INC      COM   875378101          14       7,881  SH     DEFINED  01,08       2,335       5,546           0

TANGER FACTORY OUTLET CTRS I      COM   875465106       3,897     131,078  SH     DEFINED     01      41,074      90,004           0
TANGER FACTORY OUTLET CTRS I      COM   875465106      28,938     973,361  SH     DEFINED  01,08     281,724     691,637           0
TANGER FACTORY OUTLET CTRS I      COM   875465106       8,723     293,419  SH     DEFINED     09     293,419           0           0

TANGOE INC                        COM   87582Y108         326      17,331  SH     DEFINED     01      12,196       5,135           0
TANGOE INC                        COM   87582Y108          32       1,715  SH     OTHER       01       1,715           0           0
TANGOE INC                        COM   87582Y108       2,005     106,599  SH     DEFINED  01,08       9,334      97,265           0
TANGOE INC                        COM   87582Y108         767      40,787  SH     DEFINED     09      40,787           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    296
  ________

TARGACEPT INC                     COM   87611R306         178      34,779  SH     DEFINED     01       6,706      28,073           0
TARGACEPT INC                     COM   87611R306       1,356     264,752  SH     DEFINED  01,08      40,567     224,185           0
TARGACEPT INC                     COM   87611R306         428      83,664  SH     DEFINED     09      83,664           0           0

TARGA RESOURCES PARTNERS LP       COM   87611X105       1,876      45,245  SH     DEFINED     01      20,245           0      25,000
TARGA RESOURCES PARTNERS LP       COM   87611X105         282       6,800  SH     OTHER       01       6,600         200           0
TARGA RESOURCES PARTNERS LP       COM   87611X105       1,444      34,822  SH     DEFINED  01,08      34,822           0           0

TARGET CORP                       COM   87612E106      96,234   1,651,524  SH     DEFINED     01   1,000,782     600,081      50,661
TARGET CORP                       COM   87612E106      27,335     469,104  SH     OTHER       01     261,289     162,888      44,927
TARGET CORP                       COM   87612E106     296,545   5,089,155  SH     DEFINED  01,08   1,293,782   3,795,373           0
TARGET CORP                       COM   87612E106     111,177   1,907,967  SH     DEFINED     09   1,907,967           0           0

TARGA RES CORP                    COM   87612G101      12,929     284,467  SH     DEFINED     01     268,235      16,232           0
TARGA RES CORP                    COM   87612G101         109       2,400  SH     OTHER       01           0       2,400           0
TARGA RES CORP                    COM   87612G101       8,137     179,033  SH     DEFINED  01,08      23,848     155,185           0
TARGA RES CORP                    COM   87612G101       2,533      55,733  SH     DEFINED     09      55,733           0           0

TASER INTL INC                    COM   87651B104         265      60,971  SH     DEFINED     01       8,843      52,128           0
TASER INTL INC                    COM   87651B104       2,368     545,728  SH     DEFINED  01,08      75,888     469,840           0
TASER INTL INC                    COM   87651B104         830     191,317  SH     DEFINED     09     191,317           0           0

TATA MTRS LTD                     COM   876568502         215       7,960  SH     DEFINED     01       7,185         775           0
TATA MTRS LTD                     COM   876568502          67       2,495  SH     OTHER       01           0         720       1,775
TATA MTRS LTD                     COM   876568502       4,945     183,346  SH     DEFINED  01,08     183,346           0           0
TATA MTRS LTD                     COM   876568502          87       3,219  SH     DEFINED     09       3,219           0           0

TAUBMAN CTRS INC                  COM   876664103       1,502      20,590  SH     DEFINED     01      13,086       5,404       2,100
TAUBMAN CTRS INC                  COM   876664103           3          35  SH     OTHER       01           0           0          35
TAUBMAN CTRS INC                  COM   876664103      32,077     439,717  SH     DEFINED  01,08     106,021     333,696           0
TAUBMAN CTRS INC                  COM   876664103       1,866      25,577  SH     DEFINED     09      25,577           0           0

TAYLOR CAP GROUP INC              COM   876851106         195      13,571  SH     DEFINED     01       2,563      11,008           0
TAYLOR CAP GROUP INC              COM   876851106       1,544     107,573  SH     DEFINED  01,08      16,436      91,137           0
TAYLOR CAP GROUP INC              COM   876851106         624      43,516  SH     DEFINED     09      43,516           0           0

TEAM INC                          COM   878155100         775      25,050  SH     DEFINED     01       5,687      19,363           0
TEAM INC                          COM   878155100       5,890     190,323  SH     DEFINED  01,08      31,516     158,807           0
TEAM INC                          COM   878155100       1,721      55,597  SH     DEFINED     09      55,597           0           0

TEAM HEALTH HOLDINGS INC          COM   87817A107         399      19,404  SH     DEFINED     01       3,296      16,108           0
TEAM HEALTH HOLDINGS INC          COM   87817A107          56       2,723  SH     OTHER       01       2,723           0           0
TEAM HEALTH HOLDINGS INC          COM   87817A107       5,061     246,155  SH     DEFINED  01,08      26,976     219,179           0
TEAM HEALTH HOLDINGS INC          COM   87817A107       1,462      71,086  SH     DEFINED     09      71,086           0           0

TEAVANA HLDGS INC                 COM   87819P102         270      13,713  SH     DEFINED     01      10,052       3,661           0
TEAVANA HLDGS INC                 COM   87819P102          27       1,370  SH     OTHER       01       1,370           0           0
TEAVANA HLDGS INC                 COM   87819P102       1,310      66,422  SH     DEFINED  01,08       5,887      60,535           0
TEAVANA HLDGS INC                 COM   87819P102         429      21,775  SH     DEFINED     09      21,775           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    297
  ________

TECH DATA CORP                    COM   878237106       2,345      43,225  SH     DEFINED     01      37,138       4,707       1,380
TECH DATA CORP                    COM   878237106         535       9,865  SH     OTHER       01       4,664       5,056         145
TECH DATA CORP                    COM   878237106      14,544     268,047  SH     DEFINED  01,08      21,032     247,015           0

TECHNE CORP                       COM   878377100       5,381      76,760  SH     DEFINED     01      65,960       9,500       1,300
TECHNE CORP                       COM   878377100         402       5,734  SH     OTHER       01       3,111       2,263         360
TECHNE CORP                       COM   878377100      16,173     230,716  SH     DEFINED  01,08      13,421     217,295           0

TECHTARGET INC                    COM   87874R100          51       7,405  SH     DEFINED     01       2,010       5,395           0
TECHTARGET INC                    COM   87874R100         886     127,914  SH     DEFINED  01,08      11,661     116,253           0
TECHTARGET INC                    COM   87874R100         232      33,519  SH     DEFINED     09      33,519           0           0

TECK RESOURCES LTD                COM   878742204       2,085      58,477  SH     DEFINED     01      53,800       4,120         557
TECK RESOURCES LTD                COM   878742204         110       3,088  SH     OTHER       01       1,236       1,852           0
TECK RESOURCES LTD                COM   878742204         801      22,453  SH     DEFINED  01,08      22,453           0           0

TECUMSEH PRODS CO                 COM   878895200          86      21,296  SH     DEFINED     01       4,176      17,120           0
TECUMSEH PRODS CO                 COM   878895200         667     165,910  SH     DEFINED  01,08      24,317     141,593           0
TECUMSEH PRODS CO                 COM   878895200         198      49,139  SH     DEFINED     09      49,139           0           0

TEJON RANCH CO                    COM   879080109         935      32,637  SH     DEFINED     01      14,926      17,711           0
TEJON RANCH CO                    COM   879080109       4,125     144,043  SH     DEFINED  01,08      25,249     118,794           0
TEJON RANCH CO                    COM   879080109       1,342      46,874  SH     DEFINED     09      46,874           0           0

TELE NORTE LESTE PART S A         PFD   879246106         503      44,283         DEFINED     01      36,513       7,380         390
TELE NORTE LESTE PART S A         PFD   879246106         154      13,609         OTHER       01         580      13,029           0
TELE NORTE LESTE PART S A         PFD   879246106         129      11,377         DEFINED  01,08      11,377           0           0

TELECOM ITALIA S P A NEW          COM   87927Y102       1,299     109,431  SH     DEFINED     01     105,604       3,700         127
TELECOM ITALIA S P A NEW          COM   87927Y102          34       2,823  SH     OTHER       01         759       2,064           0
TELECOM ITALIA S P A NEW          COM   87927Y102         701      59,060  SH     DEFINED  01,08      59,060           0           0

TELECOM ITALIA S P A NEW          COM   87927Y201       2,050     210,674  SH     DEFINED     01      29,919     180,755           0
TELECOM ITALIA S P A NEW          COM   87927Y201         228      23,401  SH     OTHER       01           0      20,766       2,635

TELECOM CORP NEW ZEALAND LTD      COM   879278208          99      10,000  SH     DEFINED     01      10,000           0           0

TELECOMMUNICATION SYS INC         COM   87929J103         149      53,539  SH     DEFINED     01      11,356      42,183           0
TELECOMMUNICATION SYS INC         COM   87929J103       1,309     470,841  SH     DEFINED  01,08      62,918     407,923           0
TELECOMMUNICATION SYS INC         COM   87929J103         478     171,769  SH     DEFINED     09     171,769           0           0

TELEFONICA BRASIL SA              COM   87936R106         242       7,912  SH     DEFINED     01       7,744         168           0
TELEFONICA BRASIL SA              COM   87936R106           5         156  SH     OTHER       01           0         156           0
TELEFONICA BRASIL SA              COM   87936R106         249       8,122  SH     DEFINED  01,08       8,122           0           0

TELEDYNE TECHNOLOGIES INC         COM   879360105       3,486      55,292  SH     DEFINED     01      16,913      38,379           0
TELEDYNE TECHNOLOGIES INC         COM   879360105         353       5,600  SH     OTHER       01           0       4,400       1,200
TELEDYNE TECHNOLOGIES INC         COM   879360105      22,476     356,472  SH     DEFINED  01,08      60,783     295,689           0
TELEDYNE TECHNOLOGIES INC         COM   879360105       7,209     114,333  SH     DEFINED     09     114,333           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    298
  ________

TELEFLEX INC                      COM   879369106       1,032      16,878  SH     DEFINED     01      10,348       6,530           0
TELEFLEX INC                      COM   879369106         463       7,565  SH     OTHER       01          10       7,555           0
TELEFLEX INC                      COM   879369106      15,679     256,405  SH     DEFINED  01,08      18,581     237,824           0

TELEFONICA S A                    COM   879382208       8,352     508,963  SH     DEFINED     01     474,477      15,486      19,000
TELEFONICA S A                    COM   879382208         338      20,622  SH     OTHER       01      14,253       6,369           0
TELEFONICA S A                    COM   879382208       4,124     251,328  SH     DEFINED  01,08     251,328           0           0

TELEPHONE & DATA SYS INC          COM   879433829       2,831     122,300  SH     DEFINED     01      16,441     105,859           0
TELEPHONE & DATA SYS INC          COM   879433829           3         110  SH     OTHER       01           0           0         110
TELEPHONE & DATA SYS INC          COM   879433829      15,945     688,782  SH     DEFINED  01,08     127,506     561,276           0
TELEPHONE & DATA SYS INC          COM   879433829          83       3,573  SH     DEFINED     09       3,573           0           0

TELENAV INC                       COM   879455103          74      10,591  SH     DEFINED     01       1,750       8,841           0
TELENAV INC                       COM   879455103       1,089     155,079  SH     DEFINED  01,08      13,677     141,402           0
TELENAV INC                       COM   879455103         308      43,920  SH     DEFINED     09      43,920           0           0

TELIK INC                         COM   87959M109           3      20,010  SH     DEFINED     01         300      19,710           0
TELIK INC                         COM   87959M109          10      71,691  SH     DEFINED  01,08           0      71,691           0

TELLABS INC                       COM   879664100         743     183,403  SH     DEFINED     01      91,953      91,325         125
TELLABS INC                       COM   879664100          81      20,020  SH     OTHER       01       1,720      18,300           0
TELLABS INC                       COM   879664100       9,290   2,293,744  SH     DEFINED  01,08     224,244   2,069,500           0
TELLABS INC                       COM   879664100          11       2,827  SH     DEFINED     09       2,827           0           0

TELULAR CORP                      COM   87970T208          21       2,525  SH     DEFINED     01           0       2,525           0
TELULAR CORP                      COM   87970T208         177      20,903  SH     DEFINED  01,08         136      20,767           0

TELUS CORP                        COM   87971M202       1,992      35,041  SH     DEFINED     01      33,786       1,255           0
TELUS CORP                        COM   87971M202          45         784  SH     OTHER       01         371         413           0
TELUS CORP                        COM   87971M202         951      16,736  SH     DEFINED  01,08      16,736           0           0

TELETECH HOLDINGS INC             COM   879939106         829      51,504  SH     DEFINED     01      12,946      38,458         100
TELETECH HOLDINGS INC             COM   879939106       4,604     285,963  SH     DEFINED  01,08      66,159     219,804           0
TELETECH HOLDINGS INC             COM   879939106       1,506      93,570  SH     DEFINED     09      93,570           0           0

TEMPLETON DRAGON FD INC           COM   88018T101          34       1,195  SH     DEFINED     01       1,195           0           0
TEMPLETON DRAGON FD INC           COM   88018T101         862      30,390  SH     OTHER       01      11,600           0      18,790

TEMPLETON GLOBAL INCOME FD     UNDEFIND 880198106         300      28,400         DEFINED     01      28,400           0           0

TEMPUR PEDIC INTL INC             COM   88023U101       1,926      22,806  SH     DEFINED     01      16,383       6,273         150
TEMPUR PEDIC INTL INC             COM   88023U101         200       2,369  SH     OTHER       01       1,807         562           0
TEMPUR PEDIC INTL INC             COM   88023U101      18,329     217,096  SH     DEFINED  01,08      20,250     196,846           0

TENARIS S A                       COM   88031M109       2,260      59,105  SH     DEFINED     01      29,515      29,565          25
TENARIS S A                       COM   88031M109         508      13,291  SH     OTHER       01         708      12,583           0
TENARIS S A                       COM   88031M109         780      20,404  SH     DEFINED  01,08      20,404           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    299
  ________

TENET HEALTHCARE CORP             COM   88033G100       2,452     461,832  SH     DEFINED     01     247,824     213,127         881
TENET HEALTHCARE CORP             COM   88033G100          18       3,450  SH     OTHER       01       3,090           0         360
TENET HEALTHCARE CORP             COM   88033G100      16,611   3,128,209  SH     DEFINED  01,08     785,727   2,342,482           0
TENET HEALTHCARE CORP             COM   88033G100       2,286     430,557  SH     DEFINED     09     430,557           0           0

TENGASCO INC                      COM   88033R205           6       5,171  SH     DEFINED     01         200       4,971           0
TENGASCO INC                      COM   88033R205          44      40,201  SH     DEFINED  01,08       5,171      35,030           0

TENGION INC                       COM   88034G109          11      19,567  SH     DEFINED  01,08           0      19,567           0

TENNANT CO                        COM   880345103       1,389      31,569  SH     DEFINED     01      10,530      21,039           0
TENNANT CO                        COM   880345103       8,286     188,320  SH     DEFINED  01,08      33,832     154,488           0
TENNANT CO                        COM   880345103       2,361      53,655  SH     DEFINED     09      53,655           0           0

TENNECO INC                       COM   880349105       2,762      74,339  SH     DEFINED     01      17,474      56,865           0
TENNECO INC                       COM   880349105      21,598     581,386  SH     DEFINED  01,08      91,163     490,223           0
TENNECO INC                       COM   880349105       6,564     176,699  SH     DEFINED     09     176,699           0           0

TERADATA CORP DEL                 COM   88076W103      36,618     537,315  SH     DEFINED     01     353,882     176,469       6,964
TERADATA CORP DEL                 COM   88076W103       1,671      24,520  SH     OTHER       01      12,668      11,141         711
TERADATA CORP DEL                 COM   88076W103      88,761   1,302,431  SH     DEFINED  01,08     346,363     956,068           0
TERADATA CORP DEL                 COM   88076W103      27,768     407,460  SH     DEFINED     09     407,460           0           0

TERADYNE INC                      COM   880770102       4,466     264,438  SH     DEFINED     01     148,325     115,695         418
TERADYNE INC                      COM   880770102         121       7,171  SH     OTHER       01       2,898       4,143         130
TERADYNE INC                      COM   880770102      23,651   1,400,303  SH     DEFINED  01,08     355,677   1,044,626           0
TERADYNE INC                      COM   880770102       3,003     177,793  SH     DEFINED     09     177,793           0           0

TEREX CORP NEW                    COM   880779103         883      39,238  SH     DEFINED     01      28,079      10,959         200
TEREX CORP NEW                    COM   880779103           1          55  SH     OTHER       01           0           0          55
TEREX CORP NEW                    COM   880779103      15,289     679,519  SH     DEFINED  01,08      49,439     630,080           0

TERRITORIAL BANCORP INC           COM   88145X108         174       8,385  SH     DEFINED     01       2,870       5,515           0
TERRITORIAL BANCORP INC           COM   88145X108       2,155     103,564  SH     DEFINED  01,08      11,151      92,413           0
TERRITORIAL BANCORP INC           COM   88145X108         735      35,300  SH     DEFINED     09      35,300           0           0

TERRENO RLTY CORP                 COM   88146M101         267      18,637  SH     DEFINED     01       4,070      14,567           0
TERRENO RLTY CORP                 COM   88146M101       1,611     112,553  SH     DEFINED  01,08      25,081      87,472           0
TERRENO RLTY CORP                 COM   88146M101         524      36,591  SH     DEFINED     09      36,591           0           0

TESCO CORP                        COM   88157K101         502      35,387  SH     DEFINED     01       8,501      26,886           0
TESCO CORP                        COM   88157K101       3,982     280,652  SH     DEFINED  01,08      31,771     248,881           0
TESCO CORP                        COM   88157K101       1,163      81,966  SH     DEFINED     09      81,966           0           0

TESLA MTRS INC                    COM   88160R101       2,072      55,643  SH     DEFINED     01      48,952       6,691           0
TESLA MTRS INC                    COM   88160R101         176       4,728  SH     OTHER       01       1,620          24       3,084
TESLA MTRS INC                    COM   88160R101       6,740     181,000  SH     DEFINED  01,08      15,123     165,877           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    300
  ________

TESORO CORP                       COM   881609101       4,849     180,657  SH     DEFINED     01     104,292      75,801         564
TESORO CORP                       COM   881609101          70       2,592  SH     OTHER       01       2,208          39         345
TESORO CORP                       COM   881609101      28,484   1,061,256  SH     DEFINED  01,08     265,891     795,365           0
TESORO CORP                       COM   881609101       3,900     145,288  SH     DEFINED     09     145,288           0           0

TETRA TECHNOLOGIES INC DEL        COM   88162F105       3,498     371,377  SH     DEFINED     01      68,056     303,321           0
TETRA TECHNOLOGIES INC DEL        COM   88162F105       9,605   1,019,620  SH     DEFINED  01,08     383,775     635,845           0
TETRA TECHNOLOGIES INC DEL        COM   88162F105       2,023     214,784  SH     DEFINED     09     214,784           0           0

TETRA TECH INC NEW                COM   88162G103       2,349      89,119  SH     DEFINED     01      30,171      58,948           0
TETRA TECH INC NEW                COM   88162G103      16,031     608,174  SH     DEFINED  01,08     100,417     507,757           0
TETRA TECH INC NEW                COM   88162G103       4,781     181,366  SH     DEFINED     09     181,366           0           0

TEVA PHARMACEUTICAL INDS LTD      COM   881624209      51,686   1,147,040  SH     DEFINED     01     914,730     183,126      49,184
TEVA PHARMACEUTICAL INDS LTD      COM   881624209      20,447     453,773  SH     OTHER       01     288,294     129,445      36,034
TEVA PHARMACEUTICAL INDS LTD      COM   881624209      15,430     342,435  SH     DEFINED  01,08     332,740         685       9,010

TESSERA TECHNOLOGIES INC          COM   88164L100       3,420     198,246  SH     DEFINED     01      28,412     169,834           0
TESSERA TECHNOLOGIES INC          COM   88164L100          83       4,800  SH     OTHER       01           0       4,800           0
TESSERA TECHNOLOGIES INC          COM   88164L100      10,741     622,681  SH     DEFINED  01,08     206,733     415,948           0
TESSERA TECHNOLOGIES INC          COM   88164L100       2,534     146,899  SH     DEFINED     09     146,899           0           0

TEXAS CAPITAL BANCSHARES INC      COM   88224Q107       5,665     163,647  SH     DEFINED     01      19,192     144,455           0
TEXAS CAPITAL BANCSHARES INC      COM   88224Q107      16,455     475,316  SH     DEFINED  01,08     176,045     299,271           0
TEXAS CAPITAL BANCSHARES INC      COM   88224Q107       3,639     105,126  SH     DEFINED     09     105,126           0           0

TEXAS INDS INC                    COM   882491103       2,086      59,591  SH     DEFINED     01      10,310      49,281           0
TEXAS INDS INC                    COM   882491103          93       2,664  SH     OTHER       01       2,664           0           0
TEXAS INDS INC                    COM   882491103       9,041     258,235  SH     DEFINED  01,08      72,060     186,175           0
TEXAS INDS INC                    COM   882491103       2,544      72,673  SH     DEFINED     09      72,673           0           0

TEXAS INSTRS INC                  COM   882508104      60,436   1,798,142  SH     DEFINED     01   1,078,998     660,822      58,322
TEXAS INSTRS INC                  COM   882508104       6,470     192,506  SH     OTHER       01     157,908      21,672      12,926
TEXAS INSTRS INC                  COM   882508104     287,814   8,563,344  SH     DEFINED  01,08   2,045,619   6,517,725           0
TEXAS INSTRS INC                  COM   882508104      95,895   2,853,154  SH     DEFINED     09   2,853,154           0           0

TEXAS PAC LD TR                   COM   882610108         136       2,888  SH     DEFINED     01       1,300       1,588           0
TEXAS PAC LD TR                   COM   882610108          38         800  SH     OTHER       01         800           0           0
TEXAS PAC LD TR                   COM   882610108          70       1,480  SH     DEFINED  01,08       1,480           0           0

TEXAS ROADHOUSE INC               COM   882681109       2,353     141,388  SH     DEFINED     01      28,372     113,016           0
TEXAS ROADHOUSE INC               COM   882681109         109       6,562  SH     OTHER       01       6,562           0           0
TEXAS ROADHOUSE INC               COM   882681109      11,278     677,777  SH     DEFINED  01,08     164,404     513,373           0
TEXAS ROADHOUSE INC               COM   882681109       2,747     165,075  SH     DEFINED     09     165,075           0           0

TEXTRON INC                       COM   883203101       9,130     328,073  SH     DEFINED     01     180,839     144,692       2,542
TEXTRON INC                       COM   883203101         177       6,370  SH     OTHER       01       6,166         204           0
TEXTRON INC                       COM   883203101      56,986   2,047,644  SH     DEFINED  01,08     484,273   1,563,371           0
TEXTRON INC                       COM   883203101      17,135     615,688  SH     DEFINED     09     615,688           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    301
  ________

THERAGENICS CORP                  COM   883375107          43      23,179  SH     DEFINED     01           0      23,179           0
THERAGENICS CORP                  COM   883375107         117      63,775  SH     DEFINED  01,08      18,487      45,288           0

THERAVANCE INC                    COM   88338T104       1,334      68,434  SH     DEFINED     01      16,579      51,855           0
THERAVANCE INC                    COM   88338T104      12,786     655,692  SH     DEFINED  01,08      90,351     565,341           0
THERAVANCE INC                    COM   88338T104       3,889     199,447  SH     DEFINED     09     199,447           0           0

THERMO FISHER SCIENTIFIC INC      COM   883556102      24,408     432,914  SH     DEFINED     01     235,561     195,566       1,787
THERMO FISHER SCIENTIFIC INC      COM   883556102       2,307      40,925  SH     OTHER       01      13,010      27,775         140
THERMO FISHER SCIENTIFIC INC      COM   883556102     156,739   2,780,052  SH     DEFINED  01,08     684,095   2,095,957           0
THERMO FISHER SCIENTIFIC INC      COM   883556102      51,458     912,701  SH     DEFINED     09     912,701           0           0

THERMON GROUP HLDGS INC           COM   88362T103         201       9,838  SH     DEFINED     01       4,951       4,887           0
THERMON GROUP HLDGS INC           COM   88362T103       1,909      93,367  SH     DEFINED  01,08       9,212      84,155           0
THERMON GROUP HLDGS INC           COM   88362T103         607      29,689  SH     DEFINED     09      29,689           0           0

THERMOGENESIS CORP                COM   883623308           5       5,669  SH     DEFINED     01           0       5,669           0
THERMOGENESIS CORP                COM   883623308          18      20,107  SH     DEFINED  01,08       4,267      15,840           0

THESTREET INC                     COM   88368Q103          29      12,940  SH     DEFINED     01           0      12,940           0
THESTREET INC                     COM   88368Q103         101      45,661  SH     DEFINED  01,08      13,562      32,099           0

THOMAS & BETTS CORP               COM   884315102       1,583      22,014  SH     DEFINED     01      16,393       5,521         100
THOMAS & BETTS CORP               COM   884315102           3          40  SH     OTHER       01           0           0          40
THOMAS & BETTS CORP               COM   884315102      23,549     327,476  SH     DEFINED  01,08      24,250     303,226           0

THOMAS PPTYS GROUP INC            COM   884453101           2         483  SH     DEFINED     01           0         483           0
THOMAS PPTYS GROUP INC            COM   884453101         222      48,378  SH     DEFINED  01,08         706      47,672           0

THOMPSON CREEK METALS CO INC      COM   884768102       3,347     495,110  SH     DEFINED     01      38,232     449,878       7,000
THOMPSON CREEK METALS CO INC      COM   884768102      10,652   1,575,709  SH     DEFINED  01,08     554,370   1,021,339           0
THOMPSON CREEK METALS CO INC      COM   884768102       2,924     432,594  SH     DEFINED     09     432,594           0           0

THOMSON REUTERS CORP              COM   884903105       3,559     123,159  SH     DEFINED     01     120,341       2,770          48
THOMSON REUTERS CORP              COM   884903105          95       3,290  SH     OTHER       01       1,433       1,662         195
THOMSON REUTERS CORP              COM   884903105      21,523     744,729  SH     DEFINED  01,08     109,372     635,357           0

THOR INDS INC                     COM   885160101         891      28,240  SH     DEFINED     01       7,556      20,684           0
THOR INDS INC                     COM   885160101         232       7,350  SH     OTHER       01           0       7,325          25
THOR INDS INC                     COM   885160101       9,350     296,249  SH     DEFINED  01,08      37,627     258,622           0

THORATEC CORP                     COM   885175307       1,615      47,916  SH     DEFINED     01      20,897      26,969          50
THORATEC CORP                     COM   885175307           4         125  SH     OTHER       01          55           0          70
THORATEC CORP                     COM   885175307      12,756     378,415  SH     DEFINED  01,08      37,501     340,914           0

3-D SYS CORP DEL                  COM   88554D205       1,224      51,998  SH     DEFINED     01      11,505      39,763         730
3-D SYS CORP DEL                  COM   88554D205          15         633  SH     OTHER       01           0         633           0
3-D SYS CORP DEL                  COM   88554D205       9,269     393,738  SH     DEFINED  01,08      53,759     339,979           0
3-D SYS CORP DEL                  COM   88554D205       2,764     117,400  SH     DEFINED     09     117,400           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    302
  ________

3M CO                             COM   88579Y101     148,105   1,660,185  SH     DEFINED     01   1,047,936     568,918      43,331
3M CO                             COM   88579Y101      66,747     748,202  SH     OTHER       01     390,090     247,835     110,277
3M CO                             COM   88579Y101     493,934   5,536,760  SH     DEFINED  01,08   1,571,819   3,959,525       5,416
3M CO                             COM   88579Y101     146,893   1,646,601  SH     DEFINED     09   1,646,601           0           0

THRESHOLD PHARMACEUTICAL INC      COM   885807206         485      55,089  SH     DEFINED  01,08         214      54,875           0

TIBCO SOFTWARE INC                COM   88632Q103       4,438     145,495  SH     DEFINED     01      42,739     102,756           0
TIBCO SOFTWARE INC                COM   88632Q103         430      14,113  SH     OTHER       01         701      13,412           0
TIBCO SOFTWARE INC                COM   88632Q103      33,121   1,085,924  SH     DEFINED  01,08     105,647     980,277           0

TIDEWATER INC                     COM   886423102       5,026      93,045  SH     DEFINED     01      79,253       9,327       4,465
TIDEWATER INC                     COM   886423102         161       2,973  SH     OTHER       01       2,502         471           0
TIDEWATER INC                     COM   886423102      17,071     316,007  SH     DEFINED  01,08      16,352     299,655           0

TIFFANY & CO NEW                  COM   886547108      13,381     193,562  SH     DEFINED     01     119,039      72,355       2,168
TIFFANY & CO NEW                  COM   886547108       1,066      15,425  SH     OTHER       01       7,725       7,430         270
TIFFANY & CO NEW                  COM   886547108      65,540     948,070  SH     DEFINED  01,08     225,768     722,302           0
TIFFANY & CO NEW                  COM   886547108      20,460     295,959  SH     DEFINED     09     295,959           0           0

TIM HORTONS INC                   COM   88706M103       1,872      34,958  SH     DEFINED     01      33,926         675         357
TIM HORTONS INC                   COM   88706M103          43         806  SH     OTHER       01         385         421           0
TIM HORTONS INC                   COM   88706M103         395       7,384  SH     DEFINED  01,08       7,384           0           0

TIMBERLAND BANCORP INC            COM   887098101          36       7,824  SH     DEFINED     01           0       7,824           0
TIMBERLAND BANCORP INC            COM   887098101          83      17,852  SH     DEFINED  01,08       7,435      10,417           0

TIMBERLINE RES CORP               COM   887133106          31      59,931  SH     DEFINED  01,08           0      59,931           0

TIME WARNER INC                   COM   887317303      43,737   1,158,586  SH     DEFINED     01     617,611     536,153       4,822
TIME WARNER INC                   COM   887317303       2,846      75,383  SH     OTHER       01      19,201      41,664      14,518
TIME WARNER INC                   COM   887317303     275,554   7,299,431  SH     DEFINED  01,08   1,771,000   5,528,431           0
TIME WARNER INC                   COM   887317303      93,204   2,468,967  SH     DEFINED     09   2,468,967           0           0

TIME WARNER CABLE INC             COM   88732J207      41,411     508,114  SH     DEFINED     01     322,878     183,268       1,968
TIME WARNER CABLE INC             COM   88732J207       2,718      33,353  SH     OTHER       01      15,204      16,723       1,426
TIME WARNER CABLE INC             COM   88732J207     191,563   2,350,467  SH     DEFINED  01,08     551,069   1,799,398           0
TIME WARNER CABLE INC             COM   88732J207      64,331     789,341  SH     DEFINED     09     789,341           0           0

TIMKEN CO                         COM   887389104       4,143      81,646  SH     DEFINED     01      62,490      18,506         650
TIMKEN CO                         COM   887389104         558      11,007  SH     OTHER       01       1,197       9,810           0
TIMKEN CO                         COM   887389104      26,798     528,146  SH     DEFINED  01,08      38,500     489,646           0

TITAN INTL INC ILL                COM   88830M102       1,281      54,170  SH     DEFINED     01      12,535      41,635           0
TITAN INTL INC ILL                COM   88830M102       9,507     401,979  SH     DEFINED  01,08      59,571     342,408           0
TITAN INTL INC ILL                COM   88830M102       2,938     124,240  SH     DEFINED     09     124,240           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    303
  ________

TITAN MACHY INC                   COM   88830R101         560      19,854  SH     DEFINED     01       3,901      15,953           0
TITAN MACHY INC                   COM   88830R101       4,197     148,818  SH     DEFINED  01,08      21,197     127,621           0
TITAN MACHY INC                   COM   88830R101       1,351      47,904  SH     DEFINED     09      47,904           0           0

TITANIUM METALS CORP              COM   888339207       3,474     256,191  SH     DEFINED     01     214,080      42,040          71
TITANIUM METALS CORP              COM   888339207           5         404  SH     OTHER       01         404           0           0
TITANIUM METALS CORP              COM   888339207       8,972     661,676  SH     DEFINED  01,08     180,693     480,983           0
TITANIUM METALS CORP              COM   888339207       1,113      82,072  SH     DEFINED     09      82,072           0           0

TIVO INC                          COM   888706108       1,707     142,380  SH     DEFINED     01      31,950     110,430           0
TIVO INC                          COM   888706108          74       6,200  SH     OTHER       01           0       6,200           0
TIVO INC                          COM   888706108      13,568   1,131,623  SH     DEFINED  01,08     162,355     969,268           0
TIVO INC                          COM   888706108       4,120     343,599  SH     DEFINED     09     343,599           0           0

TOLL BROTHERS INC                 COM   889478103         786      32,752  SH     DEFINED     01      17,607      15,145           0
TOLL BROTHERS INC                 COM   889478103      21,839     910,348  SH     DEFINED  01,08      51,640     858,708           0
TOLL BROTHERS INC                 COM   889478103       4,477     186,637  SH     DEFINED     09     186,637           0           0

TOMPKINS FINANCIAL CORPORATI      COM   890110109         665      16,596  SH     DEFINED     01       5,397      11,199           0
TOMPKINS FINANCIAL CORPORATI      COM   890110109       3,541      88,390  SH     DEFINED  01,08      16,329      72,061           0
TOMPKINS FINANCIAL CORPORATI      COM   890110109       1,103      27,540  SH     DEFINED     09      27,540           0           0

TOOTSIE ROLL INDS INC             COM   890516107       1,018      44,425  SH     DEFINED     01      12,969      31,456           0
TOOTSIE ROLL INDS INC             COM   890516107       7,647     333,803  SH     DEFINED  01,08      49,025     284,778           0
TOOTSIE ROLL INDS INC             COM   890516107       1,792      78,213  SH     DEFINED     09      78,213           0           0

TORCHMARK CORP                    COM   891027104       7,253     145,487  SH     DEFINED     01      83,352      61,627         508
TORCHMARK CORP                    COM   891027104         911      18,268  SH     OTHER       01      12,250         357       5,661
TORCHMARK CORP                    COM   891027104      38,117     764,635  SH     DEFINED  01,08     189,993     574,642           0
TORCHMARK CORP                    COM   891027104      12,160     243,936  SH     DEFINED     09     243,936           0           0

TORO CO                           COM   891092108       2,971      41,785  SH     DEFINED     01      21,298      20,197         290
TORO CO                           COM   891092108          16         230  SH     OTHER       01         205           0          25
TORO CO                           COM   891092108       9,217     129,611  SH     DEFINED  01,08      33,836      95,775           0

TORONTO DOMINION BK ONT           COM   891160509       8,045      94,697  SH     DEFINED     01      90,953       3,744           0
TORONTO DOMINION BK ONT           COM   891160509         766       9,016  SH     OTHER       01       7,792       1,224           0
TORONTO DOMINION BK ONT           COM   891160509       3,744      44,075  SH     DEFINED  01,08      44,075           0           0

TORTOISE ENERGY CAP CORP          COM   89147U100          14         500  SH     DEFINED     01         500           0           0
TORTOISE ENERGY CAP CORP          COM   89147U100         281       9,898  SH     OTHER       01       7,093       2,805           0

TOTAL S A                         COM   89151E109      25,234     493,625  SH     DEFINED     01     469,754      20,454       3,417
TOTAL S A                         COM   89151E109       2,192      42,882  SH     OTHER       01      21,334      21,548           0
TOTAL S A                         COM   89151E109       7,075     138,398  SH     DEFINED  01,08     138,398           0           0

TOWER GROUP INC                   COM   891777104       1,331      59,337  SH     DEFINED     01      19,260      40,077           0
TOWER GROUP INC                   COM   891777104       8,177     364,567  SH     DEFINED  01,08      68,264     296,303           0
TOWER GROUP INC                   COM   891777104       2,474     110,318  SH     DEFINED     09     110,318           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    304
  ________

TOWER INTL INC                    COM   891826109          60       4,932  SH     DEFINED     01       1,273       3,659           0
TOWER INTL INC                    COM   891826109         708      58,125  SH     DEFINED  01,08       5,583      52,542           0
TOWER INTL INC                    COM   891826109         202      16,580  SH     DEFINED     09      16,580           0           0

TOWERS WATSON & CO                COM   891894107       1,191      18,021  SH     DEFINED     01      11,687       6,334           0
TOWERS WATSON & CO                COM   891894107          62         938  SH     OTHER       01         261         677           0
TOWERS WATSON & CO                COM   891894107      22,067     333,992  SH     DEFINED  01,08      17,149     316,843           0

TOTAL SYS SVCS INC                COM   891906109       5,171     224,142  SH     DEFINED     01     135,720      88,082         340
TOTAL SYS SVCS INC                COM   891906109         188       8,157  SH     OTHER       01       2,512       5,575          70
TOTAL SYS SVCS INC                COM   891906109      27,390   1,187,260  SH     DEFINED  01,08     277,927     909,333           0
TOTAL SYS SVCS INC                COM   891906109       9,388     406,941  SH     DEFINED     09     406,941           0           0

TOWERSTREAM CORP                  COM   892000100         153      32,155  SH     DEFINED     01      10,185      21,970           0
TOWERSTREAM CORP                  COM   892000100       1,630     343,143  SH     DEFINED  01,08      38,524     304,619           0
TOWERSTREAM CORP                  COM   892000100         462      97,216  SH     DEFINED     09      97,216           0           0

TOWN SPORTS INTL HLDGS INC        COM   89214A102         231      18,290  SH     DEFINED     01       4,108      14,182           0
TOWN SPORTS INTL HLDGS INC        COM   89214A102       2,379     188,371  SH     DEFINED  01,08      22,970     165,401           0
TOWN SPORTS INTL HLDGS INC        COM   89214A102         695      54,992  SH     DEFINED     09      54,992           0           0

TOWNEBANK PORTSMOUTH VA           COM   89214P109         381      28,257  SH     DEFINED     01       7,578      20,679           0
TOWNEBANK PORTSMOUTH VA           COM   89214P109       3,210     237,943  SH     DEFINED  01,08      36,340     201,603           0
TOWNEBANK PORTSMOUTH VA           COM   89214P109         885      65,585  SH     DEFINED     09      65,585           0           0

TOYOTA MOTOR CORP                 COM   892331307      40,594     467,565  SH     DEFINED     01     431,249      33,483       2,833
TOYOTA MOTOR CORP                 COM   892331307       2,426      27,948  SH     OTHER       01      19,698       6,795       1,455
TOYOTA MOTOR CORP                 COM   892331307       6,349      73,132  SH     DEFINED  01,08      73,132           0           0

TRACTOR SUPPLY CO                 COM   892356106       9,621     106,243  SH     DEFINED     01      85,519      16,775       3,949
TRACTOR SUPPLY CO                 COM   892356106       1,855      20,487  SH     OTHER       01      18,075       2,412           0
TRACTOR SUPPLY CO                 COM   892356106      40,831     450,872  SH     DEFINED  01,08      30,042     420,830           0

TPC GROUP INC                     COM   89236Y104         649      14,671  SH     DEFINED     01       3,712      10,959           0
TPC GROUP INC                     COM   89236Y104       5,479     123,927  SH     DEFINED  01,08      15,853     108,074           0
TPC GROUP INC                     COM   89236Y104       1,795      40,610  SH     DEFINED     09      40,610           0           0

TRANSACT TECHNOLOGIES INC         COM   892918103          46       5,821  SH     DEFINED     01           0       5,821           0
TRANSACT TECHNOLOGIES INC         COM   892918103         162      20,644  SH     DEFINED  01,08       6,573      14,071           0

TRANS WORLD ENTMT CORP            COM   89336Q100          50      23,781  SH     DEFINED     01           0      23,781           0
TRANS WORLD ENTMT CORP            COM   89336Q100          52      24,351  SH     DEFINED  01,08      18,038       6,313           0

TRANSALTA CORP                    COM   89346D107         355      18,916  SH     DEFINED     01      18,406         510           0
TRANSALTA CORP                    COM   89346D107          65       3,460  SH     OTHER       01       3,395          65           0
TRANSALTA CORP                    COM   89346D107         173       9,229  SH     DEFINED  01,08       9,229           0           0

TRANSCAT INC                      COM   893529107          85       6,469  SH     DEFINED     01           0       6,469           0
TRANSCAT INC                      COM   893529107         194      14,816  SH     DEFINED  01,08       7,203       7,613           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    305
  ________

TRANSCANADA CORP                  COM   89353D107       3,127      72,712  SH     DEFINED     01      70,067       2,645           0
TRANSCANADA CORP                  COM   89353D107         162       3,773  SH     OTHER       01       2,703       1,070           0
TRANSCANADA CORP                  COM   89353D107       1,433      33,330  SH     DEFINED  01,08      33,330           0           0

TRANSCEPT PHARMACEUTICALS IN      COM   89354M106          83       7,907  SH     DEFINED     01       1,095       6,812           0
TRANSCEPT PHARMACEUTICALS IN      COM   89354M106         599      56,935  SH     DEFINED  01,08       9,918      47,017           0
TRANSCEPT PHARMACEUTICALS IN      COM   89354M106         226      21,488  SH     DEFINED     09      21,488           0           0

TRANSDIGM GROUP INC               COM   893641100       4,092      35,350  SH     DEFINED     01      30,440       4,621         289
TRANSDIGM GROUP INC               COM   893641100         410       3,545  SH     OTHER       01       3,259         251          35
TRANSDIGM GROUP INC               COM   893641100      19,215     165,990  SH     DEFINED  01,08      18,275     147,715           0

TRANS1 INC                        COM   89385X105          23       6,232  SH     DEFINED     01           0       6,232           0
TRANS1 INC                        COM   89385X105         133      36,330  SH     DEFINED  01,08       7,488      28,842           0

TRANSCEND SERVICES INC            COM   893929208         732      24,953  SH     DEFINED     01       9,573      15,380           0
TRANSCEND SERVICES INC            COM   893929208          27         905  SH     OTHER       01         905           0           0
TRANSCEND SERVICES INC            COM   893929208       2,399      81,744  SH     DEFINED  01,08       7,135      74,609           0

TRANSWITCH CORP                   COM   894065309          19       7,086  SH     DEFINED     01           0       7,086           0
TRANSWITCH CORP                   COM   894065309         107      40,724  SH     DEFINED  01,08       6,711      34,013           0

TRANZYME INC                      COM   89413J102          38      14,729  SH     DEFINED  01,08           0      14,729           0

TRAVELERS COMPANIES INC           COM   89417E109      76,803   1,297,355  SH     DEFINED     01     965,943     308,977      22,435
TRAVELERS COMPANIES INC           COM   89417E109      17,526     296,051  SH     OTHER       01     213,895      39,710      42,446
TRAVELERS COMPANIES INC           COM   89417E109     184,918   3,123,611  SH     DEFINED  01,08     907,765   2,215,846           0
TRAVELERS COMPANIES INC           COM   89417E109      57,859     977,344  SH     DEFINED     09     977,344           0           0

TRAVELZOO INC                     COM   89421Q106         441      19,188  SH     DEFINED     01       1,307      17,881           0
TRAVELZOO INC                     COM   89421Q106       1,552      67,469  SH     DEFINED  01,08      20,370      47,099           0
TRAVELZOO INC                     COM   89421Q106         426      18,508  SH     DEFINED     09      18,508           0           0

TREDEGAR CORP                     COM   894650100       2,816     143,746  SH     DEFINED     01      12,911     130,835           0
TREDEGAR CORP                     COM   894650100       6,900     352,214  SH     DEFINED  01,08     152,113     200,101           0
TREDEGAR CORP                     COM   894650100       1,411      72,038  SH     DEFINED     09      72,038           0           0

TREE COM INC                      COM   894675107           6         747  SH     DEFINED     01           1         746           0
TREE COM INC                      COM   894675107         106      13,865  SH     DEFINED  01,08           0      13,865           0
TREE COM INC                      COM   894675107           1         110  SH     DEFINED     09         110           0           0

TREEHOUSE FOODS INC               COM   89469A104       4,855      81,592  SH     DEFINED     01      32,471      48,791         330
TREEHOUSE FOODS INC               COM   89469A104          90       1,517  SH     OTHER       01         977         540           0
TREEHOUSE FOODS INC               COM   89469A104      21,149     355,452  SH     DEFINED  01,08      65,073     290,379           0
TREEHOUSE FOODS INC               COM   89469A104       6,068     101,988  SH     DEFINED     09     101,988           0           0

TREX CO INC                       COM   89531P105         697      21,741  SH     DEFINED     01       4,829      16,912           0
TREX CO INC                       COM   89531P105       4,842     150,934  SH     DEFINED  01,08      26,486     124,448           0
TREX CO INC                       COM   89531P105       1,311      40,874  SH     DEFINED     09      40,874           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    306
  ________

TRI CONTL CORP                    COM   895436103         396      24,873  SH     DEFINED     01      24,873           0           0
TRI CONTL CORP                    COM   895436103          40       2,540  SH     OTHER       01       2,540           0           0

TRI VY CORP                       COM   895735108           0       2,260  SH     DEFINED     01         100       2,160           0
TRI VY CORP                       COM   895735108          14      83,170  SH     DEFINED  01,08       2,260      80,910           0

TRIANGLE CAP CORP                 COM   895848109         447      22,656  SH     DEFINED     01       6,838      15,818           0
TRIANGLE CAP CORP                 COM   895848109       4,544     230,099  SH     DEFINED  01,08      51,507     178,592           0
TRIANGLE CAP CORP                 COM   895848109       1,614      81,704  SH     DEFINED     09      81,704           0           0

TRIANGLE PETE CORP                COM   89600B201         209      30,232  SH     DEFINED     01      10,500      19,732           0
TRIANGLE PETE CORP                COM   89600B201       2,321     336,419  SH     DEFINED  01,08      45,278     291,141           0
TRIANGLE PETE CORP                COM   89600B201         747     108,261  SH     DEFINED     09     108,261           0           0

TRICO BANCSHARES                  COM   896095106       2,193     125,917  SH     DEFINED     01       3,237     122,655          25
TRICO BANCSHARES                  COM   896095106           1          30  SH     OTHER       01          30           0           0
TRICO BANCSHARES                  COM   896095106       4,251     244,011  SH     DEFINED  01,08     130,064     113,947           0
TRICO BANCSHARES                  COM   896095106         702      40,312  SH     DEFINED     09      40,312           0           0

TRIMAS CORP                       COM   896215209         597      26,655  SH     DEFINED     01       7,073      19,582           0
TRIMAS CORP                       COM   896215209         116       5,196  SH     OTHER       01       5,196           0           0
TRIMAS CORP                       COM   896215209       5,366     239,662  SH     DEFINED  01,08      29,552     210,110           0
TRIMAS CORP                       COM   896215209       1,667      74,470  SH     DEFINED     09      74,470           0           0

TRIMBLE NAVIGATION LTD            COM   896239100      15,990     293,829  SH     DEFINED     01     213,695      76,584       3,550
TRIMBLE NAVIGATION LTD            COM   896239100         633      11,630  SH     OTHER       01       4,225       7,315          90
TRIMBLE NAVIGATION LTD            COM   896239100      42,573     782,310  SH     DEFINED  01,08      55,442     726,868           0

TRINITY INDS INC                  COM   896522109       3,722     112,974  SH     DEFINED     01      86,584      23,990       2,400
TRINITY INDS INC                  COM   896522109         951      28,859  SH     OTHER       01      20,659       7,905         295
TRINITY INDS INC                  COM   896522109      15,922     483,230  SH     DEFINED  01,08      24,831     458,399           0

TRIQUINT SEMICONDUCTOR INC        COM   89674K103       2,339     339,224  SH     DEFINED     01      88,530     250,694           0
TRIQUINT SEMICONDUCTOR INC        COM   89674K103      11,922   1,729,027  SH     DEFINED  01,08     388,053   1,340,974           0
TRIQUINT SEMICONDUCTOR INC        COM   89674K103       3,354     486,503  SH     DEFINED     09     486,503           0           0

TRIPLE-S MGMT CORP                COM   896749108       4,481     194,004  SH     DEFINED     01       5,371     188,633           0
TRIPLE-S MGMT CORP                COM   896749108       8,614     372,889  SH     DEFINED  01,08     205,506     167,383           0
TRIPLE-S MGMT CORP                COM   896749108       1,480      64,089  SH     DEFINED     09      64,089           0           0

TRIUMPH GROUP INC NEW             COM   896818101       9,579     152,873  SH     DEFINED     01      20,075     132,723          75
TRIUMPH GROUP INC NEW             COM   896818101          14         230  SH     OTHER       01         110          50          70
TRIUMPH GROUP INC NEW             COM   896818101      36,706     585,798  SH     DEFINED  01,08     157,204     428,594           0
TRIUMPH GROUP INC NEW             COM   896818101       7,180     114,579  SH     DEFINED     09     114,579           0           0

TRIUS THERAPEUTICS INC            COM   89685K100          36       6,801  SH     DEFINED     01       1,056       5,745           0
TRIUS THERAPEUTICS INC            COM   89685K100         442      82,538  SH     DEFINED  01,08       8,781      73,757           0
TRIUS THERAPEUTICS INC            COM   89685K100         151      28,143  SH     DEFINED     09      28,143           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    307
  ________

TRIPADVISOR INC                   COM   896945201       4,389     123,054  SH     DEFINED     01      67,029      55,765         260
TRIPADVISOR INC                   COM   896945201         110       3,095  SH     OTHER       01       2,236         779          80
TRIPADVISOR INC                   COM   896945201      25,758     722,127  SH     DEFINED  01,08     177,401     544,726           0
TRIPADVISOR INC                   COM   896945201       3,799     106,514  SH     DEFINED     09     106,514           0           0

TRUE RELIGION APPAREL INC         COM   89784N104       1,303      47,550  SH     DEFINED     01      19,410      27,943         197
TRUE RELIGION APPAREL INC         COM   89784N104           6         213  SH     OTHER       01         213           0           0
TRUE RELIGION APPAREL INC         COM   89784N104       6,810     248,536  SH     DEFINED  01,08      41,271     207,265           0
TRUE RELIGION APPAREL INC         COM   89784N104       2,030      74,098  SH     DEFINED     09      74,098           0           0

TRUEBLUE INC                      COM   89785X101         987      55,224  SH     DEFINED     01      19,685      35,439         100
TRUEBLUE INC                      COM   89785X101       7,337     410,362  SH     DEFINED  01,08      77,213     333,149           0
TRUEBLUE INC                      COM   89785X101       2,360     131,993  SH     DEFINED     09     131,993           0           0

TRUSTCO BK CORP N Y               COM   898349105         779     136,462  SH     DEFINED     01      51,744      84,718           0
TRUSTCO BK CORP N Y               COM   898349105       5,515     965,774  SH     DEFINED  01,08     172,837     792,937           0
TRUSTCO BK CORP N Y               COM   898349105       1,744     305,428  SH     DEFINED     09     305,428           0           0

TRUSTMARK CORP                    COM   898402102      11,318     453,088  SH     DEFINED     01      47,964     404,094       1,030
TRUSTMARK CORP                    COM   898402102         351      14,033  SH     OTHER       01         735      13,298           0
TRUSTMARK CORP                    COM   898402102      28,436   1,138,358  SH     DEFINED  01,08     439,883     698,475           0
TRUSTMARK CORP                    COM   898402102       4,689     187,691  SH     DEFINED     09     187,691           0           0

TUESDAY MORNING CORP              COM   899035505         241      62,738  SH     DEFINED     01      25,005      37,733           0
TUESDAY MORNING CORP              COM   899035505       1,544     402,184  SH     DEFINED  01,08      66,414     335,770           0
TUESDAY MORNING CORP              COM   899035505         315      81,917  SH     DEFINED     09      81,917           0           0

TUPPERWARE BRANDS CORP            COM   899896104       1,886      29,700  SH     DEFINED     01      21,552       8,048         100
TUPPERWARE BRANDS CORP            COM   899896104         924      14,550  SH     OTHER       01           0      14,550           0
TUPPERWARE BRANDS CORP            COM   899896104      22,868     360,125  SH     DEFINED  01,08      26,920     333,205           0

TURKCELL ILETISIM HIZMETLERI      COM   900111204          21       1,673  SH     DEFINED     01       1,094         579           0
TURKCELL ILETISIM HIZMETLERI      COM   900111204         138      10,971  SH     OTHER       01           0      10,971           0
TURKCELL ILETISIM HIZMETLERI      COM   900111204          27       2,147  SH     DEFINED  01,08       2,147           0           0

TUTOR PERINI CORP                 COM   901109108         551      35,381  SH     DEFINED     01       5,495      29,886           0
TUTOR PERINI CORP                 COM   901109108       4,696     301,444  SH     DEFINED  01,08      43,476     257,968           0
TUTOR PERINI CORP                 COM   901109108       1,465      94,025  SH     DEFINED     09      94,025           0           0

21ST CENTY HLDG CO                COM   90136Q100          11       2,343  SH     DEFINED     01           0       2,343           0
21ST CENTY HLDG CO                COM   90136Q100          36       8,105  SH     DEFINED  01,08       3,264       4,841           0

TWIN DISC INC                     COM   901476101         373      14,299  SH     DEFINED     01       3,043      11,256           0
TWIN DISC INC                     COM   901476101       2,282      87,471  SH     DEFINED  01,08      16,795      70,676           0
TWIN DISC INC                     COM   901476101         710      27,219  SH     DEFINED     09      27,219           0           0

TWO HBRS INVT CORP                COM   90187B101       2,193     216,285  SH     DEFINED     01      60,912     155,373           0
TWO HBRS INVT CORP                COM   90187B101      19,765   1,949,166  SH     DEFINED  01,08     270,708   1,678,458           0
TWO HBRS INVT CORP                COM   90187B101       6,273     618,607  SH     DEFINED     09     618,607           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    308
  ________

II VI INC                         COM   902104108       4,578     193,561  SH     DEFINED     01     124,422      68,169         970
II VI INC                         COM   902104108         129       5,464  SH     OTHER       01       2,439       3,025           0
II VI INC                         COM   902104108      12,278     519,140  SH     DEFINED  01,08      93,914     425,226           0
II VI INC                         COM   902104108       3,607     152,500  SH     DEFINED     09     152,500           0           0

TYLER TECHNOLOGIES INC            COM   902252105       2,271      59,131  SH     DEFINED     01      22,351      36,535         245
TYLER TECHNOLOGIES INC            COM   902252105          10         265  SH     OTHER       01         265           0           0
TYLER TECHNOLOGIES INC            COM   902252105      11,601     302,038  SH     DEFINED  01,08      57,994     244,044           0
TYLER TECHNOLOGIES INC            COM   902252105       3,437      89,474  SH     DEFINED     09      89,474           0           0

TYSON FOODS INC                CONV DEB 902494AP8       8,316   6,700,000  PRN    DEFINED     01     950,000   5,750,000           0
TYSON FOODS INC                CONV DEB 902494AP8       7,137   5,750,000  PRN    DEFINED  01,08   5,750,000           0           0

TYSON FOODS INC                   COM   902494103       6,048     315,805  SH     DEFINED     01     165,417     149,812         576
TYSON FOODS INC                   COM   902494103         109       5,688  SH     OTHER       01       4,779         720         189
TYSON FOODS INC                   COM   902494103      42,046   2,195,595  SH     DEFINED  01,08     539,764   1,655,831           0
TYSON FOODS INC                   COM   902494103      12,968     677,172  SH     DEFINED     09     677,172           0           0

UDR INC                           COM   902653104       2,052      76,823  SH     DEFINED     01      51,427      25,396           0
UDR INC                           COM   902653104           3         110  SH     OTHER       01           0           0         110
UDR INC                           COM   902653104      44,955   1,683,085  SH     DEFINED  01,08     403,939   1,279,146           0
UDR INC                           COM   902653104       2,638      98,783  SH     DEFINED     09      98,783           0           0

UFP TECHNOLOGIES INC              COM   902673102         144       7,388  SH     DEFINED     01       2,682       4,706           0
UFP TECHNOLOGIES INC              COM   902673102         268      13,776  SH     DEFINED  01,08       4,220       9,556           0

UGI CORP NEW                      COM   902681105       1,734      63,647  SH     DEFINED     01      52,285      11,162         200
UGI CORP NEW                      COM   902681105      18,850     691,734  SH     DEFINED  01,08      37,059     654,675           0

UIL HLDG CORP                     COM   902748102       3,881     111,650  SH     DEFINED     01      61,261      49,519         870
UIL HLDG CORP                     COM   902748102          21         610  SH     OTHER       01         610           0           0
UIL HLDG CORP                     COM   902748102      17,183     494,331  SH     DEFINED  01,08      89,329     405,002           0
UIL HLDG CORP                     COM   902748102       5,357     154,112  SH     DEFINED     09     154,112           0           0

UMB FINL CORP                     COM   902788108       9,524     212,893  SH     DEFINED     01      13,447     199,446           0
UMB FINL CORP                     COM   902788108          25         550  SH     OTHER       01           0         550           0
UMB FINL CORP                     COM   902788108      21,934     490,307  SH     DEFINED  01,08     221,680     268,627           0
UMB FINL CORP                     COM   902788108       4,170      93,212  SH     DEFINED     09      93,212           0           0

USA TRUCK INC                     COM   902925106          45       5,812  SH     DEFINED     01           0       5,812           0
USA TRUCK INC                     COM   902925106         150      19,417  SH     DEFINED  01,08       4,990      14,427           0

U S GLOBAL INVS INC               COM   902952100          31       4,294  SH     DEFINED     01         370       3,924           0
U S GLOBAL INVS INC               COM   902952100         165      22,702  SH     DEFINED  01,08       3,295      19,407           0

US BANCORP DEL                    COM   902973304     235,020   7,418,557  SH     DEFINED     01   5,934,056   1,315,686     168,815
US BANCORP DEL                    COM   902973304      36,405   1,149,137  SH     OTHER       01     851,282     214,211      83,644
US BANCORP DEL                    COM   902973304     454,955  14,360,964  SH     DEFINED  01,08   3,570,715  10,790,249           0
US BANCORP DEL                    COM   902973304     143,975   4,544,653  SH     DEFINED     09   4,544,653           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    309
  ________

U M H PROPERTIES INC              COM   903002103         144      13,125  SH     DEFINED     01       2,441      10,684           0
U M H PROPERTIES INC              COM   903002103       1,223     111,582  SH     DEFINED  01,08      15,953      95,629           0
U M H PROPERTIES INC              COM   903002103         270      24,592  SH     DEFINED     09      24,592           0           0

UQM TECHNOLOGIES INC              COM   903213106          13       9,121  SH     DEFINED     01           0       9,121           0
UQM TECHNOLOGIES INC              COM   903213106          93      62,829  SH     DEFINED  01,08       6,185      56,644           0

URS CORP NEW                      COM   903236107       4,125      97,013  SH     DEFINED     01      86,352       9,094       1,567
URS CORP NEW                      COM   903236107         911      21,432  SH     OTHER       01      11,142      10,205          85
URS CORP NEW                      COM   903236107      20,416     480,162  SH     DEFINED  01,08      20,353     459,809           0
URS CORP NEW                      COM   903236107       3,714      87,347  SH     DEFINED     09      87,347           0           0

USANA HEALTH SCIENCES INC         COM   90328M107         555      14,873  SH     DEFINED     01       3,570      11,303           0
USANA HEALTH SCIENCES INC         COM   90328M107       2,802      75,049  SH     DEFINED  01,08      16,582      58,467           0
USANA HEALTH SCIENCES INC         COM   90328M107         641      17,172  SH     DEFINED     09      17,172           0           0

USA TECHNOLOGIES INC              COM   90328S500          69      53,790  SH     DEFINED  01,08           0      53,790           0

U S G CORP                        COM   903293405       1,242      72,216  SH     DEFINED     01      24,953      47,163         100
U S G CORP                        COM   903293405      10,957     637,053  SH     DEFINED  01,08      74,672     562,381           0
U S G CORP                        COM   903293405       3,462     201,302  SH     DEFINED     09     201,302           0           0

USEC INC                          COM   90333E108         461     435,063  SH     DEFINED     01      28,003     407,060           0
USEC INC                          COM   90333E108          10       9,000  SH     OTHER       01       9,000           0           0
USEC INC                          COM   90333E108       1,555   1,467,030  SH     DEFINED  01,08     531,046     935,984           0
USEC INC                          COM   90333E108         352     332,013  SH     DEFINED     09     332,013           0           0

U S CONCRETE INC                  COM   90333L201          52      11,086  SH     DEFINED  01,08           0      11,086           0

U S HOME SYS INC                  COM   90335C100          22       2,379  SH     DEFINED     01           0       2,379           0
U S HOME SYS INC                  COM   90335C100         107      11,470  SH     DEFINED  01,08       2,607       8,863           0

U S PHYSICAL THERAPY INC          COM   90337L108         862      37,395  SH     DEFINED     01       5,924      18,471      13,000
U S PHYSICAL THERAPY INC          COM   90337L108       2,863     124,224  SH     DEFINED  01,08      27,992      96,232           0
U S PHYSICAL THERAPY INC          COM   90337L108         727      31,550  SH     DEFINED     09      31,550           0           0

U S GEOTHERMAL INC                COM   90338S102           4       8,104  SH     DEFINED     01         400       7,704           0
U S GEOTHERMAL INC                COM   90338S102          43      82,176  SH     DEFINED  01,08      10,466      71,710           0

USA MOBILITY INC                  COM   90341G103         495      35,516  SH     DEFINED     01      12,502      23,014           0
USA MOBILITY INC                  COM   90341G103       3,272     234,858  SH     DEFINED  01,08      50,626     184,232           0
USA MOBILITY INC                  COM   90341G103         887      63,659  SH     DEFINED     09      63,659           0           0

U S AIRWAYS GROUP INC             COM   90341W108       1,537     202,500  SH     DEFINED     01      30,272     172,228           0
U S AIRWAYS GROUP INC             COM   90341W108      11,782   1,552,251  SH     DEFINED  01,08     250,626   1,301,625           0
U S AIRWAYS GROUP INC             COM   90341W108       3,507     462,004  SH     DEFINED     09     462,004           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    310
  ________

U.S. AUTO PARTS NETWORK INC       COM   90343C100          33       9,048  SH     DEFINED     01       3,517       5,531           0
U.S. AUTO PARTS NETWORK INC       COM   90343C100         454     125,723  SH     DEFINED  01,08      14,095     111,628           0
U.S. AUTO PARTS NETWORK INC       COM   90343C100         135      37,330  SH     DEFINED     09      37,330           0           0

U S SILICA HLDGS INC              COM   90346E103         501      23,923  SH     DEFINED  01,08       8,916      15,007           0
U S SILICA HLDGS INC              COM   90346E103         693      33,107  SH     DEFINED     09      33,107           0           0

UBIQUITI NETWORKS INC             COM   90347A100         160       5,071  SH     DEFINED     01         797       4,274           0
UBIQUITI NETWORKS INC             COM   90347A100       2,398      75,805  SH     DEFINED  01,08       7,512      68,293           0
UBIQUITI NETWORKS INC             COM   90347A100       1,002      31,673  SH     DEFINED     09      31,673           0           0

ULTA SALON COSMETCS & FRAG I      COM   90384S303       9,604     103,391  SH     DEFINED     01      83,600      19,006         785
ULTA SALON COSMETCS & FRAG I      COM   90384S303         573       6,173  SH     OTHER       01       2,968       3,205           0
ULTA SALON COSMETCS & FRAG I      COM   90384S303      14,916     160,581  SH     DEFINED  01,08      16,217     144,364           0

ULTIMATE SOFTWARE GROUP INC       COM   90385D107       7,995     109,103  SH     DEFINED     01      67,697      38,566       2,840
ULTIMATE SOFTWARE GROUP INC       COM   90385D107         811      11,061  SH     OTHER       01       5,256       4,850         955
ULTIMATE SOFTWARE GROUP INC       COM   90385D107      18,365     250,611  SH     DEFINED  01,08      40,009     210,602           0
ULTIMATE SOFTWARE GROUP INC       COM   90385D107       5,422      73,990  SH     DEFINED     09      73,990           0           0

ULTRA CLEAN HLDGS INC             COM   90385V107         159      21,087  SH     DEFINED     01       5,545      15,542           0
ULTRA CLEAN HLDGS INC             COM   90385V107       1,523     201,969  SH     DEFINED  01,08      25,281     176,688           0
ULTRA CLEAN HLDGS INC             COM   90385V107         457      60,675  SH     DEFINED     09      60,675           0           0

ULTRALIFE CORP                    COM   903899102          76      14,583  SH     DEFINED     01       5,216       9,367           0
ULTRALIFE CORP                    COM   903899102         128      24,698  SH     DEFINED  01,08       7,644      17,054           0

ULTRA PETROLEUM CORP              COM   903914109         741      32,724  SH     DEFINED     01      16,483      16,241           0
ULTRA PETROLEUM CORP              COM   903914109          75       3,315  SH     OTHER       01       3,315           0           0
ULTRA PETROLEUM CORP              COM   903914109      11,686     516,415  SH     DEFINED  01,08      50,153     466,262           0
ULTRA PETROLEUM CORP              COM   903914109       4,525     199,971  SH     DEFINED     09     199,971           0           0

ULTRATECH INC                     COM   904034105       1,135      39,167  SH     DEFINED     01      13,164      26,003           0
ULTRATECH INC                     COM   904034105          23         800  SH     OTHER       01         800           0           0
ULTRATECH INC                     COM   904034105       7,341     253,305  SH     DEFINED  01,08      46,868     206,437           0
ULTRATECH INC                     COM   904034105       2,422      83,577  SH     DEFINED     09      83,577           0           0

UMPQUA HLDGS CORP                 COM   904214103       5,025     370,568  SH     DEFINED     01     248,655     120,623       1,290
UMPQUA HLDGS CORP                 COM   904214103          96       7,090  SH     OTHER       01       3,765       3,325           0
UMPQUA HLDGS CORP                 COM   904214103      15,410   1,136,432  SH     DEFINED  01,08     213,149     923,283           0
UMPQUA HLDGS CORP                 COM   904214103       4,497     331,672  SH     DEFINED     09     331,672           0           0

UNDER ARMOUR INC                  COM   904311107       2,098      22,320  SH     DEFINED     01      18,393       3,657         270
UNDER ARMOUR INC                  COM   904311107         447       4,752  SH     OTHER       01       4,046         606         100
UNDER ARMOUR INC                  COM   904311107      21,960     233,619  SH     DEFINED  01,08      15,673     217,946           0

UNICO AMERN CORP                  COM   904607108          37       3,301  SH     DEFINED     01           0       3,301           0
UNICO AMERN CORP                  COM   904607108          94       8,374  SH     DEFINED  01,08       3,433       4,941           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    311
  ________

UNIFI INC                         COM   904677200         488      50,505  SH     DEFINED     01       3,396      47,109           0
UNIFI INC                         COM   904677200       1,630     168,779  SH     DEFINED  01,08      56,722     112,057           0
UNIFI INC                         COM   904677200         417      43,201  SH     DEFINED     09      43,201           0           0

UNIFIRST CORP MASS                COM   904708104      11,569     187,958  SH     DEFINED     01       8,928     179,030           0
UNIFIRST CORP MASS                COM   904708104      19,241     312,603  SH     DEFINED  01,08     193,693     118,910           0
UNIFIRST CORP MASS                COM   904708104       2,489      40,446  SH     DEFINED     09      40,446           0           0

UNILEVER PLC                      COM   904767704       9,688     293,124  SH     DEFINED     01     280,584      11,585         955
UNILEVER PLC                      COM   904767704         907      27,454  SH     OTHER       01      14,631      12,463         360
UNILEVER PLC                      COM   904767704       2,759      83,481  SH     DEFINED  01,08      83,481           0           0

UNILIFE CORP NEW                  COM   90478E103         182      44,792  SH     DEFINED     01      15,772      29,020           0
UNILIFE CORP NEW                  COM   90478E103       2,202     542,471  SH     DEFINED  01,08      67,888     474,583           0
UNILIFE CORP NEW                  COM   90478E103         848     208,886  SH     DEFINED     09     208,886           0           0

UNILEVER N V                      COM   904784709      15,623     459,084  SH     DEFINED     01     416,640      27,714      14,730
UNILEVER N V                      COM   904784709       2,982      87,621  SH     OTHER       01      35,250      51,336       1,035
UNILEVER N V                      COM   904784709       2,767      81,300  SH     DEFINED  01,08      81,300           0           0

UNION DRILLING INC                COM   90653P105          92      16,610  SH     DEFINED     01       3,742      12,868           0
UNION DRILLING INC                COM   90653P105         817     146,949  SH     DEFINED  01,08      22,746     124,203           0
UNION DRILLING INC                COM   90653P105         167      30,106  SH     DEFINED     09      30,106           0           0

UNION FIRST MKT BANKSH CP         COM   90662P104       2,115     151,074  SH     DEFINED     01      17,274     133,800           0
UNION FIRST MKT BANKSH CP         COM   90662P104       4,382     313,034  SH     DEFINED  01,08     149,460     163,574           0
UNION FIRST MKT BANKSH CP         COM   90662P104         739      52,779  SH     DEFINED     09      52,779           0           0

UNION PAC CORP                    COM   907818108      85,801     798,301  SH     DEFINED     01     513,451     277,331       7,519
UNION PAC CORP                    COM   907818108      11,489     106,898  SH     OTHER       01      69,402      17,374      20,122
UNION PAC CORP                    COM   907818108     387,079   3,601,408  SH     DEFINED  01,08     869,163   2,732,245           0
UNION PAC CORP                    COM   907818108     126,776   1,179,530  SH     DEFINED     09   1,179,530           0           0

UNISOURCE ENERGY CORP             COM   909205106       9,925     271,387  SH     DEFINED     01      29,413     241,874         100
UNISOURCE ENERGY CORP             COM   909205106           4         110  SH     OTHER       01         110           0           0
UNISOURCE ENERGY CORP             COM   909205106      20,760     567,680  SH     DEFINED  01,08     271,535     296,145           0
UNISOURCE ENERGY CORP             COM   909205106       3,727     101,920  SH     DEFINED     09     101,920           0           0

UNISYS CORP                       COM   909214306       1,008      51,124  SH     DEFINED     01      10,085      41,039           0
UNISYS CORP                       COM   909214306          63       3,200  SH     OTHER       01           0       3,200           0
UNISYS CORP                       COM   909214306       7,983     404,821  SH     DEFINED  01,08      63,888     340,933           0
UNISYS CORP                       COM   909214306       2,492     126,352  SH     DEFINED     09     126,352           0           0

UNISYS CORP                    CONV PFD 909214405       4,266      69,146         DEFINED     01       7,546      61,600           0
UNISYS CORP                    CONV PFD 909214405       3,800      61,600         DEFINED  01,08      61,600           0           0

UNIT CORP                         COM   909218109       1,058      24,732  SH     DEFINED     01      10,378      14,254         100
UNIT CORP                         COM   909218109      11,395     266,478  SH     DEFINED  01,08      14,637     251,841           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    312
  ________

UNITED CMNTY FINL CORP OHIO       COM   909839102          51      20,717  SH     DEFINED     01         814      19,903           0
UNITED CMNTY FINL CORP OHIO       COM   909839102         108      44,458  SH     DEFINED  01,08      13,640      30,818           0

UNITED CMNTY BKS BLAIRSVLE G      COM   90984P303         451      46,263  SH     DEFINED     01      14,070      32,193           0
UNITED CMNTY BKS BLAIRSVLE G      COM   90984P303       3,662     375,611  SH     DEFINED  01,08      62,789     312,822           0
UNITED CMNTY BKS BLAIRSVLE G      COM   90984P303       1,190     122,013  SH     DEFINED     09     122,013           0           0

UNITED BANKSHARES INC WEST V      COM   909907107       7,874     272,849  SH     DEFINED     01      20,155     252,694           0
UNITED BANKSHARES INC WEST V      COM   909907107         219       7,600  SH     OTHER       01           0       7,600           0
UNITED BANKSHARES INC WEST V      COM   909907107      20,171     698,914  SH     DEFINED  01,08     292,868     406,046           0
UNITED BANKSHARES INC WEST V      COM   909907107       4,277     148,195  SH     DEFINED     09     148,195           0           0

UNITED CONTL HLDGS INC            COM   910047109       2,607     121,246  SH     DEFINED     01      86,658      34,588           0
UNITED CONTL HLDGS INC            COM   910047109          27       1,270  SH     OTHER       01         381         720         169
UNITED CONTL HLDGS INC            COM   910047109      23,863   1,109,893  SH     DEFINED  01,08     114,112     995,781           0
UNITED CONTL HLDGS INC            COM   910047109       2,599     120,900  SH     DEFINED     09     120,900           0           0

UNITED FINANCIAL BANCORP INC      COM   91030T109       2,693     170,205  SH     DEFINED     01       4,900     165,305           0
UNITED FINANCIAL BANCORP INC      COM   91030T109       4,885     308,804  SH     DEFINED  01,08     179,526     129,278           0
UNITED FINANCIAL BANCORP INC      COM   91030T109         885      55,952  SH     DEFINED     09      55,952           0           0

UNITED FIRE GROUP INC             COM   910340108       2,091     116,877  SH     DEFINED     01      11,620     105,257           0
UNITED FIRE GROUP INC             COM   910340108         143       8,010  SH     OTHER       01       1,070       6,940           0
UNITED FIRE GROUP INC             COM   910340108       5,335     298,207  SH     DEFINED  01,08     123,674     174,533           0
UNITED FIRE GROUP INC             COM   910340108       1,276      71,352  SH     DEFINED     09      71,352           0           0

UNITED GUARDIAN INC               COM   910571108          59       3,218  SH     DEFINED     01           0       3,218           0
UNITED GUARDIAN INC               COM   910571108         192      10,452  SH     DEFINED  01,08       3,063       7,389           0

UNITED MICROELECTRONICS CORP      COM   910873405         886     361,637  SH     DEFINED     01     353,214       7,987         436
UNITED MICROELECTRONICS CORP      COM   910873405          32      12,878  SH     OTHER       01       4,504       8,374           0
UNITED MICROELECTRONICS CORP      COM   910873405         263     107,472  SH     DEFINED  01,08     107,472           0           0

UNITED NAT FOODS INC              COM   911163103       6,958     149,116  SH     DEFINED     01      84,446      61,765       2,905
UNITED NAT FOODS INC              COM   911163103         440       9,429  SH     OTHER       01       3,615       4,834         980
UNITED NAT FOODS INC              COM   911163103      22,388     479,819  SH     DEFINED  01,08      85,835     393,984           0
UNITED NAT FOODS INC              COM   911163103       6,468     138,628  SH     DEFINED     09     138,628           0           0

UNITED ONLINE INC                 COM   911268100       2,967     606,694  SH     DEFINED     01      61,509     545,185           0
UNITED ONLINE INC                 COM   911268100          22       4,500  SH     OTHER       01           0       4,500           0
UNITED ONLINE INC                 COM   911268100       8,452   1,728,460  SH     DEFINED  01,08   1,004,547     723,913           0
UNITED ONLINE INC                 COM   911268100       1,147     234,514  SH     DEFINED     09     234,514           0           0

UNITED PARCEL SERVICE INC         COM   911312106     114,484   1,418,288  SH     DEFINED     01     892,183     505,395      20,710
UNITED PARCEL SERVICE INC         COM   911312106       9,146     113,304  SH     OTHER       01      72,626      37,742       2,936
UNITED PARCEL SERVICE INC         COM   911312106     534,513   6,621,816  SH     DEFINED  01,08   1,648,695   4,973,121           0
UNITED PARCEL SERVICE INC         COM   911312106     163,218   2,022,026  SH     DEFINED     09   2,022,026           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    313
  ________

UNITED RENTALS INC             CONV DEB 911363AL3       6,329   1,625,000  PRN    DEFINED     01     212,000   1,413,000           0
UNITED RENTALS INC             CONV DEB 911363AL3       3,533     907,000  PRN    DEFINED  01,08     907,000           0           0

UNITED RENTALS INC                COM   911363109       2,890      67,384  SH     DEFINED     01      21,053      46,331           0
UNITED RENTALS INC                COM   911363109          98       2,280  SH     OTHER       01         636       1,644           0
UNITED RENTALS INC                COM   911363109      32,929     767,751  SH     DEFINED  01,08      84,295     683,456           0
UNITED RENTALS INC                COM   911363109       7,984     186,152  SH     DEFINED     09     186,152           0           0

UNITED STATES CELLULAR CORP       COM   911684108         109       2,651  SH     DEFINED     01       2,528         123           0
UNITED STATES CELLULAR CORP       COM   911684108           3          70  SH     OTHER       01          70           0           0
UNITED STATES CELLULAR CORP       COM   911684108       1,947      47,574  SH     DEFINED  01,08       3,661      43,913           0

U S ENERGY CORP WYO               COM   911805109          74      23,504  SH     DEFINED     01       5,072      18,432           0
U S ENERGY CORP WYO               COM   911805109         711     225,118  SH     DEFINED  01,08      29,210     195,908           0
U S ENERGY CORP WYO               COM   911805109         214      67,721  SH     DEFINED     09      67,721           0           0

UNITED STATES LIME & MINERAL      COM   911922102         386       6,452  SH     DEFINED     01         632       5,820           0
UNITED STATES LIME & MINERAL      COM   911922102       1,707      28,506  SH     DEFINED  01,08       7,497      21,009           0
UNITED STATES LIME & MINERAL      COM   911922102         321       5,362  SH     DEFINED     09       5,362           0           0

UNITED STATES STL CORP NEW        COM   912909108       4,952     168,609  SH     DEFINED     01      92,571      75,667         371
UNITED STATES STL CORP NEW        COM   912909108          65       2,220  SH     OTHER       01       1,739         481           0
UNITED STATES STL CORP NEW        COM   912909108      31,498   1,072,446  SH     DEFINED  01,08     273,207     799,239           0
UNITED STATES STL CORP NEW        COM   912909108      10,198     347,225  SH     DEFINED     09     347,225           0           0

UNITED STATIONERS INC             COM   913004107       4,748     153,009  SH     DEFINED     01      28,663     124,146         200
UNITED STATIONERS INC             COM   913004107      16,074     518,026  SH     DEFINED  01,08     169,162     348,864           0
UNITED STATIONERS INC             COM   913004107       4,199     135,308  SH     DEFINED     09     135,308           0           0

UNITED TECHNOLOGIES CORP          COM   913017109     347,925   4,194,900  SH     DEFINED     01   3,195,625     818,805     180,470
UNITED TECHNOLOGIES CORP          COM   913017109      78,346     944,611  SH     OTHER       01     650,303     214,024      80,284
UNITED TECHNOLOGIES CORP          COM   913017109     565,115   6,813,537  SH     DEFINED  01,08   1,675,679   5,137,858           0
UNITED TECHNOLOGIES CORP          COM   913017109     181,736   2,191,169  SH     DEFINED     09   2,191,169           0           0

UNITED THERAPEUTICS CORP DEL      COM   91307C102       1,075      22,803  SH     DEFINED     01      17,901       4,902           0
UNITED THERAPEUTICS CORP DEL      COM   91307C102           1          20  SH     OTHER       01           0           0          20
UNITED THERAPEUTICS CORP DEL      COM   91307C102      15,603     331,072  SH     DEFINED  01,08      22,571     308,501           0

UNITEDHEALTH GROUP INC            COM   91324P102     265,686   4,507,742  SH     DEFINED     01   3,646,538     797,502      63,702
UNITEDHEALTH GROUP INC            COM   91324P102      31,830     540,039  SH     OTHER       01     440,769      80,527      18,743
UNITEDHEALTH GROUP INC            COM   91324P102     468,309   7,945,529  SH     DEFINED  01,08   1,972,461   5,973,068           0
UNITEDHEALTH GROUP INC            COM   91324P102     157,058   2,664,716  SH     DEFINED     09   2,664,716           0           0

UNITEK GLOBAL SVCS INC            COM   91324T302          18       5,440  SH     DEFINED     01         976       4,464           0
UNITEK GLOBAL SVCS INC            COM   91324T302         314      93,102  SH     DEFINED  01,08       9,016      84,086           0
UNITEK GLOBAL SVCS INC            COM   91324T302         148      43,892  SH     DEFINED     09      43,892           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    314
  ________

UNITIL CORP                       COM   913259107         478      17,821  SH     DEFINED     01       4,881      12,940           0
UNITIL CORP                       COM   913259107       3,100     115,555  SH     DEFINED  01,08      22,083      93,472           0
UNITIL CORP                       COM   913259107       1,025      38,195  SH     DEFINED     09      38,195           0           0

UNITY BANCORP INC                 COM   913290102          28       4,466  SH     DEFINED     01           0       4,466           0
UNITY BANCORP INC                 COM   913290102          85      13,557  SH     DEFINED  01,08       5,103       8,454           0

UNIVERSAL AMERN CORP NEW          COM   91338E101       3,056     283,445  SH     DEFINED     01      69,407     212,878       1,160
UNIVERSAL AMERN CORP NEW          COM   91338E101          74       6,845  SH     OTHER       01         760       5,750         335
UNIVERSAL AMERN CORP NEW          COM   91338E101       5,755     533,877  SH     DEFINED  01,08     252,446     281,431           0
UNIVERSAL AMERN CORP NEW          COM   91338E101         973      90,222  SH     DEFINED     09      90,222           0           0

UNIVERSAL CORP VA                 COM   913456109       6,272     134,588  SH     DEFINED     01       7,389     127,199           0
UNIVERSAL CORP VA                 COM   913456109         100       2,136  SH     OTHER       01       2,136           0           0
UNIVERSAL CORP VA                 COM   913456109      18,444     395,793  SH     DEFINED  01,08     141,431     254,362           0
UNIVERSAL CORP VA                 COM   913456109       3,317      71,184  SH     DEFINED     09      71,184           0           0

UNIVERSAL DISPLAY CORP            COM   91347P105       1,929      52,811  SH     DEFINED     01      10,279      42,532           0
UNIVERSAL DISPLAY CORP            COM   91347P105      13,514     369,932  SH     DEFINED  01,08      56,645     313,287           0
UNIVERSAL DISPLAY CORP            COM   91347P105       4,127     112,984  SH     DEFINED     09     112,984           0           0

UNIVERSAL ELECTRS INC             COM   913483103         763      38,184  SH     DEFINED     01      22,675      15,009         500
UNIVERSAL ELECTRS INC             COM   913483103          11         540  SH     OTHER       01         540           0           0
UNIVERSAL ELECTRS INC             COM   913483103       2,964     148,358  SH     DEFINED  01,08      25,381     122,977           0
UNIVERSAL ELECTRS INC             COM   913483103         789      39,475  SH     DEFINED     09      39,475           0           0

UNIVERSAL FST PRODS INC           COM   913543104       4,682     135,793  SH     DEFINED     01      10,392     125,401           0
UNIVERSAL FST PRODS INC           COM   913543104      10,423     302,278  SH     DEFINED  01,08     141,628     160,650           0
UNIVERSAL FST PRODS INC           COM   913543104       1,875      54,367  SH     DEFINED     09      54,367           0           0

UNIVERSAL HEALTH RLTY INCM T      COM   91359E105       2,508      63,277  SH     DEFINED     01      49,402      13,389         486
UNIVERSAL HEALTH RLTY INCM T      COM   91359E105          64       1,611  SH     OTHER       01         601         845         165
UNIVERSAL HEALTH RLTY INCM T      COM   91359E105       6,966     175,771  SH     DEFINED  01,08      72,925     102,846           0
UNIVERSAL HEALTH RLTY INCM T      COM   91359E105       1,531      38,632  SH     DEFINED     09      38,632           0           0

UNIVERSAL INS HLDGS INC           COM   91359V107          48      12,325  SH     DEFINED     01       1,709      10,616           0
UNIVERSAL INS HLDGS INC           COM   91359V107         688     176,912  SH     DEFINED  01,08      21,976     154,936           0
UNIVERSAL INS HLDGS INC           COM   91359V107         153      39,283  SH     DEFINED     09      39,283           0           0

UNIVERSAL STAINLESS & ALLOY       COM   913837100       1,004      23,512  SH     DEFINED     01      11,703      11,489         320
UNIVERSAL STAINLESS & ALLOY       COM   913837100          15         345  SH     OTHER       01         345           0           0
UNIVERSAL STAINLESS & ALLOY       COM   913837100       3,074      71,967  SH     DEFINED  01,08      15,268      56,699           0
UNIVERSAL STAINLESS & ALLOY       COM   913837100         832      19,487  SH     DEFINED     09      19,487           0           0

UNIVERSAL TRUCKLOAD SVCS INC      COM   91388P105         333      22,090  SH     DEFINED     01       1,675      20,415           0
UNIVERSAL TRUCKLOAD SVCS INC      COM   91388P105       1,058      70,245  SH     DEFINED  01,08      23,871      46,374           0
UNIVERSAL TRUCKLOAD SVCS INC      COM   91388P105         250      16,633  SH     DEFINED     09      16,633           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    315
  ________

UNIVERSAL TRAVEL GROUP            COM   91388Q202          23       5,200  SH     DEFINED     01           0       5,200           0
UNIVERSAL TRAVEL GROUP            COM   91388Q202          23       5,200  SH     DEFINED  01,08       5,200           0           0

UNIVERSAL HLTH SVCS INC           COM   913903100       1,571      37,476  SH     DEFINED     01      25,012       9,802       2,662
UNIVERSAL HLTH SVCS INC           COM   913903100           2          40  SH     OTHER       01           0           0          40
UNIVERSAL HLTH SVCS INC           COM   913903100      24,748     590,498  SH     DEFINED  01,08      39,935     550,563           0
UNIVERSAL HLTH SVCS INC           COM   913903100         150       3,578  SH     DEFINED     09       3,578           0           0

UNIVERSAL TECHNICAL INST INC      COM   913915104         518      39,235  SH     DEFINED     01      16,476      22,759           0
UNIVERSAL TECHNICAL INST INC      COM   913915104           6         420  SH     OTHER       01         420           0           0
UNIVERSAL TECHNICAL INST INC      COM   913915104       2,902     219,988  SH     DEFINED  01,08      40,149     179,839           0
UNIVERSAL TECHNICAL INST INC      COM   913915104         759      57,543  SH     DEFINED     09      57,543           0           0

UNIVEST CORP PA                   COM   915271100         241      14,388  SH     DEFINED     01       4,911       9,477           0
UNIVEST CORP PA                   COM   915271100       2,542     151,468  SH     DEFINED  01,08      20,091     131,377           0
UNIVEST CORP PA                   COM   915271100         869      51,794  SH     DEFINED     09      51,794           0           0

UNUM GROUP                        COM   91529Y106       8,774     358,419  SH     DEFINED     01     163,823     193,320       1,276
UNUM GROUP                        COM   91529Y106         817      33,394  SH     OTHER       01       2,417      14,387      16,590
UNUM GROUP                        COM   91529Y106      52,315   2,137,040  SH     DEFINED  01,08     493,880   1,643,160           0
UNUM GROUP                        COM   91529Y106      17,393     710,506  SH     DEFINED     09     710,506           0           0

UR ENERGY INC                     COM   91688R108          90      74,030  SH     DEFINED     01      19,803      54,227           0
UR ENERGY INC                     COM   91688R108         951     779,203  SH     DEFINED  01,08      96,182     683,021           0
UR ENERGY INC                     COM   91688R108         346     283,532  SH     DEFINED     09     283,532           0           0

URANERZ ENERGY CORP               COM   91688T104         144      57,048  SH     DEFINED     01      15,930      41,118           0
URANERZ ENERGY CORP               COM   91688T104       1,238     491,428  SH     DEFINED  01,08      65,330     426,098           0
URANERZ ENERGY CORP               COM   91688T104         462     183,375  SH     DEFINED     09     183,375           0           0

URANIUM ENERGY CORP               COM   916896103         284      72,697  SH     DEFINED     01      22,522      50,175           0
URANIUM ENERGY CORP               COM   916896103       2,730     699,968  SH     DEFINED  01,08      78,765     621,203           0
URANIUM ENERGY CORP               COM   916896103         762     195,384  SH     DEFINED     09     195,384           0           0

URANIUM RES INC                   COM   916901507          63      69,450  SH     DEFINED     01      10,690      58,760           0
URANIUM RES INC                   COM   916901507         768     844,308  SH     DEFINED  01,08      87,796     756,512           0
URANIUM RES INC                   COM   916901507         239     262,287  SH     DEFINED     09     262,287           0           0

URBAN OUTFITTERS INC              COM   917047102       3,614     124,144  SH     DEFINED     01      66,740      57,389          15
URBAN OUTFITTERS INC              COM   917047102          21         718  SH     OTHER       01         632          86           0
URBAN OUTFITTERS INC              COM   917047102      23,555     809,184  SH     DEFINED  01,08     177,706     631,478           0
URBAN OUTFITTERS INC              COM   917047102       8,818     302,911  SH     DEFINED     09     302,911           0           0

UROLOGIX INC                      COM   917273104          13      10,053  SH     DEFINED     01           0      10,053           0
UROLOGIX INC                      COM   917273104          36      27,908  SH     DEFINED  01,08       8,766      19,142           0

UROPLASTY INC                     COM   917277204          31      10,285  SH     DEFINED     01       1,863       8,422           0
UROPLASTY INC                     COM   917277204         539     178,994  SH     DEFINED  01,08      17,368     161,626           0
UROPLASTY INC                     COM   917277204         173      57,615  SH     DEFINED     09      57,615           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    316
  ________

URSTADT BIDDLE PPTYS INS          COM   917286106          50       2,683  SH     DEFINED     01           0       2,683           0
URSTADT BIDDLE PPTYS INS          COM   917286106         193      10,328  SH     DEFINED  01,08       1,828       8,500           0

URSTADT BIDDLE PPTYS INS          COM   917286205         679      34,420  SH     DEFINED     01      13,001      21,419           0
URSTADT BIDDLE PPTYS INS          COM   917286205       5,303     268,625  SH     DEFINED  01,08      71,854     196,771           0
URSTADT BIDDLE PPTYS INS          COM   917286205       1,469      74,412  SH     DEFINED     09      74,412           0           0

US ECOLOGY INC                    COM   91732J102         517      23,798  SH     DEFINED     01       5,122      18,676           0
US ECOLOGY INC                    COM   91732J102       4,000     184,010  SH     DEFINED  01,08      28,629     155,381           0
US ECOLOGY INC                    COM   91732J102       1,144      52,623  SH     DEFINED     09      52,623           0           0

UTAH MED PRODS INC                COM   917488108         251       8,077  SH     DEFINED     01          85       7,992           0
UTAH MED PRODS INC                COM   917488108         432      13,890  SH     DEFINED  01,08       7,647       6,243           0

VCA ANTECH INC                    COM   918194101         926      39,880  SH     DEFINED     01      14,181      25,699           0
VCA ANTECH INC                    COM   918194101          69       2,975  SH     OTHER       01       2,975           0           0
VCA ANTECH INC                    COM   918194101      12,420     535,099  SH     DEFINED  01,08      27,216     507,883           0

V F CORP                          COM   918204108     163,877   1,122,597  SH     DEFINED     01   1,002,378     105,349      14,870
V F CORP                          COM   918204108      23,972     164,215  SH     OTHER       01     136,197      20,672       7,346
V F CORP                          COM   918204108      95,760     655,977  SH     DEFINED  01,08     165,783     490,194           0
V F CORP                          COM   918204108      31,001     212,366  SH     DEFINED     09     212,366           0           0

VSE CORP                          COM   918284100         158       6,350  SH     DEFINED     01       2,812       3,538           0
VSE CORP                          COM   918284100         971      39,125  SH     DEFINED  01,08       6,715      32,410           0
VSE CORP                          COM   918284100         284      11,445  SH     DEFINED     09      11,445           0           0

VOXX INTL CORP                    COM   91829F104       1,933     142,580  SH     DEFINED     01       8,801     133,779           0
VOXX INTL CORP                    COM   91829F104       4,229     311,908  SH     DEFINED  01,08     165,075     146,833           0
VOXX INTL CORP                    COM   91829F104         649      47,882  SH     DEFINED     09      47,882           0           0

VAALCO ENERGY INC                 COM   91851C201       3,261     345,091  SH     DEFINED     01      15,135     329,956           0
VAALCO ENERGY INC                 COM   91851C201       7,869     832,736  SH     DEFINED  01,08     395,820     436,916           0
VAALCO ENERGY INC                 COM   91851C201       1,713     181,252  SH     DEFINED     09     181,252           0           0

VAIL RESORTS INC                  COM   91879Q109       5,520     127,630  SH     DEFINED     01      48,812      76,843       1,975
VAIL RESORTS INC                  COM   91879Q109         520      12,033  SH     OTHER       01       1,018      10,550         465
VAIL RESORTS INC                  COM   91879Q109      16,549     382,645  SH     DEFINED  01,08      89,259     293,386           0
VAIL RESORTS INC                  COM   91879Q109       4,573     105,738  SH     DEFINED     09     105,738           0           0

VALASSIS COMMUNICATIONS INC       COM   918866104       1,446      62,849  SH     DEFINED     01      14,349      48,500           0
VALASSIS COMMUNICATIONS INC       COM   918866104          71       3,100  SH     OTHER       01           0       3,100           0
VALASSIS COMMUNICATIONS INC       COM   918866104      12,950     563,065  SH     DEFINED  01,08      77,263     485,802           0
VALASSIS COMMUNICATIONS INC       COM   918866104       3,216     139,817  SH     DEFINED     09     139,817           0           0

VALHI INC NEW                     COM   918905100          29         546  SH     DEFINED     01           0         546           0
VALHI INC NEW                     COM   918905100         416       7,845  SH     DEFINED  01,08           0       7,845           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    317
  ________

VALENCE TECHNOLOGY INC            COM   918914102          59      73,069  SH     DEFINED     01      10,484      62,585           0
VALENCE TECHNOLOGY INC            COM   918914102         510     631,593  SH     DEFINED  01,08      84,719     546,874           0
VALENCE TECHNOLOGY INC            COM   918914102         234     289,909  SH     DEFINED     09     289,909           0           0

VALEANT PHARMACEUTICALS INTL      COM   91911K102       6,350     118,268  SH     DEFINED     01     108,273       8,748       1,247
VALEANT PHARMACEUTICALS INTL      COM   91911K102       1,956      36,438  SH     OTHER       01       3,902      32,447          89
VALEANT PHARMACEUTICALS INTL      COM   91911K102         697      12,974  SH     DEFINED  01,08      12,974           0           0

VALE S A                          COM   91912E105       3,163     135,575  SH     DEFINED     01      87,981      47,594           0
VALE S A                          COM   91912E105         928      39,772  SH     OTHER       01      13,525      22,937       3,310
VALE S A                          COM   91912E105       9,432     404,298  SH     DEFINED  01,08     404,298           0           0

VALE S A                          PFD   91912E204       7,878     347,190         DEFINED     01     332,761      13,975         454
VALE S A                          PFD   91912E204         549      24,210         OTHER       01      13,826      10,384           0
VALE S A                          PFD   91912E204       5,005     220,574         DEFINED  01,08     220,574           0           0

VALERO ENERGY CORP NEW            COM   91913Y100      22,957     890,834  SH     DEFINED     01     587,579     301,217       2,038
VALERO ENERGY CORP NEW            COM   91913Y100         530      20,555  SH     OTHER       01      19,590         440         525
VALERO ENERGY CORP NEW            COM   91913Y100     107,203   4,159,993  SH     DEFINED  01,08   1,020,821   3,139,172           0
VALERO ENERGY CORP NEW            COM   91913Y100      34,931   1,355,509  SH     DEFINED     09   1,355,509           0           0

VALLEY NATL BANCORP               COM   919794107       3,470     267,975  SH     DEFINED     01      84,645      25,895     157,435
VALLEY NATL BANCORP               COM   919794107          40       3,120  SH     OTHER       01       3,015           0         105
VALLEY NATL BANCORP               COM   919794107      17,152   1,324,492  SH     DEFINED  01,08     242,508   1,081,984           0

VALMONT INDS INC                  COM   920253101       2,490      21,205  SH     DEFINED     01      14,105       3,100       4,000
VALMONT INDS INC                  COM   920253101         411       3,500  SH     OTHER       01       3,500           0           0
VALMONT INDS INC                  COM   920253101      16,414     139,798  SH     DEFINED  01,08       6,751     133,047           0

VALSPAR CORP                      COM   920355104       7,953     164,690  SH     DEFINED     01     151,244      10,545       2,901
VALSPAR CORP                      COM   920355104         749      15,501  SH     OTHER       01       3,616      11,691         194
VALSPAR CORP                      COM   920355104      28,079     581,467  SH     DEFINED  01,08      43,591     537,876           0

VALUE LINE INC                    COM   920437100         121       9,825  SH     DEFINED     01         382       9,443           0
VALUE LINE INC                    COM   920437100         335      27,276  SH     DEFINED  01,08      11,074      16,202           0
VALUE LINE INC                    COM   920437100          66       5,336  SH     DEFINED     09       5,336           0           0

VALUECLICK INC                    COM   92046N102       2,752     139,408  SH     DEFINED     01      60,063      79,345           0
VALUECLICK INC                    COM   92046N102          13         675  SH     OTHER       01         470         205           0
VALUECLICK INC                    COM   92046N102      19,759   1,000,984  SH     DEFINED  01,08     128,165     872,819           0
VALUECLICK INC                    COM   92046N102       4,551     230,549  SH     DEFINED     09     230,549           0           0

VALUEVISION MEDIA INC             COM   92047K107          76      36,813  SH     DEFINED     01       3,668      33,145           0
VALUEVISION MEDIA INC             COM   92047K107         758     366,404  SH     DEFINED  01,08      44,428     321,976           0
VALUEVISION MEDIA INC             COM   92047K107         232     112,148  SH     DEFINED     09     112,148           0           0

VANDA PHARMACEUTICALS INC         COM   921659108         153      31,927  SH     DEFINED     01       7,322      24,605           0
VANDA PHARMACEUTICALS INC         COM   921659108       1,285     268,284  SH     DEFINED  01,08      34,880     233,404           0
VANDA PHARMACEUTICALS INC         COM   921659108         396      82,690  SH     DEFINED     09      82,690           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    318
  ________

VANGUARD SPECIALIZED PORTFOL      COM   921908844         558       9,533  SH     DEFINED     01       9,533           0           0
VANGUARD SPECIALIZED PORTFOL      COM   921908844         234       4,000  SH     OTHER       01         650       3,350           0

VANGUARD STAR FD                  COM   921909768       8,946     195,992  SH     OTHER       01     195,992           0           0

VANGUARD BD INDEX FD INC       UNDEFIND 921937835         900      11,314         DEFINED     01      11,067           0         247
VANGUARD BD INDEX FD INC       UNDEFIND 921937835         200       2,295         OTHER       01       2,295           0           0

VANGUARD TAX MANAGED INTL FD      COM   921943858       1,792      52,658  SH     DEFINED     01      52,658           0           0

VANGUARD WHITEHALL FDS INC        COM   921946406       3,509      72,411  SH     DEFINED     01      72,411           0           0
VANGUARD WHITEHALL FDS INC        COM   921946406         320       6,600  SH     OTHER       01           0       6,600           0

VANGUARD HEALTH SYS INC           COM   922036207         206      20,869  SH     DEFINED     01       3,610      17,259           0
VANGUARD HEALTH SYS INC           COM   922036207       2,848     288,844  SH     DEFINED  01,08      30,203     258,641           0
VANGUARD HEALTH SYS INC           COM   922036207         862      87,384  SH     DEFINED     09      87,384           0           0

VANGUARD WORLD FDS                COM   92204A306       7,327      69,663  SH     DEFINED     01      69,663           0           0

VANGUARD WORLD FDS                COM   92204A702       9,308     125,473  SH     DEFINED     01     125,073         400           0
VANGUARD WORLD FDS                COM   92204A702       1,464      19,730  SH     OTHER       01      15,450       1,980       2,300

VANGUARD WORLD FDS                COM   92204A801       3,814      46,399  SH     DEFINED     01      46,399           0           0

VANGUARD INTL EQUITY INDEX F      COM   922042775     182,598   4,129,315  SH     DEFINED     01   4,014,303      33,102      81,910
VANGUARD INTL EQUITY INDEX F      COM   922042775      27,836     629,482  SH     OTHER       01     471,597     137,805      20,080
VANGUARD INTL EQUITY INDEX F      COM   922042775          71       1,600  SH     DEFINED  01,08       1,600           0           0

VANGUARD INTL EQUITY INDEX F      COM   922042858     216,136   4,972,082  SH     DEFINED     01   4,128,103     791,488      52,491
VANGUARD INTL EQUITY INDEX F      COM   922042858      34,281     788,614  SH     OTHER       01     620,854      84,580      83,180
VANGUARD INTL EQUITY INDEX F      COM   922042858     102,441   2,356,594  SH     DEFINED  01,08   2,356,594           0           0

VANGUARD INTL EQUITY INDEX F      COM   922042866          26         494  SH     DEFINED     01         385           0         109
VANGUARD INTL EQUITY INDEX F      COM   922042866         565      10,633  SH     OTHER       01      10,233         400           0

VANGUARD NATURAL RESOURCES L      COM   92205F106         361      13,073  SH     DEFINED     01       7,890       5,183           0
VANGUARD NATURAL RESOURCES L      COM   92205F106          21         750  SH     OTHER       01         750           0           0
VANGUARD NATURAL RESOURCES L      COM   92205F106         775      28,046  SH     DEFINED  01,08      26,265       1,781           0

VARIAN MED SYS INC                COM   92220P105      10,177     147,580  SH     DEFINED     01      83,438      63,616         526
VARIAN MED SYS INC                COM   92220P105         292       4,235  SH     OTHER       01       4,148          87           0
VARIAN MED SYS INC                COM   92220P105      58,839     853,237  SH     DEFINED  01,08     205,513     647,724           0
VARIAN MED SYS INC                COM   92220P105      18,795     272,552  SH     DEFINED     09     272,552           0           0

VASCO DATA SEC INTL INC           COM   92230Y104         346      32,034  SH     DEFINED     01       5,206      26,828           0
VASCO DATA SEC INTL INC           COM   92230Y104       2,850     264,121  SH     DEFINED  01,08      40,105     224,016           0
VASCO DATA SEC INTL INC           COM   92230Y104         770      71,384  SH     DEFINED     09      71,384           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    319
  ________

VASCULAR SOLUTIONS INC            COM   92231M109         223      20,662  SH     DEFINED     01       3,687      16,975           0
VASCULAR SOLUTIONS INC            COM   92231M109       1,746     161,791  SH     DEFINED  01,08      27,247     134,544           0
VASCULAR SOLUTIONS INC            COM   92231M109         433      40,150  SH     DEFINED     09      40,150           0           0

VECTREN CORP                      COM   92240G101       4,792     164,901  SH     DEFINED     01     139,058      18,664       7,179
VECTREN CORP                      COM   92240G101         595      20,458  SH     OTHER       01       8,798       8,420       3,240
VECTREN CORP                      COM   92240G101      15,200     523,042  SH     DEFINED  01,08      43,288     479,754           0

VECTOR GROUP LTD                  COM   92240M108       1,311      73,975  SH     DEFINED     01      20,320      53,655           0
VECTOR GROUP LTD                  COM   92240M108       8,493     479,314  SH     DEFINED  01,08      80,014     399,300           0
VECTOR GROUP LTD                  COM   92240M108       2,385     134,617  SH     DEFINED     09     134,617           0           0

VEECO INSTRS INC DEL              COM   922417100       2,750      96,153  SH     DEFINED     01      26,793      69,360           0
VEECO INSTRS INC DEL              COM   922417100          34       1,200  SH     OTHER       01       1,200           0           0
VEECO INSTRS INC DEL              COM   922417100      12,184     426,006  SH     DEFINED  01,08      97,812     328,194           0
VEECO INSTRS INC DEL              COM   922417100       3,387     118,436  SH     DEFINED     09     118,436           0           0

VENOCO INC                        COM   92275P307       1,122     103,466  SH     DEFINED     01       6,441      97,025           0
VENOCO INC                        COM   92275P307       3,866     356,658  SH     DEFINED  01,08     111,487     245,171           0
VENOCO INC                        COM   92275P307         937      86,424  SH     DEFINED     09      86,424           0           0

VENTAS INC                        COM   92276F100      17,667     309,413  SH     DEFINED     01     156,166     152,099       1,148
VENTAS INC                        COM   92276F100         261       4,572  SH     OTHER       01       3,931         527         114
VENTAS INC                        COM   92276F100     141,778   2,482,971  SH     DEFINED  01,08     905,473   1,577,498           0
VENTAS INC                        COM   92276F100      68,057   1,191,897  SH     DEFINED     09   1,191,897           0           0

VENTRUS BIOSCIENCES INC           COM   922822101         181      18,191  SH     DEFINED  01,08           0      18,191           0

VANGUARD INDEX FDS                COM   922908413      25,091     389,788  SH     OTHER       01     389,788           0           0

VANGUARD INDEX FDS                COM   922908553         648      10,176  SH     DEFINED     01       9,876         300           0
VANGUARD INDEX FDS                COM   922908553          49         763  SH     OTHER       01         763           0           0

VANGUARD INDEX FDS                COM   922908595         409       4,699  SH     DEFINED     01       3,596       1,103           0

VANGUARD INDEX FDS                COM   922908611          10         145  SH     DEFINED     01         145           0           0
VANGUARD INDEX FDS                COM   922908611       4,063      57,735  SH     OTHER       01      57,735           0           0

VANGUARD INDEX FDS                COM   922908629         743       9,111  SH     DEFINED     01       8,721           0         390

VANGUARD INDEX FDS                COM   922908637         683      10,605  SH     DEFINED     01      10,605           0           0

VANGUARD INDEX FDS                COM   922908736         257       3,618  SH     DEFINED     01       3,618           0           0

VANGUARD INDEX FDS                COM   922908744         108       1,869  SH     DEFINED     01       1,869           0           0
VANGUARD INDEX FDS                COM   922908744         238       4,133  SH     OTHER       01       4,133           0           0

VANGUARD INDEX FDS                COM   922908751         416       5,284  SH     DEFINED     01       5,284           0           0
VANGUARD INDEX FDS                COM   922908751         279       3,550  SH     OTHER       01       3,550           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    320
  ________

VANGUARD INDEX FDS                COM   922908769      25,921     358,720  SH     DEFINED     01     354,020           0       4,700
VANGUARD INDEX FDS                COM   922908769      14,621     202,345  SH     OTHER       01     180,347      21,998           0

VEOLIA ENVIRONNEMENT              COM   92334N103         933      56,531  SH     DEFINED     01      54,324       2,140          67
VEOLIA ENVIRONNEMENT              COM   92334N103          35       2,107  SH     OTHER       01         921       1,186           0
VEOLIA ENVIRONNEMENT              COM   92334N103         396      23,994  SH     DEFINED  01,08      23,994           0           0

VERA BRADLEY INC                  COM   92335C106         492      16,297  SH     DEFINED     01       2,822      13,475           0
VERA BRADLEY INC                  COM   92335C106       5,547     183,733  SH     DEFINED  01,08      18,970     164,763           0
VERA BRADLEY INC                  COM   92335C106       1,706      56,504  SH     DEFINED     09      56,504           0           0

VERASTEM INC                      COM   92337C104          98       8,984  SH     DEFINED  01,08       4,852       4,132           0
VERASTEM INC                      COM   92337C104         372      34,067  SH     DEFINED     09      34,067           0           0

VERENIUM CORP                     COM   92340P209          10       2,410  SH     DEFINED     01           0       2,410           0
VERENIUM CORP                     COM   92340P209          69      16,559  SH     DEFINED  01,08       1,786      14,773           0

VERIFONE SYS INC                  COM   92342Y109       5,853     112,842  SH     DEFINED     01      78,954      32,992         896
VERIFONE SYS INC                  COM   92342Y109         552      10,636  SH     OTHER       01       6,807       3,829           0
VERIFONE SYS INC                  COM   92342Y109      34,979     674,364  SH     DEFINED  01,08      57,617     616,747           0

VERISIGN INC                      COM   92343E102       6,864     178,996  SH     DEFINED     01      93,753      83,929       1,314
VERISIGN INC                      COM   92343E102         105       2,737  SH     OTHER       01       2,602          55          80
VERISIGN INC                      COM   92343E102      46,471   1,211,769  SH     DEFINED  01,08     307,975     903,794           0
VERISIGN INC                      COM   92343E102      15,545     405,353  SH     DEFINED     09     405,353           0           0

VERIZON COMMUNICATIONS INC        COM   92343V104     245,694   6,426,720  SH     DEFINED     01   4,539,721   1,764,242     122,757
VERIZON COMMUNICATIONS INC        COM   92343V104      50,963   1,333,071  SH     OTHER       01     900,707     285,455     146,909
VERIZON COMMUNICATIONS INC        COM   92343V104     819,995  21,448,982  SH     DEFINED  01,08   5,429,432  16,019,550           0
VERIZON COMMUNICATIONS INC        COM   92343V104     264,387   6,915,705  SH     DEFINED     09   6,915,705           0           0

VERINT SYS INC                    COM   92343X100       2,742      84,671  SH     DEFINED     01      54,846      27,465       2,360
VERINT SYS INC                    COM   92343X100         253       7,797  SH     OTHER       01       2,935       4,062         800
VERINT SYS INC                    COM   92343X100       6,371     196,683  SH     DEFINED  01,08      24,856     171,827           0
VERINT SYS INC                    COM   92343X100       1,883      58,139  SH     DEFINED     09      58,139           0           0

VERISK ANALYTICS INC              COM   92345Y106       1,935      41,207  SH     DEFINED     01      27,761      13,446           0
VERISK ANALYTICS INC              COM   92345Y106          12         260  SH     OTHER       01         145         115           0
VERISK ANALYTICS INC              COM   92345Y106      19,757     420,624  SH     DEFINED  01,08      33,781     386,843           0
VERISK ANALYTICS INC              COM   92345Y106       8,342     177,613  SH     DEFINED     09     177,613           0           0

VERMILLION INC                    COM   92407M206           3       1,358  SH     DEFINED     01           0       1,358           0
VERMILLION INC                    COM   92407M206          49      24,015  SH     DEFINED  01,08       1,628      22,387           0

VERSAR INC                        COM   925297103           6       2,277  SH     DEFINED     01           0       2,277           0
VERSAR INC                        COM   925297103          43      16,018  SH     DEFINED  01,08       2,569      13,449           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    321
  ________

VERSO PAPER CORP                  COM   92531L108          32      17,260  SH     DEFINED     01       1,369      15,891           0
VERSO PAPER CORP                  COM   92531L108         244     129,564  SH     DEFINED  01,08      21,408     108,156           0
VERSO PAPER CORP                  COM   92531L108          94      50,241  SH     DEFINED     09      50,241           0           0

VERTEX PHARMACEUTICALS INC        COM   92532F100       5,468     133,330  SH     DEFINED     01     106,666      25,879         785
VERTEX PHARMACEUTICALS INC        COM   92532F100         110       2,671  SH     OTHER       01       2,273         265         133
VERTEX PHARMACEUTICALS INC        COM   92532F100      54,302   1,324,108  SH     DEFINED  01,08      99,559   1,224,549           0
VERTEX PHARMACEUTICALS INC        COM   92532F100      11,514     280,758  SH     DEFINED     09     280,758           0           0

VESTIN RLTY MTG II INC            COM   92549X201           4       2,683  SH     DEFINED     01           0       2,683           0
VESTIN RLTY MTG II INC            COM   92549X201          16      11,139  SH     DEFINED  01,08       5,167       5,972           0

VIAD CORP                         COM   92552R406       4,273     219,941  SH     DEFINED     01       9,809     210,132           0
VIAD CORP                         COM   92552R406       7,903     406,763  SH     DEFINED  01,08     233,933     172,830           0
VIAD CORP                         COM   92552R406       1,199      61,730  SH     DEFINED     09      61,730           0           0

VIASAT INC                        COM   92552V100       2,470      51,232  SH     DEFINED     01      18,575      32,657           0
VIASAT INC                        COM   92552V100      17,249     357,785  SH     DEFINED  01,08      56,022     301,763           0
VIASAT INC                        COM   92552V100       4,938     102,428  SH     DEFINED     09     102,428           0           0

VIASYSTEMS GROUP INC              COM   92553H803         130       6,843  SH     DEFINED     01         357       6,486           0
VIASYSTEMS GROUP INC              COM   92553H803         590      31,084  SH     DEFINED  01,08       7,075      24,009           0
VIASYSTEMS GROUP INC              COM   92553H803         225      11,839  SH     DEFINED     09      11,839           0           0

VIACOM INC NEW                    COM   92553P201      36,745     774,233  SH     DEFINED     01     460,250     308,450       5,533
VIACOM INC NEW                    COM   92553P201       2,511      52,899  SH     OTHER       01      16,610      34,187       2,102
VIACOM INC NEW                    COM   92553P201     193,231   4,071,457  SH     DEFINED  01,08     993,907   3,077,550           0
VIACOM INC NEW                    COM   92553P201      60,805   1,281,193  SH     DEFINED     09   1,281,193           0           0

VICAL INC                         COM   925602104         225      66,093  SH     DEFINED     01      14,318      51,775           0
VICAL INC                         COM   925602104           4       1,300  SH     OTHER       01           0       1,300           0
VICAL INC                         COM   925602104       2,597     763,727  SH     DEFINED  01,08      94,676     669,051           0
VICAL INC                         COM   925602104         787     231,559  SH     DEFINED     09     231,559           0           0

VICOR CORP                        COM   925815102         285      35,580  SH     DEFINED     01       9,356      26,224           0
VICOR CORP                        COM   925815102       1,619     202,419  SH     DEFINED  01,08      42,039     160,380           0
VICOR CORP                        COM   925815102         428      53,512  SH     DEFINED     09      53,512           0           0

VIDEO DISPLAY CORP                COM   926555103          40       7,208  SH     DEFINED     01           0       7,208           0
VIDEO DISPLAY CORP                COM   926555103          65      11,645  SH     DEFINED  01,08       7,684       3,961           0

VIEWPOINT FINL GROUP INC MD       COM   92672A101       1,828     118,828  SH     DEFINED     01      55,408      63,420           0
VIEWPOINT FINL GROUP INC MD       COM   92672A101          85       5,504  SH     OTHER       01       2,159       3,345           0
VIEWPOINT FINL GROUP INC MD       COM   92672A101       4,988     324,301  SH     DEFINED  01,08      64,564     259,737           0
VIEWPOINT FINL GROUP INC MD       COM   92672A101       1,442      93,786  SH     DEFINED     09      93,786           0           0

VILLAGE SUPER MKT INC             COM   927107409         379      11,994  SH     DEFINED     01       3,531       8,463           0
VILLAGE SUPER MKT INC             COM   927107409       1,987      62,892  SH     DEFINED  01,08      14,169      48,723           0
VILLAGE SUPER MKT INC             COM   927107409         476      15,053  SH     DEFINED     09      15,053           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    322
  ________

VINA CONCHA Y TORO S A            COM   927191106          11         238  SH     DEFINED     01         238           0           0
VINA CONCHA Y TORO S A            COM   927191106          87       1,900  SH     DEFINED  01,08       1,900           0           0
VINA CONCHA Y TORO S A            COM   927191106         542      11,798  SH     DEFINED     09      11,798           0           0

VIRCO MFG CO                      COM   927651109          24      11,562  SH     DEFINED     01           0      11,562           0
VIRCO MFG CO                      COM   927651109          61      29,785  SH     DEFINED  01,08      11,238      18,547           0

VIRGIN MEDIA INC                  COM   92769L101       3,512     140,586  SH     DEFINED     01     108,027      32,559           0
VIRGIN MEDIA INC                  COM   92769L101         118       4,710  SH     OTHER       01       1,470         690       2,550
VIRGIN MEDIA INC                  COM   92769L101      31,409   1,257,374  SH     DEFINED  01,08     365,938     891,436           0
VIRGIN MEDIA INC                  COM   92769L101      10,392     416,019  SH     DEFINED     09     416,019           0           0

VIRGINIA COMM BANCORP INC         COM   92778Q109         208      23,716  SH     DEFINED     01       5,554      18,162           0
VIRGINIA COMM BANCORP INC         COM   92778Q109       2,058     234,399  SH     DEFINED  01,08      28,476     205,923           0
VIRGINIA COMM BANCORP INC         COM   92778Q109         721      82,115  SH     DEFINED     09      82,115           0           0

VISION-SCIENCES INC DEL           COM   927912105          15       8,648  SH     DEFINED     01           0       8,648           0
VISION-SCIENCES INC DEL           COM   927912105          28      16,341  SH     DEFINED  01,08       6,659       9,682           0

VISTA GOLD CORP                   COM   927926303         172      54,659  SH     DEFINED     01      16,664      37,995           0
VISTA GOLD CORP                   COM   927926303       2,031     646,872  SH     DEFINED  01,08      63,539     583,333           0
VISTA GOLD CORP                   COM   927926303         609     193,983  SH     DEFINED     09     193,983           0           0

VIRNETX HLDG CORP                 COM   92823T108         986      41,209  SH     DEFINED     01       9,157      32,052           0
VIRNETX HLDG CORP                 COM   92823T108          36       1,500  SH     OTHER       01           0       1,500           0
VIRNETX HLDG CORP                 COM   92823T108       9,048     378,087  SH     DEFINED  01,08      48,646     329,441           0
VIRNETX HLDG CORP                 COM   92823T108       2,806     117,255  SH     DEFINED     09     117,255           0           0

VIROPHARMA INC                    COM   928241108      17,154     570,464  SH     DEFINED     01      37,195     533,269           0
VIROPHARMA INC                    COM   928241108      35,232   1,171,663  SH     DEFINED  01,08     590,938     580,725           0
VIROPHARMA INC                    COM   928241108       6,375     212,009  SH     DEFINED     09     212,009           0           0

VISA INC                          COM   92826C839      66,013     559,431  SH     DEFINED     01     282,521     275,735       1,175
VISA INC                          COM   92826C839       3,884      32,914  SH     OTHER       01      17,324       7,297       8,293
VISA INC                          COM   92826C839     439,885   3,727,842  SH     DEFINED  01,08     858,824   2,869,018           0
VISA INC                          COM   92826C839     147,357   1,248,786  SH     DEFINED     09   1,248,786           0           0

VIRTUSA CORP                      COM   92827P102         306      17,738  SH     DEFINED     01       9,005       8,733           0
VIRTUSA CORP                      COM   92827P102       2,540     147,068  SH     DEFINED  01,08      20,378     126,690           0
VIRTUSA CORP                      COM   92827P102         643      37,221  SH     DEFINED     09      37,221           0           0

VIRTUS INVT PARTNERS INC          COM   92828Q109         884      10,310  SH     DEFINED     01       2,869       7,441           0
VIRTUS INVT PARTNERS INC          COM   92828Q109           1           7  SH     OTHER       01           0           7           0
VIRTUS INVT PARTNERS INC          COM   92828Q109       5,006      58,357  SH     DEFINED  01,08      11,188      47,169           0
VIRTUS INVT PARTNERS INC          COM   92828Q109       1,769      20,627  SH     DEFINED     09      20,627           0           0

VISHAY INTERTECHNOLOGY INC        COM   928298108       1,245     102,364  SH     DEFINED     01      55,722      46,642           0
VISHAY INTERTECHNOLOGY INC        COM   928298108           1         110  SH     OTHER       01           0           0         110
VISHAY INTERTECHNOLOGY INC        COM   928298108      12,062     991,975  SH     DEFINED  01,08     116,500     875,475           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    323
  ________

VISHAY PRECISION GROUP INC        COM   92835K103         188      12,656  SH     DEFINED     01       3,703       8,953           0
VISHAY PRECISION GROUP INC        COM   92835K103           0          10  SH     OTHER       01           0           0          10
VISHAY PRECISION GROUP INC        COM   92835K103       1,690     113,934  SH     DEFINED  01,08      14,860      99,074           0
VISHAY PRECISION GROUP INC        COM   92835K103         468      31,546  SH     DEFINED     09      31,546           0           0

VISTEON CORP                      COM   92839U206       3,273      61,757  SH     DEFINED     01      53,408       5,151       3,198
VISTEON CORP                      COM   92839U206          73       1,369  SH     OTHER       01         958         411           0
VISTEON CORP                      COM   92839U206       9,122     172,120  SH     DEFINED  01,08      16,676     155,444           0

VITACOST COM INC                  COM   92847A200         232      29,123  SH     DEFINED  01,08           0      29,123           0

VITAMIN SHOPPE INC                COM   92849E101       1,463      33,091  SH     DEFINED     01      10,942      22,149           0
VITAMIN SHOPPE INC                COM   92849E101      10,534     238,270  SH     DEFINED  01,08      35,006     203,264           0
VITAMIN SHOPPE INC                COM   92849E101       3,213      72,685  SH     DEFINED     09      72,685           0           0

VITESSE SEMICONDUCTOR CORP        COM   928497304           6       1,725  SH     DEFINED     01          56       1,669           0
VITESSE SEMICONDUCTOR CORP        COM   928497304         117      31,522  SH     DEFINED  01,08       2,076      29,446           0

VIVUS INC                         COM   928551100       2,113      94,484  SH     DEFINED     01      24,737      69,747           0
VIVUS INC                         COM   928551100      19,155     856,681  SH     DEFINED  01,08     125,401     731,280           0
VIVUS INC                         COM   928551100       6,463     289,031  SH     DEFINED     09     289,031           0           0

VMWARE INC                        COM   928563402      19,255     171,355  SH     DEFINED     01     137,752      32,501       1,102
VMWARE INC                        COM   928563402       1,670      14,865  SH     OTHER       01      12,452       2,388          25
VMWARE INC                        COM   928563402      31,835     283,307  SH     DEFINED  01,08      47,829     235,478           0
VMWARE INC                        COM   928563402      13,405     119,291  SH     DEFINED     09     119,291           0           0

VODAFONE GROUP PLC NEW            COM   92857W209      67,276   2,431,372  SH     DEFINED     01   2,054,655     310,900      65,817
VODAFONE GROUP PLC NEW            COM   92857W209      10,534     380,707  SH     OTHER       01     245,297     119,177      16,233
VODAFONE GROUP PLC NEW            COM   92857W209      23,074     833,913  SH     DEFINED  01,08     810,699       1,184      22,030

VOCUS INC                         COM   92858J108         313      23,659  SH     DEFINED     01       3,693      19,966           0
VOCUS INC                         COM   92858J108       2,315     174,745  SH     DEFINED  01,08      27,079     147,666           0
VOCUS INC                         COM   92858J108         701      52,894  SH     DEFINED     09      52,894           0           0

VOLCANO CORPORATION               COM   928645100       2,141      75,453  SH     DEFINED     01      15,832      59,621           0
VOLCANO CORPORATION               COM   928645100          48       1,701  SH     OTHER       01         475       1,226           0
VOLCANO CORPORATION               COM   928645100      14,197     500,248  SH     DEFINED  01,08      75,624     424,624           0
VOLCANO CORPORATION               COM   928645100       4,266     150,303  SH     DEFINED     09     150,303           0           0

VOLTERRA SEMICONDUCTOR CORP       COM   928708106       1,426      41,445  SH     DEFINED     01      13,578      27,867           0
VOLTERRA SEMICONDUCTOR CORP       COM   928708106       8,408     244,308  SH     DEFINED  01,08      45,304     199,004           0
VOLTERRA SEMICONDUCTOR CORP       COM   928708106       2,296      66,716  SH     DEFINED     09      66,716           0           0

VONAGE HLDGS CORP                 COM   92886T201         377     170,637  SH     DEFINED     01      58,185     112,452           0
VONAGE HLDGS CORP                 COM   92886T201          97      43,800  SH     OTHER       01           0      43,800           0
VONAGE HLDGS CORP                 COM   92886T201       2,837   1,283,881  SH     DEFINED  01,08     160,419   1,123,462           0
VONAGE HLDGS CORP                 COM   92886T201         856     387,243  SH     DEFINED     09     387,243           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    324
  ________

VORNADO RLTY TR                   COM   929042109      16,645     197,682  SH     DEFINED     01      98,778      97,866       1,038
VORNADO RLTY TR                   COM   929042109         462       5,491  SH     OTHER       01       5,431          60           0
VORNADO RLTY TR                   COM   929042109     136,498   1,621,120  SH     DEFINED  01,08     587,213   1,033,907           0
VORNADO RLTY TR                   COM   929042109      42,013     498,961  SH     DEFINED     09     498,961           0           0

VOYAGER OIL & GAS INC             COM   92911K100          85      34,999  SH     DEFINED     01      10,635      24,364           0
VOYAGER OIL & GAS INC             COM   92911K100       1,001     411,762  SH     DEFINED  01,08      40,481     371,281           0
VOYAGER OIL & GAS INC             COM   92911K100         316     130,186  SH     DEFINED     09     130,186           0           0

VULCAN MATLS CO                   COM   929160109       6,208     145,277  SH     DEFINED     01      78,777      66,251         249
VULCAN MATLS CO                   COM   929160109         327       7,657  SH     OTHER       01       1,688       4,454       1,515
VULCAN MATLS CO                   COM   929160109      39,895     933,664  SH     DEFINED  01,08     217,434     716,230           0
VULCAN MATLS CO                   COM   929160109      13,298     311,218  SH     DEFINED     09     311,218           0           0

W & T OFFSHORE INC                COM   92922P106         727      34,492  SH     DEFINED     01       9,153      25,339           0
W & T OFFSHORE INC                COM   92922P106       6,811     323,091  SH     DEFINED  01,08      41,103     281,988           0
W & T OFFSHORE INC                COM   92922P106       2,041      96,816  SH     DEFINED     09      96,816           0           0

WD-40 CO                          COM   929236107       1,296      28,581  SH     DEFINED     01       8,092      20,489           0
WD-40 CO                          COM   929236107         209       4,598  SH     OTHER       01       4,598           0           0
WD-40 CO                          COM   929236107       7,463     164,560  SH     DEFINED  01,08      32,333     132,227           0
WD-40 CO                          COM   929236107       2,292      50,535  SH     DEFINED     09      50,535           0           0

WGL HLDGS INC                     COM   92924F106       2,610      64,127  SH     DEFINED     01      18,675      45,352         100
WGL HLDGS INC                     COM   92924F106         326       8,000  SH     OTHER       01           0       8,000           0
WGL HLDGS INC                     COM   92924F106      25,837     634,819  SH     DEFINED  01,08      74,538     560,281           0
WGL HLDGS INC                     COM   92924F106       5,913     145,282  SH     DEFINED     09     145,282           0           0

WABCO HLDGS INC                   COM   92927K102       1,273      21,050  SH     DEFINED     01      14,256       6,794           0
WABCO HLDGS INC                   COM   92927K102      14,155     234,047  SH     DEFINED  01,08      30,049     203,998           0

WMS INDS INC                      COM   929297109         905      38,147  SH     DEFINED     01      16,798      21,349           0
WMS INDS INC                      COM   929297109       8,365     352,490  SH     DEFINED  01,08      30,309     322,181           0

W P CAREY & CO LLC                COM   92930Y107       2,373      51,011  SH     DEFINED     01       1,000      50,011           0
W P CAREY & CO LLC                COM   92930Y107       2,389      51,356  SH     DEFINED  01,08      50,689         667           0

WPCS INTL INC                     COM   92931L203           2       1,397  SH     DEFINED     01           0       1,397           0
WPCS INTL INC                     COM   92931L203          15      12,187  SH     DEFINED  01,08       1,620      10,567           0

WSFS FINL CORP                    COM   929328102       3,000      73,177  SH     DEFINED     01       1,922      71,255           0
WSFS FINL CORP                    COM   929328102       5,365     130,842  SH     DEFINED  01,08      75,195      55,647           0
WSFS FINL CORP                    COM   929328102         818      19,954  SH     DEFINED     09      19,954           0           0

WPP PLC                           COM   92933H101      10,966     160,387  SH     DEFINED     01     148,410      11,000         977
WPP PLC                           COM   92933H101         702      10,274  SH     OTHER       01       7,160       1,449       1,665
WPP PLC                           COM   92933H101         870      12,728  SH     DEFINED  01,08      12,728           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    325
  ________

WABASH NATL CORP                  COM   929566107         866      83,689  SH     DEFINED     01      20,331      63,358           0
WABASH NATL CORP                  COM   929566107       6,606     638,302  SH     DEFINED  01,08      82,765     555,537           0
WABASH NATL CORP                  COM   929566107       2,060     199,007  SH     DEFINED     09     199,007           0           0

WABTEC CORP                       COM   929740108       3,816      50,629  SH     DEFINED     01      33,705      16,399         525
WABTEC CORP                       COM   929740108         194       2,574  SH     OTHER       01       1,227       1,347           0
WABTEC CORP                       COM   929740108      22,401     297,220  SH     DEFINED  01,08      14,217     283,003           0

WACOAL HOLDINGS CORP              COM   930004205       1,223      20,824  SH     DEFINED     01       3,239      17,585           0
WACOAL HOLDINGS CORP              COM   930004205         162       2,759  SH     OTHER       01           0       2,419         340

WADDELL & REED FINL INC           COM   930059100       8,824     272,254  SH     DEFINED     01     244,393      26,189       1,672
WADDELL & REED FINL INC           COM   930059100         450      13,883  SH     OTHER       01      13,443         400          40
WADDELL & REED FINL INC           COM   930059100      17,649     544,541  SH     DEFINED  01,08      41,695     502,846           0

WAL MART STORES INC               COM   931142103     269,596   4,405,161  SH     DEFINED     01   3,181,184   1,142,796      81,181
WAL MART STORES INC               COM   931142103      42,978     702,251  SH     OTHER       01     486,834     172,534      42,883
WAL MART STORES INC               COM   931142103     818,276  13,370,522  SH     DEFINED  01,08   3,391,855   9,968,629      10,038
WAL MART STORES INC               COM   931142103     247,409   4,042,637  SH     DEFINED     09   4,042,637           0           0

WALGREEN CO                       COM   931422109      78,246   2,336,390  SH     DEFINED     01   1,462,830     764,935     108,625
WALGREEN CO                       COM   931422109      33,710   1,006,560  SH     OTHER       01     590,507     304,445     111,608
WALGREEN CO                       COM   931422109     225,220   6,724,993  SH     DEFINED  01,08   1,683,684   5,041,309           0
WALGREEN CO                       COM   931422109      72,424   2,162,564  SH     DEFINED     09   2,162,564           0           0

WALKER & DUNLOP INC               COM   93148P102          81       6,428  SH     DEFINED     01         972       5,456           0
WALKER & DUNLOP INC               COM   93148P102       1,173      93,134  SH     DEFINED  01,08       8,768      84,366           0
WALKER & DUNLOP INC               COM   93148P102         390      30,960  SH     DEFINED     09      30,960           0           0

WALTER ENERGY INC                 COM   93317Q105       1,087      18,353  SH     DEFINED     01      11,631       6,722           0
WALTER ENERGY INC                 COM   93317Q105         458       7,740  SH     OTHER       01       7,700           0          40
WALTER ENERGY INC                 COM   93317Q105      12,888     217,661  SH     DEFINED  01,08      25,975     191,686           0
WALTER ENERGY INC                 COM   93317Q105       5,176      87,423  SH     DEFINED     09      87,423           0           0

WALTER INVT MGMT CORP             COM   93317W102         691      30,639  SH     DEFINED     01       6,663      23,976           0
WALTER INVT MGMT CORP             COM   93317W102       5,663     251,116  SH     DEFINED  01,08      36,927     214,189           0
WALTER INVT MGMT CORP             COM   93317W102       1,627      72,150  SH     DEFINED     09      72,150           0           0

WARNACO GROUP INC                 COM   934390402       4,242      72,631  SH     DEFINED     01      13,719      58,912           0
WARNACO GROUP INC                 COM   934390402      30,810     527,571  SH     DEFINED  01,08      85,023     442,548           0
WARNACO GROUP INC                 COM   934390402       7,209     123,444  SH     DEFINED     09     123,444           0           0

WARREN RES INC                    COM   93564A100         335     102,875  SH     DEFINED     01      20,708      82,167           0
WARREN RES INC                    COM   93564A100       2,360     723,969  SH     DEFINED  01,08     131,231     592,738           0
WARREN RES INC                    COM   93564A100         600     184,047  SH     DEFINED     09     184,047           0           0

WARWICK VALLEY TEL CO             COM   936750108          31       2,066  SH     DEFINED     01           0       2,066           0
WARWICK VALLEY TEL CO             COM   936750108         130       8,771  SH     DEFINED  01,08       2,632       6,139           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    326
  ________

WASHINGTON BKG CO OAK HBR WA      COM   937303105         784      56,797  SH     DEFINED     01       3,785      53,012           0
WASHINGTON BKG CO OAK HBR WA      COM   937303105       2,581     186,879  SH     DEFINED  01,08      62,905     123,974           0
WASHINGTON BKG CO OAK HBR WA      COM   937303105         650      47,097  SH     DEFINED     09      47,097           0           0

WASHINGTON FED INC                COM   938824109       6,647     394,938  SH     DEFINED     01      26,808     368,130           0
WASHINGTON FED INC                COM   938824109           1          55  SH     OTHER       01           0           0          55
WASHINGTON FED INC                COM   938824109      17,571   1,044,045  SH     DEFINED  01,08     408,141     635,904           0

WASHINGTON POST CO                COM   939640108       1,941       5,195  SH     DEFINED     01       2,647       2,548           0
WASHINGTON POST CO                COM   939640108         247         660  SH     OTHER       01         110         550           0
WASHINGTON POST CO                COM   939640108      13,477      36,076  SH     DEFINED  01,08       8,182      27,894           0
WASHINGTON POST CO                COM   939640108       4,538      12,148  SH     DEFINED     09      12,148           0           0

WASHINGTON REAL ESTATE INVT       COM   939653101       7,022     236,416  SH     DEFINED     01      20,516     215,780         120
WASHINGTON REAL ESTATE INVT       COM   939653101         122       4,100  SH     OTHER       01           0       3,000       1,100
WASHINGTON REAL ESTATE INVT       COM   939653101      26,083     878,199  SH     DEFINED  01,08     346,916     531,283           0
WASHINGTON REAL ESTATE INVT       COM   939653101       6,644     223,695  SH     DEFINED     09     223,695           0           0

WASHINGTON TR BANCORP             COM   940610108       3,424     141,846  SH     DEFINED     01       5,063     134,758       2,025
WASHINGTON TR BANCORP             COM   940610108       6,247     258,777  SH     DEFINED  01,08     143,407     115,370           0
WASHINGTON TR BANCORP             COM   940610108       1,117      46,253  SH     DEFINED     09      46,253           0           0

WASTE CONNECTIONS INC             COM   941053100       2,506      77,022  SH     DEFINED     01      64,892      11,915         215
WASTE CONNECTIONS INC             COM   941053100          19         580  SH     OTHER       01         455         125           0
WASTE CONNECTIONS INC             COM   941053100      24,663     758,148  SH     DEFINED  01,08      50,614     707,534           0

WASTE MGMT INC DEL                COM   94106L109      46,721   1,336,402  SH     DEFINED     01   1,064,912     243,041      28,449
WASTE MGMT INC DEL                COM   94106L109       4,189     119,812  SH     OTHER       01      87,177      32,520         115
WASTE MGMT INC DEL                COM   94106L109     119,354   3,414,021  SH     DEFINED  01,08     815,406   2,598,615           0
WASTE MGMT INC DEL                COM   94106L109      39,413   1,127,368  SH     DEFINED     09   1,127,368           0           0

WATERS CORP                       COM   941848103      25,988     280,465  SH     DEFINED     01     217,218      60,369       2,878
WATERS CORP                       COM   941848103       2,603      28,097  SH     OTHER       01      21,802       5,520         775
WATERS CORP                       COM   941848103      62,723     676,920  SH     DEFINED  01,08     164,499     512,421           0
WATERS CORP                       COM   941848103      19,835     214,057  SH     DEFINED     09     214,057           0           0

WATERSTONE FINANCIAL INC          COM   941888109          33      10,505  SH     DEFINED     01         160      10,345           0
WATERSTONE FINANCIAL INC          COM   941888109          77      24,487  SH     DEFINED  01,08      12,512      11,975           0

WATSCO INC                        COM   942622200       2,683      36,236  SH     DEFINED     01       8,798      27,438           0
WATSCO INC                        COM   942622200          15         200  SH     OTHER       01         200           0           0
WATSCO INC                        COM   942622200      25,776     348,140  SH     DEFINED  01,08      43,811     304,329           0
WATSCO INC                        COM   942622200       5,903      79,728  SH     DEFINED     09      79,728           0           0

WATSON PHARMACEUTICALS INC        COM   942683103      26,653     397,454  SH     DEFINED     01     308,288      84,077       5,089
WATSON PHARMACEUTICALS INC        COM   942683103       2,549      38,006  SH     OTHER       01      20,617      17,277         112
WATSON PHARMACEUTICALS INC        COM   942683103      63,314     944,140  SH     DEFINED  01,08     222,187     721,953           0
WATSON PHARMACEUTICALS INC        COM   942683103      21,704     323,656  SH     DEFINED     09     323,656           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    327
  ________

WATTS WATER TECHNOLOGIES INC      COM   942749102       8,625     211,660  SH     DEFINED     01      14,490     197,170           0
WATTS WATER TECHNOLOGIES INC      COM   942749102      19,093     468,546  SH     DEFINED  01,08     223,595     244,951           0
WATTS WATER TECHNOLOGIES INC      COM   942749102       3,516      86,294  SH     DEFINED     09      86,294           0           0

WAUSAU PAPER CORP                 COM   943315101         621      66,240  SH     DEFINED     01      25,353      40,887           0
WAUSAU PAPER CORP                 COM   943315101       4,622     492,791  SH     DEFINED  01,08      87,633     405,158           0
WAUSAU PAPER CORP                 COM   943315101       1,274     135,778  SH     DEFINED     09     135,778           0           0

WAVE SYSTEMS CORP                 COM   943526301         132      71,098  SH     DEFINED     01      21,222      49,876           0
WAVE SYSTEMS CORP                 COM   943526301       1,382     743,010  SH     DEFINED  01,08      79,024     663,986           0
WAVE SYSTEMS CORP                 COM   943526301         423     227,606  SH     DEFINED     09     227,606           0           0

WAYNE SVGS BANCSHARES INC NE      COM   94624Q101          49       5,810  SH     DEFINED     01           0       5,810           0
WAYNE SVGS BANCSHARES INC NE      COM   94624Q101          68       8,089  SH     DEFINED  01,08       5,718       2,371           0

WAYSIDE TECHNOLOGY GROUP INC      COM   946760105          63       4,441  SH     DEFINED     01           0       4,441           0
WAYSIDE TECHNOLOGY GROUP INC      COM   946760105         104       7,346  SH     DEFINED  01,08       3,840       3,506           0

WEB COM GROUP INC                 COM   94733A104         520      36,056  SH     DEFINED     01      12,687      23,369           0
WEB COM GROUP INC                 COM   94733A104       4,089     283,335  SH     DEFINED  01,08      43,043     240,292           0
WEB COM GROUP INC                 COM   94733A104       1,182      81,944  SH     DEFINED     09      81,944           0           0

WEBSENSE INC                      COM   947684106       1,217      57,699  SH     DEFINED     01      16,924      40,775           0
WEBSENSE INC                      COM   947684106       8,212     389,397  SH     DEFINED  01,08      69,234     320,163           0
WEBSENSE INC                      COM   947684106       2,629     124,661  SH     DEFINED     09     124,661           0           0

WEBMD HEALTH CORP                 COM   94770V102         416      16,247  SH     DEFINED     01      11,080       5,167           0
WEBMD HEALTH CORP                 COM   94770V102       4,737     185,185  SH     DEFINED  01,08      15,652     169,533           0

WEBMEDIABRANDS INC                COM   94770W100          16      14,944  SH     DEFINED     01           0      14,944           0
WEBMEDIABRANDS INC                COM   94770W100          33      32,080  SH     DEFINED  01,08      10,400      21,680           0

WEBSTER FINL CORP CONN            COM   947890109       3,903     172,156  SH     DEFINED     01      50,216     120,905       1,035
WEBSTER FINL CORP CONN            COM   947890109          17         735  SH     OTHER       01         735           0           0
WEBSTER FINL CORP CONN            COM   947890109      21,631     954,174  SH     DEFINED  01,08     159,510     794,664           0
WEBSTER FINL CORP CONN            COM   947890109       4,758     209,882  SH     DEFINED     09     209,882           0           0

WEIGHT WATCHERS INTL INC NEW      COM   948626106         780      10,111  SH     DEFINED     01       6,565       3,546           0
WEIGHT WATCHERS INTL INC NEW      COM   948626106          98       1,265  SH     OTHER       01       1,240           0          25
WEIGHT WATCHERS INTL INC NEW      COM   948626106       7,693      99,663  SH     DEFINED  01,08       9,799      89,864           0
WEIGHT WATCHERS INTL INC NEW      COM   948626106          97       1,263  SH     DEFINED     09       1,263           0           0

WEINGARTEN RLTY INVS              COM   948741103       4,164     157,540  SH     DEFINED     01      28,712     128,618         210
WEINGARTEN RLTY INVS              COM   948741103          94       3,575  SH     OTHER       01       3,250           0         325
WEINGARTEN RLTY INVS              COM   948741103      27,129   1,026,447  SH     DEFINED  01,08     323,312     703,135           0
WEINGARTEN RLTY INVS              COM   948741103       1,565      59,214  SH     DEFINED     09      59,214           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    328
  ________

WEIS MKTS INC                     COM   948849104         858      19,683  SH     DEFINED     01       2,538      17,145           0
WEIS MKTS INC                     COM   948849104       5,384     123,478  SH     DEFINED  01,08      25,061      98,417           0
WEIS MKTS INC                     COM   948849104       1,376      31,551  SH     DEFINED     09      31,551           0           0

WELLCARE HEALTH PLANS INC         COM   94946T106       5,989      83,314  SH     DEFINED     01      12,120      71,194           0
WELLCARE HEALTH PLANS INC         COM   94946T106      40,556     564,215  SH     DEFINED  01,08      97,109     467,106           0
WELLCARE HEALTH PLANS INC         COM   94946T106       8,869     123,389  SH     DEFINED     09     123,389           0           0

WELLPOINT INC                     COM   94973V107      32,342     438,240  SH     DEFINED     01     259,052     177,523       1,665
WELLPOINT INC                     COM   94973V107         562       7,621  SH     OTHER       01       5,836       1,785           0
WELLPOINT INC                     COM   94973V107     187,550   2,541,326  SH     DEFINED  01,08     630,753   1,910,573           0
WELLPOINT INC                     COM   94973V107      63,046     854,287  SH     DEFINED     09     854,287           0           0

WELLS FARGO & CO NEW              COM   949746101     499,294  14,624,888  SH     DEFINED     01  10,564,026   3,607,847     453,015
WELLS FARGO & CO NEW              COM   949746101      87,448   2,561,456  SH     OTHER       01   1,640,717     719,840     200,899
WELLS FARGO & CO NEW              COM   949746101   1,328,808  38,922,321  SH     DEFINED  01,08   9,845,101  29,054,615      22,605
WELLS FARGO & CO NEW              COM   949746101     420,034  12,303,286  SH     DEFINED     09  12,303,286           0           0

WELLS FARGO & CO NEW           CONV PFD 949746804         317         284         DEFINED     01         284           0           0

WELLS GARDNER ELECTRS CORP        COM   949765101          10       4,529  SH     DEFINED     01           0       4,529           0
WELLS GARDNER ELECTRS CORP        COM   949765101          37      16,057  SH     DEFINED  01,08       4,844      11,213           0

WENDYS CO                         COM   95058W100         622     124,119  SH     DEFINED     01      99,419      24,700           0
WENDYS CO                         COM   95058W100           1         155  SH     OTHER       01           0           0         155
WENDYS CO                         COM   95058W100       9,251   1,846,487  SH     DEFINED  01,08     109,950   1,736,537           0

WERNER ENTERPRISES INC            COM   950755108       1,555      62,558  SH     DEFINED     01      11,258      51,300           0
WERNER ENTERPRISES INC            COM   950755108      13,990     562,745  SH     DEFINED  01,08      72,644     490,101           0
WERNER ENTERPRISES INC            COM   950755108       2,936     118,084  SH     DEFINED     09     118,084           0           0

WESBANCO INC                      COM   950810101       2,087     103,633  SH     DEFINED     01      14,305      89,328           0
WESBANCO INC                      COM   950810101       6,041     299,940  SH     DEFINED  01,08     104,081     195,859           0
WESBANCO INC                      COM   950810101       1,390      69,034  SH     DEFINED     09      69,034           0           0

WESCO AIRCRAFT HLDGS INC          COM   950814103         190      11,738  SH     DEFINED     01       1,911       9,827           0
WESCO AIRCRAFT HLDGS INC          COM   950814103       3,087     190,566  SH     DEFINED  01,08      19,021     171,545           0
WESCO AIRCRAFT HLDGS INC          COM   950814103         974      60,132  SH     DEFINED     09      60,132           0           0

WESCO INTL INC                    COM   95082P105       2,343      35,876  SH     DEFINED     01      23,977      11,779         120
WESCO INTL INC                    COM   95082P105          21         325  SH     OTHER       01         250          70           5
WESCO INTL INC                    COM   95082P105      10,117     154,907  SH     DEFINED  01,08      26,300     128,607           0

WEST BANCORPORATION INC           COM   95123P106         133      13,319  SH     DEFINED     01       3,186      10,133           0
WEST BANCORPORATION INC           COM   95123P106       1,366     136,726  SH     DEFINED  01,08      17,888     118,838           0
WEST BANCORPORATION INC           COM   95123P106         237      23,703  SH     DEFINED     09      23,703           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    329
  ________

WEST COAST BANCORP ORE NEW        COM   952145209         307      16,243  SH     DEFINED     01       5,072      11,171           0
WEST COAST BANCORP ORE NEW        COM   952145209       3,401     179,750  SH     DEFINED  01,08      21,178     158,572           0
WEST COAST BANCORP ORE NEW        COM   952145209         928      49,040  SH     DEFINED     09      49,040           0           0

WEST MARINE INC                   COM   954235107         236      19,682  SH     DEFINED     01       2,830      16,852           0
WEST MARINE INC                   COM   954235107       1,650     137,704  SH     DEFINED  01,08      21,203     116,501           0
WEST MARINE INC                   COM   954235107         535      44,649  SH     DEFINED     09      44,649           0           0

WEST PHARMACEUTICAL SVSC INC      COM   955306105       3,710      87,235  SH     DEFINED     01      46,368      39,662       1,205
WEST PHARMACEUTICAL SVSC INC      COM   955306105          65       1,540  SH     OTHER       01         930         610           0
WEST PHARMACEUTICAL SVSC INC      COM   955306105      14,122     332,057  SH     DEFINED  01,08      58,050     274,007           0
WEST PHARMACEUTICAL SVSC INC      COM   955306105       4,002      94,105  SH     DEFINED     09      94,105           0           0

WESTAR ENERGY INC                 COM   95709T100         660      23,648  SH     DEFINED     01      15,541       7,897         210
WESTAR ENERGY INC                 COM   95709T100         228       8,160  SH     OTHER       01           0       5,370       2,790
WESTAR ENERGY INC                 COM   95709T100      20,761     743,338  SH     DEFINED  01,08      50,688     692,650           0

WESTAMERICA BANCORPORATION        COM   957090103       5,367     111,813  SH     DEFINED     01      79,557      30,801       1,455
WESTAMERICA BANCORPORATION        COM   957090103         118       2,452  SH     OTHER       01       1,492         760         200
WESTAMERICA BANCORPORATION        COM   957090103      17,158     357,450  SH     DEFINED  01,08      41,778     315,672           0
WESTAMERICA BANCORPORATION        COM   957090103       4,195      87,390  SH     DEFINED     09      87,390           0           0

WESTELL TECHNOLOGIES INC          COM   957541105         151      64,769  SH     DEFINED     01       5,777      58,992           0
WESTELL TECHNOLOGIES INC          COM   957541105       1,165     499,890  SH     DEFINED  01,08      68,485     431,405           0
WESTELL TECHNOLOGIES INC          COM   957541105         301     129,063  SH     DEFINED     09     129,063           0           0

WESTERN ALLIANCE BANCORP          COM   957638109         671      79,173  SH     DEFINED     01      20,042      59,131           0
WESTERN ALLIANCE BANCORP          COM   957638109       5,737     677,375  SH     DEFINED  01,08      89,745     587,630           0
WESTERN ALLIANCE BANCORP          COM   957638109       1,682     198,582  SH     DEFINED     09     198,582           0           0

WESTERN DIGITAL CORP              COM   958102105      19,045     460,141  SH     DEFINED     01     320,929     136,760       2,452
WESTERN DIGITAL CORP              COM   958102105         549      13,260  SH     OTHER       01      12,298         847         115
WESTERN DIGITAL CORP              COM   958102105      72,046   1,740,667  SH     DEFINED  01,08     431,755   1,308,912           0
WESTERN DIGITAL CORP              COM   958102105      24,656     595,692  SH     DEFINED     09     595,692           0           0

WESTERN GAS PARTNERS LP           COM   958254104         157       3,400  SH     DEFINED     01         900           0       2,500
WESTERN GAS PARTNERS LP           COM   958254104         198       4,300  SH     OTHER       01       4,300           0           0
WESTERN GAS PARTNERS LP           COM   958254104         966      20,932  SH     DEFINED  01,08      20,932           0           0

WESTERN REFNG INC                 COM   959319104       1,403      74,537  SH     DEFINED     01      12,696      61,841           0
WESTERN REFNG INC                 COM   959319104          26       1,363  SH     OTHER       01         380         983           0
WESTERN REFNG INC                 COM   959319104       9,765     518,861  SH     DEFINED  01,08      86,371     432,490           0
WESTERN REFNG INC                 COM   959319104       3,060     162,578  SH     DEFINED     09     162,578           0           0

WESTERN UN CO                     COM   959802109      15,800     897,738  SH     DEFINED     01     499,830     387,081      10,827
WESTERN UN CO                     COM   959802109       1,912     108,641  SH     OTHER       01      82,053      21,194       5,394
WESTERN UN CO                     COM   959802109      82,915   4,711,095  SH     DEFINED  01,08   1,153,904   3,557,191           0
WESTERN UN CO                     COM   959802109      27,337   1,553,253  SH     DEFINED     09   1,553,253           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    330
  ________

WESTFIELD FINANCIAL INC NEW       COM   96008P104         657      83,020  SH     DEFINED     01      40,142      41,303       1,575
WESTFIELD FINANCIAL INC NEW       COM   96008P104          25       3,165  SH     OTHER       01       2,035       1,130           0
WESTFIELD FINANCIAL INC NEW       COM   96008P104       2,100     265,510  SH     DEFINED  01,08      40,116     225,394           0
WESTFIELD FINANCIAL INC NEW       COM   96008P104         646      81,614  SH     DEFINED     09      81,614           0           0

WESTINGHOUSE SOLAR                COM   96040V101           0         753  SH     DEFINED     01           0         753           0
WESTINGHOUSE SOLAR                COM   96040V101           6      11,582  SH     DEFINED  01,08         228      11,354           0

WESTLAKE CHEM CORP                COM   960413102       5,222      80,603  SH     DEFINED     01       3,183      77,420           0
WESTLAKE CHEM CORP                COM   960413102       9,213     142,203  SH     DEFINED  01,08      83,149      59,054           0

WESTMORELAND COAL CO              COM   960878106         108       9,647  SH     DEFINED     01       2,181       7,466           0
WESTMORELAND COAL CO              COM   960878106       1,042      93,329  SH     DEFINED  01,08      14,480      78,849           0
WESTMORELAND COAL CO              COM   960878106         315      28,172  SH     DEFINED     09      28,172           0           0

WESTPAC BKG CORP                  COM   961214301       7,432      65,332  SH     DEFINED     01      62,971       2,361           0
WESTPAC BKG CORP                  COM   961214301         186       1,632  SH     OTHER       01         690         942           0
WESTPAC BKG CORP                  COM   961214301       3,463      30,443  SH     DEFINED  01,08      30,443           0           0

WESTWOOD HLDGS GROUP INC          COM   961765104         402      10,373  SH     DEFINED     01         918       9,455           0
WESTWOOD HLDGS GROUP INC          COM   961765104       2,440      63,007  SH     DEFINED  01,08      12,762      50,245           0
WESTWOOD HLDGS GROUP INC          COM   961765104         579      14,948  SH     DEFINED     09      14,948           0           0

WET SEAL INC                      COM   961840105         830     240,605  SH     DEFINED     01      19,123     221,482           0
WET SEAL INC                      COM   961840105       3,499   1,014,107  SH     DEFINED  01,08     281,042     733,065           0
WET SEAL INC                      COM   961840105         996     288,663  SH     DEFINED     09     288,663           0           0

WEYCO GROUP INC                   COM   962149100         278      11,713  SH     DEFINED     01       1,607      10,106           0
WEYCO GROUP INC                   COM   962149100       1,659      70,008  SH     DEFINED  01,08      13,007      57,001           0
WEYCO GROUP INC                   COM   962149100         457      19,280  SH     DEFINED     09      19,280           0           0

WEYERHAEUSER CO                   COM   962166104      15,122     689,861  SH     DEFINED     01     352,881     335,962       1,018
WEYERHAEUSER CO                   COM   962166104       1,284      58,557  SH     OTHER       01      23,459      31,421       3,677
WEYERHAEUSER CO                   COM   962166104      88,455   4,035,335  SH     DEFINED  01,08   1,015,553   3,019,782           0
WEYERHAEUSER CO                   COM   962166104      30,117   1,373,972  SH     DEFINED     09   1,373,972           0           0

WHIRLPOOL CORP                    COM   963320106       8,789     114,349  SH     DEFINED     01      74,520      39,648         181
WHIRLPOOL CORP                    COM   963320106         270       3,508  SH     OTHER       01       2,198         439         871
WHIRLPOOL CORP                    COM   963320106      44,226     575,412  SH     DEFINED  01,08     144,397     431,015           0
WHIRLPOOL CORP                    COM   963320106      14,255     185,461  SH     DEFINED     09     185,461           0           0

WHITESTONE REIT                   COM   966084204         102       7,784  SH     DEFINED     01       1,563       6,221           0
WHITESTONE REIT                   COM   966084204          20       1,500  SH     OTHER       01           0       1,500           0
WHITESTONE REIT                   COM   966084204       1,037      79,507  SH     DEFINED  01,08      11,996      67,511           0
WHITESTONE REIT                   COM   966084204         351      26,953  SH     DEFINED     09      26,953           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    331
  ________

WHITING PETE CORP NEW             COM   966387102       2,568      47,302  SH     DEFINED     01      29,698      17,469         135
WHITING PETE CORP NEW             COM   966387102         238       4,375  SH     OTHER       01       3,450         925           0
WHITING PETE CORP NEW             COM   966387102      22,180     408,480  SH     DEFINED  01,08      48,513     359,967           0
WHITING PETE CORP NEW             COM   966387102       8,653     159,356  SH     DEFINED     09     159,356           0           0

WHOLE FOODS MKT INC               COM   966837106     177,920   2,138,462  SH     DEFINED     01   1,940,722     168,703      29,037
WHOLE FOODS MKT INC               COM   966837106      24,394     293,196  SH     OTHER       01     233,704      45,172      14,320
WHOLE FOODS MKT INC               COM   966837106     101,360   1,218,269  SH     DEFINED  01,08     305,607     912,662           0
WHOLE FOODS MKT INC               COM   966837106      31,991     384,505  SH     DEFINED     09     384,505           0           0

WIDEPOINT CORP                    COM   967590100           1       1,600  SH     DEFINED     01           0       1,600           0
WIDEPOINT CORP                    COM   967590100          50      53,327  SH     DEFINED  01,08           0      53,327           0

WILEY JOHN & SONS INC             COM   968223206       2,434      51,138  SH     DEFINED     01      43,753       5,885       1,500
WILEY JOHN & SONS INC             COM   968223206         428       8,985  SH     OTHER       01       1,100       4,885       3,000
WILEY JOHN & SONS INC             COM   968223206      14,159     297,520  SH     DEFINED  01,08      14,359     283,161           0

WILLBROS GROUP INC DEL            COM   969203108         168      51,705  SH     DEFINED     01       5,164      46,541           0
WILLBROS GROUP INC DEL            COM   969203108       1,253     386,851  SH     DEFINED  01,08      56,842     330,009           0
WILLBROS GROUP INC DEL            COM   969203108         473     145,885  SH     DEFINED     09     145,885           0           0

WILLIAMS COS INC DEL              COM   969457100      49,697   1,613,023  SH     DEFINED     01   1,262,504     317,601      32,918
WILLIAMS COS INC DEL              COM   969457100       4,193     136,076  SH     OTHER       01     114,576      20,145       1,355
WILLIAMS COS INC DEL              COM   969457100     138,082   4,481,742  SH     DEFINED  01,08   1,154,329   3,327,413           0
WILLIAMS COS INC DEL              COM   969457100      44,716   1,451,343  SH     DEFINED     09   1,451,343           0           0

WILLIAMS CLAYTON ENERGY INC       COM   969490101       4,732      59,573  SH     DEFINED     01       1,733      57,840           0
WILLIAMS CLAYTON ENERGY INC       COM   969490101       9,738     122,587  SH     DEFINED  01,08      68,327      54,260           0
WILLIAMS CLAYTON ENERGY INC       COM   969490101       1,393      17,541  SH     DEFINED     09      17,541           0           0

WILLIAMS PARTNERS L P             COM   96950F104       1,106      19,548  SH     DEFINED     01       7,548           0      12,000
WILLIAMS PARTNERS L P             COM   96950F104         209       3,690  SH     OTHER       01       3,690           0           0
WILLIAMS PARTNERS L P             COM   96950F104       2,285      40,375  SH     DEFINED  01,08      40,375           0           0

WILLIAMS SONOMA INC               COM   969904101       1,288      34,369  SH     DEFINED     01      24,211      10,158           0
WILLIAMS SONOMA INC               COM   969904101           2          65  SH     OTHER       01           0           0          65
WILLIAMS SONOMA INC               COM   969904101      23,776     634,362  SH     DEFINED  01,08      45,157     589,205           0

WILLIS LEASE FINANCE CORP         COM   970646105         439      33,744  SH     DEFINED     01           0      33,744           0
WILLIS LEASE FINANCE CORP         COM   970646105         571      43,872  SH     DEFINED  01,08      34,290       9,582           0

WILSHIRE BANCORP INC              COM   97186T108       1,197     247,757  SH     DEFINED     01      33,966     213,791           0
WILSHIRE BANCORP INC              COM   97186T108       3,816     790,111  SH     DEFINED  01,08     284,305     505,806           0
WILSHIRE BANCORP INC              COM   97186T108         762     157,661  SH     DEFINED     09     157,661           0           0

WINDSTREAM CORP                   COM   97381W104       8,193     699,982  SH     DEFINED     01     372,069     326,254       1,659
WINDSTREAM CORP                   COM   97381W104         146      12,475  SH     OTHER       01      10,326         149       2,000
WINDSTREAM CORP                   COM   97381W104      52,647   4,497,824  SH     DEFINED  01,08   1,222,525   3,275,299           0
WINDSTREAM CORP                   COM   97381W104      16,214   1,385,202  SH     DEFINED     09   1,385,202           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    332
  ________

WINMARK CORP                      COM   974250102         333       5,742  SH     DEFINED     01         427       5,315           0
WINMARK CORP                      COM   974250102       1,360      23,468  SH     DEFINED  01,08       5,206      18,262           0
WINMARK CORP                      COM   974250102         335       5,784  SH     DEFINED     09       5,784           0           0

WINNEBAGO INDS INC                COM   974637100         480      48,986  SH     DEFINED     01      15,869      33,117           0
WINNEBAGO INDS INC                COM   974637100       2,978     303,909  SH     DEFINED  01,08      61,342     242,567           0
WINNEBAGO INDS INC                COM   974637100         830      84,646  SH     DEFINED     09      84,646           0           0

WINTHROP RLTY TR                  COM   976391300         508      43,852  SH     DEFINED     01       8,217      35,635           0
WINTHROP RLTY TR                  COM   976391300       3,690     318,353  SH     DEFINED  01,08      89,325     229,028           0
WINTHROP RLTY TR                  COM   976391300       1,106      95,415  SH     DEFINED     09      95,415           0           0

WINTRUST FINANCIAL CORP           COM   97650W108       4,937     137,935  SH     DEFINED     01      64,207      72,783         945
WINTRUST FINANCIAL CORP           COM   97650W108          90       2,505  SH     OTHER       01       1,865         640           0
WINTRUST FINANCIAL CORP           COM   97650W108      13,410     374,678  SH     DEFINED  01,08      90,894     283,784           0
WINTRUST FINANCIAL CORP           COM   97650W108       3,556      99,360  SH     DEFINED     09      99,360           0           0

WIPRO LTD                         COM   97651M109         108       9,829  SH     DEFINED     01       9,829           0           0
WIPRO LTD                         COM   97651M109       2,443     222,051  SH     DEFINED  01,08     222,051           0           0
WIPRO LTD                         COM   97651M109          99       9,015  SH     DEFINED     09       9,015           0           0

WIRELESS RONIN TECHNOLOGIES       COM   97652A203          12      14,034  SH     DEFINED  01,08           0      14,034           0

WIRELESS TELECOM GROUP INC        COM   976524108          13      10,616  SH     DEFINED     01         400      10,216           0
WIRELESS TELECOM GROUP INC        COM   976524108          39      31,672  SH     DEFINED  01,08      13,222      18,450           0

WISCONSIN ENERGY CORP             COM   976657106      11,273     320,438  SH     DEFINED     01     196,287     123,237         914
WISCONSIN ENERGY CORP             COM   976657106       3,079      87,522  SH     OTHER       01      56,235      31,287           0
WISCONSIN ENERGY CORP             COM   976657106      60,194   1,711,038  SH     DEFINED  01,08     420,448   1,290,590           0
WISCONSIN ENERGY CORP             COM   976657106      19,572     556,341  SH     DEFINED     09     556,341           0           0

WISDOMTREE INVTS INC              COM   97717P104         144      17,171  SH     DEFINED     01           0      17,171           0
WISDOMTREE INVTS INC              COM   97717P104         750      89,548  SH     DEFINED  01,08       2,947      86,601           0

WISDOMTREE TRUST               UNDEFIND 97717W133           0         250         DEFINED     01         250           0           0
WISDOMTREE TRUST               UNDEFIND 97717W133          66     313,907         OTHER       01     313,907           0           0

WISDOMTREE TRUST                  COM   97717W182         229       9,020  SH     DEFINED     01       9,020           0           0

WISDOMTREE TRUST                  COM   97717W208         247       5,517  SH     OTHER       01           0       5,517           0

WISDOMTREE TRUST                  COM   97717W307         225       4,248  SH     DEFINED     01       4,248           0           0

WISDOMTREE TRUST                  COM   97717W315         552       9,590  SH     OTHER       01         390       9,200           0

WISDOMTREE TRUST                  COM   97717W406         205       3,740  SH     DEFINED     01       3,740           0           0

WISDOMTREE TRUST                  COM   97717W422         238      12,345  SH     DEFINED     01      12,345           0           0
WISDOMTREE TRUST                  COM   97717W422         368      19,100  SH     OTHER       01         300           0      18,800


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    333
  ________

WOLVERINE WORLD WIDE INC          COM   978097103       5,086     136,805  SH     DEFINED     01      78,686      57,496         623
WOLVERINE WORLD WIDE INC          COM   978097103         293       7,874  SH     OTHER       01       6,559       1,095         220
WOLVERINE WORLD WIDE INC          COM   978097103      18,503     497,661  SH     DEFINED  01,08      91,968     405,693           0
WOLVERINE WORLD WIDE INC          COM   978097103       5,235     140,814  SH     DEFINED     09     140,814           0           0

WOODWARD INC                      COM   980745103       5,001     116,765  SH     DEFINED     01      19,462      97,303           0
WOODWARD INC                      COM   980745103          41         950  SH     OTHER       01           0         950           0
WOODWARD INC                      COM   980745103      34,118     796,582  SH     DEFINED  01,08     130,313     666,269           0
WOODWARD INC                      COM   980745103       7,683     179,378  SH     DEFINED     09     179,378           0           0

WORLD ACCEP CORP DEL              COM   981419104       4,530      73,954  SH     DEFINED     01       7,362      66,592           0
WORLD ACCEP CORP DEL              COM   981419104      12,116     197,820  SH     DEFINED  01,08      76,370     121,450           0
WORLD ACCEP CORP DEL              COM   981419104       2,758      45,034  SH     DEFINED     09      45,034           0           0

WORLD FUEL SVCS CORP              COM   981475106       4,708     114,840  SH     DEFINED     01      28,229      86,446         165
WORLD FUEL SVCS CORP              COM   981475106         195       4,750  SH     OTHER       01         180       4,570           0
WORLD FUEL SVCS CORP              COM   981475106      37,003     902,514  SH     DEFINED  01,08     126,657     775,857           0
WORLD FUEL SVCS CORP              COM   981475106       8,429     205,583  SH     DEFINED     09     205,583           0           0

WORLD WRESTLING ENTMT INC         COM   98156Q108         383      43,164  SH     DEFINED     01       4,135      39,029           0
WORLD WRESTLING ENTMT INC         COM   98156Q108       2,572     289,931  SH     DEFINED  01,08      53,970     235,961           0
WORLD WRESTLING ENTMT INC         COM   98156Q108         608      68,533  SH     DEFINED     09      68,533           0           0

WORTHINGTON INDS INC              COM   981811102       6,990     364,454  SH     DEFINED     01      19,447     345,007           0
WORTHINGTON INDS INC              COM   981811102      19,881   1,036,562  SH     DEFINED  01,08     428,312     608,250           0
WORTHINGTON INDS INC              COM   981811102       3,212     167,457  SH     DEFINED     09     167,457           0           0

WPX ENERGY INC                    COM   98212B103       5,070     281,508  SH     DEFINED     01     177,826     102,806         876
WPX ENERGY INC                    COM   98212B103         325      18,034  SH     OTHER       01      17,359         500         175
WPX ENERGY INC                    COM   98212B103      26,640   1,479,202  SH     DEFINED  01,08     358,597   1,120,605           0
WPX ENERGY INC                    COM   98212B103       3,801     211,069  SH     DEFINED     09     211,069           0           0

WRIGHT EXPRESS CORP               COM   98233Q105       7,283     112,506  SH     DEFINED     01      61,297      50,764         445
WRIGHT EXPRESS CORP               COM   98233Q105         299       4,616  SH     OTHER       01       3,518       1,098           0
WRIGHT EXPRESS CORP               COM   98233Q105      31,578     487,844  SH     DEFINED  01,08      63,308     424,536           0
WRIGHT EXPRESS CORP               COM   98233Q105       7,175     110,840  SH     DEFINED     09     110,840           0           0

WRIGHT MED GROUP INC              COM   98235T107         924      47,847  SH     DEFINED     01      10,709      37,138           0
WRIGHT MED GROUP INC              COM   98235T107       7,238     374,650  SH     DEFINED  01,08      58,053     316,597           0
WRIGHT MED GROUP INC              COM   98235T107       2,097     108,566  SH     DEFINED     09     108,566           0           0

WYNDHAM WORLDWIDE CORP            COM   98310W108       9,955     214,038  SH     DEFINED     01     119,820      93,028       1,190
WYNDHAM WORLDWIDE CORP            COM   98310W108         345       7,410  SH     OTHER       01       4,790       2,270         350
WYNDHAM WORLDWIDE CORP            COM   98310W108      51,110   1,098,901  SH     DEFINED  01,08     277,908     820,993           0
WYNDHAM WORLDWIDE CORP            COM   98310W108       7,372     158,506  SH     DEFINED     09     158,506           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    334
  ________

WYNN RESORTS LTD                  COM   983134107      11,724      93,880  SH     DEFINED     01      48,637      44,976         267
WYNN RESORTS LTD                  COM   983134107         318       2,549  SH     OTHER       01       2,115         385          49
WYNN RESORTS LTD                  COM   983134107      71,589     573,265  SH     DEFINED  01,08     149,694     423,571           0
WYNN RESORTS LTD                  COM   983134107      24,786     198,480  SH     DEFINED     09     198,480           0           0

XO GROUP INC                      COM   983772104         346      36,873  SH     DEFINED     01      12,805      24,068           0
XO GROUP INC                      COM   983772104       2,731     290,790  SH     DEFINED  01,08      48,061     242,729           0
XO GROUP INC                      COM   983772104         888      94,519  SH     DEFINED     09      94,519           0           0

XPO LOGISTICS INC                 COM   983793100          30       1,769  SH     DEFINED     01       1,769           0           0
XPO LOGISTICS INC                 COM   983793100         178      10,623  SH     DEFINED  01,08           0      10,623           0

X-RITE INC                        COM   983857103         144      31,768  SH     DEFINED     01       4,807      26,961           0
X-RITE INC                        COM   983857103       1,132     249,338  SH     DEFINED  01,08      39,219     210,119           0
X-RITE INC                        COM   983857103         335      73,844  SH     DEFINED     09      73,844           0           0

XCEL ENERGY INC                   COM   98389B100      13,513     510,517  SH     DEFINED     01     244,786     260,555       5,176
XCEL ENERGY INC                   COM   98389B100       1,097      41,432  SH     OTHER       01      10,853      30,334         245
XCEL ENERGY INC                   COM   98389B100      94,053   3,553,211  SH     DEFINED  01,08     844,926   2,708,285           0
XCEL ENERGY INC                   COM   98389B100      31,599   1,193,749  SH     DEFINED     09   1,193,749           0           0

XILINX INC                        COM   983919101      19,046     522,098  SH     DEFINED     01     306,791     211,517       3,790
XILINX INC                        COM   983919101         972      26,646  SH     OTHER       01      20,242       4,542       1,862
XILINX INC                        COM   983919101      75,303   2,064,223  SH     DEFINED  01,08     568,642   1,495,581           0
XILINX INC                        COM   983919101      24,479     671,031  SH     DEFINED     09     671,031           0           0

XENOPORT INC                      COM   98411C100         162      35,916  SH     DEFINED     01       9,699      26,217           0
XENOPORT INC                      COM   98411C100       1,465     325,511  SH     DEFINED  01,08      41,895     283,616           0
XENOPORT INC                      COM   98411C100         439      97,592  SH     DEFINED     09      97,592           0           0

XEROX CORP                        COM   984121103      20,704   2,564,023  SH     DEFINED     01   1,212,832   1,338,372      12,819
XEROX CORP                        COM   984121103         730      90,407  SH     OTHER       01      26,164      64,243           0
XEROX CORP                        COM   984121103      85,909  10,638,885  SH     DEFINED  01,08   3,048,030   7,590,855           0
XEROX CORP                        COM   984121103      27,116   3,357,990  SH     DEFINED     09   3,357,990           0           0

XERIUM TECHNOLOGIES INC           COM   98416J118          93      14,426  SH     DEFINED     01       9,892       4,534           0
XERIUM TECHNOLOGIES INC           COM   98416J118         586      90,873  SH     DEFINED  01,08      18,288      72,585           0
XERIUM TECHNOLOGIES INC           COM   98416J118         247      38,255  SH     DEFINED     09      38,255           0           0

XOMA CORP DEL                     COM   98419J107           3       1,233  SH     DEFINED     01         133       1,100           0
XOMA CORP DEL                     COM   98419J107         111      40,165  SH     DEFINED  01,08           0      40,165           0

XYLEM INC                         COM   98419M100      11,049     398,168  SH     DEFINED     01     282,009     106,911       9,248
XYLEM INC                         COM   98419M100       1,849      66,628  SH     OTHER       01      50,178      15,041       1,409
XYLEM INC                         COM   98419M100      37,198   1,340,463  SH     DEFINED  01,08     313,090   1,027,373           0
XYLEM INC                         COM   98419M100      12,433     448,026  SH     DEFINED     09     448,026           0           0

YADKIN VALLEY FINANCIAL CORP      COM   984314104           8       2,656  SH     DEFINED     01           0       2,656           0
YADKIN VALLEY FINANCIAL CORP      COM   984314104          41      14,019  SH     DEFINED  01,08       3,258      10,761           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    335
  ________

YAHOO INC                         COM   984332106      20,577   1,351,943  SH     DEFINED     01     711,487     635,471       4,985
YAHOO INC                         COM   984332106         627      41,202  SH     OTHER       01      20,162      20,500         540
YAHOO INC                         COM   984332106     139,788   9,184,489  SH     DEFINED  01,08   2,209,109   6,975,380           0
YAHOO INC                         COM   984332106      45,276   2,974,788  SH     DEFINED     09   2,974,788           0           0

YAMANA GOLD INC                   COM   98462Y100       1,568     100,410  SH     DEFINED     01      97,461       2,820         129
YAMANA GOLD INC                   COM   98462Y100          33       2,099  SH     OTHER       01         901       1,198           0
YAMANA GOLD INC                   COM   98462Y100         510      32,652  SH     DEFINED  01,08      32,652           0           0

YELP INC                          COM   985817105          12         450  SH     DEFINED     01         450           0           0
YELP INC                          COM   985817105         246       9,134  SH     DEFINED  01,08           0       9,134           0

YORK WTR CO                       COM   987184108         247      14,267  SH     DEFINED     01       3,184      11,083           0
YORK WTR CO                       COM   987184108       2,071     119,717  SH     DEFINED  01,08      17,773     101,944           0
YORK WTR CO                       COM   987184108         490      28,333  SH     DEFINED     09      28,333           0           0

YOUKU INC                         COM   98742U100         672      30,573  SH     DEFINED     01      18,106      12,457          10
YOUKU INC                         COM   98742U100          15         692  SH     OTHER       01         677          15           0

YOUNG INNOVATIONS INC             COM   987520103       1,797      58,128  SH     DEFINED     01      39,332      18,398         398
YOUNG INNOVATIONS INC             COM   987520103          45       1,463  SH     OTHER       01         553         760         150
YOUNG INNOVATIONS INC             COM   987520103       1,972      63,782  SH     DEFINED  01,08      17,976      45,806           0
YOUNG INNOVATIONS INC             COM   987520103         389      12,573  SH     DEFINED     09      12,573           0           0

YUM BRANDS INC                    COM   988498101      71,058     998,291  SH     DEFINED     01     714,107     272,447      11,737
YUM BRANDS INC                    COM   988498101      10,999     154,517  SH     OTHER       01     131,108      16,263       7,146
YUM BRANDS INC                    COM   988498101     243,783   3,424,886  SH     DEFINED  01,08     790,440   2,634,446           0
YUM BRANDS INC                    COM   988498101      98,785   1,387,824  SH     DEFINED     09   1,387,824           0           0

ZBB ENERGY CORPORATION            COM   98876R204          28      40,919  SH     DEFINED  01,08           0      40,919           0

ZAGG INC                          COM   98884U108         275      25,889  SH     DEFINED     01      12,659      13,230           0
ZAGG INC                          COM   98884U108       2,157     202,899  SH     DEFINED  01,08      20,438     182,461           0
ZAGG INC                          COM   98884U108         604      56,848  SH     DEFINED     09      56,848           0           0

ZALE CORP NEW                     COM   988858106         154      49,909  SH     DEFINED     01       8,191      41,718           0
ZALE CORP NEW                     COM   988858106       1,000     323,601  SH     DEFINED  01,08      66,222     257,379           0
ZALE CORP NEW                     COM   988858106         266      86,227  SH     DEFINED     09      86,227           0           0

ZALICUS INC                       COM   98887C105          73      61,117  SH     DEFINED     01       7,353      53,764           0
ZALICUS INC                       COM   98887C105         817     681,102  SH     DEFINED  01,08      74,848     606,254           0
ZALICUS INC                       COM   98887C105         194     161,649  SH     DEFINED     09     161,649           0           0

ZAZA ENERGY CORP                  COM   98919T100          71      15,249  SH     DEFINED     01       1,000      14,249           0
ZAZA ENERGY CORP                  COM   98919T100         257      54,978  SH     DEFINED  01,08      12,361      42,617           0

ZEBRA TECHNOLOGIES CORP           COM   989207105         675      16,401  SH     DEFINED     01       9,208       7,193           0
ZEBRA TECHNOLOGIES CORP           COM   989207105          54       1,312  SH     OTHER       01       1,312           0           0
ZEBRA TECHNOLOGIES CORP           COM   989207105      13,734     333,502  SH     DEFINED  01,08      22,501     311,001           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    336
  ________

ZELTIQ AESTHETICS INC             COM   98933Q108          23       3,796  SH     DEFINED     01         691       3,105           0
ZELTIQ AESTHETICS INC             COM   98933Q108         382      61,880  SH     DEFINED  01,08       6,129      55,751           0
ZELTIQ AESTHETICS INC             COM   98933Q108         175      28,438  SH     DEFINED     09      28,438           0           0

ZEP INC                           COM   98944B108         507      35,178  SH     DEFINED     01      11,099      24,079           0
ZEP INC                           COM   98944B108       3,129     217,265  SH     DEFINED  01,08      41,070     176,195           0
ZEP INC                           COM   98944B108         846      58,763  SH     DEFINED     09      58,763           0           0

ZHONE TECHNOLOGIES INC NEW        COM   98950P884           8       7,083  SH     DEFINED     01           0       7,083           0
ZHONE TECHNOLOGIES INC NEW        COM   98950P884          47      40,513  SH     DEFINED  01,08       6,356      34,157           0

ZILLOW INC                        COM   98954A107          89       2,491  SH     DEFINED     01         773       1,718           0
ZILLOW INC                        COM   98954A107       1,177      33,085  SH     DEFINED  01,08       3,383      29,702           0
ZILLOW INC                        COM   98954A107         444      12,464  SH     DEFINED     09      12,464           0           0

ZIMMER HLDGS INC                  COM   98956P102      22,175     344,974  SH     DEFINED     01     218,002     114,423      12,549
ZIMMER HLDGS INC                  COM   98956P102       9,691     150,764  SH     OTHER       01     128,519      17,010       5,235
ZIMMER HLDGS INC                  COM   98956P102      84,011   1,306,950  SH     DEFINED  01,08     307,604     999,346           0
ZIMMER HLDGS INC                  COM   98956P102      28,759     447,400  SH     DEFINED     09     447,400           0           0

ZION OIL & GAS INC                COM   989696109          58      22,076  SH     DEFINED     01       3,342      18,734           0
ZION OIL & GAS INC                COM   989696109         662     250,908  SH     DEFINED  01,08      30,788     220,120           0
ZION OIL & GAS INC                COM   989696109         164      62,060  SH     DEFINED     09      62,060           0           0

ZIONS BANCORPORATION              COM   989701107       5,090     237,188  SH     DEFINED     01     127,494     108,895         799
ZIONS BANCORPORATION              COM   989701107         342      15,940  SH     OTHER       01       2,894      12,961          85
ZIONS BANCORPORATION              COM   989701107      29,632   1,380,812  SH     DEFINED  01,08     337,718   1,043,094           0
ZIONS BANCORPORATION              COM   989701107       3,792     176,723  SH     DEFINED     09     176,723           0           0

ZIOPHARM ONCOLOGY INC             COM   98973P101         324      60,059  SH     DEFINED     01      17,318      42,741           0
ZIOPHARM ONCOLOGY INC             COM   98973P101       3,290     609,291  SH     DEFINED  01,08      68,165     541,126           0
ZIOPHARM ONCOLOGY INC             COM   98973P101         984     182,142  SH     DEFINED     09     182,142           0           0

ZIX CORP                          COM   98974P100         183      62,843  SH     DEFINED     01      15,933      46,910           0
ZIX CORP                          COM   98974P100       1,731     594,691  SH     DEFINED  01,08      76,408     518,283           0
ZIX CORP                          COM   98974P100         628     215,678  SH     DEFINED     09     215,678           0           0

ZIPREALTY INC                     COM   98974V107           4       3,172  SH     DEFINED     01           0       3,172           0
ZIPREALTY INC                     COM   98974V107          16      11,838  SH     DEFINED  01,08       3,951       7,887           0

ZIPCAR INC                        COM   98974X103         140       9,451  SH     DEFINED     01       1,205       8,246           0
ZIPCAR INC                        COM   98974X103       1,663     112,277  SH     DEFINED  01,08       8,426     103,851           0
ZIPCAR INC                        COM   98974X103         495      33,439  SH     DEFINED     09      33,439           0           0

ZOLTEK COS INC                    COM   98975W104         380      33,586  SH     DEFINED     01       8,309      25,277           0
ZOLTEK COS INC                    COM   98975W104         205      18,100  SH     OTHER       01       2,500      15,600           0
ZOLTEK COS INC                    COM   98975W104       3,014     266,269  SH     DEFINED  01,08      42,281     223,988           0
ZOLTEK COS INC                    COM   98975W104         891      78,692  SH     DEFINED     09      78,692           0           0


  FORM 13F                    DATE 03-30-12                    NORTHERN TRUST CORPORATION                       PAGE    337
  ________

ZOOM TECHNOLOGIES INC             COM   98976E301           0         315  SH     DEFINED     01           0         315           0
ZOOM TECHNOLOGIES INC             COM   98976E301          42      37,083  SH     DEFINED  01,08         115      36,968           0

ZOGENIX INC                       COM   98978L105          27      13,632  SH     DEFINED     01       3,077      10,555           0
ZOGENIX INC                       COM   98978L105         314     157,063  SH     DEFINED  01,08      19,281     137,782           0
ZOGENIX INC                       COM   98978L105         151      75,391  SH     DEFINED     09      75,391           0           0

ZUMIEZ INC                        COM   989817101       1,078      29,866  SH     DEFINED     01      10,718      19,148           0
ZUMIEZ INC                        COM   989817101       7,449     206,294  SH     DEFINED  01,08      32,250     174,044           0
ZUMIEZ INC                        COM   989817101       2,424      67,116  SH     DEFINED     09      67,116           0           0

ZYGO CORP                         COM   989855101         453      23,161  SH     DEFINED     01       7,095      16,066           0
ZYGO CORP                         COM   989855101       3,258     166,462  SH     DEFINED  01,08      27,841     138,621           0
ZYGO CORP                         COM   989855101       1,363      69,654  SH     DEFINED     09      69,654           0           0

ZYNGA INC                         COM   98986T108         163      12,395  SH     DEFINED     01       1,700      10,695           0
ZYNGA INC                         COM   98986T108           8         600  SH     OTHER       01           0           0         600
ZYNGA INC                         COM   98986T108       2,128     161,820  SH     DEFINED  01,08      20,401     141,419           0

ZOLL MED CORP                     COM   989922109       3,575      38,591  SH     DEFINED     01      11,515      27,076           0
ZOLL MED CORP                     COM   989922109          60         650  SH     OTHER       01           0         650           0
ZOLL MED CORP                     COM   989922109      18,565     200,426  SH     DEFINED  01,08      21,282     179,144           0